To send content items to your account,
please confirm that you agree to abide by our usage policies.
If this is the first time you use this feature, you will be asked to authorise Cambridge Core to connect with your account.
Find out more about sending content to .
To send content items to your Kindle, first ensure firstname.lastname@example.org
is added to your Approved Personal Document E-mail List under your Personal Document Settings
on the Manage Your Content and Devices page of your Amazon account. Then enter the ‘name’ part
of your Kindle email address below.
Find out more about sending to your Kindle.
Note you can select to send to either the @free.kindle.com or @kindle.com variations.
‘@free.kindle.com’ emails are free but can only be sent to your device when it is connected to wi-fi.
‘@kindle.com’ emails can be delivered even when you are not connected to wi-fi, but note that service fees apply.
Previous studies have demonstrated that including fish oil (FO) in the diet of beef cattle resulted in increased long chain C20n -3 PUFA (20:5n -3 and 22:6n -3) in muscle resulting in a lower n -6:n -3 ratio (Scollan et al., 2001). However, it may result in negative effects on colour shelf life and organoleptic properties (Vatansever et al., 2000). Fish oil is also a good inhibitor of biohydrogenation in the rumen, resulting in increased production of 18:1trans (TVA), the precursor for conjugated linoleic acid (CLA cis -9, trans -11) in muscle. This study investigated the effects of incremental levels of fish oil in the diet on the fatty acid composition of the m. longissimus dorsi and meat quality.
There is anecdotal evidence that certain sheep breeds, reared in a particular way, produce unusual or characteristic tastes in cooked meat. Such effects could be linked to differences in meat fatty acid composition associated with the consumption of different diets. This study investigated eating quality and fat composition in 4 distinctively different breed x feeding system groups.
Four groups of 20 ram lambs were obtained as follows: Pure Soays (SO) finished off grass in April from commercial breeders; Pure Welsh Mountain (WM) finished off upland grass in October from ADAS Pwllpeiran; Suffolk x Mules from Harper Adams College finished off concentrates (grains) (SC) in April; and Suffolk x mules from the same source finished off grass (SG) in May. The animals were transported to Langford where they were slaughtered in Bristol University's abattoir.
Medulloblastoma (MB) is the most common malignant pediatric brain tumour, and is categorized into four molecular subgroups, with Group 3 MB having the worst prognosis due to the highest rate of metastatic dissemination and relapse. In this work, we describe the epigenetic regulator Bmi1 as a novel therapeutic target for treatment of recurrent Group 3 MB. Through comparative profiling of primary and recurrent MB, we show that Bmi1 defines a treatment-refractory cell population that is uniquely targetable by a novel class of small molecule inhibitors. We have optimized an in vivo mouse-adapted therapy model that has the advantage of generating recurrent, human, treatment-refractory MBs. Our preliminary studies showed that although chemoradiotherapy administered to mice engrafted with human MB showed reduction in tumour size, Bmi1 expression was enriched in the post-treatment residual tumour. Furthermore, we found that knockdown of Bmi1 in human recurrent MB cells decreases proliferation and self-renewing capacities of MB cells in vitro as well as both tumour size and extent of spinal leptomeningeal metastases in vivo. Oral administration of a potent Bmi1 inhibitor, PTC 028, resulted in a marked reduction in tumour burden and an increased survival in treatment cohort. Bmi1 inhibitors showed high specificity for MB cells and spared normal human neural stem cells, when treated with doses relevant for MB cells. As Group 3 medulloblastoma is often metastatic and uniformly fatal at recurrence, with no current or planned trials of targeted therapy, an efficacious agent such as Bmi1 inhibitor could be rapidly transitioned to clinical trials.
