Culture

Primates adjust grooming to their social environment

image: Chimpanzees prefer grooming mothers with babies, or their friends.

Image: 
MPI f. Evolutionary Anthropology/ A. Mielke

Working together and exchanging services for the benefit of everyone involved is crucial for humans and partly responsible for our success as a species. In order to achieve a goal, we need to choose the best possible cooperation partners. Yet who qualifies as the best possible partner depends on the task at hand, the abilities of all available candidates, and on our social relationships with them. Like humans, many non-human primates live in close-knit social groups. Individuals cooperate with each other to their mutual benefit, and often by exchanging services.

Grooming interactions play a special role within this system as they are exchangeable for support during a fight, for sharing food from a hunt or other services. Different group members can offer different services as reciprocation for the grooming; for example, high-ranking individuals are more useful supporters in a fight. Since grooming time is limited individuals strive to pick the best grooming partner from all available candidates. Importantly, the success of the grooming interaction does not only depend on the individual and his or her chosen partner, but also on the audience: If the partner has a friend in the audience, the friend might interfere or the partner might leave the grooming bout early, in which case time and effort of the groomer would be wasted.

Data out of the rainforest

Primatologist Alexander Mielke and his colleagues from the Max Planck Institute for Evolutionary Anthropology have now investigated at Taï National Park, Côte d'Ivoire, which properties chimpanzees and sooty mangabeys take into account when selecting a grooming partner, and if the composition of their audience influences their decision. Within the context of the Taï Chimpanzee Project, the researchers collected data in two chimpanzee communities and one mangabey community. In contrast to previous studies, they regarded each grooming initiation as an individual's personal decision: From all possible partners with their specific properties, which one would they choose?

In order to determine the social relationships and ranks of all individuals, Mielke and his colleagues analyzed data that researchers and field assistants had collected over many years. They then assessed the impact of the reproductive state of the potential partner (whether they had a baby or were receptive females), their social relationship with the decision-maker, whether there had been aggression between the two just before the decision was made, their sex and their dominance rank.

The researchers checked for each individual whether they had friends amongst the by-standers, and they differentiated between two types of dominance rank: global (compared to all individuals in the community) and local (in comparison to those nearby). This was to test whether non-human primates change their preference for individuals fluidly based on the social environment, or whether they simply preferred certain individuals based on their rank.

Friends may interrupt grooming

"Choosing a grooming partner from among ten, fifteen possible candidates - some of them friends, high-ranking, or with babies - is a very difficult task indeed. And yet individuals from both species, chimpanzee and sooty mangabey, chose their partner flexibly", says Alexander Mielke, first author of the study. "Both mangabeys and chimpanzees actually preferred grooming mothers with babies, something we did not know was the case in chimpanzees. Both species used grooming for reconciliation, and both species groomed their friends more. Most strikingly, in both species grooming choices depended strongly on the social environment. The animals avoided grooming individuals with close friends nearby, possibly because these friends might interrupt the grooming interaction, or because their potential partner might prefer to go and groom these friends", explains Mielke. "Individuals also chose partners who were higher-ranking compared to other possible partners, independent of their overall rank in the community. This shows that both species are flexible when it comes to taking a decision, and that individuals use the information they have about all available partners. Yet they also consider the wider social circumstances, and adapt their choice to maximize their own benefit."

These results show that primates are not only aware of the ranks and social relationships of their conspecifics, but that they can judge many individuals simultaneously and flexibly select the best option. The impact of the social environment suggests that additionally, mangabeys and chimpanzees can inhibit a preferred response (e.g. grooming a high-ranking group mate) if their action would not lead to success (because this individual's friend is present), a skill often considered too difficult for non-human animals.

"The fact that we found these results in both mangabeys and chimpanzees might indicate that this impressive cognitive feat is more widespread amongst primates than previously known", concludes Mielke. "Grooming is an important part of primate cooperation and choosing the best partner in a specific situation is a vital skill. As in humans, primate social groups consist of many individuals, each with their own status, own objectives, own history. This study gives further evidence that at least mangabeys and chimpanzees are equipped with the cognitive abilities to navigate and thrive in this complex social world."

Credit: 
Max Planck Institute for Evolutionary Anthropology

Ancient bones reveal 2 whale species lost from the Mediterranean Sea

image: Aerial view of some of the fish-salting tanks (cetaria) in the ancient Roman city of Baelo Claudia, near today's Tarifa in Spain. The largest circular tank is 3 meters wide, with a 18m3 capacity. These tanks were used to process large fish, particularly tuna. This study supports the possibility that they could have also been used to process whales.

Image: 
D. Bernal-Casasola, University of Cadiz

Two thousand years ago the Mediterranean Sea was a haven for two species of whale which have since virtually disappeared from the North Atlantic, a new study analysing ancient bones suggests.

The discovery of the whale bones in the ruins of a Roman fish processing factory located at the strait of Gibraltar also hints at the possibility that the Romans may have hunted the whales.

Prior to the study, by an international team of ecologists, archaeologists and geneticists, it was assumed that the Mediterranean Sea was outside of the historical range of the right and gray whale.

Academics from the Archaeology Department at the University of York used ancient DNA analysis and collagen fingerprinting to identify the bones as belonging to the North Atlantic right whale (Eubalaena glacialis) and the Atlantic gray whale (Eschrichtius robustus).

