Academic literature on the topic 'Atmospheric sciences not elsewhere classified'

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Journal articles on the topic "Atmospheric sciences not elsewhere classified"

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Partanen, A. I., A. Laakso, A. Schmidt, H. Kokkola, T. Kuokkanen, J. P. Pietikäinen, V. M. Kerminen, K. E. J. Lehtinen, L. Laakso, and H. Korhonen. "Climate and air quality trade-offs in altering ship fuel sulfur content." Atmospheric Chemistry and Physics 13, no. 23 (December 12, 2013): 12059–71. http://dx.doi.org/10.5194/acp-13-12059-2013.

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Abstract. Aerosol particles from shipping emissions both cool the climate and cause adverse health effects. The cooling effect is, however, declining because of shipping emission controls aiming to improve air quality. We used an aerosol-climate model ECHAM-HAMMOZ to test whether by altering ship fuel sulfur content, the present-day aerosol-induced cooling effect from shipping could be preserved, while at the same time reducing premature mortality rates related to shipping emissions. We compared the climate and health effects of a present-day shipping emission scenario (ship fuel sulfur content of 2.7%) with (1) a simulation with strict emission controls in the coastal waters (ship fuel sulfur content of 0.1%) and twofold the present-day fuel sulfur content (i.e. 5.4%) elsewhere; and (2) a scenario with global strict shipping emission controls (ship fuel sulfur content of 0.1% in coastal waters and 0.5% elsewhere) roughly corresponding to international agreements to be enforced by the year 2020. Scenario 1 had a slightly stronger aerosol-induced effective radiative forcing (ERF) from shipping than the present-day scenario (−0.43 W m−2 vs. −0.39 W m−2) while reducing premature mortality from shipping by 69% (globally 34 900 deaths avoided per year). Scenario 2 decreased the ERF to −0.06 W m−2 and annual deaths by 96% (globally 48 200 deaths avoided per year) compared to present-day. Our results show that the cooling effect of present-day emissions could be retained with simultaneous notable improvements in air quality, even though the shipping emissions from the open ocean clearly have a significant effect on continental air quality. However, increasing ship fuel sulfur content in the open ocean would violate existing international treaties, could cause detrimental side-effects, and could be classified as geoengineering.
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Buenrostro Mazon, S., I. Riipinen, D. M. Schultz, M. Valtanen, M. Dal Maso, L. Sogacheva, H. Junninen, T. Nieminen, V. M. Kerminen, and M. Kulmala. "Classifying previously undefined days from eleven years of aerosol-particle-size distribution data from the SMEAR II station, Hyytiälä, Finland." Atmospheric Chemistry and Physics 9, no. 2 (January 28, 2009): 667–76. http://dx.doi.org/10.5194/acp-9-667-2009.

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Abstract. Studies of secondary aerosol-particle formation depend on identifying days in which new particle formation occurs and, by comparing them to days with no signs of particle formation, identifying the conditions favourable for formation. Continuous aerosol size distribution data has been collected at the SMEAR II station in a boreal forest in Hyytiälä, Finland, since 1996, making it the longest time series of aerosol size distributions available worldwide. In previous studies, the data have been classified as particle-formation event, nonevent, and undefined days, with almost 40% of the dataset classified as undefined. In the present study, eleven years (1996–2006) of undefined days (1630 days) were reanalyzed and subdivided into three new classes: failed events (37% of all previously undefined days), ultrafine-mode concentration peaks (34%), and pollution-related concentration peaks (19%). Unclassified days (10%) comprised the rest of the previously undefined days. The failed events were further subdivided into tail events (21%), where a tail of a formation event presumed to be advected to Hyytiälä from elsewhere, and quasi events (16%) where new particles appeared at sizes 3–10 nm, but showed unclear growth, the mode persisted for less than an hour, or both. The ultrafine concentration peaks days were further subdivided into nucleation-mode peaks (24%) and Aitken-mode peaks (10%), depending on the size range where the particles occurred. The mean annual distribution of the failed events has a maximum during summer, whereas the two peak classes have maxima during winter. The summer minimum previously found in the seasonal distribution of event days partially offsets a summer maximum in failed-event days. Daily-mean relative humidity and condensation sink values are useful in discriminating the new classes from each other. Specifically, event days had low values of relative humidity and condensation sink relative to nonevent days. Failed-event days possessed intermediate condensation sink and relative humidity values, whereas both ultrafine-mode peaks and, to a greater extent, pollution-related peaks had high values of both, similar to nonevent days. Using 96-h back trajectories, particle-size concentrations were plotted as a function of time the trajectory spent over land. Increases in particle size and number concentration during failed-event days were similar to that during the later stages of event days, whereas the particle size and number concentration for both nonevent and peaks classes did not increase as fast as for event and failed events days.
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Read, Peter L., and Sebastien Lebonnois. "Superrotation on Venus, on Titan, and Elsewhere." Annual Review of Earth and Planetary Sciences 46, no. 1 (May 30, 2018): 175–202. http://dx.doi.org/10.1146/annurev-earth-082517-010137.

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The superrotation of the atmospheres of Venus and Titan has puzzled dynamicists for many years and seems to put these planets in a very different dynamical regime from most other planets. In this review, we consider how to define superrotation objectively and explore the constraints that determine its occurrence. Atmospheric superrotation also occurs elsewhere in the Solar System and beyond, and we compare Venus and Titan with Earth and other planets for which wind estimates are available. The extreme superrotation on Venus and Titan poses some difficult challenges for numerical models of atmospheric circulation, much more difficult than for more rapidly rotating planets such as Earth or Mars. We consider mechanisms for generating and maintaining a superrotating state, all of which involve a global meridional overturning circulation. The role of nonaxisymmetric eddies is crucial, however, but the detailed mechanisms may differ between Venus, Titan, and other planets.
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WALTON, JOHN K., and DAVID TIDSWELL. "‘Classified at random by veritable illiterates’: the taking of the Spanish census of 1920 in Guipúzcoa province." Continuity and Change 20, no. 2 (August 2005): 287–313. http://dx.doi.org/10.1017/s0268416005005503.

