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In the heart of the boreal forest in 1949, trappers gathered at a spring meeting in Wabowden, Manitoba, to discuss many items of business, including wolf predation on beavers. Recent debate and disagreement had broken out among the trappers regarding whether wolves actually killed beavers. One trapper stated wolves ‘harassed’ a beaver colony so extensively that he had to fell trees into the water to ensure the colony's survival. Some trappers remained sceptical and unconvinced. The debate was put to a lively and emphatic end when a trapper walked into the spring meeting and presented a bushel sack stuffed with wolf scats containing beaver fur (Nash 1951). The proof was in the poop!
Surprisingly, our understanding of wolf predation on beavers has progressed relatively little since 1949. Most attempts to study wolf predation on beavers followed an approach akin to the Manitoba trappers: collecting and examining wolf scats. By doing this, researchers in many areas across North America and Eurasia concluded, like the trappers, that beavers were important prey for wolves during the ice-free season. However, wolf–beaver dynamics received little attention beyond this, largely because (1) most wolf predation research was focused on wolf–ungulate interactions and predation on smaller alternate prey was not a priority (Gable et al 2018c), and (2) rigorously studying wolf predation during spring to autumn in forested ecosystems with dense vegetation was a monumental, and often impossible, task prior to GPS collar technology. Of course, many researchers and biologists had interesting ideas or hypotheses about wolf–beaver interactions, but most were based on anecdotal observations, indirect evidence or conjecture (Gable et al 2018c). None the less, these ideas were compelling and relevant. Some suggested dense beaver populations increased wolf pup survival (Benson et al 2013) and, in turn, wolf pack and population size (Andersone 1999; Barber-Meyer et al 2016). Others posited that dense beaver populations reduced wolf predation on ungulate prey (Forbes and Theberge 1996) while some claimed it increased predation (Andersone and Ozoliņš 2004; Latham et al 2013). Still others suspected wolves changed ecosystems by altering the ecosystem engineering behaviour of beavers (Peterson et al 2014). Clearly, wolf–beaver dynamics needed to be studied in more detail.
The current study examined if early adversity was associated with accelerated biological aging, and if effects were mediated by the timing of puberty.
Methods
In early mid-life, 187 Black and 198 White (Mage = 39.4, s.d.age = 1.2) women reported on early abuse and age at first menstruation (menarche). Women provided saliva and blood to assess epigenetic aging, telomere length, and C-reactive protein. Using structural equation modeling, we created a latent variable of biological aging using epigenetic aging, telomere length, and C-reactive protein as indicators, and a latent variable of early abuse using indicators of abuse/threat events before age 13, physical abuse, and sexual abuse. We estimated the indirect effects of early abuse and of race on accelerated aging through age at menarche. Race was used as a proxy for adversity in the form of systemic racism.
Results
There was an indirect effect of early adversity on accelerated aging through age at menarche (b = 0.19, 95% CI 0.03–0.44), in that women who experienced more adversity were younger at menarche, which was associated with greater accelerated aging. There was also an indirect effect of race on accelerated aging through age at menarche (b = 0.25, 95% CI 0.04–0.52), in that Black women were younger at menarche, which led to greater accelerated aging.
Conclusions
Early abuse and being Black in the USA may both induce a phenotype of accelerated aging. Early adversity may begin to accelerate aging during childhood, in the form of early pubertal timing.
Two independent temporal-spatial clusters of hospital-onset Rhizopus infections were evaluated using whole-genome sequencing (WGS). Phylogenetic analysis confirmed that isolates within each cluster were unrelated despite epidemiological suspicion of outbreaks. The ITS1 region alone was insufficient for accurate analysis. WGS has utility for rapid rule-out of suspected nosocomial Rhizopus outbreaks.
