972 resultados para Chromium(III) and (IV)


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Aims. To quantify the presence of SCCmec types and virulence genes among Staphylococcus aureus colonizing and infecting patients from a teaching hospital. Methods. We analyzed 225 and 84 S. aureus isolates recovered from surveillance and clinical cultures, respectively. Strains were studied for the presence and type of SCCmec, as well as for several virulence genes. Univariate and multivariable analysis were performed in order to identify predictors of invasiveness (defined as isolation from clinical cultures). Results. The presence of SCCmec types III (OR, 2.19, 95% CI, 1.08-4.45) and IV (OR, 5.28 95% CI, 1.35-20.63) and of genes coding for exfoliative toxin B (etb, OR, 6.38, 95% CI, 1.48-27.46) and Panton-Valentine leukocidin (pvl, OR, 2.38, 95% CI, 1.16-4.86) was independently associated with invasiveness. Conclusions. SCCmec types III and IV and virulence genes are associated with greater invasiveness of S. aureus. Patients colonized with methicillin-resistant S. aureus, as well as with strains harboring etb or pvl, may be prone to develop invasive disease. Infection-preventing strategies should be more intensively applied to this group.

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In the search for new therapeutic tools against tuberculosis and to further address the therapeutic potential of pyridine-2-thiol 1-oxide (Hmpo) metal complexes, two new octahedral [M(III)(mpo)3] complexes, with M = Ga or Bi, were synthesized and characterized in the solid state and in solution. Attempts to crystallize [Ga(III)(mpo)3] in CH2Cl2 led to single crystals of the reaction product [GaCl(mpo)2], where the gallium(III) ion is in a square basis pyramidal environment, trans-coordinated at the basis to two pyridine-2-thiolato 1-oxide anions acting as bidentate ligands through their oxygen and sulfur atoms. The biological activity of the new [M(III)(mpo)3] complexes together with that of the previously reported Fe(III) analogous compound and the pyridine-2-thiol 1-oxide sodium salt (Na mpo) was evaluated on Mycobacterium tuberculosis. The compounds showed excellent activity, both in the standard strain H37Rv ATCC 27294 (pan-susceptible) and in five clinical isolates that are resistant to the standard first-line anti-tuberculosis drugs isoniazid and rifampicin. These pyridine-2-thiol 1-oxide derivatives are promising compounds for the treatment of resistant tuberculosis.

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Background Chyle fistulas may occur after left neck dissections that include level IV, due to injury of the thoracic duct or of 1 of its major branches. Despite being unusual, this complication carries substantial postoperative morbidity and even mortality. So far, no effective intraoperative maneuver has been reported to detect this fistula at the end of a neck dissection. In this cohort study, we sought to describe a simple new maneuver, intraoperative abdominal compression, which can effectively help to identify an open major lymphatic duct on level IV at the end of a neck dissection. Patients and Methods From March 1989 to September 2010, 206 patients underwent neck dissections involving left level IV, and underwent intraoperative abdominal compression. There were 119 men and 87 women, with ages ranging from 18 to 81 years (median, 52 years). One hundred forty-four patients had squamous cell carcinomas, 54 had thyroid carcinomas, 5 had malignant melanomas, and 3 had salivary cancers. Distribution by type of left neck dissection was: selective including levels II, III, and IV (73 cases; 35.4%), selective including levels II, III, IV, and V (55 cases; 26.6%), selective including levels I, II, III, and IV (12 cases; 5.8%), modified radical (47 cases; 22.8%), and radical (19 cases; 9.2%). In all cases, at the end of the procedure, the endotracheal tube was temporarily disconnected from the ventilator. Keeping the dissected level IV area under clear visualization, an abdominal compression was performed. At this moment, any detected lymphatic leak was carefully clamped and tied with nonabsorbable sutures. After ventilating the patient, the intraoperative abdominal compression was repeated to reassure complete occlusion of the lymphatic vessel. Results In 13 cases (6.3%), a chyle leak was detected after performing the intraoperative abdominal compression. All leaks except for 2 were successfully controlled after 1 attempt. In these 2 patients, a patch of muscle and fat tissue was applied with fibrin glue on the top. In 1 of these patients, another chyle leak in a different location was detected only at the second intraoperative abdominal compression, and was also effectively closed. Postoperatively, there were 2 (1%) chyle fistulas, both among these 13 cases, and all were successfully managed with clinical measures only. No fistulas occurred among the remaining 193 patients in whom intraoperative abdominal compression did not demonstrate lymphatic leak. Conclusion To our knowledge, this is the first description of a specific maneuver to actively detect a lymphatic fistula at the end of a left neck dissection involving level IV. In this study, intraoperative abdominal compression was able to detect an open lymphatic vessel in 6.3% of the cases, as well as to assure its effective sealing in the remaining 93.7% of the patients. Moreover, no life-threatening high-volume fistula was noted in this study. (C) 2012 Wiley Periodicals, Inc. Head Neck, 2012

