855 resultados para 24-month-old Infants
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The presented thesis considered three different system approach topics to ensure yield and plant health in organically grown potatoes and tomatoes. The first topic describes interactions between late blight (Phytophthora infestans) incidence and soil nitrogen supply on yield in organic potato farming focussing in detail on the yield loss relationship of late blight based on results of several field trials. The interactive effects of soil N-supply, climatic conditions and late blight on the yield were studied in the presence and absence of copper fungicides from 2002-2004 for the potato cultivar Nicola. Under conditions of central Germany the use of copper significantly reduced late blight in almost all cases (15-30 %). However, the reductions in disease through copper application did not result in statistically significant yield increases (+0 – +10 %). Subsequently, only 30 % of the variation in yield could be attributed to disease reductions. A multiple regression model (R²Max), however, including disease reduction, growth duration and temperature sum from planting until 60 % disease severity was reached and soil mineral N contents 10 days after emergence could explain 75 % of the observed variations in yield. The second topic describes the effect of some selected organic fertilisers and biostimulant products on nitrogen-mineralization and efficiency, yield and diseases in organic potato and tomato trials. The organic fertilisers Biofeed Basis (BFB, plant derived, AgroBioProducts, Wageningen, Netherlands) and BioIlsa 12,5 Export (physically hydrolysed leather shavings, hair and skin of animals; ILSA, Arizignano, Italy) and two biostimulant products BioFeed Quality (BFQ, multi-compound seaweed extract, AgroBioProducts) and AUSMA (aqueous pine and spruce needle extract, A/S BIOLAT, Latvia), were tested. Both fertilisers supplied considerable amounts of nitrogen during the main uptake phases of the crops and reached yields as high or higher as compared to the control with horn meal fertilisation. The N-efficiency of the tested fertilisers in potatoes ranged from 90 to 159 kg yield*kg-1 N – input. Most effective with tomatoes were the combined treatments of fertiliser BFB and the biostimulants AUSMA and BFQ. Both biostimulants significantly increased the share of healthy fruit and/or the number of fruits. BFQ significantly increased potato yields (+6 %) in one out of two years and reduced R. solani-infestation in the potatoes. This suggests that the biostimulants had effects on plant metabolism and resistance properties. However, no effects of biostimulants on potato late blight could be observed in the fields. The third topic focused on the effect of suppressive composts and seed tuber health on the saprophytic pathogen Rhizoctonia solani in organic potato systems. In the present study 5t ha-1 DM of a yard and bio-waste (60/40) compost produced in a 5 month composting process and a 15 month old 100 % yard waste compost were used to assess the effects on potato infection with R. solani when applying composts within the limits allowed. Across the differences in initial seed tuber infestation and 12 cultivars 5t DM ha-1 of high quality composts, applied in the seed tuber area, reduced the infestation of harvested potatoes with black scurf, tuber malformations and dry core tubers by 20 to 84 %, 20 to 49 % and 38 to 54 %, respectively, while marketable yields were increased by 5 to 25 % due to lower rates of wastes after sorting (marketable yield is gross yield minus malformed tubers, tubers with dry core, tubers with black scurf > 15% infested skin). The rate of initial black scurf infection of the seed tubers also affected tuber number, health and quality significantly. Compared to healthy seed tubers initial black scurf sclerotia infestation of 2-5 and >10 % of tuber surface led in untreated plots to a decrease in marketable yields by 14-19 and 44-66 %, a increase of black scurf severity by 8-40 and 34-86 % and also increased the amount of malformed and dry core tubers by 32-57 and 109-214 %.
