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Termination of an existing failed corn stand before replanting is essential. Two studies were conducted in Stoneville and Verona, MS, from 2020 to 2021 to evaluate timing of corn or soybean replanting following different herbicide treatments applied to simulated failed stands of corn. Treatments included paraquat alone at 841 g ai ha−1, paraquat at 841 g ha−1 + metribuzin at 211 g ai ha−1, and clethodim at 51 g ai ha−1 + glyphosate at 1,121 g ae ha−1 applied at the V2 growth stage. Replant timings were 1 and 7 d after herbicide treatment (DAT). Pooled across replant timings, paraquat + metribuzin provided the greatest control 3 DAT compared with other treatments in both studies. At 14 and 21 DAT, clethodim + glyphosate controlled more corn than did paraquat + metribuzin and paraquat alone. Control of a simulated failed corn stand with paraquat alone never exceeded 50% at 3 to 21 DAT. Soybean yield in all plots receiving herbicide treatment targeting simulated failed corn stands were similar and ≥2,150 kg ha−1. When applied at the V2 corn growth stage, both clethodim + glyphosate and paraquat + metribuzin controlled a simulated failed stand of corn. This study demonstrated the importance of terminating failed stands of corn before replanting because of dramatic reductions in yield in the plots not treated with herbicide.
Florpyrauxifen-benzyl is a postemergence rice herbicide that has reduced rice yield in some situations, and producers are concerned that the impact could be even greater with low rice seeding densities. Therefore, research was conducted in Stoneville, MS, from 2019 to 2021, to evaluate the effect of florpyrauxifen-benzyl on rice yield when a hybrid was seeded at reduced densities. Rice cultivar FullPage RT 7521 FP was seeded at 10, 17, 24, 30, and 37 kg ha−1. At the 4-leaf to 1-tiller growth stage, florpyrauxifen-benzyl was applied at 0 or 58 g ai ha−1. Rice injury following application of florpyrauxifen-benzyl was ≤8% across all seeding rates and evaluation intervals. Application of florpyrauxifen-benzyl reduced plant heights by 14% to all seeding rates but did not result in delayed rice maturity. When florpyrauxifen-benzyl was not applied to rice that was seeded at 10 and 17 kg ha−1 seeding rates, rice matured slower than when it was seeded at 24, 30, and 37 kg ha−1. When florpyrauxifen-benzyl was applied, rough rice grain yields were reduced by at the 17 and 37 kg ha−1 seeding rates, but not at any other seeding rate. In conclusion, application of florpyrauxifen-benzyl at a 2× rate can cause a loss of yield resulting from variation in rice densities.
Cannabis use severely affects the outcome of people with psychotic disorders, yet there is a lack of treatments. To address this, in 2019 the National Health Service (NHS) Cannabis Clinic for Psychosis (CCP) was developed to support adults suffering from psychosis to reduce and/or stop their cannabis use.
Aims
Examine outcome data from the first 46 individuals to complete the CCP's intervention.
Method
The sample (N = 46) consisted of adults (aged ≥ 18) with psychosis under the care of the South London and Maudsley NHS Foundation Trust, referred to the CCP between January 2020 and February 2023, who completed their intervention by September 2023. Clinical and functional measures were collected before (T0) and after (T1) the CCP intervention (one-to-one sessions and peer group attendance). Primary outcomes were changes in the Cannabis Use Disorders Identification Test-Revised (CUDIT-R) score and pattern of cannabis use. Secondary outcomes included T0–T1 changes in measures of delusions, paranoia, depression, anxiety and functioning.
Results
A reduction in the mean CUDIT-R score was observed between T0 (mean difference = 17.10, 95% CI = 15.54–18.67) and T1, with 73.91% of participants achieving abstinence and 26.09% reducing the frequency and potency of their use. Significant improvements in all clinical and functional outcomes were observed, with 90.70% being in work or education at T1 compared with 8.70% at T0. The variance in CUDIT-R scores explained between 34 and 64% of the variance in our secondary measures.
