622 resultados para SALMON GONADOTROPIN
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Rainbow trout Oncorhynchus mykiss triploids are regularly produced in fish farms to improve growth because the triploid females do not develop ovaries during the reproductive cycle. In this study, the tissue fatty acid allocations in triploid and diploid females were compared during the reproductive cycle to determine whether the ploidy influences the fatty acid profile of fish produced in aquaculture. The ovaries, liver, and white muscle fatty acid contents of diploid and triploid females were analyzed during the reproductive cycle. Diploid females tend to accumulate more polyunsaturated fatty acids than triploids during some phases of the reproductive cycle, and this profile was compensated by an increase in saturated and monounsaturated fatty acids in triploid females. Arachidonic acid (C20:4n6) was the main n6 polyunsaturated fatty acid in the ovaries of diploid females during the most advanced phases of the reproductive cycle, and docosahexaenoic acid (C22:6n3) was the main n3 polyunsaturated fatty acid. In triploid females, the percentage of both of these polyunsaturated fatty acids was lower than in diploid females during the most advanced phases of the reproductive cycle. In general, the lack of ovary development altered the hepatic synthesis of some fatty acids, mainly monounsaturated and polyunsaturated fatty acids, decreasing the content of the main fatty acids in the white muscle and, consequently, the mobilization of these specific fatty acids to the ovaries.
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Congenital gonadotropin-releasing hormone (GnRH) deficiency manifests as absent or incomplete sexual maturation and infertility. Although the disease exhibits marked locus and allelic heterogeneity, with the causal mutations being both rare and private, one causal mutation in the prokineticin receptor, PROKR2 L173R, appears unusually prevalent among GnRH-deficient patients of diverse geographic and ethnic origins. To track the genetic ancestry of PROKR2 L173R, haplotype mapping was performed in 22 unrelated patients with GnRH deficiency carrying L173R and their 30 first-degree relatives. The mutations age was estimated using a haplotype-decay model. Thirteen subjects were informative and in all of them the mutation was present on the same approximate to 123 kb haplotype whose population frequency is 10. Thus, PROKR2 L173R represents a founder mutation whose age is estimated at approximately 9000 years. Inheritance of PROKR2 L173R-associated GnRH deficiency was complex with highly variable penetrance among carriers, influenced by additional mutations in the other PROKR2 allele (recessive inheritance) or another gene (digenicity). The paradoxical identification of an ancient founder mutation that impairs reproduction has intriguing implications for the inheritance mechanisms of PROKR2 L173R-associated GnRH deficiency and for the relevant processes of evolutionary selection, including potential selective advantages of mutation carriers in genes affecting reproduction.
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Protein and lipid content as well as the fatty acid (FA) composition of storage tissues were analysed in two varieties of Oreochromis niloticus (Red-Stirling and Chitralada) and their hybrid. The animals were maintained in cages for 11 months. The samples were taken when the animals weighed 10, 50, 100, 250 and 500 g. The results showed that changes in the metabolic processes occur during an increase in body mass in both varieties of tilapia and also their hybrid, but that these differences are not found in animals collected at the commercial weight. The protein content of the fillet and liver decreased with growth and the same protein content associated with growth was found for fillet lipid content. The genetic variety did not influence the FA profile of the fillet, but different genotypes had different hepatic FA compositions. Even with the same lipid content, the hepatocytes of Chitralada accumulated higher levels of polyunsaturated fatty acids (PUFA) n6 in triglycerides and increased C22:6n3 in the hepatocyte membranes. The higher n6PUFA content was compensated by a lower fraction of saturated FA in the hepatocyte triglycerides. The skin of Chitralada also had higher n6PUFA and C22:6n3 contents, suggesting a higher ability to deposit PUFA in the skin due to alterations in the liver synthetic pathway.
