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Die Soziale Phobie ist eine weit verbreitete Störung, die ohne geeignete Therapie einen chronischen Verlauf annimmt und bei den Betroffenen zu einem hohen Leidensdruck führt. Für die Behandlung stehen sowohl pharmakologische als auch psychotherapeutische Therapieansätze zur Auswahl (siehe Heinrichs, Stangier, Gerlach, Willutzki, & Fydrich, 2011). Eine Reihe von randomisierten kontrollierten Studien belegen, dass die kognitive Therapie zu den effektivsten Behandlungsmethoden zählt. Die vorliegende Dissertation konzentriert sich auf unterschiedliche Aspekte, die die Dissemination dieses Ansatzes verbessern sollen. In einer Übersichtsarbeit (Ginzburg & Stangier, im Druck) wird zunächst ein Überblick über den aktuellen Forschungsstand zur Diagnostik und Therapie der Sozialen Phobie gegeben. Die Ergebnisse aktueller Metaanalysen zur Behandlung werden kritisch diskutiert. Besondere Beachtung wird dem kognitiven Therapieansatz nach Clark und Wells (1995) geschenkt, der mit sehr hohen Effektstärken beeindruckt. Diese Therapie wurde in mehreren randomisiert-kontrollierten Studien untersucht und zeigte sich Therapieformen wie der Interpersonellen Therapie (Stangier, Schramm, Heidenreich, Berger, & Clark, 2011; Mörtberg, Clark, Sundin, & Aberg, 2007), medikamentöser Therapie (Clark et al., 2003) oder Entspannungsverfahren (Clark et al., 2006) deutlich überlegen. Neueste Forschungsbefunde zu den einzelnen Komponenten dieser Therapie werden im Hinblick auf ihre aufrechterhaltende Funktion sozialer Ängste und ihrer Effektivität diskutiert.
In einer zweiten Publikation (Ginzburg, Bohn, Stangier & Steil 2011) wird der kognitive Ansatz nach Clark und Wells auf eine komplexe, mit starker körperlicher Symptomatik verbundene Form der Sozialen Phobie, angewendet und evaluiert. Paruresis (Williams & Degenhardt, 1954) bezeichnet die Angst, auf öffentlichen Toiletten zu urinieren, und geht mit einem psychogenen Harnverhalt (Hammelstein, Pietrowsky, Merbach, & Brahler, 2005; Soifer, Nicaise, Chancellor, & Gordon, 2009) einher. Publikation dokumentiert, wie das kognitive Modell nach Clark und Wells (1995) bei Betroffenen mit starken körperlichen Symptomen angewendet werden kann. In dem theoretischen Teil der Arbeit wird auf die Notwendigkeit einer genauen Operationalisierung der mit dem Störungsmodell verknüpften Interventionen hingewiesen und anhand einer Falldarstellung veranschaulicht. Für die Praxis ergibt sich die Konsequenz, dass das kognitive Modell einen flexible Fallkonzeption und Behandlungsplanung ermöglicht und auch auf untypische Behandlungsfälle übertragbar ist.
Die flexible und kompetente Umsetzung von Interventionen spielt allerdings nicht nur bei komplexen Fällen eine Rolle. Im Rahmen der Psychotherapieprozessforschung ist der Therapeutenfaktor bei der Umsetzung der Therapiemethode und ihrer Interventionen von
großer Bedeutung und beeinflusst maßgeblich die Effektivität der Behandlung (Perepletchikova & Kazdin, 2005). In randomisiert-kontrollierten klinischen Studien wird ein großes Augenmerk auf die Behandlungsintegrität, d.h. die Umsetzung von Behandlungsvorgaben durch den Therapeuten (Waltz, Addis, Koerner, & Jacobson, 1993; Weck, Bohn, Ginzburg, & Stangier, 2011), gelegt. Bislang liegen jedoch noch keine gesicherten Hinweise vor, ob die manualgetreue Durchführung der Interventionen an sich (Adhärenz), oder auch die kompetente Anpassung dieser Interventionen an den jeweiligen Behandlungskontext (Kompetenz), zu besseren Ergebnissen in der kognitiven Therapie sozialer Phobien führt. In Studie 3 (Ginzburg, Bohn, Weck, Clark und Stangier, submitted) wird der Einfluss von Adhärenz und Kompetenz auf das Therapieergebniss bei Patienten mit Sozialer Phobie überprüft. Die Ergebnisse zeigen, dass eine höhere Kompetenz, nicht jedoch Adhärenz, bei der Anwendung der vorgesehenen Interventionen auch mit einem besseren Behandlungserfolg einhergeht. Von besonderer Bedeutung für die Vorhersage des Therapieerfolges waren spezifisch verhaltenstherapeutische Kompetenzen.
Obwohl Adhärenz und Kompetenz des Therapeuten die Effektivität von
Psychotherapie signifikant beeinflussen, gehen vergleichsweise nur wenige Studien dieser Fragestellung nach (Perepletchikova, Treat, & Kazdin, 2007). Der hierfür notwendige hoher Zeit- und Kostenaufwand ist eine der wesentlichen Ursachen hierfür (Perepletchikova, Hilt, Chereji, & Kazdin, 2009). Um Adhärenz und Kompetenz reliabel und valide einschätzen zu können, sind Audio- bzw. Videoanalysen von Therapiesitzungen durch unabhängige und trainierte Beurteiler die Methode der Wahl. Die Reduktion des Zeitaufwandes durch die Konzentration auf relevante Videoausschnitte könnte zu einer Verbesserung der Rahmenbedingungen für die Psychotherapieforschung darstellen. In Studie 3 (Weck, Bohn, Ginzburg und Stangier, 2011) wird untersucht, ob therapeutische Adhärenz und Kompetenz auch auf der Grundlage von Sitzungsausschnitten reliabel erfaßt werden kann und den Therapieerfolg vorhersagen kann. Beim Vergleich von zwei Ratingmethoden zeigte sich, dass die genauesten Aussagen anhand der Analyse einer ganzen Sitzung getroffen werden konnten.
Zusätzlich zeigten jedoch auch die Kompetenz- und Adhärenz-Einschätzungen des mittleren Sitzungsausschnittes einen hohen Zusammenhang zu den Ratings der Gesamtsitzung. Hieraus kann die Schlußfolgerung gezogen werden, dass die Analyse von Sitzungsausschnitten eine ökonomische Alternative zu der bisherigen Forschungspraxis darstellen kann, vollständige Sitzungen zu untersuchen.
Evaluation der SSRI-Medikation bei Kindern und Jugendlichen bezüglich ansteigender Suizidalität
(2012)
Zielsetzung dieser Arbeit war die Klärung der Frage, inwieweit eine SSRI-Medikation
bei Kindern und Jugendlichen mit dem Ansteigen der Suizidalität in Zusammenhang
steht. Es sollte untersucht werden, ob Suizidgedanken und Suizidverhalten im
Verlauf eines stationären Aufenthaltes allgemein ansteigen, diese nur bei
vorliegender Medikation mit SSRI ansteigen, etwa nur bei bereits vorliegender
Suizidalität ansteigen, oder ob suizidales Gedankengut allein unter einer
Wechselwirkung der Faktoren „SSRI-Medikation“ und „vorliegende Suizidalität“
entsteht.
Zur Klärung der Fragen wurden im Rahmen einer klinischen Studie Patienten
zwischen 12 und 19 Jahren über ein Fragebogeninventar befragt. Die Stichprobe
wurde konsekutiv im Zeitraum von Juni 2004 bis Dezember 2006 aus den
aufgenommen Patienten im Zentrum der Kinder- und Jugendpsychiatrie des
Klinikums der Johann Wolfgang Goethe-Universität in Frankfurt am Main rekrutiert.
Sie umfasste 44 Patienten. Ausgeschlossen wurden hierbei hochgradig geistig
retardierte Patienten, Patienten mit ausgeprägter Lese- und Rechtschreibschwäche,
sowie psychotisch erkrankte Patienten. Zur Teilnahme an der Studie war eine
Einverständniserklärung von Seiten der Eltern nötig. Zur Untersuchung der
Fragestellung wurde ein spezielles Fragebogeninventar erstellt zu dem der SBQ,
BSI, JTCI 12-18, YSR, EWL, die Achse V und die wöchentliche Erhebung externaler
Stressoren gehört. Die Suizidalität wurde so hinsichtlich eines Zusammenhangs mit
Depressivität, Impulsivität, Ängstlichkeit, Aggressivität, externalen sozialen Faktoren
und einer SSRI-Medikation in einem Gesamtzeitraum von fünf Wochen untersucht.
