745 resultados para hinder
Resumo:
The effect produced by a warning stimulus(i) (WS) in reaction time (RT) tasks is commonly attributed to a facilitation of sensorimotor mechanisms by alertness. Recently, evidence was presented that this effect is also related to a proactive inhibition of motor control mechanisms. This inhibition would hinder responding to the WS instead of the target stimulus (TS). Some studies have shown that auditory WS produce a stronger facilitatory effect than visual WS. The present study investigated whether the former WS also produces a stronger inhibitory effect than the latter WS. In one session, the RTs to a visual target in two groups of volunteers were evaluated. In a second session, subjects reacted to the visual target both with (50% of the trials) and without (50% of the trials) a WS. During trials, when subjects received a WS, one group received a visual WS and the other group was presented with an auditory WS. In the first session, the mean RTs of the two groups did not differ significantly. In the second session, the mean RT of the two groups in the presence of the WS was shorter than in their absence. The mean RT in the absence of the auditory WS was significantly longer than the mean RT in the absence of the visual WS. Mean RTs did not differ significantly between the present conditions of the visual and auditory WS. The longer RTs of the auditory WS group as opposed to the visual WS group in the WS-absent trials suggest that auditory WS exert a stronger inhibitory influence on responsivity than visual WS.
Resumo:
Mörkertalet kring antalet barn som i Sverige utsätts för att bevittna familjevåld är stort och det finns inga exakta uppgifter över hur många som berörs. Enligt kommittén mot barnmisshandel handlar det om mellan 100 000 och 200 000 barn varje år. Det var först i mitten av nittiotalet som de utsatta barnen började uppmärksammas i större utsträckning och på senare tid har det börjat fokuseras mer kring olika former av behandlingsinsatser eftersom barnen anses vara i stort behov av bearbetning av sina upplevelser. I dag finns det ett tiotal relativt nystartade verksamheter runtom i landet som arbetar med behandling av barn som bevittnat familjevåld. Det övergripande syftet var att undersöka hur behandlingspersonalen vid de utvalda verksamheterna uppfattade sitt arbete och hur de tillämpade barnperspektivet. Syftet var även att jämföra informanternas utsagor med varandra samt med vad forskningen ansåg vara av vikt vid behandling av utsatta barn inom olika teman. Studien baserades på halvstrukturerade kvalitativa intervjuer med fem behandlare som arbetade vid fyra olika verksamheter. Resultatet redovisades utifrån citat av intervjupersonerna som sedan analyserades med hjälp av aktuell litteratur och forskning kring behandlingsarbete inom åtta teman samt barnperspektiv, dvs. utifrån några författare och forskare inspirerade av olika teoretiska utgångspunkter som tex. Inger Ekbom, Barbro Metell samt Atle Dyregrov m.fl.. Resultatet av undersökningen visade bl.a. att alla verksamheterna med undantag för vissa skillnader i struktur och innehåll i princip använde sig av samma arbetsmodeller, främst Trappanmodellen och Children are people too och alla koncentrerade sig på behandling av enbart barnet. Behandlarna var relativt samstämmiga när de beskrev hur de uppfattade sitt arbete, vad de ansåg vara viktigt att fokusera på och vilka hinder de urskiljde. Behandlarna delade även uppfattningen någorlunda om vad de ansåg vara barnets bästa utifrån ett barnperspektiv och hur man borde tillämpa barnperspektivet i praktiken. En huvudsaklig slutsats var att behandlingspersonalen vid de olika verksamheterna var förhållandevis eniga med varandra samt med vad forskningen visade men att det förekom vissa utmärkande skillnader särskilt gällande en av verksamheterna som även skiljde sig mer organisatoriskt jämfört med de övriga tre verksamheterna. Resultatet kunde dock inte generaliseras då det enbart grundades på utvalda intervjupersoners subjektiva erfarenheter av just deras behandlingsarbete.