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Background: Since noradrenergic innervation was described in the ovarian follicle, the actions of the intraovarian catecholaminergic system have been the focus of a variety of studies. We aimed to determine the gonadotropin-independent effects of the catecholamine norepinephrine (NE) in the steroid hormone profile of a serum-free granulosa cell (GC) culture system in the context of follicular development and dominance. Methods: Primary bovine GCs were cultivated in a serum-free, chemically defined culture system supplemented with 0.1% polyvinyl alcohol. The culture features were assessed by hormone measurements and ultrastructural characteristics of GCs. Results: GCs produced increasing amounts of estradiol and pregnenolone for 144h and maintained ultrastructural features of healthy steroidogenic cells. Progesterone production was also detected, although it significantly increased only after 96h of culture. There was a highly significant positive correlation between estradiol and pregnenolone production in high E2-producing cultures. The effects of NE were further evaluated in a dose response study. The highest tested concentration of NE (10 (-7) M) resulted in a significant increase in progesterone production, but not in estradiol or pregnenolone production. The specificity of NE effects on progesterone productio n was further investigated by incubating GCs with propranolol (10 (-8) M), a non-selective beta-adrenergic antagonist. Conclusions: The present culture system represents a robust model to study the impact of intrafollicular factors, such as catecholamines, in ovarian steroidogenesis and follicular development. The results of noradrenergic effects in the steroidogenesis of GC have implications on physiological follicular fate and on certain pathological ovarian conditions such as cyst formation and anovulation.
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Abstract Background Hydatidiform mole (HM) is characterized by abnormal proliferation of human trophoblast with producers functioning tissues of human chorionic gonadotropin. It can evolve with ovarian cysts tecaluteínicos, hypertension of pregnancy or hyperthyroidism. The incidence of HM is variable and its etiology poorly known, associated with nutritional factors, environmental, age, parity, history of HM, oral contraceptives, smoking, consanguinity or defects in germ cells. There is no reference in literature on HM resulting from sexual violence, objective of this report. Method Description of two cases of HM among 1146 patients with pregnancy resulting from sexual violence treated at Hospital Pérola Byington, São Paulo, from July 1994 to August 2011. Results The cases affected young, white, unmarried, low educated and low parity women. Sexual violence was perpetrated by known offenders unrelated to the victims, under death threat. Ultrasound and CT of the pelvis showed bulky uterus compatible with HM without myometrial invasion. One case was associated with theca lutein cysts. The two cases were diagnosed in the second trimester of pregnancy and evolved with hyperthyroidism. There was no hypertension, disease recurrence, metastasis or sexually transmitted infection. Conclusion The incidence of HM was 1:573 pregnancies resulting from rape, within the range estimated for Latin American countries. Trophoblastic material can be preserved to identify the violence perpetrator, considering only the paternal HM chromosomes. History of sexual violence should be investigated in cases of HM in the first half of adolescence and women in a vulnerable condition.
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CONTEXT: Interstitial pregnancy is a rare form of ectopic pregnancy for which the best therapeutic course of action has yet to be determined. Surgical intervention entails a high risk of hemorrhage due to the great vascularization of the cornual region of the uterus. Case descriptions facilitate the analysis of results and aid clinicians in determining the most appropriate course of action in these situations. CASE REPORT: In a patient with an ultrasound diagnosis of interstitial pregnancy, clinical treatment using methotrexate was chosen. However, after one week, there was a marked decline in the serum level of the β subunit of chorionic gonadotropin hormone, although an ultrasound examination revealed embryonic cardiac activity. A second dose of the chemotherapy was administered. Embryonic cardiac activity persisted 48 hours later. Video laparoscopy was performed to achieve right-side cornual resection, which resulted in satisfactory resolution of the case.