Conclusions
The CCP intervention is a feasible strategy to support cannabis use cessation/reduction and improve clinical and functional outcomes of people with psychotic disorders.
Barnyardgrass and other troublesome weeds have become a major problem for producers in a flooded rice system. Cultural control options and more efficient herbicide applications have become a priority to increase efficiency and weed control in rice. This study aimed to determine the effects of row width and nozzle selection on spray coverage and weed control in a flooded rice system. A field experiment was conducted at 7 site-years (Lonoke, AR, in 2021 and 2022; Pine Tree, AR, in 2021 and 2022; Rohwer, AR, in 2022; and Stoneville, MS, in 2021 and 2022) as a randomized complete block split-plot design. Five nozzles (XR, AIXR, TTI, TTI60, and AITTJ60) (subplot factor) were used for herbicide applications, and plots were drill-seeded in four row widths (whole plot factor) (13, 19, 25, and 38 cm). A droplet size experiment was conducted to evaluate the droplet size and velocity of each nozzle type used in the field experiment. Overall, as row width increased, barnyardgrass density increased. The rice grown in a wider width took longer to generate canopy closure, allowing weed escapes in the crop. For example, the 13-cm width had a 12 percentage point canopy coverage increase compared to the 38-cm row width at the preflood timing resulting in a reduction of six barnyardgrass plants per square meter. The smallest droplet size-producing nozzle (XR) provided greater weed control throughout the study but is more prone to drift. The dual-fan nozzles (AITTJ60 and TTI60) had variable weed control impacts, and it was difficult to predict when this might occur; however, they did have increased deposits on water-sensitive cards compared to single-fan counterparts (AIXR and TTI). In conclusion, a narrower row width (e.g., 19-cm or less) and a smaller droplet size producing nozzle (XR) are optimal for barnyardgrass control in a flooded rice system.
Florpyrauxifen-benzyl was commercialized in 2018 to target barnyardgrass and aquatic or broadleaf weeds. Field studies were conducted from 2019 to 2021 in Stoneville, MS, to evaluate barnyardgrass control following a simulated failure of florpyrauxifen-benzyl or other common postemergence rice herbicides. In the first field study, florpyrauxifen-benzyl was applied at 0 and 15 g ai ha–1 to rice at the two- to three-leaf stage to simulate a failed application targeting barnyardgrass. Sequential herbicide treatments included no herbicide and full rates of imazethapyr, quinclorac, bispyribac-Na, and cyhalofop applied 7 or 14 d after florpyrauxifen-benzyl treatment. The second field study was designed to evaluate barnyardgrass control with florpyrauxifen-benzyl following simulated failure of postemergence rice herbicides. Initial herbicide treatments included no herbicide and half rates of imazethapyr, quinclorac, bispyribac-Na, and propanil. Sequential applications at 7 or 14 d after the initial herbicide treatments included florpyrauxifen-benzyl at 0 and 30 g ai ha–1. Results from the first study indicated barnyardgrass control 21 d after final treatment (DAFT) was greater with sequential treatments at 7 compared with 14 d after initial treatment (DA-I) with no initial application of florpyrauxifen-benzyl. Therefore, delaying sequential treatments until 14 d after initial florpyrauxifen-benzyl at 15 g ha–1 allowed barnyardgrass to become too large to control with other rice herbicides. Rough rice yield was reduced in plots where quinclorac application was delayed from 7 to 14 DA-I with no initial application of florpyrauxifen-benzyl. The second study suggested that florpyrauxifen-benzyl application should be delayed 14 d after a herbicide failure. Although no differences in barnyardgrass control 21 DAFT were detected whether florpyrauxifen-benzyl was applied 7 or 14 DA-I of any herbicide utilized, >85% control was only achieved when florpyrauxifen-benzyl application was delayed 14 DA-I. These results demonstrate barnyardgrass control options following simulated failed applications of common rice herbicides.