Das Gesamtkollektiv teilte sich in 14 männliche und 30 weibliche Patienten. Der
jüngste Patient war 12 Jahre, der älteste 19 Jahre (mittleres Alter 15,68).
Anhand des SBQ (d = 1,83) und des BSI (d = 2,09) Fragebogeninventars konnten
Suizidgedanken und -verhaltensweisen (Erhängen, Vergiften, etc.) sehr gut zwischen
„Suizidalen“ und „Nicht-Suizidalen“ trennen.
Die SSRI haben keinen signifikanten Effekt auf die Befindlichkeit (EWL), auf die
pathologiebezogene Aggressivität und Ängstlichkeit (YSR) und die
persönlichkeitsbezogene „Impulsivität“ und „Ängstlichkeit“ (unter 1%- Niveau).
Abschließend kann somit geschlossen werden, dass kein signifikanter
Zusammenhang zwischen der Gabe von SSRI und Suizidalität besteht.
Plastids are complex organelles that fulfil numerous essential cellular functions, such as
photosynthesis, amino acid and fatty acid synthesis. he majority of proteins required for
these functions are encoded in the nuclear genome and synthesised on cytosolic ribosomes as
precursors, which are posttranslationally transported to and imported into the organelle by
concerted actions of translocons in the outer and inner chloroplast membrane. For most
preproteins, targeting to the organelle is ensured by a specific import signal, a so called
transit peptide, which is specifically recognised by receptors at the chloroplastês surface. A transit peptide is generally defined as essential and sufficient for precursor targeting to and
translocation into chloroplasts, (however, an analysis of the ability of transit peptides to drive translocation of tightly folded passenger domain revealed that the transit peptide is not
always sufficient for the translocation event. A critical signal length requirement of amino
acids has been determined in vivo and in vitro. In the case of shorter transit peptide, the
succeeding portion of the mature domain provides an extension of an unfolded polypeptide
stretch required for successful translocation. The analysis of the unfolding mode of a folded
model passenger during translocation links the observed transit peptide length requirement
to the action of an energising unit present in the intermembrane space of chloroplasts.
The likely candidate for this energising unit space is putative imsHsp70, previously hypothesised to function in translocation of precursor proteins across the outer membrane. However, as the identity of this protein has up to now remained unknown, its existence has
been a matter of debate. The present study focuses on the isolation and characterisation of
imsHsp70 at the molecular level. Mass spectrometry analyses and in vivo localisation studies
demonstrate that while no specific imsHsp70 exists, multiple cytosolic Hsp70 isoforms are
targeted to the intermembrane space, but not to the stroma of chloroplasts. Thus, a so far unrecognised mode of dual targeting to chloroplasts and cytosol is most likely to ensure the
allocation of (sp s into the intermembrane space.
Crista junctions (CJs) are tubular invaginations of the inner membrane of mitochondria that connect the inner boundary with the cristae membrane. These architectural elements are critical for mitochondrial function. The yeast inner membrane protein Fcj1, called mitofilin in mammals, was reported to be preferentially located at CJs and crucial for their formation. Here we investigate the functional roles of individual domains of Fcj1. The most conserved part of Fcj1, the C-terminal domain, is essential for Fcj1 function. In its absence, formation of CJ is strongly impaired and irregular, and stacked cristae are present. This domain interacts with full-length Fcj1, suggesting a role in oligomer formation. It also interacts with Tob55 of the translocase of outer membrane β-barrel proteins (TOB)/sorting and assembly machinery (SAM) complex, which is required for the insertion of β-barrel proteins into the outer membrane. The association of the TOB/SAM complex with contact sites depends on the presence of Fcj1. The biogenesis of β-barrel proteins is not significantly affected in the absence of Fcj1. However, down-regulation of the TOB/SAM complex leads to altered cristae morphology and a moderate reduction in the number of CJs. We propose that the C-terminal domain of Fcj1 is critical for the interaction of Fcj1 with the TOB/SAM complex and thereby for stabilizing CJs in close proximity to the outer membrane. These results assign novel functions to both the C-terminal domain of Fcj1 and the TOB/SAM complex.
Was hat 1555 mit Toleranz und Freiheit zu tun? Diese Frage ist sehr berechtigt, denn es gibt keine unmittelbare Beziehung zwischen unserem Verständnis von beiden Phänomenen und den Vorstellungen der Zeitgenossen aus der Mitte des 16. Jahrhunderts, die sich in einer Welt der konfessionellen Spannungen und Zerrissenheit zurecht finden mussten.
Historiker sollten keine Verbindungslinien zwischen Gegenwart und Vergangenheit in dem Sinne ziehen, dass die Gegenwart aus dem Vergangenen lernen könnte. Das ist nicht machbar, denn jeder historische Raum hat einen eigenständigen Wert, nichts wiederholt sich in der Geschichte. Was Historiker aber können, ist Entwicklungen zu identifizieren, Phasen des Wandels zu benennen, in denen merklich oder unmerklich neue Phänomene aus Vorhandenem entstehen. Und unter dieser Perspektive kann nun auch der Augsburger Religionsfriede betrachtet werden, denn in seinem Kontext, in seiner Wirkung sind wesentliche Grundrechte im deutschsprachigen Raum erstmals als Rechtsnorm niedergelegt worden. Dazu gehört zum ersten das Recht auf freie Religionsausübung und zum zweiten das Recht auf Freizügigkeit. Der Blick des Historikers richtet sich bei der Betrachtung des Augsburger Religionsfriedens demnach auf die politischen und religiösen Normen der Zeitgenossen, die sich unter einem großen Neuerungsdruck befanden; damit geht es zugleich um die Untersuchung des Wandels dieser Normen: Handelt es sich um Weiterführung schon vorhandener Ordnungsmuster oder gab es grundsätzlich Neues?
Die Debatten, die seit der Mitte des 16. Jahrhunderts im Alten Reich über den Charakter von Herrschaft geführt wurden, haben Maßstäbe gesetzt. Denn offensichtlich wurden im Kontext der Konfrontation zwischen altgläubigem Kaiser und protestantischen Reichsständen erstmals die zentralen Fragen nach der Struktur konfessionsverschiedener politischer Ordnungen gestellt, die in den folgenden Jahrzehnten dann u.a. auch im Frankreich der konfessionellen Bürgerkriege, im Konflikt um die Herrschaftsordnung in den Niederlanden der 80iger Jahre des 16. Jahrhunderts und am Ende des Jahrhunderts zwischen anglikanischer Königin und puritanischen Ständen in England zur Lösung anstanden.
Dieser europäische Blick auf die Debatten über Herrschaft ist aufschlussreich er belegt, dass es europäische Sonderwege angesichts einer sehr großen Gemeinsamkeit politisch-theologischer Denkmuster und Argumentationsstrategien im 16./17. Jahrhundert nicht gegeben hat.
Herrschaft ist umstritten, das gilt für alle historischen Epochen. Die Wege zur Herstellung legitimer Herrschaft allerdings haben sich seit der Antike wiederholt verändert. Für die Frühe Neuzeit, also die Zeitspanne zwischen Reformation und Französischer Revolution, bleibt der Rückgriff auf Traditionen als Legitimationsgrund unangefochten, erst der radikale Umbruch zum Ende des 18. und zu Beginn des 19. Jahrhunderts hat diese Linie beendet.
Recht präzis lässt sich die Legitimierungsstrategie mit dem Begriff der reformatio charakterisieren, der Wiederherstellung also einer Ordnung, die als gerechte anerkannt war und ist und deren Rückgewinnung zeitgenössisch schlechte Zustände überwinden helfen kann. Solche Berufung auf Vergangenes konnte sehr wohl zu radikalen Brüchen in der Gegenwart führen, unter diesem Anspruch musste sich alle Herrschaft im Europa der Frühen Neuzeit rechtfertigen, unter diesem Votum durfte legitimerweise Kritik geübt, schließlich legitimerweise Widerstand geübt werden. In diesem Sinne spricht die Forschung von »Rechtfertigungsnarrativen«; im sozialen, politischen, rechtlichen und religiösen Weltverständnis des frühneuzeitlichen Europa fanden sie Verwendung.