Brain Metastases (BM) represent a leading cause of cancer mortality. While metastatic lesions contain subclones derived from their primary lesion, their functional characterization has been limited by a paucity of preclinical models accurately recapitulating the stages of metastasis. This work describes the isolation of a unique subset of metastatic stem-like cells from primary human patient samples of BM, termed brain metastasis initiating cells (BMICs). Utilizing these BMICs we have established a novel patient-derived xenograft (PDX) model of BM that recapitulates the entire metastatic cascade, from primary tumor initiation to micro-metastasis and macro-metastasis formation in the brain. We then comprehensively interrogated human BM to identify genetic regulators of BMICs using in vitro and in vivo RNA interference screens, and validated hits using both our novel PDX model as well as primary clinical BM specimens. We identified SPOCK1 and TWIST2 as novel BMIC regulators, where in our model SPOCK1 regulated BMIC self-renewal and tumor initiation, and TWIST2 specifically regulated cell migration from lung to brain. A prospective cohort of primary lung cancer specimens was used to establish that SPOCK1 and TWIST2 were only expressed in patients who ultimately developed BM, thus establishing both clinical and functional utility for these gene products. This work offers the first comprehensive preclinical model of human brain metastasis for further characterization of therapeutic targets, identification of predictive biomarkers, and subsequent prophylactic treatment of patients most likely to develop BM. By blocking this process, metastatic lung cancer would effectively become a localized, more manageable disease.
A remarkable blue-grey marble horse with a white marble rider, found in the Basilica at Aphrodisias, has been a focus of recent research. The article describes the archaeology and history of the monument — how it can be reconstructed, with its base and in its precise setting in the Basilica. The group was a daring composition that had already fallen and been restored once in antiquity. What emerges is firstly a new full-size hellenistic-style statue group whose subject can be identified as Troilos and Achilles, and secondly a striking example of the long second lives of classical statues in Late Antiquity. The horse was a great public monument of the early imperial period that was moved to the Basilica probably in the mid-fourth century a.d., where it has a well-documented context. The subject of the group can be identified both from epigraphy and from its iconographic antecedents, and its version of the subject can be related to a particular strand in the rich later literary representations of the story.1
In a previous study, glyphosate-susceptible and -resistant giant ragweed biotypes grown in sterile field soil survived a higher rate of glyphosate than those grown in unsterile field soil, and the roots of the susceptible biotype were colonized by a larger number of soil microorganisms than those of the resistant biotype when treated with 1.6 kg ae ha−1 glyphosate. Thus, we concluded that soil-borne microbes play a role in glyphosate activity and now hypothesize that the ability of the resistant biotype to tolerate glyphosate may involve microbial interactions in the rhizosphere. The objective of this study was to evaluate differences in the rhizosphere microbial communities of glyphosate-susceptible and -resistant giant ragweed biotypes 3 d after a glyphosate treatment. Giant ragweed biotypes were grown in the greenhouse in unsterile field soil and glyphosate was applied at either 0 or 1.6 kg ha−1. Rhizosphere soil was sampled 3 d after the glyphosate treatment, and DNA was extracted, purified, and sequenced with the use of Illumina Genome Analyzer next-generation sequencing. The taxonomic distribution of the microbial community, diversity, genera abundance, and community structure within the rhizosphere of the two giant ragweed biotypes in response to a glyphosate application was evaluated by metagenomics analysis. Bacteria comprised approximately 96% of the total microbial community in both biotypes, and differences in the distribution of some microbes at the phyla level were observed. Select soil-borne plant pathogens (Verticillium and Xanthomonas) and plant-growth–promoting rhizobacteria (Burkholderia) present in the rhizosphere were influenced by either biotype or glyphosate application. We did not, however, observe large differences in the diversity or structure of soil microbial communities among our treatments. The results of this study indicate that challenging giant ragweed biotypes with glyphosate causes perturbations in rhizosphere microbial communities and that the perturbations differ between the susceptible and resistant biotypes. However, biological relevance of the rhizosphere microbial community data that we obtained by next-generation sequencing remains unclear.