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This article offers an approach through administrative and cultural history to the problems associated with gathering and processing data for the Spanish national census of 1920, and by implication for earlier Spanish censuses. It focuses on the Basque province of Guipúzcoa, making use of correspondence between the central statistical office in Madrid, the provincial jefe de estadística and the localities, and of reports on three problematic towns within the province. The issues that emerge regarding ‘undercounting’, the definition of administrative boundaries and the classification of demographic characteristics are set in the wider context of census-taking practices and problems elsewhere in Spain and in other cultures.
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Keys, Patrick W., Rekha Warrier, Ruud J. van der Ent, Kathleen A. Galvin, and Randall B. Boone. "Analysis of Kenya’s Atmospheric Moisture Sources and Sinks." Earth Interactions 26, no. 1 (January 2022): 139–50. http://dx.doi.org/10.1175/ei-d-21-0016.1.

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Abstract Achievement of the United Nations Sustainable Development Goals (SDGs) is contingent on understanding the potential interactions among human and natural systems. In Kenya, the goal of conserving and expanding forest cover to achieve SDG 15 “Life on Land” may be related to other SDGs because it plays a role in regulating some aspects of Kenyan precipitation. We present a 40-yr analysis of the sources of precipitation in Kenya and the fate of the evaporation that arises from within Kenya. Using MERRA-2 climate reanalysis and the Water Accounting Model 2 layers, we examine the annual and seasonal changes in moisture sources and sinks. We find that most of Kenya’s precipitation originates as oceanic evaporation but that 10% of its precipitation originates as evaporation within Kenya. This internal recycling is concentrated in the mountainous and forested Kenyan highlands, with some locations recycling more than 15% of evaporation to Kenyan precipitation. We also find that 75% of Kenyan evaporation falls as precipitation elsewhere over land, including 10% in Kenya, 25% in the Democratic Republic of the Congo, and around 5% falling in Tanzania and Uganda. Further, we find a positive relationship between increasing rates of moisture recycling and fractional forest cover within Kenya. By beginning to understand both the seasonal and biophysical interactions taking place, we may begin to understand the types of leverage points that exist for integrated atmospheric water cycle management. These findings have broader implications for disentangling environmental management and conservation and have relevance for large-scale discussions about sustainable development.
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Masaki, Motofumi, and Akira Koizumi. "Demographic characteristics and their genetic implications in a small island." Journal of Biosocial Science 20, no. 2 (April 1988): 225–34. http://dx.doi.org/10.1017/s0021932000017454.

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SummaryThe family registration records from a village population in a small island of Japan are used to assess the effect of demographic differentiation within a population on genetic measures. When the couples studied are classified by birth cohorts and origins, wives of the couples where one spouse came from elsewhere were older at marriage and had a shorter duration of marriage or registration than wives where both spouses were natives of the village. The mean number of offspring is statistically smaller in the former except for the latest cohort, due mainly to out-migration during the reproductive ages which also resulted in low rates of marriage among the offspring within the village. This leads to a small effective population size and an increased likelihood of genetic drift in the overall population.
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Gong, Maoguo, Yuelei Yang, Tao Zhan, Xudong Niu, and Shuwei Li. "A Generative Discriminatory Classified Network for Change Detection in Multispectral Imagery." IEEE Journal of Selected Topics in Applied Earth Observations and Remote Sensing 12, no. 1 (January 2019): 321–33. http://dx.doi.org/10.1109/jstars.2018.2887108.

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Melott, Adrian L., Brian C. Thomas, and Brian D. Fields. "Climate change via CO2 drawdown from astrophysically initiated atmospheric ionization?" International Journal of Astrobiology 19, no. 5 (May 28, 2020): 349–52. http://dx.doi.org/10.1017/s1473550420000117.

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AbstractMotivated by the occurrence of a moderately nearby supernova near the beginning of the Pleistocene, possibly as part of a long-term series beginning in the Miocene, we investigated whether nitrate rainout resulting from the atmospheric ionization of enhanced cosmic ray flux could have, through its fertilizer effect, initiated carbon dioxide drawdown. Such a drawdown could possibly reduce the greenhouse effect and induce the climate change that led to the Pleistocene glaciations. We estimate that the nitrogen flux enhancement onto the surface from an event at 50 pc would be of order 10%, probably too small for dramatic changes. We estimate deposition of iron (another potential fertilizer) and find it is also too small to be significant. There are also competing effects of opposite sign, including muon irradiation and reduction in photosynthetic yield caused by UV increase from stratospheric ozone layer depletion, leading to an ambiguous result. However, if the atmospheric ionization induces a large increase in the frequency of lightning, as argued elsewhere, the amount of nitrate synthesis should be much larger, dominate over the other effects and induce the climate change. More work needs to be done to clarify the effects on lightning frequency.
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Tadaki, Marc, Jennifer Salmond, and Richard Le Heron. "Applied climatology." Progress in Physical Geography: Earth and Environment 38, no. 4 (January 23, 2014): 392–413. http://dx.doi.org/10.1177/0309133313517625.

