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1

Kaye, Bruce N. "The Baggage of William Grant Broughton: The First Bishop of Australia as Hanoverian High Churchman." Pacifica: Australasian Theological Studies 8, no. 3 (October 1995): 291–314. http://dx.doi.org/10.1177/1030570x9500800303.

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This article examines the intellectual and ecclesiastical baggage which W. G. Broughton brought with him when he came to New South Wales as Archdeacon in 1829 by tracing Broughton's early life and education, his early ministry and scholarly writings, and identifying Broughton's circle of friends in the Church of England. The travel diary which Broughton kept on his journey to New South Wales is examined for his estimate of the books he read while on ship. Broughton emerges from this study as a person of considerable scholarly talent, and a member of the old High Church group by both theological, and political conviction as well as personal friendships.
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2

SPRENT, J. I. "Hardarson, G. and Broughton, W. J. Maximising the use of biological nitrogen fixation in agriculture." Annals of Botany 93, no. 4 (February 23, 2004): 477. http://dx.doi.org/10.1093/aob/mch065.

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3

Cole, Richard, Michael Elmalem, Esha Abrol, and Panayiota Petrochilos. "36 Study of the prevalence of autistic traits and alexithymia, with associated psychiatric comorbidity, in an outpatient program of patients with functional neurological symptom disorder (FNSD)." Journal of Neurology, Neurosurgery & Psychiatry 93, no. 12 (November 14, 2022): e3.30. http://dx.doi.org/10.1136/jnnp-2022-bnpa.36.

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IntroductionWhilst higher rates of alexithymia have previously been reported in FNSD, little is known about the prevalence of autistic traits in adults with FNSD. We aim to:Report on the prevalence of autistic traits in an outpatient group of adults diagnosed with FNSD using the Autism Spectrum Quotient (AQ-10)Report on the prevalence of alexithymia using the Toronto Alexithymia Scale (TAS-20)Report on differences in symptom severity of psychiatric comorbidity between those scoring <6 or ≥6 on the AQ-10, and those with or without alexithymiaMethodOut of 105 consecutive patients reviewed in an outpatient FNSD program, 91 completed self-report assessments for autistic traits, alexithymia, generalised anxiety, depression, social phobia, somatic symptom severity, attention deficit hyperactivity disorder (ADHD) and dyslexia. Patients were grouped by AQ-10 scores of <6 or ≥6 and compared for significant differences in tested variables using a Mann-Whitney U test. Kruskal-Wallis H tested differences in alexithymia status. Simple effects were tested using pairwise comparisons.Results40% screened positive on the AQ-10 (scoring ≥6), and 40% screen positive for alexithymia. When comparing those scoring < or ≥6 on the AQ-10, those with the higher number of autistic traits scored significantly higher on scales of alexithymia, depression, generalised anxiety, social phobia,ADHD, and dyslexia. Positive alexithymia status was significantly associated with a higher number of autistic traits as well symptoms of generalised anxiety, depression, somatic symptoms severity, social phobia and dyslexia.ConclusionWhilst higher rates of neurodevelopmental disorders have previously been reported in FNSD, we report new evidence for a high proportion of autistic traits and further evidence of a high prevalence of alexithymia in a group of adults with FNSD.1–10Mechanistic insights are limited however autistic traits may be associated with FNSD due to altered sensitivity to sensory data, as well as cognitive or affective biases, or increased susceptibility to panic. There may be an additional contribution from psychosocial stressors. Clinically, the AQ-10 and TAS-20 may be important tools in the management of FNSD, and a higher prevalence of autistic traits may highlight a need for specialised communication styles in the MDT.11This builds on research exploring the relationship between autistic traits, alexithymia and FNSD. Previous research suggests that alexithymia and altered interoceptive awareness may be modifying factors in the relationship between autistic traits and FNSD,12and further research is required to clarify the nature of these relationships.ReferencesDemartini B, Nisticò V, Goeta D, Tedesco R, Giordano B, Faggioli R,et al. Clinical overlap between functional neurological disorders and autism spectrum disorders: A preliminary study.Journal of the Neurological Sciences2021 Oct;429:117648.Freedmanet al. Psychogenic nonepileptic events in pediatric patients with autism.Hatta K, Hosozawa M, Tanaka K, Shimizu T. Exploring traits of autism and their impact on functional disability in children with somatic symptom disorder.Journal of Autism and Developmental Disorders2019 Feb 15;49(2):729–37.Jester KA, Londino DL, Hayman J. 2.68 examining the occurrence of conversion disorder diagnoses and asd among adolescents and young adults in the emergency department.Journal of the American Academy of Child & Adolescent Psychiatry [Internet]. 2019 Oct 1 [cited 2022 Feb 7];58(10):S193. Available from: http://www.jaacap.org/article/S089085671931617X/fulltextMcWilliams A, Reilly C, Gupta J, Hadji-Michael M, Srinivasan R, Heyman I. Autism spectrum disorder in children and young people with non-epileptic seizures.Seizure2019 Dec 1;73:51–5.Mierschet al. A retrospective study of 131 patients with psychogenic non-epileptic seizures (PNES)- Comorbid diagnoses and outcome after inpatient treatment.Nimmo-Smith V, Heuvelman H, Dalman C, Lundberg M, Idring S, Carpenter P,et’al. Anxiety disorders in adults with autism spectrum disorder: a population-based study.Journal of Autism and Developmental Disorders. 2020 Jan 1;50(1):308–18.Pun P, Frater J, Broughton M, Dob R, Lehn A. Psychological profiles and clinical clusters of patients diagnosed with functional neurological disorder.Frontiers in Neurology2020 Oct 15;11.Zdankiewicz-Sciga&lstrok;a E, Sciga&lstrok;a D, Sikora J, Kwaterniak W, Longobardi C. Relationship between interoceptive sensibility and somatoform disorders in adults with autism spectrum traits. The mediating role of alexithymia and emotional dysregulation.PLoS ONE. 2021 Aug 1;16(8 August).Demartini B, Petrochilos P, Ricciardi L, Price G, Edwards MJ, Joyce E. The role of alexithymia in the development of functional motor symptoms (conversion disorder).Journal of Neurology, Neurosurgery & Psychiatry [Internet]. 2014 Oct 1 [cited 2022 Feb 8];85(10):1132–7. Available from: https://jnnp.bmj.com/content/85/10/1132Cooper M, Gale K, Langley K, Broughton T, Massey TH, Hall NJ,et al. Neurological consultation with an autistic patient.Practical Neurology [Internet]. 2021 Oct 8 [cited 2022 Jan 14];practneurol-2020-002856. Available from: https://pn.bmj.com/content/early/2021/10/07/practneurol-2020-002856Shah P, Hall R, Catmur C, Bird G. Alexithymia, not autism, is associated with impaired interoception.Cortex2016 Aug 1;81:215–20.
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4

Lee, Jina, Tae Woong Whon, Na-Ri Shin, Seong Woon Roh, Jandi Kim, Seong-Kyu Park, Min-Soo Kim, et al. "Ruegeria conchae sp. nov., isolated from the ark clam Scapharca broughtonii." International Journal of Systematic and Evolutionary Microbiology 62, Pt_12 (December 1, 2012): 2851–57. http://dx.doi.org/10.1099/ijs.0.037283-0.

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A slightly halophilic, Gram-negative, strictly aerobic, non-motile rod, designated TW15T, was isolated from an ark clam in South Korea. Growth occurred at 10–37 °C, with 1–5 % (w/v) NaCl and at pH 7.0–10.0. Optimal growth occurred at 25–30 °C, with 2 % (w/v) NaCl and at pH 8.0. Strain TW15T exhibited both oxidase and catalase activities. The major fatty acids of strain TW15T were summed feature 8 (consisting of C18 : 1ω7c and/or C18 : 1ω6c) and 11-methyl C18 : 1ω7c. The predominant isoprenoid quinone was ubiquinone-10 (Q-10). The polar lipids of strain TW15T comprised phosphatidylcholine, phosphatidylglycerol, diphosphatidylglycerol, an unidentified phospholipid, an unidentified aminolipid and five unidentified lipids. Phylogenetic analysis based on 16S rRNA gene sequences indicated that strain TW15T was most closely related to Ruegeria lacuscaerulensis DSM 11314T (98.0 % 16S rRNA gene sequence similarity). DNA–DNA relatedness with closely related strains was <52±3 %. The DNA G+C content was 55.7 mol%. On the basis of phenotypic, genotypic and phylogenetic data, strain TW15T represents a novel species of the genus Ruegeria , for which the name Ruegeria conchae sp. nov. is proposed. The type strain is TW15T ( = KACC 15115T = JCM 17315T).
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5

Kim, Young-Ok, Sooyeon Park, Bo-Hye Nam, Ji-Min Park, Dong-Gyun Kim, and Jung-Hoon Yoon. "Roseovarius scapharcae sp. nov., isolated from ark shell Scapharca broughtonii." International Journal of Systematic and Evolutionary Microbiology 65, Pt_12 (December 1, 2015): 4695–700. http://dx.doi.org/10.1099/ijsem.0.000633.

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A Gram-stain-negative, non-motile, aerobic and ovoid or rod-shaped bacterium, designated MA4-5T, was isolated from ark shell (Scapharca broughtonii) collected from the South Sea, South Korea. The novel strain grew optimally at 25 °C, at pH 7.0–8.0 and in the presence of 2.0 % (w/v) NaCl. Neighbour-joining and maximum-likelihood phylogenetic trees based on 16S rRNA gene sequences showed that strain MA4-5T forms a coherent cluster with the type strains of Roseovarius albus, Roseovarius aestuarii and Roseovarius nubinhibens, sharing 97.0–99.2 % sequence similarity. It exhibited 16S rRNA gene sequence similarity of 93.1–96.1 % to the type strains of other Roseovarius species. Strain MA4-5T contained Q-10 as the predominant ubiquinone and C18 : 1ω7c as the major fatty acid. The major polar lipids of strain MA4-5T were phosphatidylcholine, phosphatidylglycerol, one unidentified aminolipid and one unidentified lipid. The DNA G+C content of strain MA4-5T was 53.8 mol% and its mean DNA–DNA relatedness values with the type strains of R. albus, R. aestuarii and R. nubinhibens were 11–26 %. Differential phenotypic properties, together with phylogenetic and genetic distinctiveness, indicated that strain MA4-5T is separate from recognized species of the genus Roseovarius. On the basis of the data presented, strain MA4-5T is considered to represent a novel species of the genus Roseovarius, for which the name Roseovarius scapharcae sp. nov. is proposed. The type strain is MA4-5T ( = KCTC 42703T = NBRC 111226T).
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6

Li, Xiaoyu, Mingyang Zhang, Zhuowei Tan, Zhiqiang Gong, Peikun Liu, and Zhenbo Wang. "Hazardous Petroleum Sludge-Derived Nitrogen and Oxygen Co-Doped Carbon Material with Hierarchical Porous Structure for High-Performance All-Solid-State Supercapacitors." Materials 14, no. 10 (May 11, 2021): 2477. http://dx.doi.org/10.3390/ma14102477.

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Rational design and sustainable preparation of high-performance carbonaceous electrode materials are important to the practical application of supercapacitors. In this work, a cost-effective synthesis strategy for nitrogen and oxygen co-doped porous carbon (NOC) from petroleum sludge waste was developed. The hierarchical porous structure and ultra-high surface area (2514.7 m2 g−1) of NOC electrode materials could provide an efficient transport path and capacitance active site for electrolyte ions. The uniform co-doping of N and O heteroatoms brought enhanced wettability, electrical conductivity and probably additional pseudo-capacitance. The as-obtained NOC electrodes exhibited a high specific capacitance (441.2 F g−1 at 0.5 A g−1), outstanding rate capability, and cycling performance with inconspicuous capacitance loss after 10,000 cycles. Further, the assembled all-solid-state MnO2/NOC asymmetrical supercapacitor device (ASC) could deliver an excellent capacitance of 119.3 F g−1 at 0.2 A g−1 under a wide potential operation window of 0–1.8 V with flexible mechanical stability. This ASC device yielded a superior energy density of 53.7 W h kg−1 at a power density of 180 W kg−1 and a reasonable cycling life. Overall, this sustainable, low-cost and waste-derived porous carbon electrode material might be widely used in the field of energy storage, now and into the foreseeable future.
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7

Lee, Jina, Na-Ri Shin, Hae-Won Lee, Seong Woon Roh, Min-Soo Kim, Young-Ok Kim, and Jin-Woo Bae. "Kistimonas scapharcae sp. nov., isolated from a dead ark clam (Scapharca broughtonii), and emended description of the genus Kistimonas." International Journal of Systematic and Evolutionary Microbiology 62, Pt_12 (December 1, 2012): 2865–69. http://dx.doi.org/10.1099/ijs.0.038422-0.

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A Gram-negative, motile, facultatively anaerobic rod, designated A36T, was isolated from a dead ark clam found on the south coast of Korea. The isolate was catalase- and oxidase-negative. 16S rRNA gene sequence analysis indicated that strain A36T was most closely related to Kistimonas asteriae KMD 001T, with which it shared 98.2 % 16S rRNA gene sequence similarity. Strain A36T grew optimally at 30–37 °C, with 1 % (w/v) NaCl and at pH 8.0. The major respiratory quinone was ubiquinone-9 (Q-9). The major polar lipids were phosphatidylserine, phosphoethanolamine, phosphatidylglycerol and diphosphatidylglycerol. The major fatty acids were summed feature 3 (comprising C16 : 1ω7c and/or iso-C15 2-OH) and C16 : 0. The genomic DNA G+C content was 47.3 mol%. DNA–DNA relatedness between the isolate and K. asteriae JCM 15607T was <25±3 %. Strain A36T represents a novel species of the genus Kistimonas , for which the name Kistimonas scapharcae sp. nov. is proposed. The type strain is A36T ( = KACC 16204T = JCM 17805T). An emended description of the genus Kistimonas is also provided.
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8

Beriaschwili, Mamuka. "Das einfache Eins-Werden des Menschen und Gottes bei Meister Eckhart und Hegel." Bochumer Philosophisches Jahrbuch für Antike und Mittelalter 5 (December 31, 2000): 71–95. http://dx.doi.org/10.1075/bpjam.5.05ber.

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This essay examines the becoming-one of man and God in the thought of Meister Eckhart and G. W. F. Hegel. It holds that the seemingly moral category of love is elevated to the onto-gnoseological dimension of the One itself in its fullness. In this very work which is love and at the same time is God Himself, God loves all things not as created, but rather inasmuch as they are created in God. This absolute process of becoming is brought to perfection when empirical space and time are overcome – a transcendence expressed by Eckhart as the ‹nun› of eternal presence.
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9

Steele, Philip. "Air Navigation Systems: Chapter 6. Navigation and the Pioneering Flights Part II." Journal of Navigation 50, no. 2 (May 1997): 261–74. http://dx.doi.org/10.1017/s0373463300023882.

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Part I of this chapter was included in the January 1997 issue of the Journal, Vol. 50, p. 65.The Smith Brothers, 1919. Captain Ross M. Smith, of the Australian Flying Corps based in Palestine, flew a Handley Page 0/400 late in 1918 on a special flight to Baghdad and beyond, carrying as passenger Major General W. G. H. Salmond, the RAF's Middle East Commander. Flying as co-pilot was Brigadier-General Borton, Commander of the Palestine Brigade. Smith had been flying, in support of Lawrence's forces, another 0/00 which Borton had brought from England.
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10

Amanpokptis, Musa, John L. Tombokan, Nego E. Bataragoa, and Fransine B. Manginsela. "Weight-Length and Condition Factor of Snakehead Fish Channa striata (Bloch, 1793) from Tondano Lake North Sulawesi." JURNAL PERIKANAN DAN KELAUTAN TROPIS 10, no. 1 (July 22, 2019): 6. http://dx.doi.org/10.35800/jpkt.10.1.2019.24232.

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Sampling was done in two places, Tolour village and Kaweng village. Samples were taken from fishermen in July and August 2018. Total samples collected were 35 individuals, 20 indivduals from Tolour and 15 from Kaweng. Furthermore, the fish were brought the Faculty of Fisheries and Marine Science, and data recording was in the Freshwater Bioecology Laboratory. They consisted of 16 males and 19 females. Male length ranged from 25.8 to 43.2 cm, and female from 22.0 to 39.6 cm. The weight of males ranged from 157-755 g and female between 38-422g.Weight-length relationship in this study was W = 0.0017L3.4517 for sex combination, W = 0.0116L2.9161 for males and W = 0.0009L3,6426 for females. The growth pattern for combied sex was isometric (b = 3.457). The growth pattern was isometric (b = 2.9161) for male and allometric positive (b = 3.6426) for females. The relative condition factor (Kn) of all individuals was 1.06 ± 0.44, 1.01 ± 0.13 for males and 1.01 ± 0.58 for femaleKey Words: Tondano Lake, Snakehead Fish, Weight-length, condition factor ABSTRAKPengambilan sampel dilakukan di dua tempat yaitu, Kelurahan Tolour Kecamatan Tondano Timur dan Desa Kaweng Kecamatan Kakas. Sampel diambil dari hasil tangkapan nelayan pada Bulan Juli dan Agustus 2018. Sampel yang terkumpul sebanyak 35 ekor, 20 sampel dari Tolour dan 15 dari Kaweng. Selanjutnya ikan dibawah ke Laboraturium Bioekologi Air Tawar FPIK untuk pengambilan data. Sampel yang digunakan sebanyak 35 individu yang terdiri atas jenis kelamin jantan 16 individu dan betina 19 individu. Ukuran panjang ikan jantan berkisar antara 25,8-43,2 cm, dan ikan betina berkisar antara 22,0-39,6 cm. Ukuran berat ikan jantan berkisar antara 157-755 g dan ikan betina beratnya berkisar antara 38-422g. Hubungan panjang berat ikan gabus dalam penelitian ini adalah W= 0,0017L3,4517 untuk gabungan jantan betina, W = 0,0116L2,9161 untuk jenis kelamin jantan dan W = 0,0009L3,6426 untuk jenis kelamin betina. Pola pertumbuhan untuk gabungan jantan dan betina adalah isometric (b=3,457). Pola pertumbuhan ikan gabus adalah pola pertumbuhan isometrik (b=2,9161) untuk jantan dan allometrik positif (b=3,6426) untuk jenis kelamin betina. Faktor kondisi relative (Kn) seluruh individu adalah 1,06 ± 0,44. Faktor Kondisi jantan adalah 1,01 ± 0,13. Jenis kelamin betina faktor kondisi adalah 1,01 ± 0,58.Kata kunci: Tondano, ikan gabus, berat-panjag, factor kondisi
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11

Amanpokptis, Musa, John L. Tombokan, Nego Elvis Bataragoa, and Fransine B. Manginsela. "Weight-Length and Condition Factor of Snakehead Fish Channa striata (Bloch, 1793) from Tondano Lake North Sulawesi." JURNAL PERIKANAN DAN KELAUTAN TROPIS 10, no. 1 (July 22, 2019): 6. http://dx.doi.org/10.35800/jpkt.10.1.2019.25070.

