579 resultados para 1260


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Actinocyclus ingens var, nodus Baldauf, n, var., is a morphologically distinct variety of the Miocene diatom A. ingens Ranray. The last occurrence of this new taxon approximates the top of the lower Middle Miocene Denticula Iauta Zone in the circum-North Pacific. Its first occurrence appears to be in the lower part of the D. fauta zone and possibly lies close to the Lower Miocene-Middle Miocene boundary.

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In this study, carra sawdust pre-treated with formaldehyde was used to adsorb reactive red 239 (RR239). The effects of several experimental conditions, including the concentration of dye, sorbent dosage, temperature, ionic strength, stirring speed and solution pH, on the kinetics of the adsorption process have been studied, and the experimental data were fitted to pseudo-second-order model. A study of the intra-particle diffusion model indicates that the mechanism of dye adsorption using carra sawdust is rather complex and is most likely a combination of external mass transfer and intra-particle diffusion. The experimental data obtained at equilibrium were analyzed using the Langmuir and Freundlich isotherm models, and the results indicated that at this concentration range, both models can be applied for obtaining the equilibrium parameters. The maximum dye uptake obtained at 298 K was found to be 15.1 mg g(-1). In contrast to the usual systems, the reactive dye studied in the present work is strongly attached to the sawdust even after several washes with water, allowing it to be discarded as a solid waste.

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So Paulo is the largest city in Brazil and South America with about 20 million inhabitants in the metropolitan area, more than nine million motor vehicles and intense industrial activity, which are responsible for increasing pollution in the region. Nevertheless, little is known concerning metal and semi-metal content in the soils of this metropolitan region. This type of information could be extremely useful as a fingerprint of environmental pollution. The present study determined the elements As, Ba, Co, Cr, Sb, and Zn concentrations in soils adjacent to avenues of highly dense traffic in So Paulo city to assess their levels and possible sources. The analytical technique employed was Instrumental neutron activation analysis. The results showed, except for Co, concentration levels higher than the reference values for soils of So Paulo, according to the Environmental Protection Agency of the State of So Paulo guidelines. When compared to similar studies in other cities around the world, So Paulo soils presented higher levels, probably due to its high density traffic and industrial activity. The concentrations obtained for As and Cr indicate anthropogenic origin. The high levels of the traffic-related elements Ba, Sb, and Zn in soils nearby high density traffic avenues indicate they may originate from vehicular exhausts.

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Mach number and thermal effects on the mechanisms of sound generation and propagation are investigated in spatially evolving two-dimensional isothermal and non-isothermal mixing layers at Mach number ranging from 0.2 to 0.4 and Reynolds number of 400. A characteristic-based formulation is used to solve by direct numerical simulation the compressible Navier-Stokes equations using high-order schemes. The radiated sound is directly computed in a domain that includes both the near-field aerodynamic source region and the far-field sound propagation. In the isothermal mixing layer, Mach number effects may be identified in the acoustic field through an increase of the directivity associated with the non-compactness of the acoustic sources. Baroclinic instability effects may be recognized in the non-isothermal mixing layer, as the presence of counter-rotating vorticity layers, the resulting acoustic sources being found less efficient. An analysis based on the acoustic analogy shows that the directivity increase with the Mach number can be associated with the emergence of density fluctuations of weak amplitude but very efficient in terms of noise generation at shallow angle. This influence, combined with convection and refraction effects, is found to shape the acoustic wavefront pattern depending on the Mach number.