Resumo:
Den svenska integrationspolitiken har som mål att verka för ett samhälle där alla människor har samma villkor och möjligheter. Trots detta har Sverige blivit ett alltmer segregerat samhälle där en stor del av befolkningen lever i utanförskap. Orsaken till den här utvecklingen har inom integrationspolitiken i stor utsträckning debatterats av ”experter”, medan de som drabbas av utanförskapet sällan får göra sina röster hörda. Syftet med studien är att lyfta fram röster från människor som befinner sig långt ifrån den plats i samhället där integrationspolitiken utformas samt att reflektera kring det sociala arbetets möjligheter att motverka utanförskap och marginalisering. Studiens har utförts enligt ett kvalitativt arbetssätt och det empiriska underlaget har bestått av fem halvstrukturerade intervjuer. Tre intervjuer har genomförts med personer som deltar i introduktionsprogrammet för nyanlända flyktingar och två med handläggare vid myndigheten som arbetar med introduktionen. Studien har undersökt hur respondenterna upplever introduktionsprocessen samt deras syn på strukturella hinder och nödvändiga förändringar för nyanlända flyktingars integration i samhället. Resultatet visar att främlingsfientliga attityder och diskriminering utgör strukturella hinder för nyanlända flyktingars etablering i Sverige samt att det sociala arbetet kan påverka integrationsprocessen genom ett reflexivt anti-rasistiskt förändringsarbete.
Resumo:
Sekretesslagen är en förutsättning för att socialt arbete ska fungera men många av de som dagligen använder sig av lagen uppfattar den som omfattande och svårtolkad. Uppsatsen syftar till att kartlägga sekretesslagens roll i samarbetet inom och mellan olika verksamheter som arbetar för barn och unga upp till 15 år, hur lagen påverkar det professionella arbetet kring dessa och förutsättningarna att tillgodose den enskilde individens behov. Undersökningen utgår från följande frågeställningar: Vilka brister finns i sekretesslagen, i tolkningen och brukandet av den? Utgör sekretesslagen ett hinder i samarbetet inom och mellan samhällets olika instanser? Kan sekretesslagen vara ett hinder mer än ett skydd för den enskilde individen? Vilka eventuella behov finns av förändringar i lagstiftningen? Utifrån kvantitativ metod utformades en enkät som personal inom förskola och skola, socialtjänst och BUP (barn och ungdomspsykiatrin) besvarade. Datamaterialet matades in i statistikprogrammet SPSS för analys. Resultatet visar på bristande kunskaper och utbildning om sekretesslagen i samtliga yrkeskategorier. Att sekretesslagen upplevs som ett hinder i såväl samarbete inom en verksamhet som mellan verksamheter. Sekretesslagen upplevdes slutligen också kunna vara mer ett hinder än ett skydd för den enskilde individen. Sekretesslagen är omfattande och inte lätt att tolka. Kanske skulle lagen kunna vara tydligare och inte lämna lika stort utrymme för tolkning. Vi tolkar dock resultatet som att det snarare är kompetensen hos de som brukar lagen som borde vara högre. Respondenterna i undersökningen har för lite utbildning om och för dålig kunskap kring sekretesslagen. Okunskapen ger upphov till tankefällor och feltolkningar av lagen.
Resumo:
Det här är en kvalitativ studie med syftet att studera föreningen som en etnisk gränsöverskridande mötesplats och social integrationsaktör. Metodologiskt strukturerades studien kring sju halvstrukturerade intervjuer med en föreningsordförande och föreningsaktiva medlemmar från en internationell vänskapsförening i en glesbygdskommun i Mellansverige. Empirin har analyserats utifrån en teoretisk utgångspunkt i socialt kapital. Resultatet visar att det både finns möjligheter för och hinder mot föreningen som etnisk gränsöverskridande mötesplats. Föreningen fungerar som etniskt överbryggande i betydelsen av att internt inom föreningen överbrygga etniska och språkliga skiljelinjer, men hinder mot att uppnå externa överbryggande värden begränsas av svårigheter att nå ut till närsamhället och till personer med svensk bakgrund i verksamheten. Föreningens betydelse som en social integrationsaktör framträder på tre centrala områden; föreningens betydelse för social gemenskap och socialt samspel och för kontakter och nätverk och slutligen som informationskanal. Föreningen har störst betydelse för föreningsaktiva med utländsk bakgrund, framförallt i ett socialt avseende.