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Sampling was done in two places, Tolour village and Kaweng village. Samples were taken from fishermen in July and August 2018. Total samples collected were 35 individuals, 20 indivduals from Tolour and 15 from Kaweng. Furthermore, the fish were brought the Faculty of Fisheries and Marine Science, and data recording was in the Freshwater Bioecology Laboratory. They consisted of 16 males and 19 females. Male length ranged from 25.8 to 43.2 cm, and female from 22.0 to 39.6 cm. The weight of males ranged from 157-755 g and female between 38-422g.Weight-length relationship in this study was W = 0.0017L3.4517 for sex combination, W = 0.0116L2.9161 for males and W = 0.0009L3,6426 for females. The growth pattern for combied sex was isometric (b = 3.457). The growth pattern was isometric (b = 2.9161) for male and allometric positive (b = 3.6426) for females. The relative condition factor (Kn) of all individuals was 1.06 ± 0.44, 1.01 ± 0.13 for males and 1.01 ± 0.58 for femaleKey Words: Tondano Lake, Snakehead Fish, Weight-length, condition factor ABSTRAKPengambilan sampel dilakukan di dua tempat yaitu, Kelurahan Tolour Kecamatan Tondano Timur dan Desa Kaweng Kecamatan Kakas. Sampel diambil dari hasil tangkapan nelayan pada Bulan Juli dan Agustus 2018. Sampel yang terkumpul sebanyak 35 ekor, 20 sampel dari Tolour dan 15 dari Kaweng. Selanjutnya ikan dibawah ke Laboraturium Bioekologi Air Tawar FPIK untuk pengambilan data. Sampel yang digunakan sebanyak 35 individu yang terdiri atas jenis kelamin jantan 16 individu dan betina 19 individu. Ukuran panjang ikan jantan berkisar antara 25,8-43,2 cm, dan ikan betina berkisar antara 22,0-39,6 cm. Ukuran berat ikan jantan berkisar antara 157-755 g dan ikan betina beratnya berkisar antara 38-422g. Hubungan panjang berat ikan gabus dalam penelitian ini adalah W= 0,0017L3,4517 untuk gabungan jantan betina, W = 0,0116L2,9161 untuk jenis kelamin jantan dan W = 0,0009L3,6426 untuk jenis kelamin betina. Pola pertumbuhan untuk gabungan jantan dan betina adalah isometric (b=3,457). Pola pertumbuhan ikan gabus adalah pola pertumbuhan isometrik (b=2,9161) untuk jantan dan allometrik positif (b=3,6426) untuk jenis kelamin betina. Faktor kondisi relative (Kn) seluruh individu adalah 1,06 ± 0,44. Faktor Kondisi jantan adalah 1,01 ± 0,13. Jenis kelamin betina faktor kondisi adalah 1,01 ± 0,58.Kata kunci: Tondano, ikan gabus, berat-panjag, factor kondisi
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12

Wattenberg, B. W., T. J. Raub, R. R. Hiebsch, and P. J. Weidman. "The activity of Golgi transport vesicles depends on the presence of the N-ethylmaleimide-sensitive factor (NSF) and a soluble NSF attachment protein (alpha SNAP) during vesicle formation." Journal of Cell Biology 118, no. 6 (September 15, 1992): 1321–32. http://dx.doi.org/10.1083/jcb.118.6.1321.

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An assay designed to measure the formation of functional transport vesicles was constructed by modifying a cell-free assay for protein transport between compartments of the Golgi (Balch, W. E., W. G. Dunphy, W. A. Braell, and J. E. Rothman. 1984. Cell. 39:405-416). A 35-kD cytosolic protein that is immunologically and functionally indistinguishable from alpha SNAP (soluble NSF attachment protein) was found to be required during vesicle formation. SNAP, together with the N-ethylmaleimide-sensitive factor (NSF) have previously been implicated in the attachment and/or fusion of vesicles with their target membrane. We show that NSF is also required during the formation of functional vesicles. Strikingly, we found that after vesicle formation, the NEM-sensitive function of NSF was no longer required for transport to proceed through the ensuing steps of vesicle attachment and fusion. In contrast to these functional tests of vesicle formation, SNAP was not required for the morphological appearance of vesicular structures on the Golgi membranes. If SNAP and NSF have a direct role in transport vesicle attachment and/or fusion, as previously suggested, these results indicate that these proteins become incorporated into the vesicle membranes during vesicle formation and are brought to the fusion site on the transport vesicles.
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13

TULCZYJEW, WLODZIMIERZ M. "DYNAMICS WITH EXTERNAL FORCES REVISITED." International Journal of Geometric Methods in Modern Physics 09, no. 02 (March 2012): 1260010. http://dx.doi.org/10.1142/s0219887812600109.

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The study of isolated system is of little interest to physicists since it is not applicable to practical situations. Analytical mechanics should be brought closer to control theory. Behavior of a system coupled to external controlling devices should be examined. There is a class of controlling devices representable by external forces. We proposed a framework for describing the dynamics of mechanical devices subject to control by external forces. The original version of the theory was presented in G. Marmo, W. Tulczyjew and P. Urbański, Dynamics of autonomous systems with external forces, Acta Phys. Polon. B33 (2002) 1181–1240. The geometric constructions used in original paper are clarified. The Legendre–Fenchel transformation is described and the concept of external force is introduced. Liouville structures are defined.
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Sharma, Sanjeev, Ranendra Kumar Majumdar, Naresh Kumar Mehta, and Nilesh Prakash Nirmal. "Effects of Pineapple Peel Ethanolic Extract on the Physicochemical and Textural Properties of Surimi Prepared from Silver Carp (Hypophthalmichthys molitrix)." Foods 11, no. 20 (October 15, 2022): 3223. http://dx.doi.org/10.3390/foods11203223.

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The effects of ethanolic pineapple peel extract (PPE) powder at various concentrations (0–1.50%, w/w) on the gelling properties of silver carp surimi were investigated. The pineapple peel extract produced with 0–100% ethanol, revealed that 100% ethanol had the highest bioactive properties. Surimi gels with added PPE powder demonstrated improved gel strength (504.13 ± 11.78 g.cm) and breaking force (511.64 ± 11.80 g) up to 1% PPE addition; however, as PPE concentration increased beyond 1%, the gel strength decreased. Similarly, with the addition of 1% PPE powder, more hydrophobic bonds and fewer sulfhydryl groups and free amino groups were seen. However, the gels with PPE powder added showed a slight reduction in the whiteness of the surimi gels. FTIR analysis indicated that the fortification with PPE powder brought about the secondary structure of myofibrillar proteins; peaks shifted to the β-sheet region (PPE gels) from the α-helix region (control). SEM analysis indicated that the gel with 1% PPE powder had a relatively organized, finer and denser gel architecture. Overall results suggested that the addition of PPE powder up to 1% to the surimi gels enhanced the gelling properties as well as the microstructure of the surimi.
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Lee, Hae-Won, Seong Woon Roh, Na-Ri Shin, Jina Lee, Tae Woong Whon, Mi-Ja Jung, Ji-Hyun Yun, et al. "Blastopirellula cremea sp. nov., isolated from a dead ark clam." International Journal of Systematic and Evolutionary Microbiology 63, Pt_6 (June 1, 2013): 2314–19. http://dx.doi.org/10.1099/ijs.0.044099-0.

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Strain LHWP2T, a novel, aerobic, budding, motile and ovoid bacterium belonging to the phylum Planctomycetes , was isolated from a dead ark clam (Scapharca broughtonii) from the south coast of Korea. Strain LHWP2T grew optimally at 30 °C, in the presence of 4 % (w/v) NaCl, and at pH 7. The predominant cellular fatty acids were C16 : 0, C18 : 1ω7c and/or C18 : 1ω6c (summed feature 8) and C18 : 1ω9c. The major isoprenoid quinone was menaquinone-6 (MK-6). The dominant polar lipid was identified as phosphatidylglycerol. Phylogenetic analysis based on 16S rRNA gene sequences indicated that the novel strain was most closely related to Blastopirellula marina DSM 3645T, with a 16S rRNA gene sequence similarity of 94.1 %. The genomic DNA G+C content of strain LHWP2T was 49.5 mol%. Strain LHWP2T was distinguished from B. marina DSM 3645T based on its optimum salinity, acid production from substrates, assimilation of substrates and DNA G+C content. Overall, these phenotypic, genotypic and phylogenetic data suggest that strain LHWP2T should be classified as a novel species belonging to the genus Blastopirellula , for which the name Blastopirellula cremea sp. nov. is proposed. The type strain is LHWP2T ( = KACC 15559T = JCM 17758T).
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Yetti, Elindra. "Moving to The Beats: The Effect of Dance Education on Early Self-Regulation." JPUD - Jurnal Pendidikan Usia Dini 15, no. 2 (November 30, 2021): 395–408. http://dx.doi.org/10.21009/jpud.152.11.

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Self-regulation in children is an important thing that needs to be prepared from an early age. Besides affecting children's school readiness, this also makes it easier for children to have good academic achievements. This study aims to determine the influence of moving to the beat of early childhood self-regulation. This research was conducted on kindergarten group B students in East Jakarta. The research method used is a quasi-experiment method with a sample of 20 students. The data collection technique uses observations by analysing paired t-test statistical data. The results of the study explained that there was a significant effect of moving to the beat of early childhood self-regulation. The significance level is 0.000 < 0.05, which means that H0 is rejected and H1 is accepted, this indicates a significant difference between the pre-test and post-test. For further research, it is recommended to look at the influence of other factors on early childhood self-regulation. Keywords: Beats, Early childhood, Moving, Self-Regulation References: Baltazar, M., Västfjäll, D., Asutay, E., Koppel, L., & Saarikallio, S. (2019). Is it me or the music? Stress reduction and the role of regulation strategies and music. Music & Science, 2, 205920431984416. https://doi.org/10.1177/2059204319844161 Blair, C., & Raver, C. C. (2012). Individual development and evolution: Experiential canalization of self-regulation. Developmental Psychology, 48(3), 647–657. https://doi.org/10.1037/a0026472 Blair, C., & Raver, C. C. (2015). School Readiness and Psychobiological Approach. August 2014, 1–21. https://doi.org/10.1146/annurev-psych-010814-015221 Blair, C., & Razza, R. P. (2007). Relating Effortful Control, Executive Function, and False Belief Understand... Child Development, 78(2), 647–663. https://doi.org/10.2307/4139250 Booth, A., O’Farrelly, C., Hennessy, E., & Doyle, O. (2019). ‘Be good, know the rules’: Children’s perspectives on starting school and self-regulation. Childhood, 26(4), 509–524. https://doi.org/10.1177/0907568219840397 Cadima, J., Verschueren, K., Leal, T., & Guedes, C. (2016). Classroom Interactions, Dyadic Teacher–Child Relationships, and Self–Regulation in Socially Disadvantaged Young Children. Journal of Abnormal Child Psychology, 44(1), 7–17. https://doi.org/10.1007/s10802-015-0060-5 Charissi, V., & Rinta, T. (2014). Children’s musical and social behaviours in the context of music-making activities supported by digital tools: examples from a pilot study in the UK. Journal of Music, Technology and Education, 7(1), XXXXX. https://doi.org/10.1386/jmte.7.1.39_1 Dalla Bella, S., Berkowska, M., & Sowiński, J. (2015). Moving to the Beat and Singing are Linked in Humans. Frontiers in Human Neuroscience, 9(December), 1–13. https://doi.org/10.3389/fnhum.2015.00663 Danielsen, A., Haugen, M. R., & Jensenius, A. R. (2015). Moving to the Beat: Studying Entrainment to Micro-Rhythmic Changes in Pulse by Motion Capture. 0315. Diamond, A. (2013). Functions, Executive. Annual Reviews Psychology, 29(146), 13–15. https://doi.org/10.1146/annurev-psych-113011-143750 Diamond, A. (2016). Why improving and assessing executive functions early in life is critical. In Executive function in preschool-age children: Integrating measurement, neurodevelopment, and translational research. (pp. 11–43). American Psychological Association. https://doi.org/10.1037/14797-002 Duckworth, A. L., Quinn, P. D., & Tsukayama, E. (2012). What No Child Left Behind Leaves Behind: The Roles of IQ and Self-Control in Predicting Standardized Achievement Test Scores and Report Card Grades. Journal Education Psycology, 104(2), 439–451. https://doi.org/10.1037/a0026280.What Edossa, A. K., Schroeders, U., Weinert, S., & Artelt, C. (2018). The development of emotional and behavioral self-regulation and their effects on academic achievement in childhood. International Journal of Behavioral Development, 42(2), 192–202. https://doi.org/10.1177/0165025416687412 Eunhye, H., Cynthia, K. B., & Jeon, L. (2015). The Association Between Teachers’ Child-Centered Beliefs and Children’s Academic Achievement: The Indirect Effect of Children’s Behavioral Self-regulation. Developmental Psychology, 44, 309–325. https://doi.org/DOI 10.1007/s10566-014-9283-9 Flook, L., Smalley, S. L., Kitil, M. J., Galla, B. M., Kaiser-Greenland, S., Locke, J., Ishijima, E., & Kasari, C. (2010). Effects of mindful awareness practices on executive functions in elementary school children. Journal of Applied School Psychology, 26(1), 70–95. https://doi.org/10.1080/15377900903379125 Fujii, S., & Schlaug, G. (2013). The Harvard Beat Assessment Test (H-BAT): a battery for assessing beat perception and production and their dissociation. Frontiers in Human Neuroscience, 7(November), 1–16. https://doi.org/10.3389/fnhum.2013.00771 Gammage, P. (2019). Early childhood education and care in context. In Early Years Education and Care. https://doi.org/10.4324/9781315768700-2 George, E. M., & Coch, D. (2011). Music training and working memory: An ERP study. Neuropsychologia, 49(5), 1083–1094. https://doi.org/10.1016/j.neuropsychologia.2011.02.001 Hallam, S. (2010). The power of music : Its impact on the intellectual , social and personal development of children and young people. https://doi.org/10.1177/0255761410370658 Howes, C., Burchinal, M., Pianta, R., Bryant, D., Early, D., Clifford, R., & Barbarin, O. (2008). Ready to learn? Children’s pre-academic achievement in pre-Kindergarten programs. Early Childhood Research Quarterly, 23(1), 27–50. https://doi.org/10.1016/j.ecresq.2007.05.002 Jacobson-Chernoff, J., Flanagan, K. D., McPhee, C., & Park, J. (2007). Preschool: First findings from the preschool follow-up of the Early Childhood Longitudinal Study, Birth Cohort (ECLS-B). In National Center for Education Statistics. NCES Publication No. 2008-025. Lobo, Y. B., & Winsler, A. (2006). The effects of a creative dance and movement program on the social competence of head start preschoolers. Social Development, 15(3), 501–519. https://doi.org/10.1111/j.1467-9507.2006.00353.x Marsden, E., & Torgerson, C. J. (2012). Article in Oxford Review of Education ·. May 2016. https://doi.org/10.2307/41702779 McClelland, M. M., & Cameron, C. E. (2012). Self-Regulation Early Childhood: Improving Conceptual Clarity and Developing Ecologically Valid Measures. Child Development Perspectives, 6(2), 136–142. https://doi.org/10.1111/j.1750-8606.2011.00191.x OCDE. (2013). Education at a Glance 2013. https://doi.org/10.1787/gov_glance-2011-en Pianta, R., Howes, C., Burchinal, M., Bryant, D., Clifford, R., Early, D., & Barbarin, O. (2005). Features of Pre-Kindergarten Programs, Classrooms, and Teachers: Do They Predict Observed Classroom Quality and Child-Teacher Interactions? Applied Developmental Science, 9(3), 144–159. https://doi.org/10.1207/s1532480xads0903_2 Ponitz, C. C., McClelland, M. M., Matthews, J. S., & Morrison, F. J. (2009). A Structured Observation of Behavioral Self-Regulation and Its Contribution to Kindergarten Outcomes. Developmental Psychology, 45(3), 605–619. https://doi.org/10.1037/a0015365 Putkinen, V., Tervaniemi, M., & Huotilainen, M. (2013). Informal musical activities are linked to auditory discrimination and attention in 2-3-year-old children: an event-related potential study. European Journal of Neuroscience, 37(4), 654–661. https://doi.org/10.1111/ejn.12049 Putkinen, Vesa, Tervaniemi, M., Saarikivi, K., & Huotilainen, M. (2015). Promises of formal and informal musical activities in advancing neurocognitive development throughout childhood. Annals of the New York Academy of Sciences, 1337(1), 153–162. https://doi.org/10.1111/nyas.12656 Salisch, M. Von, Haenel, M., & Denham, S. A. (2015). Early Education and Development Self-Regulation , Language Skills , and Emotion Knowledge in Young Children From Northern Germany. July 2015. https://doi.org/10.1080/10409289.2015.994465 Schibli, K., Van Roon, P., MacDougall, K., & D’Angiulli, A. (2015). Practicing self-regulation through music: An ERP study comparing child musicians and nonmusicians. International Journal of Developmental Neuroscience, 47(2015), 97. https://doi.org/10.1016/j.ijdevneu.2015.04.265 Thomason, A. C., & La Paro, K. M. (2009). Measuring the Quality of Teacher–Child Interactions in Toddler Child Care. Early Education and Development, 20(2), 285–304. https://doi.org/10.1080/10409280902773351 Varela, W., & Abrami, P. C. (2014). Self-regulation and music learning : A systematic review. https://doi.org/10.1177/0305735614554639 Wiebe, S. A., Espy, K. A., & Charak, D. (2008). Using Confirmatory Factor Analysis to Understand Executive Control in Preschool Children: I. Latent Structure. Developmental Psychology, 44(2), 575–587. https://doi.org/10.1037/0012-1649.44.2.575 Williams, K. E. (2018). Moving to the Beat: Using Music, Rhythm, and Movement to Enhance Self-Regulation in Early Childhood Classrooms. International Journal of Early Childhood, 50(1), 85–100. https://doi.org/10.1007/s13158-018-0215-y Williams, K. E., Barrett, M. S., Welch, G. F., Abad, V., & Broughton, M. (2015a). Associations between early shared music activities in the home and later child outcomes: Findings from the Longitudinal Study of Australian Children. Early Childhood Research Quarterly, 31, 113–124. https://doi.org/10.1016/j.ecresq.2015.01.004 Williams, K. E., Barrett, M. S., Welch, G. F., Abad, V., & Broughton, M. (2015b). Associations between early shared music activities in the home and later child outcomes: Findings from the Longitudinal Study of Australian Children. Early Childhood Research Quarterly, 31, 113–124. https://doi.org/10.1016/j.ecresq.2015.01.004 Williams, K. E., & Berthelsen, D. (2019). Implementation of a rhythm and movement intervention to support self-regulation skills of preschool-aged children in disadvantaged communities. Psychology of Music, 47(6), 800–820. https://doi.org/10.1177/0305735619861433 Williford, A. P., Whittaker, J. E. V., Virginia, E., Downer, J. T., Williford, A. P., Whittaker, J. E. V., & Vitiello, V. E. (2013). Early Education and Development Children ’ s Engagement Within the Preschool Classroom and Their Development of Self-Regulation Children ’ s Engagement Within the Preschool Classroom and Their Development of Self-Regulation. Early Education and Development, 24, 162–187. https://doi.org/10.1080/10409289.2011.628270 Zachariou, A., & Whitebread, D. (2016). Musical play and self-regulation : does musical play allow for the emergence of self-regulatory behaviours ? 4937(February). https://doi.org/10.1080/21594937.2015.1060572 Zimmerman, B. J. (2010). Self-Regulated Learning and Academic Achievement: An Overview. Educational Psychologist, 25(1), 3–17. https://doi.org/10.1207/s15326985ep2501
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17

Shi, Weixiu, Xuebing Liu, Xiaoyang Su, Hongdi Chen, and Lisheng Pan. "Influence of Cooling Water Flow Rate on Start and Heat Transfer Performance of Pulsating Heat Pipe at Different Inclination Angles." Sustainability 15, no. 3 (January 19, 2023): 1921. http://dx.doi.org/10.3390/su15031921.

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Pulsating heat pipe (PHP) is an efficient heat transfer technology applied in the fields of heat dissipation and energy utilization. There are many factors affecting the heat transfer of PHP, including working fluid, filling ratio, inclination angle, etc. The cooling capacity of the cooling water system at the condensing section to the working fluid is also an important factor affecting the starting and operating of PHP. The research on PHP at different cooling water flow rates is of great significance for enhancing the operating performance. An experimental investigation of starting and running performance is carried out on a closed loop PHP with ultrapure water under different inclination angles of 90°, 60° and 30°. The starting and heat transfer performance of PHP with a filling ratio of 50% is obtained by adjusting the heat input in the range of 30–210 W at different cooling water flow rates of 6.7 g/s, 9.7 g/s and 13.9 g/s. The temperature and heat transfer resistance are used for analyzing the heat transfer performance. The results show that the starting mode, initial pulsating temperature and different heat transfer effects are brought about by different cooling water flow rates. It is observed that the cooling water flow rate has no obvious influence on the starting mode of PHP and that the starting mode of PHP is temperature progressive, starting with the increase in cooling water flow rates at a heating input of about 30 W. The influence of cooling water flow rates on the heat transfer performance of PHP is affected in a different way by inclination angles. The heat transfer performance of PHP with an inclination angle of 90° is similar at 6.7 g/s, 9.7 g/s and 13.9 g/s but, under the condition of 60° and 30°, the heat transfer resistance drops within a certain range effectively with an increasing cooling water flow rate from 6.7 g/s to 9.7 g/s and the heat transfer performance does not change significantly with the cooling water flow rate increasing to 13.9 g/s. Thus, there is an optimal value for the cooling water flow rate during the operating of PHP. The inclination angle also has an important effect on the temperature pulsating, and the temperature of PHP affected by gravity is stable with an inclination angle of 90°. However, the reduced influence of gravity on the backflow of the working fluid drops when the inclination angle decreases from 90° to 30°, and the wall temperature increases due to local overheating when the high heat input occurs.
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18

Sariban, E., R. S. Wu, L. C. Erickson, and W. M. Bonner. "Interrelationships of protein and DNA syntheses during replication of mammalian cells." Molecular and Cellular Biology 5, no. 6 (June 1985): 1279–86. http://dx.doi.org/10.1128/mcb.5.6.1279-1286.1985.