After centuries of whaling, the right whale currently occurs as a very threatened population off eastern North America and the gray whale has completely disappeared from the North Atlantic and is now restricted to the North Pacific.

Co-author of the study Dr Camilla Speller, from the University of York, said: "These new molecular methods are opening whole new windows into past ecosystems. Whales are often neglected in Archaeological studies, because their bones are frequently too fragmented to be identifiable by their shape.

"Our study shows that these two species were once part of the Mediterranean marine ecosystem and probably used the sheltered basin as a calving ground.

"The findings contribute to the debate on whether, alongside catching large fish such as tuna, the Romans had a form of whaling industry or if perhaps the bones are evidence of opportunistic scavenging from beached whales along the coast line."

Both species of whale are migratory, and their presence east of Gibraltar is a strong indication that they previously entered the Mediterranean Sea to give birth.

The Gibraltar region was at the centre of a massive fish-processing industry during Roman times, with products exported across the entire Roman Empire. The ruins of hundreds of factories with large salting tanks can still be seen today in the region.

Lead author of the study Dr Ana Rodrigues, from the French National Centre for Scientific Research, said: "Romans did not have the necessary technology to capture the types of large whales currently found in the Mediterranean, which are high-seas species. But right and gray whales and their calves would have come very close to shore, making them tempting targets for local fishermen."

It is possible that both species could have been captured using small rowing boats and hand harpoons, methods used by medieval Basque whalers centuries later.

The knowledge that coastal whales were once present in the Mediterranean also sheds new light on ancient historical sources.

Anne Charpentier, lecturer at the University of Montpellier and co-author in the study, said: "We can finally understand a 1st-Century description by the famous Roman naturalist Pliny the Elder, of killer whales attacking whales and their new-born calves in the Cadiz bay.

"It doesn't match anything that can be seen there today, but it fits perfectly with the ecology if right and gray whales used to be present."

The study authors are now calling for historians and archaeologists to re-examine their material in the light of the knowledge that coastal whales where once part of the Mediterranean marine ecosystem.

Dr Rodriguez added: "It seems incredible that we could have lost and then forgotten two large whale species in a region as well-studied as the Mediterranean. It makes you wonder what else we have forgotten".

Forgotten Mediterranean calving grounds of gray and North Atlantic right whales: evidence from Roman archaeological records is published in the journal Proceedings of the Royal Society of London B.

The study was an international collaboration between scientists at the universities of York, Montpellier (France), Cadiz (Spain), Oviedo (Spain) and the Centre for Fishery Studies in Asturias, Spain.

Credit: 
University of York

Rising carbon dioxide levels pose a previously unrecognized threat to monarch butterflies

image: This is researcher Leslie Decker with a monarch butterfly in a University of Michigan laboratory.

Image: 
Austin Thomason/Michigan Photography

ANN ARBOR--A new study conducted at the University of Michigan reveals a previously unrecognized threat to monarch butterflies: Mounting levels of atmospheric carbon dioxide reduce the medicinal properties of milkweed plants that protect the iconic insects from disease.

Milkweed leaves contain bitter toxins that help monarchs ward off predators and parasites, and the plant is the sole food of monarch caterpillars. In a multi-year experiment at the U-M Biological Station, researchers grew four milkweed species with varying levels of those protective compounds, which are called cardenolides.

Half the plants were grown under normal carbon dioxide levels, and half of them were bathed, from dawn to dusk, in nearly twice that amount. Then the plants were fed to hundreds of monarch caterpillars.

The study showed that the most protective of the four milkweed species lost its medicinal properties when grown under elevated CO2, resulting in a steep decline in the monarch's ability to tolerate a common parasite, as well as a lifespan reduction of one week.

The study looked solely at how elevated carbon dioxide levels alter plant chemistry and how those changes, in turn, affect interactions between monarchs and their parasites. It did not examine the climate-altering effects of the heat-trapping gas emitted when fossil fuels are burned.

"We discovered a previously unrecognized, indirect mechanism by which ongoing environmental change--in this case, rising levels of atmospheric CO2--can act on disease in monarch butterflies," said Leslie Decker, first author of the study, which is scheduled for publication July 10 in the journal Ecology Letters.

"Our results emphasize that global environmental change may influence parasite-host interactions through changes in the medicinal properties of plants," said Decker, who conducted the research for her doctoral dissertation in the U-M Department of Ecology and Evolutionary Biology. She is now a postdoctoral researcher at Stanford University.

U-M ecologist Mark Hunter, Decker's dissertation adviser and co-author of the Ecology Letters paper, said findings of the monarch study have broad implications. Many animals, including humans, use chemicals in the environment to help them control parasites and diseases. Aspirin, digitalis, Taxol and many other drugs originally came from plants.

"If elevated carbon dioxide reduces the concentration of medicines in plants that monarchs use, it could be changing the concentration of drugs for all animals that self-medicate, including humans," said Hunter, who has studied monarchs at the U-M Biological Station, at the northern tip of Michigan's Lower Peninsula, for more than a decade.

"When we play Russian roulette with the concentration of atmospheric gases, we are playing Russian roulette with our ability to find new medicines in nature," he said.