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Durch die vermehrte Nachfrage von Biomöhren im Lebensmitteleinzelhandel ist die Anbaufläche ökologisch erzeugter Möhren in den letzten zehn Jahren deutlich angestiegen. Der Anbau konzentriert sich auf bestimmte Regionen und erfolgte damit zunehmend auf großen Schlägen in enger räumlicher und zeitlicher Abfolge. Mit der steigenden Wirtspflanzenpräsenz steigt auch der Befallsdruck durch die Möhrenfliege. Während der Schädling im konventionellen Anbau mit Insektiziden kontrolliert wird, stehen dem Ökologischen Landbau bisher keine direkten Regulative zur Verfügung. Ziel der Untersuchungen war es, unter den Praxisbedingungen des ökologischen Möhrenanbaus einzelbetriebliche und überregionale Muster beteiligter Risikofaktoren im Befallsgeschehen zu identifizieren und so Möglichkeiten einer verbesserten Prävention und Regulation aufzuzeigen. Über einen Zeitraum von drei Jahren wurden auf fünf Betrieben in Niedersachsen und Hessen umfangreiche Felddaten erhoben und diese unter Verwendung von GIS – Software und dem Simulationsmodell SWAT analysiert. Untersuchte Einflussgrößen umfassten (1) die Distanz zu vorjährigen Möhrenfeldern, (2) die zeitliche Möhrenanbauperiode, (3) Vegetationselemente und (4) der experimentelle Einsatz von Fangpflanzen zur Unterdrückung der Fliegenentwicklung. Unter der Berücksichtigung deutlicher einzelbetrieblicher Unterschiede sind die wichtigsten Ergebnisse der Studie wie folgt zu benennen: (1) Auf Betrieben mit Befall im zurückliegenden Anbaujahr zeigte sich die Distanz zu vorjährigen Möhrenfeldern als der wichtigste Risikofaktor. Das Ausbreitungsverhalten der 1. Generation Möhrenfliege erwies sich zudem als situationsgebunden anpassungsfähig. Fliegensumme und Befall waren jeweils in dem zu Vorjahresflächen nächstgelegen Feld am größten, während jeweils dahinter liegende Möhrenschläge entsprechend weniger Fliegenzahlen und Befall auswiesen. Aus den Ergebnissen wird als vorrangige Verbreitungskapazität der 1. Generation Möhrenfliegen innerhalb von 1000 m abgeleitet. (2) Betriebe mit kontinuierlicher Möhren - Anbaubauperiode (ca. April – Oktober), die langfristig die Entwicklung sowohl der 1. als auch der 2. Generation Fliegen unterstützten, verzeichneten stärkere Fliegenprobleme. Hinsichtlich einer verbesserten Prävention wird empfohlen mit einer strikten räumlichen Trennung früher und später Sätze ein Aufschaukeln zwischen den Generationen zu vermeiden. (3) Der Einfluss der Vegetation ließ sich weniger eindeutig interpretieren. Einzelbetriebliche Hinweise, dass Kleingehölze (Hecken und Bäume) im Radius zwischen aktueller und vorjähriger Möhrenfläche die Befallswahrscheinlichkeit erhöhen, konnten mit einem berechneten Gesamtmaß für die regionale holzige Vegetation nicht bestätigt werden. Der großräumigen holzigen Vegetation wird im Vergleich zur Feldrandvegetation daher beim Befallsgeschehen eine geringe Bedeutung zugeschrieben. (4) Drei Meter (vier Dämme) breiter Möhren – Fangstreifen auf den vorjährigen Möhrenfeldern eignen sich bereits ab dem Keimblattstadium, um erhebliches Befallspotential zu binden. Eine mechanische Entfernung der Fangpflanzen (Grubbern) mitsamt dem Befallspotential erzielte in 2008 eine 100 %-ige Unterdrückung der Möhrenfliegenentwicklung, in 2009 jedoch nur zu maximal 41 %. Als mögliche Synthese der Ergebnisse zur Ausbreitung der Möhrenfliegen im Frühjahr und zur zeitlichen Koinzidenz mit der Möhrenentwicklung wird als Empfehlung diskutiert, mit Hilfe einer angepassten Flächenwahl die Fliegenausbreitung räumlich an frühen Sätzen zu binden, um entsprechend befallsarme Regionen für entfernt liegende späte (empfindlichere) Möhrensätze zu schaffen.