Sleep problems are common amongst children and adolescents with attention deficit hyperactivity disorder (ADHD). The purpose of this study was to investigate sleep problems in children and adolescents attending a specialist ADHD service.
Methods:
This was a cross-sectional online survey combined with a retrospective chart review, conducted in the ADHD Assessment, Diagnosis, Management, initiation, Research and Education (ADMiRE) service, the first public specialist ADHD service for young people in Ireland. Participants were caregivers of children and adolescents with ADHD attending ADMiRE. Sleep was assessed using The Children’s Sleep Habits Questionnaire (CSHQ) and ADHD symptoms were assessed using an abbreviated version of the Swanson, Nolan and Pelham Teacher and Parent Rating Scale (SNAP-IV). Details regarding patient demographics, co-morbidities and medication were collected from patient records.
Results:
Eighty-four percent of young people scored above the clinical cut-off for a sleep disorder. The most frequently reported sleep problems were related to sleep onset and sleep duration, and 64% of respondents met the criteria for two or more sleep problems. ADHD severity was associated with greater sleep problems. Co-morbid physical, neurodevelopmental, and mental health disorders as well as stimulant use were not associated with greater sleep problems.
Conclusion:
Sleep problems are very common amongst children and adolescents with ADHD. This study has demonstrated an association between more sleep problems and ADHD severity. These findings highlight the need for both effective ADHD treatment to ensure optional sleep in young people as well as effective interventions for sleep problems to prevent worsening of ADHD symptoms.
The island of Unst has a large number of recorded longhouses of apparently Viking or Norse date (Dyer et al. 2013). Unst is unique in that sites like this are found in a density and state of preservation unseen elsewhere in Britain, and it was this that led Shetland Amenity Trust to propose the ‘Viking Unst Project’ to investigate some of these sites and display them as a means of encouraging archaeological tourism to the island (Turner et al. 2013). In research terms, the unusual nature of the Unst settlement pattern demanded investigation. Previous survey and excavation (for example, Stumman-Hansen 1995, 2000) had suggested the sites were largely single-period with no evidence of earlier occupation. Many are on or above the 30m contour, which at this northern extremity of the British Isles today makes for environmentally precarious conditions. Just 20m above the site of Hamar House 2, for example, is the Keen of Hamar, where solifluction stripes caused by freeze-thaw action, and subarctic plant species, can be seen.
A settlement pattern of Viking-period farms with no pre-Viking activity, such as the Unst data suggested, is largely absent elsewhere in the Northern Isles, where Norse settlement is usually identified as a phase within multi-period sites located on good agricultural land (Dockrill and Bond, this volume). These deeply stratified sites, such as Jarlshof and Old Scatness in southern Shetland, often represent several millennia of occupation, of which the Viking-Age/Late Norse periods are late in the sequence (Hamilton 1956; Dockrill et al. 2010).
The main aim of the excavations at Hamar and Underhoull was to investigate this unusual settlement pattern, to test the presumed date of the houses and the theory that they were single-period settlements. Hamar was chosen as one of the sites because previous investigation had suggested it was early in date (Stummann-Hansen 2000) and it appeared remarkably well preserved with defined wall lines. Upper House, Underhoull, with its proximity to both Underhoull broch and Small’s excavations at the Norse site nearby, seemed likely to increase our understanding of the settlement pattern there (Small 1966).
Hamar
The site of Hamar consists of two single longhouses on the south-facing slope below the Keen of Hamar above Baltasound, Unst (Figure 6.1).
Research at two multi-period settlement mounds, Old Scatness (Shetland; Dockrill et al. 2010) and Swandro (Rousay, Orkney; ongoing, Bond and Dockrill 2016), suggests that many first-generation Scandinavian settlements occur at pre-existing Pictish settlements and associated landscapes. Both sites have settlement biographies that provide evidence for long sequences spanning the Early Iron Age to the Norse period, including evidence for landnam, or first settlement. Settlement on existing Pictish ‘estates’ (highstatus settlements with associated agricultural land, often originating in the Iron Age or earlier) would provide access to both maritime and agricultural resources, and it is suggested that ‘estate taking’ may have been a means of procuring key locations.
