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Em 2017, completaram-se os trinta anos do lançamento de Patmos e outros poemas de Hölderlin, primeiro livro de poesia traduzida assinado por Marco Lucchesi. O então jovem poeta percorre uma amostra da lírica de Friedrich Hölderlin por meio da tradução, enquanto experimenta a própria poesia e nos remete à concepção benjaminiana de Erfahrung [experiência], que, como observa Jeanne-Marie Gagnebin, entre outros, "[...] vem do radical fahr-, usado ainda no antigo alemão no seu sentido literal de percorrer, de atravessar uma região durante uma viagem" (GAGNEBIN 1994: 66). Numa reflexão sobre os elementos que vão compondo uma poíesis diferenciada, verificamos que se desenvolve uma Erfahrung como "itinerário" para o futuro percurso de Lucchesi como poeta-tradutor. O presente trabalho propõe-se expor tal "itinerário" não com o intuito de rastrear e analisar exaustivamente as referências que se enfeixam para produzir uma rede algo caótica ou interpretar toda a poesia por vezes hermética que opera essa rede, mas de apontar como, a despeito da condição de criação indomável, numa obra espécie de colagem ou mosaico, Lucchesi lançava-se a uma tentativa de diálogo com a lírica alemã, como parte privilegiada da produção lírica ocidental de diferentes épocas.
Feridun Zaimoglu é um dos principais autores de língua alemã que introduzem a história e as experiências dos imigrantes e seus antepassados em seus textos literários. O romance Leyla, publicado em 2006, é um exemplo paradigmático disso, pois seu universo ficcional apresenta uma configuração temporal que antecede a chegada da protagonista turca à Alemanha. O presente artigo tem por objetivo discutir o romance em dois aspectos: a gênese da voz em espaços com desequilíbrio de poder e por outro lado a gênese da imagem do outro no universo pessoal dos personagens
Ein Vorschlag des dialektbasierten Hochdeutschunterrichts für die Wolgadeutschen in Argentinien
(2018)
Wie in vielen anderen deutschen Gemeinschaften in Amerika wurde bei den Wolgadeutschen in Argentinien bis heute eine dialektale Varietät des Deutschen aufrechterhalten. Diese wurde i.d.R. nur mündlich weitergegeben, verfügt über covert prestige für die Sprecher und dient als Marker ethnischer Identität. Die Sprache der Mehrheitsgesellschaft (Spanisch im Falle der Wolgadeutschen in Argentinien) verfügt dagegen über overt prestige und objektiven Nutzen für den Alltag. Auch dem Hochdeutschen wird ein objektiver Nutzen, z.B. für die berufliche Zukunft, zugesprochen. Gleichzeitig wird die von der Gemeinschaft gesprochene Varietät meist als inkompatibel mit dem Hochdeutschen wahrgenommen: Die Sprecher des Dialekts sind oft der Meinung, dass die Dialektkenntnisse für sie eher ein Hindernis als eine Hilfe beim Erwerb des Hochdeutschen darstellen. Nichtsdestotrotz gab es bereits Initiativen dialektbasierten Hochdeutschunterricht für die Wolgadeutschen in Argentinien voranzutreiben: So initiierte z.B. Arndt Schmidt ein Programm zur Ausbildung der Lehrer im wolgadeutschen Dorf Santa Maria in der Provinz Buenos Aires. Der vorliegende Artikel geht auf die Frage des Deutschunterrichts für Dialektlerner ein, gibt einen kurzen Überblick über die soziolinguistische Situation der Wolgadeutschen in Argentinien und macht einen Vorschlag eines ursprungsdialektbasierten Hochdeutschunterrichts.
O presente artigo tem como objetivo analisar a construção de imagens discursivas de aprendizes em sumários e em atividades contidas em livros didáticos de Alemão como Língua Estrangeira (ALE), e de que modo essas construções antecipam que tipo de inserção esse aprendiz teria de/poderia ocupar nessa comunidade de produção/circulação de textos na língua alvo. Nesse sentido, o quadro teórico se constrói a partir da articulação entre a perspectiva polifônica da linguagem (BAKHTIN 2011), a noção de práticas discursivas (FOUCAULT 2004; MAINGUENEAU 2008) e o disciplinamento de saberes (FOUCAULT 2002), considerando a relevância de tal articulação para uma crítica à Linguística Aplicada a partir de Rocha e Daher (2015). Por meio das análises de livros didáticos de ALE, observamos a construção de imagens de aprendiz que parece retirá-lo das situações de interação, considerando-o mero espectador, que se ocupará de repetir sentenças e estruturas determinadas por uma simulação artificial de situações comunicativas, mais do que permitir a ele espaços de interação e de inserção nessas situações. Além disso, os materiais comunicam uma imagem de aprendiz-consumidor-turista, interessado em aprender a língua para fazer viagens, realidade essa distante da brasileira.
Die Zeitschrift Pandaemonium Germanicum erscheint zweimal jährlich und versteht sich als Forum für die wissenschaftliche Diskussion in den verschiedenen Bereichen der internationalen Germanistik, nämlich der Literatur- und Übersetzungswissenschaft, Linguistik, DaF und Kulturstudien. Die Zeitschrift wird von der deutschen Abteilung der FFLCH-USP (Universität São Paulo) seit 1997 herausgegeben und will zur Verbreitung unveröffentlichter Forschungen von GermanistInnen aus Brasilien und anderen Ländern, sowie zur Förderung des Dialogs zwischen der Germanistik und anderen Wissensbereichen beitragen.
Este artigo aborda parte dos resultados de uma pesquisa mais abrangente que objetivou compreender (inter)relações que se estabelecem entre práticas de leitura e escrita em alemão e em português de crianças do Ensino Fundamental e o contexto de língua de herança em que estão inseridas. Quanto à dimensão teórica, o estudo filia-se à área da Linguística Aplicada em diálogo com a Educação em contextos interculturais. A pesquisa, de base qualitativo-interpretativista, teve como locus uma escola municipal, em zona rural do município de Blumenau, Santa Catarina. Quanto aos procedimentos metodológicos, foram utilizadas duas propostas de produção de narrativas escritas, uma em português e outra em alemão. Os resultados sugerem que (i) as crianças têm domínio restrito de uma estrutura narrativa e aplicam-na parcialmente nas produções em ambas as línguas; (ii) o vocabulário e as estruturas gramaticais são característicos das práticas linguageiras cotidianas; iii) os estudantes desconhecem ou não internalizaram regras ortográficas, especialmente da língua alemã. A partir dos resultados da pesquisa afirma-se a importância de se garantir, na educação formal, o aprendizado da língua de herança, ao lado do português, em contextos bi/multilíngues similares.
Este trabalho analisa a língua alemã como marcador de identidade étnica teuto-brasileira na cidade de Pomerode (SC) entre a década de 1980 e os dias atuais através de histórias de vida, isto é, de relatos que os teuto-brasileiros fizeram de sua vida pessoal e social. Para essa compreensão investiga-se os sentidos atribuídos pelos depoentes à lingua no que diz respeito ao seu aspecto objetivo e subjetivo. A pesquisa encontra-se apoiada na teoria da etnicidade relacional e em estudos sobre identidade étnico-cultural e na metodologia de História Oral. A língua alemã em Pomerode é, de um lado, vivenciada individualmente e, de outro lado, compartilhada no coletivo étnico e está relacionada à produção de sentidos que cada depoente vivenciou na família e na comunidade étnica, o que caracteriza permanência e transformação do papel dessa língua e uma negociação de sentidos individuais e coletivos. A redefinição do papel da língua alemã em Pomerode está associada, por um lado, ao próprio grupo étnico, ou seja, a autocompreensão de sua identidade étnica e, por outro lado, à mercantilização da identidade, ou seja, à instrumentalização da língua.
Der folgende Beitrag beschäftigt sich mit Sprechern des Hunsrückischen in Brasilien und deren Gebrauch des Schriftdeutschen im 20. Jahrhundert. Basis der Analyse ist ein Korpus von Privatbriefen, die während der ersten Diktatur geschrieben wurden. Der Fokus der Analyse ist die Frage nach einer uniformen Schriftnorm für diese Sprechergruppe, deren Muttersprache fast ausschließlich mündlich verwendet wurde. Es wird argumentiert, dass der Estado Novo nicht die einzige Ursache für den Dachsprachenwechsel vom Deutschen zum Portugiesischen war, jedoch entscheidend dazu beigetragen hat, dass die Etablierung einer brasilianischen Schriftnorm des Deutschen endgültig verhindert wurde.
Os seriados televisivos vêm se destacando como opção de lazer bastante recorrente entre pessoas de diferentes faixas etárias, em especial, dentre estudantes. Diante disso, este trabalho tem como objetivo abordar as vantagens do uso de tal material para o ensino de aspectos linguísticos, político-sociais, ideológicos e socioculturais de língua alemã. Trata-se do recorte de uma pesquisa que se encontra ainda em desenvolvimento, no qual destacaremos o seriado Deutschland 83. Ressaltaremos a importância do uso de materiais autênticos para o ensino de línguas e a necessidade do ensino com foco em aspectos da cultura estrangeira. Concluímos que o seriado Deutschland 83 é um material com potencial a ser explorado, permitindo que o aprendiz se aproxime da cultura e língua alemã, ao mesmo tempo em que proporciona ao aluno material para gerar uma reflexão sobre sua própria realidade.
As obras visuais de Carlfriedrich Claus e de Ana Hatherly se localizam fora daquilo que se convencionou chamar de poesia. Uma poesia sem palavras resta como impossibilidade para os defensores da prática logocêntrica da escrita. Os autores aqui estudados suscitam, portanto, uma leitura desviante da atividade poética contemporânea. Eles defendem a hipótese de que a poesia contemporânea tende à iconicidade e mesmo da completa ilegibilidade como modo de apreensão estética de um mundo caótico. Porque não se constituem e nem podem ser lidos a partir das mesmas regras da lírica tradicional, os textos deliberadamente obliterados desses poetas resultam na transformação inequívoca dos métodos de criação e leitura, não obstante a resistência de certos ramos da crítica
Por ocasião do bicentenário da viagem dos naturalistas alemães Spix e Martius pelo Brasil (1817-1820), um grupo de pesquisadores ligados ao Instituto Martius Staden (São Paulo) refez em março de 2017 um trecho daquela expedição: de Ouro Preto a Diamantina. O principal objetivo foi estudar as continuidades e as mudanças ocorridas ao longo desses 200 anos. Estes foram os lugares visitados: 1) Ouro Preto, a antiga Vila Rica, capital da província de Minas Gerais; 2) no distrito de Mariana, as comunidades de Bento Rodrigues e Paracatu, destruídas pelo desastre ambiental ocorrido em 2015; 3) o Parque Nacional e o Santuário da Serra do Caraça, fundado em 1774; 4) as cidades de Sabará e do Serro, antiga Vila do Príncipe, e o Pico do Itambé (2052 metros), na Serra do Espinhaço, a divisa entre os biomas da Mata Atlântica e do Cerrado; e 5) a cidade de Diamantina, antigo Arraial de Tijuco, e seus arredores, incluindo um local de garimpagem.
Para Vilém Flusser as imagens técnicas são como "aspiradores de pó" que sugam toda a história: elas aceleram o tempo e transformam o todo em imagens congeladas. Trata-se para ele de uma imagem que contém a realização de uma redenção judaico-cristã. As imagens técnicas permitem a superação do que ele via como a clausura do mundo histórico, marcado pela textolatria. Elas permitem remontar ludicamente o universo a partir de sua decomposição imagética, como se as imagens (constituídas de "calculi", pixels) fossem pedras de lego. O trabalho apresenta essa escatologia mística judaica de Flusser sobre as imagens mágicas redentoras, levando em conta também o seu credo (que ele também considerava judaico), segundo o qual, ao invés de pensarmos na imortalidade das almas deveríamos apostar que "sobreviveremos na memória dos outros". Que memória seria essa e o que significaria sobreviver em um mundo pós-histórico, esvaziado de sua visão temporal, são algumas das questões que o texto desenvolve. Comparando com algumas ideias e conceitos de Walter Benjamin, o texto procura mostrar como Flusser procurou responder à demanda benjaminiana segundo a qual o surgimento de novas técnicas impõe-nos repensar o que a morte e o amor seriam hoje em dia.
Die Zeitschrift Pandaemonium Germanicum erscheint zweimal jährlich und versteht sich als Forum für die wissenschaftliche Diskussion in den verschiedenen Bereichen der internationalen Germanistik, nämlich der Literatur- und Übersetzungswissenschaft, Linguistik, DaF und Kulturstudien. Die Zeitschrift wird von der deutschen Abteilung der FFLCH-USP (Universität São Paulo) seit 1997 herausgegeben und will zur Verbreitung unveröffentlichter Forschungen von GermanistInnen aus Brasilien und anderen Ländern, sowie zur Förderung des Dialogs zwischen der Germanistik und anderen Wissensbereichen beitragen.
Die Förderung von Fahrradmobilität und öffentlichem Verkehr ist ein wesentlicher Baustein zur Gestaltung einer ökologisch nachhaltigeren, sozial verträglicheren und ökonomisch tragfähigen Verkehrs- und Siedlungsentwicklung in Deutschland. Mit einer verbesserten intermodalen Verknüpfung werden beide Verkehrsträger attraktiver und somit häufiger genutzt. Öffentliche Verkehrsunternehmen gewinnen dadurch vergrößerte Einzugsbereiche von Haltestellen, können Spitzenbelastungen abfedern und verbessern ihr Image. Fahrradfahrenden ermöglicht die Kombination mit öffentlichen Verkehrsmitteln größere Reichweiten, was gerade auch in randstädtischen, suburbanen oder ländlichen Regionen bedeutsam werden kann. Letztlich leistet die Verknüpfung der beiden Verkehrsträger einen Beitrag zur Daseinsvorsorge und für den Klimaschutz.
Der Handlungsleitfaden wurde innerhalb des Forschungsprojektes „Verbesserte Integration des Fahrrads in den öffentlichen Verkehr – Systematische Erschließung von Handlungsoptionen und Bewertung von Best-Practices“ erarbeitet. Das Projekt wurde vom Bundesministerium für Verkehr und digitale Infrastruktur (BMVI) aus Mitteln zur Umsetzung des Nationalen Radverkehrsplans gefördert.
L’année 2014 a vu naître une multitude d’initiatives – médiatiques, éditoriales, académiques, muséales, pédagogiques … – en rapport avec le centenaire de la Première Guerre mondiale. Cette vague mémorielle était attendue en France où l’intérêt pour ce conflit n’a cessé de s’accroitre depuis les années 1980. Elle était plus improbable en Allemagne où cet intérêt est depuis longtemps bien moindre; elle n’y a été que plus remarquable. Parmi les initiatives universitaires qui ont vu le jour en 2014, un colloque tenu en mai à Francfort-sur-le-Main s’intéressait à sa manière aux événements survenus un siècle plus tôt: il s’agissait moins d’aborder le déclenchement de la guerre sous l’angle des relations diplomatiques que d’éclairer le contexte mental d’avant-guerre pour y déceler les conditions ayant rendu possible l’éclatement d’un conflit de grande ampleur. ...
Students of computer science studies enter university education with very different competencies, experience and knowledge. 145 datasets collected of freshmen computer science students by learning management systems in relation to exam outcomes and learning dispositions data (e. g. student dispositions, previous experiences and attitudes measured through self-reported surveys) has been exploited to identify indicators as predictors of academic success and hence make effective interventions to deal with an extremely heterogeneous group of students.
Die 8. Fachtagung für Hochschuldidaktik der Informatik (HDI) fand im September 2018 zusammen mit der Deutschen E-Learning Fachtagung Informatik (DeLFI) unter dem gemeinsamen Motto "Digitalisierungswahnsinn? – Wege der Bildungstransformationen" in Frankfurt statt.