Resumo:
Syftet med denna uppsats var att studera hur föreningen KRIS kan bidra till sina medlemmars återanpassning till samhället. Föreningen KRIS har som ambition att stötta människor som vill bryta upp med missbruk och kriminalitet och återanpassa dem tillbaka in i samhället. Studien utgick från fyra intervjuer där medlemmarna delade med sig av sina erfarenheter av föreningen KRIS. Jag använde mig av en kvalitativ metod med ett hermeneutiskt förhållningssätt för att förstå medlemmarnas upplevelser av KRIS. Genom denna metod fick jag inblick i vilken betydelse KRIS har för medlemmarnas återanpassning till samhället. För att tolka och dra slutsatser från intervjutexterna utfördes en innehållsanalys. Resultatet av intervjuerna visade att KRIS kan bidra till att återanpassa sina medlemmar till samhället. Medlemmarna får genom KRIS möjlighet att gradvis anpassa sig till ett drogfritt och hederligt liv där socialt stöd och formandet av nya livsstrategier är viktiga inslag i föreningslivet. Det framkom även att medlemmarna har ett antal hinder att övervinna innan målet med full delaktighet i samhället är uppnått. Låg utbildningsnivå och tidigare fängelsestraff är några faktorer som innebär social exkludering och svårigheter att finna arbete.
Resumo:
This study has investigated the question of relation between literacy practices in and out of school in rural Tanzania. By using the perspective of linguistic anthropology, literacy practices in five villages in Karagwe district in the northwest of Tanzania have been analysed. The outcome may be used as a basis for educational planning and literacy programs. The analysis has revealed an intimate relation between language, literacy and power. In Karagwe, traditional élites have drawn on literacy to construct and reconstruct their authority, while new élites, such as individual women and some young people have been able to use literacy as one tool to get access to power. The study has also revealed a high level of bilingualism and a high emphasis on education in the area, which prove a potential for future education in the area. At the same time discontinuity in language use, mainly caused by stigmatisation of what is perceived as local and traditional, such as the mother-tongue of the majority of the children, and the high status accrued to all that is perceived as Western, has turned out to constitute a great obstacle for pupils’ learning. The use of ethnographic perspectives has enabled comparisons between interactional patterns in schools and outside school. This has revealed communicative patterns in school that hinder pupils’ learning, while the same patterns in other discourses reinforce learning. By using ethnography, relations between explicit and implicit language ideologies and their impact in educational contexts may be revealed. This knowledge may then be used to make educational plans and literacy programmes more relevant and efficient, not only in poor post-colonial settings such as Tanzania, but also elsewhere, such as in Western settings.
Resumo:
[ES]En este trabajo hemos estudiado la relación entre la deposición de polvo atmosférico, y la abundancia y tasas de fijación de nitrógeno asociadas a Trichodesmium y fijadores unicelulares en las Islas Canarias. La fijación de nitrógeno asociada a los fijadores unicelulares aumentó entre el 86 y el 92% tras un evento de deposición de polvo atmosférico, mientras que la asociada a Trichodesmium disminuyó entre el 34 y el 92%. Tras el evento de deposición de polvo, aumentó la abundancia de fijadores unicelulares y la mayoría de éstos aparecieron asociados a partículas de materia orgánica. Creemos que esta estrategia les permite ligar el hierro que contiene el polvo y así poder usar este nutriente limitante.
