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Rib bone biopsy samples are often used to estimate changes in skeletal mineral reserves in cattle but differences in sampling procedures and the bone measurements reported often make interpretation and comparisons among experiments difficult. ‘Full-core’ rib bone biopsy samples, which included the external cortical bone, internal cortical bone and trabecular bone (CBext, CBint and Trab, respectively), were obtained from cattle known to be in phosphorus (P) adequate (Padeq) or severely P-deficient (Pdefic) status. Experiments 1 and 2 examined growing steers and Experiment 3 mature breeder cows. The thickness of cortical bone, specific gravity (SG), and the amount and concentration of ash and P per unit fresh bone volume, differed among CBext, CBint and Trab bone. P concentration (mg/cc) was closely correlated with both SG and ash concentrations (pooled data, r=0.99). Thickness of external cortical bone (CBText) was correlated with full-core P concentration (FC-Pconc) (pooled data, r=0.87). However, an index, the amount of P in CBext per unit surface area of CBext (PSACB; mg P/mm2), was more closely correlated with the FC-Pconc (pooled data, FC-Pconc=37.0+146×PSACB; n=42, r=0.94, RSD=7.7). Results for measured or estimated FC-Pconc in 10 published studies with cattle in various physiological states and expected to be Padeq or in various degrees of Pdefic status were collated and the ranges of FC-Pconc indicative of P adequacy and P deficiency for various classes of cattle were evaluated. FC-Pconc was generally in the range 130 to 170 and 100 to 120 mg/cc fresh bone in Padeq mature cows and young growing cattle, respectively. In conclusion, the FC-Pconc could be estimated accurately from biopsy samples of CBext. This allows comparisons between studies where full-core or only CBext biopsy samples of rib bone have been obtained to estimate changes in the skeletal P status of cattle and facilitates evaluation of the P status of cattle.
Coinfection with human immunodeficiency virus (HIV) and viral hepatitis is associated with high morbidity and mortality in the absence of clinical management, making identification of these cases crucial. We examined characteristics of HIV and viral hepatitis coinfections by using surveillance data from 15 US states and two cities. Each jurisdiction used an automated deterministic matching method to link surveillance data for persons with reported acute and chronic hepatitis B virus (HBV) or hepatitis C virus (HCV) infections, to persons reported with HIV infection. Of the 504 398 persons living with diagnosed HIV infection at the end of 2014, 2.0% were coinfected with HBV and 6.7% were coinfected with HCV. Of the 269 884 persons ever reported with HBV, 5.2% were reported with HIV. Of the 1 093 050 persons ever reported with HCV, 4.3% were reported with HIV. A greater proportion of persons coinfected with HIV and HBV were males and blacks/African Americans, compared with those with HIV monoinfection. Persons who inject drugs represented a greater proportion of those coinfected with HIV and HCV, compared with those with HIV monoinfection. Matching HIV and viral hepatitis surveillance data highlights epidemiological characteristics of persons coinfected and can be used to routinely monitor health status and guide state and national public health interventions.
Compulsory admission can be experienced as devaluing and stigmatising by people with mental illness. Emotional reactions to involuntary hospitalisation and stigma-related stress may affect recovery, but longitudinal data are lacking. We, therefore, examined the impact of stigma-related emotional reactions and stigma stress on recovery over a 2-year period.
Shame and self-contempt as emotional reactions to involuntary hospitalisation, stigma stress, self-stigma and empowerment, as well as recovery were assessed among 186 individuals with serious mental illness and a history of recent involuntary hospitalisation.
More shame, self-contempt and stigma stress at baseline were correlated with increased self-stigma and reduced empowerment after 1 year. More stigma stress at baseline was associated with poor recovery after 2 years. In a longitudinal path analysis more stigma stress at baseline predicted poorer recovery after 2 years, mediated by decreased empowerment after 1 year, controlling for age, gender, symptoms and recovery at baseline.
Stigma stress may have a lasting detrimental effect on recovery among people with mental illness and a history of involuntary hospitalisation. Anti-stigma interventions that reduce stigma stress and programs that enhance empowerment could improve recovery. Future research should test the effect of such interventions on recovery.