Earlier work in Hunter's lab had shown that some species of milkweed produce lower cardenolide levels when grown under elevated carbon dioxide. That finding caught the attention of Decker, who with Hunter designed a follow-up study to look at the potential impact of rising CO2 on the disease susceptibility of monarchs in the future.

They created an experimental system that allowed them to manipulate and measure all the key links in the chain: carbon dioxide levels, toxin concentrations in milkweed leaves, infection by parasites, and monarch susceptibility to those parasites. The fieldwork was conducted in 2014 and 2015.

Inside 40 growth chambers on a hilltop at the Biological Station, they exposed milkweed plants to two different carbon dioxide levels. Twenty chambers were maintained at current global CO2 concentrations of around 400 parts per million, and 20 chambers received 760 ppm of CO2, a level that could be reached well before the end of the century if the burning of fossil fuels continues unabated.

The four milkweed species differed in their levels of protective cardenolide compounds. The most protective species was Asclepias curassavica, commonly known as tropical milkweed. The chamber-raised plants were fed to monarch caterpillars, and each caterpillar got a steady diet of a single milkweed species with known carbon dioxide exposure.

Three-day-old caterpillars were also infected with carefully controlled doses of a common monarch parasite that is distantly related to the malaria pathogen. Ophryocystis elektroscirrha is a protozoan that shortens adult monarch lifespan, impedes its ability to fly and reduces the number of offspring it produces.

Over about two weeks' time, the infected caterpillars grew to a length of about 2 inches, with striking yellow, white and black bands. Then they pupated inside a hard-shelled chrysalis for about 10 days before emerging as orange-and-black butterflies.

At their Biological Station lab, Decker and Hunter raised hundreds of adult monarchs. The lifespan of each individual--in Michigan, monarch butterflies typically live for about a month--was recorded, and the number of parasitic spores on each carcass was counted.

Piecing together all this data, the researchers were able to determine how changes in atmospheric carbon dioxide levels altered toxin concentrations in the four milkweed species and, in turn, how exposure to those plants affected the monarch's lifespan and disease susceptibility.

The largest declines in parasite tolerance and butterfly lifespan occurred in monarchs that fed on A. curassavica, a milkweed species in which cardenolide production declined by nearly 25 percent when grown under elevated CO2.

In caterpillars that fed on A. curassavica milkweed grown under elevated CO2, tolerance to the parasite declined by a whopping 77 percent when compared to caterpillars that fed on A. curassavica grown under ambient-level CO2.

Monarchs that fed on A. curassavica grown under elevated CO2 suffered a reduction in lifespan of seven days due to parasitic infection. Parasites reduced mean lifespan by only two days for monarchs that ate A. curassavica grown under ambient CO2 levels.

"We've been able to show that a medicinal milkweed species loses its protective abilities under elevated carbon dioxide," Decker said. "Our results suggest that rising CO2 will reduce the tolerance of monarch butterflies to their common parasite and will increase parasite virulence."

In recent years, monarch populations have been declining rapidly. Most discussions of the monarch butterfly's plight focus on habitat loss: logging of trees in the Mexican forest where monarchs spend the winter, as well as the loss of wild milkweed plants that sustain them during their annual migration across North America.

"Habitat loss, problems during migration and climate change all contribute to monarch declines," Hunter said. "Unfortunately, our results add to that list and suggest that parasite-infected monarchs will become steadily sicker if atmospheric concentrations of CO2 continue to rise."

Credit: 
University of Michigan

Biochemists discover cause of genome editing failures with hyped CRISPR system

image: UIC researchers show persistent Cas9 binding to a double strand break causes CRISPR genome editing to fail about 15 percent of the time. When RNA polymerases collide with Cas9 from one direction (template orientation), they can dislodge Cas9 and increase genome editing efficiency.

Image: 
Ryan Clarke, et al

Researchers from the University of Illinois at Chicago are the first to describe why CRISPR gene editing sometimes fails to work, and how the process can be made to be much more efficient.

CRISPR is a gene-editing tool that allows scientists to cut out unwanted genes or genetic material from DNA, and sometimes add a desired sequence or genes. CRISPR uses an enzyme called Cas9 that acts like scissors to cut out unwanted DNA. Once cuts are made on either side of the DNA to be removed, the cell either initiates repair to glue the two ends of the DNA strand back together, or the cell dies.

In a study published in the journal Molecular Cell, the researchers showed that when gene editing using CRISPR fails, which occurs about 15 percent of the time, it is often due to persistent binding of the Cas9 protein to the DNA at the cut site, which blocks the DNA repair enzymes from accessing the cut.

Senior author Bradley Merrill, associate professor of biochemistry and molecular genetics in the UIC College of Medicine, says that before now, researchers did not know why the process randomly failed.

"We found that at sites where Cas9 was a 'dud' it stayed bound to the DNA strand and prevented the cell from initiating the repair process," Merrill said. The stuck Cas9 is also unable to go on to make additional cuts in DNA, thus limiting the efficiency of CRISPR, he said.

Merrill, UIC graduate student Ryan Clarke, and their colleagues also found that Cas9 was likely to be ineffective at sites in the genome where RNA polymerases -- enzymes involved in gene activity -- were not active. Further investigation revealed that guiding Cas9 to anneal to just one of the strands making up the DNA double helix promoted interaction between Cas9 and the RNA polymerase, helping to transform a "dud" Cas9 into an efficient genome editor.

