5,887 research outputs found
Effects of Labeling and Consumer Health Trends on Preferred Ground Beef Color Characteristics, Fat Content and Palatability in Simulated Retail Display
Nutritional concerns have impacted the protein market, decreasing red meat consumption as well as prompting the advent of lean and extra lean ground beef. However, such lean blends of ground beef may suffer in palatability. This study seeks to bridge the gap between perceived health and palatability. Participants were asked to identify the relative importance of characteristics commonly used in purchasing ground beef and select a preferred package of ground beef from labeled and unlabeled sections consisting of 4%, 10%, 20%, and 27% fat content. Instrumental color data and their main drivers were also collected. Participants then completed a blind taste sampling of ground beef with variable fat contents as previously described. Color, fat, and price were found to be significantly more important (P \u3c 0.05) than label, which was significantly more important than company for package preference. No trend towards fatter or leaner blends was found between labeled and unlabeled selections, with 62.64% of participants selecting identical packages between the two sections. Instrumental color data found significant trends in lightness and oxymyoglobin ratio, the proportion of pigment that is bright cherry red, that may be used to identify leaner product without a label. No significant differences were found between the blends for any trait in sensory taste evaluation. These results suggest that while consumers have specific preferences when purchasing ground beef that can be replicated without a label using visual inspection alone, they are less discerning between cooked ground beef of different fat contents. This may explain the continued demand for lean ground beef
Social drivers forewarn of marine regime shifts
Some ecosystems can undergo regime shifts to alternative compositions of species. Although ecological indicators can identify approaching regime shifts, we propose that rapid changes in the social drivers underlying ecosystem change may provide additional and potentially earlier indicators of impending shifts. We demonstrate this by reconstructing the underlying social drivers of four iconic marine regime shifts: Pacific kelp forests, Northwest Atlantic continental shelf, Jamaican coral reefs, and the Chesapeake Bay estuary. In all cases, a range of social drivers – including opening of lucrative markets, technological innovations, and policies that enhanced the driver – ultimately prompted these ecosystem shifts. Drawing on examples emerging from environmental management practice, we present three practical recommendations for using social drivers as early indicators: monitor social change, determine social trigger points, and identify policy responses. We argue that accounting for the underlying social drivers of ecosystem change could improve decision making
Assessment of left atrial volume before and after pulmonary thromboendarterectomy in chronic thromboembolic pulmonary hypertension.
BackgroundImpaired left ventricular diastolic filling is common in chronic thromboembolic pulmonary hypertension (CTEPH), and recent studies support left ventricular underfilling as a cause. To investigate this further, we assessed left atrial volume index (LAVI) in patients with CTEPH before and after pulmonary thromboendarterectomy (PTE).MethodsForty-eight consecutive CTEPH patients had pre- & post-PTE echocardiograms and right heart catheterizations. Parameters included mean pulmonary artery pressure (mPAP), pulmonary vascular resistance (PVR), cardiac index, LAVI, & mitral E/A ratio. Echocardiograms were performed 6 ± 3 days pre-PTE and 10 ± 4 days post-PTE. Regression analyses compared pre- and post-PTE LAVI with other parameters.ResultsPre-op LAVI (mean 19.0 ± 7 mL/m2) correlated significantly with pre-op PVR (R = -0.45, p = 0.001), mPAP (R = -0.28, p = 0.05) and cardiac index (R = 0.38, p = 0.006). Post-PTE, LAVI increased by 18% to 22.4 ± 7 mL/m2 (p = 0.003). This change correlated with change in PVR (765 to 311 dyne-s/cm5, p = 0.01), cardiac index (2.6 to 3.2 L/min/m2, p = 0.02), and E/A (.95 to 1.44, p = 0.002).ConclusionIn CTEPH, smaller LAVI is associated with lower cardiac output, higher mPAP, and higher PVR. LAVI increases by ~20% after PTE, and this change correlates with changes in PVR and mitral E/A. The rapid increase in LAVI supports the concept that left ventricular diastolic impairment and low E/A pre-PTE are due to left heart underfilling rather than inherent left ventricular diastolic dysfunction
Policymaking ‘under the radar': a case study of pesticide regulation to prevent intentional poisoning in Sri Lanka
