118 resultados para Girometti, Giuseppe.


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During my PhD I have been involved in several projects regarding the morphogenesis of the follicular epithelium, such as the analysis of the pathways that correlate follicular epithelium patterning and eggshell genes expression. Moreover, I used the follicular epithelium as a model system to analyze the function of the Drosophila homolog of the human von Hippel-Lindau (d-VHL) during oogenesis, in order to gain insight into the role of h-VHL for the pathogenesis of VHL disease. h-VHL is implicated in a variety of processes and there is now a greater appreciation of HIF-independent h-VHL functions that are relevant to tumour development, including maintenance and organization of the primary cilium, maintenance of the differentiated phenotype in renal cells and regulation of epithelial-mesenchymal transition. However, the function of h-VHL gene during development has not been fully understood. It was previously shown that d-VHL down-regulates the motility of tubular epithelial cells (tracheal cells) during embryogenesis. Epithelial morphogenesis is important for organogenesis and pivotal for carcinogenesis, but mechanisms that control it are poorly understood. The Drosophila follicular epithelium is a genetically tractable model to understand these mechanisms in vivo. Therefore, to examine whether d-VHL has a role in epithelial morphogenesis and maintenance, I performed genetic and molecular analyses by using in vivo and in vitro approaches. From my analysis, I determined that d-VHL binds to and stabilizes microtubules. Loss of d-VHL depolymerizes the microtubule network during oogenesis, leading to a possible deregulation in the subcellular trafficking transport of polarity markers from Golgi apparatus to the different domains in which follicle cells are divided. The analysis carried out has allowed to establish a significant role of d-VHL in the maintenance of the follicular epithelium integrity.

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The globalization process of the last twenty years has changed the world through international flows of people, policies and practices. International cooperation to development is a part of that process and brought International Organizations (IOs) and Non Governmental Organizations (NGOs) from the West to the rest of the world. In my thesis I analyze the Italian NGOs that worked in Bosnia Herzegovina (BH) to understand which development projects they realized and how they faced the ethnic issue that characterized BH. I consider the relation shaped between Italian NGOs and Bosnian civil society as an object of ethnic interests. In BH, once part of former Yugoslavia, the transition from the communist regime to a democratic country has not been completed. BH’s social conditions are characterized by strong ethnic divisions. The legacy of the early 1990s crisis was a phenomenon of ethnic identities created before the war and that still endure today. The Dayton Peace Agreement signed in 1995 granted the peace and reinforced the inter-ethnic hate between the newly recognized three principal ethnicities: Serbs, Croats and Bosniak. Through the new constitution, the institutions were characterized by division at every level, from the top to the bottom of society. Besides it was the first constitution ever written and signed outside the own country; that was the root of the state of exception that characterized BH. Thus ethnic identities culture survived through the international political involvement. At the same time ethnic groups that dominated the political debate clashed with the international organization’s democratic purpose to build a multicultural and democratic state. Ethnic and also religious differences were the instruments for a national statement that might cause the transition and development projects failure. Fifteen years later social fragmentation was still present and it established an atmosphere of daily cultural violence. Civil society suffered this condition and attended to recreate the ethnic fragmentation in every day life. Some cities became physically divided and other cities don’t tolerated the minority presence. In rural areas, the division was more explicit, from village to village, without integration. In my speech, the anthropology for development – the derivative study from applied anthropology – constitutes the point of view that I used to understand how ethnic identities still influenced the development process in BH. I done ethnographic research about the Italian cooperation for development projects that were working there in 2007. The target of research were the Italian NGOs that created a relation with Bosnian civil society; they were almost twenty divided in four main field of competences: institutional building, education, agriculture and democratization. I assumed that NGOs work needed a deep study because the bottom of society is the place where people could really change their representation and behavior. Italian NGOs operated in BH with the aim of creating sustainable development. They found cultural barricade that both institutions and civil society erected when development projects have been applied. Ethnic and religious differences were stressed to maintain boundaries and fragmented power. Thus NGOs tried to negotiate development projects by social integration. I found that NGOs worked among ethnic groups by pursuing a new integration. They often gained success among people; civil society was ready to accept development projects and overcome differences. On the other hand NGOs have been limited by political level that sustained the ethnic talk and by their representation of Bosnian issue. Thus development policies have been impeded by ethnic issue and by cooperation practices established on a top down perspective. Paradoxically, since international community has approved the political ethnic division within DPA, then the willing of development followed by funding NGOs cooperation projects was not completely successful.