In New Zealand, crossbreeding is largely used by dairy farmers. Currently an important proportion of cows are crossbreds, mostly Holstein-Friesians (HF) x Jersey (JE). Crossbred bulls are currently being progeny tested in New Zealand. Actually, more than one third of the replacement dairy heifers are crossbred animals (Montgomerie, 2002). However currently available methods to model genetic contributions of purebreds to crossbreds take breed differences only partly into account and therefore do not permit an optimal use of crossbred data. The first objective of our study was to allow the modelling of different additive breeding values according to parental breeds to define overall additive breeding values as a function of breed composition.
The calving interval (CI) can potentially impact the economic results of dairy farms. This study highlighted the most profitable CI and innovated by describing this optimum as a function of the feeding system of the farm. On-farm data were used to represent real farm conditions. A total of 1832 accounts of farms recorded from 2007 to 2014 provided economic, technical and feeding information per herd and per year. A multiple correspondence analysis created four feeding groups: extensive, low intensive, intensive and very intensive herds. The gross margin and some of its components were corrected to account for the effect of factors external to the farm, such as the market, biological status, etc. Then the corrected gross margin (cGMc) and its components were modelled by CI parameters in each feeding system by use of GLM. The relationship between cGMc and the proportion of cows with CI<380 days in each feeding group showed that keeping most of the cows in the herd with CI near to 1 year was not profitable for most farms (for the very intensive farms there was no effect of the proportion). Moreover, a low proportion of cows (0% to 20%) with a near-to-1-year CI was not profitable for the extensive and low intensive farms. Extending the proportion of cows with CI beyond 459 days until 635 days (i.e. data limitation) caused no significant economic loss for the extensive and low intensive farms, but was not profitable for the intensive and very intensive farms. Variations of the milk and feeding components explained mainly these significant differences of gross margin. A link between the feeding system and persistency, perceptible in the milk production and CI shown by the herd, could explain the different relationships observed between the extent of CI and the economic results in the feeding groups. This herd-level study tended to show different economic optima of CI as a function of the feeding system. A cow-level study would specify these tendencies to give CI objectives to dairy breeders as a function of their farm characteristics.
There is a long-standing debate in the literature of stratified flows over topography concerning the correct dimensionless number to refer to as a Froude number. Common definitions using external quantities of the flow include
are, respectively, scales for the background velocity and buoyancy frequency,
is the depth, and
are, respectively, height and width scales of the topography. It is also possible to define an internal Froude number
are, respectively, the characteristic velocity, reduced gravity, and vertical length scale of the perturbation above the topography. For the case of hydrostatic lee waves in a deep ocean, both
are insignificantly small, rendering the dimensionless number
the only relevant dynamical parameter. However, although it appears to be an inverse Froude number, such an interpretation is incorrect. By non-dimensionalizing the stratified Euler equations describing the flow of an infinitely deep fluid over topography, we show that
is in fact the square of the internal Froude number because it can identically be written in terms of the inner variables,
. Our scaling also identifies
as the ratio of the vertical velocity scale within the lee wave to the group velocity of the lee wave, which we term the vertical Froude number,
. To encapsulate such behaviour, we suggest referring to
as the lee-wave Froude number,
Nioghalvfjerdsfjorden glacier is a >60 km long and 20 km wide floating outlet glacier located at 79°30’ N, 22° W, draining a large area of the northeast Greenland ice sheet. Climate, mass-balance and dynamics studies were carried out on the glacier in three field seasons in 1996, 1997 and 1998. As part of this work, tidal-movement observations were carried out by simultaneous differential global positioning system (GPS) measurements at several locations distributed on the glacier surface. The GPS observations were performed continuously over several tidal cycles. At the same time, tiltmeter measurements were carried out in the grounding zones along the glacier margins and upstream, where the glacier leaves the main ice sheet A tide gauge installed in the sea immediately in front of the glacier front recorded the tide in the open sea during the field seasons. The observations show that the main part of the glacier tongue responds as a freely floating plate to the phase and amplitude of the local tide in the sea. However, kilometre-wide flexure zones exist along the marginal and upstream grounding lines. Attempts to model the observed tidal deflection and tilt patterns in the flexure zone by elastic-beam theory are unsuccessful, in contrast to previous findings by other investigators. The strongest disagreement between our measurements and results derived from elastic-beam theory is a significant variation of the phase of the tidal records with distance from the grounding line (most clearly displayed by the tilt records). We suggest that the viscous properties of glacier ice must be taken into account, and consequently that a viscoelastic-beam model must be used to adequately describe tidal bending of floating glaciers.
