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Spaceflight missions must limit biological contamination on both the outbound and return legs to comply with planetary protection requirements. Depending on the mission profile, contamination concerns may include the potential presence of bioactive molecules as defined by NASA’s Planetary Protection policies. Thus, the present study has examined the temperature and time requirements for sufficient inactivation/degradation of an infectious, heat-stable prion protein (Sup35NM), which serves as a model bioactive molecule. Bovine serum albumin was used to establish the method parameters and feasibility. Differential scanning calorimetry, Fourier transform infrared spectroscopy, analytical reversed-phase high-performance liquid chromatography, and mass spectrometry were utilized to analyze heat-treated samples, with non-treated samples serving as controls. Heat treatment at 400°C for 5 seconds was found to result in substantial decomposition of Sup35NM. In addition to the disruption of the protein backbone amide bonds, the side chain residues were also compromised. Fragments of molecular weight <4600 were observed by mass spectrometry but the impact of treatment on both the backbone and side chains of Sup35NM suggested that these fragments would not self-associate to create potentially pathogenic entities. The present methodology provided insight into the protein degradation process and can be applied to a variety of treatment strategies (e.g., any form of sterilization or inactivation) to ensure a lack of protein-based contamination of isolated extraterrestrial specimens.
Fortified Island (FORTIS) examines Iron Age fortifications on the island of Bornholm to assess their characters, locations and chronologies. Through a multimethod approach, the project deepens our understanding of fortifications in relation to their physical and cultural landscapes, both on Bornholm and in the Baltic Sea Region more generally.
Several transnational corporations, investors, international organizations, and philanthropies have formed coalitions to respond to global social and environmental challenges. Do these coalitions, consisting of large-scale actors, have the capacity to contribute to the sustainability transformations that are needed, or do they perpetuate the same systemic dynamics that created the problems in the first place? We investigate this question by comparing publicly available information from five coalitions working on financial and food systems sustainability.
Technical Summary
This paper examines whether large-scale actor coalitions (LSACs) may contribute to transformations toward equitable and sustainable futures. We use a ‘rapid assessment’ 20-variable framework to collect and analyze empirical data from five food and finance coalitions to identify their roles and capacities for transformative change. Our results indicate that LSACs implement distinct strategies to reach their goals. More specifically, due to their diverse set-ups, LSACs have the ability to raise awareness of sustainability issues, utilize ties to push forward agendas, engage in institutional policy-shaping processes, experiment with solutions, and showcase promising niche initiatives. We identify ways that LSACs’ actions can enable efforts of other change-makers who aim to change the food and finance systems and contribute to systems with high and diverse capacities for transformative change. We also discuss why the roles and lack of certain capacities of LSACs might hinder the creation of enabling conditions for transformative change within the food and finance sectors.
Social Media Summary
Coalitions consisting of powerful actors have a range of transformative capacities that, under certain conditions, can support systemic transformations within their sectors.
In response to the concerns of a growing number of crises, we trace the temporal trends, distribution, and co-occurrences of shocks – sudden events with noticeable impacts – on 175 countries from 1970 to 2019. Our analysis shows that shocks have not evolved uniformly over time and space: after becoming more co-occurring between 1970 and 2000, they then showed a regionally dependent shift in patterns. Our results highlight that regional differentiation is not incidental but constitutive of polycrisis dynamics, and that any effort to theorize, anticipate, or navigate polycrisis must account for this spatial heterogeneity.
Technical Summary.
Polycrisis has emerged as a new property of the Anthropocene. Defined as the convergence of crises across multiple systems, polycrisis calls for a paradigm shift in how crises are perceived and managed. Characterizing polycrisis dynamics is the first step in that direction but is made difficult by the complex and non-linear mechanisms at play. To overcome this challenge, we adopt a social-ecological systems approach to decompose polycrisis dynamics into two interrelated processes: shocks – sudden events with noticeable impacts, and creeping changes – slow processes that have a potential significant impact on society or the biosphere. We then develop and analyse a harmonized database capturing the occurrence of six categories of shocks (climatic, geophysical, ecological, economic, technological, and conflict-related) across 175 countries between 1970 and 2019. Our analysis reveals a significant rise in shock co-occurrences until 2000, particularly at the intersection of conflict, climate, and technological disruptions. After 2000, co-occurrence began plateauing or declining in all regions, yet at different levels. Our findings highlight the importance of a regionalized and typologically nuanced approach to understanding polycrisis. Our work also paves the way to an integration of polycrisis theory and multi-hazard methodologies for developing a more effective and crisis management ecosystem.
Social Media Summary.
Dynamics of the polycrisis reveal regional differences, with a possible shift in the interaction of shocks from 2000.