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Abstract Background Neonatal STZ treatment induces a state of mild hyperglycemia in adult rats that disrupts metabolism and maternal/fetal interactions. The aim of this study was investigate the effect of neonatal STZ treatment on the physical development, behavior, and reproductive function of female Wistar rats from infancy to adulthood. Methods At birth, litters were assigned either to a Control (subcutaneous (s.c.) citrate buffer, n = 10) or STZ group, (streptozotocin (STZ) - 100 mg/kg-sc, n = 6). Blood glucose levels were measured on postnatal days (PND) 35, 84 and 120. In Experiment 1 body weight, length and the appearance of developmental milestones such as eye and vaginal opening were monitored. To assess the relative contribution of the initial and long term effects of STZ treatment this group was subdivided based on blood glucose levels recorded on PND 120: STZ hyperglycemic (between 120 and 300 mg/dl) and STZ normoglycemic (under 120 mg/dl). Behavioral activity was assessed in an open field on PND 21 and 75. In Experiment 2 estrous cyclicity, sexual behavior and circulating gonadotropin, ovarian steroid, and insulin levels were compared between control and STZ-hyperglycemic rats. In all measures the litter was the experimental unit. Parametric data were analyzed using one-way or, where appropriate, two-way ANOVA and significant effects were investigated using Tukey’s post hoc test. Fisher’s exact test was employed when data did not satisfy the assumption of normality e.g. presence of urine and fecal boli on the open field between groups. Statistical significance was set at p < 0.05 for all data. Results As expected neonatal STZ treatment caused hyperglycemia and hypoinsulinemia in adulthood. STZ-treated pups also showed a temporary reduction in growth rate that probably reflected the early loss of circulating insulin. Hyperglycemic rats also exhibited a reduction in locomotor and exploratory behavior in the open field. Mild hyperglycemia did not impair gonadotropin levels or estrous cylicity but ovarian steroid concentrations were altered. Conclusions In female Wistar rats, neonatal STZ treatment impairs growth in infancy and results in mild hyperglycemia/hypoinsulinemia in adulthood that is associated with changes in the response to a novel environment and altered ovarian steroid hormone levels.
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Hundred forty-four Shaver White laying hens were used over a 4 week experimental period to investigate the effect of 3% of soybean oil, corn oil (MIL), canola oil, flaxseed oil (LIN), salmon oil (SAL) or tuna and sardine oil (SR/AT) added to the diets, upon the fatty acid egg yolk composition, blood plasma levels and incorporation time of each fatty acid into the egg yolk. Hens were allocated into 72 cages and the experimental design was a 6 x 6 randomized factorial model. Hens fed 3% of different oils, responded with increased polyunsaturated fatty acids omega 3 (ω-3 PUFAs), except for corn oil. The addition of flaxseed, soybean or corn oil into the diet increased the PUFAs levels into the egg yolk and in the blood plasma. Adding tuna and sardine oil into the diet increased the concentration of yolk saturated fatty acids. The levels of ω-3 PUFAs were increased in the tuna and sardine oil treatment, while the flaxseed oil increased the plasma fatty acids. The deposition of 349.28 mg/yolk of a-linolenic fatty acids (ALA) was higher in the group fed LIN, while the higher equal to 157.13 mg DHA/yolk was observed in group SR/AT. In the plasma, deposition increased from 0.33% (MIL) for 6.29% ALA (LIN), while that of DHA increase of 0.47% (MIL) for 4.24% (SAL) and 4.48% (SR/AT) and of 0.98% (MIL) for 6.14% (SR/AT) and 8.44% (LIN) of ω-3 PUFAs. The percentage of EPA into the yolk and plasma was higher for the hens fed 3% tuna and sardine oil diet, as well as the levels of yolk DHA. The concentration of DHA into the plasma was higher for the salmon and tuna/sardine oil treatments. The PUFAs yolk decreased during the first eight days of experiment, while the ω-3 PUFAs increased during the same period. The concentration of ALA increased until ten days of experiment, while the percentage of EPA and DHA increased up to the eighth experimental day
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The aim of the present study was to evaluate the effects of the PGF2˛treatment givenat the onset of a synchronization of ovulation protocol using a norgestomet (NORG) earimplant on ovarian follicular dynamics (Experiment 1) and pregnancy per AI (P/AI; Exper-iment 2) in cyclic (CL present) Bos indicus heifers. In Experiment 1, a total of 46 heiferswere presynchronized using two consecutive doses of PGF2˛12 days apart. At first dayof the synchronization protocol the heifers received implants containing 3 mg of NORGand 2 mg of estradiol benzoate (EB). At the same time, heifers were randomly assignedto receive 150 mg of d-cloprostenol (n = 23; PGF2˛) or no additional treatment (n = 23;Control). When the ear implants were removed 8 days later, all heifers received a PGF2˛treatment and 1 mg of EB was given 24 h later. The follicular diameter and interval toovulation were determined by transrectal ultrasonography. No effects of PGF2˛treat-ment on the diameter of the largest follicle present were observed at implant removal(PGF2˛= 9.8 ± 0.4 vs. Control = 10.0 ± 0.3 mm; P = 0.73) or after 24 h (PGF2˛= 11.1 ± 0.4 vs.Control = 11.0 ± 0.4 mm; P = 0.83). No differences in the time of ovulation after ear implantremoval (PGF2˛= 70.8 ± 1.2 vs. Control = 73.3 ± 0.9 h; P = 0.10) or in the ovulation rate(PGF2˛= 87.0 vs. Control = 82.6%; P = 0.64) between treatments were observed. In Experi-ment 2, 280 cyclic heifers were synchronized using the same experimental design describedabove (PGF2˛; n = 143 and Control; n = 137), at random day of the estrous cycle. All heifersreceived 300 IU of equine chorionic gonadotropin (eCG) and 0.5 mg of estradiol cypionate(as ovulatory stimulus) when the NORG ear implants were removed. Timed artificial insem-ination (TAI) was performed 48 h after implant removal and the pregnancy diagnosis wasconducted 30 days later. No effects on the P/AI due to PGF2˛treatment were observed(PGF2˛= 51.7 vs. Control = 57.7%; P = 0.29). In conclusion, PGF2˛treatment at the onset ofNORG-based protocols for the synchronization of ovulation did not alter the ovarian follic-ular responses or the P/AI in cyclic Bos indicus beef heifers synchronized for TAI.