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A far data dalla pubblicazione di un importante ed illustre contributo scientifico (GIORGIANNI, voce Causa (dir. priv.), in Enc. dir., VI, Milano, 1960), e dalla proposta, in esso contenuta, di restituire spazio a fattispecie attributive di diritti giustificate, sotto il profilo causale, dal solo riferimento espresso al rapporto fondamentale che ne costituisca fondamento (le c.d. ), un serrato dibattito ha visto contrapporsi nel tempo fautori di soluzioni possibiliste e sostenitori di una più uniforme descrizione del sistema della circolazione dei diritti e dei rimedi connessi alla mancanza di causa negli atti di disposizione, per quanto avulsi dal contratto cui essi intendano dare compiuta attuazione. La ricerca ha cercato di dimostrare, attraverso una compiuta analisi di ciò che la formula expressio causae davvero significhi, come la presenza o assenza di questa non sia in grado di giustificare un effetto tanto pregnante come la sottrazione della vicenda traslativa alle conseguenze derivanti dalla mancanza di causa, per tale intendendosi il rapporto fondamentale che ne costituisce l’antecedente logico. Allo scrivente è parso che il vero nodo teorico da sciogliere non sia costituito dal concetto di causa che questi Autori assumono a fondamento, quanto piuttosto da una impropria valutazione dell’expressio causae. Tale valutazione conduce ad attribuire al momento ricognitivo, di cui l’enunciazione della causa consiste, una valenza sostanzialmente astratta che non si rinviene nemmeno nelle più estreme ricostruzioni delle fattispecie contemplate all’art. 1988 c.c. e che, in materia di accertamento negoziale, è senza eccezioni rifiutata. Ciò che sembra decisivo, infatti, è che la natura dell'expressio causae, in primo luogo ricognitiva del rapporto cui si dà esecuzione, ben lungi dal rappresentare elemento sufficiente per una autonoma considerazione della causa dell'atto (sussistente) e della causa dell'attribuzione (la cui conservazione è decisa dalle sorti del Rechtsgrund), non pare idonea a suffragare – seppur in via provvisoria, ma con una divergente considerazione dell’avente causa rispetto ai terzi ulteriori acquirenti – una soluzione compiutamente esaustiva del problema della giustificazione dell'effetto, rimandando a modelli – quello della dichiarazione di scienza, innanzitutto – rispetto ai quali una astrazione più che processuale sembra del tutto preclusa, anche per considerazioni storiche che si è cercato di descrivere. Del resto, l’analisi delle ipotesi in cui la ricognizione di un rapporto fondamentale, o la promessa di quanto già dovuto in forza di un rapporto fondamentale (art. 1988 c.c.) mostra come, indipendentemente dalla soluzione che si ritenga pertinente circa la natura di tali figure (meramente dichiarativa del vincolo o addirittura costitutiva), un effetto di astrazione materiale, per quanto relativa, è da escludersi. Trasposta nell’ambito delle prestazioni isolate, questa consapevolezza significa impossibilità di rendere invece materialmente astratta l’attribuzione (efficace immediatamente, e solo soggetta ad essere da un atto di segno contrario dall’avente causa al dante causa, oggetto di una pretesa giudiziale personale). La dichiarazione del rapporto fondamentale, che è intimamente connessa ed insopprimibile in ogni fenomeno di imputazione soggettiva (si deve infatti enunciare ciò cui si dà esecuzione), appare sicuramente sussumibile nello schema della dichiarazione di scienza, nell’effetto in senso lato ricognitivo. Ritenere che essa possa di fatto rendere irrilevante, ai fini della conservazione dell’efficacia della prestazione isolata cui si collega, la reale situazione del rapporto fondamentale (in ipotesi mai esistito, o successivamente venuto meno) significa introdurre surrettiziamente una ipotesi di riconoscimento costitutivo e astratto. Ma tale ultima soluzione non può trovare spazio in alcuna delle opzioni interpretative proposte in materia di riconoscimento e, nemmeno, in quella più estrema che ravvisa nel riconoscimento del debito titolato una forma di accertamento unilaterale. In conclusione, la dottrina delle prestazioni isolate nel fare dell’expressio causae l’elemento capace di decidere in via definitiva del verificarsi dell’effetto traslativo – effetto che va, giova ripeterlo, solo rimosso con un atto uguale e contrario assolutamente diverso da quanto nel nostro sistema appare essere, oggi, la ripetizione di indebito – determina una supervalutazione del momento ricognitivo, insito in ogni fenomeno di imputazione/esecuzione. Detto esito costituisce non tanto la recezione del Trennungsprinzip vigente in Germania, ammissibile nella misura in cui si reputi dispositiva la norma di cui all’art. 1376 c.c., quanto piuttosto la silenziosa riproposizione del modello della Schuldanerkenntnis (§781 B.G.B.), la cui totale estraneità rispetto alla tradizione giuridica delle codificazioni franco-italiane (Code civil, c.c. del 1865, c.c. del 1942) si crede di avere sufficientemente dimostrato.