In theoretical treatments of tidal bending of floating glaciers, the glacier is usually modelled as an elastic beam with uniform thickness, resting on an elastic foundation. With a few exceptions, values of the elastic (Young’s) modulus E of ice derived from tidal deflection records of floating glaciers are in the range 0.9–3 GPa. It has therefore been suggested that the elastic-beam model with a single value of E ≈ 1GPa adequately describes tidal bending of glaciers. In contrast, laboratory experiments with ice give E = 9.3 GPa, i.e. 3–10 times higher than the glacier-derived values. This suggests that ice creep may have a significant influence on tidal bending of glaciers. Moreover, detailed tidal-deflection and tilt data from Nioghalvfjerdsfjorden glacier, northeast Greenland, cannot be explained by elastic-beam theory. We present a theory of tidal bending of glaciers based on linear viscoelastic-beam theory. A four-element, linear viscoelastic model for glacier ice with a reasonable choice of model parameters can explain the observed tidal flexure data. Implications of the viscoelastic response of glaciers to tidal forcing are discussed briefly.
The ground-based research activity in the planetary field has increased very rapidly since the Prague meeting in 1967. The space probes into the atmosphere of Venus and the flybys of Mars have not only added directly to our knowledge of these planets but have stimulated further research.
Because of this rapid growth and the large expense which would be required to publish detailed descriptions of the very numerous research projects carried on in the last three years, this report will differ in important respects from the previous ones. Drs Levin, Pettengill, and McElroy have provided summaries of progress made in three important fields of planetary science, and Levin has also kindly contributed a summary of planetary research carried on in the U.S.S.R. since the Prague meeting. On behalf of its members, the President of Commission 16 gratefully acknowledges each of these important contributions.
Studies have produced conflicting evidence regarding whether cognitive
control deficits in patients with schizophrenia result from dysfunction
within the cognitive control network (CCN; top-down) and/or unisensory
To investigate CCN and sensory cortex involvement during multisensory
cognitive control in patients with schizophrenia.
Patients with schizophrenia and healthy controls underwent functional
magnetic resonance imaging while performing a multisensory Stroop task
involving auditory and visual distracters.
Patients with schizophrenia exhibited an overall pattern of response
slowing, and these behavioural deficits were associated with a pattern of
patient hyperactivation within auditory, sensorimotor and posterior
parietal cortex. In contrast, there were no group differences in
functional activation within prefrontal nodes of the CCN, with small
effect sizes observed (incongruent–congruent trials). Patients with
schizophrenia also failed to upregulate auditory cortex with concomitant
increased attentional demands.
Results suggest a prominent role for dysfunction within auditory,
sensorimotor and parietal areas relative to prefrontal CCN nodes during
multisensory cognitive control.
The ESRO satellite COS-B carries one single experiment aiming at the measurement of arrival direction and energy of celestial gamma rays with energies between 25 MeV and 10 GeV. The experiment is conventional in design and consists of a veto counter, a wire spark chamber, a telescope and an energy calorimeter.
The energy measurement is obtained by a CsI scintillation crystal of 4.7 radiation length thickness. The expected energy resolution at 100 MeV is 50% FWHM. The other detector elements are designed as to cause the least possible degradation of the energy measurement.
The possibilities for the detection of a small contribution of π -origin gamma rays in the presence of a power-law type background spectrum will be discussed.
Influenza A (H1N1) pdm09 became the predominant circulating strain in the United States during the 2013–2014 influenza season. Little is known about the epidemiology of severe influenza during this season.
A retrospective cohort study of severely ill patients with influenza infection in intensive care units in 33 US hospitals from September 1, 2013, through April 1, 2014, was conducted to determine risk factors for mortality present on intensive care unit admission and to describe patient characteristics, spectrum of disease, management, and outcomes.
A total of 444 adults and 63 children were admitted to an intensive care unit in a study hospital; 93 adults (20.9%) and 4 children (6.3%) died. By logistic regression analysis, the following factors were significantly associated with mortality among adult patients: older age (>65 years, odds ratio, 3.1 [95% CI, 1.4–6.9], P=.006 and 50–64 years, 2.5 [1.3–4.9], P=.007; reference age 18–49 years), male sex (1.9 [1.1–3.3], P=.031), history of malignant tumor with chemotherapy administered within the prior 6 months (12.1 [3.9–37.0], P<.001), and a higher Sequential Organ Failure Assessment score (for each increase by 1 in score, 1.3 [1.2–1.4], P<.001).