Specifically, they found that consistent strand selection for Cas9 during genome editing forced the RNA polymerases to collide with Cas9 in such a way that Cas9 was knocked off the DNA.

"I was shocked that simply choosing one DNA strand over the other had such a powerful effect on genome editing," said Clarke, the lead author of the paper. "Uncovering the mechanism behind this phenomenon helps us better understand how Cas9 interactions with the genome can cause some editing attempts to fail and that, when designing a genome editing experiment, we can use that understanding to our benefit."

"This new understanding is important for those of us who need genome editing to work well in the lab and for making genome editing more efficient and safer in future clinical uses," Merrill said.

The study findings are also significant because, in the genome editing process, the interaction between Cas9 and the DNA strand is now known to be the "rate-limiting step," said Merrill. This means that it is the slowest part of the process; therefore, changes at this stage have the most potential to impact the overall duration of genome editing.

"If we can reduce the time that Cas9 interacts with the DNA strand, which we now know how to do with an RNA polymerase, we can use less of the enzyme and limit exposure," Merrill said. "This means we have more potential to limit adverse effects or side effects, which is vital for future therapies that may impact human patients."

Credit: 
University of Illinois Chicago

Study unveils components of successful key account management

Dynamic capabilities play a key role in successful key account management, according to a new study by researchers from the University of Eastern Finland, Cranfield University and the University of Portsmouth. The study found that in key account management, companies should invest in market sensing, opportunity creation, continuous improvement of processes and value propositions, as well as capabilities for radical change. The findings were reported in Industrial Marketing Management.

The study developed a framework for key account management, identifying the resources and capabilities needed by companies to gain sustained competitive advantages and profitability.

"We feel that it is vital for companies to develop their key account management schemes, staff and processes with dynamic capabilities in mind, as this can make them stand out from competition and create sustained profitability," says Professor of International Business Mika Gabrielsson from the University of Eastern Finland, one of the study authors.

The study focused on key account management, which is a key aspect of sales management, and a facilitator of increased business profitability. An extensive literature review combined with the authors' consultancy experience served as the foundation for identifying the resources and capabilities that play a key role when striving for sustained competitive advantages and profitability. The study paves way for a new line of research, as the resource-based theory has not been applied to key account management before.

Credit: 
University of Eastern Finland

Mapping the genetic controllers in heart disease

Researchers have developed a 3D map of the gene interactions that play a key role in cardiovascular disease, a study in eLife reports.

The map will help researchers identify the most important genes to focus on for the development of new treatments for heart attacks, heart failure and heart rhythm disorders.

More than 500 genetic variants have been linked with increased risk of cardiovascular disease. But most are located in so-called 'non-coding' parts of the genome, which means they don't code for a particular protein molecule. This makes it challenging for researchers to understand the importance of these genetic variants because, until now, there has been no way to study their function.

"The strongest genetic signatures associated with complex human diseases, including many cardiovascular diseases, are actually located outside of genes, scattered throughout the vast 98% of the genome that is 'non-coding,'" explains lead author Lindsey Montefiori, Graduate Student at the University of Chicago, US. "What we think is happening is that these mutations affect the function of the 'switches' of genes, called enhancers, which determine where, when and to what level each gene should be turned on."

These enhancers can be located anywhere in the genome and are often a considerable distance from the genes they control. But because DNA forms loops inside cells, the enhancers can physically connect with the genes they control and fine-tune their activity.

It has recently become possible to map these enhancers to their target genes using a technique called high-resolution promoter capture, which uses the enhancer region as 'bait' to catch its target gene. The team added an extra step to this, so that they only 'captured' a region of the genome that contains coding genes. This enabled them to map each mutation to its target gene in human heart cells and examine the precise wiring of all the potential enhancers controlling each gene.

They looked at more than 10,000 genetic mutations that have been linked to cardiovascular diseases and found that 1,999 of them make physical contact with 347 target genes in heart cells. When they studied the genes further, they found that these were well known for their roles in cardiac function.

Because the three diseases analysed involve different processes, the team next studied the interactions between enhancers with genes in other cell types which may be involved in cardiovascular disease. Here they found that mutations linked to heart attacks captured a target gene involved in cholesterol regulation, and mutations in heart failure pulled out a gene known to be important in coronary artery disease.

"Incomplete understanding of long-range gene regulation is a major roadblock in translating genetic variants into understanding of disease biology," says senior author Marcelo Nóbrega, Professor of Human Genetics at the University of Chicago. "Our 3D map of enhancer-gene interactions in human heart cells will help guide investigators to the most likely causal genes underlying increased cardiovascular disease risk, and could lead to new treatment and prevention strategies."

Credit: 
eLife

What is the role of the physician when a patient discloses intimate partner violence perpetration?

(Boston)--Intimate partner violence (IPV) is prevalent and has lasting impacts on the health and well-being of the entire family involved. Unfortunately, very little research and guidance about how to address perpetration of IPV in the health care setting, especially among primary care physicians who are in a role to potentially intervene has been available until now.

Researchers from Boston University School of Medicine (BUSM) reviewed the existing literature related to physicians' interactions with male perpetrators of IPV and summarized the recommendations including assessing for lethality, readiness to change and comorbid medical conditions that could impact treatment, such as substance abuse and mental illness.