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Objetivo. Para fortalecer las estrategias preventivas de forma integral, se pretende caracterizar la accidentalidad ocurrida en una empresa del sector de hidrocarburos e identificar los posibles factores de riesgo relacionados con estos eventos. Metodología: Se realizó un estudio descriptivo retrospectivo, utilizando las bases de datos SIGA y AUDICOMP del periodo Julio-2010 a Junio-2013, que almacenan información sobre accidentes laborales en trabajadores vinculados a Petrobras, Colombia. Nuestra variable resultado fue el número de accidentes laborales en función de la experiencia laboral y tiempo de contratación en la empresa, estratificada por características demográficas, propias del cargo ocupado y área anatómica lesionada. A las variables continuas se les calculo las medidas de tendencia central y dispersión y a las categóricas la proporción; se estimó el Odds Ratio (OR) de presentar un accidente en < 1 o entre 1-5 años de contratación. Resultados: se presentaron 457 accidentes, 96% (IC95% 94.2-97.8) fueron hombres, la década entre 25-34 años (36.8; IC95% 32.4-41.2) y el tipo de cargo obrero fueron los más frecuentes (35.3%; IC95% 30.9-39.6). Ser obrero (IC95% 2,11-2,65) y contar con experiencia laboral menor a un año (IC95% 1,78-2,33) fueron los principales factores relacionados con un accidente en < 1 año de contratación; el modelo con mayor AUC fue el de hombres entre 18-24 años de edad, contratados para laborar como obrero y con menos de un año de experiencia laboral (AUC 0,973; IC95% 0,865-0,995). Conclusiones. Los hombres entre 18-24 años de edad, contratados para laborar como obrero y con menos de un año de experiencia laboral, tenían mayor riesgo de presentar un accidente en menos de un año desde la contratación. El modelo propuesto ayudó a identificar a trabajadores con alta probabilidad de presentar un accidente en < 1 año desde la contratación.
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Esta publicaci??n es una iniciativa de la Oficina de Defensa de los Derechos del Menor (ODDM) de la Conselleria de Bienestar Social del Gobierno de las Islas Baleares. Este estudio corresponde al estudio censal de 24 guarderias abiertas en Ibiza y Formentera en el momento de este trabajo de campo (febrero 2002). Este estudio pretende referenciar el nivel de adecuaci??n a los requisitos m??nimos que marcan el Real Decreto 1004/1991, de 14 de junio, por el cual las guarder??as se deben transformar en centros de educaci??n infantil, la aplicaci??n del Decreto 66/2001, de 4 de mayo, por el cual se establece el cirr??culum de educaci??n infantil en las Islas Baleares y la normativa europea UNE-EN 1176-1177, sobre seguridad en las ??reas de juego.