Background: Alzheimer’s disease (AD) is an emerging public health crisis and biomarkers are playing a large role in AD research. Magnetic Resonance Imaging (MRI) holds advantages over existing biomarkers for AD. This project aims to measure subfield thickness throughout the hippocampal long axis using HippUnfold, a novel open-source automated hippocampal segmentation software. Methods: High resolution (0.39×0.39×2mm) Hippocampal MR Images [control, n= 16, mild cognitive impairment (MCI, n =16), and AD, (n = 16)] acquired by the Alzheimer’s Disease Neuroimaging Initiative (ADNI) were analyzed with an automated segmentation software (HippUnfold) to compute thickness measurements. ADNI data such as Positron Emission Tomography (PET) biomarkers, Cerebrospinal Fluid biomarkers, and cognitive scores such as Mini-Mental State Exam (MMSE), Montreal Cognitive Assessment (MoCA), Alzheimer’s Disease Assessment Scale (ADAS13), and Rey Auditory Verbal Learning Test (RAVLT), were correlated to thickness along the hippocampal long axis using linear regression models. Results: We found significant cluster correlations (p < 0.05) throughout the long axis between hippocampal subfield thickness to MoCA scores, ADAS13 scores, PET phosphorylated tau levels, and PET beta-amyloid levels. Conclusions: Subfield atrophy throughout the hippocampal long axis is associated with disease severity (as measured with existing biomarkers and cognitive testing) in patients with MCI and AD.
The World Shakespeare Project (WSP), directed by Sheila T. Cavanagh at Emory University in Atlanta, Georgia, and Shakespeare Central (SC), created and led by Steve Rowland in Seattle, Washington, collaborate together regularly. The WSP uses site visits and videoconferencing to link diverse students, teachers and arts practitioners in Shakespearean-based conversations and performance exercises across many geographic, socio-economic and other divides. SC seeks to facilitate Shakespearean pedagogy in order to further its tenets that ‘Shakespeare is for Everyone’ and that ‘Shakespeare Changes Lives.’ The WSP/SC partnership takes many forms, but this Shakespeare in Prison project continues to teach us about ways to integrate personal experiences with academic undertakings. Shared explorations of Shakespeare appear to increase learning for everyone involved.
High-quality evidence from prospective longitudinal studies in humans is essential to testing hypotheses related to the developmental origins of health and disease. In this paper, the authors draw upon their own experiences leading birth cohorts with longitudinal follow-up into adulthood to describe specific challenges and lessons learned. Challenges are substantial and grow over time. Long-term funding is essential for study operations and critical to retaining study staff, who develop relationships with participants and hold important institutional knowledge and technical skill sets. To maintain contact, we recommend that cohorts apply multiple strategies for tracking and obtain as much high-quality contact information as possible before the child’s 18th birthday. To maximize engagement, we suggest that cohorts offer flexibility in visit timing, length, location, frequency, and type. Data collection may entail multiple modalities, even at a single collection timepoint, including measures that are self-reported, research-measured, and administrative with a mix of remote and in-person collection. Many topics highly relevant for adolescent and young adult health and well-being are considered to be private in nature, and their assessment requires sensitivity. To motivate ongoing participation, cohorts must work to understand participant barriers and motivators, share scientific findings, and provide appropriate compensation for participation. It is essential for cohorts to strive for broad representation including individuals from higher risk populations, not only among the participants but also the staff. Successful longitudinal follow-up of a study population ultimately requires flexibility, adaptability, appropriate incentives, and opportunities for feedback from participants.
Since the creation of the National Register of Historic Places, determining eligibility for listing on it has become the fundamental process driving archaeology in the United States. This process affects how archaeological sites are identified, recorded, evaluated, and ultimately how they are protected. Yet less than 6% of properties on the National Register are archaeological sites. Although scholars often lament the rigidity of the National Register and its eligibility criteria, notable revisions in National Park Service guidance pave the way for important changes. One of the National Register's most pervasive and fundamental concepts—the historic context—remains deeply undertheorized when compared to more familiar terms like “significance” and “integrity.” In this article, we argue that archaeologists are well positioned to reinvigorate the National Register by using historic contexts as a mechanism for recognizing layered relationships to places. Using an example from the multivocal nomination of the Inscription Rock Archaeological District as a case study, we argue that the oft-neglected concept of the historic context can be used to commemorate multivocality, moving from one national history to the production of multivocal national histories.