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BACKGROUND: Studies in men are not consistent regarding the effects of thyroid hormone on the production of gonadotropins. In hypothyroidism consequent to diverse causes, an increase or no change in serum luteinizing hormone (LH) have been reported. The attempt to explain the mechanisms involved in this pathology using rats as an experimental model also seems to repeat this divergence, since hypothyroidism has been shown to induce hypogonadotropic hypogonadism, a hypergonadotropic state, or not to affect the basal levels of LH. Notably, the promoter region of the gene encoding the Lh beta subunit and GnRH (gonadotropin-releasing factor) does not contain a thyroid responsive element. Therefore, we investigated the hypothesis that, in male rats, posttranscriptional mechanisms of LH synthesis are altered in hypothyroidism. We also attempted to determine if hypothyroidism directly affects testicular function in male rats. METHODS: Male Wistar rats, 60 days old, were thyroidectomized or sham-operated. After 20 days, they were decapitated, and the pituitaries were collected and analyzed for Lh mRNA, LH content, poly(A) tail length, and polysome profile. The testes were collected and analyzed for Lh receptor mRNA, LH receptor content, and histology using morphometric analyses. The testis, epididymis, seminal vesicle, and ventral prostate were weighed, and serum concentrations of LH, testosterone, thyrotropin (TSH), and triiodothyronine (T3) were measured. RESULTS: Hypothyroidism was associated, in the pituitary, with an increase in Lh mRNA expression, a reduction in Lh mRNA poly(A) tail length, a reduction in the number of LH transcripts associated with polysomes. Pituitary LH was decreased but serum LH was increased from 102 to 543 pg/mL. Despite this, serum testosterone concentrations were decreased from 1.8 to 0.25 ng/mL. A decreased germinative epithelium height of the testes and a reduced weight of androgen-responsive tissues were observed (ventral prostrate: 74 vs. 23 mg/100 g body weight [BW]; seminal vesicle undrained: 280 vs. 70 mg/100 g BW; and seminal vesicle drained: 190 vs. 60 mg/100 g BW). CONCLUSIONS: Hypothyroidism in adult male rats has dual effects on the pituitary testicular axis. It alters posttranscriptional mechanisms of LH synthesis and probably has a direct effect on testicular function. However, these data suggest the possibility that reduced LH bioactivity may account in part for impaired testicular function.
