993 resultados para 751


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Introduction: This study aimed to evaluate the close proximity established between the maxillary sinus floor and posterior teeth roots apices by using cone-beam computed tomographic scanning. Methods: The relationship of maxillary sinuses and posterior teeth roots, which were divided into 2 groups, was analyzed using i-CAT Vision software (Imaging Sciences, Hatfield, PA). Group 1 included all root apices found in close contact with the maxillary sinus floor without sinus floor elevation, whereas group 2 included all root apices that were protruded within the sinus producing an elevation of the bony cortical. Results: A total of 100 maxillary sinuses and 601 roots apices were evaluated. Group 1 presented 130 of 601 (21.6%) roots and group 2 presented 86 of 601 (14.3%) roots. Conclusions: The second molar mesiobuccal root apex is frequently found in close proximity with the sinus floor, and the relation between these anatomic structures should be considered in order to prevent an iatrogenic procedure and minimize the risks from an infectious disease within the sinus

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Objectives: Stimulation of salivary flow is considered a preventive strategy for dental erosion. Alternatively, products containing calcium phosphate, such as a complex of casein phosphopeptide–amorphous calcium phosphate (CPP–ACP), have also been tested against dental erosion. Therefore, this in situ study analyzed the effect of chewing gum containing CPP–ACP on the mineral precipitation of initial bovine enamel erosion lesions. Methods: Twelve healthy adult subjects wore palatal appliances with two eroded bovine enamel samples. The erosion lesions were produced by immersion in 0.1% citric acid (pH 2.5) for 7 min. During three experimental crossover in situ phases (1 day each), the subjects chewed a type of gum, 3 times for 30 min, in each phase: with CPP–ACP (trident total), without CPP–ACP (trident), and no chewing gum (control). The Knoop surface microhardness was measured at baseline, after erosion in vitro and the mineral precipitation in situ. The differences in the degree of mineral precipitation were analyzed using repeated measures (RM-) ANOVA and post hoc Tukey’s test ( p < 0.05). Results: Significant differences were found among the remineralizing treatments ( p < 0.0001). Chewing gum (19% of microhardness recovery) improved the mineral precipitation compared to control (10%) and the addition of CPP–ACP into the gum promoted the best mineral precipitation effect (30%). Conclusions: Under this protocol, CPP–ACP chewing gum improved the mineral precipitation of eroded enamel. Clinical significance: Since the prevalence of dental erosion is steadily increasing, CPP–ACP chewing gum might be an important strategy to reduce th eprogression of initial erosion lesions.

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Chemical abrasion was carried out on zircons grains of the Temora II standard for U-Pb dating prior to analyses using in situ Laser Ablation-MultiCollector Ion Coupled Plasma Mass Spectrometer (LA-ICPMS) followed by the Isotope Dissolution Thermal Ionization Mass Spectrometer (ID-TIMS) method. The proposed methodology was herein applied in order to reduce primarily the effects of secondary Pb loss, the presence of common lead and/or silicate impurities. Nine Temora II zircon grains were analyzed by the laser ablation method yielding an age of 418.3±4.3 Ma. Zircon grains of a same population were separated for chemical abrasion before dissolution and mass spectrometry analyses. Six fractions of them were separated for isotope dissolution using 235U-205Pb mixed spike after we have checked and assured the laboratory conditions of low blank values for total Pb of less than 2 pg/g. The obtained U-Pb zircon age by the ID-TIMS method was 415.7±1.8 Ma (error 0.43 %) based on four successful determinations. The results are consistent with the published ages for the Temora diorite (Temora I â 416.75±1.3 Ma; Temora II â 416.78±0.33 Ma) and established as 416±0.33 Ma. The technique is thus recommended for high precision U-Pb zircon analyses (error < 1 %), mainly for high resolution stratigraphic studies of Phanerozoic sequences.

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OBJECTIVE: The values of bone mineral density (BMD) were compared in postmenopausal women with and without breast cancer. METHODS: A cross-sectional study was conducted, including 51 breast cancer survivors (BCS) and 71 women without breast cancer, who were non-users of hormone therapy, tamoxifen, or aromatase inhibitors. BMD T-scores and measurements in grams per centimeter squared (g/cm²) were obtained at the femoral neck, trochanter, Ward's triangle, and lumbar spine. Osteopenia and osteoporosis were grouped and categorized as abnormal BMD. Unconditional logistic regression analysis was used to estimate the odds ratios (OR) of abnormal BMD values as measures of association, with 95% confidence intervals (CIs), adjusting for age, years since menopause, parity, and body mass index (BMI). RESULTS: The mean age of the women with and without breast cancer was 54.7 ± 5.8 years and 58.2 ± 4.8 years (p < 0.01), respectively. After adjusting for age, parity and BMI, abnormal BMD at the femoral neck (adjusted OR: 4.8; 95% CI: 1.5-15.4), trochanter (adjusted OR: 4.6; 95% CI: 1.4-15.5), and Ward's triangle (adjusted OR: 4.5; 95% CI: 1.5-12.9) were significantly more frequent in postmenopausal BCS than in women without breast cancer. Postmenopausal BCS had a significantly lower mean BMD at the trochanter (0.719 vs. 0.809 g/cm², p < 0.01) and at the Ward's triangle (0.751 vs. 0.805 g/cm², p = 0.03). CONCLUSION: The prevalence of abnormal BMD was higher in postmenopausal BCS than in postmenopausal women without breast cancer. Bone health requires special vigilance and the adoption of interventions should be instituted early to minimize bone loss in BCS.