The term landnam is used in several ways in archaeology; Cleasby in his Icelandic–English dictionary defined it as ‘taking possession of land as settler, settlement’ (Cleasby and Vigfusson 1874), while Danish palynologist Iversen used it in the 1940s to describe features in pollen diagrams which he thought indicated clearance of the landscape by incoming Neolithic farmers, and it is still used in this sense (Iversen 1941). In North Atlantic archaeology it is often used in the context of settlement of a presumed empty landscape by the Norse in Iceland or the Faroe Islands. Here we use it in preference to the more loaded term ‘colonisation’ to indicate initial Norse settlement.
Old Scatness, Shetland
The site of Old Scatness formed a focus of archaeological research in Shetland, with excavations taking place between 1995 and 2006 (Dockrill 2002; Dockrill et al. 2006, 2010). Old Scatness lies on the western coastline of Dunrossness, on the southern tip of Mainland Shetland. To the west is the Atlantic Ocean, and to the north-east, the natural harbour of the Pool of Virkie and the North Sea. The Old Red Sandstone sedimentary sequence is a continuation of the same geological sequence as Orkney and provides a fertile agricultural zone together with good building stone. A substantial Iron-Age village was built around an early broch, which formed the focal point of the settlement. The broch demonstrates a complex sequence of at least three main phases of use, the last of which extends into the Pictish period (Figure 2.1).
To illustrate that different approaches lead to different costs a cost calculation on four different welfare assessment systems for four different animal species has been carried out; an integrated pig herd (450 sows), a dairy cattle herd with automatic milking (90 cows), an organic egg production system (3000 layers) and a mink farm (1000 mink). We calculated the cost to be: €375 per annum for the mink farm and €2205, €2430 and €2435 for the egg production system, the AMS dairy herd and the integrated pig farm, respectively. The costs can be reduced by: reducing the number of indicators and/or the recording frequency, reducing sample sizes, more intensive use of existing data and by exchanging external for internal recordings.
A welfare indicator protocol integrating a total of 38 measures from 4 information sources: housing system, management, animal behaviour and clinical health has been developed for decision support in Automatic Milking System (AMS) herds. Two expert opinion studies focusing on the relevance of the welfare indicator protocol as basis for on-farm welfare assessment have been carried out; one study focused on the opinion of 21 AMS researchers; the other on that of 14 AMS production advisors and 15 veterinary practitioners. The researchers were asked to score the individual welfare relevance of the 38 measures. Furthermore, both the panels were asked to prioritise the 10 most important measures. The 21 researchers generally appreciated the listed protocol measures as highly relevant. The researcher and advisor panels agreed on prioritised measures from all 4 information sources among the 10 most important welfare indicators. In summary, researchers as well as production advisors and veterinarians supported the suggested measures for inclusion in a welfare assessment system. This has demonstrated that integration of different information is considered decisive for operational welfare assessment at herd level.
Most farm assurance schemes in the UK at least, in part, aim to provide assurances to consumers and retailers of compliance with welfare standards. Inclusion of welfare outcome assessments into the relevant inspection procedures provides a mechanism to improve animal welfare within assurance schemes. In this study, taking laying hens as an example, we describe a process for dealing with the practical difficulties in achieving this in two UK schemes; Freedom Food and Soil Association. The key challenges arise from selecting the most appropriate measures, defining sampling strategies that are feasible and robust, ensuring assessors can deliver a consistent evaluation and establishing a mechanism to achieve positive change. After a consultation exercise and pilot study, five measures (feather cover, cleanliness, aggressive behaviour, management of sick or injured birds, and beak trimming) were included within the inspection procedures of the schemes. The chosen sampling strategy of assessing 50 birds without handling provided reasonable certainty at a scheme level but less certainty at an individual farm level. Despite the inherent limitations within a time and cost sensitive certification assessment, the approach adopted does provide a foundation for welfare improvement by being able to highlight areas of concern requiring attention, enabling schemes to promote the use of outcome scoring as a management tool, promoting the dissemination of relevant technical information in a timely manner and increasing the scrutiny of standards important for the welfare of the birds.
