460 resultados para Belkin, Debbie


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Questa tesi ha lo scopo di analizzare e approfondire tutte le caratteristiche del nuovo standard delle comunicazioni a radiofrequenza: NFC. Per meglio comprendere l'argomento trattato ho suddiviso la tesi in 5 capitoli: Nel primo capitolo si effettuerà una panoramica sul mondo delle tecnologie a radiofrequenza: parleremo della tecnologia RFID, di come è nata e di come si è sviluppata dagli anni 60 ad oggi, di come veniva utilizzata un tempo e di come oggi viene usata. Ulteriore tecnologia a radiofrequenza presa in considerazione in questo capitolo è la tecnologia Bluetooth, di cui conosceremo le origini e l’evoluzione che ha subito nel corso degli anni. Nel secondo capitolo si affronterà l’argomento principale di questa tesi ossia la tecnologia NFC. Si analizzerà nel dettaglio, capiremo come è nata e come si è evoluta, vedremo come funziona nello specifico, che tipo di componenti usa e vedremo quali sono stati gli elementi cardine che hanno portato a questa rapida diffusione. Nel terzo capitolo si prenderà in esame un prototipo di applicazione per smartphone Android per meglio capire come effettivamente comunicano tra loro hardware e software. Il progetto prende il nome di WeMoNFC e permetterà di attivare e/o disattivare un particolare interruttore tramite l’accostamento di un tag NFC al telefono. Come richiama il nome, il progetto utilizzerà due componenti principali: il primo, ovviamente, è il modulo NFC inserito di fabbrica all’interno dello smartphone, il secondo invece è un dispositivo dell’azienda americana Belkin: il WeMo Switch. Nel quarto capitolo infine si trarranno le dovute conclusioni su questo argomento, si osserveranno i dati di mercato e si cercherà di ricavare una possibile ipotesi su come questa tecnologia davvero alla portata di tutti diverrà, più o meno, importante in un futuro prossimo.

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BACKGROUND: The effect of alcohol on liver disease in HIV infection has not been well characterized. METHODS: We performed a cross-sectional multivariable analysis of the association between lifetime alcohol use and liver fibrosis in a longitudinal cohort of HIV-infected patients with alcohol problems. Liver fibrosis was estimated with 2 noninvasive indices, "FIB-4," which includes platelets, liver enzymes, and age; and aspartate aminotransferase/platelet ratio index ("APRI"), which includes platelets and liver enzymes. FIB-4 <1.45 and APRI <0.5 defined the absence of liver fibrosis. FIB-4 >3.25 and APRI >1.5 defined advanced liver fibrosis. The main independent variable was lifetime alcohol consumption (<150 kg, 150 to 600 kg, >600 kg). RESULTS: Subjects (n = 308) were 73% men, mean age 43 years, 49% with hepatitis C virus (HCV) infection, 60% on antiretroviral therapy, 49% with an HIV RNA load <1,000 copies/ml, and 18.7% with a CD4 count <200 cells/mm(3) . Forty-five percent had lifetime alcohol consumption >600 kg, 32.7% 150 to 600 kg, and 22.3% <150 kg; 33% had current heavy alcohol use, and 69% had >9 years of heavy episodic drinking. Sixty-one percent had absence of liver fibrosis and 10% had advanced liver fibrosis based on FIB-4. In logistic regression analyses, controlling for age, gender, HCV infection, and CD4 count, no association was detected between lifetime alcohol consumption and the absence of liver fibrosis (FIB-4 <1.45) (adjusted odds ratio [AOR] = 1.12 [95% CI: 0.25 to 2.52] for 150 to 600 kg vs. <150 kg; AOR = 1.11 [95% CI: 0.52 to 2.36] for >600 kg vs. <150 kg; global p = 0.95). Additionally, no association was detected between lifetime alcohol use and advanced liver fibrosis (FIB-4 >3.25). Results were similar using APRI, and among those with and without HCV infection. CONCLUSIONS: In this cohort of HIV-infected patients with alcohol problems, we found no significant association between lifetime alcohol consumption and the absence of liver fibrosis or the presence of advanced liver fibrosis, suggesting that alcohol may be less important than other known factors that promote liver fibrosis in this population.