This article explores and discusses the change processes and pedagogical dilemmas ignited by introducing wild pedagogies to pedagogical employees in Danish early childhood institutions. By analysing experiments aimed at developing new play and learning environments, carried out as part of a large design-based research project, we discuss how existing “roots” of early childhood education in Denmark provide a fertile soil for the introduction of wild pedagogies. We identify two “shoots of change” with a potential for pushing the status quo in relations between children, adults, and more-than-human nature. Centreing on altering the place of nature in early childhood education and carving out time for more open approaches, these shoots are in close dialogue with wild pedagogies. By experimenting with these shoots of change, pedagogical dilemmas became more visible, important, and present to the participants. Attending to and exploring such dilemmas are crucial aspects of keeping socio-cultural change processes in motion.
Due to the provisions of the Svalbard Treaty, Russia has kept a presence on this Norwegian archipelago – primarily based on coal mining – and has regularly made it clear that ensuring the continuation of this presence is a political goal. Since the late 2000s, Russia has attempted to revitalise its presence, stressing the need for economic efficiency and diversification away from coal. This includes tourism, fish processing and research activities. In recent years, Russia’s official rhetoric on Svalbard has sharpened, i.a. accusing Norway of breaching the treaty’s provisions on military use of the islands. The article contrasts the statements with the concrete actions undertaken by Russia to preserve and develop its presence. Russia’s policy of presence on Svalbard is not particularly well-coordinated or strategic – beyond an increasing openness to exploring new ways to sustain a sufficient presence. Financial limitations have constrained initiatives. The search for new activities and solutions is driven primarily by the need for cost-cutting and consolidating a limited presence deemed necessary for Russian security interest, not as strategies aimed at increasing Russian influence over the archipelago.
In July 2022, a genetically linked and geographically dispersed cluster of 12 cases of Shiga toxin-producing Escherichia coli (STEC) O103:H2 was detected by the UK Health Security Agency using whole genome sequencing. Review of food history questionnaires identified cheese (particularly an unpasteurized brie-style cheese) and mixed salad leaves as potential vehicles. A case–control study was conducted to investigate exposure to these products. Case food history information was collected by telephone. Controls were recruited using a market research panel and self-completed an online questionnaire. Univariable and multivariable analyses were undertaken using Firth Logistic Regression. Eleven cases and 24 controls were included in the analysis. Consumption of the brie-style cheese of interest was associated with illness (OR 57.5, 95% confidence interval: 3.10–1,060). Concurrently, the production of the brie-style cheese was investigated. Microbiological sample results for the cheese products and implicated dairy herd did not identify the outbreak strain, but did identify the presence of stx genes and STEC, respectively. Together, epidemiological, microbiological, and environmental investigations provided evidence that the brie-style cheese was the vehicle for this outbreak. Production of unpasteurized dairy products was suspended by the business operator, and a review of practices was performed.
Latent class regression models relate covariates and latent constructs such as psychiatric disorders. Though full maximum likelihood estimation is available, estimation is often in three steps: (i) a latent class model is fitted without covariates; (ii) latent class scores are predicted; and (iii) the scores are regressed on covariates. We propose a new method for predicting class scores that, in contrast to posterior probability-based methods, yields consistent estimators of the parameters in the third step. Additionally, in simulation studies the new methodology exhibited only a minor loss of efficiency. Finally, the new and the posterior probability-based methods are compared in an analysis of mobility/exercise.
Many studies in fields such as psychology and educational sciences obtain information about attributes of subjects through observational studies, in which raters score subjects using multiple-item rating scales. Error variance due to measurement effects, such as items and raters, attenuate the regression coefficients and lower the power of (hierarchical) linear models. A modeling procedure is discussed to reduce the attenuation. The procedure consists of (1) an item response theory (IRT) model to map the discrete item responses to a continuous latent scale and (2) a generalizability theory (GT) model to separate the variance in the latent measurement into variance components of interest and nuisance variance components. It will be shown how measurements obtained from this mixture of IRT and GT models can be embedded in (hierarchical) linear models, both as predictor or criterion variables, such that error variance due to nuisance effects are partialled out. Using examples from the field of educational measurement, it is shown how general-purpose software can be used to implement the modeling procedure.