Resumo:
Aquest treball es centra en l'estudi de la regeneració vegetativa en els estadis inicials del desenvolupament de Quercus coccifera, Q. humilis, Q. ilex i Q. suber, analitzant la capacitat de rebrotada després de l'eliminació de la biomassa aèria. S'ha realitzat una descripció, a nivell histològic, de l'ontogènesi del nus cotiledonar des de l'embrió fins a la plàntula de mig any d'edat de Q. coccifera, Q. humilis i Q. ilex. Així mateix, s'ha analitzat el contingut de midó i de nitrogen a la primavera, l'estiu i l'hivern en diferents parts de les plàntules de les quatre espècies, avaluant, alhora, l'efecte de la tala. D'altra banda, també s'ha estudiat la biometria de les glans, la capacitat de germinació i el creixement de les plàntules de les quatre espècies de Quercus. A partir dels resultats s'ha comprovat que les glans de Q. suber, en general, són més grans, tant en diàmetre com en longitud, i tenen un pes superior, mentre que les de Q. ilex són més petites i pesen menys. En les quatre espècies estudiades, el pes de la llavor està determinat per la longitud i el diàmetre, si bé, també hi ha un cert efecte de l'espècie. Amb les dades obtingudes de les tres variables de la gla s'ha calculat una funció discriminant a partir de la qual es pot determinar, amb un alt grau d'encert, a quina espècie pertany una determinada gla coneixent la mida i el pes. En relació a la capacitat de germinació, en Q. coccifera i Q. ilex la germinació depèn del pes de la gla, mentre que en Q. humilis i Q. suber és independent. Així mateix, també s'ha comprovat que el pes de la llavor afecta positivament en el creixement de les plàntules de tres i sis mesos d'edat. Possiblement un major pes de la gla implica un contingut de substàncies de reserva més elevat, i per tant representa un major subministrament de nutrients cap a la planta, repercutint així en el seu creixement inicial. En plàntules de nou mesos d'edat ja no s'ha trobat relació entre el pes de la gla i el creixement de la planta, la qual cosa es podria explicar pel fet que les substàncies de reserva de la llavor s'han esgotat. Pel que fa al creixement de la plàntula, les plàntules de Q. ilex han tingut la major taxa de creixement per quasi totes les variables estudiades. En aquesta espècie, al principi de l'experiment la grandària de les plàntules ha estat baixa, però al final han crescut més que les de les altres espècies. Les plàntules de Q. coccifera han presentat la menor taxa. En les plàntules de les quatre espècies s'ha constatat, també, que la biomassa del sistema radicular és superior a la de l'aeri. Les plàntules de Q. coccifera i Q. humilis han tingut una relació BA/BR (biomassa aèria/biomassa radicular) més baixa que les de Q. ilex i Q. suber. En espècies mediterrànies s'ha relacionat sovint una baixa relació BA/BR com una adaptació a la sequera. No obstant això, Q. humilis és una espècie que viu en zones més humides que la resta d'espècies estudiades. En referència a la regeneració vegetativa, amb aquest estudi es demostra que les plàntules de les quatre espècies tenen una elevada capacitat d'emissió de rebrots, quan s'elimina la biomassa aèria per sobre la zona d'inserció dels cotilèdons. Tanmateix, el grau de supervivència difereix segons l'espècie i la intervenció. Així, per exemple, les plàntules de Q. ilex han presentat una major mortalitat tant en la primera com en la segona tala, mentre que en Q. humilis i Q. suber la supervivència de les plàntules ha disminuït després de talar dues vegades. En el cas de Q. coccifera el grau de supervivència és bastant similar tant en la primera com en la segona intervenció. La tala successiva afecta negativament al vigor dels rebrots en Q. coccifera, Q. humilis i Q. ilex. Ara bé, en el cas de Q. suber s'ha trobat que els rebrots emesos després de talar dues vegades han estat més grans que els obtinguts després d'una sola tala. Després de tallar la biomassa aèria per sobre la zona d'inserció dels cotilèdons, els rebrots s'originen a partir de les gemmes del nus cotiledonar. L'estudi de l'ontogènesi del nus cotiledonar ens ha permès de constatar que el patró de desenvolupament d'aquest en Q. coccifera, Q. humilis i Q. ilex és similar, però difereix del descrit per a Q. suber. En les tres primeres espècies el nus cotiledonar pràcticament no s'allarga i només es desenvolupen