Background Suicide in Sri Lanka is a major public health problem and in 1995 the country had one of the highest rates of suicide worldwide. Since then reductions in overall suicide rates have been largely attributed to efforts to regulate a range of pesticides. The evolution, context, events and implementation of the key policy decisions around regulation are examined. Methods This study was undertaken as part of a broader analysis of policy in two parts—an explanatory case study and stakeholder analysis. This article describes the explanatory case study that included an historical narrative and in-depth interviews. Results A timeline and chronology of policy actions and influence were derived from interview and document data. Fourteen key informants were interviewed and four distinct policy phases were identified. The early stages of pesticide regulation were dominated by political and economic considerations and strongly influenced by external factors. The second phase was marked by a period of local institution building, the engagement of local stakeholders, and expanded links between health and agriculture. During the third phase the problem of self-poisoning dominated the policy agenda and closer links between stakeholders, evidence and policymaking developed. The fourth and most recent phase was characterized by strong local capacity for policymaking, informed by evidence, developed in collaboration with a powerful network of stakeholders, including international researchers. Conclusions The policy response to extremely high rates of suicide from intentional poisoning with pesticides shows a unique and successful example of policymaking to prevent suicide. It also highlights policy action taking place ‘under the radar', thus avoiding policy inertia often associated with reforms in lower and middle income countrie
Using MOST to reveal the secrets of the mischievous Wolf-Rayet binary CV Ser
The WR binary CV Serpentis (= WR113, WC8d + O8-9IV) has been a source of
mystery since it was shown that its atmospheric eclipses change with time over
decades, in addition to its sporadic dust production. The first high-precision
time-dependent photometric observations obtained with the MOST space telescope
in 2009 show two consecutive eclipses over the 29d orbit, with varying depths.
A subsequent MOST run in 2010 showed a seemingly asymmetric eclipse profile. In
order to help make sense of these observations, parallel optical spectroscopy
was obtained from the Mont Megantic Observatory (2009, 2010) and from the
Dominion Astrophysical Observatory (2009). Assuming these depth variations are
entirely due to electron scattering in a beta-law wind, an unprecedented 62%
increase in mass-loss rate is observed over one orbital period. Alternatively,
no change in mass-loss rate would be required if a relatively small fraction of
the carbon ions in the wind globally recombined and coaggulated to form carbon
dust grains. However, it remains a mystery as to how this could occur. There
also seems to be evidence for the presence of corotating interaction regions
(CIR) in the WR wind: a CIR-like signature is found in the light curves,
implying a potential rotation period for the WR star of 1.6 d. Finally, a new
circular orbit is derived, along with constraints for the wind collision.Comment: 11 pages, 11 figures, 5 table
The promise and peril of intensive-site-based ecological research: insights from the Hubbard Brook ecosystem study
Abstract.
Ecological research is increasingly concentrated at particular locations or sites. This trend reflects a variety of advantages of intensive, site-based research, but also raises important questions about the nature of such spatially delimited research: how well does site based research represent broader areas, and does it constrain scientific discovery?We provide an overview of these issues with a particular focus on one prominent intensive research site: the Hubbard Brook Experimental Forest (HBEF), New Hampshire, USA. Among the key features of intensive sites are: long-term, archived data sets that provide a context for new discoveries and the elucidation of ecological mechanisms; the capacity to constrain inputs and parameters, and to validate models of complex ecological processes; and the intellectual cross-fertilization among disciplines in ecological and environmental sciences. The feasibility of scaling up ecological observations from intensive sites depends upon both the phenomenon of interest and the characteristics of the site. An evaluation of deviation metrics for the HBEF illustrates that, in some respects, including sensitivity and recovery of streams and trees from acid deposition, this site is representative of the Northern Forest region, of which HBEF is a part. However, the mountainous terrain and lack of significant agricultural legacy make the HBEF among the least disturbed sites in the Northern Forest region. Its relatively cool, wet climate contributes to high stream flow compared to other sites. These similarities and differences between the HBEF and the region can profoundly influence ecological patterns and processes and potentially limit the generality of observations at this and other intensive sites. Indeed, the difficulty of scaling up may be greatest for ecological phenomena that are sensitive to historical disturbance and that exhibit the greatest spatiotemporal variation, such as denitrification in soils and the dynamics of bird communities. Our research shows that end member sites for some processes often provide important insights into the behavior of inherently heterogeneous ecological processes. In the current era of rapid environmental and biological change, key ecological responses at intensive sites will reflect both specific local drivers and regional trends
A Pair of Compact Red Galaxies at Redshift 2.38, Immersed in a 100 kpc Scale Ly-alpha Nebula
We present Hubble Space Telescope (HST) and ground-based observations of a
pair of galaxies at redshift 2.38, which are collectively known as 2142-4420 B1
(Francis et al. 1996). The two galaxies are both luminous extremely red objects
(EROs), separated by 0.8 arcsec. They are embedded within a 100 kpc scale
diffuse Ly-alpha nebula (or blob) of luminosity ~10^44 erg/s.