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Questa Guida è stata fatta dalla docente con la collaborazione degli studenti che hanno seguito il corso di Linguistica generale nell'a.a. 2006-07. Una copia cartacea è depositata presso la Biblioteca del Dipartimento di Studi Linguistici e Orientali, via Zamboni 33. Verso la fine delle lezioni dell'a.a. 2007-08 sarà stilata una Guida corrispondente agli argomenti trattati durante il corso e al programma per l'esame di Linguistica generale.

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In questi ultimi anni il tema della sicurezza sismica degli edifici storici in muratura ha assunto particolare rilievo in quanto a partire soprattutto dall’ordinanza 3274 del 2003, emanata in seguito al sisma che colpì il Molise nel 2002, la normativa ha imposto un monitoraggio ed una classificazione degli edifici storici sotto tutela per quanto riguarda la vulnerabilità sismica (nel 2008, quest’anno, scade il termine per attuare quest’opera di classificazione). Si è posto per questo in modo più urgente il problema dello studio del comportamento degli edifici storici (non solo quelli che costituiscono monumento, ma anche e soprattutto quelli minori) e della loro sicurezza. Le Linee Guida di applicazione dell’Ordinanza 3274 nascono con l’intento di fornire strumenti e metodologie semplici ed efficaci per affrontare questo studio nei tempi previsti. Il problema si pone in modo particolare per le chiese, presenti in grande quantità sul territorio italiano e di cui costituiscono gran parte del patrimonio culturale; questi edifici, composti di solito da grandi elementi murari, non presentano comportamento scatolare, mancando orizzontamenti, elementi di collegamento efficace e muri di spina interni e sono particolarmente vulnerabili ad azioni sismiche; presentano inoltre un comportamento strutturale a sollecitazioni orizzontali che non può essere colto con un approccio globale basato, ad esempio, su un’analisi modale lineare: non ci sono modi di vibrare che coinvolgano una sufficiente parte di massa della struttura; si hanno valori dei coefficienti di partecipazione dei varii modi di vibrare minori del 10% (in generale molto più bassi). Per questo motivo l’esperienza e l’osservazione di casi reali suggeriscono un approccio di studio degli edifici storici sacri in muratura attraverso l’analisi della sicurezza sismica dei cosiddetti “macroelementi” in cui si può suddividere un edificio murario, i quali sono elementi che presentano un comportamento strutturale autonomo. Questo lavoro si inserisce in uno studio più ampio iniziato con una tesi di laurea dal titolo “Analisi Limite di Strutture in Muratura. Teoria e Applicazione all'Arco Trionfale” (M. Temprati), che ha studiato il comportamento dell’arco trionfale della chiesa collegiata di Santa Maria del Borgo a San Nicandro Garganico (FG). Suddividere un edificio in muratura in più elementi è il metodo proposto nelle Linee Guida, di cui si parla nel primo capitolo del presente lavoro: la vulnerabilità delle strutture può essere studiata tramite il moltiplicatore di collasso quale parametro in grado di esprimere il livello di sicurezza sismica. Nel secondo capitolo si illustra il calcolo degli indici di vulnerabilità e delle accelerazioni di danno per la chiesa di Santa Maria del Borgo, attraverso la compilazione delle schede dette “di II livello”, secondo quanto indicato nelle Linee Guida. Nel terzo capitolo viene riportato il calcolo del moltiplicatore di collasso a ribaltamento della facciata della chiesa. Su questo elemento si è incentrata l’attenzione nel presente lavoro. A causa della complessità dello schema strutturale della facciata connessa ad altri elementi dell’edificio, si è fatto uso del codice di calcolo agli elementi finiti ABAQUS. Della modellazione del materiale e del settaggio dei parametri del software si è discusso nel quarto capitolo. Nel quinto capitolo si illustra l’analisi condotta tramite ABAQUS sullo stesso schema della facciata utilizzato per il calcolo manuale nel capitolo tre: l’utilizzo combinato dell’analisi cinematica e del metodo agli elementi finiti permette per esempi semplici di convalidare i risultati ottenibili con un’analisi non-lineare agli elementi finiti e di estenderne la validità a schemi più completi e più complessi. Nel sesto capitolo infatti si riportano i risultati delle analisi condotte con ABAQUS su schemi strutturali in cui si considerano anche gli elementi connessi alla facciata. Si riesce in questo modo ad individuare con chiarezza il meccanismo di collasso di più facile attivazione per la facciata e a trarre importanti informazioni sul comportamento strutturale delle varie parti, anche in vista di un intervento di ristrutturazione e miglioramento sismico.