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Applied climatology has long been a niche domain, straddling the intersection between the social and natural sciences and populated largely by geographers explicitly interested in reframing human activities around climate. As human-atmospheric relations become increasingly embedded within institutions of governance, new narratives of and for applied climatology are emerging to champion particular atmospheric objects, orientations, practices and institutions into positions of policy relevance and investment priority. This paper attempts to understand these intersecting politics of ‘climate and society’ research by situating their emergence through three lenses of inquiry. First, we explore the historical disciplinary work of ‘application’ in geographical climatology, paying particular attention to how ‘relevance’ has been understood and practised. Second, we reassemble a missed disciplinary conversation about ideology in applied geography, and link this to definitions and rationales for applied climatology. Third, we explore five recent thematic engagements in applied climatology, to generate thinking about the institutions and practices of assembling climate in new circles of ‘application’, policy and elsewhere. The ‘applications’ that climatologists choose to pursue – and the ways in which they pursue them – are deeply political questions that reproduce decision-making logics, funding rationalities, notions of expertise and problem framings. In conclusion, we argue that, rather than understanding ‘climate’ and ‘society’ as stable entities with standard (e.g. quantitative) practices or modes of association, we might instead concern ourselves with the practices of assembling human-atmospheric relations.
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Taylor, Marc H., Martin Losch, Manfred Wenzel, and Jens Schröter. "On the Sensitivity of Field Reconstruction and Prediction Using Empirical Orthogonal Functions Derived from Gappy Data." Journal of Climate 26, no. 22 (October 29, 2013): 9194–205. http://dx.doi.org/10.1175/jcli-d-13-00089.1.

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Abstract Empirical orthogonal function (EOF) analysis is commonly used in the climate sciences and elsewhere to describe, reconstruct, and predict highly dimensional data fields. When data contain a high percentage of missing values (i.e., gappy), alternate approaches must be used in order to correctly derive EOFs. The aims of this paper are to assess the accuracy of several EOF approaches in the reconstruction and prediction of gappy data fields, using the Galapagos Archipelago as a case study example. EOF approaches included least squares estimation via a covariance matrix decomposition [least squares EOF (LSEOF)], data interpolating empirical orthogonal functions (DINEOF), and a novel approach called recursively subtracted empirical orthogonal functions (RSEOF). Model-derived data of historical surface chlorophyll-a concentrations and sea surface temperature, combined with a mask of gaps from historical remote sensing estimates, allowed for the creation of true and observed fields by which to gauge the performance of EOF approaches. Only DINEOF and RSEOF were found to be appropriate for gappy data reconstruction and prediction. DINEOF proved to be the superior approach in terms of accuracy, especially for noisy data with a high estimation error, although RSEOF may be preferred for larger data fields because of its relatively faster computation time.
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Dissertations / Theses on the topic "Atmospheric sciences not elsewhere classified"

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Faki, Hajira. "The development and evaluation of photo-antimicrobial isoalloxazine dyes towards infection control." Thesis, University of Central Lancashire, 2018. http://clok.uclan.ac.uk/23986/.

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In today’s world, antimicrobial resistance is one of the biggest global health issues that mankind is facing. This most effective way to ensure a wound does not become infected is through cleanliness and continued disinfection of the wound site. There is a lack of new antimicrobial drugs coming to the market due to economical and clinical reasons, this is evident in Lord O’Neill’s 2016 report and is addressed by Professor Dame Sally Davies in Parliament, (“We have reached a critical point and must act now on a global scale to slow down antimicrobial resistance”2). Prescription drugs have led to this epidemic that was highlighted by O’Neill. The latest report (2016) by O’Neill states, it is critical to improve sanitation and hygiene, refrain from overusing antibiotics in agriculture and the environment as well as introducing rapid diagnostics and vaccines3. This is leading to the need for photodynamic antimicrobial chemotherapy (PACT) that involves the use of a reactive oxygen species (ROS), photosensitiser, and light to cause microbial death. PACT is a treatment for resistant and non-resistant pathogens that is included in the treatment of multidrug resistant infections. The approach is to use novel antimicrobial drugs topically, avoiding systemic photo-toxicity, thus leading itself towards topical infection control. Herein, we report the development of a range of novel photosensitisers based on the second generation photodynamic therapeutic dyes (PDT) that are based on the tricyclic isoalloxazine structure of riboflavin, vitamin B2. Photosensitisers were synthesised using similar strategies to the isoalloxazine for a number of reasons: e.g. photoactivity and capability of degradation. In order to investigate which photosensitisers gave the highest reactive oxygen yield, functional group changes were made on the N-phenyl ring by substituting a range of electron withdrawing/donating substituents at different positions (ortho, meta, para). The free amide moiety was used to attach the photosensitiser to a solid support that would act as proof of principal of a photosensitiser attached to a bandage. These dyes show a phototherapeutic response via a Type I and II mechanism upon illumination by light of a selected wavelength. The mechanisms produce highly toxic oxygen-species, such as radical production via Type I pathway and singlet oxygen generation by Type II, thus causing terminal damage to microbes in a short time period. The synthesised photosensitisers are illuminated using blue light (440 - 490 nm) and white light in order to monitor and compare the singlet oxygen and radical yields generated as they absorb approximately at 440 nm, thus blue light being ideal for irradiation. The outstanding singlet oxygen result generated by compound 12c of 172% and a radical production by 11c of 227% show promising generators of cytotoxic species, resulting in microbial death. The synthesised photosensitisers have been tested against two opportunistic microbes (Gram positive and Gram negative bacteria; Staphylococcus aureus (S. aureus), and Escherichia coli (E.coli). They have proven to be problematic from its presence within the healthcare system especially when found on surgical site infections. From the statistics generated for the National Health Service (NHS) in the UK we can see that 52.4 % of S. aureus, and 43.1 % E.coli originates within the hospital environment. Antimicrobial activity was observed for several compounds under different light regimes on and off the solid support. As a result, the best observed MIC value of 0.25 mM/mL was achieved for S. aureus in darkness and in blue light without the polymer support. Additionally, when these compounds were linked to a polymer support (mimicking a bandage), antimicrobial activity was retained when irradiated using blue light at 1.0 mM/mL. These results show potential towards the next generation of antimicrobial disinfection agents. In time, these compounds could be integrated into the healthcare system for use as a new generation of self- cleaning bandages towards post-operative wound disinfection rather than employing front line antimicrobials. This is a moot subject under review in parliament and former UK prime minister has highlighted the concern. In a statement recently released, he states “If we fail to act, we are looking at an almost unthinkable scenario where antibiotics no longer work and we are cast back into the dark ages of medicine" – David Cameron, UK Prime Minister2.
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Stampouli, Dafni. "Improved qualification of vascular abnormalities in contrast enhanced magnetic resonance angiographic images." Thesis, University of Central Lancashire, 2009. http://clok.uclan.ac.uk/19967/.