"Experts agree that referrals to a Batterer Intervention Program should be the primary intervention. If there are none locally available or the patient is unwilling to go, then a physician should refer the abuser to a therapist who has been trained specifically to work with perpetrators of IPV," explained corresponding author Brian Penti, MD, assistant professor of family medicine at BUSM. "In addition, physicians should be prepared to offer education about the negative impact of IPV on the victim, on any children and on the abuser himself," added Penti, a family medicine physician at Boston Medical Center.

According to Penti, physicians should address any untreated substance abuse or mental health issues. Referral to couples' therapy should generally be avoided. Physicians should continue to have regular follow-up with their male patients to support them in changing their behavior.

The researchers believe further research is needed to assess the role the health care system can have in preventing IPV perpetration.

These findings appear in the Journal of American Board of Family Medicine.

Credit: 
Boston University School of Medicine

New 'scaly' snails species group following striking discoveries from Malaysian Borneo

video: Collecting minute land snails from limestone areas during the study in Malaysian Borneo.

Image: 
Siti Khadijah Reduan

Six new species of unique land snails whose shells are covered with what look like scales have been described from the biodiversity hotspot of Malaysian Borneo by scientists Mohd Zacaery Khalik, Universiti Malaysia Sarawak, Kasper Hendriks, University of Groningen, Jaap Vermeulen, JK Art & Science, and Prof Menno Schilthuizen, Naturalis Biodiversity Center. Their paper is published in the open access journal ZooKeys.

Thanks to their conspicuous structures, the mollusks have been added to a brand new species group of land snails to be commonly known as the 'scaly' snails, so that they can be set apart from the rest in the genus Georissa. Why it is that only some of the species in the genus sport the unique 'scales', remains unknown.

Fascinated with the minute 'scaly' snail fauna of Borneo, the researchers carried out fieldwork between 2015 and 2017 to find out how these curious shells evolved. In addition, they also examined material deposited in museum and private snail collections.

Apart from DNA data, which is nowadays commonly used in species identification, the team turned to yet-to-become-popular modern tools such as 3D modelling, conducted through X-ray scanning. By doing so, the researchers managed to look at both the inner and outer surfaces of the shells of the tiny specimens from every angle and position, and examine them in great detail.

The researchers note that to identify the 'scaly' snails to species level, one needs a combination of both DNA and morphological data:

"Objective species delimitation based solely on molecular data will not be successful for the 'scaly' snails in Georissa, at least if one wishes for the taxonomy to reflect morphology as well."

The six new species are all named after the localities they have been originally collected from, in order to create awareness for species and habitat conservation.

Credit: 
Pensoft Publishers

Immunity could be key to addressing coral crisis

image: This is bleached Acropora coral on the Great Barrier Reef.

Image: 
Caroline Palmer/University of Plymouth

Coral reefs support a quarter of all marine life, feed hundreds of millions of people and contribute vastly to the global economy. But they are dying in mass bleaching events, as climate change warms our oceans and breaks down vital relationships between corals and energy-providing algae.

A new commentary, published in Communications Biology from Nature Research, provides hope that a shift in research focus towards coral immunity will support reef conservation and restoration efforts.

Dr Caroline Palmer, Visiting Research Fellow at the University of Plymouth, has spent more than a decade examining coral health from an immunological perspective.

In particular, she has identified coral immune mechanisms and sought to understand what enables some corals to survive while others die. This led Dr Palmer to discover that corals with higher immune defences are less likely to become diseased or to bleach.

In her latest work, she expands on this observation, drawing on a theory from insects that explains how corals might coexist with specific microorganisms, as a 'holobiont', while resisting infection or other disturbances.

Dr Palmer also presents a model of coral susceptibility, whereby investing in immunity enables coral, with its microorganisms, to tolerate more damage before initiating an immune response. This model describes how coral tolerance may vary among corals indicating their susceptibility to disturbances, such as bleaching events.

"There is no question that climate change is devastating coral reef systems. But if we are to conserve or restore them, we need to understand coral health - what drives tolerance and how can we promote it," Dr Palmer says. "If you have a strong immune system, and the energy to support it, you are more likely to be healthy and to survive adverse conditions."

Dr Palmer first started examining the immune systems of reef-building corals more than a decade ago, and her PhD was the first research to look at the subject in depth. But she says that coral immunity remains an under-studied area of research.

Coral bleaching, on the other hand, has been a research focus for decades, though is often considered distinct from immunity - Dr Palmer, however, suggests it is a component of coral holobiont immunity.

Dr Palmer also proposes an immunological model by which corals may increase their tolerance to adverse conditions - suggesting a way coral may adapt to new, more extreme, conditions.

Dr Palmer, who is currently Lead Scientist on the Seeking Survivors project examining coral health in Costa Rica, added: "Coral biologists are racing to conserve coral reefs before it's too late. There is currently a lot of interest in creating more tolerant corals through genetic engineering and of restoring reefs by targeting more resilient corals. I fully support these approaches, but believe understanding what drives coral health will be key to their success."

Credit: 
University of Plymouth

New pediatric asthma yardstick has treatment guidance for children of every age

ARLINGTON HEIGHTS, IL (July 9, 2018) - Although about 10 percent of school-aged children in the United States have asthma, there are few comprehensive U.S. guidelines for treating pediatric asthma. The Pediatric Asthma Yardstick, a new guideline from the American College of Allergy, Asthma and Immunology (ACAAI), offers a user-friendly "operational document". It helps health care professionals understand which controller treatments are right for which age groups and identifies when a step up is needed.