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During the replication of chromatin, the syntheses of the histone protein and DNA components are closely coordinated but not totally linked. The interrelationships of total protein synthesis, histone protein synthesis, DNA synthesis, and mRNA levels have been investigated in Chinese hamster ovary cells subjected to several different types of inhibitors in several different temporal combinations. The results from these studies and results reported elsewhere can be brought together into a consistent framework which combines the idea of autoregulation of histone biosynthesis as originally proposed by W. B. Butler and G. C. Mueller (Biochim. Biophys. Acta 294:481-496, 1973] with the presence of basal histone synthesis and the effects of protein synthesis on DNA synthesis. The proposed framework obviates the difficulties of Butler and Mueller's model and may have wider application in understanding the control of cell growth.
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19

Sariban, E., R. S. Wu, L. C. Erickson, and W. M. Bonner. "Interrelationships of protein and DNA syntheses during replication of mammalian cells." Molecular and Cellular Biology 5, no. 6 (June 1985): 1279–86. http://dx.doi.org/10.1128/mcb.5.6.1279.

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During the replication of chromatin, the syntheses of the histone protein and DNA components are closely coordinated but not totally linked. The interrelationships of total protein synthesis, histone protein synthesis, DNA synthesis, and mRNA levels have been investigated in Chinese hamster ovary cells subjected to several different types of inhibitors in several different temporal combinations. The results from these studies and results reported elsewhere can be brought together into a consistent framework which combines the idea of autoregulation of histone biosynthesis as originally proposed by W. B. Butler and G. C. Mueller (Biochim. Biophys. Acta 294:481-496, 1973] with the presence of basal histone synthesis and the effects of protein synthesis on DNA synthesis. The proposed framework obviates the difficulties of Butler and Mueller's model and may have wider application in understanding the control of cell growth.
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20

Porinets, Yurii Yur'evich. "Literary allusions in detective novels by Agatha Christie." Филология: научные исследования, no. 8 (August 2022): 73–86. http://dx.doi.org/10.7256/2454-0749.2022.8.38665.

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The author analyzes literary allusions in detective novels by Agatha Christie. For the first time, allusions to the works of W. Shakespeare, C. Dickens, P. G. Wodehouse, G. K. Chesterton are considered in detail. Many allusions are established for the first time. As a material for writing this article, a large number of novels were used, among which there are also rarely considered texts of the English writer. The meaning of allusions to "Twelfth Night" in the novel "The Sad Cypress" is revealed in detail, to the works of Wodehouse – in the novel "Why not Evans?" In the article, in the context of the studied problem, the features of escapism of the detective genre are considered. Based on the consideration of examples from a number of novels by Agatha Christie, conclusions are drawn about the significance of literary allusions in her novels in general and in specific works in particular. Allusions expand the semantic field of novels, allow Agatha Christie to go beyond the detective story, limited by the principles of formulaic literature, to consider psychological problems, to portray ambiguous characters in the spirit of classical English literature. At the same time, with the help of a significant number of allusions emphasized by the author, the literary nature of what is happening in detective novels is brought to the fore, which largely corresponds to the escapist nature of this genre.
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21

HALPIN-DOHNALEK, MARGARET I., and ELMER H. MARTH. "Fate of Staphylococcus aureus in Whipped Butter." Journal of Food Protection 52, no. 12 (December 1, 1989): 863–66. http://dx.doi.org/10.4315/0362-028x-52.12.863.

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This study determined growth and survival of Staphylococcus aureus strains 100-A, 196-E, 254, 473, 505, and 521 in whipped butter made by whipping butter produced from inoculated cream or in whipped butter inoculated after manufacture. Cream was inoculated to contain ca. 104 to 105 S. aureus/ml and then was held at 4°C for 3 d, at 22°C for 36 h, or at 37°C for 24 h. After incubation, cream was churned to obtain butter which then was either lightly salted (1.0%, w/w) or left unsalted. Fresh sweet cream also was churned to obtain sweet cream butter which was lightly salted or left unsalted. Sweet cream butter was inoculated to contain ca. 105 S. aureus/g. Butter containing S. aureus was brought to 15°C and whipped for 5–7 min with a three-speed hand mixer. Whipped butter was held at 4, 10, 15, and 25°C for up to 6 weeks. Whipping of butter influenced growth and survival of all strains of S. aureus. Whipped butter inoculated after churning and before whipping was a better medium for growth of the pathogen than was whipped butter made from butter that had been churned from inoculated cream. Whipping of butter had a greater effect than salt on the ability of S. aureus to grow or survive. Variability among strains also was important in determining growth and survival of S. aureus in whipped butter.
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22

Saad, Ahmed, Ragab Elmassry, Khaled Wahdan, and Fawzy Ramadan. "Chickpea (Cicer arietinum) steep liquor as a leavening agent: Effect on dough rheology and sensory properties of bread." Acta Periodica Technologica, no. 46 (2015): 91–102. http://dx.doi.org/10.2298/apt1546091s.

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Dough fermentation is one of the oldest process in food technologies. It has been recently intensively studied for its impact on the sensory, structural, nutritional and shelf life properties of leavened baked products. The goals of this work were to investigate chickpea steep liquor (CSL) as a dough-leavening agent and to study the effect of CSL on the dough rheology and sensory properties of leavened bread. CSL was prepared by submerging chickpea seeds in boiled distilled water (1:2, w/v) for 24 h at 37?C, and then obtained liquor was filtered and freeze-dried to obtain CSL. The addition of CSL to wheat flour (WF) brought changes in the dough mixing behavior as measured by the farinograph. An increase in the farinograph water absorption of WF dough was observed when 4.5% CSL and 1.5% yeast was added, while arrival time was not affected. Addition of CSL to the dough at a content of 4.5, 9.0 and 13.5 g CSL/300 g WF caused an increase in dough stability. The CSL addition also increased mechanical tolerance index, dough weakening and mixing time. Dough development time for all blends was higher than the control (1.2-1.5 min), while between the CSL samples no significant difference was observed. The loaf weight slightly increased from 146.2 g for control to 152.2 g for CSL fermented bread, whereas the loaf volume and specific volume of CSL-fermented bread were lower than the control. The combination of yeast and CSL increased the acceptability of bread with the increasing level of both leavening agents?. The results show that CSL could be used as an alternative to yeast for syngas fermentation. On the other hand, CLS is rich in nutrients and lower in cost compared to yeast.
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Arnelli, Arnelli, Rahmatul Fazira, Yayuk Astuti, and Ahmad Suseno. "Synthesis of Sodium Lauryl Sulfate (SLS) and Hexadecyltrimethylammonium Bromide (HDTMA-Br) Surfactant-Modified Activated Carbon as Adsorbent for Pb2+ and NO3-." Jurnal Kimia Sains dan Aplikasi 23, no. 11 (November 12, 2020): 396–402. http://dx.doi.org/10.14710/jksa.23.11.396-402.

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The adsorption efficiency and selectivity of activated carbon as an adsorbent for ions can be improved. One way is to convert activated carbon into surfactant modified activated carbon (SMAC). The surfactants used in this study were the anionic surfactant Sodium Lauryl Sulfate (SLS) and the cationic surfactant hexadecyltrimethylammonium bromide (HDTMA-Br). This research aims to synthesize SMAC to obtain a material with a surface charge and absorb ions better than activated carbon. This research consisted of four stages. The first step was the carbonization of rice husks using a pyrolysis reactor at 400°C for 1 hour. The second stage was carbon activation using 30% ZnCl2 and microwave radiation for 5 minutes and 400 W. The third stage was the modification of activated carbon and characterization by FTIR, SEM, SAA. The fourth stage was the adsorption of Pb cations and nitrate anions by carbon, activated carbon, and SMAC. Several variables were applied, such as the type of surfactant, time, and method of modification. There are three ways of modification: (1) method A, in which activated carbon is brought into contact with SLS then HDTMA-Br. (2) Method B in which activated carbon was contacted with HDTMA-Br then SLS. (3) Method C in which activated carbon was brought into contact with SLS together with HDTMA-Br. All variables were investigated. The results showed that the optimum time for making SMAC for both surfactants was 4 hours, the optimum concentrations of SLS and HDTMA-Br were 60 and 300 ppm, respectively. SMAC made by the C method was the most effective at adsorbing Pb2+ and NO3- with adsorption capacities of 1.376 and 0.896 mg/g, respectively. The success of SMAC synthesis was evidenced by the S=O and (CH3)3N+ groups in the FTIR spectra. The SMAC surface area is smaller than activated carbon, 14.472 m2/g, but the surface morphology is smoother and more homogeneous.
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24

Fedorov, I. I. "Colpotomia post. or keliotomia vaginalis post., as a method of treatment of uterine appendages and their neoplasms." Journal of obstetrics and women's diseases 9, no. 9 (December 23, 2020): 775–87. http://dx.doi.org/10.17816/jowd99775-787.

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In 1857 W. Atlee for the first time made an attempt to use the incision of the vagina, in the posterior fornix, to remove the degenerated ovary. This operation is colpotomia post. later it was repeated by some of the gynecologists (G. Thomas, Davis, R. Battey) and, according to Mignon's statistics, before 1878, there were already up to 113 colpotomy in the literature. However, this method was soon completely abandoned. There were several reasons for this; The main thing can be considered the fact that at this time, that is, in 70-80 years, thanks to the beginning of the adoption of the basis of antiseptics in surgery, gynecology entered a new era of development of its therapy and the womb was broken by the operation, on which sympathies and attention of all gynecologists. The enthusiasm for this method of treatment, which among some of the operators reached the pruritus secandi, brought enormous services to the development of our science. Tubes and ovaries removed during the womb - these trophies of unreasonably "useless uvuchіy", have enriched the pathology rooms with extremely valuable material for a detailed study of the pathology and physiology of female reproductive development of organs.
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25

Zhang, Y., and X.-H. Zhao. "Properties of casein hydrolysate as affected by plastein reaction in ethanol-water medium." Czech Journal of Food Sciences 31, No. 6 (November 18, 2013): 559–67. http://dx.doi.org/10.17221/480/2012-cjfs.

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Casein hydrolysate with in vitro ACE-inhibitory activity of 44.4% at 0.3 mg/ml was generated from casein by Alcalase and modified by the Alcalase-catalysed plastein reaction in an ethanol-water medium. Eight treated hydrolysates were prepared using the reaction time of 1-8 h under ethanol or substrate concentration, Alcalase addition and reaction temperature of 56.8% (v/v) or 56.8% (w/v), 8.4 kU/g peptides and 37.5&deg;C, respectively. Most of the treated hydrolysates showed enhanced ACE-inhibition compared to casein hydrolysate, and a reaction time of 4 h brought about the highest ACE-inhibition. All treated hydrolysates had lower zinc- or calcium-chelation but slightly higher iron(II)-chelation than casein hydrolysate, and a reaction time of 4 or 2 h could grant the treated hydrolysates the highest zinc- or calcium-chelation. Kinetic evaluation indicated that casein hydrolysate and two treated hydrolysates were competitive inhibitors to ACE. ACE-inhibition of these evaluated hydrolysates originated from themselves but was uncorrelated with their zinc-chelation, while their CaCO<sub>3</sub> precipitation inhibition was clearly correlated with their measured calcium-chelation (P &lt; 0.05).
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26

NGUYEN, KHANH VAN. "United States–Pakistan Relations in Post-Cold War Era: A Political–Security Perspective." Journal of Indian and Asian Studies 01, no. 01 (January 2020): 2050001. http://dx.doi.org/10.1142/s2717541320500011.

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In this article, the political–security relations between the United States and Pakistan in the Post-Cold War era are analyzed. The allied relationship between the two countries during the Cold War was abruptly disrupted following the conclusion of the Cold War in 1991 and the United States imposed a series of sanctions against Pakistan following the nuclear issue in 1990. However, the September 11 attacks of 2001 and the global anti-terrorism war launched by the G. W. Bush government resumed the relationship. Again, Pakistan became one of the principal allies of the United States and bilateral political–security relations were promoted unprecedentedly thanks to their collaboration against terrorism. The war against terrorism, however, has also produced many contradictions, which brought the relationship between the two countries into disputes and crises. This article discusses the U.S.–Pakistan relations in the Post-Cold War Era with special attention to the political–security aspects. Attempts will be made to clarify the nature, impacts and tendencies of the relationship. The U.S.–Pakistan relationship is a typical example of the international relationship between a superpower and a middle power, and it is also typical of the U.S.’s changing alliance relations.
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27

Raudsepp, Inge, Anu Sepp, and Inkeri Roukonen. "Joint Singing as a Means of Cultural Transmission in Estonia." SOCIETY, INTEGRATION, EDUCATION. Proceedings of the International Scientific Conference 2 (May 17, 2015): 155. http://dx.doi.org/10.17770/sie2015vol2.455.

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<p class="IATED-Affiliation">The phenomenon of joint singing, originating from the traditional old folk song and subsequent choral singing, has developed in Estonia into a significant cultural metaphor– Song Celebrations. Recent decades have brought about rapid changes in Estonian socio-cultural reality: the process of globalisation has raised the question of how to maintain national identity and cultural traditions considering these rapid processes.</p><p class="IATED-Affiliation">The aim of this article is to analyse phenomena of joint singing and Song Celebrations through historical, cultural and educational lens. The subject and corresponding literature were analysed using hermeneutic approach by M. Heidegger, W. Dilthey and H.-G. Gadamer, reflected through the focus of culture and cultural transmission by L.Rauhala, R.McShea, M.J. Taylor and C. A. Thoth. The drifts of the content and developmental tendencies of joint singing and Song Celebrations between 1962−2011 were investigated by means of comparative analysis.</p><p class="IATED-Affiliation">The phenomenon of joint singing that has developed into the Song Celebrations tradition continues to be one the main means of cultural transmission in Estonia.</p><p class="IATED-Affiliation"> </p>
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Korzo, Margarita A. "The Orthodox Sermon in the Polish-Lithuanian Commonwealth of the 17th Century: Some Observations." Slovene 6, no. 2 (2017): 578–96. http://dx.doi.org/10.31168/2305-6754.2017.6.2.25.

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It has traditionally been assumed that the oral preaching practice of the Orthodox Church in Poland at the turn of the 16th and 17th centuries was brought to life by external and mainly Catholic influences. The present article attempts to rethink these influences and offer an explanation not in terms of “mechanical” borrowings and a succumbing of Orthodox theology to Western influences (the concept of “pseudomorphosis” articulated by G. Florovsky), but rather in terms of a creative response to the external confessional challenges of the epoch (the concept of “polymorphism” proposed by G. B. Bercoff). Examples of such a reception are the sample sermons on the church sacraments and funeral sermons included as an annex to Orthodox rituals. Published for the first time in the Vilnius edition in 1621, texts of this kind were legitimized by Metropolitan of Kiev Piotr Mogila in his Euhologion of 1646. Instructive sermons from the Polish version of the Roman Ritual, which go back to the 16th-century teachings on the church sacraments by S. Karnkowski, M. Kromer, and H. Powodowski, were used as models for these Orthodox sample sermons. Although the idea to incorporate such sample sermons in Orthodox rituals was inspired by the Polish tradition, this does not mean that the Orthodox authors also borrowed the instruction texts from the Catholic rituals. As an example of borrowings, the article analyzes the “Kazanie na pogrebe” from the Vilnius Ritual, 1621. Textual analysis of the given sermon shows its compositional and, partially, even its substantial dependence on a sermon written by a Polish Dominican, W. Laudański (1617), and also its familiarity with Augustine’s theological legacy, which was available only in Latin editions.
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Davis, R. W., T. M. Williams, J. A. Thomas, R. A. Kastelein, and L. H. Cornell. "The effects of oil contamination and cleaning on sea otters (Enhydra lutris). II. Metabolism, thermoregulation, and behavior." Canadian Journal of Zoology 66, no. 12 (December 1, 1988): 2782–90. http://dx.doi.org/10.1139/z88-406.

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The purpose of this study was to develop a method to clean and rehabilitate sea otters (Enhydra lutris) that might become contaminated during an oil spill and to determine which physiological and behavioral factors were important in restoring the insulation provided by the fur. Tests were conducted on 12 sea otters captured in Alaska and brought to the Sea World Research Institute in San Diego. Measurements of average metabolic rate, core body temperature, behavior, and squalene (the major lipid of sebum) concentration on the fur were made under three conditions: (i) before oiling (base line), (ii) 1–3 days after 20% of the body surface area was covered with fresh crude oil, and (iii) after cleaning. Under base-line conditions in water at 13 °C, average metabolic rate was 8.0 W/kg, core body temperature was 38.9 °C, and whole body thermal conductance was 10.7 W/(m2∙ °C). Otters spent 35% of their time grooming, 45% resting, 10% swimming, and 10% feeding. The squalene concentration on the fur averaged 3.7 mg/g fur. Oiling increased thermal conductance 1.8 times. To compensate for the loss of insulation and maintain a normal core body temperature (39 °C), the otters increased average metabolic rate (1.9 times) through voluntary activity and shivering; the time spent grooming and swimming increased 1.7 times. Using Dawn detergent, we were able to clean the oiled fur during 40 min of washing and rinsing. Grooming activity by the otters was essential for restoring the water-repellent quality of the fur. Core body temperature, average metabolic rate, and thermal conductance returned to base-line levels 3–6 days after cleaning. Squalene was removed by cleaning and did not return to normal levels in the oiled area after 7 days. Veterinary care was important to keep the otters healthy. At least 1–2 weeks should be allowed for otters to restore the insulation of their fur and for recovery from the stress of oiling and cleaning.
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Kenneth C. Ugoeze, Nkemakolam Nwachukwu, and Precious C. Anyino. "The Effect of Modification Methods on the Properties of Lentinus Tuber Regium Powders." Journal of Pharmaceutical Technology, Research and Management 7, no. 1 (May 10, 2019): 23–30. http://dx.doi.org/10.15415/jptrm.2019.71004.

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The current work considered the influence of methods of modification on the physical characteristics of Lentinus Tuber Regium (LTR) powders. The sclerotia of the LTR was pulverized to 250.0 μm and coded as native Lentinus Tuber Regium (NLTR-A). A 500.0 g of NLTR-A was submerged in 3.5 % w/v sodium hypochlorite and stirred continuously for 30.0 min. The resultant slurry was washed severally with purified water until it was neutral to litmus. The mass was dried in an oven at 60.0 °C for 2.0 h, pulverized (250.0 μm) and was noted as the modified Lentinus Tuber Regiumpowder (MLTR-B). Another 500.0 g of NLTR-A was extracted with 70.0 % v/v ethanol in a Soxhlet extractor. The resultant powder was dried at 60.0 o C for 2.0 h, micronized (250.0 μm) and coded as the modified Lentinus Tuber Regium powder (MLTR-C). Additional 500.0 g of NLTR-A was submerged in 600.0 mL of 0.5 N sodium hydroxide in a 1.0 L beaker and shaken constantly for 30.0 min. The subsequent material was splashed with purified water until the material was neutral to litmus. The mass was freed from water and introduced into 200.0 mL of 0.5 N hydrochloric acid. It was agitated for 30.0 min in a water bath at 100.0 °C. It was flooded in purified water until it was neutral to litmus. The product was dried to constant weight at 60.0 °C and pulverized (250.0 μm). The product was coded as the modified Lentinus Tuber Regium powder (MLTR-D). Generally, NLTR-A, MLTR-B, MLTR-C and MLTR-D were investigated for their organoleptic, solubility, pH, moisture studies, scanning electron microscopy (SEM), x-ray diffractometry (XRD), flow parameters and densities. The results showed that both the native and the modified powders were insoluble in water and most organic solvents. The pH of the derived powders was consistently higher. SEM and XRD revealed morphological differences in each of the derived powders, though, all the powders were non-crystalline. The respective modification methods brought about an improvement in the hydrophilic and flow properties of the modified powders when compared to the native form of LTR
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Troxell, Jenelle. "“Light Filtering through Those Shutters”: Joyless Streets, Mnemic Symbols, and the Beginnings of Feminist Film Criticism." Camera Obscura: Feminism, Culture, and Media Studies 34, no. 3 (December 1, 2019): 63–95. http://dx.doi.org/10.1215/02705346-7772387.