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Stroke is the third leading cause of death in the western world, and the primary cause of adult disability. There is a great need for methods to identify patients at risk of stroke and decide appropriate treatment. The main criterion for identifying patients at risk of stroke is the percentage of the narrowing in the carotid arteries, which lead blood from the heart to the brain, which currently is quantified manually. This project is in collaboration with Blackpool Victoria Hospital and Christies Hospital in Manchester. The aim of this project is to develop software methods to improve computer-assisted carotid artery stenosis measurement based on Magnetic Resonance Images. A methodology is therefore presented, based on 3D geometry extracted from Contract-Enhanced MR Angiograms, to identify and segment the internal carotid arteries for stenosis quantification. The MRA data volume is initially automatically reduced, by locating the carotid arteries and creating two volumes of interest, each including a single set of carotids (either left or right). The artery of interest (Internal Carotid Artery - ICA) is identified in each sub-volume automatically, by tracking the carotid bifurcation and selecting the artery branch with no further arterial branches. The central axis of the ICA is consequently determined by calculating and connecting together the centres of gravity (centroids) of the 2D contours of the carotid in the axial plane. Segmentation of the ICA is carried out, perpendicular to the central axis, by applying adaptive thresholds along the ICA central axis based on local image characteristics. Hence, the cross-sectional area of the segmented ICA is then measured at different points along the vessel. The most stenotic area is identified, and a reference region is manually selected. The degree of stenosis is then quantified based on the reference and stenosed area measurements, according to the NASCET criterion. This provides a fully automated methodology to locate, identify, and measure the internal carotid stenosis. It is the first time that such complete methodology that covers the processing of the MRI data until the stenosis measurement is taken is developed and is fully automatic. The segmentation results are thoroughly evaluated against the manual delineations of two clinical experts (each performed the delineations twice), and against two popular segmentation techniques. The results were found successful and perform better than manual measurements and other current techniques. They present smaller variability than manual measurements and are able to deal with irregularities in the arterial structure, where other computerised techniques fail. The suggested methodologies seem promising and able to improve considerably both current clinical practice and other existing methodologies.
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Wodike, Obelema Tonbo Seddon. "Designing a value centred inspection method for children." Thesis, University of Central Lancashire, 2016. http://clok.uclan.ac.uk/16736/.

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There are currently several evaluation methods suited to children within the Child-Computer Interaction (CCI) community. However, these methods are user based leaving a gap in inspection method suited to children, that is, where children will act as the inspection method evaluators. This research focused on how to design an effective and easy to use inspection method where children will perform the evaluation based on their values. To ensure that the above is met, a user centred approach and a mixed methodology was explored and finally resulted in the creation of the Inspection Method for Children (IMCH) with an accompanying guideline. This six stages method could be used by CCI researchers as a guide to develop similar methods for children, by industries to perform inspection method evaluation with children on technologies designed for children and could be used by designers to gather design criteria for children’s technology. The process undertaken within this research to develop the new method is also novel and could be adapted by new and old researchers when adapting method to suit children. Future work will focus on carrying out evaluation with wider age range of children in the method to ensure suitability of the method for more children. Comparative studies of the method with other usability method to determine the effectiveness of the method and as a refinement process to produce a validated and refined IMCH method.
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McLarnon-Riches, Christian James. "The use of lipid profiles from immobilised Selenastrum capricornutum in the biological surveillance of freshwaters." Thesis, University of Central Lancashire, 2000. http://clok.uclan.ac.uk/19764/.