Dabei widmet sich die HDI allen Fragen der informatischen Bildung im Hochschulbereich. Schwerpunkte bildeten in diesem Jahr u. a.:
– Analyse der Inhalte und anzustrebenden Kompetenzen in Informatikveranstaltungen
– Programmieren lernen & Einstieg in Softwareentwicklung
– Spezialthemen: Data Science, Theoretische Informatik und Wissenschaftliches Arbeiten
Die Fachtagung widmet sich ausgewählten Fragestellungen dieser Themenkomplexe, die durch Vorträge ausgewiesener Experten und durch eingereichte Beiträge intensiv behandelt werden.
Nine species of Navasoleon (Neuroptera: Myrmeleontidae: Nemoleontini) are recognized in the present work with the description of seven new species: N. amazonas Stange, N. brasiliensis Miller, N. egeri Stange, N. lithophilus Miller, N. lotti Stange, N. tarsalis Miller, and N. venezolanus Stange. Navasoleon bosqui (Navás) is designated a nomen dubium. A key to the species is provided as well as to the genera of Nemoleontini with closing pretarsal claws. The larvae of two species are described and keyed with biological notes. Biological data presented in Miller and Stange (1985), erroneously attributed to N. bolivianus (Banks), has now been corrected to N. lithophilus. Included in this treatise are 71 color photographs including photos of male and female terminalia, male genitalia, and two species of larvae.
A new species of leaf insect, Phyllium (Phyllium) letiranti Cumming and Teemsma, new species (Phasmida: Phylliidae), is described from a series of males, females, and eggs from Peleng Island, Indonesia. This new species is the first record of the family Phylliidae on the island and is here differentiated from congeners. Keys to males, females, and eggs of the Phyllium species of Sulawesi and Peleng islands are included within.
Viscum album L. extracts (VE) are applied as complementary cancer therapeutics for more than one century. Extracts contain several compounds like mistletoe lectins (ML) 1-3 and viscotoxins, but also several minor ingredients. Since ML-1 has been described as one of the main active components harboring antitumor activity, purified native or recombinant ML-1 has been also used in clinical trials in the last years. The present study examined and compared the immunoboosting effects of three ML-1 containing drugs (the extract ISCADOR Qu, the recombinant ML-1 Aviscumine, and purified native ML-1) in the context of the T-cell mediated killing of glioma cells. Additionally we examined the possible underlying T-cell stimulating mechanisms. Using cocultures of immune and glioma cells, a PCR-based microarray, quantitative RT-PCR, and an antibody-based array to measure cytokines in blood serum, immunosupporting effects were determined. A highly aggressive, orthotopic, immunocompetent syngeneic mouse glioma model was used to determine the survival of mice treated with ISCADOR Qu alone or in combination with tumor irradiation and temozolomide (TMZ). Treatment of glioblastoma (GBM) cells with ISCADOR Qu that contains a high ML concentration, but also viscotoxins and other compounds, as well as with Aviscumine or native ML-1, enhanced the expansion of cancer cell-specific T-cells as well as T-cell-mediated tumor cell lysis, but to a different degree. In GBM cells all three ML-1-containing preparations modulated the expression of immune response associated genes. In vivo, subcutaneous ISCADOR Qu injections at increasing concentration induced cytokine release in immunocompetent VM/Dk-mice. Finally, ISCADOR Qu, if applied in combination with tumor irradiation and TMZ, further prolonged the survival of glioma mice. Our findings indicate that ML-1 containing drugs enhance anti-GBM immune responses and work in synergy with radiochemotherapy. Therefore, adjuvant mistletoe therapy should be considered as an auspicious treatment option for glioma patients.
Dating of extensive alluvial fan surfaces and fluvial features in the hyperarid core of the Atacama Desert, Chile, using cosmogenic nuclides provides unrivalled insights about the onset and variability of aridity. The predominantly hyperarid conditions help to preserve the traces of episodic climatic and/or slow tectonic change. Utilizing single clast exposure dating with cosmogenic 10Be and 21Ne, we determine the termination of episodes of enhanced fluvial erosion and deposition occurring at ~19, ~14, ~9.5 Ma; large scale fluvial modification of the landscape had ceased by ~2–3 Ma. The presence of clasts that record pre-Miocene exposure ages (~28 Ma and ~34 Ma) require stagnant landscape development during the Oligocene. Our data implies an early onset of (hyper-) aridity in the core region of the Atacama Desert, interrupted by wetter but probably still arid periods. The apparent conflict with interpretation that favour a later onset of (hyper-) aridity can be reconciled when the climatic gradients within the Atacama Desert are considered.
Chimeric antigen receptor (CAR) T cells brought substantial benefit to patients with B‐cell malignancies. Notwithstanding, CAR T‐cell manufacturing requires complex procedures impeding the broad supply chain. Here, we provide evidence that human CD19‐CAR T cells can be generated directly in vivo using the lentiviral vector CD8‐LV specifically targeting human CD8+ cells. Administration into mice xenografted with Raji lymphoma cells and human peripheral blood mononuclear cells led to CAR expression solely in CD8+ T cells and efficacious elimination of CD19+ B cells. Further, upon injection of CD8‐LV into mice transplanted with human CD34+ cells, induction of CAR T cells and CD19+ B‐cell depletion was observed in 7 out of 10 treated animals. Notably, three mice showed elevated levels of human cytokines in plasma. Tissue‐invading CAR T cells and complete elimination of the B‐lymphocyte‐rich zones in spleen were indicative of a cytokine release syndrome. Our data demonstrate the feasibility of in vivo reprogramming of human CD8+ CAR T cells active against CD19+ cells, yet with similar adverse effects currently notorious in the clinical practice.
Aberrant activation of hedgehog (Hh) signaling has been observed in a wide variety of tumors and accounts for more than 25% of human cancer deaths. Inhibitors targeting the Hh signal transducer Smoothened (SMO) are widely used and display a good initial efficacy in patients suffering from basal cell carcinoma (BCC); however, a large number of patients relapse. Though SMO mutations may explain acquired therapy resistance, a growing body of evidence suggests that the non-canonical, SMO-independent activation of the Hh pathway in BCC patients can also account for this adverse effect. In this review, we highlight the importance of glioma-associated oncogene (GLI) transcription factors (the main downstream effectors of the canonical and the non-canonical Hh cascade) and their putative role in the regulation of multiple oncogenic signaling pathways. Moreover, we discuss the contribution of the Hh signaling to malignant transformation and propose GLIs as central hubs in tumor signaling networks and thus attractive molecular targets in anti-cancer therapies.
So vielfältig das Studienangebot, so vielfältig sind auch die Studierenden der Goethe-Universität: Ob Bildungsbiographie oder soziale Herkunft, kultureller Hintergrund oder Lebensumstände—die Frankfurter Studierenden sind ein Spiegel der für Stadt und Region charakteristischen Diversität. Das bietet große Chancen für wechselseitiges Lernen, stellt die Universität aber auch vor Herausforderungen. Eine der größten dieser Herausforderungen ist, bei der Weiterentwicklung von Studium und Lehre die Bedürfnisse einer in sich heterogenen Studierendenschaft konstruktiv aufzugreifen. Neben einer regelmäßigen Rückmeldung der Studierenden (etwa im Rahmen der Lehrveranstaltungs- oder Studiengangsevaluation) und studentischem Engagement in universitären Gremien bedarf es hierfür einer fundierten Datenbasis. ...
Behavioural traits of individual homing pigeons, Columba livia f. domestica, in their homing flights
(2018)
Homing tracks of two groups of pigeons, Columba livia f. domestica, were analyzed in view of difference between individual birds and correlations between characteristic variables, looking at the initial phase while the pigeons were still at the release site, and the homing phase separately. Individual birds differed significantly in their flying speed during the initial phase, and one pigeon tended to stay longer at the release site than the others. There were no significant differences in steadiness and efficiency, indicating that all pigeons homed equally well. Differences in correlation dimension, a variable reflecting the complexity of the navigational process, reflect differences in the use of navigational information, with one bird apparently using less complex information than others. The flying speed during the initial phase was positively correlated with the flying speed during the homing phase. During the homing phase, the steadiness of flight and the efficiency of homing were closely correlated, and both tended to be positively correlated with the correlation dimension, suggesting that birds that use more complex navigational information home more efficiently.
The regulation of temporo-spatial compartmentalization of protein synthesis is of crucial importance for a variety of physiologic cellular functions. Here, we demonstrate that the cell membrane-anchored disintegrin metalloproteinase ADAM15, upregulated in a variety of aggressively growing tumor cells, in the hyperproliferative synovial membrane of inflamed joints as well as in osteoarthritic chondrocytes, transiently binds to poly(A) binding protein 1 (PABP) in cells undergoing adhesion. The cytoplasmic domain of ADAM15 was shown to selectively interact with the proline-rich linker of PABP. Immunostainings of adhesion-triggered cells demonstrate an ADAM15-dependent recruitment of PABP to cell membrane foci coinciding with ongoing mRNA translation as visualized by the detection of puromycin-terminated polypeptides. Moreover, the increase in cell membrane-associated neosynthesis of puromycylated proteins upon induction of cell adhesion was proven linked to ADAM15 expression in HeLa and ADAM15-transfected chondrocytic cells. Thus, down regulation of ADAM15 by siRNA and/or the use of a cell line transfected with a mutant ADAM15-construct lacking the cytoplasmic tail resulted in a considerable reduction in the amount of cell membrane-associated puromycylated proteins formed during induced cell adhesion.
These results provide first direct evidence for a regulatory role of ADAM15 on mRNA translation at the cell membrane that transiently emerges in response to triggering cell adhesion and might have potential implications under pathologic conditions of matrix remodeling associated with ADAM15 upregulation.
The authors relax the standard assumption in the dynamic stochastic general equilibrium (DSGE) literature that exogenous processes are governed by AR(1) processes and estimate ARMA (p,q) orders and parameters of exogenous processes. Methodologically, they contribute to the Bayesian DSGE literature by using Reversible Jump Markov Chain Monte Carlo (RJMCMC) to sample from the unknown ARMA orders and their associated parameter spaces of varying dimensions.
In estimating the technology process in the neoclassical growth model using post war US GDP data, they cast considerable doubt on the standard AR(1) assumption in favor of higher order processes. They find that the posterior concentrates density on hump-shaped impulse responses for all endogenous variables, consistent with alternative empirical estimates and the rigidities behind many richer structural models. Sampling from noninvertible MA representations, a negative response of hours to a positive technology shock is contained within the posterior credible set. While the posterior contains significant uncertainty regarding the exact order, the results are insensitive to the choice of data filter; this contrasts with the authors’ ARMA estimates of GDP itself, which vary significantly depending on the choice of HP or first difference filter.
What institutional arrangements for an independent central bank with a price stability mandate promote good policy outcomes when unconventional policies become necessary? Unconventional monetary policy poses challenges. The large scale asset purchases needed to counteract the zero lower bound on nominal interest rates have uncomfortable fiscal and distributional consequences and require central banks to assume greater risks on their balance sheets.
In his paper, Athanasios Orphanides draws lessons from the experience of the Bank of Japan (BoJ) since the late 1990s for the institutional design of independent central banks. He comes to the conclusion that lack of clarity on the precise definition of price stability, coupled with concerns about the legitimacy of large balance sheet expansions, hinders policy: It encourages the central bank to eschew the decisive quantitative easing needed to reflate the economy and instead to accommodate too-low inflation. The BoJ’s experience with the zero lower bound suggests important benefits from a clear definition of price stability as a symmetric 2% goal for inflation, which the Bank adopted in 2013.
Für Zwecke des privaten Konsums werden ständig Gegenwarts- und Zukunftsgüter bewertet und gehandelt. Ein zuverlässiges und umfassendes Maß für die allgemeine Kaufkraft des Geldes und deren Veränderung sollte diesem Grundsachverhalt Rechnung tragen. Im Unterschied zu konventionellen statistischen Verbraucherpreisindizes ist ein ökonomischer Lebenskostenindex intertemporal angelegt, da er die effektiven Konsumgüterpreise (Effektivpreise) über den Planungshorizont der privaten Haushalte bündelt. Ein Preisstabilitätsstandard, der diesen Zusammenhang ausblendet, ist tendenziell verzerrt und leistet einer asymmetrischen Geldpolitik Vorschub.
Effektivpreise sind Gegenwartspreise für künftigen Konsum, sie berücksichtigen Güterpreise und Zinsen bzw. Vermögenspreisänderungen, sind konsumtheoretisch und wohlfahrtsökonomisch fundiert und bilden die zentralen Bausteine für die Modellklasse der ökonomischen Lebenskostenindizes. Nutzentheoretisch gesehen sind Effektivpreise bewerteter Grenznutzen der letzten konsumierten Gütereinheit, und die daraus abgeleiteten Effektiven Inflationsraten sind intertemporale Grenzraten der Substitution.
Die Autoren entwickeln einen intertemporalen Lebenskostenindex auf der Grundlage des Konzepts der Effektivpreise und stellen empirische Zeitreihen und kohortenspezifische Szenarioanalysen für Deutschland vor.
The paper illustrates based on an example the importance of consistency between the empirical measurement and the concept of variables in estimated macroeconomic models. Since standard New Keynesian models do not account for demographic trends and sectoral shifts, the authors proposes adjusting hours worked per capita used to estimate such models accordingly to enhance the consistency between the data and the model. Without this adjustment, low frequency shifts in hours lead to unreasonable trends in the output gap, caused by the close link between hours and the output gap in such models.
The retirement wave of baby boomers, for example, lowers U.S. aggregate hours per capita, which leads to erroneous permanently negative output gap estimates following the Great Recession. After correcting hours for changes in the age composition, the estimated output gap closes gradually instead following the years after the Great Recession.
Über Scheinriesen: Was TARGET-Salden tatsächlich bedeuten : eine finanzökonomische Überprüfung
(2018)
Der TARGET-Saldo der Bundesbank beläuft sich gegenwärtig auf knapp 1 Billion Euro. Kritikern zufolge birgt dieser Umstand hohe Lasten und Risiken für den deutschen Steuerzahler und zeigt, dass Deutschland zu einem „Selbstbedienungsladen“ im Eurosystem geworden sei. Vor diesem Hintergrund erörtert das Papier im Detail, wie TARGET-Salden überhaupt entstehen und was sie finanzökonomisch bedeuten. Die wirtschaftspolitische Analyse kommt zu dem Schluss, dass - anders als von den Kritikern behauptet- unter den Bedingungen einer Währungsunion im Normalbetrieb - TARGET-Salden lediglich Verrechnungssalden ohne weitere Implikationen sind, die aber nützliche Informationen über ökonomisch tieferliegende, regionale Verschiebungen geben können. Unter dem Extremszenario eines Zerfalls der Währungsunion können TARGET-Salden zwar als offene Positionen interpretiert werden, deren spätere Erfüllung würde aber ähnlich dem Brexit von komplizierten politischen Verhandlungen abhängen, sodass über die Werthaltigkeit allenfalls spekuliert werden kann. Sollte man das Extremszenario für bedeutend halten, und politisches Handeln fordern, erscheinen zwei Lösungen sinnvoll. Beide Vorschläge führen zu einer institutionellen Stärkung der Eurozone: i) die Einführung einer Tilgungspraxis, wie sie im US-amerikanischen Fedwire-System angewandt wird. Dabei handelt es sich um eine rein fiktive Tilgung in Form einer Umbuchung auf einem gemeinsamen (Offenmarkt-)Konto bei der EZB; ii) die Bündelung aller monetären Aktivitäten bei der EZB, sodass eine regionale Abgrenzung von Zahlungsvorgängen entfällt (und damit die TARGET-Salden verschwinden), weil alle Banken in direkter Beziehung zu ein und derselben Zentralbank stehen und der Zahlungsverkehr direkt zwischen den beteiligten Banken stattfindet.