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Objetivo: O objetivo deste estudo foi comparar o efeito do tratamento hormonal do hormônio Gonadotrofina Coriônica Humana (HCG), em dois esquemas posológicos diferentes, ao placebo quanto sua efetividade e segurança no tratamento da Criptorquidia. Métodos: Este estudo é um ensaio clínico randomizado, duplo-cego, placebo-controlado de 14 semanas. A amostra de 92 pacientes que foram randomizados para o grupo-HCG dias alternados, denominados de Grupo G1 (N = 29), para o grupo HCG a cada quatro dias, denominados Grupo G4 (N= 33) e o grupo-placebo, denominados como Grupo O(N = 30). 2. Os desfechos clínicos primários para este estudo foram 1) Cura, 2) Melhora, 3) Não Cura. Os desfechos complementares foram: 4) Efeitos adversos, 5) Níveis séricos hormonais. Resultados: Não existiram diferenças entre os grupos HCG dias alternados, HCG a cada quatro dias e placebo para as medidas dos desfechos primários. 1) Cura: G1: 3/29(3,3%), G4: 4/33(4,3%) e O: 3/30(3,3%) 2) Melhora: G1:3/29(3,3%), G4: 1/33(1,1%) e O: 3/30(3,3%). 3) Não Cura: G1: 23/29(25%), G4: 28/33(30,4%) e O: 24/30(26,1%) p=0,815. 4) Os efeitos adversos mais freqüentes em nossa amostra foram: Aumento do numero de ereções: não foi possível avaliar. 5) Níveis séricos hormonais: Testosterona sérica: G1: de 34,15 ± 5,8ng/ml; G4: 49,6± 5,6 ng/ml e O: 7,5± 3,5ng/ml. Hormônio Luteinizante (LH): G1: 0,22± 0,2 , G4: 0,07±0,1 e O: 0,08±0,02 Hormônio Folículo Estimulante (FSH): G1: 0,88±0,16, G4: 0,3±0,1 e O 1,15±0,6. Conclusão: Não foi encontrada nenhuma diferença estatística no tratamento com HCG, independente da posologia adotada, e placebo. Os autores concluem a hormonioterapia com HCG não demonstrou superioridade na eficácia e ou segurança no tratamento da criptorquidia ao placebo.
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Modern food production is a complex, globalized system in which what we eat and how it is produced are increasingly disconnected. This thesis examines some of the ways in which global trade has changed the mix of inputs to food and feed, and how this affects food security and our perceptions of sustainability. One useful indicator of the ecological impact of trade in food and feed products is the Appropriated Ecosystem Areas (ArEAs), which estimates the terrestrial and aquatic areas needed to produce all the inputs to particular products. The method is introduced in Paper I and used to calculate and track changes in imported subsidies to Swedish agriculture over the period 1962-1994. In 1994, Swedish consumers needed agricultural areas outside their national borders to satisfy more than a third of their food consumption needs. The method is then applied to Swedish meat production in Paper II to show that the term “Made in Sweden” is often a misnomer. In 1999, almost 80% of manufactured feed for Swedish pigs, cattle and chickens was dependent on imported inputs, mainly from Europe, Southeast Asia and South America. Paper III examines ecosystem subsidies to intensive aquaculture in two nations: shrimp production in Thailand and salmon production in Norway. In both countries, aquaculture was shown to rely increasingly on imported subsidies. The rapid expansion of aquaculture turned these countries from fishmeal net exporters to fishmeal net importers, increasingly using inputs from the Southeastern Pacific Ocean. As the examined agricultural and aquacultural production systems became globalized, levels of dependence on other nations’ ecosystems, the number of external supply sources, and the distance to these sources steadily increased. Dependence on other nations is not problematic, as long as we are able to acknowledge these links and sustainably manage resources both at home and abroad. However, ecosystem subsidies are seldom recognized or made explicit in national policy or economic accounts. Economic systems are generally not designed to receive feedbacks when the status of remote ecosystems changes, much less to respond in an ecologically sensitive manner. Papers IV and V discuss the problem of “masking” of the true environmental costs of production for trade. One of our conclusions is that, while the ArEAs approach is a useful tool for illuminating environmentally-based subsidies in the policy arena, it does not reflect all of the costs. Current agricultural and aquacultural production methods have generated substantial increases in production levels, but if policy continues to support the focus on yield and production increases alone, taking the work of ecosystems for granted, vulnerability can result. Thus, a challenge is to develop a set of complementary tools that can be used in economic accounting at national and international scales that address ecosystem support and performance. We conclude that future resilience in food production systems will require more explicit links between consumers and the work of supporting ecosystems, locally and in other regions of the world, and that food security planning will require active management of the capacity of all involved ecosystems to sustain food production.