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Tutte le scuole di pensiero economico riconoscono l’importanza dell’attività di ricerca e sviluppo per rafforzare la competitività delle imprese, e per promuovere quindi la crescita economica di lungo periodo di ogni paese. Si tratta di un tema di indiscussa rilevanza, e ben presente nel dibattito politico ed economico a livello nazionale ed internazionale. A partire dal fondamentale lavoro di Solow (1957), molti studi si sono interessati al ruolo centrale che il cambiamento tecnologico ha nella crescita economica, contribuendo ad una vasta letteratura riguardante il rapporto tra il capitale tecnologico, o gli investimenti in ricerca e sviluppo, e la crescita della produttività. In questo contesto, il presente lavoro ha come obiettivo l’analisi degli effetti degli investimenti in ricerca e sviluppo sulla produttività delle imprese manifatturiere e del settore agroalimentare italiano. L’industria agroalimentare italiana è caratterizzata da alcuni elementi specifici, che ne rendono lo studio particolarmente interessante: il suo necessario confrontarsi con le pressioni provenienti dall’emergere di nuove tendenze comportamentali del consumatore, da un lato e, dall’altro, dalla radicale trasformazione del sistema produttivo, commerciale e distributivo, che a sua volta si interfaccia con il processo di globalizzazione che interessa l’intera economia mondiale. Il settore agroalimentare riveste nel nostro Paese una notevole importanza sia in termini di fatturato, che per numero di imprese, che di occupazione, e risulta tipicamente caratterizzato dalla predominanza, dal punto di vista numerico, della classe dimensionale delle piccole imprese. È chiaro che acquisire competitività su mercati ormai globali presuppone costanti sforzi negli investimenti in ricerca ed innovazione; tuttavia, a questo proposito, le performances italiane risultano essere inferiori alla media europea. È proprio alla luce di queste considerazioni che uno studio sul ruolo che gli investimenti in ricerca e sviluppo rivestono nel sistema agroalimentare italiano, in rapporto a quanto avviene per l’intero settore manifatturiero, riveste quindi un particolare interesse.

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The main reasons for the attention focused on ceramics as possible structural materials are their wear resistance and the ability to operate with limited oxidation and ablation at temperatures above 2000°C. Hence, this work is devoted to the study of two classes of materials which can satisfy these requirements: silicon carbide -based ceramics (SiC) for wear applications and borides and carbides of transition metals for ultra-high temperatures applications (UHTCs). SiC-based materials: Silicon carbide is a hard ceramic, which finds applications in many industrial sectors, from heat production, to automotive engineering and metals processing. In view of new fields of uses, SiC-based ceramics were produced with addition of 10-30 vol% of MoSi2, in order to obtain electro conductive ceramics. MoSi2, indeed, is an intermetallic compound which possesses high temperature oxidation resistance, high electrical conductivity (21·10-6 Ω·cm), relatively low density (6.31 g/cm3), high melting point (2030°C) and high stiffness (440 GPa). The SiC-based ceramics were hot pressed at 1900°C with addition of Al2O3-Y2O3 or Y2O3-AlN as sintering additives. The microstructure of the composites and of the reference materials, SiC and MoSi2, were studied by means of conventional analytical techniques, such as X-ray diffraction (XRD), scanning electron microscopy (SEM) and energy dispersive spectroscopy (SEM-EDS). The composites showed a homogeneous microstructure, with good dispersion of the secondary phases and low residual porosity. The following thermo-mechanical properties of the SiC-based materials were measured: Vickers hardness (HV), Young’s modulus (E), fracture toughness (KIc) and room to high temperature flexural strength (σ). The mechanical properties of the composites were compared to those of two monolithic SiC and MoSi2 materials and resulted in a higher stiffness, fracture toughness and slightly higher flexural resistance. Tribological tests were also performed in two configurations disco-on-pin and slideron cylinder, aiming at studying the wear behaviour of SiC-MoSi2 composites with Al2O3 as counterfacing materials. The tests pointed out that the addition of MoSi2 was detrimental owing to a lower hardness in comparison with the pure SiC matrix. On the contrary, electrical measurements revealed that the addition of 30 vol% of MoSi2, rendered the composite electroconductive, lowering the electrical resistance of three orders of magnitude. Ultra High Temperature Ceramics: Carbides, borides and nitrides of transition metals (Ti, Zr, Hf, Ta, Nb, Mo) possess very high melting points and interesting engineering properties, such as high hardness (20-25 GPa), high stiffness (400-500 GPa), flexural strengths which remain unaltered from room temperature to 1500°C and excellent corrosion resistance in aggressive environment. All these properties place the UHTCs as potential candidates for the development of manoeuvrable hypersonic flight vehicles with sharp leading edges. To this scope Zr- and Hf- carbide and boride materials were produced with addition of 5-20 vol% of MoSi2. This secondary phase enabled the achievement of full dense composites at temperature lower than 2000°C and without the application of pressure. Besides the conventional microstructure analyses XRD and SEM-EDS, transmission electron microscopy (TEM) was employed to explore the microstructure on a small length scale to disclose the effective densification mechanisms. A thorough literature analysis revealed that neither detailed TEM work nor reports on densification mechanisms are available for this class of materials, which however are essential to optimize the sintering aids utilized and the processing parameters applied. Microstructural analyses, along with thermodynamics and crystallographic considerations, led to disclose of the effective role of MoSi2 during sintering of Zrand Hf- carbides and borides. Among the investigated mechanical properties (HV, E, KIc, σ from room temperature to 1500°C), the high temperature flexural strength was improved due to the protective and sealing effect of a silica-based glassy phase, especially for the borides. Nanoindentation tests were also performed on HfC-MoSi2 composites in order to extract hardness and elastic modulus of the single phases. Finally, arc jet tests on HfC- and HfB2-based composites confirmed the excellent oxidation behaviour of these materials under temperature exceeding 2000°C; no cracking or spallation occurred and the modified layer was only 80-90 μm thick.