Background: Atakora mountains in Benin are a unique but fragile ecosystem, harboring many endemic plant species. The ecosystem is undergoing degradation, and the woody vegetation is dramatically declining due to high anthropogenic actions and recurrent drought. This study aimed to (i) assess the diversity of threatened woody species and (ii) identify their potential substitutes in the three regions of the Atakora mountains namely East Atakora, Central Atakora, and West Atakora.
Methods: The data were collected during expeditions on surveyed localities through semi-structured individual interviews. Free-listing was used to record threatened woody species and which were important and why. Alpha-diversity indices were used to assess diversity of threatened and important threatened woody species. A correspondence analysis was used to determine the reason supporting their importance. Differences in species composition were assessed using analysis of similarities. A number of potential substitutes were compared among species using generalized linear models.
Results: A total of 117 woody species (37 families and 92 genera) were identified. The most prominent families were Fabaceae (19.66%), Combretaceae (12.82%), and Moraceae (10.26%), and the richest genera were Ficus (10 species), Combretum (6), and Terminalia (5). Most threatened species differed across regions (East Atakora, Central Atakora, and West Atakora) and included Afzelia africana, Anogeissus leiocarpa, Borassus aethiopum, Diospyros mespiliformis, Khaya senegalensis, Milicia excelsa, and Pterocarpus erinaceus. Most socio-economically important species (K. senegalensis, Parkia biglobosa, Vitellaria paradoxa, and V. doniana) were used mainly for food, timber, and fuelwood purposes. Old and adult people, and Dendi and Fulfulde sociolinguistic groups had greater knowledge of threatened woody plant species. High intercultural differentiations in species composition were detected between Bariba-Berba and Bariba-Natimba. Knowledge of substitutes also differed across regions with P. erinaceus, Isoberlinia spp., and A. africana being the most cited substitutes.
Conclusion: Basic data was provided here to inform decision and guide efficient management of woody resources. There was evidence that immediate conservation measures are required for some high economic value woody taxa which were critically threatened. Ex-situ conservation of these species while promoting their integration into agroforestry-based systems were recommended. Besides, community-based management programs and community-led initiatives involving knowledgeable people from different horizons will lead to a long-lasting conservation of these threatened resources.
Background: Recently, public and political interest has focused on people living with rare diseases and their health concerns. Due to the large number of different types of rare diseases and the sizable number of patients, taking action to improve the life of those affected is gaining importance. In 2013, the federal government of Germany adopted a national action plan for rare diseases, including the call to establish a central information portal on rare diseases (Zentrales Informationsportal über seltene Erkrankungen, ZIPSE).
Objective: The objective of this study, therefore, was to conduct scientific research on how such a portal must be designed to meet the needs of patients, their families, and medical professionals, and to provide high-quality information for information seekers.
Methods: We chose a 3-step procedure to develop a needs-based prototype of a central information portal. In the first step, we determined the information needs of patients with rare diseases, their relatives, and health care professionals by means of qualitative interviews and their content-analytical evaluation. On the basis of this, we developed the basic structure of the portal. In the second step, we identified quality criteria for websites on rare diseases to ensure that the information linked with ZIPSE meets the quality demands. Therefore, we gathered existing criteria catalogs and discussed them in an expert workshop. In the third step, we implemented and tested the developed prototypical information portal.
Results: A portal page was configured and made accessible on the Web. The structure of ZIPSE was based on the findings from 108 qualitative interviews with patients, their relatives, and health care professionals, through which numerous information needs were identified. We placed particularly important areas of information, such as symptoms, therapy, research, and advisory services, on the start page. Moreover, we defined 13 quality criteria, referring to factors such as author information, creation date, and privacy, enabling links with high-quality information. Moreover, 19 users tested all the developed routines based on usability and comprehensibility. Subsequently, we improved the visual presentation of search results and other important search functions.
Conclusions: The implemented information portal, ZIPSE, provides high-quality information on rare diseases from a central point of access. By integrating the targeted groups as well as different experts on medical information during the construction, the website can assure an improved search for information for users. ZIPSE can also serve as a model for other Web-based information systems in the field of rare diseases.
Registered Report Identifier: RR1-10.2196/7425.
Objective: To conduct subset analyses of SPIRIT-P2 (Standard Protocol Items: Recommendations for Interventional Trials, NCT02349295) to investigate the efficacy and safety of ixekizumab versus placebo in three subgroups of patients with active psoriatic arthritis (PsA) according to the concomitant conventional synthetic disease-modifying antirheumatic drug (cDMARD) received: any background cDMARDs (including methotrexate), background methotrexate only
Methods: Patients were randomised to receive placebo, ixekizumab 80 mg every 4 weeks (IXEQ4W) or every 2 weeks (IXEQ2W). Efficacy and safety were assessed when patients were subdivided according to cDMARD use at baseline. Efficacy was evaluated versus placebo at week 24 by the American College of Rheumatology criteria (ACR20/50), achievement of minimal disease activity (MDA) state, DiseaseActivityIndex for PsA (DAPSA), 28-joint DiseaseActivityScore using C reactive protein (DAS28-CRP), HealthAssessmentQuestionnaire-Disability Index and the 36-item Short-Form health survey physical functioning domain.
Results: Regardless of background cDMARD status, ACR20, ACR50 and MDA response rates were significantly higher than placebo with IXEQ4W or IXEQ2W treatment. Similarly, significant improvements were observed relative to placebo for DAS28-CRP and DAPSA across subgroups. Physical function also significantly improved relative to placebo with IXEQ4W treatment regardless of background cDMARD status and with IXEQ2W alone. Percentages of reported treatment emergent adverse events (AEs), serious AEs (including serious infections) and discontinuations due to AEs in each subgroup were comparable to the overall SPIRIT-P2 population.
Conclusion: Ixekizumab was efficacious in patients with active PsA and previous tumour necrosis factor inhibitor (TNFi)inadequate response or TNFi intolerance treated with ixekizumab alone or when added to cDMARDswith subgroup safety profiles that were consistent with that observed in the overall SPIRIT-P2 population.
80'li ve 90'lı yıllarda çeviribilim çalışmaları yaşanan kültürel dönemeç (Cultural turn) ile yeni ve bütüncül yaklaşımlarla ele alınmaya başlanmıştır. O tarihe kadar geliştirilmiş yaklaşımlardaki yapısalcı tutum, çeviriyi anlamak ve tanımlamak açısından yetersiz kaldığı nedeniyle çeviride işlev odaklı yaklaşımlara ağırlıklı olarak yer verilmeye başlanmıştır. Reiβ / Vermeer’in (1984) "Skopos Kuramı" yaklaşımı, dil ve kültürbilimin bir parçası olarak kabul etmektedirler. Bu kuram çerçevesinde çeviri örnekleri irdelenecek ve işlev odaklı çeviri yaklaşımının kültürel öğelerin çevirisi için ne gibi açılımlar sağladığı incelenecektir. Bu bağlamda işlev odaklı çeviri sürecinin birbirinden farklı dilsel ve kültürel edince sahip olan çevirmen adaylarının çeviri yaklaşımlarına nasıl yansıdığı gözlemlenecektir. Bu amaçla farklı dilsel ve kültürel edince sahip çevirmen adayların çeviri sürecinde hangi çeviri yaklaşımını benimsedikleri ve bu çevimen adaylarının işlev odaklı çeviriye ne ölçüde yaklaşabildikleri üzerinde durulacaktır. Ayrıca bu süreç içerisinde bu iki farklı grubun uyguladığı çeviri stratejilerinde fark ve benzerliklerin niteliği incelenecektir. Bu bağlamda çevirmen adaylarının çeviri örnekleri incelenmiş, işlev odaklı çeviriye ne ölçüde yaklaşıldığı ortaya konmaya çalışılmıştır. Elde edilen sonuçlar birbirinden farklı dilsel ve kültürel edince sahip iki grubun farklı çevirmen tutumlarını beraberinde getirdiğini ve işlev odaklı çeviride de farklı sonuçlara götürdüğünü ortaya koymuştur. Bu inceleme işlev odaklı çevirinin süreçleri hakkında yeni açılımlara varmayı amaçlamaktadır.
Cardiovascular disease remains a leading cause of morbidity and mortality globally. Changing natural history of the disease due to improved care of acute conditions and ageing population necessitates new strategies to tackle conditions which have more chronic and indolent course. These include an increased deployment of safe screening methods, life-long surveillance, and monitoring of both disease activity and tailored-treatment, by way of increasingly personalized medical care. Cardiovascular magnetic resonance (CMR) is a non-invasive, ionising radiation-free method, which can support a significant number of clinically relevant measurements and offers new opportunities to advance the state of art of diagnosis, prognosis and treatment. The objective of the SCMR Clinical Trial Taskforce was to summarizes the evidence to emphasize where currently CMR-guided clinical care can indeed translate into meaningful use and efficient deployment of resources results in meaningful and efficient use. The objective of the present initiative was to provide an appraisal of evidence on analytical validation, including the accuracy and precision, and clinical qualification of parameters in disease context, clarifying the strengths and weaknesses of the state of art, as well as the gaps in the current evidence This paper is complementary to the existing position papers on standardized acquisition and post-processing ensuring robustness and transferability for widespread use. Themed imaging-endpoint guidance on trial design to support drug-discovery or change in clinical practice (part II), will be presented in a follow-up paper in due course. As CMR continues to undergo rapid development, regular updates of the present recommendations are foreseen.
Aufbauend auf der ersten universitätsweiten Studierendenbefragung von 2012/13 wurde im Wintersemester 2016/17 im Rahmen einer fächer- und statusgruppenübergreifenden Arbeitsgruppe unter der Leitung der zu diesem Zeitpunkt amtierenden Vizepräsidentin für Studium und Lehre auf Grundlage der ersten Studierendenbefragung der Basisfragebogen für eine zweite universitätsweite Studierendenbefragung weiterentwickelt. Es flossen dabei außerdem Ergebnisse von aktuellen bundesweiten sowie an anderen Hochschulen erfolgten Studierendenbefragungen in den Arbeitsprozess. ...
We investigate the characteristics of infrastructure as an asset class from an investment perspective of a limited partner. While non U.S. institutional investors gain exposure to infrastructure assets through a mix of direct investments and private fund vehicles, U.S. investors predominantly invest in infrastructure through private funds. We find that the stream of cash flows delivered by private infrastructure funds to institutional investors is very similar to that delivered by other types of private equity, as reflected by the frequency and amounts of net cash flows. U.S. public pension funds perform worse than other institutional investors in their infrastructure fund investments, although they are exposed to underlying deals with very similar project stage, concession terms, ownership structure, industry, and geographical location. By selecting funds that invest in projects with poor financial performance, U.S. public pension funds have created an implicit subsidy to infrastructure as an asset class, which we estimate within the range of $730 million to $3.16 billion per year depending on the benchmark.
Direct financing of consumer credit by individual investors or non-bank institutions through an implementation of marketplace lending is a relatively new phenomenon in financial markets. The emergence of online platforms has made this type of financial intermediation widely available. This paper analyzes the performance of marketplace lending using proprietary cash flow data for each individual loan from the largest platform, Lending Club. While individual loan characteristics would be important for amateur investors holding a few loans, sophisticated lenders, including institutional investors, usually form broad portfolios to benefit from diversification. We find high risk-adjusted performance of approximately 40 basis points per month for these basic loan portfolios. This abnormal performance indicates that Lending Club, and similar marketplace lenders, are likely to attract capital to finance a growing share of the consumer credit market. In the absence of a competitive response from traditional credit providers, these loans lower costs to the ultimate borrowers and increase returns for the ultimate lenders.
We study the relevance of signaling and marketing as explanations for the discount control mechanisms that a closed-end fund may choose to adopt in its prospectus. These policies are designed to narrow the potential gap between share price and net asset value, measured by the fund’s discount. The two most common discount control mechanisms are explicit discretion to repurchase shares based on the magnitude of the fund discount and mandatory continuation votes that provide shareholders the opportunity to liquidate the fund. We find very limited evidence that a discount control mechanism serves as costly signal of information. Funds with mandatory voting are not more likely to delist than the rest of the CEFs in general or whenever the fund discount is large. Similarly, funds that explicitly discuss share repurchases as a potential response do not subsequently buy back shares more often when discounts do increase. Instead, the existence of these policies is more consistent with marketing explanations because the policies are associated with an increased probability of issuing more equity in subsequent periods.
This paper investigates how biases in macroeconomic forecasts are associated with economic surprises and market responses across asset classes around US data announcements. We find that the skewness of the distribution of economic forecasts is a strong predictor of economic surprises, suggesting that forecasters behave strategically (rational bias) and possess private information. Our results also show that consensus forecasts of US macroeconomic releases embed anchoring. Under these conditions, both economic surprises and the returns of assets that are sensitive to macroeconomic conditions are predictable. Our findings indicate that local equities and bond markets are more predictable than foreign markets, currencies and commodities. Economic surprises are found to link to asset returns very distinctively through the stages of the economic cycle, whereas they strongly depend on economic releases being inflation- or growth-related. Yet, when forecasters fail to correctly forecast the direction of economic surprises, regret becomes a relevant cognitive bias to explain asset price responses. We find that the behavioral and rational biases encountered in US economic forecasting also exists in Continental Europe, the United Kingdom and Japan, albeit, to a lesser extent.
In the secondary art market, artists play no active role. This allows us to isolate cultural influences on the demand for female artists’ work from supply-side factors. Using 1.5 million auction transactions in 45 countries, we document a 47.6% gender discount in auction prices for paintings. The discount is higher in countries with greater gender inequality. In experiments, participants are unable to guess the gender of an artist simply by looking at a painting and they vary in their preferences for paintings associated with female artists. Women's art appears to sell for less because it is made by women.
While record-making prices at art auctions receive headline news coverage, artists typically do not receive any direct proceeds from those sales. Early-stage creative work in any field is perennially difficult to value, but the valuation, reward, and incentivization for artistic labor are particularly fraught. A core challenge in studying the real return on artists’ work is the extreme difficulty accessing data from when an artwork was first sold. Galleries keep private records that are difficult to access and to match to public auction results. This paper, for the first time, uses archivally sourced primary market records, for the artists Jasper Johns and Robert Rauschenberg. Although this approach restricts the size of the data set, this innovative method shows much more accurate returns on art than typical regression and hedonic models. We find that if Johns and Rauschenberg had retained 10% equity in their work when it was first sold, the returns to them when the work was resold at auction would have outperformed the US S&P 500 by between 2 and 986 times. The implication of this work opens up vast policy recommendations with regard to secondary art market sales, entrepreneurial strategies using blockchain technology, and implications about how we compensate creative work.
We study the introduction of single-market liquidity provider incentives in fragmented securities markets. Specifically, we investigate whether fee rebates for liquidity providers enhance liquidity on the introducing market and thereby increase its competitiveness and market share. Further, we analyze whether single-market liquidity provider incentives increase overall market liquidity available for market participants. Therefore, we measure the specific liquidity contribution of individual markets to the aggregate liquidity in the fragmented market environment. While liquidity and market share of the venue introducing incentives increase, we find no significant effect for turnover and liquidity of the whole market.
Cells within a tissue form highly complex, cellular interactions. This architecture is lost in twodimensional cell cultures. To close the gap between two-dimensional cell cultures and in vivo tissues, three-dimensional cell cultures were developed. Three-dimensional cellular aggregates such as spheroids, organoids, or embryoid bodies have been established as an essential tool in many different aspects of life science, including tumour biology, drug screening and embryonic development. To fully take advantage of the third dimension, imaging techniques are essential. The emerging field of “imagebased systems biology” exploits the information in images and builds a connection between experimental and theoretical investigation of biological processes at a spatio-temporal level. Such interdisciplinary approaches strongly depend on the development of protocols to establish threedimensional cell cultures, innovations in sample preparation, well-suited imaging techniques and quantitative segmentation methods.