Psycholinguistik
(2012)
My contribution focuses on the relationship between theory and praxis, since the task of a “critical archaeology” is to mediate between these two spheres. Its target audience is the public, not other scholars. Critical archaeology is not part of scientific practice, but rather is part of intellectual reasoning that is both value-laden and that exercises practical critique. Respect for the specific logics of theory and praxis is crucial for its success. A “critical archaeology” that merits its name must steer its way between the Scylla of a technocratic paternalism that limits praxis and the Charybdis of submission to theory under the presumption of the “relevance of praxis.”
Inhaltsverzeichnis 1
Aktuelle Mitteilung des Dekans 2
Besondere Hinweise 2
Veranstaltungen 2
Kolloquien, Vortrags- und Veranstaltungsreihen 2
Vorträge Vund Diskussionsveranstaltungen 3
Disputationen 3
Vorträge 3
Tagungen & Konferenzen & Workshops 4
Sonstige Veranstaltungen 6
Publikationen 6
Monographien 6
Beiträge in Sammelwerken 6
Beiträge in Fachzeitschriften 7
Sonstige Publikationen 7
Informationen aus der Bibliothek 7
Forschung und Lehre 8
Ausschreibungen 8
E-Learning 8
Fachbereichs-Homepage 8
Fachbereichsrat 8
Fachschaft 8
Impressum 9
Organelles are surrounded by membranes with a distinct lipid and protein composition. While it is well established that lipids affect protein functioning and vice versa, it has been only recently suggested that elevated membrane protein concentrations may affect the shape and organization of membranes. We therefore analyzed the effects of high chloroplast envelope protein concentrations on membrane structures using an in vivo approach with protoplasts. Transient expression of outer envelope proteins or protein domains such as CHUP1-TM–GFP, outer envelope protein of 7 kDa–GFP, or outer envelope protein of 24 kDa–GFP at high levels led to the formation of punctate, circular, and tubular membrane protrusions. Expression of inner membrane proteins such as translocase of inner chloroplast membrane 20, isoform II (Tic20-II)–GFP led to membrane protrusions including invaginations. Using increasing amounts of DNA for transfection, we could show that the frequency, size, and intensity of these protrusions increased with protein concentration. The membrane deformations were absent after cycloheximide treatment. Co-expression of CHUP1-TM–Cherry and Tic20-II–GFP led to membrane protrusions of various shapes and sizes including some stromule-like structures, for which several functions have been proposed. Interestingly, some structures seemed to contain both proteins, while others seem to contain one protein exclusively, indicating that outer and inner envelope dynamics might be regulated independently. While it was more difficult to investigate the effects of high expression levels of membrane proteins on mitochondrial membrane shapes using confocal imaging, it was striking that the expression of the outer membrane protein Tom20 led to more elongate mitochondria. We discuss that the effect of protein concentrations on membrane structure is possibly caused by an imbalance in the lipid to protein ratio and may be involved in a signaling pathway regulating membrane biogenesis. Finally, the observed phenomenon provides a valuable experimental approach to investigate the relationship between lipid synthesis and membrane protein expression in future studies.
Patients that survive hemorrhage and resuscitation (H/R) may develop a systemic inflammatory response syndrome (SIRS) that leads to dysfunction of vital organs (multiple organ dysfunction syndrome, MODS). SIRS and MODS may involve mitochondrial dysfunction. Under pentobarbital anesthesia, C57BL6 mice were hemorrhaged to 30 mm Hg for 3 h and then resuscitated with shed blood plus half the volume of lactated Ringer’s solution containing minocycline, tetracycline (both 10 mg/kg body weight) or vehicle. Serum alanine aminotransferase (ALT), necrosis, apoptosis and oxidative stress were assessed 6 h after resuscitation. Mitochondrial polarization was assessed by intravital microscopy. After H/R with vehicle or tetracycline, ALT increased to 4538 U/L and 3999 U/L, respectively, which minocycline decreased to 1763 U/L (P<0.01). Necrosis and TUNEL also decreased from 24.5% and 17.7 cells/field, respectively, after vehicle to 8.3% and 8.7 cells/field after minocycline. Tetracycline failed to decrease necrosis (23.3%) but decreased apoptosis to 9 cells/field (P<0.05). Minocycline and tetracycline also decreased caspase-3 activity in liver homogenates. Minocycline but not tetracycline decreased lipid peroxidation after resuscitation by 70% (P<0.05). Intravital microscopy showed that minocycline preserved mitochondrial polarization after H/R (P<0.05). In conclusion, minocycline decreases liver injury and oxidative stress after H/R by preventing mitochondrial dysfunction.
The human cytomegalovirus (HCMV) is suspected to increase tumour malignancy by infection of cancer and/or stroma cells (oncomodulation). So far, oncomodulatory mechanisms have been attributed to the presence of HCMV and direct action of its gene products on cancer cells. Here, we investigated whether the prolonged presence of HCMV can result in the irreversible selection of a cancer cell population with increased malignancy. The neuroblastoma cell line UKF-NB-4 was long-term (200 passages) infected with the HCMV strain Hi91 (UKF-NB-4Hi) before virus eradication using ganciclovir (UKF-NB-4HiGCV). Global gene expression profiling of UKF-NB-4, UKF-NB-4Hi and UKF-NB-4HiGCV cells and subsequent bioinformatic signal transduction pathway analysis revealed clear differences between UKF-NB-4 and UKF-NB-4Hi, as well as between UKF-NB-4 and UKF-NB-4HiGCV cells, but only minor differences between UKF-NB-4Hi and UKF-NB-4HiGCV cells. Investigation of the expression of a subset of five genes in different chronically HCMV-infected cell lines before and after virus eradication suggested that long-term HCMV infection reproducibly causes specific changes. Array comparative genomic hybridisation showed virtually the same genomic differences for the comparisons UKF-NB-4Hi/UKF-NB-4 and UKF-NB-4HiGCV/UKF-NB-4. UKF-NB-4Hi cells are characterised by an increased invasive potential compared with UKF-NB-4 cells. This phenotype was completely retained in UKF-NB-4HiGCV cells. Moreover, there was a substantial overlap in the signal transduction pathways that differed significantly between UKF-NB-4Hi/UKF-NB-4HiGCV and UKF-NB-4 cells and those differentially regulated between tumour tissues from neuroblastoma patients with favourable or poor outcome. In conclusion, we present the first experimental evidence that long-term HCMV infection can result in the selection of tumour cell populations with enhanced malignancy.
BACKGROUND:
Horizontal gene transfer through natural transformation of members of the microbiota of the lower gastrointestinal tract (GIT) of mammals has not yet been described. Insufficient DNA sequence similarity for homologous recombination to occur has been identified as the major barrier to interspecies transfer of chromosomal DNA in bacteria. In this study we determined if regions of high DNA similarity between the genomes of the indigenous bacteria in the GIT of rats and feed introduced DNA could lead to homologous recombination and acquisition of antibiotic resistance genes.
RESULTS:
Plasmid DNA with two resistance genes (nptI and aadA) and regions of high DNA similarity to 16S rRNA and 23S rRNA genes present in a broad range of bacterial species present in the GIT, were constructed and added to standard rat feed. Six rats, with a normal microbiota, were fed DNA containing pellets daily over four days before sampling of the microbiota from the different GI compartments (stomach, small intestine, cecum and colon). In addition, two rats were included as negative controls. Antibiotic resistant colonies growing on selective media were screened for recombination with feed introduced DNA by PCR targeting unique sites in the putatively recombined regions. No transformants were identified among 441 tested isolates.
CONCLUSIONS:
The analyses showed that extensive ingestion of DNA (100 μg plasmid) per day did not lead to increased proportions of kanamycin resistant bacteria, nor did it produce detectable transformants among the aerobic microbiota examined for 6 rats (detection limit < 1 transformant per 1,1 × 108 cultured bacteria). The key methodological challenges to HGT detection in animal feedings trials are identified and discussed. This study is consistent with other studies suggesting natural transformation is not detectable in the GIT of mammals.