The radial profiles and colors of both red objects are most naturally
explained if they are young elliptical galaxies: the most distant yet found. It
is not, however, possible to rule out a model in which they are abnormally
compact, extremely dusty starbursting disk galaxies. If they are elliptical
galaxies, their stellar populations have inferred masses of ~10^11 solar masses
and ages of ~7x10^8 years. Both galaxies have color gradients: their centers
are significantly bluer than their outer regions. The surface brightness of
both galaxies is roughly an order of magnitude greater than would be predicted
by the Kormendy relation. A chain of diffuse star formation extending 1 arcsec
from the galaxies may be evidence that they are interacting or merging.
The Ly-alpha nebula surrounding the galaxies shows apparent velocity
substructure of amplitude ~ 700 km/s. We propose that the Ly-alpha emission
from this nebula may be produced by fast shocks, powered either by a galactic
superwind or by the release of gravitational potential energy.Comment: 33 pages, 9 figures, ApJ in press (to appear in Jun 10 issue
The critical fugacity for surface adsorption of self-avoiding walks on the honeycomb lattice is
In 2010, Duminil-Copin and Smirnov proved a long-standing conjecture of
Nienhuis, made in 1982, that the growth constant of self-avoiding walks on the
hexagonal (a.k.a. honeycomb) lattice is A key identity
used in that proof was later generalised by Smirnov so as to apply to a general
O(n) loop model with (the case corresponding to SAWs).
We modify this model by restricting to a half-plane and introducing a surface
fugacity associated with boundary sites (also called surface sites), and
obtain a generalisation of Smirnov's identity. The critical value of the
surface fugacity was conjectured by Batchelor and Yung in 1995 to be This value plays a crucial role in our generalized
identity, just as the value of growth constant did in Smirnov's identity.
For the case , corresponding to \saws\ interacting with a surface, we
prove the conjectured value of the critical surface fugacity. A crucial part of
the proof involves demonstrating that the generating function of self-avoiding
bridges of height , taken at its critical point , tends to 0 as
increases, as predicted from SLE theory.Comment: Major revision, references updated, 25 pages, 13 figure
Determinants of Length of Stay Following Total Anterior Circulatory Stroke
Identification of factors that determine length of stay (LOS) in total anterior circulatory stroke (TACS) has potential for targeted intervention to reduce the associated health care burden. This study aimed to determine which factors predict LOS following either ischaemic or haemorrhagic TACS. The study sample population was drawn from the Norfolk and Norwich Stroke and Transient Ischemic Attack (TIA) Register (1996 – 2012), a prospective registry. 2965 patients admitted with TACS verified by a stroke specialist team were included. Primary analysis identified predictors of length of stay (LOS) in either haemorrhagic or ischaemic TACS. Secondary analyses identified predictors of LOS in patients who were discharged alive or who died during admission separately. Moderate (p=0.014) to severe disability (p=0.015) and history of congestive heart failure (p=0.027) in the primary analysis and pre-stroke residence in a care facility among patients who survived to discharge (p=0.013) were associated with a shorter length of stay. Factors associated with increased length of stay included presence of neurological lateralisation in the primary analysis (p=0.004) and amongst patients who died (p=0.003 and p=0.014 for ischaemic and haemorrhagic stroke, respectively). Patients with advanced age (≥85 years) with haemorrhagic stroke had longer LOS regardless of mortality outcome. Patients with low pre-morbid disability (modified Rankin score ≤2 who died following haemorrhagic TACS also had longer LOS. Our study found predictors of LOS following TACS include neurological lateralisation, pre-stroke disability status, congestive heart failure, pre-morbid residence and age. The identification of such factors would assist in resource allocation and discharge planning
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