"There is nothing like the Pediatric Asthma Yardstick in the current literature," says allergist Bradley Chipps, MD, ACAAI president and lead author of the paper. "We created the yardstick because there are many options for treating pediatric asthma. It's a roadmap for how to move forward with kids whose asthma is not under control. The yardstick describes controller treatments at different levels of severity for all ages, the choices available for parents for their child and how to step up therapy."

The diagnosis and management of asthma in children differs from that in adults. Differences also exist between the three age groups addressed in the yardstick - adolescents, 12-18 years old; school-age children, 6-11 years old; infants and young children, 5 years old and under.

"Differences in diagnosis and management of asthma in children reflect differences in development of their respiratory systems, particularly for younger children," says Leonard Bacharier, MD, co-author of the yardstick. "Other factors include challenges related to daily activities and emotional and social concerns, particularly for adolescents. Comorbid conditions and non-adherence with treatment (eg; due to the stigma of having a chronic condition and taking medicine) can affect outcomes for older children."

Although asthma often begins in early childhood, diagnosing asthma in the very young child is challenging because it is based largely on symptoms and is not easily confirmed by objective testing, such as lung function. Additionally, symptoms, notably wheezing and coughing, often are related to, or occur with, common viral infections. Pediatric data for medicines are limited and robust clinical studies attesting to efficacy and safety of asthma medications are few.

"The Pediatric Asthma Yardstick is a practical resource for identifying children with uncontrolled asthma who need a step-up in controller medicine," says Dr Chipps. "It describes how to start and/or adjust controller therapy based on the options that are currently available for children, from infants to 18 years of age. The recommendations are presented around patient profiles, by severity and age, and are based on current best practice strategies according to the most recent data and the authors' clinical experience."

Credit: 
American College of Allergy, Asthma, and Immunology

ANU scientists discover the world's oldest colors

image: Biogeochemistry Lab Manager Janet Hope from the ANU Research School of Earth Sciences holds a vial of pink colored porphyrins representing the oldest intact pigments in the world.

Image: 
The Australian National University

Scientists from The Australian National University (ANU) and overseas have discovered the oldest colours in the geological record, 1.1 billion-year-old bright pink pigments extracted from rocks deep beneath the Sahara desert in Africa.

Dr Nur Gueneli from ANU said the pigments taken from marine black shales of the Taoudeni Basin in Mauritania, West Africa, were more than half a billion years older than previous pigment discoveries. Dr Gueneli discovered the molecules as part of her PhD studies.

"The bright pink pigments are the molecular fossils of chlorophyll that were produced by ancient photosynthetic organisms inhabiting an ancient ocean that has long since vanished," said Dr Gueneli from the ANU Research School of Earth Sciences.

The fossils range from blood red to deep purple in their concentrated form, and bright pink when diluted.

ANU led the research with support from Geoscience Australia and researchers in the United States and Japan.

The researchers crushed the billion-year-old rocks to powder, before extracting and analysing molecules of ancient organisms from them.

"The precise analysis of the ancient pigments confirmed that tiny cyanobacteria dominated the base of the food chain in the oceans a billion years ago, which helps to explain why animals did not exist at the time," Dr Gueneli said.

Senior lead researcher Associate Professor Jochen Brocks from ANU said that the emergence of large, active organisms was likely to have been restrained by a limited supply of larger food particles, such as algae.

"Algae, although still microscopic, are a thousand times larger in volume than cyanobacteria, and are a much richer food source," said

Dr Brocks from the ANU Research School of Earth Sciences.

"The cyanobacterial oceans started to vanish about 650 million years ago, when algae began to rapidly spread to provide the burst of energy needed for the evolution of complex ecosystems, where large animals, including humans, could thrive on Earth."

The research is published in PNAS.

Credit: 
Australian National University

Using hepatitis C-infected donor kidneys could reduce time on dialysis for transplant patients with HCV

image: Mark Eckman, MD, is shown in the University of Cincinnati College of Medicine.

Image: 
University of Cincinnati College of Medicine

CINCINNATI--Transplanting hepatitis C (HCV)-infected dialysis patients with organs from HCV-positive donors and then treating the infection after transplantation is more effective, costs less and will shorten wait times for donated organs, according to a computer analysis conducted by physician-researchers at the University of Cincinnati (UC) College of Medicine.

The findings are available online in the Annals of Internal Medicine. The study's lead author is Mark Eckman, MD, professor and director of the UC Division of General Internal Medicine.

The model predicts that transplantation with an HCV-infected kidney followed by HCV treatment was more effective and less costly than treating HCV before transplantation, largely because of the longer wait times for HCV-uninfected kidneys, explains Eckman. A typical 57.8 year-old patient receiving hemodialysis would gain an average of six months of additional quality adjusted life years at a lifetime cost savings of $41,591, says Eckman.

A patient receiving a non-infected kidney waits on average more than two years for that organ, while the wait for an HCV-infected kidney is about eight months, says Eckman, a UC Health physician. Also, 15 percent of patients undergoing dialysis for end-stage renal disease are infected with HCV.