Background: In mixed sugar fermentations with recombinant Saccharomyces cerevisiae strains able to ferment D-xylose and L-arabinose the pentose sugars are normally only utilized after depletion of D-glucose. This has been attributed to competitive inhibition of pentose uptake by D-glucose as pentose sugars are taken up into yeast cells by individual members of the yeast hexose transporter family. We wanted to investigate whether D-glucose inhibits pentose utilization only by blocking its uptake or also by interfering with its further metabolism.
Results: To distinguish between inhibitory effects of D-glucose on pentose uptake and pentose catabolism, maltose was used as an alternative carbon source in maltose-pentose co-consumption experiments. Maltose is taken up by a specific maltose transport system and hydrolyzed only intracellularly into two D-glucose molecules. Pentose consumption decreased by about 20 - 30% during the simultaneous utilization of maltose indicating that hexose catabolism can impede pentose utilization. To test whether intracellular D-glucose might impair pentose utilization, hexo-/glucokinase deletion mutants were constructed. Those mutants are known to accumulate intracellular D-glucose when incubated with maltose. However, pentose utilization was not effected in the presence of maltose. Addition of increasing concentrations of D-glucose to the hexo-/glucokinase mutants finally completely blocked D-xylose as well as L-arabinose consumption, indicating a pronounced inhibitory effect of D-glucose on pentose uptake. Nevertheless, constitutive overexpression of pentose-transporting hexose transporters like Hxt7 and Gal2 could improve pentose consumption in the presence of D-glucose.
Conclusion: Our results confirm that D-glucose impairs the simultaneous utilization of pentoses mainly due to inhibition of pentose uptake. Whereas intracellular D-glucose does not seem to have an inhibitory effect on pentose utilization, further catabolism of D-glucose can also impede pentose utilization. Nevertheless, the results suggest that co-fermentation of pentoses in the presence of D-glucose can significantly be improved by the overexpression of pentose transporters, especially if they are not inhibited by D-glucose.
Saccharomyces cerevisiae CEN.PK 113-7D is widely used for metabolic engineering and systems biology research in industry and academia. We sequenced, assembled, annotated and analyzed its genome. Single-nucleotide variations (SNV), insertions/deletions (indels) and differences in genome organization compared to the reference strain S. cerevisiae S288C were analyzed. In addition to a few large deletions and duplications, nearly 3000 indels were identified in the CEN.PK113-7D genome relative to S288C. These differences were overrepresented in genes whose functions are related to transcriptional regulation and chromatin remodelling. Some of these variations were caused by unstable tandem repeats, suggesting an innate evolvability of the corresponding genes. Besides a previously characterized mutation in adenylate cyclase, the CEN.PK113-7D genome sequence revealed a significant enrichment of non-synonymous mutations in genes encoding for components of the cAMP signalling pathway. Some phenotypic characteristics of the CEN.PK113-7D strains were explained by the presence of additional specific metabolic genes relative to S288C. In particular, the presence of the BIO1 and BIO6 genes correlated with a biotin prototrophy of CEN.PK113-7D. Furthermore, the copy number, chromosomal location and sequences of the MAL loci were resolved. The assembled sequence reveals that CEN.PK113-7D has a mosaic genome that combines characteristics of laboratory strains and wild-industrial strains.
Acute ethanol gavage attenuates hemorrhage/resuscitation-induced hepatic oxidative stress in rats
(2012)
Acute ethanol intoxication increases the production of reactive oxygen species (ROS). Hemorrhagic shock with subsequent resuscitation (H/R) also induces ROS resulting in cellular and hepatic damage in vivo. We examined the role of acute ethanol intoxication upon oxidative stress and subsequent hepatic cell death after H/R. 14 h before H/R, rats were gavaged with single dose of ethanol or saline (5 g/kg, EtOH and ctrl; H/R_EtOH or H/R_ctrl, resp.). Then, rats were hemorrhaged to a mean arterial blood pressure of 30 ± 2 mmHg for 60 min and resuscitated. Two control groups underwent surgical procedures without H/R (sham_ctrl and sham_EtOH, resp.). Liver tissues were harvested at 2, 24, and 72 h after resuscitation. EtOH-gavage induced histological picture of acute fatty liver. Hepatic oxidative (4-hydroxynonenal, 4-HNE) and nitrosative (3-nitrotyrosine, 3-NT) stress were significantly reduced in EtOH-gavaged rats compared to controls after H/R. Proapoptotic caspase-8 and Bax expressions were markedly diminished in EtOH-gavaged animals compared with controls 2 h after resuscitation. EtOH-gavage increased antiapoptotic Bcl-2 gene expression compared with controls 2 h after resuscitation. iNOS protein expression increased following H/R but was attenuated in EtOH-gavaged animals after H/R. Taken together, the data suggest that acute EtOH-gavage may attenuate H/R-induced oxidative stress thereby reducing cellular injury in rat liver.
This special issue focuses on aging in place in late life. Aging in place is about being able to continue living in one’s own home or neighborhood and to adapt to changing needs and conditions. It is of high concern due to the increasing number of old and very old people in all societies and challenges researchers, practitioners, and policy makers in many societal and scientific areas and disciplines. We invited authors to contribute original research papers as well as conceptually driven review papers that would stimulate the continuing efforts to understand the different aspects of aging in place in late life. The papers that were submitted came from very diverse disciplines, such as sociology, psychology, occupational therapy, nursing, architecture, public planning, and social work. Given the number and diversity of papers submitted, we can conclude that aging in place is an important concern throughout the world and that different kinds of measures are taken to come up with local, national, and international solutions that enhance aging in place. [...]
Autism spectrum disorders (ASD) are a heterogeneous group of neurodevelopmental disorders with a complex inheritance pattern. While many rare variants in synaptic proteins have been identified in patients with ASD, little is known about their effects at the synapse and their interactions with other genetic variations. Here, following the discovery of two de novo SHANK2 deletions by the Autism Genome Project, we identified a novel 421 kb de novo SHANK2 deletion in a patient with autism. We then sequenced SHANK2 in 455 patients with ASD and 431 controls and integrated these results with those reported by Berkel et al. 2010 (n = 396 patients and n = 659 controls). We observed a significant enrichment of variants affecting conserved amino acids in 29 of 851 (3.4%) patients and in 16 of 1,090 (1.5%) controls (P = 0.004, OR = 2.37, 95% CI = 1.23-4.70). In neuronal cell cultures, the variants identified in patients were associated with a reduced synaptic density at dendrites compared to the variants only detected in controls (P = 0.0013). Interestingly, the three patients with de novo SHANK2 deletions also carried inherited CNVs at 15q11-q13 previously associated with neuropsychiatric disorders. In two cases, the nicotinic receptor CHRNA7 was duplicated and in one case the synaptic translation repressor CYFIP1 was deleted. These results strengthen the role of synaptic gene dysfunction in ASD but also highlight the presence of putative modifier genes, which is in keeping with the "multiple hit model" for ASD. A better knowledge of these genetic interactions will be necessary to understand the complex inheritance pattern of ASD.
Introduction: Febrile neutropenia is a common and potentially life-threatening complication of treatment for childhood cancer, which has increasingly been subject to targeted treatment based on clinical risk stratification. Our previous meta-analysis demonstrated 16 rules had been described and 2 of them subject to validation in more than one study. We aimed to advance our knowledge of evidence on the discriminatory ability and predictive accuracy of such risk stratification clinical decision rules (CDR) for children and young people with cancer by updating our systematic review.
Methods: The review was conducted in accordance with Centre for Reviews and Dissemination methods, searching multiple electronic databases, using two independent reviewers, formal critical appraisal with QUADAS and meta-analysis with random effects models where appropriate. It was registered with PROSPERO: CRD42011001685.
Results: We found 9 new publications describing a further 7 new CDR, and validations of 7 rules. Six CDR have now been subject to testing across more than two data sets. Most validations demonstrated the rule to be less efficient than when initially proposed; geographical differences appeared to be one explanation for this.