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In January, 2010, the Petroleum Engineering department at Montana Tech moved into a new building, the Natural Resources Building, to start a new chapter in the history of the program on campus. Occupying a new building is a positive event, and it coincides with a surge of student enrollment which is prompted by industry needs and world energy demand. This time of new facilities and growing student numbers leads to the question of what the future has in store for the department. It also leads to reflection about where the department has been in the past. This history is a record and a story of that past.

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BACKGROUND Cardiac surgery with cardiopulmonary bypass is associated with mechanical manipulation of the ascending aorta that occasionally leads to type A aortic dissection (AAD). METHODS AND RESULTS One hundred three patients with surgical repair for AAD following nonaortic cardiac surgery were identified. With the use of logistic regression modeling, coronary artery bypass surgery (CABG), either isolated or combined with another procedure in the initial operation, was associated with significantly higher operative mortality in comparison with patients with non-CABG procedures at the time of AAD repair both for all patients (odds ratio, 2.90; 95% confidence interval, 1.09-7.72; P=0.033) and for patients with acute and chronic AAD≥30 days after the initial operation (odds ratio, 3.62; 95% confidence interval, 1.13-11.54; P=0.03). In patients who developed AAD late after the initial operation, operative mortality was highest in patients without preoperative coronary angiography and appropriate management of their native coronary artery disease and graft disease (odds ratio, 5.36; 95% confidence interval, 1.68-17.0; P=0.002). Nearly all the intimal dissection tears were located at sites of previous surgical trauma. Most of the ascending aortas that had dissected initially had a diameter≥40 mm with histological evidence of medial degeneration in resected tissue samples. CONCLUSIONS In patients who have undergone previous cardiac surgery, preexisting aortic wall pathology contributes to AAD with typical intimal damage at sites of mechanical trauma. The operative mortality was the highest in patients with previous CABG in comparison with patients with non-CABG procedures. Preoperative coronary angiography and operative management of native coronary and graft disease were significantly associated with outcome in patients with previous CABG.

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BACKGROUND During the past 25 years, many pregnancy and birth cohorts have been established. Each cohort provides unique opportunities for examining associations of early-life exposures with child development and health. However, to fully exploit the large amount of available resources and to facilitate cross-cohort collaboration, it is necessary to have accessible information on each cohort and its individual characteristics. The aim of this work was to provide an overview of European pregnancy and birth cohorts registered in a freely accessible database located at http://www.birthcohorts.net. METHODS European pregnancy and birth cohorts initiated in 1980 or later with at least 300 mother-child pairs enrolled during pregnancy or at birth, and with postnatal data, were eligible for inclusion. Eligible cohorts were invited to provide information on the data and biological samples collected, as well as the timing of data collection. RESULTS In total, 70 cohorts were identified. Of these, 56 fulfilled the inclusion criteria encompassing a total of more than 500,000 live-born European children. The cohorts represented 19 countries with the majority of cohorts located in Northern and Western Europe. Some cohorts were general with multiple aims, whilst others focused on specific health or exposure-related research questions. CONCLUSION This work demonstrates a great potential for cross-cohort collaboration addressing important aspects of child health. The web site, http://www.birthcohorts.net, proved to be a useful tool for accessing information on European pregnancy and birth cohorts and their characteristics.

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INTRODUCTION There is little data on stopping cholinesterase inhibitors in Dementia with Lewy bodies (DLB). Equally, it is not known if increasing the dose of cholinesterase inhibitors may help neuropsychiatric symptoms in advanced DLB. METHOD We conducted an open label trial with donepezil involving 16 patients with LBD when the dose was reduced and treatment stopped over 4 weeks. Another 7 patients were given a trial of an increased dose of donepezil (15 mg) to resolve rehyphen;emergent neuropsychiatric symptoms. RESULTS The slow discontinuation protocol was well tolerated in advanced DLB. Five of the seven patients given a trial of a higher dose of donepezil were rated as clinically improved after 12 weeks treatment. CONCLUSION Cholinesterase inhibitors can be discontinued slowly in advanced DLB. Increasing the dose of donepezil may be of benefit to some patients with DLB who experience a recurrence in their neuropsychiatric symptoms.