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A new species of Oreobates is described from Cavernas do Peruacu National Park, Januaria, Minas Gerais state, in the Atlantic Dry Forests of Brazil. The new species is distinguished from all other Oreobates by having the following combination of characters: large tympanum, discs broadly enlarged and truncate on Fingers III and IV, smooth dorsal skin, nuptial pads absent, snout subacuminate, and a very short pulsatile (2-3 pulses) single-noted advertisement call with dominant frequency of about 3150 Hz, and no harmonic structure. Molecular phylogenetic analyses using partial sequences of the mitochondrial genes cytochrome b (cyt b) and 16S using multiple outgroups recovered the new species within Oreobates and sister to O. heterodactylus. The latter species inhabits the Dry Forests of Mato Grosso (Cerrado) and Bolivia (Chiquitano forests), and is strictly associated to these habitats, which suggests a preterit connection between Chiquitano and Atlantic Dry Forests. The discovery of a new Oreobates in the Atlantic Dry Forest is of great importance for the conservation of these dry forests, as it is known only from this type of habitat.

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Two novel coordination polymers with the formula {[Ln(2)(2,5-tdc)(3)(dmso)(2)].H2O}(n) (Ln = Tb(III) for (1) and Dy(III) for (2)), (2,5-tdc(2-) = 2,5-thiophenedicarboxylate and dmso = dimethylsulfoxide) have been synthesized by the diffusion method and characterized by thermal analysis, vibrational spectroscopy and single crystal X-ray diffraction analysis. Structure analysis reveals that 2,5-tdc(2-) play a versatile role toward different lanthanide ions to form three-dimensional metal-organic frameworks (MOFs) in which the lanthanides ions are heptacoordinated. Photophysical properties were studied using excitation and emission spectra, where the photoluminescence data show the high emission intensity of the characteristic transitions D-5(4 ->) F-7(J) (J= 6, 5, 4 and 3) for (1) and (F9/2 -> HJ)-F-4-H-6 (J = 15/2, 13/2 and 11/2) for (2), indicating that 2,5-tdc(2-) is a good sensitizer. (C) 2012 Elsevier Ltd. All rights reserved.

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A fast and sensitive method for the simultaneous determination of Sudan dyes (I, II, III, and IV) in food samples was developed for the first time using partial filling micellar electrokinectic chromatography-mass spectrometry (MEKC-MS). The use of MEKC was essential to achieve the separation of these neutral analytes, while the partial filling technique was necessary to avoid the contamination of the ion source with non-volatile micelles. MEKC separation and MS detection conditions were optimized in order to achieve a fast, efficient, and sensitive separation of the four dyes. Filling 25% of the capillary with an MEKC solution containing 40 mM ammonium bicarbonate, 25 mM SDS, and 32.5% (v/v) acetonitrile, a baseline separation of the four azo-dyes was obtained in 10 min. Tandem MS was investigated in order to improve the sensitivity and selectivity of the analysis. Limits of detection (LOD) values 5, 8, 15, and 29 times better were obtained for Sudan III, I, II, and IV, respectively, using partial filling MEKC-MS/MS instead of partial filling MEKC-MS. Under optimized conditions, LOD from 0.05 to 0.2 mu g/mL were obtained. The suitability of the developed method was demonstrated through the fast and sensitive determination of Sudan I, II, III, and IV in spiked chilli powder samples. This determination could not be achieved by MEKC-UV due to the existence of several interfering compounds from the matrix.