Hydrogen lithography has been used to template phosphine-based surface chemistry to fabricate atomic-scale devices, a process we abbreviate as atomic precision advanced manufacturing (APAM). Here, we use mid-infrared variable angle spectroscopic ellipsometry (IR-VASE) to characterize single-nanometer thickness phosphorus dopant layers (δ-layers) in silicon made using APAM compatible processes. A large Drude response is directly attributable to the δ-layer and can be used for nondestructive monitoring of the condition of the APAM layer when integrating additional processing steps. The carrier density and mobility extracted from our room temperature IR-VASE measurements are consistent with cryogenic magneto-transport measurements, showing that APAM δ-layers function at room temperature. Finally, the permittivity extracted from these measurements shows that the doping in the APAM δ-layers is so large that their low-frequency in-plane response is reminiscent of a silicide. However, there is no indication of a plasma resonance, likely due to reduced dimensionality and/or low scattering lifetime.
TwinsUK is the largest cohort of community-dwelling adult twins in the UK. The registry comprises over 14,000 volunteer twins (14,838 including mixed, single and triplets); it is predominantly female (82%) and middle-aged (mean age 59). In addition, over 1800 parents and siblings of twins are registered volunteers. During the last 27 years, TwinsUK has collected numerous questionnaire responses, physical/cognitive measures and biological measures on over 8500 subjects. Data were collected alongside four comprehensive phenotyping clinical visits to the Department of Twin Research and Genetic Epidemiology, King’s College London. Such collection methods have resulted in very detailed longitudinal clinical, biochemical, behavioral, dietary and socioeconomic cohort characterization; it provides a multidisciplinary platform for the study of complex disease during the adult life course, including the process of healthy aging. The major strength of TwinsUK is the availability of several ‘omic’ technologies for a range of sample types from participants, which includes genomewide scans of single-nucleotide variants, next-generation sequencing, metabolomic profiles, microbiomics, exome sequencing, epigenetic markers, gene expression arrays, RNA sequencing and telomere length measures. TwinsUK facilitates and actively encourages sharing the ‘TwinsUK’ resource with the scientific community — interested researchers may request data via the TwinsUK website (http://twinsuk.ac.uk/resources-for-researchers/access-our-data/) for their own use or future collaboration with the study team. In addition, further cohort data collection is planned via the Wellcome Open Research gateway (https://wellcomeopenresearch.org/gateways). The current article presents an up-to-date report on the application of technological advances, new study procedures in the cohort and future direction of TwinsUK.
The species of Anisakis constitute one of the most widespread groups of ascaridoid nematodes in the marine ecosystem. Three closely related taxa are recognised in the A. simplex (s. l.) complex, i.e. A. pegreffii, A. simplex (s. s.) and A. berlandi. They are distributed in populations of their intermediate/paratenic (fish and squids) and definitive (cetaceans) hosts. A panel of seven microsatellite loci (Anisl 05784, Anisl 08059, Anisl 00875, Anisl 07132, Anisl 00314, Anisl 10535 and Anisl 00185), were developed and validated on a total of N = 943 specimens of A. pegreffii and A. simplex (s. s.), collected in fish and cetacean hosts from allopatric areas within the range of distribution of these parasite species. In addition, the locus Anisl 7, previously detected in those Anisakis spp., was investigated. The parasites were first identified by sequence analysis of the EF1 α-1 nDNA. The panel of the microsatellites loci here developed have allowed to: (i) detect diagnostic microsatellite loci between the two species; (ii) identify specimens of the two species A. pegreffii, A. simplex (s. s.) in a multi-marker nuclear genotyping approach; (iii) discover two sex-linked loci in both Anisakis species and (iv) estimate levels of genetic differentiation at both the inter- and intra-specific level.