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The use of lipid profiles from the immobilised alga Selenastrum capricornuizim was investigated as a potential indicator of heavy metal pollution in freshwater environments. The toxicity of Cu", Zn 2 and Cd2t on algal growth was determined and the effective concentration inhibiting specific growth rate by 50 % (EC5 0) for each metal was found to be 124 pM Cu, 20 pM Zn and 5.7 pM Cd respectively. The Cu 24 EC50 value for immobilised cells was also shown to be 124 j.tM, suggesting that Cu exhibits similar toxic effects on growth in both free and immobilised cells. Studies of the effects of temperature and heavy metal exposure (Cu21, Zn 2 and Cd2 +) on S. caprzcornutum demonstrated that these factors altered the fatty acid and free sterol composition of free algal cells in batch culture. A shift in temperature from 25°C to 10°C led to an increase in the relative proportion of oleate and decrease in linoleate and parinate (18:4), together with a significant increase in the composition of ergostenol. Exposure to heavy metal ions led to an increase in oleate (with all three metals) and altered relative proportions of linoleate and parinate (changes being metal specific). Metal ion treatment also increased a22 desaturation of chondrillasterol. This characteristic lipid signature when S. capricornutum was exposed to heavy metal ions was significantly different from changes associated with other environmental factors. These changes in lipid composition upon heavy metal treatment were also observed during exposure of S. capricornuiwn to lower metal concentrations typically found in polluted environments. Studies of cells immobilised within alginate beads showed that gel confinement significantly affected the biochemistry and physiology of algal cells, with a reduction in growth rate and final cells numbers. Scanning electron microscopy demonstrated that growth was mainly limited to the bead periphery. Immobilisation altered the lipid of composition of cells as a consequence of alterations in membrane fluidity and membrane disruption. The Cu uptake from solution was greater in immobilised cells than free cells, thus gel confinement did not confer any protection to cells. The characteristic and significant changes within the lipid composition of free cells with Cu treatment were similarly observed in immobilised cells but were only apparent at 124 pM Cu. Thus lipid profiles, especially sterol composition of immobilised algal cells, may potentially be utilised as sensitive and novel indicators of heavy metal pollution in freshwater environments.
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Lu, Chen. "Expression profile of multidrug resistance genes and proteins in cancerous and stem cells." Thesis, University of Central Lancashire, 2008. http://clok.uclan.ac.uk/19754/.

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Despite improved knowledge and advanced treatments of high-grade gliomas, the overall survival rate of glioma patients remains low due to the recurrences and locations of the tumour. Evidence shows that the existence of a subpopulation of cells - cancer stem cells (CSCs) may be the major obstacle in treating gliomas. CD133 and nestin have been suggested as the markers of CSCs and natural stem cells. The primary focus of this study was to identify CD133+/nestin+ stem-like cells and discover their association with multidrug resistance (MDR) related genes, i.e. multiple drug resistance I (mdrl) gene and anti-apoptotic gene (bcl-2) in human glioma compared to normal brain tissues and cell lines. Glioma and normal astrocyte cell lines have been employed for CD133 isolating purposes to characterise the association with MDR related genotype and phenotype. The chemosensitivity of the isolated CD 133 population was investigated using chemosensitivity assay. Meanwhile, a serum deprivation method was established in this study to enrich and select CD 133+ CSCs in a glioma (GOS-3) cell line. As a secondary focus of this project, the possibility of immortalisation enzyme hTERT being a discriminative masker between normal and cancer brain stem cells and the transcriptional correlation between cd133 and bmi-lIc-myc oncogenes were investigated. For the first time, findings of the current study demonstrated that 1) there was an evident increase of CD133 gene expression in glioma compared to normal brain tissues where the latter expressed low levels of CD133, P-gp and Bcl-2 than glioma tissues, with an exception of nestin expression, 2) serum deprivation enriched CD133 expression and demonstrated a direct coexpression between CD133 and drug resistance in GOS-3 cells, 3) hTERT may not be a discriminative marker for normal and cancer brain stem cells, 4) although there was a strong transcriptional association between bmil and cmyc, there was an inverse transcriptional association between these genes and cd133 in serum deprived glioma cells, suggesting that bmil may not be essential for the maintenance of glioma stem cells, and 5) CD133+ glioma and normal brain cells showed a significantly high resistance towards chemotherapeutic drugs compared to the autologous CD133- cells. In conclusion, an improved understanding of molecules contributing to the maintenance of CSCs may lead to a combined treatment, targeting both CSCs and their protective MDR phenotypes leading eventually to attractive strategies for the treatment of gliomas.
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Woodruff, Kim Therese. "The effects of anaesthetic agents on synapses of lymnaea stagnalis (L.)." Thesis, University of Central Lancashire, 2004. http://clok.uclan.ac.uk/20248/.