The aim of this randomised controlled trial was to investigate the effects of breakfast high or low in protein on body composition and cardiometabolic markers in young women with overweight. In total, fifty-six women aged 18–30 years consumed a breakfast containing either high protein (34 g protein, n 26) or low protein (6 g protein, n 30) for 12 weeks. Measurements of body composition by dual-energy X-ray absorptiometry, waist circumference, glucose tolerance, fasting glucose, insulin and lipid profile were performed before and after this period. The primary outcome was fat mass. Satiety and hunger were evaluated by self-reported Visual Analogue Scale (VAS) scores. Dietary intake was estimated by 4-d dietary records, and calcium intake was estimated by FFQ. At baseline, relative daily protein intake was 15·2 ± 2·8 E%, which increased to 19·3 ± 3·4 E% in high protein but was unchanged in low protein (P < 0·001 between groups). High protein reported higher satiety compared with low protein (P = 0·02). Yet, no group differences were observed in changes in energy intake, body composition, blood lipid profile or measures of glucose tolerance (all P > 0·10). However, bone mineral content tended to increase in high protein (P = 0·05) and decrease in low protein (P = 0·07, interaction effect: P = 0·01). Conclusively, a high v. low content of protein in breakfast increased satiety but did not affect body composition or cardiometabolic markers in young women with overweight. This study adds to the sparse evidence on the effects of breakfast with different macronutrient compositions on health parameters in women with overweight. Registered at clinicaltrials.gov: NCT04518605.
Medications are commonly used to treat co-occurring psychopathology in persons with borderline personality disorder (BPD)
Aims
To systematically review and integrate the evidence of medications for treatment of co-occurring psychopathology in people with BPD, and explore the role of comorbidities.
Method
Building on the current Cochrane review of medications in BPD, an update literature search was done in March 2024. We followed the methods of this Cochrane review, but scrutinised all identified placebo-controlled trials post hoc for reporting of non BPD-specific (‘co-occurring’) psychopathology, and explored treatment effects in subgroups of samples with and without defined co-occurring disorders. GRADE ratings were done to assess the evidence certainty.
Results
Twenty-two trials were available for quantitative analyses. For antipsychotics, we found very-low-certainty evidence (VLCE) of an effect on depressive symptoms (standardised mean difference (SMD) −0.22, P = 0.04), and low-certainty evidence (LCE) of an effect on psychotic–dissociative symptoms (SMD −0.28, P = 0.007). There was evidence of effects of anticonvulsants on depressive (SMD −0.44, P = 0.02; LCE) and anxious symptoms (SMD −1.11, P < 0.00001; VLCE). For antidepressants, no significant findings were observed (VLCE). Exploratory subgroup analyses indicated a greater effect of antipsychotics in samples including participants with co-occurring substance use disorders on psychotic–dissociative symptoms (P = 0.001).
Conclusions
Our findings, based on VLCE and LCE only, do not support the use of pharmacological interventions in people with BPD to target co-occurring psychopathology. Overall, the current evidence does not support differential treatment effects in persons with versus without defined comorbidities. Medications should be used cautiously to target co-occurring psychopathology.
It remains uncertain whether long-term use of benzodiazepines is associated with age-related cognitive decline, and if cognitive ability in early life is the driver of any association. This study examines the association of cognitive ability in young adulthood with later use of benzodiazepines and explores whether the use of benzodiazepines during adult life is associated with cognitive decline in late midlife.
Methods
The study samples include cognitive tests on the Børge Priens Prøve (BPP) from the conscription board examination (age 19 years) from 335 513 men born 1949–1961 and data from re-examinations of 5183 men 44 years later. Cognitive decline was defined as the difference between scores at the conscription board and the re-examination. Information on purchases of benzodiazepines was obtained from the Danish National Prescription Registry, 1995–2022. Associations were analysed using Cox proportional hazards and linear regression.
Results
In total, 120 911 (36%) men purchased benzodiazepines during a follow-up of 20 years. Lower cognitive scores in young adulthood were associated with a higher risk of initiating benzodiazepines (hazard ratio [95% CI] = 0.71[0.68–0.75]). Men with the highest cumulative use of benzodiazepines had larger cognitive decline (β-coefficient [95% CI] = −1.66 [−2.09 to −1.23] BPP scores) compared with never users. Current benzodiazepine users showed a larger cognitive decline than never users (β-coefficient [95% CI] = −2.42[−3.18 to −1.66] BPP scores) and this partially explained the above association. These estimates for cognitive decline were relatively small and may lack clinical relevance.
Conclusion
Low cognitive ability increases the risk of benzodiazepine use in adulthood and cognitive decline is more pronounced in those with the highest benzodiazepine use compared with never-use, but the difference lacks clinical significance.
Declining labor force participation of older men throughout the 20th century and recent increases in participation have generated substantial interest in understanding the effect of public pensions on retirement. The National Bureau of Economic Research's International Social Security (ISS) Project, a long-term collaboration among researchers in a dozen developed countries, has explored this and related questions. The project employs a harmonized approach to conduct within-country analyses that are combined for meaningful cross-country comparisons. The key lesson is that the choices of policy makers affect the incentive to work at older ages and these incentives have important effects on retirement behavior.