Conclusion: The use of clinical decision rules will require local validation before widespread use. Considerable uncertainty remains over the most effective rule to use in each population, and an ongoing individual-patient-data meta-analysis should develop and test a more reliable CDR to improve stratification and optimise therapy. Despite current challenges, we believe it will be possible to define an internationally effective CDR to harmonise the treatment of children with febrile neutropenia.
A. Einleitung
B. Die Rechtsgrundlagen der Compliance in Aktiengesellschaft und Aktienkonzern
I. Normierung der Compliance im Bank- und Versicherungsaufsichtsrecht
II. Deutscher Corporate Governance Kodex
III. Bestandteil des aktienrechtlichen Früherkennungssystems
IV. Organisationspflichten des Vorstands im Innenverhältnis
1. Legalitätspflicht
2. Legalitätskontrollpflicht
a. Residualpflichten bei vertikaler Delegation
b. Schadenabwendungspflicht
3. Zwischenergebnis
V. Organisationspflichten der Gesellschaft im Außenverhältnis
1. Aufsichtsmaßnahmen nach § 130 OWiG
a. Aufsichtsmaßnahmen
b. Begrenzte Reichweite
c. Geltung im Konzern
2. Haftung für Verrichtungsgehilfen nach § 831 BGB
a. Pflichtenumfang
aa. Eignungsaufsicht
bb. Einweisung und Anleitung
b. Begrenzte Reichweite
aa. Dezentralisierter Entlastungsbeweis
bb. Pointilistisches Konzept
c. Geltung im Konzern
3. Betriebliche Organisationspflichten gemäß § 823 BGB
a. Inhalt
b. Entstehung durch Delegation von Verkehrspflichten
c. Entstehung durch Arbeitsteilung d. Geltung im Konzern
aa. Delegation von Verkehrspflichten
bb. Ausgliederung einer gefährlichen Tätigkeit
cc. Verkehrspflicht aus Arbeitsteilung
C. Schluss
Background: Panic disorder is common (5% prevalence) and females are twice as likely to be affected as males. The heritable component of panic disorder is estimated at 48%. Glutamic acid dehydrogenase GAD1, the key enzyme for the synthesis of the inhibitory and anxiolytic neurotransmitter GABA, is supposed to influence various mental disorders, including mood and anxiety disorders. In a recent association study in depression, which is highly comorbid with panic disorder, GAD1 risk allele associations were restricted to females.
Methodology/Principal Findings: Nineteen single nucleotide polymorphisms (SNPs) tagging the common variation in GAD1 were genotyped in two independent gender and age matched case-control samples (discovery sample n = 478; replication sample n = 584). Thirteen SNPs passed quality control and were examined for gender-specific enrichment of risk alleles associated with panic disorder by using logistic regression including a genotype×gender interaction term. The latter was found to be nominally significant for four SNPs (rs1978340, rs3762555, rs3749034, rs2241165) in the discovery sample; of note, the respective minor/risk alleles were associated with panic disorder only in females. These findings were not confirmed in the replication sample; however, the genotype×gender interaction of rs3749034 remained significant in the combined sample. Furthermore, this polymorphism showed a nominally significant association with the Agoraphobic Cognitions Questionnaire sum score.
Conclusions/Significance: The present study represents the first systematic evaluation of gender-specific enrichment of risk alleles of the common SNP variation in the panic disorder candidate gene GAD1. Our tentative results provide a possible explanation for the higher susceptibility of females to panic disorder.
The neurexin genes (NRXN1/2/3) encode two families (α and β) of highly polymorphic presynaptic proteins that are involved in excitatory/inhibitory synaptic balance. Recent studies indicate that neuronal activation and memory formation affect NRXN1/2/3α expression and alternative splicing at splice sites 3 and 4 (SS#3/SS#4). Neurons in the biological clock residing in the suprachiasmatic nuclei of the hypothalamus (SCN) act as self-sustained oscillators, generating rhythms in gene expression and electrical activity, to entrain circadian bodily rhythms to the 24 hours day/night cycles. Cell autonomous oscillations in NRXN1/2/3α expression and SS#3/SS#4 exons splicing and their links to rhythms in excitatory/inhibitory synaptic balance in the circadian clock were explored. NRXN1/2/3α expression and SS#3/SS#4 splicing, levels of neurexin-2α and the synaptic scaffolding proteins PSD-95 and gephyrin (representing excitatory and inhibitory synapses, respectively) were studied in mRNA and protein extracts obtained from SCN of C3H/J mice at different times of the 24 hours day/night cycle. Further studies explored the circadian oscillations in these components and causality relationships in immortalized rat SCN2.2 cells. Diurnal rhythms in mNRXN1α and mNRXN2α transcription, SS#3/SS#4 exon-inclusion and PSD-95 gephyrin and neurexin-2α levels were found in the SCN in vivo. No such rhythms were found with mNRXN3α. SCN2.2 cells also exhibited autonomous circadian rhythms in rNRXN1/2 expression SS#3/SS#4 exon inclusion and PSD-95, gephyrin and neurexin-2α levels. rNRXN3α and rNRXN1/2β were not expressed. Causal relationships were demonstrated, by use of specific siRNAs, between rNRXN2α SS#3 exon included transcripts and gephyrin levels in the SCN2.2 cells. These results show for the first time dynamic, cell autonomous, diurnal rhythms in expression and splicing of NRXN1/2 and subsequent effects on the expression of neurexin-2α and postsynaptic scaffolding proteins in SCN across the 24-h cycle. NRXNs gene transcripts may have a role in coupling the circadian clock to diurnal rhythms in excitatory/inhibitory synaptic balance.
Protective ant-plant mutualisms that are exploited by non-defending parasitic ants represent prominent model systems for ecology and evolutionary biology. The mutualist Pseudomyrmex ferrugineus is an obligate plant-ant and fully depends on acacias for nesting space and food. The parasite Pseudomyrmex gracilis facultatively nests on acacias and uses host-derived food rewards but also external food sources. Integrative analyses of genetic microsatellite data, cuticular hydrocarbons and behavioral assays showed that an individual acacia might be inhabited by the workers of several P. gracilis queens, whereas one P. ferrugineus colony monopolizes one or more host trees. Despite these differences in social organization, neither of the species exhibited aggressive behavior among conspecific workers sharing a tree regardless of their relatedness. This lack of aggression corresponds to the high similarity of cuticular hydrocarbon profiles among ants living on the same tree. Host sharing by unrelated colonies, or the presence of several queens in a single colony are discussed as strategies by which parasite colonies could achieve the observed social organization. We argue that in ecological terms, the non-aggressive behavior of non-sibling P. gracilis workers — regardless of the route to achieve this social structure — enables this species to efficiently occupy and exploit a host plant. By contrast, single large and long-lived colonies of the mutualist P. ferrugineus monopolize individual host plants and defend them aggressively against invaders from other trees. Our findings highlight the necessity for using several methods in combination to fully understand how differing life history strategies affect social organization in ants.
Yuanmou Basin of Yunnan, SW China, is a famous locality with hominids, hominoids, mammals and plant fossils. Based on the published megaflora and palynoflora data from Yuanmou Basin, the climate of Late Pliocene is reconstructed using the Coexistence Approach. The results indicate a warm and humid subtropical climate with a mean annual temperature of ca. 16–17°C and a mean annual precipitation of ca. 1500–1600 mm in the Late Pliocene rather than a dry, hot climate today, which may be due to the local tectonic change and gradual intensification of India monsoon. The comparison of Late Pliocene climate in Eryuan, Yangyi, Longling, and Yuanmou Basin of Yunnan Province suggests that the mean annual temperatures generally show a latitudinal gradient and fit well with their geographic position, while the mean annual precipitations seem to be related to the different geometries of the valleys under the same monsoon system.
Background: Dopamine plays an important role in orienting, response anticipation and movement evaluation. Thus, we examined the influence of functional variants related to dopamine inactivation in the dopamine transporter (DAT1) and catechol-O-methyltransferase genes (COMT) on the time-course of motor processing in a contingent negative variation (CNV) task.
Methods: 64-channel EEG recordings were obtained from 195 healthy adolescents of a community-based sample during a continuous performance task (A-X version). Early and late CNV as well as motor postimperative negative variation were assessed. Adolescents were genotyped for the COMT Val158Met and two DAT1 polymorphisms (variable number tandem repeats in the 3′-untranslated region and in intron 8).