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Oil content and grain yield in maize are negatively correlated, and so far the development of high-oil high-yielding hybrids has not been accomplished. Then a fully understand of the inheritance of the kernel oil content is necessary to implement a breeding program to improve both traits simultaneously. Conventional and molecular marker analyses of the design III were carried out from a reference population developed from two tropical inbred lines divergent for kernel oil content. The results showed that additive variance was quite larger than the dominance variance, and the heritability coefficient was very high. Sixteen QTL were mapped, they were not evenly distributed along the chromosomes, and accounted for 30.91% of the genetic variance. The average level of dominance computed from both conventional and QTL analysis was partial dominance. The overall results indicated that the additive effects were more important than the dominance effects, the latter were not unidirectional and then heterosis could not be exploited in crosses. Most of the favorable alleles of the QTL were in the high-oil parental inbred, which could be transferred to other inbreds via marker-assisted backcross selection. Our results coupled with reported information indicated that the development of high-oil hybrids with acceptable yields could be accomplished by using marker-assisted selection involving oil content, grain yield and its components. Finally, to exploit the xenia effect to increase even more the oil content, these hybrids should be used in the Top Cross((TM)) procedure.

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Objectives: To evaluate the effects of conjugated equine estrogens (CE) alone or in combination with medroxyprogesterone acetate (MPA) on glycosaminoglycans (GAGs) in the cervix and horns of the rat uterus. Study design: Thirty days after ovariectomy, adult rats were randomly divided into four groups: Cl, control (treated with drug vehicle); GII CE (50 mu g/kg per day); GIII, MPA (0.2 mg/kg per day), and GIV, CE + MPA (doses as in GII and Gill). Drugs and vehicle were given by gavage during 28 days. Afterwards the animals were anesthetized, the cervix and uterine horns were dissected out and the middle portion fixed in 10% formaldehyde solution; other portions were fixed in acetone for histological examination and glycosaminoglycan quantification, respectively. Agarose gel electrophoresis was used for sulfated GAG analyses, and hyaluronic acid was assayed with an ELISA-like method. Statistical analysis was done by the Student's t test and the Tukey-Kramer test (P < 0.05). Results: The cervix and uterine horn structures presented signs of atrophy in the control group (GI). The other groups, mainly groups III and IV, had histological aspects of proliferation. In all groups the concentration of sulfated GAGs (especially dermatan sulfate) was higher than that of non-sulfated GAGs, both in cervix and in uterine horns. Estrogens increased sulfated GAG concentration at the cervix and the horn, whereas in uterine horns the amounts of sulfated GAGs were decreased after estrogens plus MPA treatment. The concentration of hyaluronic acid in uterine horns was higher than in cervices. Conclusions: The profiling and amounts of glycosaminoglycans in the two portions of the rat uterus are uneven. Dermatan sulfate occurs in higher concentrations in both cervix and uterine horns. Sulfated GAGs in rat cervix were increased by estrogens plus MPA, but were decreased by MPA alone in uterine horns. (C) 2012 Elsevier Ireland Ltd. All rights reserved.