gemmes cotiledonars just en l'axil·la del pecíol cotiledonar. En aquest sentit, cal ressaltar que en el cas de Q. coccifera i Q. ilex les gemmes es formen després de germinar la gla, mentre que en Q. humilis i Q. suber són ja presents en l'embrió. Tal i com també s'ha descrit en Q. suber, en l'estadi de plàntula, en Q. coccifera, Q. humilis i Q. ilex a l'axil·la de la gemma cotiledonar proliferen noves gemmes, de tal manera que es formen plaques de gemmes. Les anàlisis del contingut de midó han permès de determinar que el sistema radicular de les plàntules de Q. coccifera, Q. humilis, Q. ilex i Q. suber conté aproximadament un 90% del midó de tota la planta. Concretament de les diferents fraccions del sistema radicular (nus cotiledonar, 11 pimers centímetres de l'arrel i resta de l'arrel) la major concentració de midó es troba ens els 11 primers cm de l'arrel, que en el cas de Q. suber correspon al nus cotiledonar. Quant a les estacions, a l'estiu la concentració de midó de la part aèria i radicular disminueix en Q. coccifera, Q. humilis i Q. ilex, si bé es recuperen a l'hivern. En canvi en el cas de Q. suber els nivells més baixos de midó s'han obtingut a l'hivern. La tala provoca una disminució dels nivells de midó, ja que una part d'aquest és mobilitzat per a la síntesi dels nous brots. En les quatre espècies la major proporció de midó mobilitzat és en els primers 11 cm de l'arrel, és a dir, el nus cotiledonar en el cas de Q. suber. Per tant, amb aquest estudi es reafirma que el nus cotiledonar de Q. suber és un lignotúber. Tanmateix, Q. coccifera, Q. humilis i Q. ilex no presenten cap lignotúber o estructura especialitzada en la rebrotada, si bé el fet de tenir gemmes i substàncies de reserva els confereix igualment una elevada capacitat per rebrotar. En relació al nitrogen, en les quatre espècies el sistema radicular presenta aproximadament el 70% del nitrogen total de la planta. A l'estiu, la concentració de nitrogen del sistema radicular de Q. humilis i Q. suber és més baixa que a l'hivern, mentre que en Q. coccifera i Q. ilex els valors són bastant similars en ambdues estacions. La tala no provoca una davallada dels nivells de midó, això possiblement es degui a que les plàntules van rebre continuament un aport de nitrogen a través de l'aigua de reg.
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The purpose of this study is to compare three hearing aid manufacturers' recommended "First Fit" to the generic recommended fittings by DSL i/o and NAL-NL1 for a 12 month old child with varying degrees of sensorineural hearing loss.
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This study investigated possible relationships between measurements of the somatotrophic axis in pre-pubertal dairy calves and subsequent milk yields. Endogenous growth hormone (GH) release was measured through a fed and fasted period in fifty 6-month-old Holstein-Friesian heifers and they were then challenged with growth hormone-releasing factor (GRF) to assess their GH release pattern. Insulin-like growth factor-I (IGF-I), insulin and glucose concentrations were measured in relation to time of feeding. Cows were subsequently monitored through their first three lactations to record peak and 305-day milk yields. In the first lactation, milk energy output for the first 120 days of lactation was also calculated. The mean 305-day milk yield increased from 7417 +/- 191 kg in the first lactation (n = 37) to 8749 +/- 252 kg in the third (n = 25). There were no significant relationships between any measures of GH secretion and peak or 305-day yield in any lactation. A highly significant positive relationship was established between the GH peak measured 10 min post-GRF challenge and 120-day milk energy values in the first lactation. This relationship was, however, only present in the subpopulation of 12 cows culled after one or two lactations and was absent in the 25 animals remaining for the third lactation. There were no significant relationships between pre-pubertal IGF-I and fed or fasted insulin or glucose concentrations and any subsequent measurement of yield. The usefulness of GH secretagogue challenges in calves as a predictive test for future milk production is thus limited but may have some bearing on nutrient partitioning and longevity. (c) 2005 Elsevier Inc. All rights reserved.