Results: The results revealed a significant interaction between COMT and DAT1, indicating that COMT exerted stronger effects on lateralized motor post-processing (centro-parietal motor postimperative negative variation) in homozygous carriers of a DAT1 haplotype increasing DAT1 expression. Source analysis showed that the time interval 500–1000 ms after the motor response was specifically affected in contrast to preceding movement anticipation and programming stages, which were not altered.
Conclusions: Motor slow negative waves allow the genomic imaging of dopamine inactivation effects on cortical motor post-processing during response evaluation. This is the first report to point towards epistatic effects in the motor system during response evaluation, i.e. during the post-processing of an already executed movement rather than during movement programming.
Despite being internal organs, digestive structures are frequently preserved in Cambrian Lagerstätten. However, the reasons for their fossilisation and their biological implications remain to be thoroughly explored. This is particularly true with arthropods--typically the most diverse fossilised organisms in Cambrian ecosystems--where digestive structures represent an as-yet underexploited alternative to appendage morphology for inferences on their biology. Here we describe the phosphatised digestive structures of three trilobite species from the Cambrian Weeks Formation Lagerstätte (Utah). Their exquisite, three-dimensional preservation reveals unique details on trilobite internal anatomy, such as the position of the mouth and the absence of a differentiated crop. In addition, the presence of paired pygidial organs of an unknown function is reported for the first time. This exceptional material enables exploration of the relationships between gut phosphatisation and the biology of organisms. Indeed, soft-tissue preservation is unusual in these fossils as it is restricted to the digestive structures, which indicates that the gut played a central role in its own phosphatisation. We hypothesize that the gut provided a microenvironment where special conditions could develop and harboured a source of phosphorus. The fact that gut phosphatization has almost exclusively been observed in arthropods could be explained by their uncommon ability to store ions (including phosphorous) in their digestive tissues. However, in some specimens from the Weeks Formation, the phosphatisation extends to the entire digestive system, suggesting that trilobites might have had some biological particularities not observed in modern arthropods. We speculate that one of them might have been an increased capacity for ion storage in the gut tissues, related to the moulting of their heavily-mineralised carapace.
Dendritic cells (DCs) and oxLDL play an important role in the atherosclerotic process with DCs accumulating in the plaques during plaque progression. Our aim was to investigate the role of oxLDL in the modulation of the DC homing-receptor CCR7 and endothelial-ligand CCL21. Methods and Results. The expression of the DC homing-receptor CCR7 and its endothelial-ligand CCL21 was examined on atherosclerotic carotic plaques of 47 patients via qRT-PCR and immunofluorescence. In vitro, we studied the expression of CCR7 on DCs and CCL21 on human microvascular endothelial cells (HMECs) in response to oxLDL. CCL21- and CCR7-mRNA levels were significantly downregulated in atherosclerotic plaques versus non-atherosclerotic controls [90% for CCL21 and 81% for CCR7 (P<0.01)]. In vitro, oxLDL reduced CCR7 mRNA levels on DCs by 30% and protein levels by 46%. Furthermore, mRNA expression of CCL21 was significantly reduced by 50% (P<0.05) and protein expression by 24% in HMECs by oxLDL (P<0.05). Conclusions. The accumulation of DCs in atherosclerotic plaques appears to be related to a downregulation of chemokines and their ligands, which are known to regulate DC migration. oxLDL induces an in vitro downregulation of CCR7 and CCL21, which may play a role in the reduction of DC migration from the plaques.
Borrelia burgdorferi evades complement-mediated killing by interacting with complement regulators through distinct complement regulator-acquiring surface proteins (CRASPs). Here, we extend our analyses to the contribution of CRASP-4 in mediating complement resistance of B. burgdorferi and its interaction with human complement regulators. CRASP-4 (also known as ErpC) was immobilized onto magnetic beads and used to capture proteins from human serum. Following Western blotting, factor H (CFH), CFH-related protein 1 (CFHR1), CFHR2, and CFHR5 were identified as ligands of CRASP-4. To analyze the impact of native CRASP-4 on mediating survival of serum-sensitive cells in human serum, a B. garinii strain was generated that ectopically expresses CRASP-4. CRASP-4-producing bacteria bound CFHR1, CFHR2, and CFHR5 but not CFH. In addition, transformed spirochetes deposited significant amounts of lethal complement components on their surface and were susceptible to human serum, thus indicating that CRASP-4 plays a subordinate role in complement resistance of B. burgdorferi.
Background. Leukotriene B4 (LTB4), a proinflammatory lipid mediator correlates well with the acute phase of Acute Respiratory Distress Syndrome (ARDS). Therefore, LTB4-levels were investigated to determine whether they might be a useful clinical marker in predicting pulmonary complications (PC) in multiply traumatized patients. Methods: Plasma levels of LTB4 were determined in 100 patients on admission (ED) and for five consecutive days (daily). Twenty healthy volunteers served as control. LTB4-levels were measured by ELISA. Thirty patients developed PC (pneumonia, respiratory failure, acute lung injury (ALI), ARDS, pulmonary embolism) and 70 had no PC (ØPC). Results. LTB4-levels in the PC-group [127.8 pg/mL, IQR: 104–200pg/ml] were significantly higher compared to the ØPC-group on admission [95.6 pg/mL, IQR: 55–143 pg/mL] or control-group [58.4 pg/mL, IQR: 36–108 pg/mL]. LTB4 continuously declined to basal levels from day 1 to 5 without differences between the groups. The cutoff to predict PC was calculated at 109.6 pg/mL (72% specificity, 67% sensitivity). LTB4 was not influenced by overall or chest injury severity, age, gender or massive transfusion. Patients with PC received mechanical ventilation for a significantly longer period of time, and had prolonged intensive care unit and overall hospital stay. Conclusion. High LTB4-levels indicate risk for PC development in multiply traumatized patients
Treatment of malignant glioma with chemotherapy is limited mostly because of delivery impediment related to the blood-brain tumor barrier (BTB). B1 receptors (B1R), inducible prototypical G-protein coupled receptors (GPCR) can regulate permeability of vessels including possibly that of brain tumors. Here, we determine the extent of BTB permeability induced by the natural and synthetic peptide B1R agonists, LysdesArg9BK (LDBK) and SarLys[DPhe8]desArg9BK (NG29), in syngeneic F98 glioma-implanted Fischer rats. Ten days after tumor inoculation, we detected the presence of B1R on tumor cells and associated vasculature. NG29 infusion increased brain distribution volume and uptake profiles of paramagnetic probes (Magnevist and Gadomer) at tumoral sites (T1-weighted imaging). These effects were blocked by B1R antagonist and non-selective cyclooxygenase inhibitors, but not by B2R antagonist and non-selective nitric oxide synthase inhibitors. Consistent with MRI data, systemic co-administration of NG29 improved brain tumor delivery of Carboplatin chemotherapy (ICP-Mass spectrometry). We also detected elevated B1R expression in clinical samples of high-grade glioma. Our results documented a novel GPCR-signaling mechanism for promoting transient BTB disruption, involving activation of B1R and ensuing production of COX metabolites. They also underlined the potential value of synthetic biostable B1R agonists as selective BTB modulators for local delivery of different sized-therapeutics at (peri)tumoral sites.
Introduction: Efficacy of currently approved anti-HIV drugs is hampered by mutations of the viral enzymes, leading invariably to drug resistance and chemotherapy failure. Recent data suggest that cellular co-factors also represent useful targets for anti-HIV therapy. We have recently provided evidence for the possibility to block HIV-1 replication by targeting its cellular cofactor DDX3.
Material and methods: Molecular modeling and in silico technologies were applied to rationally design small molecules specifically targeting the RNA binding site of human DDX3. Biochemical studies of mutated DDX3 enzymes were also used to identify additional potential drug binding sites.
Results
Optimization of compounds identified by application of a high-throughput docking approach afforded a promising lead compound which proved to inhibit both the helicase and ATPase activity of DDX3 and to reduce the viral load of peripheral blood mononuclear cells (PBMC) infected with HIV-1. A novel interaction site has been also identified in DDX3, which, when blocked, can reduce viral replication, representing an additional target for small molecules inhibitors.