"There is a high excess mortality risk for patients receiving hemodialysis and it is associated with a decreased quality of life for some patients," says Eckman. "If you can spend less time on dialysis, you will be better off. The annual cost of hemodialysis is more than $90,000."

In the United States, an estimated 110,000 patients start dialysis each year. Of the approximately 500,000 patients who received dialysis for end stage renal disease in 2016, only 3.8 percent or 19,060 received kidney transplants, says Eckman.

The computerized decision analytic model pulled data from a variety of sources including the United States Renal Data System (USRDS), medical literature and clinical trials. The model looks at several factors such as sex, age, the degree of liver damage from chronic HCV infection, and treatment costs to predict outcomes that may occur over the lifetime of a patient cohort for each of the clinical strategies studied, explains Eckman.

"While people are waiting for a kidney, there is a risk of dying on hemodialysis, with a mortality rate of approximately 7.5 percent per year," says Eckman. "If you wait a shorter time to get a kidney transplant by accepting an HCV-infected kidney, you can avoid a year-and-a-half or more of time on a waiting list.

"Once you have a transplant, the annual mortality rate is roughly 2 percent per year instead of about 7.5 percent per year. The shorter the period of time waiting for a kidney on dialysis, the better your outcomes will be."

Eckman says the computer model is needed because there are no large clinical trials yet that have addressed this question.

"This isn't something we would have asked or thought about even a year ago," says Eckman. "Now, we have very effective HCV treatments that we didn't have two or three years ago. Some of these new medications can be used in patients on dialysis. The new drugs have much fewer side effects, and the treatment course is a lot shorter. The treatment of HCV has advanced dramatically."

Several clinical trials have shown HCV cure rates as high as 98 percent with the new drugs, says Eckman.

"Secondly, a year ago we didn't have drugs to treat HCV that could be used in patients with end stage renal disease," says Eckman. "While treatment of HCV is very expensive, this cost balances out in our analysis as patients in both strategies are getting treated for HCV."

There are tradeoffs between the two strategies. Patients who get a non-infected HCV kidney have a lower risk of dying from liver disease because HCV is treated earlier, before kidney transplantation, says Eckman. But HCV-infected patients who receive an HCV-infected kidney are able to get off of dialysis sooner and have a lower risk of dying from end stage kidney disease.

"It is better to wait less time for a kidney by getting an HCV-infected kidney followed by treatment after transplantation," says Eckman.

He adds that the supply of HCV-infected kidneys has increased due to the unfortunate deaths of otherwise generally healthy young individuals who suffer opioid overdoses.

"What we hope is that this study will have some impact on policy," says Eckman.

Credit: 
University of Cincinnati

Physician burnout in small practices is dramatically lower than national average

image: Physicians who work in small, independent primary care practices in NYC report dramatically lower levels of burnout than the national average (13.5 percent versus 54.4 percent)

Image: 
Department of Population Health, NYU Langone Health

Physicians who work in small, independent primary care practices--also known as SIPs--report dramatically lower levels of burnout than the national average (13.5 percent versus 54.4 percent), according to a study led by researchers at NYU School of Medicine publishing online July 9 in the Journal of the American Board of Family Medicine. The findings indicate that the independence and sense of autonomy that providers have in these small practices may provide some protection against symptoms of burnout.

Physician burnout is a major concern for the healthcare industry. It is associated with low job satisfaction, reduced productivity among physicians, and may negatively impact quality of care. Multiple national surveys suggest that more than half of all physicians report symptoms of burnout.

Research on physician burnout has focused primarily on hospital settings or large primary care practices. The researchers say that this is the first study that examines the prevalence of burnout among physicians in small independent primary practices--practices with five or fewer physicians.

Researchers examined data collected from 235 physicians practicing in 174 SIPs in New York City. The rate of provider reported burnout was 13.5 percent, compared to the 2014 national rate of 54.4 percent. A 2013 meta-analysis of physician surveys conducted in the United States and Europe found that lower burnout rates were associated with greater perceived autonomy, a quality and safety culture at work, effective coping skills, and less work-life conflict.

"Burnout is about the practice culture and infrastructure in which primary care doctors work. So the obvious question is: what is it about the work environment that results in low burnout rates in small practices?" said Donna Shelley, MD, professor of Population Health and Medicine at NYU School of Medicine, and the study's senior author. "It's important to study the group that's NOT showing high burnout to help us create environments that foster lower burnout rates. The good news is that a culture and systems can be changed to support primary care doctors in a way that would reduce the factors that are leading to burnout."

How the Study Was Conducted

Researchers analyzed data as part of the HealthyHearts NYC (HHNYC) trial, which is funded by the Agency for Healthcare Research and Quality's (AHRQ) EvidenceNOW national initiative. AHRQ is a division of the U.S. Department of Health and Human Services. The HHNYC trial evaluates how practice coaching or facilitation helps SIPs adopt clinical guidelines for the treatment and prevention of cardiovascular disease.

Each physician answered a multiple choice question with response options indicating various levels of burnout. Options ranged from no symptoms of burnout, to feeling completely burned out and questioning whether or not to continue practicing medicine. The question was validated against the Maslach Burnout Inventory, a nationally recognized measure that identifies occupational burnout. Physician respondents were categorized as burned out if they checked one of the last three options in the multiple choice question.