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Lo scompenso cardiaco è una sindrome clinica complessa di notevole prevalenza ed incidenza nella popolazione generale, con elevata mortalità e morbidità. Le numerose alterazioni strutturali e funzionali che lo caratterizzano sono in grado di generare contemporaneamente diversi tipi di alterazioni del ritmo: dalle tachiaritmie ventricolari/sopraventricolari alle turbe della conduzione dell’impulso con bradi-aritmie e dissincronie di contrazione. La cardioversione della fibrillazione atriale e la resincronizzazione cardiaca rappresentano due terapie elettriche molto importanti in tale contesto. Le modificazioni emodinamiche, funzionali e neuro-ormonali indotte da tali trattamenti, tanto in acuto che a medio/lungo termine, possono generare numerose informazioni sulla fisio-patologia di questa sindrome. Il progetto scientifico alla base del presente manoscritto è costituito da due studi volti ad affrontare separatamente le tematiche accennate. Il primo studio è stato focalizzato sulle modificazioni indotte in 38 pazienti dalla terapia di resincronizzazione cardiaca sui parametri di circolazione periferica. I risultati ottenuti evidenziano come il trattamento consenta un incremento del flusso muscolare, soprattutto in chi presenterà un rimodellamento ventricolare inverso. La diversa eziologia sottostante (ischemica vs. non ischemica) appare influenzare i parametri relativi alla circolazione periferica tanto in acuto, quanto in cronico. Il diverso comportamento in merito alle variabili della circolazione periferica nelle valutazioni seriate suggerisce che la terapia di resincronizzazione cardiaca abbia, principalmente nei pazienti responders, effetti non solo “centrali”, e che essi non siano puramente meccanici ma mediati da fattori probabilmente di natura neuro-ormonale. Il secondo studio si è occupato della cardioversione elettrica esterna di fibrillazione atriale, un’aritmia che presenta strette relazioni con l’insufficienza cardiaca. 242 pazienti sono stati sottoposti a cardioversione elettrica esterna con onda bifasica, utilizzando due 1 diverse configurazioni di erogazione dell’energia: antero-posteriore con patch adesivi e antero-apicale con piastre standard. Il ripristino del ritmo sinusale è stato ottenuto in oltre l’80% dei pazienti già col primo shock a 120J. Sebbene fra le due metodiche non si evidenzi una significatività in termini di efficacia, i risultati ottenuti suggeriscono che la scelta della specifica configurazione di shock dovrebbe prendere in considerazione anche alcune variabili biometriche: peso, altezza e superficie corporea del paziente. Il ripristino ed il mantenimento del ritmo sinusale inducono un’importante modificazione della concentrazione di NT-pro-BNP. Un’elevata attivazione neuro-ormonale pre-procedura predispone alle recidive a medio-lungo termine, mentre le recidive nel breve-medio periodo appaiono influenzate da tale fattore solo in corso di profilassi anti-aritmica per il mantenimento del ritmo sinusale. In conclusione i risultati del progetto di ricerca sottolineano come trattamenti mirati a parametri strettamente cardiaci (ritmo e conduzione dell’impulso) siano in grado di determinare importanti modificazioni sugli equilibri emodinamici e neuro-ormonali dell’intero organismo, confermando la stretta relazione tra questi parametri e l’evoluzione del quadro clinico.

