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The relative costs and benefits of thermal acclimation for manipulating field performance of pest insects depend upon a number of factors including which traits are affected and how persistent any trait changes are in different environments. By assessing plastic trait responses of Ceratitis capitata (Mediterranean fruit fly) across three distinct operational environments (laboratory, semi-field, and field), we examined the influence of different thermal acclimation regimes (cool, intermediate [or handling control], and warm) on thermal tolerance traits (chill-coma recovery, heat-knockdown time, critical thermal minimum and critical thermal maximum) and flight performance (mark-release-recapture). Under laboratory conditions, thermal acclimation altered thermal limits in a relatively predictable manner and there was a generally positive effect across all traits assessed, although some traits responded more strongly. By contrast, dispersal-related performance yielded strongly contrasting results depending on the specific operational environment assessed. In semi-field conditions, warm- or cold-acclimated flies were recaptured more often than the control group at cooler ambient conditions suggesting an overall stimulatory influence of thermal variability on low-temperature dispersal. Under field conditions, a different pattern was identified: colder flies were recaptured more in warmer field conditions relative to other treatment groups. This study highlights the trait- and context-specific nature of how thermal acclimation influences traits of thermal performance and tolerance. Consequently, laboratory and semi-field assessments of dispersal may not provide results that extend into the field setting despite the apparent continuum of environmental complexity among them (laboratory < semi-field < field).
Recurrent laryngeal nerve injury leading to vocal cord paralysis is a known complication of cardiothoracic surgery. Its occurrence during interventional catheterisation procedures has been documented in case reports, but there have been no studies to determine an incidence.
Objective:
To establish the incidence of left recurrent laryngeal nerve injury leading to vocal cord paralysis after left pulmonary artery stenting, patent ductus arteriosus device closure and the combination of the procedures either consecutively or simultaneously.
Methods:
Members of the Congenital Cardiovascular Interventional Study Consortium were asked to perform a retrospective analysis to identify cases of recurrent laryngeal nerve injury after the aforementioned procedures. Twelve institutions participated in the analysis. They also contributed the total number of each procedure performed at their respective institutions for statistical purposes.
Results:
Of the 1337 patients who underwent left pulmonary artery stent placement, six patients (0.45%) had confirmed vocal cord paralysis. 4001 patients underwent patent ductus arteriosus device closure, and two patients (0.05%) developed left vocal cord paralysis. Patients who underwent both left pulmonary artery stent placement and patent ductus arteriosus device closure had the highest incidence of vocal cord paralysis which occurred in 4 of the 26 patients (15.4%). Overall, 92% of affected patients in our study population had resolution of symptoms.
Conclusion:
Recurrent laryngeal nerve injury is a rare complication of left pulmonary artery stent placement or patent ductus arteriosus device closure. However, the incidence is highest in patients undergoing both procedures either consecutively or simultaneously. Additional research is necessary to determine contributing factors that might reduce the risk of recurrent laryngeal nerve injury.
Emerging evidence has suggested that mushrooms, which are a rich source of the potent antioxidants ergothioneine and glutathione as well as vitamin D, may have neuroprotective properties. This study investigated the association between mushroom consumption and cognitive performance in a nationally representative sample of US older adults. We analysed data from older adults aged ≥ 60 years from the 2011–2014 National Health and Nutrition Examination Survey. Mushroom intake was measured using up to two 24-h dietary recalls and was categorised into three groups (lowest, middle and highest). Cognitive function tests included the Animal Fluency (AF) Test; Consortium to Establish a Registry for Alzheimer’s Disease Delayed Recall (CERAD-DR) and Word Learning (CERAD-WL); and Digit Symbol Substitution Test (DSST). Multivariable linear regression models were developed, adjusting for socio-demographics, major lifestyle factors, self-reported chronic diseases and dietary factors, including the Healthy Eating Index-2015 score and total energy. The study included 2840 participants. Compared with the lowest category of mushroom intake, participants in the highest category (median intake = 13·4 g /4184 KJ (1000 kcal)/d) had higher scores for DSST (β = 3·87; 95 % CI 0·30, 7·45; P for trend = 0·03) and CERAD-WL (β = 1·05; 95 % CI 0·0003, 2·10; P for trend = 0·04). Similar non-significant trends were observed for AF (β = 0·24; 95 % CI −2·26, 2·73; P for trend = 0·92) but not for the CERAD-DR. Greater mushroom intake was associated with certain cognitive performance tests, suggesting regular mushroom consumption may reduce the risk of cognitive decline.