Resumo:
Composite porcelain enamels are inorganic coatings for metallic components based on a special ceramic-vitreous matrix in which specific additives are randomly dispersed. The ceramic-vitreous matrix is made by a mixture of various raw materials and elements and in particular it is based on boron-silicate glass added with metal oxides(1) of titanium, zinc, tin, zirconia, alumina, ecc. These additions are often used to improve and enhance some important performances such as corrosion(2) and wear resistance, mechanical strength, fracture toughness and also aesthetic functions. The coating process, called enamelling, depends on the nature of the surface, but also on the kind of the used porcelain enamel. For metal sheets coatings two industrial processes are actually used: one based on a wet porcelain enamel and another based on a dry-silicone porcelain enamel. During the firing process, that is performed at about 870°C in the case of a steel substrate, the enamel raw material melts and interacts with the metal substrate so enabling the formation of a continuous varying structure. The interface domain between the substrate and the external layer is made of a complex material system where the ceramic vitreous and the metal constituents are mixed. In particular four main regions can be identified, (i) the pure metal region, (ii) the region where the metal constituents are dominant compared with the ceramic vitreous components, (iii) the region where the ceramic vitreous constituents are dominant compared with the metal ones, and the fourth region (iv) composed by the pure ceramic vitreous material. It has also to be noticed the presence of metallic dendrites that hinder the substrate and the external layer passing through the interphase region. Each region of the final composite structure plays a specific role: the metal substrate has mainly the structural function, the interphase region and the embedded dendrites guarantee the adhesion of the external vitreous layer to the substrate and the external vitreous layer is characterized by an high tribological, corrosion and thermal shock resistance. Such material, due to its internal composition, functionalization and architecture can be considered as a functionally graded composite material. The knowledge of the mechanical, tribological and chemical behavior of such composites is not well established and the research is still in progress. In particular the mechanical performances data about the composite coating are not jet established. In the present work the Residual Stresses, the Young modulus and the First Crack Failure of the composite porcelain enamel coating are studied. Due to the differences of the porcelain composite enamel and steel thermal properties the enamelled steel sheets have residual stresses: compressive residual stress acts on the coating and tensile residual stress acts on the steel sheet. The residual stresses estimation has been performed by measuring the curvature of rectangular one-side coated specimens. The Young modulus and the First Crack Failure (FCF) of the coating have been estimated by four point bending tests (3-7) monitored by means of the Acoustic Emission (AE) technique(5,6). In particular the AE information has been used to identify, during the bending tests, the displacement domain over which no coating failure occurs (Free Failure Zone, FFZ). In the FFZ domain, the Young modulus has been estimated according to ASTM D6272-02. The FCF has been calculated as the ratio between the displacement at the first crack of the coating and the coating thickness on the cracked side. The mechanical performances of the tested coated specimens have also been related and discussed to respective microstructure and surface characteristics by double entry charts.
Resumo:
The thesis main topic is the conflict between disclosure in financial markets and the need for confidentiality of the firm. After a recognition of the major dynamics of information production and dissemination in the stock market, the analysis moves to the interactions between the information that a firm is tipically interested in keeping confidential, such as trade secrets or the data usually covered by patent protection, and the countervailing demand for disclosure arising from finacial markets. The analysis demonstrates that despite the seeming divergence between informational contents tipically disclosed to investors and information usually covered by intellectual property protection, the overlapping areas are nonetheless wide and the conflict between transparency in financial markets and the firm’s need for confidentiality arises frequently and sistematically. Indeed, the company’s disclosure policy is based on a continuous trade-off between the costs and the benefits related to the public dissemination of information. Such costs are mainly represented by the competitive harm caused by competitors’ access to sensitive data, while the benefits mainly refer to the lower cost of capital that the firm obtains as a consequence of more disclosure. Secrecy shields the value of costly produced information against third parties’ free riding and constitutes therefore a means to protect the firm’s incentives toward the production of new information and especially toward technological and business innovation. Excessively demanding standards of transparency in financial markets might hinder such set of incentives and thus jeopardize the dynamics of innovation production. Within Italian securities regulation, there are two sets of rules mostly relevant with respect to such an issue: the first one is the rule that mandates issuers to promptly disclose all price-sensitive information to the market on an ongoing basis; the second one is the duty to disclose in the prospectus all the information “necessary to enable investors to make an informed assessment” of the issuers’ financial and economic perspectives. Both rules impose high disclosure standards and have potentially unlimited scope. Yet, they have safe harbours aimed at protecting the issuer need for confidentiality. Despite the structural incompatibility between public dissemination of information and the firm’s need to keep certain data confidential, there are certain ways to convey information to the market while preserving at the same time the firm’s need for confidentality. Such means are insider trading and selective disclosure: both are based on mechanics whereby the process of price reaction to the new information takes place without any corresponding activity of public release of data. Therefore, they offer a solution to the conflict between disclosure and the need for confidentiality that enhances market efficiency and preserves at the same time the private set of incentives toward innovation.