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Nowadays, computing is migrating from traditional high performance and distributed computing to pervasive and utility computing based on heterogeneous networks and clients. The current trend suggests that future IT services will rely on distributed resources and on fast communication of heterogeneous contents. The success of this new range of services is directly linked to the effectiveness of the infrastructure in delivering them. The communication infrastructure will be the aggregation of different technologies even though the current trend suggests the emergence of single IP based transport service. Optical networking is a key technology to answer the increasing requests for dynamic bandwidth allocation and configure multiple topologies over the same physical layer infrastructure, optical networks today are still “far” from accessible from directly configure and offer network services and need to be enriched with more “user oriented” functionalities. However, current Control Plane architectures only facilitate efficient end-to-end connectivity provisioning and certainly cannot meet future network service requirements, e.g. the coordinated control of resources. The overall objective of this work is to provide the network with the improved usability and accessibility of the services provided by the Optical Network. More precisely, the definition of a service-oriented architecture is the enable technology to allow user applications to gain benefit of advanced services over an underlying dynamic optical layer. The definition of a service oriented networking architecture based on advanced optical network technologies facilitates users and applications access to abstracted levels of information regarding offered advanced network services. This thesis faces the problem to define a Service Oriented Architecture and its relevant building blocks, protocols and languages. In particular, this work has been focused on the use of the SIP protocol as a inter-layers signalling protocol which defines the Session Plane in conjunction with the Network Resource Description language. On the other hand, an advantage optical network must accommodate high data bandwidth with different granularities. Currently, two main technologies are emerging promoting the development of the future optical transport network, Optical Burst and Packet Switching. Both technologies respectively promise to provide all optical burst or packet switching instead of the current circuit switching. However, the electronic domain is still present in the scheduler forwarding and routing decision. Because of the high optics transmission frequency the burst or packet scheduler faces a difficult challenge, consequentially, high performance and time focused design of both memory and forwarding logic is need. This open issue has been faced in this thesis proposing an high efficiently implementation of burst and packet scheduler. The main novelty of the proposed implementation is that the scheduling problem has turned into simple calculation of a min/max function and the function complexity is almost independent of on the traffic conditions.

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L’attenta analisi della letteratura scientifica su argomenti riguardanti i contaminanti ambientali oggetto di studio (i policlorodifenili) ha permesso di raccogliere dati utili riguardanti le proprietà di queste molecole, la loro diffusione e la loro pericolosità. Oggetto della ricerca è stato lo studio in vitro del potenziale citotossico e trasformante dei PCB, utilizzando come riferimento una miscela commerciale di PCB, l’Aroclor 1260, e di un MIX di 18 congeneri ricostituito in laboratorio. Il lavoro è proseguito con la valutazione degli effetti di queste miscele e di due congeneri singoli (PCB 118 e PCB 153) su linee cellulari diverse in test di vitalità a breve termine. L’utilizzo di test specifici ha poi permesso la valutazione di un possibile potenziale estrogenico. Una volta ottenuto un quadro generale sui possibili effetti delle miscele grazie ai risultati dei test funzionali, è stata valutata la modulazione, da parte delle molecole e/o di miscele delle stesse, dell’espressione di geni coinvolti nella risposta ad estrogeni o a composti diossino simili, andando ad effettuare un’analisi di tipo molecolare con Real-Time PCR (RT-PCR) e analizzando nello specifico marcatori di pathway dell’Aryl Hydrocarbon Receptor (AhR) o dell’Estrogen Receptor (ER). In ultima analisi al fine di verificare l’applicabilità di biomarkers di espressione a situazioni di contaminazioni reali, ci si è focalizzati su campioni estratti da matrici ambientali, ed in particolare linee cellulari di interesse sono state esposte a estratti di sedimenti provenienti da siti inquinati. L’approccio scelto è stato di tipo molecolare, con lo scopo di individuare pathway da valutare in un secondo momento in test funzionali specifici. L’attività di ricerca si è avvalsa della tecnica del DNA-microarray per valutare la modulazione dell’espressione genica in risposta all’esposizione a contaminanti ambientali. In questo modo è possibile definire i profili di espressione genica che sottendono a risposte biologiche complesse nell’intento di individuare biomarcatori in grado di predire il rischio per l’uomo, e di consentire la stima di una relazione diretta tra esposizione ed effetti possibili.