Cloransulam-methyl applied postemergence (POST) following various preplant-incorporated (PPI) herbicides was evaluated in four experiments for weed control in North Carolina soybean over a 2-yr period at three locations. Acifluorfen plus bentazon or chlorimuron alone applied POST injured soybean more than cloransulam-methyl when following any soil-applied herbicide. When following trifluralin PPI, cloransulam-methyl controlled common ragweed, entireleaf morningglory, and pitted morningglory comparable to acifluorfen plus bentazon or chlorimuron. Common lambsquarters and prickly sida control was higher when acifluorfen plus bentazon was applied POST following trifluralin PPI compared to trifluralin PPI followed by cloransulam-methyl or chlorimuron. Acifluorfen plus bentazon or chlorimuron POST controlled yellow nutsedge and smooth pigweed more than cloransulam-methyl POST when following trifluralin PPI. When trifluralin was applied PPI in mixtures with chlorimuron plus metribuzin, flumetsulam, or imazaquin, control of most species was similar regardless of POST treatment used. Soybean treated with cloransulam-methyl yielded 250 kg/ha more than treatments with chlorimuron when these herbicides followed trifluralin plus flumetsulam or trifluralin plus imazaquin. Net returns with different herbicide systems followed trends similar to soybean yield.
Field studies were conducted at five locations in North Carolina and Virginia during 1996 and 1997 to evaluate weed control, peanut (Arachis hypogaea) response, and peanut yield following diclosulam applied preplant incorporated (PPI) and in systems with commercial herbicide standards. All plots received a PPI treatment of ethalfluralin at 840 g ai/ha. Ethalfluralin plus diclosulam controlled entireleaf morningglory (Ipomoea hederacea var. integriuscula), ivyleaf morningglory (I. hederacea), pitted morningglory (I. lacunosa), common lambsquarters (Chenopodium album), eclipta (Eclipta prostrata), and prickly sida (Sida spinosa) as well as and frequently better than ethalfluralin PPI followed by (fb) acifluorfen plus bentazon postemergence (POST), paraquat plus bentazon early postemergence (EPOST) fb imazapic POST, or imazapic POST. Systems with ethalfluralin plus diclosulam PPI at 26 g ai/ha fb acifluorfen plus bentazon POST controlled a broader spectrum of weeds and yielded greater than systems of ethalfluralin PPI fb imazapic POST or ethalfluralin PPI fb acifluorfen plus bentazon POST. Peanut exhibited excellent tolerance to diclosulam PPI at 17, 26, or 35 g/ha.
Field studies were conducted at five locations in North Carolina and Virginia in 1996 and 1997 to evaluate weed control and peanut (Arachis hypogaea) response to diclosulam that was applied preemergence (PRE) and in systems with commercial standards. All plots received a preplant incorporated (PPI) treatment of ethalfluralin at 840 g ai/ha. Diclosulam controlled common lambsquarters (Chenopodium album L.), eclipta (Eclipta prostrata L.), entireleaf morningglory (Ipomoea hederacea var. integriuscula Gray), ivyleaf morningglory [Ipomoea hederacea (L.) Jacq.], pitted morningglory (Ipomoea lacunosa L.), and prickly sida (Sida spinosa L.) as well as and frequently better than the commercial standards of acifluorfen plus bentazon applied postemergence (POST), paraquat plus bentazon early POST followed by (fb) imazapic POST, or imazapic POST. Systems with ethalfluralin PPI plus diclosulam PRE at 26 g ai/ha fb acifluorfen plus bentazon POST controlled a broader spectrum of weeds and yielded greater than systems of ethalfluralin PPI fb imazapic POST or ethalfluralin PPI fb acifluorfen plus bentazon POST. Peanut exhibited excellent tolerance to diclosulam PRE at 17, 26, or 35 g/ha.