Recognition of the networks involved in the creation and production of printed texts has been the central focus of historians of the book since the 1950s. Fundamental to the production of the printed music book are, among others, printers, publishers, booksellers and binders, not to mention authors, composers and editors. As Kirsten Gibson describes in the previous chapter, scholarship has largely concentrated on issues relating to the author. Only recently have early editors of printed texts been taken into account to any significant extent, despite recognition that, in Robert Iliffe's words, the ‘manifestation of the “editor”’ is ‘intimately bound up with the appearance of the “author”’. Most recently, Susan Lewis Hammond has shed considerable light on the role of the early editor of printed music, focusing on Italian music published in early modern Germany. In placing the editor at the forefront of the dissemination of printed anthologies, Hammond, among others, has brought to our awareness the editor's presence in early printed music books, a presence that is situated between the initial creation of the musical text and its delivery to the public print market, and which can be traced back to the polyphonic music anthologies of Ottaviano Petrucci.
This essay grows from a concern with the old art-historical problem of how the perception of art, or in this case more specifically architecture, changes over time. It sets out to explore how verbal representations preserve clues about such changes in the way we see the world, while proposing that the dialogue between subject and object is perhaps more palpable in texts than it is in pictures. The protagonist is seventeenth-century diarist John Evelyn, who travelled in Italy between 1644 and 1646. The account of this journey forms part of his seminal Diary, which he compiled mainly retrospectively from the 1660s onwards. One of the main seventeenth-century English sources for historians of all fields and by some even regarded as having changed travel writing, Evelyn is nevertheless well known for having copied generous parts of his text from earlier guidebooks.2 In the following I will try to dismantle sentence by sentence one short passage in which he describes the city of Genoa. Comparing his text to other seventeenth-century guidebooks allows us to see not only what Evelyn copied, but also what he altered, what he added, and, more importantly, what these alterations and additions tell us about contemporary modes of perception and representation. The ensuing analysis raises questions about concepts of creativity and originality in the period while probing the ordering of vision and knowledge in the seventeenth century.
Over the past twenty-five years much ink has been spilt by literary scholars of the early modern period over issues relating to creativity, notions of authorship and the influence and impact of print technology. While Edmund Spenser's foray into print has been described as an act of ‘textual self-monumentalization, the publication of Ben Jonson's Workes in 1616 has been proclaimed, in Joseph Loewenstein's words, as ‘a major event in the history of what one might call the bibliographic ego’. At the turn of the seventeenth century English composers including William Byrd, Thomas Morley and John Dowland also chose actively to disseminate their works in single-author printed books on which their name was imprinted as ‘author’ and through which they, and others, were able to advertise their musical skills and reputations. Although the focus on interpreting figurations of authorship within the printed book in early modern England has remained primarily literary, the circumstances surrounding music printing in the final decades of the sixteenth century and the irst of the seventeenth created conditions in which the same issues pertaining to intellectual property arose for some composers, leading them to assert their own ‘bibliographic egos’ even before the 1616 literary landmark.
Jeremy L. Smith makes such a claim about Byrd's apparently close editorial involvement in the printing of his works, particularly the multiple editions of his Psalmes, Sonets and Songs, first published in 1588.
The English two-part repertoire for treble and bass is perhaps best known from the various publications issued by John Playford in the second half of the seventeenth century, the first of which appeared as part of A Musicall Banquet (1651). The Banquet was obviously intended to gauge the potential market for printed music, and formed the blueprint for several of Playford's later publications. The volume was divided into four sections, as outlined on the title page:
The first Part presents you with Excellent new Lessons for the Lira Viol, set to severall New Tunings. The second a Collection of New and Choyce Allmans, Corants, and Sarabands for one Treble and Basse Viol, composed by Mr. William Lawes, and other Excellent Authours. The third Part containes New and Choyce Catches or Rounds for three or foure Voyces. To which is added some few Rules and Directions for such as learne to sing, or to play on the Viol.