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OBJECTIVE The objective of this study was to compare functional impairments in dementia with Lewy bodies (DLB) and Alzheimer disease (AD) and their relationship with motor and neuropsychiatric symptoms. METHODS The authors conducted a cross-sectional study of 84 patients with DLB or AD in a secondary care setting. Patients were diagnosed according to published criteria for DLB and AD. The Bristol Activities of Daily Living Scale (BADLS) was used to assess functional impairments. Participants were also assessed using the Unified Parkinson's Disease Rating Scale (motor section), the Neuropsychiatric Inventory, and the Mini-Mental Status Examination. RESULTS Patients with DLB were more functionally impaired and had more motor and neuropsychiatric difficulties than patients with AD with similar cognitive scores. In both AD and DLB, there were correlations between total BADLS scores and motor and neuropsychiatric deficits. There was more impairment in the mobility and self-care components of the BADLS in DLB than in AD, and in DLB, these were highly correlated with UPDRS score. In AD, orientation and instrumental BADLS components were most affected. CONCLUSION The nature of functional disability differs between AD and DLB with additional impairments in mobility and self-care in DLB being mainly attributable to extrapyramidal motor symptoms. Consideration of these is important in assessment and management. Activities of daily living scales for use in this population should attribute the extent to which functional disabilities are related to cognitive, psychiatric, or motor dysfunction.

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Electron microprobe data are presented for chevkinite-group minerals from granulite-facies rocks and associated pegmatities of the Napier Complex and Mawson Station charnockite in East Antarctica and from the Eastern Ghats, South India. Their compositions conform to the general formula for this group, viz. A(4)BC(2)D(2)Si(4)O(22) where, in the analysed specimens A = (rare-earth elements (REE), Ca, Y, Th), B = Fe(2+) Mg, C = (Al, Mg, Ti, Fe(2+), Fe(3+), Zr) and D = Ti and plot within the perrierite field oftlic total Fe (as FeO) (wt.%) vs. CaO (wt.%) discriminator diagram of Macdonald and Belkin (2002). In contrast to most chevkinite-group minerals, the A site shows unusual enrichment in the MREE and HREE relative to the LREE and Ca. In one sample from the Napier Complex, Y is the dominant cation among the total REE + Y in the A site, the first reported case of Y-dominance in the chevkinite group. The minerals include the most Al-rich yet reported in the chevkinite group (<= 9.15 wt.% Al(2)O(3)), sufficient to fill the C site in two samples. Conversely, the amount of Ti in these samples does not fill the D site. and, thus, some of the Al could be making up the deficiency at D, a situation not previously reported in the chevkinite group. Fe abudances are low, requiring Mg to occupy up to 45% of the B site. The chevkinite-group minerals analysed originated from three distinct parageneses: (1) pegmatites containing hornblende and orthopyroxene or garnet; (2) orthopyroxene-bearing gneiss and granulite; (3) highly aluminous paragneisses in which the associated minerals are relatively magnesian or aluminous. Chevkinite-group minerals from the first two parageneses have relatively high FeO content and low MgO and Al(2)O(3) contents; their compositions plot in the field for mafic and intermediate igneous rocks. In contrast, chevkinite-group minerals from the third paragenesis are notably more aluminous and have greater Mg/Fe ratios.

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El presente trabajo constituye un primer acercamiento al estudio de los cuentos comprendidos en Debbie, vete a casa del escritor sudafricano Alan Paton (1903 - 1988). A modo de introducción, haremos una breve reseña biográfica del escritor (Martínez Lirola, 2008). Esta información resultará, a nuestro entender, relevante al momento de hacer una primera lectura del cuento "La casa dividida". Asimismo, nos proponemos examinar las relaciones de poder que se gestan en el interior del cuento a partir de un estudio discursivo de los parlamentos de los dos personajes principales: por un lado, un joven delincuente reincidente y, por el otro, el narrador en calidad de director del reformatorio en el que cumple su condena. Para el análisis de la configuración del discurso y de las relaciones de poder que se dan cita dentro del texto, adoptamos la perspectiva teórico-metodológica que ofrece Michel Foucault (2008 (1969)). Según nuestra hipótesis, la oposición entre el deseo y la realidad estructura el (doble) discurso de ambos personajes pero lleva a la construcción de dos sujetos bien diferentes, los cuales, sin embargo, y en virtud del contexto social en el que están insertos, son producto de las mismas relaciones de poder