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La ricerca approfondisce gli studi iniziati dalla dott.ssa Baldini in occasione della tesi di laurea e amplia le indagini critiche avviate per la mostra sull’Aemilia Ars (2001). La ricerca si è interessata alle aree di Bologna e di Faenza individuando le connessioni che tra Otto e Novecento intercorrono tra la cultura artistica locale e quella nazionale ed europea. Nasce infatti in questo periodo Aemilia Ars, uno dei più innovativi movimenti del contesto nazionale nel campo delle arti decorative. I membri del gruppo, raccoltisi intorno alla carismatica figura di Alfonso Rubbiani nei primi anni Ottanta, sono attratti da influenze nordeuropee e sin dall’inizio si mostrano orientati a seguire precetti ruskiniani e preraffaelliti. Molto importante in entrambe le città, per l’evoluzione dello scenario artistico e artigianale – in questi anni più che mai unite in un rapporto di strettissima correlazione – è l’apporto e il sostegno offerto dai salotti, dai circoli, dai caffè e dai cenacoli locali. Dal punto di vista dello stile, forme lineari con una marcata tendenza all’astrazione caratterizzano la produzione dei principali interpreti faentini e bolognesi dell’ultimo ventennio dell’Ottocento allineandoli con le ricerche dei loro contemporanei nel resto d’Europa. I settori produttivi che si sono indagati sono quelli della ceramica, dell’ebanisteria, dei ferri battuti, dell’oreficeria, delle arti tessili e dei cuoi. Gran parte di queste lavorazioni – attardatesi nella realizzazione di oggetti dalle forme di ispirazione seicentesca, certamente poco adatte alla produzione industriale – subiscono ora una decisa accelerazione verso forme più svelte che, adeguandosi alla possibilità di riproduzione seriale degli oggetti, si diffonderanno quasi capillarmente tra l’aristocrazia e la borghesia, faticando tuttavia a raggiungere le classi meno abbienti a causa degli elevati costi di produzione. Nell’ultima parte viene tracciato sinteticamente il quadro delle attività artistiche e artigianali faentine del periodo indicato, con una particolare attenzione all’opera delle personalità afferenti al Cenacolo baccariniano.

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Commento testuale e contestuale di circa duecento fonti inedite e sconosciute alla storiografia sul ruolo di vicesegretario politico della DC di Giuseppe Dossetti, in particolare con riferimento allo scioglimento dei CLN, del referendum istituzionale, della organizzazione del partito e infine, della sua rottura politica con De Gasperi.

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Aim of the present study was to evaluate the accuracy of transrectal ultrasound biopsy (TRUS-biopsy) directed to regions with abnormal MRI and/or MRSI (magnetic resonance spectroscopic imaging ) for both the transition (TZ) and the peripheral (PZ) zones in patients who presented with persistent suspect for prostate cancer and with prior negative biopsy. We also evaluated relationship between MRSI results and histopathological findings of biopsy. 54 patients with the aforementioned characteristics underwent MRI/MRSI at least 6 months after prior negative biopsy; interval between MRI/3D-MRSI and the further TRUS-biopsy was less than 3 months. The prostate was divided in 12 regions both for imaging interpretation and biopsy. Moreover one to three cores more were taken from each region with abnormal MRI and/or 3D-MRSI. Twenty-two out of 54 patients presented cancer at MRI/MRSI-directed-TRUS-biopsy. On a patient basis the highest accuracy was obtained by assigning malignancy on a positive finding with MRSI and MRI even though it was not significantly greater than that obtained using MRI alone (area under the ROC curve, AUC: 0.723 vs. 0.676). On a region (n=648) basis the best accuracy was also obtained by considering positive both MRSI and MRI for PZ (0.768) and TZ (0.822). Twenty-eight per cent of cores with prostatitis were false positive findings on MRSI, whereas only 2.7% of benign prostatic hyperplasia was false positive. In conclusion the accuracy of MRI/MRSI-directed biopsies in localization of prostate cancer is good in patient and region analyses. The combination of both MRI and MRSI results makes TRUS-biopsy more accurate particularly in the TZ (0.822) for patients with prior negative biopsies. Histopathological analysis showed that the main limitation of MRSI is the percentage of false positive findings due to prostatitis.