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Abstract Background In this study the effect of myenteric denervation induced by benzalconium chloride (BAC) on distribution of fibrillar components of extracellular matrix (ECM) and inflammatory cells was investigated in gastric carcinogenesis induced by N-methyl-N'-nitro-N-nitrosoguanidine (MNNG). Rats were divided in four experimental groups: non-denervated (I) and denervated stomach (II) without MNNG treatment; non-denervated (III) and denervated stomachs (IV) treated with MNNG. For histopathological, histochemical and stereological analysis, sections of gastric fragments were stained with Hematoxylin-Eosin, Picrosirius-Hematoxylin, Gomori reticulin, Weigert's Resorcin-Fuchsin, Toluidine Blue and Alcian-Blue/Safranin (AB-SAF). Results BAC denervation causes an increase in the frequency of reticular and elastic fibers in the denervated (group II) compared to the non-denervated stomachs (group I). The treatment of the animals with MNNG induced the development of adenocarcinomas in non-denervated and denervated stomachs (groups III and IV, respectively) with a notable increase in the relative volume of the stroma, the frequency of reticular fibers and the inflammatory infiltrate that was more intense in group IV. An increase in the frequency of elastic fibers was observed in adenocarcinomas of denervated (group IV) compared to the non-denervated stomachs (group III) that showed degradation of these fibers. The development of lesions (groups III and IV) was also associated with an increase in the mast cell population, especially AB and AB-SAF positives, the latter mainly in the denervated group IV. Conclusions The results show a strong association in the morphological alteration of the ECM fibrillar components, the increased density of mast cells and the development of tumors induced by MNNG in the non-denervated rat stomach or denervated by BAC. This suggests that the study of extracellular and intracellular components of tumor microenvironment contributes to understanding of tumor biology by action of myenteric denervation.

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OBJECTIVE: The participation of humans in clinical cardiology trials remains essential, but little is known regarding participant perceptions of such studies. We examined the factors that motivated participation in such studies, as well as those that led to participant frustration. METHODS: Patients who had participated in hypertension and coronary arterial disease (phases II, III, and IV) clinical trials were invited to answer a questionnaire. They were divided into two groups: Group I, which included participants in placebo-controlled clinical trials after randomization, and Group II, which included participants in clinical trials in which the tested treatment was compared to another drug after randomization and in which a placebo was used in the washout period. RESULTS: Eighty patients (47 patients in Group I and 33 patients in Group II) with different socio-demographic characteristics were interviewed. Approximately 60% of the patients were motivated to participate in the trial with the expectation of personal benefit. Nine participants (11.2%) expressed the desire to withdraw, which was due to their perception of risk during the testing in the clinical trial (Group I) and to the necessity of repeated returns to the institution (Group II). However, the patients did not withdraw due to fear of termination of hospital treatment. CONCLUSIONS: Although this study had a small patient sample, the possibility of receiving a benefit from the new tested treatment was consistently reported as a motivation to participate in the trials.

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The general aim of this dissertation is to describe and analyse how public old-age care in Sweden has developed and changed during the last century. The study applies a provider perspective on how care has been planned and professionally carried out. A broader social policy perspective, studying old-age care at central/national as well as local/municipal level, is also developed. A special focus is directed at the large local variation in care and services for the elderly. The empirical base is comprised of official documents and other public sources, survey data from interviews with elderly recipients of public old-age care, and official statistics on publicly financed and controlled old-age care and services. Study I addresses the development of old-age care in Sweden during the twentieth century by studying an important occupation in this field – the supervisors and their professional roles, tasks and working conditions. Throughout, the roles of supervisors have followed the prevailing official policy on the proper way to provide care for elderly people in Sweden; from poor relief at the beginning of the 1900s, via a generous level of services in the 1960s and 1970s, to today’s restricted and economy-controlled mode of operation. Study II describes and compares two main forms of public old-age care in Sweden today, home help services and institutional care. The care-load found in home-based care was comparable to and sometimes even larger than in service-homes and other institutions, indicating that large care needs among elderly people in Sweden today can be met in their homes as well as in institutional settings. Studies III and IV analyse the local variation in public old-age care in Sweden. During the last decades there has been an overall decline in home help services. The coverage of home help for elderly people shows large differences between municipalities throughout this period, and the relative variation has increased. The local disparity seems to depend more on historical factors, e.g., previous coverage rates, than on the present municipal situation in levels of need or local economy and politics. In an introductory part the four papers are linked together by an outline of the demographic situation and the social policy model for old-age care in Sweden. Trends that have been apparent over time, e.g. professionalisation and market orientation, are traced and discussed. Conflicts between prevailing ideologies are analysed, in regards to for instance home-based and institution-based care, social and medical culture, and local and central levels of decision-making. ’Welfare municipality’, ‘path dependency’, and ‘decentralisation’ are suggested as a conceptual framework for describing the large and increasing local variations in old-age care. Finally, implications of the four studies with regard to old-age care policy and further research are discussed.