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Zytotoxische T-Zellen (CTL) vermitteln die effektive und gezielte Lyse Virus-infizierter und maligner Zellen. Um den Einfluss der T-Zellavidität auf die Immunodominanz von CTL-Antworten zu untersuchen, wurde ein neues Mausmodell mit zwei T-Zellrezeptor (TCR)-transgenen Stämmen etabliert. Die T-Zellen der beiden Stämme exprimieren denselben TCR in unterschiedlicher Dichte. Studien mit diesem Modell zeigten, dass bei identischen Vorläuferfrequenzen die hochaviden T-Zellen nach Immunisierung auf Kosten der niederaviden T-Zellen proliferieren. Sind die niederaviden T-Zellen jedoch im Überschuss vorhanden, so können sie die Antwort dominieren. Hieraus lässt sich schließen, dass die CTL Immunodominanz durch die Avidität und die Vorläuferfrequenz der T-Zellklone bestimmt wird. Darüber hinaus wurde ein neues transkutanes Immunisierungsverfahren (TCI) entwickelt. Die Applikation eines CTL Epitops zusammen mit dem synthetischen Toll-like Rezeptor 7 Liganden Imiquimod führt zur effizienten Aktivierung TCR-transgener CTLs. Eine in Wild-typ Mäusen generierte CTL-Antwort gegen das SIINFEKL Epitop aus dem Ovalbumin vermittelt die effiziente Lyse inokulierter Ovalbumin-transgener Thymomzellen. Schließlich konnte gezeigt werden, dass regulatorische T-Zellen die durch TCI vermittelte CTL Aktivierung inhibieren.

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This thesis is concerned with calculations in manifestly Lorentz-invariant baryon chiral perturbation theory beyond order D=4. We investigate two different methods. The first approach consists of the inclusion of additional particles besides pions and nucleons as explicit degrees of freedom. This results in the resummation of an infinite number of higher-order terms which contribute to higher-order low-energy constants in the standard formulation. In this thesis the nucleon axial, induced pseudoscalar, and pion-nucleon form factors are investigated. They are first calculated in the standard approach up to order D=4. Next, the inclusion of the axial-vector meson a_1(1260) is considered. We find three diagrams with an axial-vector meson which are relevant to the form factors. Due to the applied renormalization scheme, however, the contributions of the two loop diagrams vanish and only a tree diagram contributes explicitly. The appearing coupling constant is fitted to experimental data of the axial form factor. The inclusion of the axial-vector meson results in an improved description of the axial form factor for higher values of momentum transfer. The contributions to the induced pseudoscalar form factor, however, are negligible for the considered momentum transfer, and the axial-vector meson does not contribute to the pion-nucleon form factor. The second method consists in the explicit calculation of higher-order diagrams. This thesis describes the applied renormalization scheme and shows that all symmetries and the power counting are preserved. As an application we determine the nucleon mass up to order D=6 which includes the evaluation of two-loop diagrams. This is the first complete calculation in manifestly Lorentz-invariant baryon chiral perturbation theory at the two-loop level. The numerical contributions of the terms of order D=5 and D=6 are estimated, and we investigate their pion-mass dependence. Furthermore, the higher-order terms of the nucleon sigma term are determined with the help of the Feynman-Hellmann theorem.