Previous research has implicated herpes simplex virus 1 (HSV1) and cytomegalovirus (CMV) in severe mental illness (SMI) with conflicting results. Both pathogens have high universal seroprevalence, are neurotropic and after the primary infection typically establish a persistent latent infection with periodic reactivations. Increased immunoglobin G (IgG) concentrations are considered to be attributable to an increased infection severity with more frequent reactivations or host immune system alterations.
Objectives
We assessed the HSV1 and CMV IgG concentrations in previously infected (seropositive) patients with SMI and healthy controls (HC). We hypothesized that seropositive patients would show higher IgG concentrations than seropositive HC.
Methods
We included 765 patients, 515 with schizophrenia (SZ) and 250 with bipolar disorder (BP), and 541 HC. HSV1 and CMV IgG seropositivity and concentrations were measured with immunoassays. 355 patients, mean age 33 years, 45% females, and 238 HC, mean age 35 years, 44% females, were HSV1 seropositive (HSV1+) while 447 patients, mean age 33 years, 50% females, and 296 HC, mean age 34 years, 47% females, were CMV seropositive (CMV+). In our main analysis among seropositive participants, we investigated the main effect of patient/control status on HSV1 and CMV IgG concentrations.
Results
There were no significant differences in CMV or HSV1 seropositivity frequencies between patients with SZ, patients with BP and HC. Among seropositive participants, patients had higher HSV1 (p<0.001) and CMV (p=0.018) IgG concentrations than HC; stratifying by diagnosis, both patients with SZ (p=0.001) and patients with BP (p=0.001) had higher HSV1 IgG concentrations than HC, while patients with SZ, but not BP, had higher CMV (p=0.045) IgG concentrations than HC (Image). For HSV1, higher IgG concentrations were associated with higher general (p=0.017), negative (p=0.041) and positive (p=0.028) psychotic symptom scores.
Image:
Conclusions
Seropositive patients with SMI showed higher HSV1 and CMV IgG concentrations than seropositive HC suggesting that patients suffer a more severe infection or exhibit an altered immune response when contracting the pathogens. For HSV1, higher IgG concentrations were linked to more psychotic symptoms.
Disclosure of Interest
D. Andreou: None Declared, N. E. Steen: None Declared, K. N. Jørgensen: None Declared, T. Ueland: None Declared, L. Wortinger: None Declared, L. Mørch-Johnsen: None Declared, R. Yolken: None Declared, O. Andreassen Consultant of: Consultant to HealthLytix, Speakers bureau of: Received speaker’s honorarium from Lundbeck and Sunovion, I. Agartz Speakers bureau of: Received speaker’s honorarium from Lundbeck
The scientific study on migration can be dated back at least to Ernst Georg Ravenstein's studies in the 1880s. From these early steps, the understanding of migration was somewhat linear. Basically it was assumed that people moved from one place to another. End of story. Over the decades, different explanatory models were developed showing how economic structures were decisive for people's decisions to move. First through quite simplistic push-pull models, later through household economics and choices. Despite the change of analytical unit, the understanding of migration as such remained the same. The last decades have given us more nuanced or sophisticated perspectives, such as attempts to understand the transnational dimensions of migration (compared to understanding international migration solely as the movement from one nation-state to another). The transnational perspective calls for a new perspective on migration and settlement, which argues that the traditional approaches social scientists use to understand individuals who move and settle abroad no longer are suitable for understanding moving populations in an increasingly complex world. The transitional turn implies that sociocultural groups can no longer be seen as territorially defined but rather are defined through migrations. At the same time, it opens for a new global ethnography. The German sociologist Thomas Faist makes a bridge between globalization studies and migration studies when he developed the notion of transnational social spaces. The present book by Abdulkadir Osman Farah stands on the shoulders of this long line of work. Coning the notion Aarhusomali exactly carves out the contours of a transnational social space. Farah writes about this space with an emic insight. Belonging not only to the Somali community in Aarhus but also as an academic and community organizer, he blends knowledge and participation to provide a rich account of transnational encounters and connections as they play out, are formed, and are reshaped in the context of Aarhus, Denmark. His account of this particular transnational community addresses different scales and governance levels. He investigates how the Somali community mobilizes access to public opportunities, and how civic mobilization is shaped in relation to sociopolitical conditions within both Aarhus, Denmark, and Somalia.
This paper examines the role of remanufacturing in healthcare as a key circular design strategy, particularly for medical devices, assessing its socio-technical, environmental, and economic dimensions of sustainability. Through a detailed case of ultrasound catheters, it demonstrates how remanufacturing can lead to resource conservation, cost savings, and enhanced product lifecycles in health care without compromising quality and patient safety. The study argues for systemic changes in healthcare practices to fully integrate remanufacturing, underscoring its role beyond a technical solution.