Greenhouse experiments were conducted to evaluate seedling rice tolerance to haloxyfop and to determine soil moisture effects on root, shoot, and root plus shoot uptake. Visible injury to rice at 4 wk after treatment increased with each increase of haloxyfop rate from 40 to 160 g ai/ha, regardless of growth stage. Less injury was observed at equivalent rates in four-leaf than in younger rice. Similarly, equivalent haloxyfop rates reduced shoot fresh weight of one- to three-leaf rice more than shoot fresh weight of four-leaf rice. There was no interation between soil moisture levels (19 and 24%) and haloxyfop activity. Fresh weights were less when haloxyfop at 40 or 80 g/ha was absorbed by both roots and shoots than when absorption was by either roots or shoots alone. However, at 80 g/ha fresh weight was similar whether haloxyfop was absorbed by roots or shoots alone. Root uptake, in the presence of 160 g/ha haloxyfop, did not contribute to reduced fresh weight with root plus shoot treatments because of the initial foliar activity incurred.
Field studies were conducted in 1996 and 1997 to evaluate response of eight peanut cultivars to diclosulam applied preplant incorporated at 36 g ai/ha in a weed-free environment. Peanut cultivars evaluated included ‘NC 12C’, ‘NC 7’, ‘VAC 92R’, ‘NC-V 11’, ‘NC 10C’, ‘AT VC 1’,‘NC 9’, and the experimental breeding line N90010E. Visible injury 3 wk after planting was less than 5% regardless of cultivar. No injury was observed at 21 d after planting. Diclosulam did not influence the incidence of early leaf spot, late leaf spot, southern stem rot, cylindrocladium black rot, or tomato spotted wilt virus. Diclosulam did not affect percentage of extra large kernels, sound mature kernels, other kernels, and yield.
A specially constructed fence was developed to exclude cabbage flies, Delia radicum (L.), from plantings of rutabaga. The number of first-flight female D. radicum caught on traps inside fenced enclosures declined linearly with fence height from 0 to 90 cm. Females caught in plots surrounded by a 90 cm high fence were 80.6 and 82.8% fewer than in open check plots in 1991 and 1992, respectively. The percentage of transplanted rutabagas killed by cabbage maggot in the 90 cm high enclosures was 1.4% in 1991 and 25.5% in 1992, compared with 11.8 and 84.5% in the open check plots, respectively. The mean damage index rating for rutabagas was severe in the open check plots but slight in the 90 cm high enclosures in 1991. Only 1.2% of rutabagas in the open check plots would have been of marketable grade in 1991, compared with 54% in the 90-cm enclosures. The mean damage rating was highest in the open check plots in 1992, but damage was also severe in all fenced plots due to the heavy infestation levels that year. The potential of exclusion fences for use in pest-management programs for rutabagas and other brassica crops is discussed.
The UBC Twin Project is an on-going study of personality and personality disorder that has collected personality data on approximately 1000 adult volunteer twin pairs. The primary purpose of the study is to develop and validate measures of the major forms of personality disorder as a quantitative alternative to the classificatory system first proposed by the DSM-III using the standard methods of personality and behavioural genetics research. To date, the study has explored the univariate and multivariate relationships between the major personality and personality disorder inventories, and their relationships to other psychopathologies including the mood and anxiety disorders and key psychological variables, such as cognitive ability, attachment and attitudes. The results have several implications for personality and personality disorders, most notably a rationalized diagnostic/nosological system to enhanced measurement instruments that index and reflect the influence of specific genetic and environmental influences.
Results are presented for modeling the growth of TiO2 on the rutile (110) surface. We illustrate how long time scale dynamics techniques can be used to model thin film growth at realistic growth rates. The system evolution between deposition events is achieved through an on-the-fly Kinetic Monte Carlo method, which finds diffusion pathways and barriers without prior knowledge of transitions. We examine effects of various experimental parameters, such as substrate bias, plasma density, and stoichiometry of the deposited species. Growth of TiO2 via three deposition methods has been investigated: evaporation (thermal and electron beam), ion-beam assist, and reactive magnetron sputtering. We conclude that the evaporation process produces a void filled, incomplete structure even with the low-energy ion-beam assist, but that the sputtering process produces crystalline growth. The energy of the deposition method plays an important role in the film quality.