Conclusions: We have identified the first inhibitors of HIV-1 replication targeting the RNA binding site of the cellular cofactor human DDX3. These compounds may offer superior selectivity over the ATP-competitive inhibitors previously developed. In addition, a novel RNA interacting motif specific to DDX3 has been identified, opening new venues for HIV-1 drug development.
Diese Arbeit beschäftigt sich mit den Strukturen supramolekularer Komplexe, die aus einem Wirkstoff und einem Modellrezeptor bestehen. Um die spezifische Bindung durch H-Brückenbildung nachzuahmen, wurden Co-Kristallkomponenten ausgesucht, die komplementäre Bindungsstellen besitzen. Die Strukturen der erhaltenen Komplexe sowie einiger (pseudo)polymorpher Formen wurden mit Hilfe der Einkristallstrukturanalyse bestimmt. Ein Vergleich mit Kristallstrukturen ähnlicher Verbindungen ergab Hinweise auf die bevorzugten Konformationen sowie die am häufigsten gebildeten H-Brückenmotive. Theoretische Berechnungen mit den Programmen MOMO und GAUSSIAN wurden bei der Einstufung der Stabilität der Konformere und Tautomere sowie bei der Abschätzung der Komplexbildungsenergien eingesetzt.
Zunächst wurden Co-Kristalle synthetisiert, deren Komponenten ausschließlich fixierte H-Brücken-bindungsstellen besitzen. Die Co-Kristallisationsversuche des Antimalariamittels Pyrimethamin mit Orotsäure führten zur Bildung einer neuen polymorphen Form, zwei Solvaten sowie dem gewünschten Co-Kristall.
In dem ADA/DAD-Komplex zwischen dem Antibiotikum Nitrofurantoin und 2,6-Diacetamidopyridin werden die Co-Kristallkomponenten durch drei H-Brücken verbunden. In den Kristallstrukturen wird die energetisch ungünstigere sp-Konformation von Nitrofurantoin bevorzugt. In dieser Konfomation besitzt das Molekül eine positive und eine negative Seite; dies ermöglicht eine dichtere Kristallpackung.
Aufgrund der Elektronegativitäten der O- und S-Atome sollte das Watson-Crick-Basenpaar zwischen den Nucleosiden 2-Thiouridin und Adenin, das durch eine N-H•••O-Brücke verbunden ist, stabiler sein als das entsprechende Wobble-Basenpaar mit einer N-H•••S-Brücke. Um die Stabilitäten der beiden H-Brücken zu untersuchen, wurden Co-Kristallisationsversuche mit dem Thyreostatikum 6-Propyl-2-thiouracil durchgeführt. Im Co-Kristall mit 2-Aminopyrimidin wird das R_2^2(8)-Heterodimer durch eine N-H•••N- und eine N-H•••S-Brücke verbunden, während N-H•••O-Brücken die 6-Propyl-2-thiouracilmoleküle zu Ketten verknüpfen. Aufgrund der ungünstigen intramolekularen Donor/Akzeptor-Abstände wird im Co-Kristall mit 2,6-Diacetamidopyridin der gewünschte ADA/DAD-Komplex nicht beobachtet. Stattdessen bildet 6-Propyl-2-thiouracil mit Hilfe zweier N-H•••S-Brücken R_2^2(8)-Homodimere, mit denen 2,6-Diacetamidopyridin nur durch eine N-H•••O-Brücke verbunden ist. Die Mitwirkung der N-H•••S-Brücke bei der „Basenpaarung“ kann dadurch erklärt werden, dass bei der Beteiligung der N-H•••O-Brücken an dem R_2^2(8)-Motiv N-H•••S-Brücken für die Kettenbildung zuständig wären; dieses Strukturmotiv wird jedoch in Kristallstrukturen selten beobachtet. Insgesamt zeigen diese Untersuchungen, dass C-O- und C-S-Gruppen konkurrenzfähige H-Brückenakzeptoren sind.
Anschließend wurden mehrere Co-Kristalle des Antimykotikums 5-Fluorcytosin synthetisiert. Im Co-Kristall mit 2-Aminopyrimidin wird das gewünschte AD/DA-Heterodimer beobachtet. Ein ähnliches R_2^2(8)-Heterodimer könnte zwischen 5-Fluorcytosin und N-Acetylkreatinin gebildet werden, jedoch werden die Komponenten lediglich durch eine H-Brücke miteinander verknüpft. Energieberechnungen machen dies plausibel. Trotz der komplementären AAD/DDA-Bindungsstellen wird im Co-Kristall mit 6-Aminouracil das Heterodimer nur durch zwei H-Brücken verbunden. Die dadurch gewonnene Energie reicht offenbar aus, um den Energieunterschied zum AAD/DDA-Heterodimer zu kompensieren. Die Co-Kristalle des 5-Fluorcytosins mit 6-Aminoisocytosin sowie der Co-Kristall mit dem antiviralen Wirkstoff Aciclovir bestätigen die Stabilität des AAD/DDA-H-Brückenmusters, welches dem Watson-Crick-Basenpaar C-G ähnelt.
Es gelang auch, das Konformations- und das Tautomerengleichgewicht durch eine spezifische Bindung zu beeinflussen. In den Co-Kristallen von 5-Fluorcytosin mit den beiden konformationell flexiblen Molekülen Biuret und 6-Acetamidouracil wird nur diejenige Konformation gefunden, die zur Bildung des gewünschten AAD/DDA-Heterodimers führt. Dabei liegt Biuret in der energetisch günstigeren trans-Form, 6-Acetamidouracil jedoch in der ungünstigeren cis-Form vor. Die drei AAD/DDA-Komplexe von 6-Methylisocytosin zeigen, dass durch die Bildung komplementärer H-Brückeninteraktionen Tautomere getrennt kristallisiert werden können: in den Co-Kristallen mit 5-Fluorcytosin findet man ausschließlich die 3H-Form, während in dem Komplex mit 6-Aminoisocytosin lediglich die 1H-Form vorliegt.
In dieser Studie werden somit neue Einblicke in die Anwendung von Co-Kristallen als Modellsysteme für die Untersuchung von Wirkstoff/Rezeptor-Wechselwirkungen gewonnen. Um Wirkstoff/Rezeptor-Komplexe noch besser nachzuahmen, sollten zukünftig Co-Kristallisationsversuche mit größeren und flexibleren Modellrezeptoren vorgenommen werden. Weiterhin wäre die Berücksichtigung schwacher Wechselwirkungen bei der Synthese von Co-Kristallen von Interesse.
We have analysed the microseismic activity within the Rwenzori Mountains area in the western branch of the East African Rift. Seismogram recordings from a temporary array of up to 27 stations reveal approximately 800 events per month with local magnitudes ranging from –0.5 to 5.1. The earthquake distribution is highly heterogeneous. The majority of located events lie within faults zones to the East and West of the Rwenzoris with the highest seismic activity observed in the northeastern area, where the mountains are in contact with the rift shoulders. The hypocentral depth distribution exhibits a pronounced peak of seismic energy release at 15 km depth. The maximum extent of seismicity ranges from 20 to 32 km and correlates well with Moho depths that were derived from teleseismic receiver functions. We observe two general features: (i) beneath the rift shoulders seismicity extends from the surface down to ca. 30 km depth; (ii) beneath the rift valley seismicity is confined to depths greater than 10 km. From the observations there is no indication for a crustal root beneath the Rwenzori Mountains. The magnitude frequency distribution reveals a b-value of 1.1, which is consistent with the hypothesis that part of the seismicity is caused by magmatic processes within the crust. Fault plane solutions of 304 events were derived from P-polarities and SV/P amplitude ratios. More than 70 % of the source mechanisms exhibit pure or predominantly normal faulting. T-axis trends are highly uniform and oriented WNW-ESE, which is perpendicular to the rift axis and in good agreement with kinematic rift models. At the northernmost part of the region we observe a rotation of the T-axis trends to NEN-SWS, which may be indicative of a local perturbation of the regional stress field.