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The thesis analyses relationships between ecological and social systems in the context of coastal ecosystems. It examines human impacts from resource extraction and addresses management and governance behind resource exploitation. The main premises are that a lack of ecological knowledge leads to poor ecosystem management and that the dichotomy between social and natural systems is an artificial one. The thesis illustrates the importance of basing resource management on the ecological conditions of the resource and its ecosystem. It also demonstrates the necessity of accounting for the human dimension in ecosystem management and the challenges of organising human actions for sustainable use of ecosystem services in the face of economic incentives that push users towards short-term extraction. Many Caribbean coral reefs have undergone a shift from coral to macroalgal domination. An experiment on Glovers Reef Atoll in Belize manually cleared patch reefs in a no-take zone and a fished zone (Papers I and II). The study hypothesised that overfishing has reduced herbivorous fish populations that control macroalgae growth. Overall, management had no significant effect on fish abundance and the impacts of the algal reduction were short-lived. This illustrated that the benefits of setting aside marine reserves in impacted environments should not be taken for granted. Papers III and IV studied the development of the lobster and conch fisheries in Belize, and the shrimp farming industry in Thailand respectively. These studies found that environmental feedback can be masked to give the impression of resource abundance through sequential exploitation. In both cases inadequate property rights contributed to this unsustainable resource use. The final paper (V) compared the responses to changes in the resource by the lobster fisheries in Belize and Maine in terms of institutions, organisations and their role in management. In contrast to Maine’s, the Belize system seems to lack social mechanisms for responding effectively to environmental feedback. The results illustrate the importance of organisational and institutional diversity that incorporate ecological knowledge, respond to ecosystem feedback and provide a social context for learning from and adapting to change.

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This thesis is based on five papers addressing variance reduction in different ways. The papers have in common that they all present new numerical methods. Paper I investigates quantitative structure-retention relationships from an image processing perspective, using an artificial neural network to preprocess three-dimensional structural descriptions of the studied steroid molecules. Paper II presents a new method for computing free energies. Free energy is the quantity that determines chemical equilibria and partition coefficients. The proposed method may be used for estimating, e.g., chromatographic retention without performing experiments. Two papers (III and IV) deal with correcting deviations from bilinearity by so-called peak alignment. Bilinearity is a theoretical assumption about the distribution of instrumental data that is often violated by measured data. Deviations from bilinearity lead to increased variance, both in the data and in inferences from the data, unless invariance to the deviations is built into the model, e.g., by the use of the method proposed in paper III and extended in paper IV. Paper V addresses a generic problem in classification; namely, how to measure the goodness of different data representations, so that the best classifier may be constructed. Variance reduction is one of the pillars on which analytical chemistry rests. This thesis considers two aspects on variance reduction: before and after experiments are performed. Before experimenting, theoretical predictions of experimental outcomes may be used to direct which experiments to perform, and how to perform them (papers I and II). After experiments are performed, the variance of inferences from the measured data are affected by the method of data analysis (papers III-V).