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DNA microarrays can be used to measure environmental stress responses. If they are to be predictive of environmental impact, we need to determine if altered gene expression translates into negative impacts on individuals and populations. A large cDNA microarray (14000 spots) was created to measure molecular stress responses to cadmium in Daphnia magna,the most widely used aquatic indicator species, and relate responses to population growth rate (pgr). We used the array to detect differences in the transcription of genes in juvenile D. magna (24 h old) after 24 h exposure to a control and three cadmium concentrations (6, 20, and 37 mu g Cd2+ L-1). Stress responses at the population level were estimated following a further 8 days exposure. Pgr was approximately linear negative with increasing cadmium concentration over this range. The microarray profile of gene expression in response to acute cadmium exposure begins to provide an overview of the molecular responses of D. magna, especially in relation to growth and development. Of the responding genes, 29% were involved with metabolism including carbohydrate, fat and peptide metabolism, and energy production, 31% were involved with transcription/translation, while 40% of responding genes were associated with cellular processes like growth and moulting, ion transport, and general stress responses (which included oxidative stress). Our production and application of a large Daphnia magna microarray has shown that measured gene responses can be logically linked to the impact of a toxicant such as cadmium on somatic growth and development, and consequently pgr.
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Artificial pod inoculation was used to compare the relative aggressiveness of seven Colombian isolates of Moniliophthora roreri (the causal agent of moniliasis or frosty pod disease), representing four major genetic groupings of the pathogen in cacao (cocoa), when applied to five diverse cacao genotypes (ICS-1, ICS-95, TSH-565, SCC-61 and CAP-34) at La Suiza Experimental Farm, Santander Department, Colombia. The following variables were evaluated 9 weeks after inoculation of 2- to 3-month-old pods with spore suspensions (1.2 x 10(5) spores mL(-1)): (i) disease incidence (DI); (ii) external severity (ES); and (iii) internal severity (IS). IS was found to be of greatest value in classifying the reaction of the host genotype against M. roreri. Genetic variation reported between isolates and cacao genotypes was not matched by similar diversity in their aggressiveness. All isolates were generally highly aggressive against most cacao genotypes, with only two isolates showing reduced IS and ES reactions. There was considerable variation between clones in the IS and ES scores, but one cultivated clone (ICS-95) displayed a significant level of resistance against all seven isolates. This clone may be useful in cacao breeding initiatives for resistance to moniliasis of cacao.
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Submarine cliffs are typically crowded with sessile organisms, most of which are ultimately exported downwards. Here we report a 24 month study of benthic fauna dropping from such cliffs at sites of differing cliff angle and flow rates at Lough Hyne Marine Nature Reserve, Co. Cork, Ireland. The magnitude of 'fall out' material collected in capture nets was highly seasonal and composed of sessile and mobile elements. Sponges, ascidians, cnidarians, polychaetes, bryozoans and barnacles dominated the sessile forms. The remainder (mobile fauna) were scavengers and predators such as asteroid echinoderms, gastropod molluscs and malacostracan crustaceans. These were probably migrants targeting fallen sessile organisms. 'Fall out' material (including mobile forms) increased between May and August in both years. This increase in 'fall out' material was correlated with wrasse abundance at the cliffs (with a one month lag period). The activities of the wrasse on the cliffs (feeding, nest building and territory defence) were considered responsible for the majority of 'fall out' material, with natural mortality and the activity of other large mobile organisms (e.g. crustaceans) also being triplicated. Current flow rate and cliff profile were important in amount of 'fall out' material collected. In low current situations export of fallen material was vertical, while both horizontal and vertical export was associated with moderate to high current environments. Higher 'fall out' was associated with overhanging than vertical cliff surfaces. The 'fall out' of marine organisms in low current situations is likely to provide ail important source of nutrition in close proximity to the cliff, in an otherwise impoverished soft sediment habitat. However, in high current areas material will be exported some distance from the source, with final settlement again occurring in soft sediment habitats (as current speed decreases).