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We observed 82 healthy subjects, from both sexes, aged between 19 and 77 years. All subjects performed two different tests: for being scientifically acknowledged, the first one was used as a reference and it was a stress test (CPX). During the entire test, heart rate and gas exchange were recorded continuously; the second, the actual object of this study, was a submaximal test (TOP). Only heart rate was recorded continuously. The main purpose was to determinate an index of physical fitness as result of TOP. CPX test allowed us to individuate anaerobic threshold. We used an incremental protocol of 10/20 Watt/min, different by age. For our TOP test we used an RHC400 UPRIGHT BIKE, by Air Machine. Each subject was monitored for heart frequency. After 2 minutes of resting period there was a first step: 3 minutes of pedalling at a constant rate of 60 RPM, (40 watts for elder subjects and 60 watts for the younger ones). Then, the subject was allowed to rest for a recovery phase of 5 minutes. Third and last step consisted of 3 minutes of pedalling again at 60 RPM but now set to 60 watts for elder subjects and 80 watts for the young subjects. Finally another five minutes of recovery. A good correlation was found between TOP and CPX results especially between punctua l heart rate reserve (HRR’) and anaerobic threshold parameters such as Watt, VO2, VCO2 . HRR’ was obtained by subtracting maximal heart rate during TOP from maximal theoretic heart rate (206,9-(0,67*age)). Data were analyzed through cluster analysis in order to obtain 3 homogeneous groups. The first group contains the least fit subjects (inactive, women, elderly). The other groups contain the “average fit” and the fittest subjects (active, men, younger). Concordance between test resulted in 83,23%. Afterwards, a linear combinations of the most relevant variables gave us a formula to classify people in the correct group. The most relevant result is that this submaximal test is able to discriminate subjects with different physical condition and to provide information (index) about physical fitness through HRR’. Compared to a traditional incremental stress test, the very low load of TOP, short duration and extended resting period, make this new method suitable to very different people. To better define the TOP index, it is necessary to enlarge our subject sample especially by diversifying the age range.

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Im Rahmen dieser Arbeit wurde eine Routinemethode zur Differenzierung und Identifizierung von Unterlagssorten in jedem Verarbeitungsstadium, wie Holz, Pfropfrebe, bereits im Weinberg gepflanzte Rebe, entwickelt. Hierfür wurde eine Methode erarbeitet, die es ermöglicht, DNA aus Blättern, Holz und Wurzeln gleichermaßen zu extrahieren. Vermischungen von Unterlagssorten in einem Unterlagenholzbündel konnten bis zu 10% Fremd-Unterlagenholz durch eine RAPD-PCR nachgewiesen werden. Mit den 12mer Primer #722b und #722c wurden sortenspezifische Banden für die Unterlagssorten Börner, 8B, 3309C und 5BB festgestellt. Der Primers # 751 war in der Lage von 151 Unterlagssorten und Wildarten 144 Genotypen zu unterschieden. Mit Hilfe der Optimierung von RAMP-Zeiten konnten die Bandenmuster der sieben in Deutschland am häufigsten verwendeten Unterlagssorten auf zwei unterschiedlichen Thermocyclern reproduziert werden. Aufgrund der Optimierung der RAPD-PCR war es möglich, die zur Unterscheidung notwendigen Banden durch eine lineare Transformation anhand einer ermittelten Referenzbande mathematisch und graphisch darzustellen. Klone der Unterlagssorten SO4, 125AA und 5C, sowie die Unterlagssorte Binova, wurden auf die Unterscheidungsmöglichkeit hin mit RAPD, AFLP und SAMPL untersucht. Innerhalb der AFLP-/SAMPL-Methode bildeten die zu einer Sorte gehörenden Unterlagenklone ein Cluster, wobei Binova innerhalb der SO4 Klone zu finden war. Es wurden ‚unterlagssortenspezifische Banden’, ‚wiederholende Banden’ und ‚Einzelbanden’ gefunden.

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The thesis deals with the modularity conjecture for three-dimensional Calabi-Yau varieties. This is a generalization of the work of A. Wiles and others on modularity of elliptic curves. Modularity connects the number of points on varieties with coefficients of certain modular forms. In chapter 1 we collect the basics on arithmetic on Calabi-Yau manifolds, including general modularity results and strategies for modularity proofs. In chapters 2, 3, 4 and 5 we investigate examples of modular Calabi-Yau threefolds, including all examples occurring in the literature and many new ones. Double octics, i.e. Double coverings of projective 3-space branched along an octic surface, are studied in detail. In chapter 6 we deal with examples connected with the same modular forms. According to the Tate conjecture there should be correspondences between them. Many correspondences are constructed explicitly. We finish by formulating conjectures on the occurring newforms, especially their levels. In the appendices we compile tables of coefficients of weight 2 and weight 4 newforms and many examples of double octics.

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To prevent iatrogenic damage, transfusions of red blood cells should be avoided. For this, specific and reliable transfusion triggers must be defined. To date, the optimal hematocrit during the initial operating room (OR) phase is still unclear in patients with severe traumatic brain injury (TBI). We hypothesized that hematocrit values exceeding 28%, the local hematocrit target reached by the end of the initial OR phase, resulted in more complications, increased mortality, and impaired recovery compared to patients in whom hematocrit levels did not exceed 28%.