Although three-dimensional cell cultures and image-based systems biology provide a great potential, two-dimensional methods are still not completely replaced by three-dimensional methods. The knowledge about many biological processes relies on two-dimensional experiments. This is mainly due to methodical and technical hurdles. Therefore, this thesis provides a significant contribution to overcome these hurdles and to further develop three-dimensional cell cultures. I established computational as well as experimental methods related to three-dimensional cellular aggregates and investigated fundamental, cellular processes such as adhesion, growth and differentiation.
Introduction Current: evidence suggests that the loss of mechanoreceptors after anterior cruciate ligament (ACL) tears might be compensated by increased cortical motor planning. This occupation of cerebral resources may limit the potential to quickly adapt movements to unforeseen external stimuli in the athletic environment. To date, studies investigating such neural alterations during movement focused on simple, anticipated tasks with low ecological validity. This trial, therefore, aims to investigate the cortical and biomechanical processes associated with more sport-related and injury-related movements in ACL-reconstructed individuals.
Methods and analysis: ACL-reconstructed participants and uninjured controls will perform repetitive countermovement jumps with single leg landings. Two different conditions are to be completed: anticipated (n=35) versus unanticipated (n=35) successful landings. Under the anticipated condition, participants receive the visual information depicting the requested landing leg prior to the jump. In the unanticipated condition, this information will be provided only about 400 msec prior to landing. Neural correlates of motor planning will be measured using electroencephalography. In detail, movement-related cortical potentials, frequency spectral power and functional connectivity will be assessed. Biomechanical landing quality will be captured via a capacitive force plate. Calculated parameters encompass time to stabilisation, vertical peak ground reaction force, and centre of pressure path length. Potential systematic differences between ACL-reconstructed individuals and controls will be identified in dependence of jumping condition (anticipated/ unanticipated, injured/uninjured leg and controls) by using interference statistics. Potential associations between the cortical and biomechanical measures will be calculated by means of correlation analysis. In case of statistical significance (α<0.05.) further confounders (cofactors) will be considered.
Ethics and dissemination: The independent Ethics Committee of the University of Frankfurt (Faculty of Psychology and Sports Sciences) approved the study. Publications in peer-reviewed journals are planned. The findings will be presented at scientific conferences.
Trial status: At the time of submission of this manuscript, recruitment is ongoing.
Trial registration number: NCT03336060; Pre-results.
Background: Conversion from calcineurin inhibitor (CNI) therapy to a mammalian target of rapamycin (mTOR) inhibitor following kidney transplantation may help to preserve graft function. Data are sparse, however, concerning the impact of conversion on posttransplant diabetes mellitus (PTDM) or the progression of pre-existing diabetes.
Methods: PTDM and other diabetes-related parameters were assessed post hoc in two large open-label multicenter trials. Kidney transplant recipients were randomized (i) at month 4.5 to switch to everolimus or remain on a standard cyclosporine (CsA)-based regimen (ZEUS, n = 300), or (ii) at month 3 to switch to everolimus, remain on standard CNI therapy or convert to everolimus with reduced-exposure CsA (HERAKLES, n = 497).
Results: There were no significant differences in the incidence of PTDM between treatment groups (log rank p = 0.97 [ZEUS], p = 0.90 [HERAKLES]). The mean change in random blood glucose from randomization to month 12 was also similar between treatment groups in both trials for patients with or without PTDM, and with or without pre-existing diabetes. The change in eGFR from randomization to month 12 showed a benefit for everolimus versus comparator groups in all subpopulations, but only reached significance in larger subgroups (no PTDM or no pre-existing diabetes).
Conclusions: Within the restrictions of this post hoc analysis, including non-standardized diagnostic criteria and limited glycemia laboratory parameters, these data do not indicate any difference in the incidence or severity of PTDM with early conversion from a CsA-based regimen to everolimus, or in the progression of pre-existing diabetes.
Trial registration: clinicaltrials.gov, NCT00154310 (registered September 2005) and NCT00514514 (registered August 2007); EudraCT (2006-007021-32 and 2004-004346-40).
Reliability and relevance of fair values : private equity investments and investee fundamentals
(2018)
We directly test the reliability and relevance of fair values reported by listed private equity firms (LPEs), where the unit of account for fair value measurement attribute (FVM) is an investment stake in an individual investee company. FVMs are observable for multiple investment stakes, fair values are economically important, and granular data on investee economic fundamentals that should underpin fair values are available in public disclosures. We find that LPE fund managers determine valuations based on accounting-based fundamentals—equity book value and net income—that are in line with those investors derive for listed companies. Additionally, our findings suggest that LPE fund managers apply a lower valuation weight to investee net income if direct market inputs are unobservable during investment value estimation. We interpret these findings as evidence that LPE fund managers do not appear mechanically to apply market valuation weights for publicly traded investees when determining valuations of non-listed. We also document that the judgments that LPE fund managers apply when determining investee valuations appear to be perceived as reliable by their investors.
We study the impact of transparency on liquidity in OTC markets. We do so by providing an analysis of liquidity in a corporate bond market without trade transparency (Germany), and comparing our findings to a market with full post-trade disclosure (the U.S.). We employ a unique regulatory dataset of transactions of German financial institutions from 2008 until 2014 to find that: First, overall trading activity is much lower in the German market than in the U.S. Second, similar to the U.S., the determinants of German corporate bond liquidity are in line with search theories of OTC markets. Third, surprisingly, frequently traded German bonds have transaction costs that are 39-61 bp lower than a matched sample of bonds in the U.S. Our results support the notion that, while market liquidity is generally higher in transparent markets, a sub-set of bonds could be more liquid in more opaque markets because of investors "crowding" their demand into a small number of more actively traded securities.
This paper analyzes how the combination of borrowing constraints and idiosyncratic risk affects the equity premium in an overlapping generations economy. I find that introducing a zero-borrowing constraint in an economy without idiosyncratic risk increases the equity premium by 70 percent, which means that the mechanism described in Constantinides, Donaldson, and Mehra (2002) is dampened because of the large number of generations and production. With social security the effect of the zero-borrowing constraint is a lot weaker. More surprisingly, when I introduce idiosyncratic labor income risk in an economy without a zero-borrowing constraint, the equity premium increases by 50 percent, even though the income shocks are independent of aggregate risk and are not permanent. The reason is that idiosyncratic risk makes the endogenous natural borrowing limits much tighter, so that they have a similar effect to an exogenously imposed zero-borrowing constraint. This intuition is confirmed when I add idiosyncratic risk in an economy with a zero-borrowing constraint: neither the equity premium nor the Sharpe ratio change, because the zero-borrowing constraint is already tighter than the natural borrowing limits that result when idiosyncratic risk is added.
Gout is the most common arthritic disease in human but was long neglected and therapeutic options are not satisfying. However, with the recent approval of the urate transporter inhibitor lesinurad, gout treatment has experienced a major innovation. Here we show that lesinurad possesses considerable modulatory potency on peroxisome proliferator-activated receptor γ (PPARγ). Since gout has a strong association with metabolic diseases such as type 2 diabetes, this side-activity appears as very valuable contributing factor to the clinical efficacy profile of lesinurad. Importantly, despite robustly activating PPARγ in vitro, lesinurad lacked adipogenic activity, which seems due to differential coactivator recruitment and is characterized as selective PPARγ modulator (sPPARγM).
An der Goethe-Universität wurden im Wintersemester 2017/18 alle Studierenden grundständiger Studiengänge und Masterstudiengänge für die zweite universitätsweite Studierendenbefragung eingeladen (n=45.343) und gebeten Fragen zu ihrer Lebenswirklichkeit und Studiensituation, ihrem soziodemographischen oder bildungsbiographischen Hintergrund zu beantworten sowie Studienbedingungen und Lehrqualität einzuschätzen.
Das Ziel des vorliegenden Gesamtberichts ist die Dokumentation der universitätsweiten Befragungsergebnisse. Insgesamt konnten Antworten von 10.797 Studierende (Rücklauf 24%) in die Auswertungen aufgenommen werden. ...
Kidney injury is a common complication of severe disease. Here, we report that injuries of the zebrafish embryonal kidney are rapidly repaired by a migratory response in 2-, but not in 1-day-old embryos. Gene expression profiles between these two developmental stages identify cxcl12a and myca as candidates involved in the repair process. Zebrafish embryos with cxcl12a, cxcr4b, or myca deficiency display repair abnormalities, confirming their role in response to injury. In mice with a kidney-specific knockout, Cxcl12 and Myc gene deletions suppress mitochondrial metabolism and glycolysis, and delay the recovery after ischemia/reperfusion injury. Probing these observations in zebrafish reveal that inhibition of glycolysis slows fast migrating cells and delays the repair after injury, but does not affect the slow cell movements during kidney development. Our findings demonstrate that Cxcl12 and Myc facilitate glycolysis to promote fast migratory responses during development and repair, and potentially also during tumor invasion and metastasis.
This study was designed to investigate whether epigenetic modulation by histone deacetylase (HDAC) inhibition might circumvent resistance towards the mechanistic target of rapamycin (mTOR) inhibitor temsirolimus in a prostate cancer cell model. Parental (par) and temsirolimus-resistant (res) PC3 prostate cancer cells were exposed to the HDAC inhibitor valproic acid (VPA), and tumor cell adhesion, chemotaxis, migration, and invasion were evaluated. Temsirolimus resistance was characterized by reduced binding of PC3res cells to endothelium, immobilized collagen, and fibronectin, but increased adhesion to laminin, as compared to the parental cells. Chemotaxis, migration, and invasion of PC3res cells were enhanced following temsirolimus re-treatment. Integrin α and β receptors were significantly altered in PC3res compared to PC3par cells. VPA significantly counteracted temsirolimus resistance by down-regulating tumor cell–matrix interaction, chemotaxis, and migration. Evaluation of integrin expression in the presence of VPA revealed a significant down-regulation of integrin α5 in PC3res cells. Blocking studies demonstrated a close association between α5 expression on PC3res and chemotaxis. In this in vitro model, temsirolimus resistance drove prostate cancer cells to become highly motile, while HDAC inhibition reversed the metastatic activity. The VPA-induced inhibition of metastatic activity was accompanied by a lowered integrin α5 surface level on the tumor cells.
In the first part of the thesis we investigate Lyapunov exponents for general flat vector bundles over Riemann surfaces and we describe properties of Lyapunov exponents on special loci of the moduli space of flat vector bundles. In the second part of the thesis we show how the knowledge of Lyapunov exponent over a sporadic Teichmüller curve can be used to compute the algebraic equation of the associated universal family of curves.
The role of the homeobox transcription factor Meis2b in zebrafish heart development and asymmetry
(2018)
Zebrafish heart development: The heart of the zebrafish is the first organ to form and function during embryonic development, and is composed by one atrium and one ventricle. Between 5-17 somites stage, the cardiomyocyte precursors form the bilateral cardiac fields in the anterior lateral plate mesoderm (ALMP); where the endocardial precursors are located anterior to the cardiac fields (Zeng, Wilm et al. 2007). Then, the pools of endocardial andmyocardial precursors fuse at the midline and form the heart disc; where atrial cardiomyocytes are located around, the ventricular cardiomyocytes are located in the centerof the heart disc, and the future endocardium is located in a ventral position relative to the cardiomyocytes (Bakkers 2011). After the heart disc is formed, the cardiomyocyte progenitors start to migrate and rotate asymmetrically to form the heart tube (de Campos-Baptista, Holtzman et al. 2008, Rohr, Otten et al. 2008, Smith, Chocron et al. 2008). This process is followed by a rightward bending of the heart tube, and the arterial and venous poles rotate at different speed and directions (a process known as heart looping) (Smith, Chocron et al. 2008). The heart looping process results in a ventricle located on the right side and a more posterior atrium located on the left side with respect to the midline; at this point the atrium and ventricle are separated by a fine segment called the atrioventricular canal, where the valves will be formed (Staudt and Stainier 2012). The second heart field (SHF) is a pool of cardiac progenitors that are specified later during the formation of the heart disc and until the heart looping stages. The SHF contributes withcells to the distal side of the ventricle, the outflow and inflow tracts, and is important for the specification of the cardiac conduction system (de Pater, Clijsters et al. 2009, Hami, Grimes et al. 2011, Zhou, Cashman et al. 2011, Witzel, Jungblut et al. 2012, Guner-Ataman, Paffett-Lugassy et al. 2013)....
Whereas many writers across all times and cultures have written about the potential aesthetic effects of music experiences which could be labeled as absorption, only limited empirical research has been done on the state aspects of this fascinating aspect of human involvement. What is more, there are still few tested models which explain how people can be absorbed by a piece of music as well as continue to be third-person observers monitoring and even reflecting on that same musical experience (cf. Bryant & Veroff, 2007; Dewey, 2005; Wolf, 2013).
Adopting a dual process approach (Dietrich, 2004; Evans & Stanovich, 2013; Lewis, Tamborini & Weber, 2014; Mukhopadhyay, 2014; Schwarz, 2011; Smith & Neumann, 2005) – in which human thinking, emotion, and routes to appraisal are defined in terms of an interplay between two distinct systems of psychological processing – this thesis aimed to examine a) the cognitive mechanisms underlying the essential yet poorly understood paradox of losing oneself in the music on the one hand, and the act of meta-awareness (i.e., rational and controlled sense of self) on the other, b) its corresponding psycho-phenomenological profile(s) when listening intentionally to self-chosen music, and c) the different potential of state and trait aspects of absorption and meta-awareness in predicting three indicators of the aesthetic response to music: enjoyment (a purely pleasurable response), lasting impression (a meaningful response related to mixed emotion), and behavioral intention (future-planned seeking/ avoidance response). Moreover, a dynamically-conceived conceptualization of absorption was proposed in terms of a temporary phase taking place amidst a variety of other cognitive responses to music, including concentration, mind wandering, and mindfulness. Finally, a questionnaire commonly-used for assessing alterations in consciousness (Phenomenology of Consciousness Inventory; Pekala, 1991) was evaluated in the context of music listening, before using it in the development of a self-report questionnaire aimed at measuring absorptive states in or by music. To this end, a quantitative empirical research method (state and trait questionnaires) was employed in a series of online surveys, using self-selected music as well as pre-determined music by the researcher as stimulus, together approaching a naturalistic listening setting.