Resumo:
Die Doktorarbeit gliedert sich in zwei Abschnitte. Das erste Kapitel beschäftigt sich mit den hyperverzweigten Polyphenylenen. Es wurden Untersuchungen des Molekulargewichts in Abhängigkeit von der Monomerkonzentration und der Reaktionszeit durchgeführt. Die synthetisierten Polymere haben große Polydispersitäten, die durch fraktioniertes Fällen herabgesetzt werden können. Die Funktionalisierung der hyperverzweigten Polyphenylene mit unterschiedlichen Methoden führt zu verschiedenen Funktionen auf der Oberfläche der Polymere. Die chlormethylierten hyperverzweigen Polymere können als Makroinitiator für den Aufbau von Kern-Schale-Systemen genutzt werden. Mit Hilfe der ATRP-Polymerisation wurde Methylmethacrylat anpolymerisiert. Als Charakterisierungsmethode zur Bestimmung des freien Volumens findet die Positronenauslöschungsspektroskopie Anwendung. Im zweiten Teil der Arbeit stehen die Synthese und Charakterisierung von redoxaktiven Dendrimeren mit Triphenylamin- bzw. Naphthalinkern im Mittelpunkt. Den Einfluß der Dendrimerhülle auf die Redoxaktivität zeigen cyclovoltammetrische Untersuchungen. Die Zunahme der dendritischen Hülle führt zu einer Abschirmung des Redoxzentrums gegen die Elektrode und damit zu einer Inhibierung des Elektronentransfers. Das spiegelt sich in der Abnahme der Geschwindigkeitskonstanten sowie in der Ausdehnung der cyclovoltammetrischen Kurve wieder. Die Funktionalisierung der Triphenylamin-Dendrimere mit Chromophoren auf der Oberfläche führt zu einer Änderung der optische Eigenschaften, die mit Hilfe von Absorptions- und Emissionsmessungen untersucht wurden.
Resumo:
A main objective of the human movement analysis is the quantitative description of joint kinematics and kinetics. This information may have great possibility to address clinical problems both in orthopaedics and motor rehabilitation. Previous studies have shown that the assessment of kinematics and kinetics from stereophotogrammetric data necessitates a setup phase, special equipment and expertise to operate. Besides, this procedure may cause feeling of uneasiness on the subjects and may hinder with their walking. The general aim of this thesis is the implementation and evaluation of new 2D markerless techniques, in order to contribute to the development of an alternative technique to the traditional stereophotogrammetric techniques. At first, the focus of the study has been the estimation of the ankle-foot complex kinematics during stance phase of the gait. Two particular cases were considered: subjects barefoot and subjects wearing ankle socks. The use of socks was investigated in view of the development of the hybrid method proposed in this work. Different algorithms were analyzed, evaluated and implemented in order to have a 2D markerless solution to estimate the kinematics for both cases. The validation of the proposed technique was done with a traditional stereophotogrammetric system. The implementation of the technique leads towards an easy to configure (and more comfortable for the subject) alternative to the traditional stereophotogrammetric system. Then, the abovementioned technique has been improved so that the measurement of knee flexion/extension could be done with a 2D markerless technique. The main changes on the implementation were on occlusion handling and background segmentation. With the additional constraints, the proposed technique was applied to the estimation of knee flexion/extension and compared with a traditional stereophotogrammetric system. Results showed that the knee flexion/extension estimation from traditional stereophotogrammetric system and the proposed markerless system were highly comparable, making the latter a potential alternative for clinical use. A contribution has also been given in the estimation of lower limb kinematics of the children with cerebral palsy (CP). For this purpose, a hybrid technique, which uses high-cut underwear and ankle socks as “segmental markers” in combination with a markerless methodology, was proposed. The proposed hybrid technique is different than the abovementioned markerless technique in terms of the algorithm chosen. Results showed that the proposed hybrid technique can become a simple and low-cost alternative to the traditional stereophotogrammetric systems.