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This article examines the origin myth of the feminist film journal Close Up, namely, an excursion by its founders Bryher and H.D. to see G. W. Pabst’s Die freudlose Gasse (The Joyless Street, 1925) in a small cinema in Montreux, Switzerland. Throughout the essay, I use Joyless Street as a case study to analyze the ways in which theories of trauma can be effectively brought to bear on melodramas of the post–World War I era and, in the process, demonstrate the appeal Pabst’s works held for the Close Up editors, who shared his interest in trauma, psychoanalysis, and healing. By analyzing Joyless Street through the lens of Close Up, I demonstrate how Bryher and H.D. anticipate the development of trauma theory, which emerged in the early 1990s. Unlike traditional, often totalizing, applications of psychoanalysis (which emphasize notions of spectator desire and lack), the Close Up writers’ engagement of psychoanalysis focuses on issues of history, memory, and the response of spectators to historically specific situations. Their theory further suggests that in addition to surrogate fantasy fulfillment, film—in its recurring representation of trauma—might aid in mastering shared cultural symptoms, which women often experienced in isolation. Through their sustained analysis of film melodrama, the Close Up writers demonstrate that the war, beyond its devastating effects on combatants, also impacted the (female) civilian population—resulting in Close Up’s call for a critical film culture that speaks to that experience.
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Djumanto, NFN, Bayu Eko Pranoto, Vinta Seta Diani, and Eko Setyobudi. "Makanan dan pertumbuhan ikan bandeng, Chanos chanos (Forsskal, 1775) tebaran di Waduk Sermo, Kulon Progo [Food and the growth of introduced milkfish, Chanos chanos (Forsskal, 1775) in Sermo Reservoir, Kulon Progo]." Jurnal Iktiologi Indonesia 17, no. 1 (August 22, 2017): 83. http://dx.doi.org/10.32491/jii.v17i1.306.

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The purpose of the research was to study feeding preferences and the growth of milkfish introduction into Sermo reservoir Kulon Progo regency. Research was carried out by introduction of milkfish juvenile which body length was ranges of 5-7 cm and weight of 0.6-1.0 g at a number of 10,000 individual fish. Fish sampling using gill nets was conducted monthly from May to October 2015. The captured milkfish brought to the laboratory for some measurements i.e length and weight of an individual fish, intestine length, and gut content investigation. The surface water plankton sample collected by a plankton net, then preserved in formaldehyde, identified and counted the number each plankton species. Data were analyzed to determine relative gut length, food type and feeding preferences, growth rate and length weight relationships. The results showed that relative intestinal length was 5.4 to 6.4, so milkfish categorized as herbivores. Phytoplankton was the only food found in the intestine fish size <14 cm, while zooplankton was found in fish size >15 cm. Zooplankton proportion in digestive tract increased as well as the size of milkfish. The dominant species of phytoplankton found in the digestive tract was Nitzschia sp., whereas zooplankton was Cyclop sp. and Diaptomus sp. The juvenile milkfish growth well in Sermo reservoir. The growth rate of daily length was ranged from 0.0084 to 0.2056 cm, while the growth rate of daily weight ranged from 0.0630 to 1.1182 g. The length weight relationship of milkfish formed an equation W = 0.0069 L 3 0186 with the regression index R2 = 0.98, so the growth of milkfish showed an isometric growth pattern. Further research is needed to determine the impact of the introduction of milkfish to the fish communities in the Sermo reservoir area.AbstrakTujuan penelitian adalah untuk mengkaji makanan dan pertumbuhan ikan bandeng tebaran di waduk Sermo Kabupaten Kulon Progo. Penelitian dilakukan dengan menebar yuwana ikan bandeng yang panjang tubuh berkisar 5-7 cm dan bo-bot 0,6-1,0 g ke perairan Waduk Sermo sebanyak 10.000 ekor. Sampling ikan bandeng menggunakan jaring insang dilakukan tiap bulan sekali dari Mei sampai Oktober 2015. Ikan bandeng yang terjerat jaring dibawa ke laboratorium untuk diukur panjang, ditimbang bobot individu, dan dilakukan pembedahan untuk diambil saluran pencernaannya. Sampling plankton dilakukan dengan mengambil air permukaan menggunakan ember dan menyaring dengan plankton net, kemudian diawetkan dalam larutan formalin hingga identifikasi dan penghitungan jenisnya. Data dianalisis untuk me-nentukan jenis makanan dan pemilihan makanan, laju pertumbuhan, panjang usus relatif, dan hubungan panjang bobot. Hasil penelitian menunjukkan panjang usus relatif ikan bandeng sebesar 5,4-6,4 yang dikategorikan sebagai ikan herbi-vora. Jenis makanan yang ditemukan pada ikan berukuran <14 cm hanya fitoplankton, sedangkan zooplankton ditemu-kan pada ikan yang berukuran >15 cm. Proporsi zooplankton pada usus ikan semakin banyak seiring ukuran ikan bandeng. Jenis fitoplankton yang ditemukan dominan pada saluran pencernaan adalah Nitzschia sp., sedangkan zooplankton adalah Cyclop sp. dan Diaptomus sp. Yuwana ikan bandeng dapat tumbuh baik di kawasan Waduk Sermo. Laju pertumbuhan panjang harian berkisar 0,0084 - 0,2056 cm, sedangkan laju pertumbuhan bobot harian berkisar 0,06301,1182 g. Hubungan panjang bobot ikan bandeng membentuk persamaan W=0,0069 L 3,0186 dengan indeks regresi R2=0,98, sehingga ikan bandeng cenderung memiliki pola pertumbuhan isometrik. Penelitian lebih lanjut diperlukan untuk mengetahui dampak introduksi ikan bandeng pada komunitas ikan di Waduk Sermo.
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Michailides, T. J., D. P. Morgan, and K. R. Day. "First Report of Sour Rot of California Peaches and Nectarines Caused by Yeasts." Plant Disease 88, no. 2 (February 2004): 222. http://dx.doi.org/10.1094/pdis.2004.88.2.222b.

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In early July 2001, samples of nectarine and peach fruit were brought from orchards in northern Tulare County or from packinghouses to our laboratory for diagnosis of an unusual decay. When the decay lesions originated close to the stylar end, leaking juice streamed from it. When the decay lesion was on the stem end of the fruit and touched the packing box, it developed a decay consisting of a ring of 0.5 to 2.0 cm (inner diameter) and 1.0 to 3.0 cm (outer diameter). The leaking juice dissolved the cuticle, epidermis, and some of the flesh, creating distinct furrows in the tissue. Samples with similar decay lesions were examined in 2001, 2002, and 2003. In each year, isolations from these fruit consistently yielded two or three different yeasts that were identified as Geotrichum candidum Link, Issatchenkia scutulata (Phaff et al.) Kurtzman et al., and Kloeckera apiculata (Reess emend. Klocker) Janke. All three yeasts were isolated from most of the samples, although sometimes, different combinations of two of the yeasts recovered. To complete Koch's postulates, each yeast was single spored and cultured on acidified potato dextrose agar at 25°C to prepare a dense (108) cell suspension. Eight, mature, ‘Elegant Lady’ peach fruit were surface disinfested in 0.1% sodium hypochlorite for 3 min, allowed to dry, and wounded once with a sterile nail (3 × 5 mm) on the fruit cheek. A 50-µl drop of the cell suspension was placed in each wound, and the peaches were incubated in containers with >95% relative humidity at 27°C. Fruit inoculated similarly with a 50-µl drop of sterile water served as controls. In 2001, two containers containing eight fruit each were used for each yeast, and lesions started developing within 1 week after inoculation. The diameter of the decay lesion was measured after 10 days of incubation of the fruit. The diameter of decay lesions ranged from 21 to 68 mm for G. candidum, 30 to 55 mm for I. scutulata, and 9 to 39 mm for K. apiculata inoculations. The inoculation experiment was repeated with two containers of eight ‘Red Glo’ nectarine fruit per treatment yeast, under the same conditions as described above. Organisms recovered from the decay lesions were the same yeasts used for inoculating the peaches or nectarines. All three yeasts caused similar decay lesions in peaches, and the leaking effect was reproduced in both types of fruit. Symptoms were similar to those observed on fruit samples brought to our laboratory. Control fruit did not develop the characteristic decay lesions, although brown rot caused by Monilinia fructicola developed on a few of the control fruit. We concluded that each isolated yeast had the capacity to cause sour rot decay on stone fruit. From samples and reports, the disease has been found on ‘Red Glo’, ‘Ruby Diamond’, ‘Zee Grand’, ‘Spring Bright’, and ‘Honey Blaze’ nectarines and ‘Elegant Lady’ and ‘Fire Red’ peaches. G. candidum was isolated from peaches and other fruit in California and incited rot of ‘Paloro’ peach in 1960 (2) and caused postharvest sour rot of peaches originating from Georgia, Pennsylvania, New Jersey, and North Carolina (1). However, to our knowledge, this is the first report of G. candidum, I. scutulata, or K. apiculata causing sour rot of commercial peaches and nectarines in the field and postharvest situations in California. References: (1) C. L. Burton and W. R. Wright. Plant Dis. Rep. 53:580, 1969. (2) E. E. Butler. Phytopathology 50:665, 1960.
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Cating, R. A., A. J. Palmateer, R. T. McMillan, and E. R. Dickstein. "First Report of a Bacterial Soft Rot on Tolumnia Orchids Caused by a Dickeya sp. in the United States." Plant Disease 93, no. 12 (December 2009): 1354. http://dx.doi.org/10.1094/pdis-93-12-1354b.

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Tolumnia orchids are small epiphytic orchids grown for their attractive flowers. In the fall of 2008, approximately 100 Tolumnia orchids with soft, brown, macerated leaves were brought to the University of Florida Extension Plant Diagnostic Clinic in Homestead. Ten plants were randomly selected and bacteria were isolated from the margins of symptomatic tissues of each of the 10 plants on nutrient agar according to the method described by Schaad et al. (2). Four reference strains were used in all tests, including the molecular tests: Erwinia carotovora subsp. carotovora (obtained from J. Bartz, Department of Plant Pathology, University of Florida, Gainesville), E. chrysanthemi (ATCC No. 11662), Pectobacterium cypripedii (ATCC No. 29267), and Acidovorax avenae subsp. cattleyae (ATCC No. 10200). All 10 of the isolated bacteria were gram negative, grew at 37°C, degraded pectate in CVP (crystal violet pectate) medium, grew anaerobically, produced brown pigment on NGM (nutrient agar-glycerol-manganese chloride) medium (1), were sensitive to erythromycin, and produced phosphatase. Three of the strains were submitted for MIDI analysis (Sherlock version TSBA 4.10; Microbial Identification, Newark DE) (SIM 0.732 to 0.963), which identified them as E. chrysanthemi. A PCR assay was performed on the 16S rRNA gene with primers 27f and 1495r described by Weisburg et al. (3) from two of the isolates and a subsequent GenBank search showed 99% identity of the 1,508-bp sequence to that of Dickeya chrysanthemi (Accession No. FM946179) (formerly E. chrysanthemi). The sequences were deposited in GenBank (Accession Nos. GQ293897 and GQ293898). Pathogenicity was confirmed by injecting approximately 100 μl of a bacterial suspension at 1 × 108 CFU/ml into leaves of 10 Tolumnia orchid mericlones. Ten plants were also inoculated with water as controls. Plants were placed in a greenhouse at 29°C with 60 to 80% relative humidity. Within 24 h, soft rot symptoms appeared on all inoculated leaves. The water controls appeared normal. A Dickeya sp. was reisolated and identified using the above methods (biochemical tests and MIDI), fulfilling Koch's postulates. To our knowledge, this is the first report of a soft rot caused by a Dickeya sp. on Tolumnia orchids. Although 16S similarity and MIDI results suggest the isolated bacteria are D. chrysanthemi because of its close similarity with other Dickeya spp., these results are not conclusive. Further work should be conducted to confirm the identity of these isolates. Through correspondence with South Florida Tolumnia growers, it appears this disease has been a recurring problem, sometimes affecting international orchid shipments where plant losses have been in excess of 70%. References: (1) Y. A. Lee and C. P. Yu. J. Microbiol. Methods 64:200, 2006. (2) N. W. Schaad et al. Erwinia soft rot group. Page 56 in: Laboratory Guide for Identification of Plant Pathogenic Bacteria. 3rd ed. N. W. Schaad et al., eds. American Phytopathological Society. St. Paul, MN, 2001. (3) W. G. Weisburg et al. J. Bacteriol. 173:697, 1991.
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Malawski, Seweryn. "The style of ‘regular irregularities’ – rococo gardens and their reception in Polish garden art of the 18th century." Roczniki Humanistyczne 67, no. 4 (July 4, 2019): 61. http://dx.doi.org/10.18290/rh.2019.67.4-3.

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The stylish difference of the Rococo in the garden art is still the topic of the researchers’ discussion. The Rococo, which was in opposition to the formal and rhetorical art of the Baroque, brought a new value to the eighteenth-century gardens. This value was expressed primarily in the elements of the composition, asymmetry, irregularity, wavy line, fragmentation of form and ornamentation, as well as in relation to nature and specific mood.France is considered to be the fatherland of the Rococo style, from where this new, light style has spread to other European countries. The dissemination of new ideas was favored by print theoretical dissertations and collections of projects. The works by authors such as L. Liger, J-F. Blondel, J-B-A. le Blond, F. de Cuvilliés, M-A. Laugier, G-L. Le Rouge, W. Chambers, S. Switzer and B. Langley enjoyed particular popularity.Many impressive gardens with Rococo features were created especially in Germany and Poland. Their special flourishing in Poland fell on the times of the Polish-Saxon Union, and especially during the reign of Augusts III in the years 1733-1763.Special attention should be paid to the projects related to the patronage of the first minister H. Brühl. Rococo features can be found in several of his gardens, such as garden at Nowy Świat in Warsaw, garden in Wola, the unfinished garden project for the former Sanguszko palace or a garden in Brody (Pförten). Rococo compositions were also created in the gardens of Prince Adam Poniński at Żyzna street in Warsaw and in Górce. In 1966, the concept of a magnificent royal garden at the Ujazdów Castle was created. Noteworthy is also the arrangement of gardens in Puławy from the times of Zofia and August Czartoryski as well as Flemming in Terespol. The designers of many Polish gardens of that period were Saxon architects, such as: J.D. von Jauch, J.F. Knöbel, C.F. Pöppelmann, E. Schröger or J.Ch. Knöffel. From the 1770s, Rococo creations in Poland began to give way to landscape concepts.
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Kostenkova, E. V., and A. S. Bushnev. "Helianthus annuus L. hybrid ideotype." TAURIDA HERALD OF THE AGRARIAN SCIENCES 2(26) (August 3, 2021): 116–26. http://dx.doi.org/10.33952/2542-0720-2021-2-26-116-126.

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The issue of determining the ideotype of sunflower varieties and hybrids is relevant not only for breeding but also for cultivation in new environmental conditions. The aim of our research was to evaluate the genotypes according to ecological adaptability and establish the parameters of the sunflower ideotype for the arid conditions of the Crimean steppe zone. The studies were conducted in 2017-2020 at the Field Crop Department, FSBSI “Research Institute of Agriculture of Crimea” (village of Klepinino). Soil – chernozem southern low humus. Materials for the research – sunflower hybrids: ‘Garant’, ‘Komandor’, ‘Signal’, ‘Paritet’, ‘Prestizh’ (standard), ‘Sprint’, ‘Sprint 2’, ‘Gorstar’, ‘Kometa’ (bred in the All-Russian Scientific Research Institute of Oil Crops by the name of Pustovoit V.S.” (VNIIMK)). The experiment was replicated four times. The total area of the trial plot is 56 m2, the accounting area – 28 m2. Plant density – 40 thousand plants per ha. The harvest was brought to 100% purity; the seeds – to 10% moisture content. The linear regression coefficient (plasticity) of the yield of hybrids (bi) and the standard deviation (stability) (Ϭd2) were calculated according to S. A. Eberhart and W. A. Russell. Favourable weather conditions were in 2017 (Ij = +0.21) and 2019 (Ij = +1.04). Hybrids ‘Komandor’, ‘Garant’, ‘Sprint 2’ and ‘Gorstar’ are more responsive to the improvement of growing conditions (bi>1); variety ‘Kometa’ – weakly responsive (bi<1). When cultivation conditions changed, the yield of the hybrids ‘Signal’, ‘Paritet’, ‘Prestizh’ and ‘Sprint’ varied (bi = 1). In terms of yield, the most stable is ‘Kometa’ (Ϭd2 = 0.48); the most unstable – ‘Komandor’ (Ϭd2 = 2.19). According to the long-term field research, we have identified the parameters of the optimal model of a sunflower hybrid for cultivation in the Crimea: growing season length – 92–98 days, plant height – 161–166 cm, 1000-seeds weight – 69.5–83.0 g, productive area of the capitula (flower head) – 313–379 cm2, yield – 2.26–2.49 t/ha, oil content – 45–47%, as well as god responsiveness to the growing conditions improvement.
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Riga, E., L. D. Porter, H. Mojtahedi, and D. Erickson. "Pratylenchus neglectus, P. thornei, and Paratylenchus hamatus Nematodes Causing Yield Reduction to Dryland Peas and Lentils in Idaho." Plant Disease 92, no. 6 (June 2008): 979. http://dx.doi.org/10.1094/pdis-92-6-0979b.

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In June 2006, stunted and chlorotic plants were observed in large patches in two 40.5-ha fields of dryland peas (Pisum sativum) in Latah County, Idaho, which resulted in 90 and 75% crop loss. In the same region, a 121.4-ha field of dryland lentils (Lens culinaris) also had plants showing poor growth, wilting, and yellowing in large patches, which resulted in 40% crop loss. Two species of lesion nematodes (Pratylenchus neglectus and P. thornei) and one species of pin nematode (Paratylenchus hamatus) were extracted from rhizosphere soil and the roots of symptomatic plants from these fields. In a subsequent survey of seven dryland pea fields, under cv. Columbian, in Latah and Nez Perce counties and one dryland pea field, under cv. Small Sieve, in Latah County, plant samples had means of 551 and 2,178 mixed species of lesion nematodes per gram of dry root, respectively. Plant samples from 12 lentil fields in Latah County, six planted with cv. Red Chief and six with cv. Pardina, had means of 279 and 987 mixed species of lesion nematodes per gram of dry root, respectively. Soil samples from the same fields had a mean of 628 and 671 pin nematodes, Paratylenchus hamatus, per 250 cm3 soil for Red Chief and Pardina, respectively. Lentils cv. Pardina and peas cv. Columbian were planted separately in six pots, five seeds per pot containing 250 g of infested soil brought from the field to the greenhouse. Fumigated sandy loam soil was used as control. These assays were repeated three times. In addition, peas and lentils were planted to pots infested singly with each of the three nematode species. For this assay, nematodes were extracted from field soil, surface sterilized, and used to infest 250 g of fumigated sandy loam soil at two nematodes per gram of soil. Six plants per nematode species and an uninoculated control were used in the greenhouse assays, which were repeated three times. Nematodes in all of the assays reduced plant growth in comparison with controls; an average of 50 to 70% reduction in plant height was noted. The lesion nematode populations increased in all pots. The greenhouse assays verified the negative impact of these nematodes on growth of dryland peas cvs. Columbian and Small Sieve and lentils cvs. Red Chief and Pardina. P. neglectus, P. thornei, and Paratylenchus spp. previously have been reported from the semi-arid Pacific Northwest (1). However, to our knowledge, this is the first report attributing plant growth and yield reduction of certain cultivars of lentils and peas to these two species of lesion nematodes and pin nematodes, identified to species level as Paratylenchus hamatus. Reference: (1) R. W. Smiley et al. J. Nematol. 36:54, 2004.
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Naseem, Ahmed Aseem. "A COMPARATIVE STUDY OF ENDOSCOPIC MYRINGOPLASTY V/S MICROSCOPIC MYRINGOPLASTY." First Issue 2022 Volume 10, Issue 1 (June 30, 2022): 7–14. http://dx.doi.org/10.36611/upjohns/volume10/issue1/2.