Situated within an overarching neurocognitive model for music engagement and consistent with several aesthetic theories converging (Benson, 1993; Dewey, 2005; Wolf, 2013), aesthetic absorption was conceptualized as, and later confirmed to be, structured by experiential and meta-consciousness or – in terms of dual process terminology – intuitive type I and reflective type II processing. Two forms of music absorption were empirically identified and labeled as zoning in and tuning in (cf. Schooler, 2007). These experience profiles distinguished themselves significantly in terms of the degree in which a music listener maintained his or her meta-awareness, assessed via volitional control, rationality, self-awareness, and memory of the previous event. The overall pattern of consciousness parameters of both types of absorbed listening are suggestive of a unique interchanging between brain networks for intuitive processing and areas related to self-reference, -awareness and -control. The distinction between zoning in and tuning in was further found to be strongly related to the quality of affective state (i.e., positive vs. mixed emotions). These emotions modulate the experiential intensity of absorption, suggesting this experience to be an affect-biased type of attention. Based on the feelings-as-information theory (Schwarz, 2011), postulating that positive emotions (e.g., happiness) are differently processed than negatively-tinted types of emotions (e.g., nostalgia), it was concluded that music-induced rumination (a negatively-valenced experience related to the self and represented by the feeling of sadness) ‘competes’ with higher-order functions relevant to meta-awareness. From this perspective, the two found absorption types match conceptually with the positively-tinged self-reflection and negatively-tinged self-rumination as two different types of self-focused introspection (Takano & Tanno, 2009; Trapnell & Campbell, 1999). Further examining the construct’s latent structure, it was shown that being absorbed by music is a continuous phenomenon; a matter of ‘more-or-less’ involvement rather than a ‘unique state of mind’. This finding cautions against subtyping absorption experiences as being qualitatively distinct, and assuming it to be guided by ‘special’ mechanisms. Consequently, determining ‘music absorbers’ is a matter of imprecise estimation rather than being marked by a clear observable onset. Finally, as expected, an absorbed state of mind – operationalized here as a multidimensional bifactor model – completely mediated the effect of trait absorption, and was a good predictor for enjoyment, lasting impression, and behavioral intention. Whereas absorption and enjoyment were found to have a mutual positive effect on each other, absorption and meta-awareness were found to be unrelated to each other. Also, meta-awareness contributed little to aesthetic appreciation. The results confirm the need for a dynamic approach to the relationship between state absorption and enjoyment; the one-directional approach common in many research reports does not seem to fully capture the relationship between them. Future research should examine whether the same applies for absorption and meta-awareness, preferably making use of more advanced measures for the latter.
Taken together, this dissertation shows the potential of including the interplay between the trait and state constructs of absorption and meta-awareness in order to better understand the mechanisms underlying aesthetic experiences with music. The present work demonstrated that these two constructs should not be conflated, but, in terms of dual processing, that they represent different levels of consciousness. Moreover, this thesis underlined the power of absorption not only to evoke short-lived pleasurable experiences, but also to stimulate long-lasting impressions. Knowing more about absorbed listening and its potential effects, learning to consciously recognize it as it happens, and perhaps regulate and maintain its positive consequences (i.e., savoring), could further improve the way we engage ourselves with music or other aesthetic objects. Only then could we engage in behavior that we’re sure would make us happy rather than seeking out experiences which we hope would make us happy.
Finally, dual process approach and measures provided by research on altered-states-of-consciousness (ASC) experiences offer new and fruitful perspectives to conceptualize aesthetic absorption and examine its mechanisms. Several major research questions lie ahead in understanding the phenomenological experience and aesthetic role of absorption, including the future comparison between subjective experiences of ASCs across varying music and non-music induction methods (e.g., hypnosis), listening conditions (e.g., live concert experience), and musical ‘cultures’ (human societies, musical styles, classes).
Das Ziel der vorliegenden Arbeit war es, MALDI-Massenspektrometrie als robuste Analysenmethode für die quantitative Analyse niedermolekularer Verbindungen aus komplexen biologischen Matrizes zu etablieren. Zu Beginn der Arbeit wurden drei typische Fragestellungen im Bereich der Lebensmittelanalytik, der medizinischen Forschung und der klinischen Chemie ausgewählt, um die Methodik anhand dieser Modellsysteme zielgerichtet zu entwickeln und zu bewerten. Für jede dieser Fragestellungen wird routinemäßig ein hoher Probendurchsatz verlangt und damit werden hohe Anforderungen an die Probenvorbereitung gestellt, da diese einfach, schnell, reproduzierbar, Matrix-tolerant und automatisierbar sein muss um die Weiterentwicklung zur Hochdurchsatzanalytik zu erlauben.
Der quantitative Nachweis von Melamin und seinen Derivaten wurde aufgrund des Aufkommens von Milchprodukten, die mit diesen Verbindungen kontaminiert waren, ein wichtiger Bestandteil der Analytik dieser Lebensmittel. Insbesondere an diesem Beispiel zeigte sich der Vorteil des Einsatzes von MALDI-Massenspektrometrie zur Analyse kleiner Moleküle. Aufgrund der höheren Toleranz gegenüber Puffern und Salzen konnte die Probenvorbereitungszeit der für die FDA entwickelten Methode zur Quantifizierung von Melamin in Milchpulver mittels LC-ESI von ca. 140 min auf 90 min reduziert werden, da auf die zeitaufwendige Flüssigchromatographie verzichtet werden konnte. So wurde Melamin mit einem LLOQ von 0,5 ppm quantifiziert, was unterhalb der Vorgaben der WHO (2,5 ppm in Milichpulver und 1 ppm in Babynahrung) lag. Cyanursäure, ein Derivat von Melamin welches für die Bildung schwerlöslicher Komplexe in der Niere mitverantwortlich gemacht wird, konnte ebenfalls mit der entwickelten MALDI-MS Methode quantifiziert werden. Allerdings war die ermittelte Bestimmungsgrenze mit 15 ppm um den Faktor 30 schlechter als bei Melamin. Die Nachweisgrenze bei MALDI-MS ist stark von der MALDI-Matrix abhängig und die Verwendung von Sinapinsäure war eine gute Kompromisslösung, um die Analyten in einem Spot im positiven und negativen Reflektormodus zu analysieren. Allerdings wurde diese Matrix zur Analyse von Analyten im positiven Reflektormodus entwickelt. Bislang wurden nur wenige Matrizes für MALDI-MS im negativen Reflektormodus beschrieben, um z.B. Säuren besser nachweisen zu können. Forschung in diesem Bereich wird neue Möglichkeiten zur Detektion negativ geladener kleiner Moleküle ergeben.
Des Weiteren wurden im Rahmen dieser Arbeit auch Lösungen für klinische Fragestellungen wie etwa den Nachweis von Methylphenidat im Plasma und Gehirn von Ratten oder der Dried Blood Spot Analytik entwickelt. Bei beiden Methoden wurde jeweils nur eine einfache Flüssig-Flüssig-Extraktion zur Probenvorbereitung angewendet und sie ließen sich sehr gut auf Realproben übertragen.
Methylphenidat konnte im Plasma im Konzentrationsbereich von 0,1-40 ng/mL und im Hirnhomogenat im Konzentrationsbereich von 0,4-40 ng/mL quantifiziert werden, was gut im Konzentrationsbereich der Realproben von mit Methylphenidat gefütterten Ratten lag. Dazu standen das Plasma und die Gehirne von fünf Ratten zur Verfügung. Es wurde eine lineare Korrelation zwischen der MPH-Konzentration im Gehirnhomogenat und im Plasma gefunden, was basierend auf den bis dato bekannten Literaturergebnissen ein zu erwartendes Ergebnis war, aber zukünftig mit einer größeren Anzahl von Versuchstieren verifiziert werden sollte. Während der Methodenentwicklung war auch bei diesem Projekt die Auswahl der MALDI-Matrix ausschlaggebend für den Erfolg der Messungen. Im MALDI-Massenspektrum interferierte das Signal des Natriumaddukts von CHCA mit dem Signal von MPH. Für dieses Problem kamen zwei mögliche Lösungen in Betracht. Erstens die Quantifizierung mit ClCCA als MALDI-Matrix, da hier keine Interferenzen auftraten. In ersten Vorversuchen konnte MPH so in einem Konzentrationsbereich von 1-48 ng/mL mit einer exzellenten Linearität von R2=0,9992 quantifiziert werden. Eine zweite mögliche Problemlösung war die Verwendung von Tandem-Massenspektrometrie. Hierzu wurden Fragmentionen-Massenspektren der überlagerten Signale aufgenommen. MPH und der verwendete interne Standard MPH-d9 zeigten dabei spezifische Fragmentionensignale, über die quantifiziert wurde. Da die Sensitivität um den Faktor 100 im Vergleich zu MS-Spektren von CHCA und ClCCA gesteigert werden konnte, wurde die weitere Methodenentwicklung basierend auf der Tandem-Massenspektrometrie mit der MALDI-Matrix CHCA durchgeführt. Überdies sind MS/MS-Versuche unter Verwendung von ClCCA als MALDI-Matrix für kleine Moleküle sehr erfolgsversprechend und sollten in weiteren Forschungsarbeiten durchgeführt werden.
Die Dried Blood Spot Technik als alternative Probenvorbereitung bietet eine Reihe von Vorteilen, wie etwa den einer einfacheren Lagerung und eines einfacheren Transports einer großen Menge von Proben. Darüber hinaus werden nur wenige Mikroliter Blut verwendet, was vorteilhaft ist bei z B. klinischen Studien oder dem Therapeutic Drug Monitoring. Diese Art der Probennahme ist somit eine perfekte Ergänzung für weitere quantitative Analysen von Methylphenidat in Rattenblut. Den Ratten würden nur wenige Mikroliter Blut entnommen werden, was ihr Überleben sichert und der Transport der Proben auf dem Postweg wäre wesentlich einfacher. Um eine allgemein verwendbare DBS-MALDI-MS-Methode zu entwickeln, wurden neben Methylphenidat auch bekannte Analyten aus dem Bereich des Dopings sowie Lamotrigin, Coffein und Theophyllin als Beispiele für das Therapeutic Drug Monitoring verwendet. Es wurden verschiedene Lösungsmittel zur Extraktion eingesetzt, wobei sich eine Kombination aus Methyl-tert-Butylether und Ethanol, sowie Aceton als am besten geeignet erwies. Einige Analyten wie Coffein, Theophyllin und Lamotrigin wurden bis zu einer Konzentration von 0,5 μg/mL quantifiziert. Diese Bestimmungsgrenze ist bei Analyten aus dem Bereich des Dopings wie z.B. Salbutamol, Methylphenidat oder Clenbuterol, deren therapeutisch wirksame Plasmakonzentration im Bereich von wenigen Nanogramm pro Milliliter Blut liegt, um den Faktor 15-500 zu hoch. Diese Analyten waren bis zu einer Konzentration von 5 μg/mL im Blut mittels MALDI-MS problemlos nachweisbar. Um die Sensitivität zu erhöhen, ist es allerdings sinnvoll, die Extraktion zukünftig für die einzelnen Analyten zu optimieren, sie mittels Festphasenextraktion oder LC anzureichern und MS/MS-Spektren aufzunehmen. Für die Analyten Coffein, Theophyllin und Lamotrigin, deren therapeutisch wirksame Plasmakonzentration im ein- bis zweistelligen Mikrogramm-pro-Milliliter Bereich liegt, eignete sich die entwickelte Methode sehr gut. Es wurde eine Methodenvalidierung durchgeführt, wobei die validierten Parameter den Vorgaben der FDA entsprachen.
Da die Auswahl der MALDI-Matrix bei den verschiedenen Methodenentwicklungen jeweils ein kritischer Faktor war, wurden abschließend eine Auswahl von Analyten mit einer Molekülmasse bis ca. 600 Da mit verschiedenen MALDI-Matrizes präpariert. Ein Großteil der Analyten wurde am sensitivsten mit ClCCA nachgewiesen. Im Rahmen dieser Versuche wurde auch erstmals ein Strukturanalogon von ClCCA, und zwar ClCCA-Tetrazol, als alternative MALDI-Matrix eingesetzt, bei welchem die Carboxylgruppe durch einen Tetrazolring ausgetauscht wurde. Diese zeigte eine sehr homogene Kristallisation und für einige Analyten eine bis zu Faktor 3 höhere Signalintensität im Vergleich zu ClCCA. Außerdem war auffällig, dass einige Analyten unter bestimmten Präparationsbedingungen wie z B. der Graphite Supported Preparation sensitiver mittels MALDI-MS nachweisbar waren. Bei anderen Analyten verschlechterten sich die Analysenergebnisse. Graphit verändert stark die Kristallisation der MALDI-Matrix und es wird vermutet, dass sich dies auf den Einbau der Analyten in die Matrixkristalle auswirkt. Es konnte bislang aber noch nicht abschließend geklärt werden, wie genau die Präparation der Proben Einfluss auf den Einbau der Analyten in die Matrix nimmt. Eine Untersuchung dieser Phänomene sollte daher Gegenstand weiterer Forschungsprojekte sein.
Zusammenfassend stellt die MALDI-Massenspektrometrie eine schnelle und robuste Methode zur Quantifizierung einer Vielzahl kleiner Moleküle in komplexen biologischen Matrizes dar.
In order to elucidate the causes for the increased mortality of aged patients with bacterial central nervous system (CNS) infections, we compared the course of Streptococcus pneumoniae (S. pneumoniae) meningitis in aged and young mice. Aged (21.2 ± 3.1 months, n = 40) and young (3.2 ± 0.9 months, n = 42) C57BL/6N and B6/SJL mice were infected by intracerebral injection of 50–70 CFU S. pneumoniae serotype 3 and monitored for 15 days. Aged and young mice did not differ concerning mortality (35% versus 38%), weight loss, development of clinical symptoms, bacterial concentrations in cerebellum and spleen as well as the number of leukocytes infiltrating the CNS. In contrast to results from our geriatric mouse model of Escherichia coli (E. coli) meningitis, where aged mice showed a higher mortality and an impaired elimination of bacteria, we did not find any differences between aged and young mice after intracerebral infection with S. pneumoniae serotype 3. This indicates that the increased susceptibility of aged mice to bacterial CNS infections is pathogen-specific: It appears less prominent in infections caused by hardly phagocytable pathogens with thick capsules like S. pneumoniae serotype 3, where the age-related decline of the phagocytic capacity of microglia and macrophages has a minor influence on the disease course.
Cyclin-dependent kinase (CDK) 4/6 inhibitors have shown great results in numerous clinical trials and have improved the clinical outcome for patients with hormone-receptor-positive, human epidermal growth factor receptor 2-negative advanced breast cancer significantly. To date, three CDK4/6 inhibitors are approved by the US Food and Drug Administration (FDA): palbociclib, ribociclib and abemaciclib; the first two compounds are aproved by the European Medicines Agency (EMA) as well. In combination with endocrine therapy, all of them led to significantly improved progression-free survival compared with endocrine therapy alone. The aim of this article is to give an overview of the efficacy data and to describe the CDK4/6 inhibitor-based treatment-associated adverse events, including hematological and nonhematological adverse events. In addition, it describes the corrrect approach to patient monitoring and adverse event mangement and summarizes the current recommendations for dose reductions and dose interruptions regarding the key adverse events, such as neutropenia, diarrhea, QTc prolongation and hepatobiliary toxicity. Accurate patient monitoring and management of the side effects is crucial, as several clinical trials in early breast cancer are in progress and may lead to an additional approval in the neo-/adjuvant setting.
Aim: To evaluate protective immunosuppressive dose and time-dependent effects of ethanol in an in vitro model of acute inflammation in human Chang liver cells.
Method: The study was performed in 2016 and 2017 in the research laboratory of the Department of Trauma, Hand and Reconstructive Surgery, the University Hospital of the Goethe-University Frankfurt. Chang liver cells were stimu - lated with either interleukin (IL)-1β or IL-6 and subsequent - ly treated with low-dose ethanol (85 mmol/L) or high-dose ethanol (170 mmol/L) for one hour (acute exposure) or 72 hours (subacute exposure). IL-6 and IL-1β release were de - termined by enzyme-linked immunosorbent assay. Neu - trophil adhesion to Chang liver monolayers, production of reactive oxygen species, and apoptosis or necrosis were analyzed.
Results: Contrary to high-dose ethanol, acute low-dose ethanol exposure significantly reduced IL-1β-induced IL-6 and IL-6-induced IL-1β release ( P <0.05). Subacute etha - nol exposure did not change proinflammatory cytokine release. Acute low-dose ethanol exposure significantly decreased inflammation-induced formation of reactive oxygen species ( P <0.05) and significantly improved cell survival ( P <0.05). Neither acute nor subacute high-dose ethanol exposure significantly changed inflammationinduced changes in reactive oxygen species or survival. Acute and subacute ethanol exposure, independently of the dose, significantly decreased neutrophil adhesion to inflamed Chang liver cells ( P <0.05).