Fertility in animals reflects access to scarce resources, such as food and territory. In humans the situation is more complex. Patterns of breast feeding, contraception and ideas about age at marriage and desired family size all affect fertility. The relation between these and access to scarce resources such as housing and employment, via income, education and other factors that affect status, is explored. In this book, the gap between socio-ecology and population demography is bridged, by showing how animals and humans adjust their fertility to environmental conditions.
Do threats of pharmaceutical price regulation affect subsequent research and development (R&D) spending? This study uses the Clinton administration’s Health Security Act (HSA) of 1993 as a natural experiment to study this issue. We link events surrounding the HSA to pharmaceutical stock price changes and then examine the cross-sectional relation between firms’ stock price changes and their subsequent unexpected R&D spending changes. Results show that the HSA had significant negative effects on stock prices and firm-level R&D spending. Conservatively, the HSA reduced R&D spending by about $1 billion even though it never became law.
There is a great deal of misinformation surrounding the economics of pharmaceutical importation and price regulation. Among economists, the principles governing the relationships between prices, innovation, and pharmaceutical research and development (R&D) investment are incontrovertible. Unfortunately, faulty, non-economic analyses abound on these fundamental relationships, reinforcing economic illiteracy and leading to unfounded U.S. public policy.
Effective public policy debate requires that all parties to the debate be informed and aware of the potential costs and benefits associated with new policies, or changes in existing policies. This has not yet occurred for pharmaceutical importation and price regulation policy. Therefore, the purpose of this paper is to provide a positive (in contrast to a normative) economic analysis of pharmaceutical importation and price regulation.
We developed criteria for justifiable CVC use and evaluated CVC use in a public hospital. Unjustified CVC-days were more common for non-ICU patients compared with ICU patients. Also, insertion-site dressings were less likely to be intact on non-ICU patients. Interventions to reduce CVC-associated bloodstream infections should include non-ICU patients.
Since the time of Sir Francis Galton and throughout the 20th century, numerous researchers interested in human intelligence have attempted to identify its biological bases. Some of these attempts have seemed promising at first but have either failed to replicate or have not been pursued for one reason or another; others have yielded a more consistent and reliable pattern of results.
In this chapter, four approaches to the investigation of biological correlates of intelligence are described covering (1) anatomical or structural head size and brain volume estimates, (2) psychophysiological event-related potentials, (3) nerve conduction velocity, and (4) cerebral glucose metabolic rates. These are not the only approaches that have been taken to investigate the biology of intelligence, but their description should suffice to give an introduction to the area; coverage of such additional topics as biochemical factors and molecular genetic studies of quantitative trait loci may be found in Vernon (1993a, 1997).
One of the most interesting findings from studies in these areas is the extent to which completely noncognitive measures correlate with performance on complex problem-solving and intelligence tests. Offsetting these encouraging empirical results, however, has been a relative dearth of sound theory development. A substantial amount is currently known about which biological and physiological measures and mechanisms correlate with intelligence, but the functional significance of many of these correlations largely remains unclear. One of the central challenges for scientists who pursue the search for the biological bases of human intelligence will be to integrate their findings into a cohesive explanatory framework that goes beyond the correlational and incorporates causational and theoretically compelling substance.
Forty-three years later these words still ring true, but are too seldom followed (Fedick 1996). For several years, we have been engaged in a multidisciplinary programme of research in northwestern Belize and neighbouring areas of Guatemala, eliciting a comprehensive, integrated picture of changing ancient Maya landscapes (Scarborough & Dunning 1996; Valdez et al. 1997). Our goals include a reconstructive correlation of environmental and cultural history, including the relationship between changes in water and land management and political economic organization. This work is still in progress and our understanding is far from complete (Dunning & Scarborough 1997).