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INTRODUCTION Chronic suppurative otitis media (CSOM) is one of the common Otological conditions in India for w h i c h p a t i e n t s s e e k a d v i c e f r o m a n Otorhinolaryngologists. Poverty, illiteracy, overcrowding and poor hygiene are all factors which play an important role in the causation of the disease. Various surgical modalities of treatment have been tried since ages to eliminate this disease from the middle ear cleft. The use of the surgical microscope brought revolutionary advances into the field of Otological surgery because its new technology expanded the ability of surgeons to see in limited confines of the temporal bone. Initially endoscopes were used only for diagnostic and photographic purposes but now endoscopes are being used more and more for surgical purposes. The current study attempts to study the advantages and disadvantages of endoscopic myringoplasty in comparison to the conventional microscope assisted myringoplasty. OBJECTIVES To e v a l u a t e t h e e ffi c a c y o f E n d o s c o p i c myringoplasty with Microscopic Myringoplasty with reference to hearing and graft uptake MATERIALS AND METHODS Fifty cases of clinically diagnosed chronic suppurative otitis media with dry central perforation were taken into account of which 25 cases were undergone endoscopic myringoplasty a n d 2 5 c a s e s u n d e r g o n e c o n v e n t i o n a l myringoplasty. All patients were followed up till 6 months after surgery. RESULTS There was a strong statistical significant difference between the two groups (p=<0.001) for duration of surgery, hospitalization and hearing gain and graft uptake. In endoscopic and conventional groups of myringoplasty, the mean hearing loss improved to 16.88 dB and 19.76 dB respectively. CONCLUSION The surgical outcome of endoscope assisted myringoplasty was comparable in terms of tympanic membrane status after surgery, but in terms of duration of surgery, hospitalization and post-operative air bone gap patients in the endoscope group had better results. KEYWORDS Chronic suppurative otitis media, Endoscopic Myringoplasty, Microscopic Myringoplasty.
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Kuś, Arkadiusz, Wojciech Krauze, and Małgorzata Kujawińska. "From digital holographic microscopy to optical coherence tomography – separate past and a common goal." Photonics Letters of Poland 13, no. 4 (December 30, 2021): 91. http://dx.doi.org/10.4302/plp.v13i4.1130.

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In this paper we briefly present the history and outlook on the development of two seemingly distant techniques which may be brought close together with a unified theoretical model described as common k-space theory. This theory also known as the Fourier diffraction theorem is much less common in optical coherence tomography than its traditional mathematical model, but it has been extensively studied in digital holography and, more importantly, optical diffraction tomography. As demonstrated with several examples, this link is one of the important factors for future development of both techniques. Full Text: PDF ReferencesN. Leith, J. Upatnieks, "Reconstructed Wavefronts and Communication Theory", J. Opt. Soc. Am. 52(10), 1123 (1962). CrossRef Y. Park, C. Depeursinge, G. Popescu, "Quantitative phase imaging in biomedicine", Nat. Photonics 12, 578 (2018). CrossRef D. Huang et al., "Optical Coherence Tomography", Science 254(5035), 1178 (1991). CrossRef D. P. Popescu, C. Flueraru, S. Chang, J. Disano, S. Sherif, M.G. Sowa, "Optical coherence tomography: fundamental principles, instrumental designs and biomedical applications", Biophys. Rev. 3(3), 155 (2011). CrossRef M. Wojtkowski, V. Srinivasan, J.G. Fujimoto, T. Ko, J.S. Schuman, A. Kowalczyk, J.S. Duker, "Three-dimensional Retinal Imaging with High-Speed Ultrahigh-Resolution Optical Coherence Tomography", Ophthalmology 112(10), 1734 (2005). CrossRef K.C. Zhou, R. Qian, A.-H. Dhalla, S. Farsiu, J.A. Izatt, "Unified k-space theory of optical coherence tomography", Adv. Opt. Photon. 13(2), 462 (2021). CrossRef A.F. Fercher, C.K. Hitzenberger, G. Kamp, S.Y. El-Zaiat, "Measurement of intraocular distances by backscattering spectral interferometry", Opt. Comm. 117(1-2), 43 (1995). CrossRef E. Wolf, "Determination of the Amplitude and the Phase of Scattered Fields by Holography", J. Opt. Soc. Am. 60(1), 18 (1970). CrossRef E. Wolf, "Three-dimensional structure determination of semi-transparent objects from holographic data", Opt. Comm. 1(4), 153 (1969). CrossRef V. Balasubramani et al., "Roadmap on Digital Holography-Based Quantitative Phase Imaging", J. Imaging 7(12), 252 (2021). CrossRef A. Kuś, W. Krauze, P.L. Makowski, M. Kujawińska, "Holographic tomography: hardware and software solutions for 3D quantitative biomedical imaging (Invited paper)", ETRI J. 41(1), 61 (2019). CrossRef A. Kuś, M. Dudek, M. Kujawińska, B. Kemper, A. Vollmer, "Tomographic phase microscopy of living three-dimensional cell cultures", J. Biomed. Opt. 19(4), 46009 (2014). CrossRef O. Haeberlé, K. Belkebir, H. Giovaninni, A. Sentenac, "Tomographic diffractive microscopy: basics, techniques and perspectives", J. Mod. Opt. 57(9), 686 (2010). CrossRef B. Simon et al., "Tomographic diffractive microscopy with isotropic resolution", Optica 4(4), 460 (2017). CrossRef B.A. Roberts, A.C. Kak, "Reflection Mode Diffraction Tomography", Ultrason. Imag. 7, 300 (1985). CrossRef M. Sarmis et al., "High resolution reflection tomographic diffractive microscopy", J. Mod. Opt. 57(9), 740 (2010). CrossRef L. Foucault et al., "Versatile transmission/reflection tomographic diffractive microscopy approach", J. Opt. Soc. Am. A 36(11), C18 (2019). CrossRef W. Krauze, P. Ossowski, M. Nowakowski, M. Szkulmowski, M. Kujawińska, "Enhanced QPI functionality by combining OCT and ODT methods", Proc. SPIE 11653, 116530B (2021). CrossRef E. Mudry, P.C. Chaumet, K. Belkebir, G. Maire, A. Sentenac, "Mirror-assisted tomographic diffractive microscopy with isotropic resolution", Opt. Lett. 35(11), 1857 (2010). CrossRef P. Hosseini, Y. Sung, Y. Choi, N. Lue, Z. Yaqoob, P. So, "Scanning color optical tomography (SCOT)", Opt. Expr. 23(15), 19752 (2015). CrossRef J. Jung, K. Kim, J. Yoon, Y. Park, "Hyperspectral optical diffraction tomography", Opt. Expr. 24(3), 1881 (2016). CrossRef T. Zhang et al., Biomed. "Multi-wavelength multi-angle reflection tomography", Opt. Expr. 26(20), 26093 (2018). CrossRef R.A. Leitgeb, "En face optical coherence tomography: a technology review [Invited]", Biomed. Opt. Expr. 10(5), 2177 (2019). CrossRef J.F. de Boer, R. Leitgeb, M. Wojtkowski, "Twenty-five years of optical coherence tomography: the paradigm shift in sensitivity and speed provided by Fourier domain OCT [Invited]", Biomed. Opt. Expr. 8(7), 3248 (2017). CrossRef T. Anna, V. Srivastava, C. Shakher, "Transmission Mode Full-Field Swept-Source Optical Coherence Tomography for Simultaneous Amplitude and Quantitative Phase Imaging of Transparent Objects", IEEE Photon. Technol. Lett. 23(11), 899 (2011). CrossRef M.T. Rinehart, V. Jaedicke, A. Wax, "Quantitative phase microscopy with off-axis optical coherence tomography", Opt. Lett. 39(7), 1996 (2014). CrossRef C. Photiou, C. Pitris, "Dual-angle optical coherence tomography for index of refraction estimation using rigid registration and cross-correlation", J. Biomed. Opt. 24(10), 1 (2019). CrossRef Y. Zhou, K.K.H. Chan, T. Lai, S. Tang, "Characterizing refractive index and thickness of biological tissues using combined multiphoton microscopy and optical coherence tomography", Biomed. Opt. Expr. 4(1), 38 (2013). CrossRef K.C. Zhou, R. Qian, S. Degan, S. Farsiu, J.A. Izatt, "Optical coherence refraction tomography", Nat. Photon. 13, 794 (2019). CrossRef
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40

Borhan, Marisa Khatijah, and Florence Hui Sieng Tan. "Life-Threatening VIPoma Crisis in an Immunocompromised Patient." Journal of the Endocrine Society 5, Supplement_1 (May 1, 2021): A998—A999. http://dx.doi.org/10.1210/jendso/bvab048.2043.

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Abstract Background: Vasoactive intestinal peptide-secreting tumors (VIPoma) are rare neuroendocrine tumors (NETs) that present with a triad of profuse watery diarrhea, hypokalemia, and achlorhydria. The resulting renal impairment, electrolytes and acid-base imbalances pose a high risk of morbidity and mortality. We describe a case of life-threatening VIPoma crisis in an immunocompromised patient. Clinical Case: A 64-year-old man was intubated after he was brought in unconscious with tachypnea. Upon review, he had experienced persistent watery diarrhea for the past 6 months, with a weight loss of 18 kg. He had severe hypokalemia (potassium 1.9 mmol/L, n= 3.5-5.0), metabolic acidosis (blood gases pH 6.927, bicarbonate 4.8 mmol/L, base excess -25.9 mmol/L), and acute kidney injury (urea 47.9 mmol/L, creatinine 980umol/L). He continued to have electrolyte imbalances and acidosis due to persistent diarrhea, despite hydration and dialysis support. His biohazard screening results were positive for human immunodeficiency virus (HIV), with a CD4 count of 101 cells/µl. He was given courses of antibiotics for treating pathogenic infections; however, his septic workups were negative for infection, including HIV-related opportunistic infections. Later, pancreatic CT revealed a well-defined heterogeneously enhancing pancreatic head mass, size 6.8x5.2x7.5 cm. Further laboratory investigations confirmed the diagnosis of VIPoma, with elevated VIP levels (1600 pg/ml, n &lt; 75). Eventually, subcutaneous octreotide was started, with resolution of the diarrhea and normalization of his electrolytes and renal function. After a 6-week hospital stay, he was discharged well with monthly octreotide and initiated on antiretroviral therapy (ART). After 3 months of ART, his CD4 count improved, and he remained diarrhea-free with octreotide. He is scheduled for tumor debulking surgery. Conclusion:This case highlights the importance of having a clinical suspicion of NETs, especially in immunocompromised patients. Further investigations and imaging studies to rule out noninfectious pathologies should be considered in patients who respond poorly to standard therapy. In VIPoma, somatostatin analog is an antisecretory treatment and it is highly effective for controlling diarrhea. High-dose octreotide up to 1500 µg/day has previously been studied for treatment of refractory diarrhoea in the setting of HIV infection² and it has been found to be helpful in reducing stool volume and frequency. Lastly, delays in the diagnosis and treatment of VIPoma in immunocompromised patients can be fatal. References1/ Hoffland J., Kaltsas G., de Herder W. Advances in the Diagnosis and Management of Well-Differentiated Neuroendocrine Neoplasms. Endocrine Reviews, Volume 41, Issue 2, April 2020, Pages 371-403.2/ Farthing MJ. Octreotide in the treatment of refractory diarrhoea and intestinal fistulae. Gut 1994;35:S5-10.
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41

Zuidema, Paquita, Brian Mapes, Jialin Lin, Chris Fairall, and Gary Wick. "The Interaction of Clouds and Dry Air in the Eastern Tropical Pacific." Journal of Climate 19, no. 18 (September 15, 2006): 4531–44. http://dx.doi.org/10.1175/jcli3836.1.

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Abstract Cloud radar observations of eastern Pacific intertropical convergence zone cloud vertical structure are interpreted in light of soundings, 100-km-scale divergence profiles calculated from precipitation radar Doppler velocities, and surface rain gauge data, from a ship at 10°N, 95°W during the 2001 East Pacific Investigation of Climate (EPIC) experiment. The transition from convective to stratiform rain is clear in all four datasets, indicating a coherence from local to 100-km scale. A novel finding is dry air intrusions at altitudes of 6–8 km, often undercutting upper-level ice clouds. Two distinct dry air source regions are identified. One is a relatively dry area overlying the cooler waters of the Costa Rica oceanic thermocline dome, centered approximately 400 km east-northeast of the ship site. The other is the even drier near-equatorial subsidence zone south of 6°–7°N. The former source is somewhat peculiar to this specific ship location, so that the ship sample is not entirely representative of the region. The 20–25 September period is studied in detail, as it depicts two influences of the dry air on cloud vertical structure. One is the modulation of small-scale surface-based convection, evident as a weakening and narrowing of cloud radar reflectivity features. The other springs from intense sublimation cooling as differential advection brought snowing anvil clouds over the dry layers. During one half-day period of strong sublimation, the cooling rate is inferred to be several tens of degrees per day over a 100-hPa layer, based on a heat budget estimate at 100-km scale involving the horizontal wind divergence data. This is consistent with fluxing ice water contents of 0.05–0.10 g m−3 derived from the cloud radar reflectivities. The temperature profile shows the dynamically expected response to this cooling, a positive–negative–positive temperature anomaly pattern centered on the sublimating layer. A buoyancy-sorting diagnostic model of convection indicates that these upper-troposphere temperature anomalies can cause premature detrainment of updrafts into the lower part of the cloudy layer, a feedback that may actively maintain these long-lasting dense anvils. Middle-troposphere southerly dry air inflow is also evident in large-scale analysis. Given the proximity of the dry equatorial subsidence zone to the eastern tropical Pacific, the differential advection of dry and cloudy air, the ensuing sublimation, and its dynamical aftereffects may play a role in establishing the region’s climate, although the extent of their significance needs to be further established.
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42

SINGH, O. P., K. RUPA KUMAR, P. K. MISHRA, K. KRISHNA KUMAR, and S. K. PATWARDHAN. "Simulation of characteristic features of Asian summer monsoon using a regional climate model." MAUSAM 57, no. 2 (November 25, 2021): 221–30. http://dx.doi.org/10.54302/mausam.v57i2.469.

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Lkkj & bl 'kks/k&i= esa HkweaMyh; tyok;q ifjorZu ds ifj.kkeLo:i 'krkCnh ds e/; ¼2041&60½ ds nkSjku ,f’k;kbZ xzh"edkyhu ekulwu ds fof’k"V y{k.kksa dk iwokZuqeku djus ds mÌs’; ls vuqdj.k iz;ksxksa ds ifj.kke izLrqr fd, x, gSaA blds fy, gSMys tyok;q iwokZuqeku vkSj vuqla/kku dsUnz] ;w- ds- dk {ks=h; tyok;q ekWMy gSM vkj- ,e- 2 dk mi;ksx fd;k x;k gSA ,f’k;kbZ {ks= ds fy, 20 o"kksZa dh vof/k ds nks vuqdj.k iz;ksx fd, x, gSa uker% igyk] 1990 Lrjksa ds vuq:i xzhu gkml xSl lkanz.k dh fu/kkZfjr ek=k] ftls dUVªksy ¼lh- Vh- ,y-½ iz;ksx dgk x;k gS vkSj nwljk 1990 ls ysdj 2041&60 rd ds fy, xzhu gkml xSl lkanz.k ds okf"kZd feJ.k esa 1 izfr’kr dh o`f) lesr ftls vkxs xzhu gkml xSl ¼th- ,p- th-½ iz;ksx dgk x;k gSA xzhu gkml xSl lkanz.k esa okf"kZd feJ.k esa 1 izfr’kr dh o`f) tyok;q ifjorZu ds var% ljdkjh iSuy vkbZ- ih- lh- lh- }kjk rS;kj dh xbZ ;kstuk ls yh xbZ gSA bu iz;ksxksa ls 'krkCnh ds e/; ds nkSjku ,f’k;kbZ xzh"edkyhu ekulwu esa ik, tkus okys fof’k"V y{k.kksa esa gksus okys dqN ifjorZuksa dk irk pyk gS ftudk c<+s gq, ekuotfur mRltZdksa ds dkj.k gksuk LokHkkfor gSA lewph ekulwu _rq ds nkSjku Hkkjrh; {ks= ij fuEu {kksHk eaMy ¼850 gSDVkikLdy½ esa ekulwu nzks.kh ¼,e- Vh- ½ dk mRrj dh vksj lkekU; :i ls c<+uk lcls vf/kd egRoiw.kZ ifjorZu izrhr gksrk gSA vuqdj.k ifj.kkeksa ls ekulwu _rq ds nkSjku vjc lkxj esa leqnz Lrj nkc ¼,l- ,y- ih-½ esa yxHkx 1&2 gS- ik- dh o`f) dk irk pyk gS ftlds ifj.kkeLo:i fuEu {kksHk eaMy esa vlkekU; izfrpØokr gksrs gSaA bldk vFkZ ;g gqvk fd fuEu Lrjh; tsV ¼,y- ,y- ts-½ vkSj vjc lkxj esa ekulwu dh /kkjk det+ksj iM+ tkrh gSA ;g ekWMy m".krj leqnz lrg dh fLFkfr;ksa esa fgan egklkxj ds mRrj esa ekulwuh pØokrh; fo{kksHkksa dh vko`fr esa deh dks vuqdfjr djrk gS tks gky gh ds n’kdksa esa ekulwu ds vonkcksa dh vko`fr esa deh dh izo`fr;ksa ds vuq:i ikbZ xbZ gSA bu iz;ksxksa ls ;g irk pyrk gS fd ikfdLrku vkSj mlds lehiorhZ mRrjh if’peh Hkkjr ds Åij Å"ek fuEunkc rhoz gks ldrk gS vkSj ekulwu _rq ds nkSjku FkksM+k iwoZ dh vksj c<+ ldrh gSA ;g ekWMy] Hkkjrh; leqnz ds nf{k.kh Hkkxksa esa 8° & 10° m- ds chp 100 gS- ik- ¼Vh- bZ- ts- dksj dk Lrj½ ij fo’ks"kdj ekulwu ds iwokZ)Z ds nkSjku m".kdfVca/kh; iwokZfHkeq[kh tsV¼Vh- bZ- ts-½ dks izHkkfor djrk gSA The paper presents the results of simulation experiments aimed at predicting the characteristic features of Asian Summer Monsoon during the middle of the century (2041-60) resulting from global climate change. The model used is HadRM2 regional climate model of the Hadley Centre for Climate Prediction and Research, UK. Two simulation experiments of 20 years length have been performed for the Asian domain, namely, one with a fixed amount of greenhouse gas concentration corresponding to 1990 levels called the 'control' (CTL) experiment and the other with the annual compound increase of 1 % in the greenhouse gas concentration for 2041-60 from 1990 onwards called the 'greenhouse gas' (GHG) experiment. The annual compound increment of 1 %, in the greenhouse gas concentration has been adopted from the projection given by the Intergovernmental Panel for Climate Change (IPCC). The experiments have brought out some of the changes in the characteristic features of mid-century Asian summer monsoons that are expected to occur due to increased anthropogenic emissions. The most significant change seems to be a general northward shift of the monsoon trough (MT) in the lower troposphere (850 hPa) throughout the monsoon season over the Indian region. The simulation results have shown an increase of about 1-2 hPa in the sea level pressure (SLP) over the Arabian Sea during the monsoon resulting in an anomalous anticyclone over there in the lower troposphere. This would mean the weakening of Low Level Jet (LLJ) and the Arabian sea branch of the monsoon current. The model has simulated a decrease in the frequency of the monsoonal cyclonic disturbances over the north Indian Ocean under the warmer sea surface conditions which conforms to the observed decreasing trends in the frequency of monsoon depressions in recent decades. The experiments have shown that the Heat Low over Pakistan and adjoining northwest India, may intensify and shift slightly eastward during the monsoon. The model has simulated the strengthening of Tropical Easterly Jet (TEJ) at 100 hPa (the location of TEJ core ) over the southern parts of Indian sea between 8° - 10° N, especially during the first half of the monsoon season.
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43

Yang, Shaogang. "A Commentary Reflection of Moral Psychology Based on Embodied Cognition." ETHICS IN PROGRESS 8, no. 2 (September 26, 2018): 59–68. http://dx.doi.org/10.14746/eip.2017.2.5.