OBJECTIVES/SPECIFIC AIMS: The objective of this research was to assess the clinical impact of simulation-based team leadership training on team leadership effectiveness and patient care during actual trauma resuscitations. This translational work addresses an important gap in simulation research and medical education research. METHODS/STUDY POPULATION: Eligible trauma team leaders were randomized to the intervention (4-hour simulation-based leadership training) or control (standard training) condition. Subject-led actual trauma patient resuscitations were video recorded and coded for leadership behaviors (primary outcome) and patient care (secondary outcome) using novel leadership and trauma patient care metrics. Patient outcomes for trauma resuscitations were obtained through the Harborview Medical Center Trauma Registry and analyzed descriptively. A one-way ANCOVA analysis was conducted to test the effectiveness of our training intervention versus a control group for each outcome (leadership effectiveness and patient care) while accounting for pre-training performance, injury severity score, postgraduate training year, and days since training occurred. Association between leadership effectiveness and patient care was evaluated using random coefficient modeling. RESULTS/ANTICIPATED RESULTS: Sixty team leaders, 30 in each condition, completed the study. There was a significant difference in post-training leadership effectiveness [F(1,54)=30.19, p<.001, η2=.36] between the experimental and control conditions. There was no direct impact of training on patient care [F(1,54)=1.0, p=0.33, η2=.02]; however, leadership effectiveness mediated an indirect effect of training on patient care. Across all trauma resuscitations team leader effectiveness correlated with patient care (p<0.05) as predicted by team leadership conceptual models. DISCUSSION/SIGNIFICANCE OF IMPACT: This work represents a critical step in advancing translational simulation-based research (TSR). While there are several examples of high quality translational research programs, they primarily focus on procedural tasks and do not evaluate highly complex skills such as leadership. Complex skills present significant measurement challenges because individuals and processes are interrelated, with multiple components and emergent nature of tasks and related behaviors. We provide evidence that simulation-based training of a complex skill (team leadership behavior) transfers to a complex clinical setting (emergency department) with highly variable clinical tasks (trauma resuscitations). Our novel team leadership training significantly improved overall leadership performance and partially mediated the positive effect between leadership and patient care. This represents the first rigorous, randomized, controlled trial of a leadership or teamwork-focused training that systematically evaluates the impact on process (leadership) and performance (patient care).
If one has been involved in the Society for Industrial and Organizational Psychology (SIOP) since its inception, as we have, one will have had several opportunities to reflect on the issue of licensing to regulate the practice of industrial and organizational psychology (IOP). Some find value in licensure, but the vast majority of industrial and organizational (I-O) psychologists do not. As the target article written by the Licensure of Consulting and Industrial-Organizational (I-O) Psychologists (LCIOP) Joint Task Force (2017) documents, there have been several policy statements made by SIOP leadership over the years. The essence of SIOP's policy is quite clear and consistent. Although SIOP does not support and will not promote the licensure of I-O psychologists, it does support a pathway to licensure for those who desire it, and is supportive of efforts to reduce the many barriers to licensure for those who desire it. It is our understanding that SIOP's participation in the LCIOP Joint Task Force was predicated on this long-standing policy.
The sensitivities of tobacco, tomato, pepper, and cucumber seedlings to an aquatic herbicide, fluridone, were examined in growth chamber and greenhouse studies. New leaves of tobacco seedlings became chlorotic after 6-d exposure to fluridone concentrations of 5 μg/L or greater in hydroponic float culture, and dry weights were significantly reduced at 100 μg/L or greater. When treated only once at the beginning of a 2-wk evaluation period, all crops except cucumber exhibited injury symptoms at 100 μg/L. When grown in sand, pepper and tomato were injured at 25 μg/L; tobacco injury occurred at 10 μg/L. Dry weights of pepper, tobacco, and tomato seedlings decreased significantly at 250, 50, and 250 μg/L, respectively, on potting mix; effects on dry weights were not significant for plants on sand. Cucumber was injured by treatment at 100 μg/L or greater in sand, but there were no effects on dry weights in either sand or potting mix. When treated three times weekly for 2 wk with fluridone, pepper, tobacco, and tomato grown in potting mix were injured by 50, 25, and 100 μg/L; when grown in sand, injury occurred at 10, 5, and 10 μg/L, respectively. Dry weights of pepper, tobacco, and tomato were reduced by 50,50, and 100 μg/L, respectively, in potting mix; effects on dry weights were not significant for plants in sand. Cucumber seedlings were damaged by 250 μg/L or higher on potting mix and 100 μg/L or higher on sand, but there were no effects on dry weights regardless of substrate. Threshold injury levels for plants grown in potting mix to the second true leaf stage and then treated three times weekly were 25 μg/L for pepper and tobacco and 50 μg/L for tomato; dry weights were significantly reduced in pepper at 25 μg/L and in tobacco and tomato at 50 μg/L. Cucumber seedlings were not injured by any treatment in this test.