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In the mammal, anaesthetics are known to act via two distinct mechanisms, either increasing inhibition via GABAA receptors (eg. Na-thiopentone) or decreasing excitation via NIvIDA receptors (eg. ketamine). The aim of this thesis is to investigate the effects of both increased inhibition and decreased excitation at the synaptic level within an invertebrate model system, something which cannot readily be done in vertebrate systems. This was achieved by carrying out experiments using both the above mentioned anaesthetics on the whole animal, isolated brain and cultured neurons. In invertebrates it has been shown that GABA and Glutamate can be both excitatory and inhibitory, and injection of GABA into Lymnaea has been shown to result in behavioural changes in feeding, locomotion, escape reactions, male mating and respiration. Injection of Na-thiopentone into the whole animal was carried out in this investigation, in order to establish the anaesthetic response of the animal model to this barbiturate. The presence of gamma-aminobutyric acid (GABA) receptors has been demonstrated in a respiratory interneuron (RPeD1) both electrophysiologically and via molecular techniques, however inmiunostaining has proved negative in RPeD1 and follower cells VD2/3 (unidirectional excitatory synapse) and VD4 (mutual inhibitory synapse). This suggests that these neurons are not themselves GABAergic, although this investigation shows the responses of these neurons to bath and direct application of GABA. Na-thiopentone did not reliably anaesthetise Lymnaea upon injection into the sole of the foot, suggesting that Na-thiopentone binds to proteins within the snail, andlor has a low affininty for the GABAA receptor in Lymnaea. Other anaesthetic studies using propofol and ketaniine have also demonstrated a lack of anaesthetic response. RPeD1 hyperpolarised and became quiescent in response to the application of high concentrations of GABA (10 3-104M), however at lower doses (1O 8-1O 5M), no effect was observed (p < 0.05). Under these conditions simultaneous recordings from VD4 showed hyperpolarisation in response to the application of GABA, whereas VD2 and VD3 exhibited excitatory responses. Presynaptic picoinjection of GABA also resulted in hyperpolarisation and quiescence in RJeD1, but the simultaneous response in VD3 was not observed. Postsynaptic application of GABA directly to 'VD2, and VD4 however, resulted in responses similar to those seen in the whole brain. VD2 and 3 also receive input 2, which hyperpolarises RPeD1 and elicits an excitatory EPSP in VD2 and 3 as this is similar to the response observed in this experiment it is possible that the effects of input 2 on RPeD1 and VD2 & 3 are mediated by GABA. As RPeDI does not stain positively for GABA and hyperpolarises in response to the drug, it seems unlikely that the postsynaptie effects are due to presynaptic release of GABA. RPeD1 has been shown to form reciprocal synapses with VD4 both in vivo and in vitro. When perfused with GABA (lmJ'i4), both cells hyperpolarised reversibly. The postsynaptic response could be due to the action of GABA presynaptically inhibiting RPeDI, or directly on postsynaptic GABA receptors. However VD4 forms connections with other cells in the brain such as input 3 which may also have resulted in this inhibitory response. RPeD1 would however have received a simultaneous excitatory input from this interneuron. Attempts were made to establish the nature of the RPeD1JVD4 synapse in these experiments, but no synapses were evident. These experiments therefore confirm the presence of GABA receptors in RPeD1 and suggest theft presence in VD2, and VD4. This investigation confirms the findings of previous studies, that injection and bath perfusion of barbiturates does not lead to responses in Lymnaea comparable to that of the mammal. In addition to it's main target site, ketamine (a frequently used intravenous anaesthetic) has also been shown to act at cholinergic receptors. The effects of ketamine on learning and memory and apoptosis in the mammalian CNS are well recognised. Within the Lymnaea CNS, VD4 and LPeD1 form a unidirectional excitatory cholinergic synapse, and this was chosen to investigate the effects of ketamine on excitatory synaptic transmission, short term potentiation and synapse formation in the invertebrate animal model. Ketamine decreased synaptic transmission between VD4 and LPeD1 in a concentration dependent manner, but did not significantly affect short term synaptic plasticity (pc0.05). While neurite outgrowth remained extensive, actual sprouting was diminished by all doses of ketamine. Cells exhibited extensive veiling, which was not present in control cells. Percentage chemical synapse formation was reduced by all doses of ketamine, and in some cases inappropriate inhibitory chemical synapses were formed. Furthermore acute, clinically relevant levels of ketamine reduce excitatory cholinergic transmission between VD4 and LPeD1, but short term plasticity is unaffected. Nerve regeneration was seriously compromised, and formation of appropriate chemical synapses greatly reduced. This data has serious implications for the clinical - use of ketamine, particularly in pregnant women, children or critical care patients where nerve regeneration and synapse formation are of great importance and long term exposure common practice. In conclusion, this work supports that of other studies which have showed that invertebrates appear to be relatively insensitive to barbiturates, whereas ketamine appears to effect excitation in a manner similar to that in the mammal.
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7

Chandranath, Swaminathan Irwin. "Comparitive activities and mechanisms of action of three novel antiulcer agents." Thesis, University of Central Lancashire, 2000. http://clok.uclan.ac.uk/21028/.

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Antiulcer agents, notably inhibitors of gastric acid secretion, have been the most successful category of drugs to be discovered in recent years; and moreover, there are currently four such agents in the world list of top 25 best selling drugs. Histamine H2 antagonists have been the number one selling pharmaceutical product for more than a decade and inhibitors of the parietal cell HIC-ATPase, so called "proton pump inhibitors" (PPI), look set to continue this success. The proposed study was designed to establish the relative efficacy and mechanisms of action of three novel agents using both in vitro and in vivo models. The three compounds namely AG-1749 (Lansoprazole), PD-136450 and transforming growth factor alpha (TGF(x) were studied to evaluate their antisecretory and antiulccr activities. Lansoprazole, the second PPI to be developed for clinical use, is a non-competitive inhibitor of the H1C-ATPase and has recently been launched in a number of countries. PD-136450 is a competitive antagonist of central and peripheral cholecystokinin-B (CCK-B) receptors (gastrin receptor) and it under clinical development as an anxiolytic but which has actions on the stomach and pancreas. Anxiolytic drug is otherwise known as anti-anxiety drugs, which are used to treat anxiety disorders, like depression, panic disorders, phobias and many personality disorders. TOFu is a polypeptide growth factor, which acts at the EGF receptor and displays potent mitogenic and antisecretory activity. The initial study deals with the comparison of the three compounds with omeprazole and ranitidine in terms of their ability to inhibit acid secretion and their activity in a range of experimental ulcer models. Potency, duration of action and activity against a range of stimulants of acid secretion (histamine, pentagastrin and basal) was determined in anaesthetized rat models by establishing dose-response relationships. The compounds represent a spectrum of activities in as much as lansoprazole is a potent, long acting inhibitor, PD-136450 is an orally active but selective inhibitor, while TOFu has a very short duration and is only active after parenteral administration. In a view to find out the mechanism of action of these drugs on gastric acid secretion, isolated gastric glands from rabbits were employed as an in vitro technique using radiolabeled 14C-aminopyrine as a marker. The results show that lansoprazole was the most potent antisecretory agent compared to other two drugs. The second phase of the study deals with the activity of the three compounds against gastric ulcers induced by acid hypersecretion, indomethacin and stress. This study enabled us to assess the extent to which antisecretory activity per se compared with other actions such as wound healing (TGFa) or anxiolytic activity (PD-136450) contribute to ulcer healing. As other workers already established that prostaglandins and nitric oxide are involved in the cytoprotective activity, the present study investigated the influence of prostaglandin and nitric oxide by using indomethacin and L-NAME pretreatment on the cytoprotective activity of lansoprazole, PD-136450 and TGFcz. Moreover, the three drugs were tested for their activities on the mucus and bicarbonate production in the stomach. It was found that lansoprazole and TGFc increased the gastric mucus secretion while PD-136450 did not show any change. Moreover it was evidenced from this study that the protective activity of PD-136450 is associated with the influence of bicarbonate secretion from the pancreas. In conclusion, the results of this study have indicated that lansoprazole, PD- 136450 and TGFct are potent antisecretory and antiulcer agents which have great therapeutic importance.
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8