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The rise of embodied cognition in recent ten years has brought about significant influence on the research of moral psychology. On the one hand, the development of neuro-cognitive science has facilitated the research of morality deeply into the mirror neurons of brain, no longer being limited simply on the philosophical speculation; and on the other hand the experimental research of embodied cognition has provided new evidence for some traditional and philosophical moral issues and even made some new recognition of the issues which are different from the traditional interpretations. Tracing back to the research of the Western moral psychology, we find that cognitive rationality and virtual ethics are the two main research lines for moral psychology.(1)J. Piaget and L. Kohlberg opened a way for the research of cognitive development of morality, and their successors have formed new Kohlbergian School, such as the moral judgment theory based on DIT proposed by J. Rest and his colleagues, G. Lind’s dual-aspect theory based on his MCT and KMDD®; the social cognitive domain theory proposed by E. Turiel and his colleagues; the feminine caring ethics advocated by C. Gilligan and N. Noddings; the Social Intuitionist Theory proposed by J. Haidt based on evolutionary psychology, cultural psychology and neuro-cognitive science and so on. (2) The traditional moral philosophy and ethics have opened another way to the research of character education and virtues, such as the American movement of character education facilitated by W, Bennett and T. Lickona and others; the argument between J. Rawls and R. Nozick on moral problems; A. C. MacIntyre’s moral critique to the Western societies and his virtue ethics and so on. Since 21st century the research of embodied cognition has broken through the limitation of the traditional research on moral psychology, attempting to realize the new synthesis of intellect, human body and its environment, and therefore started the embodied research of moral judgment which is unfolded around the three dimensions of physical cleanliness, disgust, body temperature and body movements. I has also assimilated Piaget and Vygotsky’s ideas of psychological development, the theory of conceptual metaphor in cognitive semantics and the theory of evolutionary psychology, and made its theoretical interpretation and exploration for the embodied effect of moral judgment. Since the variable of physical body could have its influence on individual moral judgment by means of one’s emotion and cognitive elements, the moral judgment based on embodied cognition should be integrated with the theories of moral judgment, especially with moral competencies that are the core of moral judgment, and meanwhile the relationship between the embodied cognition and moral intuition should be deeply explored, and the issues such as chronergy, that is, time efficiency, and dynamics taken place when there is the embodied effect should be further examined, the regulated variables of embodied effects while making moral judgment and the individual differences should also be found out through detailed research. And finally we should check out the embodied effects of moral judgment through the cross-cultural comparison.
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44

Agostini, A., D. A. Johnson, S. Hulbert, B. Demoz, W. G. D. Fernando, and T. Paulitz. "First Report of Blackleg Caused by Leptosphaeria maculans on Canola in Idaho." Plant Disease 97, no. 6 (June 2013): 842. http://dx.doi.org/10.1094/pdis-10-12-0956-pdn.

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Canola (Brassica napus L.) is produced in the dryland agriculture areas of eastern Washington State and northern Idaho, often in rotation with cereal cropping systems. Canola is also used as a rotation crop in irrigated circles in the Columbia Basin of Washington and southern Idaho, where potato is the main cash crop. In 2011, 7,700 ha of canola were harvested in Idaho and 4,200 ha in Washington. One of the major diseases of canola around the world is blackleg, caused by Leptosphaeria maculans (aggressive) and L. biglobosa (non-aggressive). Both Washington and Idaho have been considered blackleg-free, and production of canola in Idaho is subject to government regulations. Canola seed originating from outside of Washington and Idaho should have a phytosanitary certificate. This disease is widespread in Canada and the U.S. Northern Plains, Midwest, and South, and is the major disease of canola in these areas. In August 2011, a sample from a canola field in Bonners Ferry, Idaho, was brought for diagnosis to Washington State University. The canola stems showed the typical gray to dark grey lesions with black pycnidia. The pycnidia and conidia were examined microscopically, and found to be similar to descriptions of Phoma lingam, the anamorph of L. maculans (2). Samples were sent to the University of Manitoba for confirmation with PCR. The pathogen was cultured out of stems on V8 juice agar amended with streptomycin and 22 single pynidiospore isolates were made from the cultures. DNA was extracted from the cultures using methods described in Fernando et al. (1) and a multiplex PCR was performed with species-specific primers for L. maculans and L. biglobosa. The reaction should produce a 330-bp amplicon for L. maculans and a 440-bp amplicon for L. biglobosa. Based on this, all 22 isolates were identified as L. maculans. The susceptible cultivar Westar was inoculated with the isolates, by wound inoculating 7-day-old cotyledons with a concentration of 107 spores/ml. Plants were kept in a moist chamber at 23°C. After 14 days, plants were rated for disease with a 0 to 9 scale, where 0 = no infection and 9 = tissue collapse and appearance of pycnidiospores. Isolates with rating ≥5 are considered virulent. All isolates produced a rating of 7 to 9, indicating a high level of virulence. The source of the seed used in the infested fields is not known at this time. This disease is seedborne, and may pose a threat to the two major vegetable and oilseed brassica seed production areas of Washington: the Skagit River valley of western Washington and the Columbia Basin area of central Washington. In addition, the susceptibility of Pacific Northwest varieties of canola and other brassica oilseeds is largely unknown. References: (1) W. G. D. Fernando et al. Plant Dis. 90:1337, 2006. (2) S. Roger Rimmer et al. Compendium of Brassica Diseases, APS Press, 2007.
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45

Kutluieva, Daria. "Piano quartets by F. Mendelssohn as a phenomenon of the Romantic era." Aspects of Historical Musicology 16, no. 16 (September 15, 2019): 143–57. http://dx.doi.org/10.34064/khnum2-16.08.

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Background. Nowadays, the typology of the piano quartet is actively studied by the modern scientists. The genesis of this genre is becoming more contentious. As pointed out by L. Tsaregorodtseva (2005), and earlier I. Byaly (1989), a connection of concerts for clavier solo accompanied by a string ensembles and a string quartet form a foundation for a genre of the piano quartet. N. Samoilova (2011) sees the origin of this genre in ensembles with clavier, L. Tsaregorodtseva (2005) &#8210; in the historical and cultural situation of the last third of the 18th century, including the genre (string quartet and piano concerto), structural and compositional (sonata form), organological (instrument condition), performing (pianism development). I. Byaly (1989) and I. Polskaya (2001) consider the trio principle as the basis of ensemble genres, including the piano quartet. A conjunction of these opinions let us perceive the piano quartet as the result of the synthesis of various compositional and genre principles of ensembles, which formed the basis of the classical structure of the genre. Its creators are believed to be W. A. Mozart, the author of two piano quartets: No. 1 g-moll KV478 and No. 2 Es-dur KV493 (1785; 1786), and L. Beethoven, who composed four piano quartets: WoO 36 № 1 Es-dur, № 2 D-dur, № 3 C-dur (1785) and op. 16 Es-dur (1801). In these compositions of the classical era the defining attributes of the genre were multitimbrality, which manifests in keyboard and string instruments; ensemble players equality; signs of various types of utterance, including those inherent in a string quartet and clavier concerto involving a group of strings; sonatas and symphonies; as well as the type of composition, built on the model of “fast-slow-fast” with the obligatory sonata Allegro in the first position. In the romantic era, the boundaries of the genre expand in terms of content, structure, interpretation of the ensemble. The first attempt to increase the scale of the cycle belongs to C. M. Weber, who brought it closer to the composition of the string quartet through the introduction of Menuetto. However, the final fourpart cycle is set by F. Mendelssohn, who replaced Menuetto with Scherzo, which becomes the normative model for the romantic tradition of the genre. Objectives. The purpose of this article is to determine the role of F. Mendelssohn’s piano quartets in the evolution of the genre in general, and in the romantic era in particular. Results. Three piano quartets by F. Mendelssohn present a picture of his youthful attitude. The musician’s early composing ability allowed him to turn to the creation of works of this genre without fear. This genre usually attracts the attention of artists in their mature period of creativity, having mastered various genres, including chamber-instrumental ensembles (W. A. Mozart, R. Schumann, J. Brahms). It is easy to observe the commonalities of F. Mendelssohn and young Beethoven, who also composed the piano quartets in the early days of his oeuvre. F. Mendelssohn has composed three piano quartets: No. 1 c-moll (1882), dedicated to Prince Antoine Radziwill, No. 2 f-moll (December 1823), dedicated to Karl Zelter, and No. 3 h-moll (January 1823) – to Goethe. The skill of using large structures, the depth of musical thought, and even the sings of his future style are starting to find expression in Mendelssohn’s youth compositions. The four-part structure of the composition cycles reveals the young composer’s interest in the works of L. Beethoven, in particular in his piano sonatas. Distinctly clear analogies are also found in «Aurora» op. 53 and «Appassionata» op. 57. R. Larry Todd (2003) also points to the similarity of the original themes of the Piano quartet No. 1 c-moll by F. Mendelssohn and the piano sonata in the same key KV457 by W. A. Mozart. It defined by the initial course of the sounds of the basic triad, as well as the use of symmetrical question-answer constructions, contrasting in mood. The connections between these two compositions are even more evident in the finale, which begins with a theme directly borrowed from the last part of W. A. Mozart’s sonata (as identified by the author of this article). In Quartet No. 2 f-moll, connections with the music of L. Beethoven are not limited to allusions to the famous piano sonatas of the Viennese classic. The first part of F. Mendelssohn’s cycle contains several definite signs of Beethoven’s influences: the development of the code is significantly expanded in the sonata form, and in a monumental reprise the young author defines the extreme dynamic level fff. In Adagio (Des-dur) there is a wide enharmonic palette, including several sharp keys. The next part, labeled as Intermezzo, provides a transition to the «explosive» finale, which opens with a «rocket-like» theme, driven by an ascending line of chromatic bass. Piano Quartet No. 3 h-moll is the work that determined the choice of F. Mendelssohn’s professional composer career, which was highly appreciated by L. Kerubini. Mastery of the musical form is manifested in a significant expansion of the scope of the cycle and each of its parts. Adhering to the strategy of virtuoso interpretation of the piano part, which was chosen in the first two opuses, the author, at the same time, subordinates the tasks of demonstrating the pianist’s instrumental possibilities to the purpose of disclosure the dramatic idea of the work. At the same time, he does not brake the principle of equality of ensemble members, borrowed from his predecessors in any of his piano quartets. Conclusions. The analysis revealed the following indicators of the romanticization of the piano quartet genre in the work of F. Mendelssohn. These are: the scale of the content and composition of the cycle; the large coda sections in the first and final parts; the poetic completion of the lyrical second parts, as it is in “songs without words”; brilliance of the final parts; dominance of minor keys; equality of ensemble members with the “directorial” function of the piano and others. The high artistic qualities of F. Mendelssohn’s piano quartets attract the attention of many performers, among which the Foret Quartet demonstrates the most adequate interpretation of these works.
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46

Шарма Сушіл Кумар. "Indo-Anglian: Connotations and Denotations." East European Journal of Psycholinguistics 5, no. 1 (June 30, 2018): 45–69. http://dx.doi.org/10.29038/eejpl.2018.5.1.sha.

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A different name than English literature, ‘Anglo-Indian Literature’, was given to the body of literature in English that emerged on account of the British interaction with India unlike the case with their interaction with America or Australia or New Zealand. Even the Indians’ contributions (translations as well as creative pieces in English) were classed under the caption ‘Anglo-Indian’ initially but later a different name, ‘Indo-Anglian’, was conceived for the growing variety and volume of writings in English by the Indians. However, unlike the former the latter has not found a favour with the compilers of English dictionaries. With the passage of time the fine line of demarcation drawn on the basis of subject matter and author’s point of view has disappeared and currently even Anglo-Indians’ writings are classed as ‘Indo-Anglian’. Besides contemplating on various connotations of the term ‘Indo-Anglian’ the article discusses the related issues such as: the etymology of the term, fixing the name of its coiner and the date of its first use. In contrast to the opinions of the historians and critics like K R S Iyengar, G P Sarma, M K Naik, Daniela Rogobete, Sachidananda Mohanty, Dilip Chatterjee and Gayatri Chakravorty Spivak it has been brought to light that the term ‘Indo-Anglian’ was first used in 1880 by James Payn to refer to the Indians’ writings in English rather pejoratively. However, Iyengar used it in a positive sense though he himself gave it up soon. The reasons for the wide acceptance of the term, sometimes also for the authors of the sub-continent, by the members of academia all over the world, despite its rejection by Sahitya Akademi (the national body of letters in India), have also been contemplated on. References Alphonso-Karkala, John B. (1970). Indo-English Literature in the Nineteenth Century, Mysore: Literary Half-yearly, University of Mysore, University of Mysore Press. Amanuddin, Syed. (2016 [1990]). “Don’t Call Me Indo-Anglian”. C. D. Narasimhaiah (Ed.), An Anthology of Commonwealth Poetry. Bengaluru: Trinity Press. B A (Compiler). (1883). Indo-Anglian Literature. Calcutta: Thacker, Spink and Co. PDF. Retrieved from: https://books.google.co.in/books?id=rByZ2RcSBTMC&pg=PA1&source= gbs_selected_pages&cad=3#v=onepage&q&f=false ---. (1887). “Indo-Anglian Literature”. 2nd Issue. Calcutta: Thacker, Spink and Co. PDF. Retrieved from: http://www.jstor.org/stable/60238178 Basham, A L. (1981[1954]). The Wonder That Was India: A Survey of the History and Culture of the Indian Sub-Continent before the Coming of the Muslims. Indian Rpt, Calcutta: Rupa. PDF. Retrieved from: https://archive.org/details/TheWonderThatWasIndiaByALBasham Bhushan, V N. (1945). The Peacock Lute. Bomaby: Padma Publications Ltd. Bhushan, V N. (1945). The Moving Finger. Bomaby: Padma Publications Ltd. Boria, Cavellay. (1807). “Account of the Jains, Collected from a Priest of this Sect; at Mudgeri: Translated by Cavelly Boria, Brahmen; for Major C. Mackenzie”. Asiatick Researches: Or Transactions of the Society; Instituted In Bengal, For Enquiring Into The History And Antiquities, the Arts, Sciences, and Literature, of Asia, 9, 244-286. PDF. Retrieved from: https://archive.org/details/in.ernet.dli.2015.104510 Chamber’s Twentieth Century Dictionary [The]. (1971). Bombay et al: Allied Publishers. Print. Chatterjee, Dilip Kumar. (1989). Cousins and Sri Aurobindo: A Study in Literary Influence, Journal of South Asian Literature, 24(1), 114-123. Retrieved from: http://www.jstor.org/ stable/40873985. Chattopadhyay, Dilip Kumar. (1988). A Study of the Works of James Henry Cousins (1873-1956) in the Light of the Theosophical Movement in India and the West. Unpublished PhD dissertation. Burdwan: The University of Burdwan. PDF. Retrieved from: http://ir.inflibnet. ac.in:8080/jspui/bitstream/10603/68500/9/09_chapter%205.pdf. Cobuild English Language Dictionary. (1989 [1987]). rpt. London and Glasgow. Collins Cobuild Advanced Illustrated Dictionary. (2010). rpt. Glasgow: Harper Collins. Print. Concise Oxford English Dictionary [The]. (1961 [1951]). H. W. Fowler and F. G. Fowler. (Eds.) Oxford: Clarendon Press. 4th ed. Cousins, James H. (1921). Modern English Poetry: Its Characteristics and Tendencies. Madras: Ganesh & Co. n. d., Preface is dated April, 1921. PDF. Retrieved from: http://hdl.handle.net/ 2027/uc1.$b683874 ---. (1919) New Ways in English Literature. Madras: Ganesh & Co. 2nd edition. PDF. Retrieved from: https://archive.org/details/in.ernet.dli.2015.31747 ---. (1918). The Renaissance in India. Madras: Madras: Ganesh & Co., n. d., Preface is dated June 1918. PDF. Retrieved from: https://archive.org/details/in.ernet.dli.2015.203914 Das, Sisir Kumar. (1991). History of Indian Literature. Vol. 1. New Delhi: Sahitya Akademi. Encarta World English Dictionary. (1999). London: Bloomsbury. Gandhi, M K. (1938 [1909]). Hind Swaraj Tr. M K Gandhi. Ahmedabad: Navajivan Publishing House. PDF. Retrieved from: www.mkgandhi.org/ebks/hind_swaraj.pdf. Gokak, V K. (n.d.). English in India: Its Present and Future. Bombay et al: Asia Publishing House. PDF. Retrieved from: https://archive.org/details/in.ernet.dli.2015.460832 Goodwin, Gwendoline (Ed.). (1927). Anthology of Modern Indian Poetry, London: John Murray. PDF. Retrieved from: https://archive.org/details/in.ernet.dli.2015.176578 Guptara, Prabhu S. (1986). Review of Indian Literature in English, 1827-1979: A Guide to Information Sources. The Yearbook of English Studies, 16 (1986): 311–13. PDF. Retrieved from: https://www.jstor.org/stable/3507834 Iyengar, K R Srinivasa. (1945). Indian Contribution to English Literature [The]. Bombay: Karnatak Publishing House. PDF. Retrieved from: https://archive.org/details/ indiancontributi030041mbp ---. (2013 [1962]). Indian Writing in English. New Delhi: Sterling. ---. (1943). Indo-Anglian Literature. Bombay: PEN & International Book House. PDF. Retrieved from: https://archive.org/details/IndoAnglianLiterature Longman Dictionary of Contemporary English. (2003). Essex: Pearson. Lyall, Alfred Comyn. (1915). The Anglo-Indian Novelist. Studies in Literature and History. London: John Murray. PDF. Retrieved from: https://archive.org/details/in.ernet. dli.2015.94619 Macaulay T. B. (1835). Minute on Indian Education dated the 2nd February 1835. HTML. Retrieved from: http://www.columbia.edu/itc/mealac/pritchett/00generallinks/macaulay/ txt_minute_education_1835.html Mehrotra, Arvind Krishna. (2003). An Illustrated History of Indian Literature in English. Delhi: Permanent Black. ---. (2003[1992]). The Oxford India Anthology of Twelve Modern Indian Poets. New Delhi: Oxford U P. Minocherhomji, Roshan Nadirsha. (1945). Indian Writers of Fiction in English. Bombay: U of Bombay. Modak, Cyril (Editor). (1938). The Indian Gateway to Poetry (Poetry in English), Calcutta: Longmans, Green. PDF. Retrieved from http://en.booksee.org/book/2266726 Mohanty, Sachidananda. (2013). “An ‘Indo-Anglian’ Legacy”. The Hindu. July 20, 2013. Web. Retrieved from: http://www.thehindu.com/features/magazine/an-indoanglian-legacy/article 4927193.ece Mukherjee, Sujit. (1968). Indo-English Literature: An Essay in Definition, Critical Essays on Indian Writing in English. Eds. M. K. Naik, G. S. Amur and S. K. Desai. Dharwad: Karnatak University. Naik, M K. (1989 [1982]). A History of Indian English Literature. New Delhi: Sahitya Akademi, rpt.New Shorter Oxford English Dictionary on Historical Principles [The], (1993). Ed. Lesley Brown, Vol. 1, Oxford: Clarendon Press.Naik, M K. (1989 [1982]). A History of Indian English Literature. New Delhi: Sahitya Akademi, rpt. Oaten, Edward Farley. (1953 [1916]). Anglo-Indian Literature. In: Cambridge History of English Literature, Vol. 14, (pp. 331-342). A C Award and A R Waller, (Eds). Rpt. ---. (1908). A Sketch of Anglo-Indian Literature, London: Kegan Paul. PDF. Retrieved from: https://ia600303.us.archive.org/0/items/sketchofangloind00oateuoft/sketchofangloind00oateuoft.pdf) Advanced Learner’s Dictionary of Current English. (1979 [1974]). A. S. Hornby (Ed). : Oxford UP, 3rd ed. Oxford English Dictionary [The]. Vol. 7. (1991[1989]). J. A. Simpson and E. S. C. Weiner, (Eds.). Oxford: Clarendon Press, 2nd ed. Pai, Sajith. (2018). Indo-Anglians: The newest and fastest-growing caste in India. Web. Retrieved from: https://scroll.in/magazine/867130/indo-anglians-the-newest-and-fastest-growing-caste-in-india Pandia, Mahendra Navansuklal. (1950). The Indo-Anglian Novels as a Social Document. Bombay: U Press. Payn, James. (1880). An Indo-Anglian Poet, The Gentleman’s Magazine, 246(1791):370-375. PDF. Retrieved from: https://archive.org/stream/gentlemansmagaz11unkngoog#page/ n382/mode/2up. ---. (1880). An Indo-Anglian Poet, Littell’s Living Age (1844-1896), 145(1868): 49-52. PDF. Retrieved from: https://archive.org/stream/livingage18projgoog/livingage18projgoog_ djvu.txt. Rai, Saritha. (2012). India’s New ‘English Only’ Generation. Retrieved from: https://india.blogs.nytimes.com/2012/06/01/indias-new-english-only-generation/ Raizada, Harish. (1978). The Lotus and the Rose: Indian Fiction in English (1850-1947). Aligarh: The Arts Faculty. Rajan, P K. (2006). Indian English literature: Changing traditions. Littcrit. 32(1-2), 11-23. Rao, Raja. (2005 [1938]). Kanthapura. New Delhi: Oxford UP. Rogobete, Daniela. (2015). Global versus Glocal Dimensions of the Post-1981 Indian English Novel. Portal Journal of Multidisciplinary International Studies, 12(1). Retrieved from: http://epress.lib.uts.edu.au/journals/index.php/portal/article/view/4378/4589. Rushdie, Salman & Elizabeth West. (Eds.) (1997). The Vintage Book of Indian Writing 1947 – 1997. London: Vintage. Sampson, George. (1959 [1941]). Concise Cambridge History of English Literature [The]. Cambridge: UP. Retrieved from: https://archive.org/details/in.ernet.dli.2015.18336. Sarma, Gobinda Prasad. (1990). Nationalism in Indo-Anglian Fiction. New Delhi: Sterling. Singh, Kh. Kunjo. (2002). The Fiction of Bhabani Bhattacharya. New Delhi: Atlantic Publishers and Distributors. Spivak, Gayatri Chakravorty. (2012). How to Read a ‘Culturally Different’ Book. An Aesthetic Education in the Era of Globalization, Cambridge, Mass: Harvard University Press. Sturgeon, Mary C. (1916). Studies of Contemporary Poets, London: George G Hard & Co., Retrieved from: https://archive.org/details/in.ernet.dli.2015.95728. Thomson, W S (Ed). (1876). Anglo-Indian Prize Poems, Native and English Writers, In: Commemoration of the Visit of His Royal Highness the Prince of Wales to India. London: Hamilton, Adams & Co., Retrieved from https://books.google.co.in/ books?id=QrwOAAAAQAAJ Wadia, A R. (1954). The Future of English. Bombay: Asia Publishing House. Wadia, B J. (1945). Foreword to K R Srinivasa Iyengar’s The Indian Contribution to English Literature. Bombay: Karnatak Publishing House. Retrieved from: https://archive.org/ details/indiancontributi030041mbp Webster's Encyclopedic Unabridged Dictionary of the English Language. (1989). New York: Portland House. Yule, H. and A C Burnell. (1903). Hobson-Jobson: A Glossary of Colloquial Anglo-Indian Words and Phrases, and of Kindred Terms, Etymological, Historical, Geographical and Discursive. W. Crooke, Ed. London: J. Murray. Retrieved from: https://archive.org/ details/hobsonjobsonagl00croogoog Sources www.amazon.com/Indo-Anglian-Literature-Edward-Charles-Buck/dp/1358184496 www.archive.org/stream/livingage18projgoog/livingage18projgoog_djvu.txt www.catalog.hathitrust.org/Record/001903204?type%5B%5D=all&lookfor%5B%5D=indo%20anglian&ft= www.en.wikipedia.org/wiki/B.L._Indo_Anglian_Public_School,_Aurangabad www.everyculture.com/South-Asia/Anglo-Indian.html www.solo.bodleian.ox.ac.uk/primo_library/libweb/action/search.do?fn=search&ct=search&initialSearch=true&mode=Basic&tab=local&indx=1&dum=true&srt=rank&vid=OXVU1&frbg=&tb=t&vl%28freeText0%29=Indo-Anglian+Literature+&scp.scps=scope%3A%28OX%29&vl% 28516065169UI1%29=all_items&vl%281UIStartWith0%29=contains&vl%28254947567UI0%29=any&vl%28254947567UI0%29=title&vl%28254947567UI0%29=any www.worldcat.org/title/indo-anglian-literature/oclc/30452040
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Yang, Qi, Warren Goodsir, and Jill Poulston. "Automation of the fast-food industry: Gen Z perspectives of self-service kiosks versus employee service." Hospitality Insights 3, no. 2 (December 3, 2019): 7–8. http://dx.doi.org/10.24135/hi.v3i2.66.