From 2016–2019, dry bulb onions were the suspected cause of three multistate outbreaks in the United States. We investigated a large multistate outbreak of Salmonella Newport infections that caused illnesses in both the United States and Canada in 2020. Epidemiologic, laboratory and traceback investigations were conducted to determine the source of the infections, and data were shared among U.S. and Canadian public health officials. We identified 1127 U.S. illnesses from 48 states with illness onset dates ranging from 19 June to 11 September 2020. Sixty-six per cent of ill people reported consuming red onions in the week before illness onset. Thirty-five illness sub-clusters were identified during the investigation and seventy-four per cent of sub-clusters served red onions to customers during the exposure period. Traceback for the source of onions in illness sub-clusters identified a common onion grower in Bakersfield, CA as the source of red onions, and onions were recalled at this time. Although other strains of Salmonella Newport were identified in environmental samples collected at the Bakersfield, CA grower, extensive environmental and product testing did not yield the outbreak strain. This was the third largest U.S. foodborne Salmonella outbreak in the last 30 years. It is the first U.S. multistate outbreak with a confirmed link to dry bulb onions, and it was nearly 10-fold larger than prior outbreaks with a suspected link to onions. This outbreak is notable for its size and scope, as well as the international data sharing that led to implication of red onions as the primary cause of the outbreak. Although an environmental assessment at the grower identified several factors that likely contributed to the outbreak, no main reason was identified. The expedient identification of the outbreak vehicle and response of multiple public health agencies allowed for recall and removal of product from the marketplace, and rapid messaging to both the public and industry on actions to protect consumers; these features contributed to a decrease in cases and expeditious conclusion of the outbreak.
This study used publicly available Form 990 tax documents to quantify food industry donations to patient advocacy organisations (PAO) dedicated to supporting patients with non-communicable diseases.
Design:
Observational, cross-sectional assessment of significant national and international food industry donations to US-based non-communicable disease-focussed PAO between 2000 and 2018. Researchers recorded and categorised the: (1) frequency and value of donations; (2) reason for donation; (3) name and type of PAO recipient and (4) non-communicable disease focus of the PAO.
Setting:
Form 990 tax documents.
Participants:
Nine food and beverage companies that donated to non-communicable disease-focussed PAO.
Results:
Adjusting for inflation, nine food and beverage companies collectively donated $10 672 093 (n 2709) to the PAO between 2001 and 2018. The largest category of donations was ‘matching gifts’ (67·9 %, median amount = $115·16), followed by ‘general operations support’ (25·8 %, median amount = $107·79). Organisations focussing on cancer received the largest number and amount of donations ($6 265 861, n 1968). Eight of the nine companies made their largest monetary value of donation to PAO focussed on cancer.
Conclusions:
Publicly available tax data provide robust information on food industry donation practices. Our findings document the food industry’s role in supporting patient advocacy organisations and raise questions regarding conflicts of interest. Increased awareness of food industry donation practices involving PAO may generate pressure for policies mandating transparency or encourage donors and recipients to voluntarily disclose donations. If public disclosure becomes widespread, constituents, advocates, researchers and policymakers can better supervise and address potential conflicts of interest.