Conclusion: Acute treatment of inflamed Chang liver cells with ethanol showed its immunosuppressive potential. However, the observed effects were limited to low-dose setting, indicating the relevance of ethanol dose in the modulation of inflammatory cell response.
Ribosome recycling orchestrated by ABCE1 is a fundamental process in protein translation and mRNA surveillance, connecting termination with initiation. Beyond the plenitude of well-studied translational GTPases, ABCE1 is the only essential factor energized by ATP, delivering the energy for ribosome splitting via two nucleotide-binding sites by a yet unknown mechanism. Here, we define how allosterically coupled ATP binding and hydrolysis events in ABCE1 empower ribosome recycling. ATP occlusion in the low-turnover control site II promotes formation of the pre-splitting complex and facilitates ATP engagement in the high-turnover site I, which in turn drives the structural reorganization required for ribosome splitting. ATP hydrolysis and ensuing release of ABCE1 from the small subunit terminate the post-splitting complex. Thus, ABCE1 runs through an allosterically coupled cycle of closure and opening at both sites, consistent with a processive clamp model. This study delineates the inner mechanics of ABCE1 and reveals why various ABCE1 mutants lead to defects in cell homeostasis, growth, and differentiation.
Background: No observational studies have evaluated the "real-world" effectiveness of dual bronchodilation comprising a long-acting β2-agonist plus a long-acting muscarinic antagonist vs that of triple therapy (long-acting β2-agonist plus long-acting muscarinic antagonist plus inhaled corticosteroid) in COPD.
Materials and methods: DACCORD is a non-interventional, observational clinical study that recruited patients following COPD maintenance therapy initiation or change in maintenance therapy between or within therapeutic class. Given the non-interventional nature of the study, the decision to initiate or change medication had to be made by the patients’ physicians prior to inclusion in DACCORD. We used a matched-pairs analysis to compare disease progression in two patient groups: those receiving dual bronchodilation vs those receiving triple therapy (each group n=1,046).
Results: In two subgroups of patients matched according to a broad range of demographic and disease characteristics, over 1 year, fewer patients receiving dual bronchodilation exacerbated than those receiving triple therapy (15.5% vs 26.6%; P<0.001), with a greater improvement from baseline in COPD Assessment Test total score at 1 year (mean±SD -2.9±5.8 vs -1.4±5.5; P<0.001). When analyzed according to prior therapy, the highest rate of exacerbations was in patients on triple therapy prior to the study who remained on triple therapy. Those changing from mono-bronchodilator to dual bronchodilation had the greatest COPD Assessment Test total score improvement.
Conclusion: In this "real-life" cohort of patients with COPD, most of whom had not exacerbated in the 6 months prior to entry, triple therapy did not seem to improve outcomes compared with dual bronchodilation in terms of either exacerbations or health status. Our analyses clearly demonstrate the potential impact of prior medication on study results, something that should be taken into account when interpreting the results even of controlled clinical trials.
Arachidonate 15-lipoxygenase (ALOX15) and arachidonate 15-lipoxygenase, type B (ALOX15B) catalyze the dioxygenation of polyunsaturated fatty acids and are upregulated in human alternatively activated macrophages (AAMs) induced by Th2 cytokine interleukin-4 (IL-4) and/or interleukin-13. Known primarily for roles in bioactive lipid mediator synthesis, 15-lipoxygenases (15-LOXs) have been implicated in various macrophage functions including efferocytosis and ferroptosis. Using a combination of inhibitors and siRNAs to suppress 15-LOX isoforms, we studied the role of 15-LOXs in cellular cholesterol homeostasis and immune function in naïve and AAMs. Silencing or inhibiting the 15-LOX isoforms impaired sterol regulatory element binding protein (SREBP)-2 signaling by inhibiting SREBP-2 processing into mature transcription factor and reduced SREBP-2 binding to sterol regulatory elements and subsequent target gene expression. Silencing ALOX15B reduced cellular cholesterol and the cholesterol intermediates desmosterol, lanosterol, 24,25-dihydrolanosterol, and lathosterol as well as oxysterols in IL-4-stimulated macrophages. In addition, attenuating both 15-LOX isoforms did not generally affect IL-4 gene expression but rather uniquely impacted IL-4-induced CCL17 production in an SREBP-2-dependent manner resulting in reduced T cell migration to macrophage conditioned media. In conclusion, we identified a novel role for ALOX15B, and to a lesser extent ALOX15, in cholesterol homeostasis and CCL17 production in human macrophages.
In contrast to several smaller studies, which demonstrate that remote ischemic preconditioning (RIPC) reduces myocardial injury in patients that undergo cardiovascular surgery, the RIPHeart study failed to demonstrate beneficial effects of troponin release and clinical outcome in propofol-anesthetized cardiac surgery patients. Therefore, we addressed the potential biochemical mechanisms triggered by RIPC. This is a predefined prospective sub-analysis of the randomized and controlled RIPHeart study in cardiac surgery patients (n = 40) that was recently published. Blood samples were drawn from patients prior to surgery, after RIPC of four cycles of 5 min arm ischemia/5 min reperfusion (n = 19) and the sham (n = 21) procedure, after connection to cardiopulmonary bypass (CPB), at the end of surgery, 24 h postoperatively, and 48 h postoperatively for the measurement of troponin T, macrophage migration inhibitory factor (MIF), stromal cell-derived factor 1 (CXCL12), IL-6, CXCL8, and IL-10. After RIPC, right atrial tissue samples were taken for the measurement of extracellular-signal regulated kinase (ERK1/2), protein kinase B (AKT), Glycogen synthase kinase 3 (GSK-3β), protein kinase C (PKCε), and MIF content. RIPC did not significantly reduce the troponin release when compared with the sham procedure. MIF serum levels intraoperatively increased, peaking at intensive care unit (ICU) admission (with an increase of 48.04%, p = 0.164 in RIPC; and 69.64%, p = 0.023 over the baseline in the sham procedure), and decreased back to the baseline 24 h after surgery, with no differences between the groups. In the right atrial tissue, MIF content decreased after RIPC (1.040 ± 1.032 Arbitrary units [au] in RIPC vs. 2.028 ± 1.631 [au] in the sham procedure, p < 0.05). CXCL12 serum levels increased significantly over the baseline at the end of surgery, with no differences between the groups. ERK1/2, AKT, GSK-3β, and PKCɛ phosphorylation in the right atrial samples were no different between the groups. No difference was found in IL-6, CXCL8, and IL10 serum levels between the groups. In this cohort of cardiac surgery patients that received propofol anesthesia, we could not show a release of potential mediators of signaling, nor an effect on the inflammatory response, nor an activation of well-established protein kinases after RIPC. Based on these data, we cannot exclude that confounding factors, such as propofol, may have interfered with RIPC.
Purpose: There is some controversy whether or not saccades change with age. This cross-sectional study aims to clarify the characteristics of reflexive saccades at various ages to establish a normative cohort in a standardized set-up. Second objective is to investigate the feasibility of saccadometry in daily ophthalmological practice.
Methods: One hundred healthy participants aged between 6 and 76 years underwent an ophthalmologic examination and saccadometry, using an infrared video-oculography device, sampling at 220 Hz. The reflexive saccades were evoked in four directions and three target displacements each (5°/15°/30° horizontally and of 5°/10°/20° vertically). Saccadic peak velocity, gain (amplitude/target displacement) and latency were measured.
Results: Mean peak velocity of saccades was 213°/s (± 29°/s), 352°/s (± 50°/s) and 455°/s (± 67°/s) to a target position 5°, 15°and 30° horizontally, respectively, and 208°/s (± 36°/s), 303°/s (± 50°/s) and 391°/s (± 71°/s) to a target position 5°, 10° and 20° vertically. The association between peak velocity and eccentricity proved to be present at any age in all four directions. We found no relevant effect of age on peak velocity, gain and latency in a fitted linear mixed model. However, latency becomes shorter during childhood and adolescence, while in adulthood it is relatively stable with a slight trend to increase in the elderly. Saccades are more precise when the target displacement is small. Isometric saccades are most common, followed by hypometric ones. All children and elderly were able to perform good quality saccadometry in a recording time of approximately 10 minutes.
Conclusion: The presented data may serve as normative control for further studies using such a video-oculography device for saccadometry. The means of peak velocity and the gain can be used independently from age respecting the target displacement. Latency is susceptible to age.
In den letzten Jahren findet die Wirkung von Polyphenolen auf den Alterungsprozess oder zur Behandlung von Krankheiten immer mehr Beachtung. Das Ziel dieser Arbeit war die Aufklärung der Wirkmechanismen der Polyphenole Gossypol, Curcumin und Quercetin, um Hinweise für neue oder verbesserte Therapieansätze zu erhalten. Die dazu durchgeführten Untersuchungen lieferten folgende Ergebnisse:
1. Der Ascomycet "P. anserina" eignet sich als Modellorganismus zur Untersuchung der Wirkmechanismen verschiedener Polyphenole, da die bereits aus der Literatur bekannten Effekte auf das Überleben höherer Organismen auch in "P. anserina" beobachtet wurden.
2. Die Mitochondrienfunktion spielt auf unterschiedliche Art eine Rolle in der Kompensation von Dysfunktionen oder Stressbedingungen in der Zelle und wirkt somit positiv auf die Regulation der Lebensspanne von "P. anserina". In der "PaSod3"-Deletionsmutante wurde eine Verschiebung der mitochondrialen Atmung von einer Komplex I-abhängigen hin zu einer vermehrt Komplex II-abhängigen Atmung festgestellt. Die damit verbundene Abnahme des mitochondrialen Membranpotentials dient neben der bereits bekannten hohen Superoxid-Menge als Signal zur Mitophagie-Induktion. Auch die Anpassung der Mitochondrienfunktion durch die erhöhte Bildung von mtRSCs, wie im Falle von Gossypol oder Quercetin, kann zur Kompensation von Dysfunktionen beitragen bzw. sie abschwächen.
3. Es gibt keinen grundlegenden gemeinsamen Wirkmechanimus der drei untersuchten Polyphenole. Zwar spielt Wasserstoffperoxid bei verschiedenen Stoffen eine Rolle, aber nicht bei allen. Zusätzlich wurde gezeigt, dass Wasserstoffperoxid abhängig von der vorherrschenden Konzentration wirkt und daher auch keine Allgemeingültigkeit des Effektes vorherzusagen ist. In niedrigen Konzentrationen sorgt Wasserstoffperoxid z. B. für eine Induktion der Autophagie und damit einhergehende eine Lebensverlängerung. Im Gegensatz dazu wirken hohe Wasserstoffperoxid-Konzentrationen lebensverkürzend und lösen verschiedene Formen von Zelltod aus.
4. Die Curcumin-vermittelte Langlebigkeit wurde das erste Mal in Verbindung mit einer funktionellen Autophagie gebracht. Im Detail führt die Behandlung mit Curcumin durch eine PaSOD1-abhängige leichte Erhöhung der Wasserstoffperoxid-Menge zu einer Induktion von nicht-selektiver Autophagie. Die induzierte Autophagie ist Ursache der Lebensverlängerung durch Curcumin.
5. Gossypol wirkt in Abhängigkeit der mitochondrialen Permeabilitäts-Transitionspore bzw. von ihrem Regulator Cyclophilin D. Hierbei verstärkt die deutlich erhöhte Wasserstoffperoxid-Menge wahrscheinlich die Induktion von programmiertem Zelltod. Gleichzeitig wird eine cytoprotektive Form von Autophagie und ein scheinbar ATG-unabhängiger Abbau von Mitochondrien induziert.
6. Quercetin wirkt in "P. anserina" abhängig vom Methylierungs-Status. Untersuchungen mit Mutanten der "O"-Methyltransferase PaMTH1 ergaben die Notwendigkeit der Anwesenheit von PaMTH1 für den lebensverlängernden Effekt von Quercetin. Analysen mit dem methylierten Derivat Isorhamnetin verdeutlichten diese Abhängigkeit und zeigten zudem, dass Quercetin sowohl in der methylierten als auch unmethylierten Form Effekte hervorruft. Jedoch sind nur die Effekte des unmethylierten Quercetin unabhängig von der Lebensverlängerung und eher schädlich für die Zelle.
Background: Intracerebral haemorrhage growth is associated with poor clinical outcome and is a therapeutic target for improving outcome. We aimed to determine the absolute risk and predictors of intracerebral haemorrhage growth, develop and validate prediction models, and evaluate the added value of CT angiography.
Methods: In a systematic review of OVID MEDLINE—with additional hand-searching of relevant studies' bibliographies— from Jan 1, 1970, to Dec 31, 2015, we identified observational cohorts and randomised trials with repeat scanning protocols that included at least ten patients with acute intracerebral haemorrhage. We sought individual patient-level data from corresponding authors for patients aged 18 years or older with data available from brain imaging initially done 0·5–24 h and repeated fewer than 6 days after symptom onset, who had baseline intracerebral haemorrhage volume of less than 150 mL, and did not undergo acute treatment that might reduce intracerebral haemorrhage volume. We estimated the absolute risk and predictors of the primary outcome of intracerebral haemorrhage growth (defined as >6 mL increase in intracerebral haemorrhage volume on repeat imaging) using multivariable logistic regression models in development and validation cohorts in four subgroups of patients, using a hierarchical approach: patients not taking anticoagulant therapy at intracerebral haemorrhage onset (who constituted the largest subgroup), patients taking anticoagulant therapy at intracerebral haemorrhage onset, patients from cohorts that included at least some patients taking anticoagulant therapy at intracerebral haemorrhage onset, and patients for whom both information about anticoagulant therapy at intracerebral haemorrhage onset and spot sign on acute CT angiography were known.
Findings: Of 4191 studies identified, 77 were eligible for inclusion. Overall, 36 (47%) cohorts provided data on 5435 eligible patients. 5076 of these patients were not taking anticoagulant therapy at symptom onset (median age 67 years, IQR 56–76), of whom 1009 (20%) had intracerebral haemorrhage growth. Multivariable models of patients with data on antiplatelet therapy use, data on anticoagulant therapy use, and assessment of CT angiography spot sign at symptom onset showed that time from symptom onset to baseline imaging (odds ratio 0·50, 95% CI 0·36–0·70; p<0·0001), intracerebral haemorrhage volume on baseline imaging (7·18, 4·46–11·60; p<0·0001), antiplatelet use (1·68, 1·06–2·66; p=0·026), and anticoagulant use (3·48, 1·96–6·16; p<0·0001) were independent predictors of intracerebral haemorrhage growth (C-index 0·78, 95% CI 0·75–0·82). Addition of CT angiography spot sign (odds ratio 4·46, 95% CI 2·95–6·75; p<0·0001) to the model increased the C-index by 0·05 (95% CI 0·03–0·07).
Interpretation: In this large patient-level meta-analysis, models using four or five predictors had acceptable to good discrimination. These models could inform the location and frequency of observations on patients in clinical practice, explain treatment effects in prior randomised trials, and guide the design of future trials.
Funding: UK Medical Research Council and British Heart Foundation.
A lot of software systems today need to make real-time decisions to optimize an objective of interest. This could be maximizing the click-through rate of an ad displayed on a web page or profit for an online trading software. The performance of these systems is crucial for the parties involved. Although great progress has been made over the years in understanding such online systems and devising efficient algorithms, a fine-grained analysis and problem specific solutions are often missing. This dissertation focuses on two such specific problems: bandit learning and pricing in gross-substitutes markets.
Bandit learning problems are a prominent class of sequential learning problems with several real-world applications. The classical algorithms proposed for these problems, although optimal in a theoretical sense often tend to overlook model-specific proper- ties. With this as our motivation, we explore several sequential learning models and give efficient algorithms for them. Our approaches, inspired by several classical works, incorporate the model-specific properties to derive better performance bounds.