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With the development of technology, self-service kiosks (kiosks) are increasingly being adopted by service providers such as hotels, restaurants, airports and banks [1, 2]. However, with the increasing search for more efficiency, calculability and control by replacing people with non-human technology, service quality and a sense of hospitality can be adversely impacted [3]. Nevertheless, many seem willing to use kiosks in fast-food restaurants [4], suggesting that these provide considerable value for some segments of the hospitality industry. Consequently, this study [5] explores young people’s customer experiences of and views on using kiosks in McDonald’s restaurants. The study was carried out in Auckland, New Zealand, where interviews were conducted with 16 young people (18 to 24 years old; Gen Z)1 originating from seven countries (2 Indian, 3 Chinese, 2 Korean, 2 Vietnamese, 1 Filipino, 1 Moroccan and 5 New Zealanders). The findings suggest that kiosks provide improved customer satisfaction but can also result in reduced perceptions of hospitableness. The respondents felt that kiosks improved efficiency by eliminating the need to queue to place an order and provided more relaxed time for making their menu selections. Therefore, although using a kiosk did not necessarily speed up the service process, it allowed time for contemplation of choices and less time waiting to be served. The kiosks also provided clear food categories with pictures, simple English language instructions, and generally simple ordering and payment processes. Compared with the amount of information provided at the service counter, the kiosks provided more detailed and clearer information about menus, ingredients, discounts and promotions. Furthermore, when using kiosks, respondents felt a sense of empowerment and control over their ordering process. Kiosks provided the ability to customise meals, discuss menu choices and change orders without feeling as if they were annoying an employee or holding up other customers. This sense of empowerment and control provided relief from the pressure to place quick orders at the service counter or delay other customers. Many respondents were afraid of annoying employees or becoming an annoying customer in public. They cared about the perception of counter staff, while at the same time, they also cared about their personal image in public. The fast-paced restaurant environment and the need to be decisive with their menu selection added to the pressure and stress when purchasing takeaways. Additionally, those who spoke English as a second language faced increased stress while trying to select the right words and communicate with employees in front of others. These pressures increased their fear of public humiliation. Many respondents indicated there was no pressure when using kiosks as the kiosks offered more time and a judgment-free environment for customers. The number of kiosks available and the freedom from employee and other customer expectations had a significant impact on them by releasing them from any pressure to make a quick decision. Reduced pressure also brought enough time for discussion of food choices among friends. Using the self-order kiosk provided respondents with a judgment-free environment away from other customers and busy employees. The time-space provided by kiosks also provided respondents with a sense of safety and privacy in situations where, for example, they were upset or not confident speaking in English. Their emotions (e.g. happy, sad), skills (e.g. level of English language), appearance (e.g. lack of makeup) and eating habits (e.g. food allergy) were kept confidential in comparison to ordering in public at the counter. However, the findings also suggested that the appeal of kiosks is somewhat determined by the lack of useful and caring alternatives. This may suggest that the issue is not whether kiosks are able to do a better job than humans, but rather whether humans (service employees) are sufficiently resourced (e.g. capability and capacity) to provide both efficient and caring interactions. The original research on which this article is based is available here http://hdl.handle.net/10292/11993 Note The Merriam-Webster dictionary defines ‘Generation Z’ as the generation of people born in the late 1990s and early 2000s. Corresponding author Qi Yang can be contacted at: kikiyangaut@gmail.com References (1) Considine, E.; Cormican, K. Self-Service Technology Adoption: An Analysis of Customer to Technology Interactions. Procedia Computer Science 2016, 100 (Suppl. C), 103–109. https://doi.org/10.1016/j.procs.2016.09.129 (2) Wei, W.; Torres, E.; Hua, N. Improving Consumer Commitment through the Integration of Self-Service Technologies: A Transcendent Consumer Experience Perspective. International Journal of Hospitality Management 2016, 59 (Suppl. C), 105–115. https://doi.org/10.1016/j.ijhm.2016.09.004 (3) Ritzer, G. The McDonaldization of Society, 6th ed.; Sage/Pine Forge: Los Angeles, CA, 2011. (4) Herne, S.; Adams, J.; Atkinson, D.; Dash, P.; Jessel, J. Technology, Learning Communities and Young People: The Future Something Project. International Journal of Art & Design Education 2013, 32 (1), 68–82. https://doi.org/10.1111/j.1476-8070.2013.01738.x (5) Yang, Q. Young People’s Perspectives on Self-service Technology and Hospitality: A Mcdonald’s Case Study; Master’s Thesis, Auckland University of Technology, New Zealand, 2018. http://hdl.handle.net/10292/11993 (accessed Nov 25, 2019).
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Lyan, Tszitao. "The image of Andrea from the opera “Andrea Chenier” by U. Giordano: the history of vocal interpretations." Problems of Interaction Between Arts, Pedagogy and the Theory and Practice of Education 50, no. 50 (October 3, 2018): 29–42. http://dx.doi.org/10.34064/khnum1-50.03.

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Formulation of the problem. U. Giordano is a bright representative of the late romantic tradition of the Italian opera of the turn of the 19th-20th centuries. Among the brightest stage versions of his most famous opera “Andrea Chenier”, within this study we have selected a number of the key implementations of Andrea Chenier’s part, which show the constant and mobile signs of the interpretation of this famous opera image. The purpose of the study is to identify the features of interpreting the image of Andrea Chenier from the opera of the same name by the performers of various schools in the aspect of the interaction of historical traditions and modern tendencies from viewpoint of comparative interpretation science. Analysis of recent publications on the topic of the article. The Italian opera of the XIX century is the object of many fundamental researches. The monograph of O. Stakhevych [7] demonstrates a multifaceted approach to the problems of becoming and development the bel canto style; in the study by M. Cherkashina [9], the music theatre of Bellini and Donizetti is presented as an independent phenomenon of Italian operatic history in its first period. I. Drach [2] points to debatable and sometimes subjectivity of interpretation of the concept “bel canto”. The evolution of the Italian opera already at the beginning of the XX century is considered in the study of L. Kirillina [3]; reference information about the Italian opera can be found in English-language articles from Grove’s dictionary [17]. An interesting concept is the book of A. Mallach [14] – the author traces the very fast path of the Italian opera from verismo to modernism. As for U. Giordano’s creativity directly, beside the small articles of encyclopaedic character [12; 13], the publication of M. Morini [15] is the most fundamental and complete. It collected not only researches of the composer’s creativity, but also reviews by contemporaries U. Giordano, his correspondence, registers of his performances and music recordings. The study of C. Ruizzo [16] contains arguments about the components of verismo in the work of U. Giordano, in particular, analyzes the finale of the III pictures of the opera “Andre Chenier”. Regarding this opera, we will separate the mini-guide by Burton D. Fisher [11], the articles of I. Sorokina [8], G. Marquezi [5], H. W. Simon [6], C. Duault [10]. The authors discuss not only the dramatic features of this opera masterpiece, the figure of the main character, but also the influences that this opera made, for example, on “Tosca” by J. Puccini. Statement of the main content of the article. The opera “Andrea Chenier” is a sign composition of the verismo era, despite the fact that its main character is the well-known politician, French poet and journalist. After composing (1895) and the premiere (1896, Milan), the opera was staged in Genoa, Mantua, Parma, Turin, New York (1896), Kharkov, Moscow; Budapest, Buenos-Aires, Florence, Naples, Prague, Santiago (1897), Antwerp, Barcelona, Berlin, Cairo, Lisbon, Rio de Janeiro (1898); in 1907, in the production of Covent Garden, E. Caruso played the title role. The composer and librettist brought to the stage as the protagonist of opera bright, courageous and ambitious person, so it is not surprising that both separate arias and the party of Shenier still belong to the repertoire of many prominent tenors of the planet – F. Tamagno, J. Martinelli, E. Caruso, B. Gigly, G. Lauri-Volpi, A. Cortis, F. Corelli, M. Del Monaco, P. Domingo, L. Pavarotti, M. Alvarez. The opera “Andre Chenier” is a model of the golden age of verismo, and it is endowed with all the main features of this direction of Italian art. However, the protagonist, in addition to being a poet, is also a revolutionary, that is, an uneasy person, a hero, and it is the fact that deduces this work for the stylistic limits of verismo by demonstration of a strong, extraordinary character. These features are embodied in the musical characteristics of Chenier. The main thing in interpreting his famous Improvisation “Un di al’azzurro spazio” (the 1 act of the opera) by E. Caruso is the very elaboration, exact construction of the melodic line and the bright climax, that is, combination the features both a lyrical and a dramatic role specializations that E. Caruso was possessed in equal measure. B. Gigli’s singing (which we consider an example of a dramatic embodiment of the image) is characterized by the refinement of the mezzo voce and the richness, when he sings in full voice, therefore his performance of the Improvisation, in general, is more emotional (a high-profile register, a rhythmic emphasizing that gives a distinct organization the image). M. Del Monaco performs the Improvisation not so much playing by the shades of his strong voice as leading the almost continuous melodic line, which gives mostly lyrical colours to the Chenier’s image. The aria “Come un bel di Maggio” from the 4 act performed by F. Corelli is a model of the exalted lyrics, the lyrical culmination of the opera. F. Corelli performs the aria legato that is tellingly to the bel canto tradition, with a full sound, as if the sound hovers and penetrates everywhere through the skilful addition of dramatic notes (the last sounds of the upper tenor range – si, la of the first octave). P. Domingo interprets Andrea’s image as a whole more dramatically, but in a fairly wide range – from the pathetic (Act 1), the sublime, lyrical (recognition in love in the Act 2) to the tragic (monologue “Yes, I was a soldier” of the Act 3) and the dramatic (Act 4). His striking rubato, aimed at acutely emotional expression, is impressive, P. Domingo has literally speaking in the some parts of the recitatives and even the arias, and that, in conjunction with accelerando, fills the musical language by the speech expression. The interpretation by P. Domingo corresponds to Chenier’s status as a revolutionary hero. Conclusions. Composing the opera, U. Giordano counted on the Italian tenor in the main role, according to the traditions of the bel canto era (strong upper notes, wide range, and equal voice sounding in different registers). The tradition of interpreting the image of Chenier, laid by the first performer J. Borgatti, generally is preserved. The analysis of the most famous interpretations of the Chenier’s part (performed by E. Caruso, B. Gigli, M. Del Monaco, F. Corelli, P. Domingo, J. Carreras, and L. Pavarotti) demonstrated the leading role of the Italian bel canto school. This applies to the principle of canto &#232; riflesso, singing without forcing the sound, the role of breathing, which transforms into the singing sound, the predomination of the head register (la voce di testa), and the integrity of the cantilena. For instance, M. Del Monaco and F. Corelli are lyrical tenors; they sing brightly, with a shine light decoration of high notes. In the performance of B. Gigli, there is a constant movement forward; L. Pavarotti, F. Corelli, J. Carreras, being within the limits of the lyric and dramatic role specifications, transmit in music the power of deep feelings. Instead, B. Gigli and, P. Domingo especially demonstrate the power of drama in the role specification of the Italian tenor, thereby enhancing the heroic side of the image of Shenier. The prospect of further study of the topic is associated with the emergence of new interpretations of the image of A. Chenier in the 21st century, which opens up new dimensions of the science about art interpretation.
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Riedner, Rachel C., Bill Briscoe, Alexander Van der Horst, Carol Hayes, and Gary White. "Collaborating between Writing and STEM: Teaching Disciplinary Genres, Researching Disciplinary Interventions, and Engaging Science Audiences." Journal of Academic Writing 10, no. 1 (December 18, 2020): 223. http://dx.doi.org/10.18552/joaw.v10i1.581.