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La tesi si occupa della teoria delle ranking functions di W. Spohn, dottrina epistemologica il cui fine è dare una veste logica rigorosa ai concetti di causalità, legge di natura, spiegazione scientifica, a partire dalla nozione di credenza. Di tale teoria manca ancora una esposizione organica e unitaria e, soprattutto, formulata in linguaggio immediatamente accessibile. Nel mio lavoro, che si presenta come introduzione ad essa, è anche messa a raffronto con le teorie che maggiormente l’hanno influenzata o rispetto alle quali si pone come avversaria. Il PRIMO CAPITOLO si concentra sulla teoria di P. Gärdenfors, il più diretto predecessore e ispiratore di Spohn. Questo consente al lettore di acquisire familiarità con le nozioni di base della logica epistemica. La conoscenza, nella teoria del filosofo svedese, è concepita come processo di acquisizione ed espulsione di credenze, identificate con proposizioni, da un insieme. I tre maggiori fenomeni epistemici sono l’espansione, la revisione e la contrazione. Nel primo caso si immagazzina una proposizione in precedenza sconosciuta, nel secondo se ne espelle una a causa dell’acquisizione della sua contraddittoria, nel terzo si cancella una proposizione per amore di ipotesi e si investigano le conseguenze di tale cancellazione. Controparte linguistica di quest’ultimo fenomeno è la formulazione di un condizionale controfattuale. L’epistemologo, così come Gärdenfors concepisce il suo compito, è fondamentalmente un logico che deve specificare funzioni: vale a dire, le regole che deve rispettare ciascun passaggio da un insieme epistemico a un successivo per via di espansione, revisione e contrazione. Il SECONDO CAPITOLO tratta infine della teoria di Spohn, cercando di esporla in modo esauriente ma anche molto semplice. Anche in Spohn evidentemente il concetto fondamentale è quello di funzione: si tratta però in questo caso di quella regola di giudizio soggettivo che, a ciascuna credenza, identificata con una proposizione, associa un grado (un rank), espresso da un numero naturale positivo o dallo zero. Un rank è un grado di non-credenza (disbelief). Perché la non-credenza (che comporta un notevole appesantimento concettuale)? Perché le leggi della credenza così concepite presentano quella che Spohn chiama una “pervasiva analogia” rispetto alle leggi della probabilità (Spohn la chiama persino “armonia prestabilita” ed è un campo su cui sta ancora lavorando). Essenziale è il concetto di condizionalizzazione (analogo a quello di probabilità condizionale): a una credenza si associa un rank sulla base di (almeno) un’altra credenza. Grazie a tale concetto Spohn può formalizzare un fenomeno che a Gärdenfors sfugge, ossia la presenza di correlazioni interdoxastiche tra le credenze di un soggetto. Nella logica epistemica del predecessore, infatti, tutto si riduce all’inclusione o meno di una proposizione nell’insieme, non si considerano né gradi di credenza né l’idea che una credenza sia creduta sulla base di un’altra. Il TERZO CAPITOLO passa alla teoria della causalità di Spohn. Anche questa nozione è affrontata in prospettiva epistemica. Non ha senso, secondo Spohn, chiedersi quali siano i tratti “reali” della causalità “nel mondo”, occorre invece studiare che cosa accade quando si crede che tra due fatti o eventi sussista una correlazione causale. Anche quest’ultima è fatta oggetto di una formalizzazione logica rigorosa (e diversificata, infatti Spohn riconosce vari tipi di causa). Una causa “innalza lo status epistemico” dell’effetto: vale a dire, quest’ultimo è creduto con rank maggiore (ossia minore, se ci si concentra sulla non-credenza) se condizionalizzato sulla causa. Nello stesso capitolo espongo la teoria della causalità di Gärdenfors, che però è meno articolata e minata da alcuni errori. Il QUARTO CAPITOLO è tutto dedicato a David Lewis e alla sua teoria controfattuale della causalità, che è il maggiore avversario tanto di Spohn quanto di Gärdenfors. Secondo Lewis la migliore definizione di causa può essere data in termini controfattuali: la causa è un evento tale che, se non fosse accaduto, nemmeno l’effetto sarebbe accaduto. Naturalmente questo lo obbliga a specificare una teoria delle condizioni di verità di tale classe di enunciati che, andando contro i fatti per definizione, non possono essere paragonati alla realtà. Lewis ricorre allora alla