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One of the most precisely measured quantities in particle physics is the magnetic moment of the muon, which describes its coupling to an external magnetic field. It is expressed in form of the anomalous magnetic moment of the muon a_mu=(g_mu-2)/2 and has been determined experimentally with a precision of 0.5 parts per million. The current direct measurement and the theoretical prediction of the standard model differ by more than 3.5 standard deviations. Concerning theory, the contribution of the QED and weak interaction to a_mu can be calculated with very high precision in a perturbative approach.rnAt low energies, however, perturbation theory cannot be used to determine the hadronic contribution a^had_mu. On the other hand, a^had_mu may be derived via a dispersion relation from the sum of measured cross sections of exclusive hadronic reactions. Decreasing the experimental uncertainty on these hadronic cross sections is of utmost importance for an improved standard model prediction of a_mu.rnrnIn addition to traditional energy scan experiments, the method of Initial State Radiation (ISR) is used to measure hadronic cross sections. This approach allows experiments at colliders running at a fixed centre-of-mass energy to access smaller effective energies by studying events which contain a high-energetic photon emitted from the initial electron or positron. Using the technique of ISR, the energy range from threshold up to 4.5GeV can be accessed at Babar.rnrnThe cross section e+e- -> pi+pi- contributes with approximately 70% to the hadronic part of the anomalous magnetic moment of the muon a_mu^had. This important channel has been measured with a precision of better than 1%. Therefore, the leading contribution to the uncertainty of a_mu^had at present stems from the invariant mass region between 1GeV and 2GeV. In this energy range, the channels e+e- -> pi+pi-pi+pi- and e+e- -> pi+pi-pi0pi0 dominate the inclusive hadronic cross section. The measurement of the process e+e- -> pi+pi-pi+pi- will be presented in this thesis. This channel has been previously measured by Babar based on 25% of the total dataset. The new analysis includes a more detailed study of the background contamination from other ISR and non-radiative background reactions. In addition, sophisticated studies of the track reconstruction as well as the photon efficiency difference between the data and the simulation of the Babar detector are performed. With these auxiliary studies, a reduction of the systematic uncertainty from 5.0% to 2.4% in the peak region was achieved.rnrnThe pi+pi-pi+pi- final state has a rich internal structure. Hints are seen for the intermediate states rho(770)^0 f_2(1270), rho(770)^0 f_0(980), as well as a_1(1260)pi. In addition, the branching ratios BR(jpsi -> pi+pi-pi+pi-) and BR(psitwos -> jpsi pi+pi-) are extracted.rn