The second part of the thesis investigates an important class of price update strategies in static markets. Specifically, we investigate the effectiveness of these strategies in terms of the total revenue generated by the sellers and the convergence of the resulting dynamics to market equilibrium. We further extend this study to a class of dynamic markets. Interestingly, in contrast to most prior works on this topic, we demonstrate that these price update dynamics may be interpreted as resulting from revenue optimizing actions of the sellers. No such interpretation was known previously. As a part of this investigation, we also study some specialized forms of no-regret dynamics and prediction techniques for supply estimation. These approaches based on learning algorithms are shown to be particularly effective in dynamic markets.
Asia and its Hindu Kush Himalayan (HKH) region is particularly vulnerable to environmental change, especially climate and land use changes further influenced by rapid population growth, high level of poverty and unsustainable development. Asia has been a hotspot of dengue fever and chikungunya mainly due to its dense human population, unplanned urbanization and poverty. In an urban cycle, dengue virus (DENV) and chikungunya virus (CHIKV) are transmitted by Aedes aegypti and Ae. albopictus mosquitoes which are also competent vectors of Zika virus (ZIKV). Over the last decade, DENV and CHIKV transmissions by Ae. aegypti have extended to the Himalayan countries of Bhutan and Nepal and ZIKV could follow in the footsteps of these viruses in the HKH region. The already established distribution of human-biting Aedes mosquito vectors and a naïve population with lack of immunity against ZIKV places the HKH region at a higher risk of ZIKV. Some of the countries in the HKH region have already reported ZIKV cases. We have documented an increasing threat of ZIKV in Asia and its HKH region because of the high abundance and wide distribution of human-biting mosquito vectors, climate change, poverty, report of indigenous cases in the region, increasing numbers of imported cases and a naïve population with lack of immunity against ZIKV. An outbreak anywhere is potentially a threat everywhere. Therefore, in order to ensure international health security, all efforts to prevent, detect, and respond to ZIKV ought to be intensified now in Asia and its HKH region. To prepare for possible ZIKV outbreaks, Asia and the HKH region can also learn from the success stories and strategies adopted by other regions and countries in preventing ZIKV and associated complications. The future control strategies for DENV, CHIKV and ZIKV should be considered in tandem with the threat to human well-being that is posed by other emerging and re-emerging vector-borne and zoonotic diseases, and by the continuing urgent need to strengthen public primary healthcare systems in the region.
Acute lymphoblastic leukemia (ALL) is the most common cancer in children. Pediatric patients with disease refractory to last chemotherapy, relapse after allogeneic hematopoietic stem-cell transplantation (alloHSCT), or second or further relapse have a particularly poor prognosis. Intensive chemotherapy followed by alloHSCT after achieving remission can result in cure for some patients. However, survival is still low with this approach. Thus, additional treatment modalities with acceptable toxicity are needed to improve long-term survival. ...
Background: To study the expression pattern, localisation and potential clinical significance of aquaporin water channels (AQP) both in prostate cancer (PC) cell lines and in benign and malignant human prostate tissue.
Methods: The AQP transcript and protein expression of HPrEC, LNCaP, DU-145 and PC3 cell lines was investigated using reverse transcriptase polymerase chain reaction (RT-PCR) and immunofluorescence (IF) microscopy labelling. Immunohistochemistry (IHC) was performed to assess AQP protein expression in surgical specimens of benign prostatic hyperplasia as well as in PC. Tissue mRNA expression of AQPs was quantified by single-step reverse transcriptase quantitative polymerase chain reaction (qPCR). Relative gene expression was determined using the 40-ΔCT method and correlated to clinicopathological parameters.
Results: Transcripts of AQP 1, 3, 4, 7, 8, 10 and 11 were expressed in all four cell lines, while AQP 9 transcripts were not detected in malignant cell lines. IF microscopy confirmed AQP 3, 4, 5, 7 and 9 protein expression. IHC revealed highly heterogeneous AQP 3 protein expression in PC specimens, with a marked decrease in expression in tumours of increasing malignancy. Loss of AQP 9 was shown in PC specimens. mRNA expression of AQP3 was found to be negatively correlated to PSA levels (ρ = − 0.354; p = 0.013), D’Amico risk stratification (ρ = − 0.336; p = 0.012), ISUP grade (ρ = − 0.321; p = 0.017) and Gleason score (ρ = − 0.342; p = 0.011).
Conclusions: This is the first study to systematically characterize human prostate cell lines, benign prostatic hyperplasia and PC in relation to all 13 members of the AQP family. Our results indicate the differential expression of several AQPs in benign and malignant prostate tissue. A significant correlation was observed between AQP 3 expression and tumour grade, with progressive loss in more malignant tumours. Taken together, AQPs may play a role in the progression of PC and AQP expression patterns may serve as a prognostic marker.
Background: With the aging population and a rising incidence of squamous cell carcinoma of the head and neck (SCCHN), there is an emerging need for developing strategies to treat elderly patients.
Patients and Methods: We retrospectively analyzed 158 patients treated with definitive, concurrent chemoradiotherapy (CRT) for SCCHN. Clinicopathological characteristics, acute toxicities, and oncological outcomes were compared between patients younger and older than (or of age equal to) 65, 70, and 75 years.
Results: RT dose, chemotherapy regimen, and total chemotherapy dose were balanced between the groups. After a median follow-up of 29 months, overall survival (OS), progression-free survival (PFS), local control rate, and distant metastasis-free survival stratified by age of ≥65, ≥70, or ≥75 years revealed no differences. The rate of acute toxicities was also not higher for older patients. Worse ECOG performance score (ECOG 2-3) was associated with impaired OS () and PFS ().
Conclusion: Definitive treatment with CRT for SCCHN is feasible and effective; even in advanced age treatment decisions should be made according to general condition and comorbidity, rather than calendar age alone.
This review provides an overview on components of the sphingolipid superfamily, on their localization and metabolism. Information about the sphingolipid biological activity in cell physiopathology is given. Recent studies highlight the role of sphingolipids in inflammatory process. We summarize the emerging data that support the different roles of the sphingolipid members in specific phases of inflammation: (1) migration of immune cells, (2) recognition of exogenous agents, and (3) activation/differentiation of immune cells.
Das Hodgkin Lymphom besteht aus zwei verschiedenen Typen, dem klassischen Hodgkin Lymphom (cHL) mit einem Anteil von 95% und dem nodulären lymphozytenprädominanten Hodgkin Lymphom (NLPHL). Letzteres kann sehr unterschiedliche histopathologische Wachstumsmuster zeigen, die nach Fan et al. grob in ein typisches knotiges (Muster A) und in atypische diffuse Wachstumsmuster (Muster C und E) unterteilt werden können. Patienten mit einem NLPHL, das zum diffus wachsenden Subtyp zählt, präsentieren sich häufiger in klinisch fortgeschrittenen Stadien als jene Patienten mit einem NLPHL, das ein knotiges Wachstumsmuster zeigt. Im Gegensatz dazu präsentiert sich das T-Zell/Histiozytenreiche großzellige B-Zell Lymphom (THRLBCL) in einem fortgeschrittenen Stadium mit einer oftmals schlechten Prognose. NLPHL vom diffusen Typ weisen starke Ähnlichkeiten mit dem THRLBCL sowohl in Bezug auf Histomorphologie als auch klinische Eigenschaften auf und sind dadurch manchmal nur schwer voneinander zu unterscheiden.
Das Wachstumsmuster eines Tumors hängt unter anderem von der Verteilung der Blutgefäße im Tumorgewebe ab. Viele aktuelle Studien weisen darauf hin, dass die Gefäßneubildung (Angiogenese) eine wichtige Rolle in der Entwicklung von hämatologischen Tumoren spielt. Durch diesen Prozess kann der Tumor zu ausreichend Sauerstoff und Nährstoffen gelangen, um invasiv zu wachsen und zu metastasieren. Die Gefäßdichte ist ein anerkannter Marker für die Auswertung von Gefäßneubildung in verschiedenen Tumoren.
Ein Ziel der Arbeit bestand darin, Parameter der Angiogenese, u.a. die Gefäßdichte und den queren Gefäßdurchmesser, in verschiedenen Subtypen des NLPHL und in THRLBCL im Hinblick auf eine mögliche Unterscheidbarkeit des diffusen NLPHL und des THRLBCL zu untersuchen sowie sie mit anderen Typen von malignen Lymphomen und reaktiven Lymphadenitiden (LA) zu vergleichen.
Von T-Lymphozyten ist bekannt, dass sie mit den Tumorzellen in Lymphomen in engem Kontakt stehen und einen nicht unerheblichen Anteil des Tumormikromilieus bilden. Die CD4+ Lymphozyten treten gewöhnlich über Gefäße, den hochendothelialen Venolen (HEVs), in den Lymphknoten ein.
Ein weiteres Ziel der Arbeit war es, eine mögliche Korrelation zwischen dem TLymphozyten-Zustrom und der Tumormorphologie in den betroffenen Lymphknoten zu untersuchen, um herauszufinden, ob dies die unterschiedliche Zusammensetzung im Mikromilieu der Lymphome erklären kann. Als Maß für den Zustrom wurde die Anzahl der intravaskulären T-Lymphozyten herangezogen. Zum Vergleich wurden weitere maligne Lymphome, die ein prominentes Tumormikromilieu besitzen, untersucht.
Im diffusen NLPHL und THRLBCL fanden wir eine niedrigere Gefäßdichte mit einer diffusen Blutgefäßverteilung. Im Gegensatz dazu zeigte das NLPHL mit einem typischen Wachstumsmuster, das cHL vom gemischtzelligen Typ (cHL MC) und das Angioimmunoblastische Lymphom (AITL) in den interfollikulären Arealen eine verstärkte Gefäßbildung. Es zeigte sich in allen Subtypen des NLPHL eine signifikant geringere Gefäßdichte, verglichen mit dem AITL oder den LA Fällen. LA wiesen insgesamt die höchste interfollikuläre Gefäßdichte auf. Das THRLBCL zeigte die niedrigste Gefäßdichte von allen malignen Lymphomen, die untersucht wurden, allerdings war der Vergleich von THRLBCL und den verschiedenen Subtypen des NLPHL nicht signifikant. Wir konnten zeigen, dass die diffusen Subtypen des NLPHL und das THRLBCL ein ähnliches Wachstumsmuster der Blutgefäße mit einer verminderten Gefäßdichte und nicht mehr identifizierbaren follikulären Bereichen vorweisen, im Gegensatz zu den beibehaltenen follikulären Mustern, die wir im typischen NLPHL fanden. Die Anzahl der intravaskulären T-Zellen war am höchsten im cHL MC sowie im typischen NLPHL. Signifikant geringer fielen die intravaskulären TLymphozyten-Werte im THRLBCL im Vergleich mit dem typischen NLPHL Muster A, C und dem cHL MC aus.
Da die LA Fälle eine hohe interfollikuläre Gefäßdichte und kleine Gefäßdurchmesser zeigten, kann man davon ausgehen, dass die Gefäße durch die schnell anschwellenden Keimzentren komprimiert wurden. In den atypischen NLPHL und THRLBCL Fällen lassen die geringe Gefäßdichte und relativ große Gefäßdurchmesser eine langsame Dehnung des Gefäßgerüstes des Lymphknotens annehmen. Die Resultate der T-Zell Quantifizierung legen den Schluss nahe, dass die relativ geringe Anzahl von intravaskulären T-Lymphozyten im THRLBCL zusammen mit einer geringen Gefäßdichte möglicherweise verantwortlich ist für die gewöhnlich relativ geringe Anzahl an T-Lymphozyten pro Fläche und hierdurch die hohe Anzahl an Makrophagen im Mikromilieu im THRLBCL hervorgerufen wird. Dies könnte im Zusammenhang stehen mit einer absolut verminderten T-Lymphozytenzahl im Blut oder einem reduzierten Eintritt der T-Lymphozyten in den Lymphknoten.
The vacuolar-type H+-ATPase (v-ATPase) is the major proton pump that acidifies intracellular compartments of eukaryotic cells. Since the inhibition of v-ATPase resulted in anti-tumor and anti-metastatic effects in different tumor models, this enzyme has emerged as promising strategy against cancer. Here, we used the well-established v-ATPase inhibitor archazolid, a natural product first isolated from the myxobacterium Archangium gephyra, to study the consequences of v-ATPase inhibition in endothelial cells (ECs), in particular on the interaction between ECs and cancer cells, which has been neglected so far. Human endothelial cells treated with archazolid showed an increased adhesion of tumor cells, whereas the transendothelial migration of tumor cells was reduced. The adhesion process was independent from the EC adhesion molecules ICAM-1, VCAM-1, E-selectin and N-cadherin. Instead, the adhesion was mediated by β1-integrins expressed on tumor cells, as blocking of the integrin β1 subunit reversed this process. Tumor cells preferentially adhered to the β1-integrin ligand collagen and archazolid led to an increase in the amount of collagen on the surface of ECs. The accumulation of collagen was accompanied by a strong decrease of the expression and activity of the protease cathepsin B. Overexpression of cathepsin B in ECs prevented the capability of archazolid to increase the adhesion of tumor cells onto ECs. Our study demonstrates that the inhibition of v-ATPase by archazolid induces a pro-adhesive phenotype in endothelial cells that promotes their interaction with cancer cells, whereas the transmigration of tumor cells was reduced. These findings further support archazolid as a promising anti-metastatic compound.
Purpose: The aim of the study was to compare three different elastography methods, namely Strain Elastography (SE), Point Shear-Wave Elastography (pSWE) using Acoustic Radiation Force Impulse (ARFI)-Imaging and 2D-Shear Wave Elastography (2D-SWE), in the same study population for the differentiation of thyroid nodules.
Materials and methods: All patients received a conventional ultrasound scan, SE and 2D-SWE, and all patients except for two received ARFI-Imaging. Cytology/histology of thyroid nodules was used as a reference method. SE measures the relative stiffness within the region of interest (ROI) using the surrounding tissue as reference tissue. ARFI mechanically excites the tissue at the ROI using acoustic pulses to generate localized tissue displacements. 2D-SWE measures tissue elasticity using the velocity of many shear waves as they propagate through the tissue.
Results: 84 nodules (73 benign and 11 malignant) in 62 patients were analyzed. Sensitivity, specificity and NPV of SE were 73%, 70% and 94%, respectively. Sensitivity, specificity and NPV of ARFI and 2D-SWE were 90%, 79%, 98% and 73%, 67%, 94% respectively, using a cut-off value of 1.98m/s for ARFI and 2.65m/s (21.07kPa) for 2D-SWE. The AUROC (Area under the Receiver Operating Characteristic) of SE, ARFI and 2D-SWE for the diagnosis of malignant thyroid nodules were 52%, 86% and 71%, respectively. A significant difference in AUROC was found between SE and ARFI (p = 0.008), while no significant difference was found between ARFI and SWE (86% vs. 71%, p = 0.31), or SWE and SE (71% vs. 52%, p = 0.26).
Conclusion: pSWE using ARFI and 2D-SWE showed comparable results for the differentiation of thyroid nodules. ARFI was superior to elastography using SE.
Particle physics is living it’s golden age: petabytes of high precision data are being recorded at experimental facilities such as the Relativistic Heavy Ion Collider (RHIC) and the Large Hadron Collider (LHC). Despite the significant theoretical progress achieved in the last years the complete understanding of the internal structure of protons, not computable with perturbative QCD, remains as one of the most challenging unsolved problems in the physics of elementary interactions. Besides its fundamental interest, pinning down the relevant degrees of freedom and their properties, such as their spatial distribution, has profound implications in several phenomenological aspects of high-energy collisions. Currently one of the subjects undergoing intense study is the possibility that droplets of quark-gluon plasma (QGP) are being created not only in heavy ion collisions but in more dilute systems such as high-multiplicity proton-proton interactions. This is a data driven debate as it is rooted in the similar patterns observed across the different collision systems at the LHC (p+p,p+Pb and Pb+Pb) in the flow harmonic analyses: one of the golden probes of QGP formation specially sensitive to the initial collision geometry. Another domain in which the proton structure plays a central role is the description of multi-parton interactions, the mechanism that dominates the underlying event at LHC energies, in Monte Carlo event generators. All in all a precise characterization of the hadronic structure is a crucial ingredient of the physics program of the LHC.