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Cosa e’ stato fatto e il fine della ricerca in questi tre anni si è esaminato il materiale edito sui sarcofagi del periodo in esame, sui culti funerari, i problemi religiosi ed artistici. Per trovare confronti validi si sono resi necessari alcuni viaggi sia in Italia che all’estero. Lo scopo della ricerca è stato quello di “leggere” i messaggi insiti nelle figurazioni delle casse dei sarcofagi, per comprendere meglio la scelta dei committenti verso determinati temi e la ricezione di questi ultimi da parte del pubblico. La tomba, infatti, è l’ultima traccia che l’uomo lascia di sé ed è quindi importante cercare di determinare l’impatto psicologico del monumento funerario sul proprietario, che spesso lo acquistava quando ancora era in vita, e sui familiari in visita alla tomba durante la celebrazione dei riti per i defunti. Nell’ultimo anno, infine, si è provveduto a scrivere la tesi suddivindendo i capitoli e i pezzi in base all’argomento delle figurazioni (mitologici, di virtù, etc.). I capitoli introduttivi Nel primo capitolo di introduzione si è cercato di dare un affresco per sommi capi del periodo storico in esame da Caracalla a Teodosio e della Chiesa di III e IV secolo, mettendo in luce la profonda crisi che gravava sull’Impero e le varie correnti che frammentavano il cristianesimo. In particolare alcune dispute, come quella riguardante i lapsi, sarà alla base di ipotesi interpretative riguardanti la raffigurazione del rifiuto dei tre giovani Ebrei davanti a Nabuchodonosor. Nel capitolo seguente vengono esaminati i riti funerari e il ruolo dei sarcofagi in tali contesti, evidenziando le diverse situazioni emotive degli osservatori dei pezzi e, quindi, l’importanza dei temi trattati nelle casse. I capitolo Questo capitolo tratta dei sarcofagi mitologici. Dopo una breve introduzione, dove viene spiegata l’entrata in uso dei pezzi in questione, si passa alla discussione dei temi, suddivisi in paragrafi. La prima classe di materiali è qualla con la “caduta di Fetonte” la cui interpretazione sembra chiara: una tragedia familiare. Il compianto sul corpo di un ragazzo morto anzi tempo, al quale partecipa tutto il cosmo. L’afflizione dei familiari è immane e sembra priva di una possibile consolazione. L’unico richiamo a riprendere a vivere è solo quello del dovere (Mercurio che richiama Helios ai propri impegni). La seconda classe è data dalle scene di rapimento divino visto come consolazione e speranza in un aldilà felice, come quelle di Proserpina e Ila. Nella trasposizione della storia di Ila è interessante anche notare il fatto che le ninfe rapitrici del giovane – defunto abbiano le sembianze delle parenti già morte e di un fanciullo, probabilmente la madre, la nonna e un fratello deceduto anzi tempo. La terza classe presenta il tema del distacco e dell’esaltazione delle virtù del defunto nelle vesti dei cacciatori mitici Mealeagro, Ippolito e Adone tutti giovani, forti e coraggiosi. In questi sarcofagi ancor più che negli altri il motivo della giovinezza negata a causa della morte è fondamentale per sottolineare ancora di più la disperazione e il dolore dei genitori rimasti in vita. Nella seguente categoria le virtù del defunto sono ancora il tema dominante, ma in chiave diversa: in questo caso l’eroe è Ercole, intento ad affrontare le sue fatiche. L’interpretazione è la virtù del defunto che lo ha portato a vincere tutte le difficoltà incontrate durante la propria vita, come dimostrerebbe anche l’immagine del semidio rappresentato in età diverse da un’impresa all’altra. Vi è poi la categoria del sonno e della morte, con i miti di Endimione, Arianna e Rea Silvia, analizzato anche sotto un punto di vista psicologico di aiuto per il superamento del dolore per la perdita di un figlio, un marito, o, ancora, della sposa. Accanto ai sarcofagi con immagini di carattere narrativo, vi sono numerosi rilievi con personaggi mitici, che non raccontano una storia, ma si limitano a descrivere situazioni e stati d’animo di felicità. Tali figurazioni si possono dividere in due grandi gruppi: quelle con cortei marini e quelle con il tiaso dionisiaco, facendo dell’amore il tema specifico dei rilievi. Il fatto che quello del tiaso marino abbia avuto così tanta fortuna, forse, per la numerosa letteratura che metteva in relazione l’Aldilà con l’acqua: l’Isola dei Beati oltre l’Oceano, viaggi per mare verso il mondo dei morti. Certo in questo tipo di sarcofagi non vi sono esplicitate queste credenze, ma sembrano più che altro esaltare le gioie della vita. Forse il tutto può essere spiegato con la coesistenza, nei familiari del defunto, della memoria retrospettiva e della proiezione fiduciosa nel futuro. Sostanzialmente era un modo per evocare situazioni gioiose e di godimento sensibile, riferendole ai morti in chiave beneaugurale. Per quanto rigurda il tiaso di Bacco, la sua fortuna è stata dettata dal fatto che il suo culto è sempre stato molto attivo. Bacco era dio della festa, dell’estasi, del vino, era il grande liberatore, partecipe della crescita e della fioritura, il grande forestiero , che faceva saltare gli ordinamenti prestabiliti, i confini della città con la campagna e le convenzioni sociali. Era il dio della follia, al quale