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We examined Na+–H+exchanger isoform 1 (NHE-1) mRNA expression in ventricular myocardium and its correlation with sarcolemmal NHE activity in isolated ventricular myocytes, during postnatal development in the rat. The expression of glyceraldehyde-3-phosphate dehydrogenase (GAPDH) mRNA did not change in ventricular myocardium between 2 and 42 days after birth. Therefore, at seven time points within that age range, GAPDH expression was used to normalize NHE-1 mRNA levels, as determined by reverse transcription polymerase chain reaction analysis. There was a progressive five-fold reduction in NHE-1 mRNA expression in ventricular myocardium from 2 days to 42 days of age. As an index of NHE activity, acid efflux rates (JH) were determined in single neonatal (2–4-day-old) and adult (42-day-old) ventricular myocytes (n=16/group) loaded with the pH fluoroprobe carboxy-seminaphthorhodafluor-1. In HEPES-buffered medium, basal intracellular pH (pHi) was similar at 7.28±0.02 in neonatal and 7.31±0.02 in adult myocytes, but intrinsic buffering power was lower in the former age group. The rate at which pHirecovered from a similar acid load was significantly greater in neonatal than in adult myocytes (0.36±0.07v0.16±0.02 pH units/min at pHi=6.8). This was reflected by a significantly greaterJH(22±4v9±1 pmol/cm2/s at pHi=6.8), indicating greater sarcolemmal NHE activity in neonatal myocytes. The concomitant reductions in tissue NHE-1 mRNA expression and sarcolemmal NHE activity suggest that myocardial NHE-1 is subject to regulation at the mRNA level during postnatal development.
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The capacity for glucose, propionate or hormones of splanchnic origin to influence appetite by directly regulating the expression of neuropeptides in the feeding centres of the hypothalamus of the ruminant is not described. Therefore, our objective was to measure the direct effect of metabolites (glucose and propionate) or hormones [insulin, cholecystokinin (CCK), glucagon-like peptide-1 (GLP-1) and polypeptide YY (PYY)] on hypothalamic mRNA concentrations for neuropeptide Y (NPY), agouti-related peptide (AgRP) and proopiomelanocortin (POMC) following in vitro incubation. Hypothalamic tissue from 4- to 5-month-old lambs was obtained at slaughter and immediately incubated in culture media for 2 h at 36 °C. Treatments included a control Dulbecco’s modified Eagle medium (DMEM) containing 1 mm glucose or DMEM with the following additions: 10 mm glucose, 1 mm propionate, 1 nm insulin, 120 pm GLP-1, 100 pm PYY, 80 pm CCK or 10 mm glucose plus 1 nm insulin. The abundance of mRNA for NPY, AgRP and POMC was measured using quantitative reverse transcriptase PCR. Fisher’s protected LSD test was used to compare changes in relative mRNA concentrations for the hypothalamus incubated in the control media vs. the rest of the treatments. The media containing glucose plus insulin increased POMC mRNA concentration (p < 0.05), but did not affect NPY or AgRP mRNA concentration. There were no effects observed for the other treatments (p > 0.20). Results of the present study are consistent with the concept that effects of propionate on feed intake in ruminants is not mediated through direct effects on the hypothalamus, and that insulin is required for an effect of glucose on hypothalamic POMC expression.
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Weaning is a stressful process for kittens, and is often associated with diarrhoea and the onset of infectious diseases. The gastrointestinal microbiota plays an essential role in host well-being, including improving homeostasis. Composition of the gastrointestinal microbiota of young cats is poorly understood, and the impact of diet on the kitten microbiota unknown. The aims of this study were to monitor the faecal microbiota of kittens and determine the effect(s) of diet on its composition. Bacterial succession was monitored in two groups of kittens (at 4 and 6 weeks, and 4 and 9 months of age) fed different foods. Age-related microbial changes revealed significantly different counts of total bacteria, lactic acid bacteria, Desulfovibrionales, Clostridium cluster IX and Bacteroidetes between 4-week- and 9-month-old kittens. Diet-associated differences in the faecal microbiota of the two feeding groups were evident. In general, fluorescence in situ hybridization analysis demonstrated bifidobacteria, Atopobium group, Clostridium cluster XIV and lactic acid bacteria were dominant in kittens. Denaturing gradient gel electrophoresis profiling showed highly complex and diverse faecal microbiotas for kittens, with age- and/or food-related changes seen in relation to species richness and similarity indices. Four-week-old kittens harboured more diverse and variable profiles than those of weaned kittens.