The neuroendocrine substance melatonin is a hormone synthesized rhythmically by the pineal gland under the influence of the circadian system and alternating light/dark cycles. Melatonin has been shown to have broad applications, and consequently becoming a molecule of great controversy. Undoubtedly, however, melatonin plays an important role as a time cue for the endogenous circadian system. This review focuses on melatonin as a regulator in the circadian modulation of memory processing. Memory processes (acquisition, consolidation, and retrieval) are modulated by the circadian system. However, the mechanism by which the biological clock is rhythmically influencing cognitive processes remains unknown. We also discuss, how the circadian system by generating cycling melatonin levels can implant information about daytime into memory processing, depicted as day and nighttime differences in acquisition, memory consolidation and/or retrieval.
Oncolytic effects of a novel Influenza A virus expressing Interleukin-15 from the NS reading frame
(2012)
Oncolytic influenza A viruses with deleted NS1 gene (delNS1) replicate selectively in tumour cells with defective interferon response and/or activated Ras/Raf/MEK/ERK signalling pathway. To develop a delNS1 virus with specific immunostimulatory properties, we used an optimised technology to insert the interleukin-15 (IL-15) coding sequence into the viral NS gene segment (delNS1-IL-15). DelNS1 and delNS1-IL-15 exerted similar oncolytic effects. Both viruses replicated and caused caspase-dependent apoptosis in interferon-defective melanoma cells. Virus replication was required for their oncolytic activity. Cisplatin enhanced the oncolytic activity of delNS1 viruses. The cytotoxic drug increased delNS1 replication and delNS1-induced caspase-dependent apoptosis. Interference with MEK/ERK signalling by RNAi-mediated depletion or the MEK inhibitor U0126 did not affect the oncolytic effects of the delNS1 viruses. In oncolysis sensitive melanoma cells, delNS1-IL-15 (but not delNS1) infection resulted in the production of IL-15 levels ranging from 70 to 1140 pg/mL in the cell culture supernatants. The supernatants of delNS1-IL-15-infected (but not of delNS1-infected) melanoma cells induced primary human natural killer cell-mediated lysis of non-infected tumour cells. In conclusion, we constructed a novel oncolytic influenza virus that combines the oncolytic activity of delNS1 viruses with immunostimulatory properties through production of functional IL-15. Moreover, we showed that the oncolytic activity of delNS1 viruses can be enhanced in combination with cytotoxic anti-cancer drugs.
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The apolipoprotein E4 (ApoE4) is an established risk factor for Alzheimer's disease (AD). Previous work has shown that this allele is associated with functional (fMRI) changes as well structural grey matter (GM) changes in healthy young, middle-aged and older subjects. Here, we assess the diffusion characteristics and the white matter (WM) tracts of healthy young (20-38 years) ApoE4 carriers and non-carriers. No significant differences in diffusion indices were found between young carriers (ApoE4+) and non-carriers (ApoE4-). There were also no significant differences between the groups in terms of normalised GM or WM volume. A feature selection algorithm (ReliefF) was used to select the most salient voxels from the diffusion data for subsequent classification with support vector machines (SVMs). SVMs were capable of classifying ApoE4 carrier and non-carrier groups with an extremely high level of accuracy. The top 500 voxels selected by ReliefF were then used as seeds for tractography which identified a WM network that included regions of the parietal lobe, the cingulum bundle and the dorsolateral frontal lobe. There was a non-significant decrease in volume of this WM network in the ApoE4 carrier group. Our results indicate that there are subtle WM differences between healthy young ApoE4 carriers and non-carriers and that the WM network identified may be particularly vulnerable to further degeneration in ApoE4 carriers as they enter middle and old age.
Der Aufsatz weist zunächst die bipolare Dependenz von Moral und Recht in Kants praktischer Philosophie nach. Durch eine Analyse von Kants Neuinterpretation der ulpianischen Rechtsregeln ist es möglich aufzuzeigen, dass Kant eine moralphilosophische Argumentation entwickelt, die mittels der intersubjektiven Anwendung des kategorischen Imperativs in der Selbstzweckvariante auf die Notwendigkeit von Rechtsverhältnissen rekurriert, die angeborene Freiheit aller Menschen sichert. Gleichwohl ist die normative Differenz von moralischer und rechtlicher Freiheit zu beachten.
Zudem zeichnet sich Kants spezifische Eigentumstheorie durch eine dynamische Entwicklung vom 'ursprünglichen' Gesamteigentum über den 'provisorischen' Ersterwerb hin zum 'ursprünglichen' Vertrag, der die Freiheit der Staatbürger sichert sowie den Staat als 'Obereigentümer' institutionalisiert.
Das Spannungsverhältnis von individuellen Staatbürgerrechten und staatlichen Handlungsbefugnissen verliert seine scheinbare Widersprüchlichkeit, sofern Freiheit sowohl als negatives wie als positives Recht verstanden wird. Ausschließlich in dem Kontext positiver Freiheitsrechte dürfte es möglich sein, die von Kant aufgeführten staatlichen Pflichten, wie beispielsweise die Pflicht des Staates, das Dasein aller Staatsbürger zu sichern, in Kants allgemeines Rechtsprinzip zu integrieren.
Striatal dopamine transmission is subtly modified in human A53Tα-synuclein overexpressing mice
(2012)
Mutations in, or elevated dosage of, SNCA, the gene for α-synuclein (α-syn), cause familial Parkinson's disease (PD). Mouse lines overexpressing the mutant human A53Tα-syn may represent a model of early PD. They display progressive motor deficits, abnormal cellular accumulation of α-syn, and deficits in dopamine-dependent corticostriatal plasticity, which, in the absence of overt nigrostriatal degeneration, suggest there are age-related deficits in striatal dopamine (DA) signalling. In addition A53Tα-syn overexpression in cultured rodent neurons has been reported to inhibit transmitter release. Therefore here we have characterized for the first time DA release in the striatum of mice overexpressing human A53Tα-syn, and explored whether A53Tα-syn overexpression causes deficits in the release of DA. We used fast-scan cyclic voltammetry to detect DA release at carbon-fibre microelectrodes in acute striatal slices from two different lines of A53Tα-syn-overexpressing mice, at up to 24 months. In A53Tα-syn overexpressors, mean DA release evoked by a single stimulus pulse was not different from wild-types, in either dorsal striatum or nucleus accumbens. However the frequency responsiveness of DA release was slightly modified in A53Tα-syn overexpressors, and in particular showed slight deficiency when the confounding effects of striatal ACh acting at presynaptic nicotinic receptors (nAChRs) were antagonized. The re-release of DA was unmodified after single-pulse stimuli, but after prolonged stimulation trains, A53Tα-syn overexpressors showed enhanced recovery of DA release at old age, in keeping with elevated striatal DA content. In summary, A53Tα-syn overexpression in mice causes subtle changes in the regulation of DA release in the striatum. While modest, these modifications may indicate or contribute to striatal dysfunction.
The Alpine Region, constituting the Alps and the Dinaric Alps, has played a major role in the formation of current patterns of biodiversity either as a contact zone of postglacial expanding lineages or as the origin of genetic diversity. In our study, we tested these hypotheses for two widespread, sympatric microgastropod taxa - Carychium minimum O.F. Müller, 1774 and Carychium tridentatum (Risso, 1826) (Gastropoda, Eupulmonata, Carychiidae) - by using COI sequence data and species potential distribution models analyzed in a statistical phylogeographical framework. Additionally, we examined disjunct transatlantic populations of those taxa from the Azores and North America. In general, both Carychium taxa demonstrate a genetic structure composed of several differentiated haplotype lineages most likely resulting from allopatric diversification in isolated refugial areas during the Pleistocene glacial periods. However, the genetic structure of Carychium minimum is more pronounced, which can be attributed to ecological constraints relating to habitat proximity to permanent bodies of water. For most of the Carychium lineages, the broader Alpine Region was identified as the likely origin of genetic diversity. Several lineages are endemic to the broader Alpine Region whereas a single lineage per species underwent a postglacial expansion to (re)colonize previously unsuitable habitats, e.g. in Northern Europe. The source populations of those expanding lineages can be traced back to the Eastern and Western Alps. Consequently, we identify the Alpine Region as a significant 'hot-spot' for the formation of genetic diversity within European Carychium lineages. Passive dispersal via anthropogenic means best explains the presence of transatlantic European Carychium populations on the Azores and in North America. We conclude that passive (anthropogenic) transport could mislead the interpretation of observed phylogeographical patterns in general.