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Collaborating between Writing and STEM: Teaching Disciplinary Genres, Researching Disciplinary Interventions, and Engaging Science Audiences This poster describes a multi-pronged effort to build a writing curriculum in Physics and other STEM fields at the George Washington University, USA. These efforts include curricular collaboration, a research study conducted by the Physicists and Writing Scholars, and external funding initiatives. This project first began as a curricular collaboration through our Writing in the Disciplines (WID) curriculum, initiated by observations among Physics faculty that undergraduate students lack Physics specific writing skills. Writing faculty responded to this observation by introducing Physics faculty to the idea that writing can and must be taught, that the genres of Physics can be taught by Physics faculty, and that a focus on the writing process can improve student writing. Our curricular goal was to demonstrate to faculty who are unfamiliar with writing studies that writing is a means to learn in Physics (Anderson et al., 2017). The first phase of our effort was to persuade Physics faculty that writing contributes to learning in Physics; we describe a collaboration between Physics and Writing faculty that developed assignments and made curricular interventions. This collaboration built upon scholarship in writing studies that argues genre instruction develops capacities and skills for student writing (Swales, 1990; Winsor, 1996). While genre is not a new concept in Writing Studies, for many Physics faculty the idea that they can teach – and have students learn – how to write in disciplinary genres is novel. Collaboration around curricular revisions enabled Writing and Physics faculty to teach students that learning how to write in a new genre is a skill that can be practiced (Ericsson, 2006; Kellogg & Whiteford, 2009). We developed a process for students to follow when faced with types of writing common to Physics, but potentially new to them, such as the abstract (written), lab research notebook (written), article summary (oral), letter to colleague (written), cover letter and resumé (written), elevator pitch (oral), proposal (written and oral), presentation on issues of ethics and equity in STEM (oral), research presentation (oral), poster (written), poster presentation (oral), final research report (written), and Symposium presentation (oral). The collaboration thus created pedagogical exchange between faculty as well as scholarly synergy between the disciplines of Physics and Writing Studies. Physics faculty have observed that the curricular collaboration has had measurable results for students. Physics student participation in the campus research day has increased dramatically. We attribute this rise partly to the increased, explicit attention in classroom settings to how to engage with Physics genres of writing, especially abstracts and research posters. While the collaboration successfully brought together a small but solid group of Writing and Physics faculty, it also raised questions about how to persuade a broader range of Physics faculty, and other science faculty, that teaching disciplinary genres can improve student writing, and that writing is a means of learning. Given that faculty in STEM disciplines find empirical research persuasive, our next step was to undertake a collaborative research project to measure the impact of the teaching of writing in Physics. The new curricular focus on genre asked students to conceptualize themselves as scientific writers in relation to specific Physics or STEM audiences. The collaborative research therefore investigates if teaching Physics genres improves writing and enables students to conceptualize themselves as emerging scientists engaged in professional communication (Poe et al., 2010; Winsor, 1996). Our longitudinal analysis of student writing in Physics evaluates writing from three sequenced courses, the first before faculty-developed genre assignments, and then after genre assignments. We developed a rubric that evaluates general outcomes – audience, genre, structure, style – and a rubric that evaluates specialized learning outcomes – acknowledgement of past scholarship, working with models, incorporating scholarship, articulation of research questions, working with graphs, and articulation of methods. Preliminary research analysis shows that explicitly teaching Physics genres increases student’s abilities to write successfully in Physics, enabling students to understand how knowledge is communicated persuasively to audiences. Our goal with this research is to show STEM faculty through research by Physicists and Writing Studies scholars that teaching writing socializes students into the discipline of Physics, leading them to identify as professional scientists (Allie et al, 2010; Gere et al., 2019). This increase is exemplified by the large number of students volunteering to present a poster during the University wide research day, giving them experience presenting to an educated audience outside of Physics. Thus, a combination of strategies – curricular collaboration and intervention, collaborative research from within the discipline of Physics, and successful external funding – are what demonstrate to scientists that teaching genre and teaching writing are central to science education. Based on this experience, our contribution is that shared pedagogical and research collaborations, and funding, are what make the knowledge of Writing Studies persuasive to scientists. We have seen success with these efforts. At George Washington, other STEM faculty have observed successes in the Physics curriculum, and have joined efforts to bring writing more explicitly into their curriculum. This year, we began a Writing in STEM symposium that has grown to include faculty in Chemistry, Systems Engineering, Mathematics, Geography, Mechanical Engineering, and other fields. We have also seen an uptick in STEM courses in the WID curriculum. The Physics and Writing research collaboration has led to a National Science Foundation (NSF) submission on genre, and an NSF award for a study of writing and engineering judgement, being conducted by Writing faculty and Systems Engineering faculty. References Allie, S., Armien, M.N., Burgoyne, N, Case, J.M., Collier-Reed, B.I, Craig, T.S., Deacon, A, Fraser, D.M.,Geyer, Z, Jacobs, C., Jawitz, J., Kloot, B., Kotta, L., Langdon, G., le Roux, K., Marshall, D, Mogashana,D., Shaw,C., Sheridan, G., & Wolmarans, N. (2009). Learning as acquiring a discursive identity through participation in a community: improving student learning in engineering education. European Journal of Engineering Education, 34(4), 359-367. https://doi.org/10.1080/03043790902989457 Anderson, P., Anson, C. M., Fish, T., Gonyea, R. M., Marshall, M., Menefee-Libey, W Charles Paine, C., Palucki Blake, L. & Weaver, S. (2017). How writing contributes to learning: new findings from a national study and their local application. Peer Review, 19(1), 4. Ericsson, K. A. (2009). The Influence of experience and deliberate practice on the development of superior expert performance. In K. A. Ericsson, R. R. Hoffman, A. Kozbelt & A. M Williams (Eds.), The Cambridge handbook of expertise and expert performance (pp 685–705). Cambridge University Press. Gere, A. R., Limlamai, N., Wilson, E., Saylor, K., & Pugh, R. (2019). Writing and conceptual learning in science: an analysis of assignments. Written communication, 36(1), 99–135. https://doi.org/10.1177/0741088318804820 Kellogg, R., & Whiteford, A. (2009). Training advanced writing skills: the case for deliberate practice. Educational psychologist, 44(4), 250–266. https://doi.org/10.1080/00461520903213600 Poe, M., Lerner, N., & Craig, J. (2010). Learning to communicate in science and engineering: Case studies from MIT. MIT Press. Swales, J. (1990). Discourse analysis in professional contexts. Annual review of applied linguistics, 11, 103–114. Winsor, D. A.(1996) Writing like an engineer: A rhetorical education. Mahwah, NJ: Lawrence Erlbaum Associates.
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50

Demirhan, Osman. "Genotoxic Effects of Radiofrequency-Electromagnetic Fields." Journal of Toxicology and Environmental Sciences 1, no. 1 (June 19, 2021): 9–12. http://dx.doi.org/10.55124/jtes.v1i1.50.

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Abstract:
Genotoxic Effects of Radiofrequency-Electromagnetic Fields. IntroductionRadiation is energy emission in the form of electromagnetic waves emitted from the solar system and natural resources on earth. The currents produced by the elementary particles formed by the electric current create the magnetic field. Earth's surface is under the influence of the geomagnetic field emanating from the sun. However, the outer liquid also has a magnetic field created as a result of heat transfer in the core. Therefore, all living organisms on earth live under the influence of electromagnetic fields (EMF). Today, besides these natural energy resources, rapidly developing technological developments provide most of the convenience in our lives and expose people to artificial electromagnetic fields. However, man's magnetic field is also under the influence of other natural and artificial magnetic fields around him. In particular, by ionizing radiation, which carries enough energy to break down the genetic material, die cells as a result of DNA damaging, and other diseases, especially cancer, can develop as a result of tissue damage. Electromagnetic Fields in Our LivesToday, apart from natural geomagnetic fields, radiation is emitted from many technological devices. The spectrum of these fields includes many different types of radiation, from subatomic radiation such as gamma and X-rays to radio waves, depending on their wavelengths. Though, as a result of the rapid increase of technological growth, the duration and amount of exposure to EMF is also steadily increasing. On the other hand, wireless gadgets such as computers, smartphones and medical radiological devices have become a necessity for humans. Almost everyone is exposed to radiofrequency electromagnetic fields (RF-EMF) from cell phone and base station antennas or other sources. Thus, the damage caused by the radiation to the environment affects living organisms even many kilometres away unlimitedly. All organisms in the world live under the influence of these negative environmental changes and a large part of the world population is exposed to radiofrequency (RF) radiation for a long time in their daily lives. So, though we are not aware of it, our organs and tissues are constantly exposed to radiation. Therefore, radiation adversely affects human, animal and plant health and disrupts the environment and ecological balance. An example of negative effects, radiation can cause genetic changes in the body (Figure 1). Radiation is divided into ionizing and non-ionizing. Ionizing radiations cause electron loss or gain in an atom or group of atoms in the medium they pass through. Thus, positively or negatively charged ions are formed. High energy X, gamma, ultraviolet and some visible rays in the ionized region of the electromagnetic spectrum can be counted. Since gamma rays, X rays and ultraviolet rays can ionize the molecules in living things more, they can easily disrupt the chemical structure of tissues, cells and DNA molecules in living organisms. Therefore, they can be very dangerous and deadly to living things. The energy of the waves in the non-ionizing region of the electromagnetic spectrum is low and the energy levels are insufficient for the ionization of molecules. Electricity, radio and TV waves, microwaves, and infrared rays are not ionizing because they have low energy. Waves emitted from electronic devices (cell phones, computers, microwave ovens, etc.) are absorbed by the human and animal body. The amount of energy absorbed by the unit biological tissue mass per unit time is called the specific absorption rate (SAR), and its unit is W/kg. Risks of Electromagnetic Fields on Living ThingsDepending on the structure of the tissues and organs, the radiation must reach a certain threshold dose for the effect to occur. Radiation levels below the threshold dose are not effective. Depending on the structure of the tissues and organs, the radiation must reach a certain threshold dose. The effects of small doses of waves are negligible. However, the clinical effects of waves above a certain threshold may increase. High dose waves can cause cell death in tissues. Damages in the cell may increase the risk of cancer and hereditary damage after a while, and somatic effects in people exposed to radiation may cause cancer to appear years later. There is much research on the effects of RF fields. In vitro and in vivo studies on rats, plants and different tissues of humans; suggests that the RF fields are not genotoxic and the fact that harmful effect is due to the heat effect. The contradictory results on this issue have brought about discussions. Therefore, there are still concerns about the potential adverse effects of RFR on human health. A good understanding of the biological effects of RF radiation will protect against potential damages. Due to these uncertainties, with the electromagnetic field project of the World Health Organization, experimental and modelling studies on the biological effects of RF radiation have been accelerated. In 2011, the International Agency for Research on Cancer decided that RF-EMR waves could be potentially carcinogenic to humans (2). Considering that almost everyone, including young children, uses mobile phones in addition to other technological devices, the danger of electromagnetic waves has increased social interest. Genotoxic Effects of EMFIn addition to stimulating apoptosis and changes in ion channels, RF-EMF waves also have a potential effect on genetic material. The radiation absorbed by organisms causes the ionization of target molecules. In particular, biological damage may occur as a result of stimulation/ionization of atoms and disruption of molecular structures while ionizing radiation passes through tissue. As a result of ionization in the cell, electron increases and free electrons cause damage, especially in macromolecules and DNA. Free electrons move directly or indirectly. Free electrons directly affect the phosphodiester or H-bonds of DNA. As a result, the phosphodiester bonds of DNA in the cell are broken, single or double-stranded breakages and chemical toxins increase. DNA double-strand breaks are the most relevant biologic damage induced by ionizing radiation (3,4). There are no cells that are resistant to radiation. The nucleus of the cell and especially the chromosomes in dividing cells are very sensitive to radiation. One of the most important effects of radiation on the cell is to suppress cell growth. In particular, growth is impaired in cells exposed to radiation during cell division (mitosis). Consequently, cells with a high division rate are more sensitive to radiation. DNA damage in somatic cells can lead to cancer development or cell death. Cell death can occur as a result of breaking down DNA because ionizing radiation has enough energy to break down the cell's genetic material. Thus, tissues are damaged and cancer development may be triggered. DNA damage caused by radiation in cells is repaired by metabolic repair processes. If the breaks in DNA as a result of DNA damage caused by radiation in cells are not too large, they can be repaired by metabolic repair processes. Still, errors may occur during this repair. Chromosomes containing different genetic codes and information may also occur. In the cell, the released electrons interact with water molecules, indirectly causing the water to be reactively divided into two parts. Free radicals carry an electron that is not electrically shared in their orbits. Free radicals can cause genetic damage in DNA such as nucleotide changes, double and single-strand breaks. Radiation can cause chromosomes to break, stick together and rearrange. All these changes can lead to mutations or even further, the death of the cell. However, in addition to ionizing radiation, extracellular genotoxic chemicals and intracellular oxidative metabolic residues can also create stress in cells during DNA replication and cell division. Damage may occur during DNA replication under such environmental stress conditions. To date, conflicting results have been reported regarding the genotoxic effects of RF-EMF waves on genetic material. It has been reported that the energy of low EM fields is not sufficient to break the chemical bonds of DNA, but the increase in exposure time is effective on the formation of oxygen radicals and the disruptions in the DNA repair process. The absorption of microwaves can cause significant local warming in cells. For example, an increase in temperature has been observed in cells in culture media exposed to waves of high SAR levels. However, there is evidence that reactive oxygen species are formed in cells indirectly and experimentally exposed to RF-EMF waves. Free oxygen radicals can create nucleotide entries in DNA as well as bind cellular components to DNA bases (5). The frequency of polymorphisms observed in DNA repair mechanism genes in children with acute leukaemia living close to high energy lines reveals the effect of this energy on the repair process. Significant evidence has been reported that genotoxic effects occur in various cell types when exposed to RF-EMF waves (6-10). Here, it has been reported that cells exposed to RF-EMF waves (1.800 MHz, SAR 2 W/kg) cause oxidative damage in mitochondrial DNA, DNA breaks in neurons and DNA breaks in amniotic cells (6,10). Similarly, the damage has been reported in lymphocytes exposed to various RF-EMF waves (8). However, exposure to RF-EMF waves is known to cause chromosome imbalance, changes in gene expression, and gene mutations. Such deleterious genetic effects have also been reported in neurons, blood lymphocytes, sperm, red blood cells, epithelial cells, hematopoietic tissue, lung cells, and bone marrow (1,11,12). It has been found that exposure to RF-EMF radiation also increases chromosome numerical aberrations (6,13). It has also been reported that increased chromosome separation in mouse oocytes exposed to EM and increased DNA fragmentation and apoptosis in fly egg cells (14,15). However, increased DNA breaks have been reported in the blastomeres of embryos of pregnant mice exposed to a frequency of 50 Hz, and a decrease in the number of blastocysts has been reported (16). Genetic damages to sex cells can lead to persistent genetic diseases in subsequent generations. Today, X-ray devices used for medical diagnosis have become one of the largest sources of radiation. These radiological procedures used for diagnosis constitute an important part of ionizing radiation. During these processes, the human body is visibly or invisibly affected by X-rays. As a matter of fact, X-rays have effects of disrupting the structure and biochemical activities of DNA, RNA, proteins and enzymes that are vital in the organism (17). Many studies on this subject have revealed that radiation has suppressive and mutational effects on DNA synthesis. These effects can cause serious damage to the cell as well as DNA and chromosome damage. In a recent study, chromosome damage was investigated in patients with X-ray angiography and personnel working in radiological procedures (18). Our findings showed that the beams used in interventional radiological procedures caused chromosomal damage and the rate of chromosomal abnormalities (CAs) increased significantly in patients after the procedure and this damage increased with the amount of radiation dose. Therefore, the radiation dose to be given to the patient should be chosen carefully. Besides, our findings showed that the frequency of CA is significantly higher in personnel working in radiological procedures. This reveals that interventional cardiologists are exposed to high radiation exposure. For this reason, we can say that the personnel working in radiological procedures (physician, health technician and nurse) are very likely to get diseases after years because they are exposed to low doses but long-term X-rays. Therefore, both the potential risks and safety of exposure to medical radiological devices must be continuously monitored. Furthermore, the fact that chromatid and chromosome breaks are very common among structural CAs in our findings suggests that they may be the cause of malignancy. Because, there are many cancer genes, tumour suppressor genes, enzyme genes involved in DNA repair and important genes or candidate genes responsible forapoptosis on these chromosomes. All this information shows that patients are more susceptible to DNA damage and inappropriate radiological examinations should be avoided. Therefore, X-ray and other diagnostic imaging techniques should not be applied unless necessary, and physicians and patients should be more careful in this regard. It has been reported that RF-EMR waves emitted from wireless communication device mobile phones have a genotoxic effect on human and mammalian cells (6,19). In a recent study; The effects of 900 and 1800 MHz cell phone frequencies on human chromosomes were investigated in amniotic cell cultures (6). Here, it has been reported that chromosome packing delays, damage and breaks occur in amniotic cells exposed to 900 and 1800 MHz every day at 3, 6 and 12 hours for twelve days. However, it was found that the frequency of 1800 MHz caused more CAs than 900 MHz, and the amount of damage increased with increasing usage time. These results confirm that GSM-like RF-EMR causes direct genotoxic effects in human in vitro cultures and has adverse effects on human chromosomes, and these effects increase in parallel with exposure time. This shows us that the mobile phone carries a risk for human health and these genetic damages can cause cancer. Therefore, necessary precautions should be taken for these harmful effects of mobile phones. Among these measures, the periods of mobile phone use should be kept short, especially the exposure of developing children and infants to mobile phones should be prevented, and avoiding excessive use of mobile phones may be one of the precautions against cancer. However, in order to evaluate it in more detail, the effects of mobile phones with environmental mutagens and/or carcinogens should be considered in subsequent researches. ConclusionToday, in parallel with the increasing technological developments, the demand of the society for electronic devices and phones and the frequency ranges of electronic devices are constantly increasing. Waves emitted from electronic devices are absorbed by human and animal bodies. Especially, the use of phones by contact with our body and the increase in usage time affects not only adults but also young children. Therefore, there is increasing concern in society about the negative biological effects of EM waves emitted from phones and other electronic devices. Results from all studies show that RF-EMF waves may be carcinogenic due to their genotoxic effect. Because cancer is a disease that occurs as a result of genetic damage. Considering these negative and harmful effects, regulations following international standards regarding the use of electronic devices should be made and society should be made aware of the risks.References Kim JH.; Lee K.; Kim HG.; Kim KB.; Kim HR. Possible Effects of Radiofrequency Electromagnetic Field Exposure on Central Nerve System. Biomol Ther. 2019, 27(3), 265-275. Baan R.; Grosse Y.; Lauby-Secretan B.; et al. WHO International Agency for Research on Cancer Monograph Working Group. Carcinogenicity of radiofrequency electromagnetic fields. Lancet Oncol. 2011, 12, 624–626. Berrington De Gonzalez A.; Darby S. Risk of cancer from diagnostic X-rays: estimates for the UK and 14 other countries. Lancet. 2004, 363, 345-351. Löbrich M.; Jeggo PA.The impact of a negligent G2/M checkpoint on genomic instability and cancer induction. Nat Rev Cancer. 2007, 861–869. M Valko.; M Izakovic.; M Mazur.; CJ Rhodes.; J Telser. Role of oxygen radicals in DNA damage and cancer incidence. Cell. Biochem. 2004, 266, 37–56. Uslu N.; Demirhan O.; Emre M.; Seydaoğlu G. The chromosomal effects of GSM-like electromagnetic radiation exposure on human fetal cells. Biomed Res Clin Prac. 2019, 4, 1-6. Lee S.; Johnson D.; Dunbar K Dong H.; Ge X.; Kim YC.; Wing C.; Jayathilaka N.; Emmanuel N.; Zhou CQ.; Gerber HL.; Tseng CC.; Wang SM. 2.45 GHz radiofrequency fields alter gene expression in cultured human cells. FEBS Lett. 2005, 579, 4829-4836. Phillips JL.; Singh NP.; Lai, H. Electromagnetic fields and DNA damage. Pathophysiology. 2009, 16, 79-88. Ruediger HW. Genotoxic effects of radiofrequency electromagnetic fields. Pathophysiology. 2009, 16, 89-102. Xu S.; Zhou Z.; Zhang L.; Yu Z.; Zhang W.; Wang Y.; Wang X.; Li M.; Chen Y.; Chen C.; He M.; Zhang G.; Zhong M. Exposure to 1800 MHz radiofrequency radiation induces oxidative damage to mitochondrial DNA in primary cultured neurons. Brain Res. 2010, 1311, 189-196. Demsia G.; Vlastos D.; Matthopoulos DP. Effect of 910-MHz electromagnetic field on rat bone marrow. 2004, 2, 48-54. Zhao TY.; Zou SP.; Knapp PE. Exposure to cell phone radiation up-regulates apoptosis genes in primary cultures of neurons and astrocytes. Lett. 2007, 412, 34-38. Mashevich M.; Folkman D.; Kesar A.; Barbul A.; Korenstein R.; Jerby E.; Avivi L. Exposure of human peripheral blood lymphocytes to electromagnetic fields associated with cellular phones leads to chromosomal instability. Bioelectromagnetics. 2003, 24, 82-90. Panagopoulos DJ.; Chavdoula ED.; Nezis IP.; Margaritis LH. Cell death induced by GSM 900-MHz and DCS 1800-MHz mobile telephony radiation. Mutat Res. 2007, 626(1–2), 69–78. Sagioglou NE.; Manta AK.; Giannarakis IK.; Skouroliakou AS.; Margaritis LH. Apoptotic cell death during Drosophila oogenesis is differentially increased by electromagnetic radiation depending on modulation, intensity and duration of exposure. Electromagn Biol Med. 2015, 1-14. Borhani N.; Rajaei F.; Salehi Z.; Javadi A. Analysis of DNA fragmentation in mouse embryos exposed to an extremely low-frequency electromagnetic field. Electromagn Biol Med. 2011, 30(4), 246–252. Rowley R.; Phillips EN.; Schroeder AL. Effects of ionizing radiation on DNA synthesis in eukaryotic cells. Int J Radiat Biol. 1999, 75( 3), 267-283. Çetinel N.; Demirhan O.; Demirtaş M.; Çağlıyan ÇE.; Cüreoğlu A.; Uslu IN.; Sertdemir Y. The Genotoxic Effect Of Interventional Cardiac Radiologic Procedures On Human Chromosomes. Clinical Medical Reviews and Reports. 2020, 3(1), 1-10. Aitken RJ.; Bennetts LE.; Sawyer D.; Wiklendt AM.; King BV. Impact of radio frequency electromagnetic radiation on DNA integrity in the male germline. Int J Androl. 2005, 28(3), 171–179.
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