le menadi si abbandonavano nella danza rituale, che aggrediva le belve, amante della natura, ma che penetra nella città, sconvolgendola. Del suo seguito facevano parte esseri ibridi, a metà tra l’ordine e la bestialità e animali feroci ammansiti dal vino. I suoi nemici hanno avuto destini orribili di indicibile crudeltà, ma chi si è affidato anima e corpo a lui ha avuto gioia, voluttà, allegria e pienezza di vita. Pur essendo un valente combattente, ha caratteri languidi e a tratti femminei, con forme floride e capelli lunghi, ebbro e inebriante. Col passare del tempo la conquista indiana di alessandro si intrecciò al mito bacchico e, a lungo andare, tutti i caratteri oscuri e minacciosi della divinità scomparirono del tutto. Un esame sistematico dei temi iconografici riconducibili al mito di Bacco non è per nulla facile, in quanto l’oggetto principale delle raffigurazioni è per lo più il tiaso o come corteo festoso, o come gruppi di figure danzanti e musicanti, o, ancora, intento nella vendemmia. Ciò che interessava agli scultori era l’atmosfera gioiosa del tiaso, al punto che anche un episodio importante, come abbiamo visto, del ritrovamento di Arianna si pèerde completamente dentro al corteo, affollatissimo di personaggi. Questo perché, come si è detto anche al riguardo dei corte marini, per creare immagini il più possibile fitte e gravide di possibilità associative. Altro contesto iconografico dionisiaco è quello degli amori con Arianna. Sui sarcofagi l’amore della coppia divina è raffigurato come una forma di stupore e rapimento alla vista dell’altro, un amore fatto di sguardi, come quello del marito sulla tomba della consorte. Un altro tema , che esalta l’amore, è senza ombra di dubbio quello di Achille e Pentesilea, allegoria dell’amore coniugale. Altra classe è qualla con il mito di Enomao, che celebra il coraggio virile e l’attitudine alla vittoria del defunto e, se è presente la scena di matrimonio con Ippodamia, l’amore verso la sposa. Infine vi sono i sarcofagi delle Muse: esaltazione della cultura e della saggezza del morto. II capitolo Accanto ad i grandi ambiti mitologici dei due tiasi del capitolo precedente era la natura a lanciare un messaggio di vita prospera e pacifica. Gli aspetti iconografici diq uesto tema sono due: le stagioni e la vita in un ambiente bucolico. Nonostante la varietà iconografica del soggetto, l’idea di fondo rimane invariata: le stagioni portano ai morti i loro doni affinchè possano goderne tutto l’anno per l’eternità. Per quanto riguarda le immagini bucoliche sono ispirate alla vita dei pastori di ovini, ma ovviamente non a quella reale: i committenti di tali sarcofagi non avevano mai vissuto con i pastori, né pensavano di farlo i loro parenti. Le immagini realistiche di contadini, pastori, pescatori, tutte figure di infimo livello sociale, avevano assunto tratti idilliaci sotto l’influsso della poesia ellenistica. Tutte queste visioni di felicità mancano di riferimenti concreti sia temporali che geografici. Qui non vi sono protagonisti e situazioni dialogiche con l’osservatore esterno, attraverso la ritrattistica. I defunti se appaiono sono all’interno di un tondo al centro della cassa. Nei contesti bucolici, che andranno via, via, prendendo sempre più piede nel III secolo, come in quelli filosofici, spariscono del tutto le scene di lutto e di cordoglio. Le immagini dovevano essere un invito a godersi la vita, ma dovevano anche dire qualcosa del defunto. In una visione retrospettiva, forse, si potrebbero intendere come una dichiarazione che il morto, in vita, non si era fatto mancare nulla. Nel caso opposto, poteve invece essere un augurio ad un’esistenza felice nell’aldilà. III capitolo Qui vengono trattati i sarcofagi con l’esaltazione e l’autorappresentazione del defunto e delle sue virtù in contesti demitizzati. Tra i valori ricorrenti, esaltati nei sarcofagi vi è l’amore coniugale espresso dal tema della dextrarum iunctio, simbolo del matrimonio, la cultura, il potere, la saggezza, il coraggio, esplicitato dalle cacce ad animali feroci, il valore guerriero e la giustizia, dati soprattutto dalle scene di battaglia e di giudizio sui vinti. IV capitolo In questo capitolo si è provato a dare una nuova chiave di lettura ai sarcofagi imperiali di S. Elena e di Costantina. Nel primo caso si tratterebbe della vittoria eterna sul male, mentre nel secondo era un augurio di vita felice nell’aldilà in comunione con Dio e la resurrezione nel giorno del giudizio. V capitolo Il capitolo tratta le mediae voces, quei pezzi che non trovano una facile collocazione in ambito religioso poiché presentano temi neutri o ambivalenti, come quelli del buon pastore, di Prometeo, dell’orante. VI capitolo Qui trovano spazio i sarcofagi cristiani, dove sono scolpite varie scene tratte dalle Sacre Scritture. Anche in questo caso si andati al di là della semplice analisi stilistica per cercare di leggere il messaggio contenuto dalle sculture. Si sono scoperte preghiere, speranze e polemiche con le correnti cristiane considerate eretiche o “traditrici” della vera fede, contro la tradizionale interpretazione che voleva le figurazioni essenzialmente didascaliche. VII capitolo Qui vengono esposte le conclusioni da un punto di vista sociologico e psicologico.