Higginson, James Matthew. "Signal transduction pathways involved in skeletal muscle fibre type regulation." Thesis, University of Central Lancashire, 2003. http://clok.uclan.ac.uk/21870/.

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Mature skeletal muscle fibres can be classified as type I, type IIa, type IIx or type IIb fibres according to the myosin heavy chain (MHC) isoform that they express. More broadly, type I fibres are classified as slow fibres and type IIa, IIx and IIb fibres as fast fibres. However, the phenotype of an adult skeletal muscle fibre is not fixed: it displays plasticity being capable of adapting to changing activity and loading levels by either transition towards a slower phenotype or transition towards a faster phenotype. Overall, the aims of these studies were to further investigate and define the signal transduction pathways implicated in the control of skeletal muscle fibre phenotype. The ability of a fast muscle to undergo a transition towards a slower phenotype in response to chronic low-frequency stimulation (CLFS) was assessed, via metabolic enzyme activity assays and NADH-TR staining, following blockade of the calcineurin signalling pathway. Metabolic enzyme assays and northern blots were employed to assess the changes in enzyme activities and MEC isoform expression levels following blockade of the calcineurin and ERK1/2 signalling pathways in primary cultures of rat myotubes. Differences in the levels of various signal transduction proteins/transcription factors between slow and fast muscle were investigated using western blotting. The nuclear translocation kinetics of NFAT and NF-κB in response to treatment with the calcium ionophore A23187 were investigated in L6 myotubes using immunocytochernistry. Calcineurin blockade using cyclosporin A failed to prevent a decrease in lactate dehydrogenase activity and an increase in NADH-TR staining intensity, both characteristics of a transition towards a slower phenotype, following CLFS of the fast rat tibialis anterior muscle. Blockade of the ERK1/2 pathway in primary cultures of rat myotubes using U0126 significantly decreased MHC Iβ mRNA levels and significantly increased MIHC IIx, MEC IIb and perinatal MHC mRNA levels. Calcineurin blockade significantly decreased MHC Iβ and embryonal mRNA levels and significantly increased MHC IIx mRNA levels. Calcineurin blockade also significantly increased the activities of lactate dehydrogenase and creatine kinase while ERK1/2 blockade significantly increased the activities of lactate dehydrogenase, creatine kinase, hexokinase, malate dehydrogenase and β-hydroxyacyl-CoA deydrogenase. ERK1/2 and NF-κB levels were found to be higher in slow muscle compared to fast muscle while calcineurin and p38α,β levels were higher in fast muscle compared to slow muscle. No nuclear translocation of NF-κB and only limited evidence for NFAT nuclear translocation was seen in L6 myotubes following treatment with A23187. Overall these studies further characterize the roles of the ERK1/2 and calcineurin pathways in the regulation of muscle phenotype suggesting that each pathway controls some, but not all, of the genes that are differentially expressed between slow and fast muscle fibres. Western blotting suggests further signal transduction protein/transcription factor targets, the functions of which may be explored in the future.
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9

(5930444), Ximena V. Yepez. "CHARACTERIZATION AND ANALYSIS OF HIGH VOLTAGE ATMOSPHERIC COLD PLASMA TREATMENT OF SOYBEAN OIL." Thesis, 2020.

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Findings presented in this dissertation show that polyunsaturated fatty acids of soybean oil effectively reacted with high voltage atmospheric cold plasma gas species of various gases including hydrogen, nitrogen, and oxygen at room temperature without a catalyst. Hydrogenation, nitration, and epoxidation reactions were observed along with polymerization. Unexpectedly, hydrogen gas was not the primary source of atomic hydrogen observed under these experimental conditions. Rather, it is suggested that water vapor, present as an impurity, supplied hydrogen ions to the hydrogenation reactions. Nitrogen gas modified atmosphere is an electron-rich medium that catalyze reactions. Further investigation is suggested for optimizing the process of oil hydrogenation, as well as for exploring the potential to produce bio-based gels, lubricants, and greases.

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10

(8802641), Tianren Wu. "STUDIES ON AEROSOL SIZE DISTRIBUTIONS, EMISSIONS, AND EXPOSURES." Thesis, 2020.

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Aerosols are solid or liquid particles that span in size from a few nanometers to tens of micrometers. They are important in both outdoor and indoor environments due to their impact on climate and human health. Many aerosol processes of interest to the environment, health, and filtration are strongly size-dependent. Aerosol particle size distributions (PSDs) provide a basis to better understand outdoor and indoor air pollution sources, evaluate human exposure to air pollution, and aerosol deposition in the human respiratory tract and filters in building ventilation systems. Monitoring the temporal evolution of aerosol PSDs enable for characterization of dynamic aerosol transport and transformation processes, such as direct emissions, nucleation, condensation, coagulation, resuspension, deposition, and filtration. This thesis presents three studies on the PSDs of: (i.) urban aerosols in cities around the world in order to identify geographical trends in the shape and magnitude of PSDs and to frame future research needs for PSD observations at a global-scale, (ii.) synthesized salt particles from a novel thermal aerosol generator to evaluate its suitability for air filter testing, and (iii.) indoor biological particulate matter (bioPM) to characterize transient inhalation exposures of infants and adults to resuspended bioPM from carpet dust induced by crawling and walking.