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El presente trabajo constituye un primer acercamiento al estudio de los cuentos comprendidos en Debbie, vete a casa del escritor sudafricano Alan Paton (1903 - 1988). A modo de introducción, haremos una breve reseña biográfica del escritor (Martínez Lirola, 2008). Esta información resultará, a nuestro entender, relevante al momento de hacer una primera lectura del cuento "La casa dividida". Asimismo, nos proponemos examinar las relaciones de poder que se gestan en el interior del cuento a partir de un estudio discursivo de los parlamentos de los dos personajes principales: por un lado, un joven delincuente reincidente y, por el otro, el narrador en calidad de director del reformatorio en el que cumple su condena. Para el análisis de la configuración del discurso y de las relaciones de poder que se dan cita dentro del texto, adoptamos la perspectiva teórico-metodológica que ofrece Michel Foucault (2008 (1969)). Según nuestra hipótesis, la oposición entre el deseo y la realidad estructura el (doble) discurso de ambos personajes pero lleva a la construcción de dos sujetos bien diferentes, los cuales, sin embargo, y en virtud del contexto social en el que están insertos, son producto de las mismas relaciones de poder

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El presente trabajo constituye un primer acercamiento al estudio de los cuentos comprendidos en Debbie, vete a casa del escritor sudafricano Alan Paton (1903 - 1988). A modo de introducción, haremos una breve reseña biográfica del escritor (Martínez Lirola, 2008). Esta información resultará, a nuestro entender, relevante al momento de hacer una primera lectura del cuento "La casa dividida". Asimismo, nos proponemos examinar las relaciones de poder que se gestan en el interior del cuento a partir de un estudio discursivo de los parlamentos de los dos personajes principales: por un lado, un joven delincuente reincidente y, por el otro, el narrador en calidad de director del reformatorio en el que cumple su condena. Para el análisis de la configuración del discurso y de las relaciones de poder que se dan cita dentro del texto, adoptamos la perspectiva teórico-metodológica que ofrece Michel Foucault (2008 (1969)). Según nuestra hipótesis, la oposición entre el deseo y la realidad estructura el (doble) discurso de ambos personajes pero lleva a la construcción de dos sujetos bien diferentes, los cuales, sin embargo, y en virtud del contexto social en el que están insertos, son producto de las mismas relaciones de poder

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The Arctic sea-ice environment has been undergoing dramatic changes in the past decades; to which extent this will affect the deposition, fate, and effects of chemical contaminants remains virtually unknown. Here, we report the first study on the distribution and transport of mercury (Hg) across the ocean-sea-ice-atmosphere interface in the Southern Beaufort Sea of the Arctic Ocean. Despite being sampled at different sites under various atmospheric and snow cover conditions, Hg concentrations in first-year ice cores were generally low and varied within a remarkably narrow range (0.5-4 ng/L), with the highest concentration always in the surface granular ice layer which is characterized by enriched particle and brine pocket concentration. Atmospheric Hg depletion events appeared not to be an important factor in determining Hg concentrations in sea ice except for frost flowers and in the melt season when snowpack Hg leaches into the sea ice. The multiyear ice core showed a unique cyclic feature in the Hg profile with multiple peaks potentially corresponding to each ice growing/melting season. The highest Hg concentrations (up to 70 ng/L) were found in sea-ice brine and decrease as the melt season progresses. As brine is the primary habitat for microbial communities responsible for sustaining the food web in the Arctic Ocean, the high and seasonally changing Hg concentrations in brine and its potential transformation may have a major impact on Hg uptake in Arctic marine ecosystems under a changing climate.