One of the longstanding debates in life-course epidemiology is whether an adverse intrauterine environment, often proxied by birth weight, causally increases the future risk of cardiometabolic disease. The use of a discordant twin study design, which controls for the influence of shared genetic and environmental confounding factors, may be useful to investigate whether this relationship is causal. We conducted a discordant twin study of 120 monozygotic (MZ) and 148 dizygotic (DZ) twin pairs from the UK Biobank to explore the potential causal relationships between birth weight and a broad spectrum of later-life cardiometabolic risk factors. We used a linear mixed model to investigate the association between birth weight and later-life cardiometabolic risk factors for twins, allowing for both within-pair differences and between-pair differences in birth weight. Of primary interest is the within-pair association between differences in birth weight and cardiometabolic risk factors, which could reflect an intrauterine effect on later-life risk factors. We found no strong evidence of association in MZ twins between the within-pair differences in birth weight and most cardiometabolic risk factors in later life, except for nominal associations with C-reactive protein and insulin-like growth factor 1. However, these associations were not replicated in DZ twin pairs. Our study provided no strong evidence for intrauterine effects on later-life cardiometabolic risk factors, which is consistent with previous large-scale studies of singletons testing the potential causal relationship. It does not support the hypothesis that adverse intrauterine environments increase the risk of cardiometabolic disease in later life.
In many countries, people face problems regarding access to care, 24/7 support and evidence-based support. Digital interventions and services, such as chatbots, can be one option to tackle these challenges. There is a lack knowledge regarding how mental health chatbots are developed and how to ensure that there is collaboration between mental health and digital technology experts and users.
Objectives
This presentation describes the phases of the development for the ChatPal mental health and wellbeing chatbot.
Methods
Development process was conducted in five and with four different languages. First, using an electronic survey for mental health professionals (n =190) we screened how familiar they are with chatbots and how they evaluated their potential. Second, university students and staff, mental health professionals and service users (n=78) participated in workshops to design the chatbot content. Finally, the content and scripts of chatbot were written in multi-professional and multi-national collaboration.
Results
ChatPal is based on the PERMAH model of positive psychology and on the idea that we all have mental health which needs boosting and support from time to time. ChatPal includes relevant mental health information, exercises, mood diaries and simple monitoring and self-care tools. Based on preliminary evaluations, the ChatPal chatbot offers an option to offer support in areas where other mental health services are lacking or are insufficient.
Conclusions
ChatPal is already freely available in application stores and first scientific trials are have started. Preliminary results of 4-week and subsequent 12-week in-the-wild trials will be in place at the time of EPA 2022 conference.
Digital mental health interventions, such as chatbots that promote mental health and wellbeing are a promising way to deliver low-threshold support 24/7 for those in need. According to current knowledge about the topic, health care professionals should participate in the design and development processes for digital interventions.
Objectives
The aim of this presentation is to describe the interdisciplinary content development process of the ChatPal chatbot.
Methods
The content development process started in co-operation with mental health professionals and potential users to identify requirements. Content was created, evaluated and tested in international, multi-disciplinary group workshops, and online tools were used to allow the collaboration. Initial conversational scripts were drafted in English, and translated into Finnish, Swedish and Scottish Gaelic.
Results
A multilingual chatbot was developed and the conversation scripts were structured and stored using a spreadsheet. The conversation scripts will be made freely available online in due course using this structured approach to formatting chatbot dialogue content. It will allow repurposing the content as well as facilitating studies that wish to assess the design of conversation scripts for mental health chatbots. Conversation design process also highlighted some challenges in turning empathetic and supportive conversations to short utterances suitable for a chatbot.
Conclusions
The ChatPal chatbot is now available in four languages. As literature about the topic is still scarce, it is important to describe and document the content development processes of mental health chatbots. Future work will develop a conversational UX toolkit that would allow health professionals to design chatbot scripts using design guidelines.
To determine potentially modifiable risk factors for a complicated Glenn procedure (cGP) and whether a cGP predicted adverse neurodevelopmental and functional outcomes. A cGP was defined as post-operative death, heart transplant, extracorporeal life support, Glenn takedown, or prolonged ventilation.
Methods:
All 169 patients having a Glenn procedure from 2012 to 2017 were included. Neurodevelopmental assessments were performed at age 2 years in consenting survivors (n = 156/159 survivors). The Bayley Scales of Infant and Toddler Development-3rd Edition (Bayley-III) and the Adaptive Behavior Assessment System-2nd Edition (ABAS-II) were administered. Adaptive functional outcomes were determined by the General Adaptive Composite (GAC) score from the ABAS-II. Predictors of outcomes were determined using univariate and multiple variable linear or Cox regressions.