First, this thesis presents the current state-of-knowledge of urban aerosol PSDs by critically analyzing n=793 urban aerosol PSD observations made between 1998 to 2017 in n=125 cities in n=51 countries across the following regions of the world: Africa (AF), Central, South, and Southeast Asia (CSSA), East Asia (EA), Europe (EU), Latin America (LA), North America, Australia, and New Zealand (NAAN), and West Asia (WA). Prominent geographical variations in the shape and magnitude of urban aerosol number and mass PSDs were identified and significant variations in number PSDs were found between cities in EU and NAAN with those in CSSA and EA. Most PSD observations published in the literature are short-term, with only 14% providing data for longer than six months. There is a paucity of PSDs measured in AF, CSSA, LA, and WA, demonstrating the need for long-term aerosol measurements across wide size ranges in many cities around the globe. Inter-region variations in PSDs have important implications for population exposure, driving large differences in the urban aerosol inhaled deposited dose rate received in each region of the human respiratory system. Similarly, inter-region variations in the shape of PSDs impact the penetration of urban aerosols through filters in building ventilation systems, which serve as an important interface between the outdoor and indoor atmospheres. The results of this critical review demonstrate that global initiatives are urgently needed to develop infrastructure for routine and long-term monitoring of urban aerosol PSDs spanning the nucleation to coarse modes.

Second, this thesis evaluates a newly designed commercially available thermal aerosol generator for ageing air filters in building heating, ventilation, and air-conditioning (HVAC) systems. The physical characteristics of the synthesized salt aerosol (NaCl and KCl) under different generator operational conditions were evaluated. The shape of the number and mass PSD output of the thermal aerosol generator are similar to those found in outdoor (urban) and indoor air and can be modulated by varying the rate at which the salt stick is fed into the flame. The morphology of the NaCl and KCl particles varied with size, with compact spherical or cubic structures observed below 100 nm and agglomerates observed above 100 nm. The thermal aerosol generator is a cost-effective technique for rapid ageing of HVAC filters with a PSD that more accurately represents, compared to conventional loading dusts, what filters encounter in real HVAC installations.

Lastly, this thesis characterizes infant and adult inhalation exposures and respiratory tract deposited dose rates of resuspended bioPM from carpets. Chamber experiments were conducted with a robotic crawling infant and an adult performing a walking sequence. Breathing zone (BZ) size distributions of resuspended fluorescent biological aerosol particles (FBAPs), a bioPM proxy, were monitored in real-time. FBAP exposures were highly transient during periods of locomotion. Both crawling and walking delivered a significant number of resuspended FBAPs to the BZ, with concentrations ranging from 0.5-2 cm-3. Infants and adults are primarily exposed to a unimodal FBAP size distribution between 2 and 6 μm, with infants receiving greater exposures to super-10 μm FBAPs. In just one minute of crawling or walking, 102-103 resuspended FBAPs can deposit in the respiratory tract, with an infant receiving much of their respiratory tract deposited dose in their lower airways. Per kg body mass, an infant will receive nearly four times greater respiratory tract deposited dose of resuspended FBAPs compared to an adult.

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Book chapters on the topic "Atmospheric sciences not elsewhere classified"

1

Jiménez-Ruano, Adrián, Pere Joan Gelabert, Victor Resco de Dios, Cristina Vega-García, Luis Torres, Jaime Ribalaygua, and Marcos Rodrigues. "Modeling daily natural-caused ignition probability in the Iberian Peninsula." In Advances in Forest Fire Research 2022, 1214–19. Imprensa da Universidade de Coimbra, 2022. http://dx.doi.org/10.14195/978-989-26-2298-9_184.

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In the European Mediterranean region natural-caused wildfires are a small fraction of total ignitions. Lightning strikes are the most common source of non-human fires, being strongly tied to specific synoptic conditions and patterns associated with atmospheric instability, such as dry thunderstorms. Likewise, lightning-related ignitions often associate with dry fuels and dense vegetation layers. In the case of Iberian Peninsula, the confluence of these factors favors recurrent lightning fires in the eastern Mediterranean mountain ranges and the. However, under appropriate conditions lightning fires can start elsewhere, holding the potential to propagate over vast distances. In this work, we assessed the likelihood of ignition leveraging a large dataset of lightning strikes and historical fires available in Spain. We trained and tested a machine learning model to evaluate the probability of ignition provided that a lightning strikes the ground. Our model was calibrated in the period 2009-2015 using data for mainland Spain plus the Balearic Islands. To build the binary response variable we classified lightning strikes between that triggered a fire event. For each lightning strike we extracted a set of covariates relating fuel moisture conditions, the presence and density of the vegetation layer and the shape of the relief. The final model was subsequently applied to forecast daily probabilities at 1x1 km resolution for the entire Iberian Peninsula. Although the model was originally calibrated in Spain, we extended the predictions to the entire Iberian Peninsula. By doing so we were able to validate in the future our outputs against the Portuguese dataset of recent natural-caused fires (bigger than 1 ha) from 2001 to 2021. Overall, the model attained a great predictive performance with a median AUC of 0.82. Natural-caused ignitions triggered mainly in low dead (dFMC 250) fuel moisture conditions. Lightning strikes with negative polarity seem to trigger fires more frequently when the mean density of discharger was greater than 5. Finally, natural wildfires usually started at higher elevations (above 500 m.a.s.l.).
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