As part of the HHNYC trial, physician respondents were also asked a number of questions about the culture of their practices. The tool used specifically measures "adaptive reserve," or a culture where individuals have opportunities for growth, and the ability to learn from mistakes by talking and listening to each. Physicians that described this kind of culture in their practice reported lower levels of burnout. According to Dr. Shelley, practices where employees feel that they are included in decisions and have control over their work environment are referred to as having 'high adaptive reserve."

Dr. Shelley is careful not to minimize the challenges that physicians working in solo practices or SIPs face. She cites that even though burnout rates are lower, many of these practices are struggling financially, and many of these physicians are on call all of the time.

"The more we can understand what drives low rates of burnout, the more likely it is that we'll find solutions to this problem," said Dr. Shelley. "The hope is that our research can inform ways for larger systems to foster autonomy within practices so that there is space to carve out a work environment that is aligned with doctors' needs, values and competencies."

Dr. Shelley lists a number of the study's limitations. Since the findings are representative of physicians working in small practices in New York City, the study does not capture burnout rates in other cities across the country. It is also possible that the researchers underestimated the number of hours worked by physicians, since hours worked is associated with burnout. Shelley also cited the lack of data linking physician burnout to patient outcomes.

Credit: 
NYU Langone Health / NYU Grossman School of Medicine

Flavors are key to smokers switching to vaping -- US study

image: These are blu e-vapor flavors.

Image: 
Fontem Ventures

New peer-reviewed research published today in the Harm Reduction Journal shows that flavours play a critical role in attracting - and retaining - smokers into the vaping category, directly contributing to tobacco harm reduction.

"The results show that non-tobacco flavours, especially fruit based flavours, are being increasingly preferred to tobacco flavours by adult vapers who have completely switched from combustible cigarettes to vapour products," said Dr Christopher Russell, Deputy Director of CSUR, who led the research.

The survey, one of the largest of its kind to focus on flavours, conducted by the Centre for Substance Use Research (CSUR) and funded by Fontem Ventures, assessed the first flavour and current e-vapour product flavour used by over 20,000 adult frequent vapers in the United States. The majority of frequent e-vapour product users, who had completely switched from smoking cigarettes to using vaping products, are shown to have increasingly likely initiated vaping with non-tobacco flavours, and to have transitioned from tobacco to non-tobacco flavours over time.

Of the 20,836 adult frequent e-vapour product users in the survey, nearly 16,000 had completely switched to from smoking to vaping, while 5,000 were dual users who were smoking and using e-vapour products.

In the study the most popular currently used e-vapour flavours in the US were fruit/fruit beverage, where up to 82.9% of sampled users reporting regular purchase and use of vape liquids in this category, with dessert/pastry flavours next at 68.5%. Tobacco and menthol flavours ranked as the 5th and 6th most popular currently used flavours, respectively. "The data suggest that U.S. vapers' journeys towards quitting smoking are increasingly likely to start with, progress to, or be sustained by frequent use of vaping devices containing non-tobacco flavours", said Dr Russell.

Commenting on the new research, Dr Grant O'Connell, Corporate Affairs Manager at Fontem Ventures said "The declining popularity of tobacco flavours among adult vapers strongly suggests that flavour bans like the one recently passed in San Francisco*, could see vapers return to cigarette smoking and discourage other adult smokers from switching."

The study also looked at the flavour first time users typically used when starting to vape. The proportion of first vaping product purchases that were fruit-flavoured increased from 17.8% of first purchases made before 2011, to 33.5% first purchases made between June 2015 and June 2016. Tobacco-flavoured first purchases almost halved during this time from 46.0% pre-2011, to 24.0% between 2015-2016.

Credit: 
Fontem Ventures

Surgery offers young patients long-term benefits after meniscus tears

SAN DIEGO, CA - Young patients who underwent surgery for isolated meniscus tears between 1990 and 2005 showed positive long-term clinical results, according to new research presented today at the American Orthopaedic Society for Sports Medicine's Annual Meeting in San Diego. The study represents one of the largest long-term follow-up cohorts describing clinical outcomes of meniscus repair in pediatric patients to date.

"The patients we observed at a long-term follow up had an average IKDC score of 92.3, continuing increases from the pre-operative average of 65.3 and mid-term average of 90.2," noted corresponding author Aaron Krych, MD, from the Mayo Clinic in Rochester, Minnesota. "These numbers show a significant, lasting improvement in functional outcomes for those involved in this study."

Researchers examined 32 patients (and 33 knees) at an average follow-up of 17.6 years after surgery. At the time of repair, the average age of patients was 16.1 years. Of the 33 knees included in the study, none had a failed repair since the previous follow-up in 2008. The average Tenger activity score was 6.53, lower than pre-operative 8.33 and mid-term scores of 8.39, though the authors indicated decreasing sports activity with age may be an independent risk factor and not indicative of poorer surgical outcomes.

"Finding the best treatment options for these meniscus tears is important not only to the patient's immediate recovery, but for long-term health and wellness," commented Krych. "Our research team believes the data from this study shows the promise of surgery for young patients with these types of injuries."

Limitations of the work include no MRI data or radiograph images available, and a relatively small patient population despite being one of the largest group studied. Future studies to assess the progression of knee osteoarthritis are recommended.

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American Orthopaedic Society for Sports Medicine