Resumo:
Cytochrome P450 1A1 (CYP1A1) monooxygenase plays an important role in the metabolism of environmental pollutants such as polycyclic aromatic hydrocarbons (PAHs) and halogenated polycyclic aromatic hydrocarbons (HAHs). Oxidation of these compounds converts them to the metabolites that subsequently can be conjugated to hydrophilic endogenous entities e.g. glutathione. Derivates generated in this way are water soluble and can be excreted in bile or urine, which is a defense mechanism. Besides detoxification, metabolism by CYP1A1 may lead to deleterious effects since the highly reactive intermediate metabolites are able to react with DNA and thus cause mutagenic effects, as it is in the case of benzo(a) pyrene (B[a]P). CYP1A1 is normally not expressed or expressed at a very low level in the cells but it is inducible by many PAHs and HAHs e.g. by B[a]P or 2,3,7,8-tetrachlorodibenzo-p-dioxin (TCDD). Transcriptional activation of the CYP1A1 gene is mediated by aryl hydrocarbon receptor (AHR), a basic-helix-loop-helix (bHLH) transcription factor. In the absence of a ligand AHR stays predominantly in the cytoplasm. Ligand binding causes translocation of AHR to the nuclear compartment, its heterodimerization with another bHLH protein, the aryl hydrocarbon nuclear translocator (ARNT) and binding of the AHR/ARNT heterodimer to a DNA motif designated dioxin responsive element (DRE). This process leads to the transcriptional activation of the responsive genes containing DREs in their regulatory regions, e.g. that coding for CYP1A1. TCDD is the most potent known agonist of AHR. Since it is not metabolized by the activated enzymes, exposure to this compound leads to a persisting activation of AHR resulting in diverse toxic effects in the organism. To enlighten the molecular mechanisms that mediate the toxicity of xenobiotics like TCDD and related compounds, the AHR-dependent regulation of the CYP1A1 gene was investigated in two cell lines: human cervix carcinoma (HeLa) and mouse hepatoma (Hepa). Study of AHR activation and its consequence concerning expression of the CYP1A1 enzyme confirmed the TCDD-dependent formation of the AHR/ARNT complex on DRE leading to an increase of the CYP1A1 transcription in Hepa cells. In contrast, in HeLa cells formation of the AHR/ARNT heterodimer and binding of a protein complex containing AHR and ARNT to DRE occurred naturally in the absence of TCDD. Moreover, treatment with TCDD did not affect the AHR/ARNT dimer formation and binding of these proteins to DRE in these cells. Even though the constitutive complex on DRE exists in HeLa, transcription of the CYP1A1 gene was not increased. Furthermore, the CYP1A1 level in HeLa cells remained unchanged in the presence of TCDD suggesting repressional mechanism of the AHR complex function which may hinder the TCDD-dependent mechanisms in these cells. Similar to the native, the mouse CYP1A1-driven reporter constructs containing different regulatory elements were not inducible by TCDD in HeLa cells, which supported a presence of cell type specific trans-acting factor in HeLa cells able to repress both the native CYP1A1 and CYP1A1-driven reporter genes rather than species specific differences between CYP1A1 genes of human and rodent origin. The different regulation of the AHR-mediated transcription of CYP1A1 gene in Hepa and HeLa cells was further explored in order to elucidate two aspects of the AHR function: (I) mechanism involved in the activation of AHR in the absence of exogenous ligand and (II) factor that repress function of the exogenous ligand-independent AHR/ARNT complex. Since preliminary studies revealed that the activation of PKA causes an activation of AHR in Hepa cells in the absence of TCDD, the PKA-dependent signalling pathway was the proposed endogenous mechanism leading to the TCDD-independent activation of AHR in HeLa cells. Activation of PKA by forskolin or db-cAMP as well as inhibition of the kinase by H89 in both HeLa and Hepa cells did not lead