Risk factors for death among US patients with severe influenza during the 2013–2014 season, when influenza A (H1N1) pdm09 was the predominant circulating strain type, shifted in the first postpandemic season in which it predominated toward those of a more typical epidemic influenza season.
Infect. Control Hosp. Epidemiol. 2015;36(11):1251–1260
Shared decision making has been advocated as a means to improve patient-orientation and quality of health care. There is a lack of knowledge on clinical decision making and its relation to outcome in the routine treatment of people with severe mental illness. This study examined preferred and experienced clinical decision making from the perspectives of patients and staff, and how these affect treatment outcome.
“Clinical Decision Making and Outcome in Routine Care for People with Severe Mental Illness” (CEDAR; ISRCTN75841675) is a naturalistic prospective observational study with bimonthly assessments during a 12-month observation period. Between November 2009 and December 2010, adults with severe mental illness were consecutively recruited from caseloads of community mental health services at the six study sites (Ulm, Germany; London, UK; Naples, Italy; Debrecen, Hungary; Aalborg, Denmark; and Zurich, Switzerland). Clinical decision making was assessed using two instruments which both have parallel patient and staff versions: (a) The Clinical Decision Making Style Scale (CDMS) measured preferences for decision making at baseline; and (b) the Clinical Decision Making Involvement and Satisfaction Scale (CDIS) measured involvement and satisfaction with a specific decision at all time points. Primary outcome was patient-rated unmet needs measured with the Camberwell Assessment of Need Short Appraisal Schedule (CANSAS). Mixed-effects multinomial regression was used to examine differences and course over time in involvement in and satisfaction with actual decision making. The effect of clinical decision making on the primary outcome was examined using hierarchical linear modelling controlling for covariates (study centre, patient age, duration of illness, and diagnosis). Analysis were also controlled for nesting of patients within staff.
Of 708 individuals approached, 588 adults with severe mental illness (52% female, mean age = 41.7) gave informed consent. Paired staff participants (N = 213) were 61.8% female and 46.0 years old on average. Shared decision making was preferred by patients (χ2 = 135.08; p < 0.001) and staff (χ2 = 368.17; p < 0.001). Decision making style of staff significantly affected unmet needs over time, with unmet needs decreasing more in patients whose clinicians preferred active to passive (−0.406 unmet needs per two months, p = 0.007) or shared (−0.303 unmet needs per two months, p = 0.015) decision making.
Decision making style of staff is a prime candidate for the development of targeted intervention. If proven effective in future trials, this would pave the ground for a shift from shared to active involvement of patients including changes to professional socialization through training in principles of active decision making.
Ensuring microstructural stability under technical relevant conditions is a determining criterion for the development of innovative high-temperature materials. In this work, the influ-ence of C and Si on the microstructural stability during creep exposure was investigated for a β-solidifying γ-TiAl based alloy with a nominal composition of Ti-43.5Al-4Nb-1Mo-0.1B (in at.%), named TNM. With a two-step heat treatment a microstructure consisting of fine lamellar α2/γ-colonies, surrounded by βo-phase and areas of discontinuous precipitation, starting from the boundaries of the lamellar colonies, was adjusted. Creep tests were carried out to examine the potential of C and Si to prevent microstructural instability during creep and hence improving the creep properties. At 815 °C the discontinuous precipitation process of the TNM alloy continues during ensuing creep testing leading to a reduced creep resistance. In comparison, the minimum creep rate of the TNM-0.3C-0.3Si alloy was significantly decreased caused by the lower βo-phase content and average lamellar spacing within the α2/γ-colonies, the precipitation of p-Ti3AlC carbides and the retarded kinetics of discontinuous precipitation.
We report on a comprehensive study of the defect structure in GaN grown on c-oriented sapphire by gas source molecular beam epitaxy and metal organic vapour phase epitaxy. Transmission electron microscopy is used to investigate the defect structures which are dominated by threading dislocations perpendicular to the sapphire surface and stacking faults. Additionally, dislocation densities are determined. For determination of dislocation densities by x-ray diffraction we employ a model that uses the linewidth of x-ray rocking curves for this purpose. Finally, Rutherford backscattering spectrometry is performed to complement the structural investigation.