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A recent initiative of the European Space Agency (ESA) aims at the definition and adoption of a software reference architecture for use in on-board software of future space missions. Our PhD project placed in the context of that effort. At the outset of our work we gathered all the industrial needs relevant to ESA and all the main European space stakeholders and we were able to consolidate a set of technical high-level requirements for the fulfillment of them. The conclusion we reached from that phase confirmed that the adoption of a software reference architecture was indeed the best solution for the fulfillment of the high-level requirements. The software reference architecture we set on building rests on four constituents: (i) a component model, to design the software as a composition of individually verifiable and reusable software units; (ii) a computational model, to ensure that the architectural description of the software is statically analyzable; (iii) a programming model, to ensure that the implementation of the design entities conforms with the semantics, the assumptions and the constraints of the computational model; (iv) a conforming execution platform, to actively preserve at run time the properties asserted by static analysis. The nature, feasibility and fitness of constituents (ii), (iii) and (iv), were already proved by the author in an international project that preceded the commencement of the PhD work. The core of the PhD project was therefore centered on the design and prototype implementation of constituent (i), a component model. Our proposed component model is centered on: (i) rigorous separation of concerns, achieved with the support for design views and by careful allocation of concerns to the dedicated software entities; (ii) the support for specification and model-based analysis of extra-functional properties; (iii) the inclusion space-specific concerns.