to alterations in the AHR interaction with ARNT in the absence of TCDD and had no effect on binding of these proteins to DRE. Moreover, the modulators of PKA did not influence the CYP1A1 activity in these cells in the presence and in the absence of TCDD. Thus, an involvement of PKA in the regulation of the CYP1A1 Gen in HeLa cells was not evaluated in the course of this study. Repression of genes by transcription factors bound to their responsive elements in the absence of ligands has been described for nuclear receptors. These receptors interact with protein complex containing histone deacetylase (HDAC), enzyme responsible for the repressional effect. Thus, a participation of histone deacetylase in the transcriptional modulation of CYP1A1 gene by the constitutively DNA-bound AHR/ARNT complex was supposed. Inhibition of the HDAC activity by trichostatin A (TSA) or sodium butyrate (NaBu) led to an increase of the CYP1A1 transcription in the presence but not in the absence of TCDD in Hepa and HeLa cells. Since amount of the AHR and ARNT proteins remained unchanged upon treatment of the cells with TSA or NaBu, the transcriptional upregulation of CYP1A1 gene was not due to an increased expression of the regulatory proteins. These findings strongly suggest an involvement of HDAC in the repression of the CYP1A1 gene. Similar to the native human CYP1A1 also the mouse CYP1A1-driven reporter gene transfected into HeLa cells was repressed by histone deacetylase since the presence of TSA or NaBu led to an increase in the reporter activity. Induction of reporter gene did not require a presence of the promoter or negative regulatory regions of the CYP1A1 gene. A promoter-distal fragment containing three DREs together with surrounding sequences was sufficient to mediate the effects of the HDAC inhibitors suggesting that the AHR/ARNT binding to its specific DNA recognition site may be important for the CYP1A1 repression. Histone deacetylase is recruited to the specific genes by corepressors, proteins that bind to the transcription factors and interact with other members of the HDAC complex. Western blot analyses revealed a presence of HDAC1 and the corepressors mSin3A (mammalian homolog of yeast Sin3) and SMRT (silencing mediator for retinoid and thyroid hormone receptor) in both cell types, while the corepressor NCoR (nuclear receptor corepressor) was expressed exclusively in HeLa cells. Thus the high inducibility of CYP1A1 in Hepa cells may be due to the absence of NCoR in these cells in contrast to the non-responsive HeLa cells, where the presence of NCoR would support repression of the gene by histone deacetylase. This hypothesis was verified in reporter gene experiments where expression constructs coding for the particular members of the HDAC complex were cotransfected in Hepa cells together with the TCDD-inducible reporter constructs containing the CYP1A1 regulatory sequences. An overexpression of NCoR however did not decrease but instead led to a slight increase of the reporter gene activity in the cells. The expected inhibition was observed solely in the case of SMRT that slightly reduced constitutive and TCDD-induced reporter gene activity. A simultaneous expression of NCoR and SMRT shown no further effects and coexpression of HDAC1 with the two corepressors did not alter this situation. Thus, additional factors that are likely involved in the repression of CYP1A1 gene by HDAC complex remained to be identified. Taking together, characterisation of an exogenous ligand independent AHR/ARNT complex on DRE in HeLa cells that repress transcription of the CYP1A1 gene creates a model system enabling investigation of endogenous processes involved in the regulation of AHR function. This study implicates HDAC-mediated repression of CYP1A1 gene that contributes to the xenobiotic-induced expression in a tissue specific manner. Elucidation of these processes gains an insight into mechanisms leading to deleterious effects of TCDD and related compounds.