Background: Selective amygdalohippocampectomy (SAH) is a surgical option in well-selected cases of pediatric medically refractory temporal lobe epilepsy (TLE). The objective of this study was to compare the surgical outcome and the rate of reoperation for ongoing or recurrent seizures between SAH and anterior temporal lobectomy (ATL) in pediatric TLE. Methods: Retrospective review of 78 pediatric intractable TLE patients referred to the Comprehensive Epilepsy Program at our institution between 1988 and 2015 treated initially with either a trans-middle temporal gyrus SAH (19) or ATL (59). Patients underwent baseline long-term video electroencephalography and 1.5-Tesla MRI. Neuropsychological testing was performed preoperatively and 12-months postoperatively (including reoperations). Results: The mean follow-up was 64 months (range, 12-186 months). The average age at initial surgery was 10.6±5 years with an average delay of 5.7±4 years between seizure onset and surgery. Ultimately 78% were seizure-free (61/78) at most recent follow-up. Seizure freedom after initial surgical treatment was achieved in 81% of patients who underwent ATL (48 patients) versus 42% in SAH (8 patients; p<0.001). Of patients with ongoing disabling seizures following SAH, reoperation (ATL) was offered in 8 resulting in seizure freedom in 63%, without interval neuropsychological decline. Conclusions: SAH amongst well-selected pediatric TLE results in significantly worse seizure control compared with ATL.
Bushkiller, an aggressive perennial vine native to Southeast Asia, has invaded several sites in Alabama, North Carolina, Texas, Louisiana, and Mississippi. Bushkiller has only recently been discovered in North Carolina. The potential economic and environmental consequences associated with established exotic invasive perennial vines and the lack of published control measures for bushkiller prompted research to be conducted at North Carolina State University that may be used in an early-detection rapid-response program. Field and greenhouse studies were conducted to determine bushkiller response to selected foliar-applied herbicides. Field study 1 evaluated efficacy of glyphosate, triclopyr, triclopyr plus 2,4-D, triclopyr plus aminopyralid, and triclopyr plus glyphosate applied postemergence to bushkiller. No control was evident from any treatment at 10 mo after application. In a separate experiment, aminocyclopyrachlor, imazapyr, metsulfuron, sulfometuron, and sulfometuron plus metsulfuron were applied postemergence to bushkiller. Control with aminocyclopyrachlor, imazapyr, sulfometuron, and sulfometuron plus metsulfuron was 88 to 99% at 10 mo after application. Each treatment was also applied to bushkiller in a greenhouse trial. Aminocyclopyrachlor and triclopyr-containing treatments generally resulted in the greatest control, lowest dry weights, and shortest vine lengths among the treatments. These results indicate that several herbicides may be employed initially in an early-detection, rapid-response program for bushkiller. Additional research is needed to determine how effective these herbicides would be in multiple-season treatments that may be required at well established bushkiller infestation sites.
Field research was conducted for 2 yr to determine the effects of reduced rates of bromoxynil on growth and yield of non–bromoxynil-resistant cotton. Rates of 4.5, 9, 17, 35, 70, and 140 g ha−1, representing 0.008, 0.016, 0.031, 0.063, 0.125, and 0.25 fractions of the maximum labeled use rate per application (560 g ha−1), were applied to cotton at the two-, five-, or nine-node growth stage. Visual injury was reduced because application timing was delayed from two- to five-node stage in all experiments and from five- to nine-node stage in two of three experiments. Although negatively affected at all application timings, plant height reduction response decreased with increasing cotton maturity. Plant dry weight was most negatively affected after application at the two-node stage. Bromoxynil application, based on the node above white flower number, did not result in maturity delays but did promote earlier maturity when applied at 140 g ha−1 to two- and five-node stage cotton in one of the three experiments. Final plant population was reduced only at the two- and five-node timings, with response more pronounced at the initial timing. Seedcotton yield after bromoxynil application at the highest rate to two-leaf cotton was reduced 34% compared with other rates and the nontreated control. Bromoxynil applied to five- or nine-node cotton did not significantly reduce yield.