Results:
Of patients who had a Glenn procedure, 10/169 (6%) died by 2 years of age and 27/169 (16%) had a cGP. Variables statistically significantly associated with a cGP were the inotrope score on post-operative day 1 (HR 1.04, 95%CI 1.01, 1.06; p = 0.010) and use of inhaled nitric oxide post-operatively (HR 7.31, 95%CI 3.19, 16.76; p < 0.001). A cGP was independently statistically significantly associated with adverse Bayley-III Cognitive (ES −10.60, 95%CI −17.09, −4.11; p = 0.002) and Language (ES −11.43, 95%CI −19.25, −3.60; p = 0.004) scores and adverse GAC score (ES −14.89, 95%CI −22.86, −6.92; p < 0.001).
Conclusions:
Higher inotrope score and inhaled nitric oxide used post-operatively were associated with a cGP. A cGP was independently associated with adverse 2-year neurodevelopmental and functional outcomes. Whether early recognition and intervention for risk of a cGP can prevent adverse outcomes warrants study.
The Great Black-backed Gull Larus marinus is a generalist species that inhabits temperate and arctic coasts of the north Atlantic Ocean. In recent years, there has been growing concern about population declines at local and regional scales; however, there has been no attempt to robustly assess Great Black-backed Gull population trends across its global range. We obtained the most recent population counts across the species’ range and analysed population trends at a global, continental, and national scale over the most recent three-generation period (1985–2021) following IUCN Red List criteria. We found that, globally, the species has declined by 43%–48% over this period (1.2–1.3% per annum, respectively), from an estimated 291,000 breeding pairs to 152,000–165,000 breeding pairs under two different scenarios. North American populations declined more steeply than European ones (68% and 28%, respectively). We recommend that Great Black-backed Gull should be uplisted from ‘Least Concern’ to ‘Vulnerable’ on the IUCN Red List of Threatened Species under criterion A2 (an estimated reduction in population size >30% over three generations).
Influenza virus infections can lead to a number of secondary complications, including sepsis. We applied linear regression models to mortality and hospital admission data coded for septicaemia from 1998 to 2019 in Hong Kong, and estimated that septicaemia was associated with an annual average excess mortality rate of 0.23 (95% CI 0.04–0.40) per 100 000 persons per year and an excess septicaemia hospitalisation rate of 1.73 (95% CI 0.94–2.50) per 100 000 persons per year. The highest excess morbidity and mortality was found in older adults and young children, and during influenza A(H3N2) epidemics.
A field study was conducted twice in Elizabeth, MS, at on-farm sites in 2010–11 and 2011–12, and twice in 2012–13 at Mississippi State University’s Delta Research and Extension Center in Stoneville, MS, to evaluate glyphosate-resistant (GR) Italian ryegrass control and crop response to fall treatments followed by postemergence herbicide treatments in winter and/or spring. Italian ryegrass was controlled ≥92% and 61% following S-metolachlor and tillage 77 d after fall treatments (DA-FT), respectively. S-metolachlor fall treatment provided 33% greater control than clethodim winter treatment at 21 d after winter treatments (DA-WT). Tillage fall treatment followed by (fb) clethodim winter treatment fb paraquat spring treatment provided similar control (93%) to treatments containing S-metolachlor fall treatment fb a winter or spring herbicide treatment (≥93%) 24 d after spring treatments (DA-ST). Greatest soybean and corn density and yield were also observed following programs containing S-metolachlor fall treatment. Sequential postemergence herbicide treatments were not required to increase corn and soybean density and yield when S-metolachlor was used as a fall treatment. Growers have the best opportunity to maximize GR Italian ryegrass control when S-metolachlor fb a winter or spring herbicide treatment is used.