A full characterization of a hadron would require momentum, spatial and spin information, the so-called Wigner distribution. So far obtaining this information experimentally has not been achieved. From a theoretical point of view several complications arise such as non-universality and breaking of factorization theorems. Then, in general, the description of the hadron structure relies on phenomenological tools that require theoretical modeling constrained by experimental data. The main goal of this thesis to characterize the transverse structure of the proton. For that purpose, a wide variety of phenomenological problems that are sensitive to the proton structure have been addressed.
First, elastic scattering data on proton-proton interactions constitutes a powerful probe of the geometry of the collision. A dedicated analysis of this observable focusing on the extraction of the inelasticity density from it at √s=62.5 GeV and √s=7 TeV is presented. In the TeV regime, a unexpected phenomenon, dubbed the hollowness effect, arises: the inelasticity density, a measurement of how effective is the collision producing secondary particles, reaches its maximum at non-zero impact parameter. We provide the first dynamical explanation of the hollowness effect by constructing the elastic scattering amplitude in impact parameter representation according to the Glauber model. For that purpose we relied on a composite description of the proton. More concretely, the relevant degrees of freedom that participate in the scattering process were considered to be gluonic hot spots. The probability distribution for the transverse positions of hot spots inside the proton includes repulsive short-range correlations between all pairs of hot spots controlled by an effective repulsive core rc that effectively enlarges the mean transverse separation distance between them. The main results extracted from this work are as follows. To begin with, we found that our model was not able to describe a growing behavior of the inelasticity density at zero impact parameter in the absence of non-trivial spatial correlations. However, even in the presence of correlations, the emergence of the hollowness effect couldn’t be described when the number of hot spots was smaller than 3. Both features set solid constraints in the proton structure within our model. Finally, we pinpoint the transverse diffusion of the hot spots with increasing collision energy to be the dynamical mechanism underlying the onset of the hollowness effect.
A convenient playground to test further implications of this novel geometric description of the proton are the initial state properties of high energy proton-proton interactions in the context of QGP physics. The parametrization of the geometry of the collision is mandatory in any theoretical model attempting to describe the striking experimental results that suggest collective behavior in proton-proton interactions at the LHC, such as the non-zero value of the flow harmonic coefficients (vn). A quantitative way to characterize the initial geometry anisotropy of the overlap region is to compute the spatial eccentricity moments (εn) that fluctuate on an event by event basis. For that purpose we develop a Monte Carlo Glauber event generator. A systematic investigation of the effect of non-trivial spatial correlations in the spatial eccentricity moments from ISR to LHC energies within our Monte Carlo Glauber approach is presented. We found that both the eccentricity (ε2) and the triangularity (ε3) are affected by the inclusion of short-range repulsive correlations. In particular, the correlated scenario yielded larger values of ε2(3) in ultra-central collisions while reducing them in minimum bias.
Moreover, we explore not only the eccentricities mean but their fluctuations in terms of symmetric cumulants. The experimental measurement by the CMS Collaboration at √s=13 TeV indicates a anti-correlation of v2 and v3 around the same number of tracks in the three collision systems available at the LHC. We lay out, for the first time in the literature, a particular mechanism that permits an anti-correlation of ε2 and ε3 in the highest centrality bins as dictated by data. When modeling the proton as composed by 3 gluonic hot spots, the most common assumption in the literature, we find that the inclusion of spatial correlations is indispensable to reproduce the negative sign. Further, we perform a systematic investigation of the parameter space of the model i.e. radius of the hot spot, radius of the proton, repulsive core and number of hot spots in each proton. Our results suggest that the interplay of the different scales is decisive and confirm the discriminating power of this observable on initial state models. Together with their drastic impact on the description of the hollowness effect and the absolute values of the eccentricities, the symmetric cumulant study adds evidence to the fact that the inclusion of spatial correlations between the sub nucleonic degrees of freedom of the proton modifies the initial state properties of p+p interactions at LHC energies.
Cyprus is one of the few areas in the E Mediterranean where the distribution areas of Silene colorata s. str. and S. oliveriana overlap. Opinion about taxonomy and rank of the latter is much divided. Our field observations in Cyprus as well as literature and herbarium studies support the view to treat the latter taxon at species rank. Additionally, it is more widespread in Cyprus than previously assumed.
Zielsetzung: Beteiligung von Medizinstudierenden im Rahmen der konzeptionellen Entwicklung eines zielgruppenspezifischen und attraktiven allgemeinmedizinischen Lehrangebots im ländlichen Raum.
Methodik: Es wurde ein Fragebogen entwickelt, der die Bewertung der Studierenden hinsichtlich des aktuellen Ablaufs ihres Studiums, den späteren Berufswunsch sowie die Anforderungen an ein zu entwickelndes allgemeinmedizinisches Schwerpunktprogramm im ländlichen Raum erfasst. Mittels einer Online-Befragung wurden im Sommer 2015 alle Medizinstudierende ab dem vierten vorklinischen Semester (n=2.150) der Goethe-Universität Frankfurt einmalig befragt. Die statistische Auswertung erfolgte primär deskriptiv. Die persönliche Einstellung hinsichtlich der Bereitschaft, als Hausarzt tätig zu werden, wurde auf statistische Signifikanz überprüft. Zudem wurde erhoben, ob ein messbarer Zusammenhang zwischen der eigenen Herkunft und dem späteren Wunscharbeitsort besteht.
Ergebnisse: Von insgesamt 2.150 kontaktierten Studierenden nahmen 617 an der Befragung teil (Rücklaufquote=28,7%). Die Ergebnisse repräsentieren eine große Bandbreite an Ideen und Anregungen, die sowohl die Meinung von Befürwortern als auch eher kritisch gegenüber der Lehre in der Allgemeinmedizin eingestellten Medizinstudierenden widerspiegeln. Von dem geplanten Schwerpunktprogramm erwarten die Studierenden einen starken Praxisbezug ebenso wie das Kennenlernen administrativer sowie wirtschaftlicher Hintergründe zum Führen einer Praxis.
Schlussfolgerungen: Durch die Einbeziehung der Zielgruppe am Entwicklungsprozess bestand die Möglichkeit, das zu entwickelnde Schwerpunktprogramm auf die späteren Teilnehmer passgenauer zuzuschneiden. Zudem ist zu erwarten, dass die Beteiligung der Studierenden zu einer höheren Akzeptanz des Programms führt. Die gewonnenen Ergebnisse zur Gestaltung eines Lehrangebots können als Orientierung für die mögliche Entwicklung ähnlicher Schwerpunktprogramme an anderen medizinischen Fakultäten dienen.
Aim: Participation of medical students in the conceptual development of targeted and attractive teaching content for rural areas.
Method: A questionnaire was developed to gather information on students' views of their current medical studies, career interests, and what requirements should be met by an optional rural health program in general practice. By means of an online survey in summer 2015, all medical students from the fourth preclinical semester onwards (n=2,150) at Goethe University Frankfurt were surveyed on one occasion. Statistical analysis was mainly descriptive. Personal attitudes towards a career as a family practitioner were examined for statistical significance. Further information was gathered on whether a measurable correlation exists between personal background and desired work location.
Results: Of the 2,150 students that were contacted, 617 participated in the survey (response rate=28.7%). The results covered a wide range of ideas and recommendations and were representative both of medical students with a positive attitude toward general practice, as well as those that were rather critical of teaching in general practice. The students expected the planned health program to be of strong practical relevance and to acquaint them with the administrative and economic aspects of running a practice.
Conclusions: By including the target group in the development process, it was possible to tailor the health program to meet the needs of future participants more precisely. Student participation can also be expected to result in greater acceptance of the program. The results on teaching content may also provide other medical faculties with orientation when developing comparable programs.
Ribosome biogenesis is essential for cellular function and involves rRNA synthesis, rRNA processing and modification, and ribosomal protein assembly. Ribosome biogenesis factors and small nucleolar RNA assist these events. Ribosomal maturation takes place in the nucleolus, the nucleoplasm, and the cytosol in a coordinated and controlled manner. For example, some ribosomal proteins are thought to be assembled in the cytoplasm based on the observations in Saccharomyces cerevisiae. Here, we used cellular fractionation to demonstrate that cleavage of the 20S intermediate, the precursor to mature 18S rRNA, does not occur in the nucleoplasm of Arabidopsis thaliana. It most likely occurs in the cytoplasm. Further, we verified the proposed localization of RPS10e, RPS26e, and RPL24a/b in the nucleus and RPP1 in the nucleolus of A. thaliana by ribosome profiling, immunofluorescence, and analysis of the localization of GFP fusion proteins. Our results suggest that the order of events during ribosomal protein assembly in the ribosome biogenesis pathway differs between plants and yeast.
Hydrogenation of CO₂ at ambient pressure catalyzed by a highly active thermostable biocatalyst
(2018)
Background: Replacing fossil fuels as energy carrier requires alternatives that combine sustainable production, high volumetric energy density, easy and fast refueling for mobile applications, and preferably low risk of hazard. Molecular hydrogen (H2) has been considered as promising alternative; however, practical application is struggling because of the low volumetric energy density and the explosion hazard when stored in large amounts. One way to overcome these limitations is the transient conversion of H2 into other chemicals with increased volumetric energy density and lower risk hazard, for example so-called liquid organic hydrogen carriers such as formic acid/formate that is obtained by hydrogenation of CO2. Many homogenous and heterogenous chemical catalysts have been described in the past years, however, often requiring high pressures and temperatures. Recently, the first biocatalyst for this reaction has been described opening the route to a biotechnological alternative for this conversion.
Results: The hydrogen-dependent CO2 reductase (HDCR) is a highly active biocatalyst for storing H2 in the form of formic acid/formate by reversibly catalyzing the hydrogenation of CO2. We report the identification, isolation, and characterization of the first thermostable HDCR operating at temperatures up to 70 °C. The enzyme was isolated from the thermophilic acetogenic bacterium Thermoanaerobacter kivui and displays exceptionally high activities in both reaction directions, substantially exceeding known chemical catalysts. CO2 hydrogenation is catalyzed at mild conditions with a turnover frequency of 9,556,000 h−1 (specific activity of 900 µmol formate min−1 mg−1) and the reverse reaction, H2 + CO2 release from formate, is catalyzed with a turnover frequency of 9,892,000 h−1 (930 µmol H2 min−1 mg−1). The HDCR of T. kivui consists of a [FeFe] hydrogenase subunit putatively coupled to a tungsten-dependent CO2 reductase/formate dehydrogenase subunit by an array of iron–sulfur clusters.
Conclusions: The discovery of the first thermostable HDCR provides a promising biological alternative for a chemically challenging reaction and might serve as model for the better understanding of catalysts able to efficiently reduce CO2. The catalytic activity for reversible CO2 hydrogenation of this enzyme is the highest activity known for bio- and chemical catalysts and requiring only ambient temperatures and pressures. The thermostability provides more flexibility regarding the process parameters for a biotechnological application.
Patients after orthopic liver transplantation (OLT) are at risk of developing graft dysfunction. Sphingolipids (SL’s) have been identified to play a pivotal role in the regulation of hepatocellular apoptosis, inflammation and immunity. We aimed to investigate the serum SL profile in a prospective real-world cohort of post-OLT patients. From October 2015 until July 2016, 149 well-characterized post-OLT patients were analyzed. SL’s were assessed in serum probes via Liquid Chromatography/Tandem Mass Spectrometry. Twenty-nine (20%) patients had a biopsy proven graft rejection with decreased C20-ceramide (Cer) (p = 0.042), C18-dihydroceramide (DHC) (p = 0.022) and C24DHC (p = 0.060) levels. Furthermore, C18DHC (p = 0.044) and C24DHC (p = 0.011) were significantly down-regulated in patients with ischemic type biliary lesions (ITBL; n = 15; 10%). One-hundred and thirty-three patients (89%) have so far received tacrolimus as the main immunosuppressive agent with observed elevations of C14Cer (p = 0.052), C18Cer (p = 0.049) and C18:1Cer (p = 0.024). Hepatocellular carcinoma (HCC) pre-OLT was associated with increases in C24:1Cer (p = 0.024) and C24:1DHC (p = 0.024). In this large prospective cross-sectional study of patients, post-OLT serum levels of (very-)long chain (dihydro-)ceramides associate with graft rejection, ITBL, tacrolimus intake and HCC pre-OLT. Hence, serum SL’s may be indicative of graft complications. Further research is necessary to identify their diverse mechanistic role in regulating immunity and inflammation in patients post-OLT.
More than 70 human adenoviruses with type-dependent pathogenicity have been identified but biological information about the majority of these virus types is scarce. Here we employed multiple sequence alignments and structural information to predict receptor usage for the development of an adenoviral vector with novel biological features. We report the generation of a cloned adenovirus based on human adenovirus type 17 (HAdV17) with high sequence homology to the well characterized human adenovirus type 37 (HAdV37) that causes epidemic keratoconjunctivitis (EKC). Our study revealed that human CD46 (CD46) is involved in cell entry of HAdV17. Moreover, we found that HAdV17 infects endothelial cells (EC) in vitro including primary cells at higher efficiencies compared to the commonly used human adenovirus type 5 (HAdV5). Using a human CD46 transgenic mouse model, we observed that HAdV17 displays a broad tropism in vivo after systemic injection and that it transduces ECs in this mouse model. We conclude that the HAdV17-based vector may provide a novel platform for gene therapy.
Purpose: Collaborative care is effective in improving symptoms of patients with depression. The aims of this study were to characterize symptom trajectories in patients with major depression during one year of collaborative care and to explore associations between baseline characteristics and symptom trajectories.
Methods: We conducted a cluster-randomized controlled trial in primary care. The collaborative care intervention comprised case management and behavioral activation. We used the Patient Health Questionnaire-9 (PHQ-9) to assess symptom severity as the primary outcome. Statistical analyses comprised latent growth mixture modeling and a hierarchical binary logistic regression model.
Results: We included 74 practices and 626 patients (310 intervention and 316 control recipients) at baseline. Based on a minimum of 12 measurement points for each intervention recipient, we identified two latent trajectories, which we labeled "fast improvers" (60.5%) and "slow improvers" (39.5%). At all measurements after baseline, "fast improvers" presented higher PHQ mean values than "slow improvers". At baseline, "fast improvers" presented fewer physical conditions, higher health-related quality of life, and had made fewer suicide attempts in their history.
Conclusions: A notable proportion of 39.5% of patients improved only "slowly" and probably needed more intense treatment. The third follow-up in month two could well be a sensible time to adjust treatment to support "slow improvers".
The mechanisms of transfer of crustal material from the subducting slab to the overlying mantle wedge are still debated. Mélange rocks, formed by mixing of sediments, oceanic crust, and ultramafics along the slab-mantle interface, are predicted to ascend as diapirs from the slab-top and transfer their compositional signatures to the source region of arc magmas. However, the compositions of melts that result from the interaction of mélanges with a peridotite wedge remain unknown. Here we present experimental evidence that melting of peridotite hybridized by mélanges produces melts that carry the major and trace element abundances observed in natural arc magmas. We propose that differences in nature and relative contributions of mélanges hybridizing the mantle produce a range of primary arc magmas, from tholeiitic to calc-alkaline. Thus, assimilation of mélanges into the wedge may play a key role in transferring subduction signatures from the slab to the source of arc magmas.