Resumo:
Gegenstand der vorliegenden Arbeit sind die aktuellen Prozesse der Demokratisierung und der Dezentralisierung in Kamerun. Anhand eines Fallbeispiels wird dargestellt, welche Auswirkungen diese Prozesse auf das lokale Machtgefüge einer Gemeinde haben können. Das Ziel der Arbeit ist es, die Forschungsergebnisse aus der Gemeinde Foumbot eingebettet in den sozialwissenschaftlichen Diskurs um Demokratisierungs- und Dezentralisierungsprozesse in Afrika zu analysieren. Dabei werden mit Hilfe des akteursorientierten Ansatzes die wichtigsten Akteursgruppen der lokalen politischen Arena Foumbots zunächst im nationalen und regionalen Kontext dargestellt, bevor ihre Beziehung zueinander auf der lokalen Ebene analysiert wird. Die zentrale Fragestellung lautet: „Welche Auswirkungen haben die Demokratisierungs- und Dezentralisierungsprozesse auf das lokale Machtgefüge einer Gemeinde?“ Die Hypothese ist, dass die gesellschaftliche Dynamik, die durch die Demokratisierung ausgelöst wurde, durch die Dezentralisierung gehemmt wird. Der Dezentralisierungsprozess verstärkte die Heterogenität der lokalen politischen Arena, indem er neuen, demokratisch legitimierten Akteuren einen Machtzugang eröffnete. Gleichzeitig verstärkte er auch die Konflikte zwischen den Akteursgruppen, da der Machtgewinn einer Gruppe immer mit dem Machtverlust anderer Gruppen verbunden ist. Diese Konflikte blockieren nicht nur die neue, dezentralisierte Kommune, sondern letztlich den Dezentralisierungsprozess selbst.
Resumo:
This dissertation addresses the staminal lever mechanism of the genus Salvia. Various hypotheses referring to its purpose and function are tested and elucidated. The first hypothesis maintains that the lever is a mechanical selection mechanism which excludes weak pollinators from the flower. This hypothesis is refuted and the respective results of force measurements and morphological investigations are presented, statistically evaluated and discussed. The force measurements and morphological investigations were conducted on the staminal levers and flowers of 8 bee pollinated (melittophilous) and 6 bird pollinated (ornithophilous) species. For comparison a ninth melittophilous species that lacks the staminal lever was investigated. In this species the force measurements were conducted on floral structures that were suspected to hinder a flower visitor. The hypotheses, which state that the staminal lever is a tool for pollen portioning and reduces the risk of pollen loss as well as hybridisation due to its ability to perform a repeatable, accurate and species-specific pollen placement on a wide range of diverse pollinators, are confirmed. Investigations with respect to pollen portioning were carried out on 13 sages. The lever mechanism can be released several times in a row, while the pollen sacs leave a dosed pollen portion on a well defined spot on the pollinator‘s body. Pollen placement was investigated for 12 sages. In sympatric sages, lever length and the area of pollen placement are of particular interest. A shared pollinator bears species-specific areas of pollen placement for different sages. The accurate pollen placement ensures an efficient pollination. However, the question of the functionality of the lever mechanism can not be answered with absolute certainty. The lever‘s backswing is not caused by the adaxial lever arm; the adaxial lever arm is too light and too short to be an adequate counterweight to the abaxial lever arm. Therefore, the adaxial lever arm can not pull the abaxial lever arm to return it to its neutral position. But there are indications of a cellular mainspring in the filament. According to the current state of knowledge, this is the most plausible explanation for the lever's backswing, but further histological investigations on the joint of the lever mechanism are necessary to confirm this assumption.