The first section became Musicks Recreation: on the Lyra Viol, which went through four editions between 1652 and 1682; the third, Musick and Mirth, became Catch that Catch Can, published from 1652; and the fourth became A Breefe Introduction to the Skill of Mustek of 1654. Meanwhile the second section, Musica Harmonia, containing the two-part airs, was reissued in two substantially enlarged editions, Court-Ayres (1655) and Courtly Masquing Ayres (1662).
In Act II, Scene 3 of William Shakespeare's Twelfth Night, first performed as the seventeenth century opened, the knights Sir Toby Belch and Sir Andrew Aguecheek call for wine. Immediately after the arrival of the clown, Feste, Aguecheek asks for a song and his drinking companion a catch. Their merry midnight revels are interrupted by Maria, serving woman to their hostess (who is also Sir Toby's niece), following their performance of the three-voice catch ‘Hold thy peace’. ‘What a catterwalling doe you keepe heere?’, exclaims Maria; ‘If my Ladie haue not call'd vp her Steward Maluolio, and bid him turne you out of doores, neuer trust me.’ The puritanical Malvolio is even more horriied by their acoustical antics. ‘My masters are you mad?’, he asks on his arrival,
Or what are you? Haue you no wit, manners, nor honestie, but to gabble like Tinkers at this time of night? Do yee make an Ale-house of my Ladies house, that ye squeak out your Coziers Catches without any mitigation or remorse of voice? Is there no respect of place, persons, nor time in you?
This brief scene, first brought to life approximately a decade before the earliest publication of English catches and over a century ahead of the greatest vogue for such canonical vocal part-songs, already encodes the most important aspects of the genre. As demonstrated by Shakespeare's three performers, the singing of catches was a form of participatory leisure entertainment for males of equal voice.
When a Master doth a thing a second time, lightly it is for the better.
George Gage to Sir Dudley Carleton, 1 November 1617
This chapter will probe early modern notions of creativity by considering the artistic activities, in and for England, of the most sought-after painter in seventeenth-century Europe – Peter Paul Rubens. The artist's busy workshop helped to satisfy the demand for his works, and as a result Rubens's English patrons, ranging from various dignitaries to Charles I himself, were the recipients of paintings with varying degrees of the master's own participation. An inquiry into Rubens's practice of delegating to studio assistants, and into the value placed by him and his British viewers on autography, will elucidate attitudes towards the manual aspects of creation. A related area of investigation will focus on the phenomenon of self-repetition in the artist's works for his English clients, some of which works were replicas of earlier compositions or reused motifs from previous inventions. Finally, a broader exploration of responses to self-replication, extending at times beyond the shores of England or the confines of painting, will bring to the fore the tensions inherent in early modern attitudes to art.
Replicas and Studio Hands
Although Rubens's stay in England as a diplomatic envoy dates to 1629–30, his relationship with English patrons had begun some thirteen years earlier when Sir Dudley Carleton, the English Ambassador to The Hague, had sought to trade a diamond chain for a hunt scene by the artist.
This book has its origins in an interdisciplinary conference of the same name, held at the University of Manchester in September 2008 as part of a four-year research project entitled ‘Musical Creativity in Restoration England’, which was funded by the Arts and Humanities Research Council in the UK. The conference brought together a group of seventeenth-century specialists including those working in cultural studies, print culture, the history of ideas, and of course historians of art, architecture, theatre, literature and music, to explore how we can seek to understand what it meant to be creative in the early modern period in England. Te symposium revealed the wide variety of approaches to studying creativity being taken by scholars and research students across the humanities, and led to exciting and fruitful cross-fertilization of ideas between its participants, resulting in discussions that in some cases have led to long-lasting research collaborations.
Tis book presents a selection of twelve essays that were developed from the twenty papers given at the conference. In selecting this group, the editors have sought to include a representative sample of the research that was presented, while also aiming to ensure that the collection is accessible to a genuinely interdisciplinary readership. While music examples are used in some of the chapters, these are kept to a minimum, and are supported by audio samples available at www.alc.manchester. ac.uk/subjects/music/research/projects/musicalcreativity.