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Interdigestive intestinal motility, and especially phase III of the migrating myoelectric/motor complex (MMC), is responsible for intestinal clearance and plays an important role in prevention of bacterial overgrowth and translocation in the gut. Yet previous results from gnotobiotic rats have shown that intestinal microflora can themselves affect the characteristics of the myoelectric activity of the gut during the interdigestive state. Given that the composition of the intestinal microflora can be altered by dietary manipulations, we investigated the effect of supplementation of the diet with synbiotics on intestinal microflora structure and the duodenojejunal myoelectric activity in the rat. To reduce animal distress caused by restraint and handling, which can itself affect GI motility, we applied radiotelemetry for duodenojejunal EMG recordings in conscious, freely moving rats. Thirty 16-month-old Spraque-Dawley rats were used. The diet for 15 rats (E group) was supplemented with chicory inulin, Lactobacillus rhamnosus and Bifidobacterium lactis. The remaining 15 rats were fed control diet without supplements (C group). Three rats from each group were implanted with three bipolar electrodes positioned at 2, 14 and 28 cm distal to the pylorus. After recovery, two 6 h recordings of duodenojejunal EMG were carried out on each operated rat. Subsequently, group C rats received feed supplements and group E rats received only control diet for 1 week, and an additional two 6 h recordings were carried out on each of these rats. Non-operated C and E rats were killed and samples of GI tract were collected for microbiological analyses. Supplementation of the diet with the pro- and prebiotics mixture increased the number of bifidobacteria, whereas it decreased the number of enterobacteria in jejunum, ileum, caecum and colon. In both caecum and colon, the dietary supplementation increased the number of total anaerobes and lactobacilli. Treatment with synbiotics increased occurrence of phase III of the MMC at all three levels of the small intestine. The propagation velocity of phase III in the whole recording segment was also increased from 3.7 +/- 0.2 to 4.4 +/- 0.2 cm min(-1) by dietary treatment. Treatment with synbiotics increased the frequency of response potentials of the propagated phase III of the MMC at both levels of the jejunum, but not in the duodenum. In both parts of the jejunum, the supplementation of the diet significantly decreased the duration of phase II of the MMC, while it did not change the duration of phase I and phase III. Using the telemetry technique it was demonstrated that changes in the gastrointestinal microflora exhibited an intestinal motility response and, more importantly, that such changes can be initiated by the addition of synbiotics to the diet.
Resumo:
Evidence suggests that flavonoid-rich foods are capable of inducing improvements in memory and cognition in animals and humans. However, there is a lack of clarity concerning whether flavonoids are the causal agents in inducing such behavioral responses. Here we show that supplementation with pure anthocyanins or pure flavanols for 6 weeks, at levels similar to that found in blueberry (2% w/w), results in an enhancement of spatial memory in 18 month old rats. Pure flavanols and pure anthocyanins were observed to induce significant improvements in spatial working memory (p = 0.002 and p = 0.006 respectively), to a similar extent to that following blueberry supplementation (p = 0.002). These behavioral changes were paralleled by increases in hippocampal brain-derived neurotrophic factor (R = 0.46, p<0.01), suggesting a common mechanism for the enhancement of memory. However, unlike protein levels of BDNF, the regional enhancement of BDNF mRNA expression in the hippocampus appeared to be predominantly enhanced by anthocyanins. Our data support the claim that flavonoids are likely causal agents in mediating the cognitive effects of flavonoid-rich foods.