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Im Zentrum der Arbeit steht die Edition einer griechischen, antijüdischen Disputation, die nach dem hier dargelegten Ansatz um das Jahr 1230 entstanden ist. Der Text wurde bislang immer dem by¬zan¬tinischen Kulturkreis zugeordnet, obwohl sein Entstehungsgebiet, d.h. das süditalienische Salento, zu diesem Zeitpunkt bereits seit etwa 170 Jahren nicht mehr zu Byzanz gehörte, sondern Teil des normannischen bzw. normannisch-staufischen Herrschaftsgebietes war. Allerdings war damals das Griechische, insbesondere im südlichen Teil des Salento, noch die Sprache der Bevölkerungsmehrheit, aus der bis zur ersten Hälfte des 13. Jahrhunderts ein blühendes, griechischsprachiges Mönchtum hervorgegangen war. Diesem gehörte der Autor des hier vorgelegten Textes an, der von 1219 und womöglich bis zu seinem Tod im Jahr 1235 Abt des Nikolaos-Klosters von Casole (bei Otranto) war. In diesem Kloster »arbeiteten« zwar Mönche sowohl aus dem lateinischen, als auch dem griechischen Hintergrund, doch wurde dort seit Gründung immer ein »Grieche« (der selbstverständlich auch die lateinische Sprache beherrschte!) zum Abt gewählt. Aufgrund der damals hervorragenden finanziellen Ausstattung des Klosters besaß man dort eine sehr große Bibliothek, auf deren Grundlage Nikolaos-Nektarios seinen Text sehr wohl erstellen konnte. Der eigentlichen kritischen Edition mit Text- und Quellenapparat geht (1) eine Einleitung voran, die u.a. den Stand der Forschung wiedergibt und in einem aus sachlichen Gründen erforderlich gewordenen Nachtrag auf einige lit. Neuerscheinungen hinweist. In Teil (2) folgen eingehende Hinweise zum Leben unseres Autors sowie zu seinem umfangreichen literarischen Werk. Beides steht auf der Grundlage der noch immer maßgeblichen Abhandlung von J. Hoeck/R. Loenertz, Nikolaos-Nektarios von Otranto, Abt von Casole. Ettal 1965. Gegenüber Hoeck und Loenertz werden einige Aspekte zu Leben und Werk des Autors nachgearbeitet bzw. genauer dargelegt, die neuere wiss. Literatur wurde dazu entsprechend ausgewertet. Teil (3) befasst sich mit dem Text als solchem und handelt von der handschriftlichen Überlieferung, dem Aufbau der gesamten Disputation (sieben einzelne Dialexeis an vier Verhandlungstagen) sowie von ihrer Datierung. Dabei wird davon ausgegangen, dass Kata Iu¬daion a priori als ein literarischer Text konzipiert wurde, auch wenn es sehr wohl einzelne theologische Kontroversen zwischen unserem Autor und jüdischen Rabbinern in Otranto (oder anderswo) gegeben haben könnte. In Teil (4) soll die Schrift daher in den Kontext des jüdischen Lebens im Salento des 13. Jahrhunderts eingeordnet werden, während in Teil (5) mögliche Bezüge zu vergleichbaren Texten aus dem Bereich der byzantinischen Literatur untersucht werden. Auf dieser Grundlage befasst sich Teil (6) mit Quellenzitaten, auf die Nikolaos-Nektarios zurückgriff, und sucht mögliche Textvorlagen, die er für Kata Iudaion benutzt haben könnte. Teil (7) mit Bemerkungen zur Textkonstitution schließt diese einführenden Hinweise ab. In sachlicher Hinsicht ergibt sich aus dem Gesagten, dass der gesamte Text einen eindeutig apokalyptischen Hintergrund besitzt. Dies ist auch aus zeithistorischer Perspektive plausibel, denn sehr große Teile des süditalienischen Mönchtums standen damals unter dem Eindruck des Joachim von Fiore, nach dessen Weltsicht im Jahr 1260 das sog. »Zeitalter Christi« ein Ende finden sollte, bevor danach das alle Menschen (und Christen!) vereinende, sog. »Zeitalter des [Heiligen] Geistes« einsetzen würde. Eine der Prämissen dafür, dass letzteres überhaupt eintreten könne, sei eine erfolgreiche Judenmission. Von daher verfassten Joachim von Fiore und seine Anhänger seit der Wende vom 12. zum 13. Jahrhundert verstärkt Schriften zum Zweck der Bekehrung von Juden. Einer dieser Texte des Joachim wurde nun von Nikolaos-Nektarios ausgewertet und auszugsweise auch aus dem lateinischen übersetzt, um als Grundgerüst für den ersten Verhandlungstag zu dienen, der etwa zwei Drittel des gesamten Textbestands von Kata Iudaion ausmacht. Selbstverständlich finden sich auch Bezüge zur byzantinischen antijüdischen Literatur. Doch handelt es sich dabei zumeist nicht um Zitate, sondern um motivische Anklänge, wie sie auch im Bereich der lateinischen Literatur des Mittelalters begegnen (Gerhoch v. Reichersberg, Pedro Alphonsi u.a.m.) können. Neu gegenüber dem bisherigen Stand der Forschung ist jedoch für unseren Text der Hinweis auf seinen eindeutig apokalyptischen Bezug. Dabei ist Kata Iudaion wohl weniger dem übergeordneten Kontext der byzantinischen Literatur zuzuordnen, sondern darf als einer der wenigen erhalten, griechischen Texte des lateinischen Mittelalters angesehen werden.

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PURPOSE: The purpose of the present systematic review was to evaluate the soft tissue/hard tissue ratio in bilateral sagittal split advancement osteotomy (BSSO) with rigid internal fixation (RIF) or wire fixation (WF). MATERIALS AND METHODS: The databases PubMed, Medline, CINAHL, Web of Science, Cochrane Library, and Google Scholar Beta were searched. From the original 711 articles identified, 12 were finally included. Only 3 studies were prospective and 9 were retrospective. The postoperative follow-up ranged from 3 months to 12.7 years for RIF and 6 months to 5 years for WF. RESULTS: The short- and long-term ratios for the lower lip to lower incisor for BSSO with RIF or WF were 50%. No difference between the short- and long-term ratios for the mentolabial-fold to point B and soft tissue pogonion to pogonion could be observed. It was a 1:1 ratio. One exception was seen for the long-term results of the soft tissue pogonion to pogonion in BSSO with RIF; they tended to be greater than a 1:1 ratio. The upper lip mainly showed retrusion but with high variability. CONCLUSIONS: Despite a large number of studies on the short- and long-term effects of mandibular advancement by BSSO, the results of the present systematic review have shown that evidence-based conclusions on soft tissue changes are still unknown. This is mostly because of the inherent problems of retrospective studies, inferior study designs, and the lack of standardized outcome measures. Well-designed prospective studies with sufficient sample sizes that have excluded patients undergoing additional surgery (ie, genioplasty or maxillary surgery) are needed.