dottrina dei mondi possibili e della loro somiglianza comparativa, concludendo che un controfattuale è vero se il mondo possibile in cui il suo antecedente e il suo conseguente sono veri è più simile al mondo attuale del controfattuale in cui il suo antecedente è vero e il conseguente è falso. Il QUINTO CAPITOLO mette a confronto la teoria di Lewis con quelle di Spohn e Gärdenfors. Quest’ultimo riduce i controfattuali a un fenomeno linguistico che segnala il processo epistemico di contrazione, trattato nel primo capitolo, rifiutando così completamente la dottrina dei mondi possibili. Spohn non affronta direttamente i controfattuali (in quanto a suo dire sovraccarichi di sottigliezze linguistiche di cui non vuole occuparsi – ha solo un abbozzo di teoria dei condizionali) ma dimostra che la sua teoria è superiore a quella di Lewis perché riesce a rendere conto, con estrema esattezza, di casi problematici di causalità che sfuggono alla formulazione controfattuale. Si tratta di quei casi in cui sono in gioco, rafforzandosi a vicenda o “concorrendo” allo stesso effetto, più fattori causali (casi noti nella letteratura come preemption, trumping etc.). Spohn riesce a renderne conto proprio perché ha a disposizione i rank numerici, che consentono un’analisi secondo cui a ciascun fattore causale è assegnato un preciso ruolo quantitativamente espresso, mentre la dottrina controfattuale è incapace di operare simili distinzioni (un controfattuale infatti è vero o falso, senza gradazioni). Il SESTO CAPITOLO si concentra sui modelli di spiegazione scientifica di Hempel e Salmon, e sulla nozione di causalità sviluppata da quest’ultimo, mettendo in luce soprattutto il ruolo (problematico) delle leggi di natura e degli enunciati controfattuali (a questo proposito sono prese in considerazione anche le famose critiche di Goodman e Chisholm). Proprio dalla riflessione su questi modelli infatti è scaturita la teoria di Gärdenfors, e tanto la dottrina del filosofo svedese quanto quella di Spohn possono essere viste come finalizzate a rendere conto della spiegazione scientifica confrontandosi con questi modelli meno recenti. Il SETTIMO CAPITOLO si concentra sull’analisi che la logica epistemica fornisce delle leggi di natura, che nel capitolo precedente sono ovviamente emerse come elemento fondamentale della spiegazione scientifica. Secondo Spohn le leggi sono innanzitutto proposizioni generali affermative, che sono credute in modo speciale. In primo luogo sono credute persistentemente, vale a dire, non sono mai messe in dubbio (tanto che se si incappa in una loro contro-istanza si va alla ricerca di una violazione della normalità che la giustifichi). In secondo luogo, guidano e fondano la credenza in altre credenze specifiche, che sono su di esse condizionalizzate (si riprendono, con nuovo rigore logico, le vecchie idee di Wittgenstein e di Ramsey e il concetto di legge come inference ticket). In terzo luogo sono generalizzazioni ricavate induttivamente: sono oggettivazioni di schemi induttivi. Questo capitolo si sofferma anche sulla teoria di legge offerta da Gärdenfors (analoga ma embrionale) e sull’analisi che Spohn fornisce della nozione di clausola ceteris paribus. L’OTTAVO CAPITOLO termina l’analisi cominciata con il sesto, considerando finalmente il modello epistemico della spiegazione scientifica. Si comincia dal modello di Gärdenfors, che si mostra essere minato da alcuni errori o comunque caratterizzato in modo non sufficientemente chiaro (soprattutto perché non fa ricorso, stranamente, al concetto di legge). Segue il modello di Spohn; secondo Spohn le spiegazioni scientifiche sono caratterizzate dal fatto che forniscono (o sono finalizzate a fornire) ragioni stabili, vale a dire, riconducono determinati fenomeni alle loro cause e tali cause sono credute in modo persistente. Con una dimostrazione logica molto dettagliata e di acutezza sorprendente Spohn argomenta che simili ragioni, nel lungo periodo, devono essere incontrate. La sua quindi non è solo una teoria della spiegazione scientifica che elabori un modello epistemico di che cosa succede quando un fenomeno è spiegato, ma anche una teoria dello sviluppo della scienza in generale, che incoraggia a perseguire la ricerca delle cause come necessariamente coronata da successo. Le OSSERVAZIONI CONCLUSIVE fanno il punto sulle teorie esposte e sul loro raffronto. E’ riconosciuta la superiorità della teoria di Spohn, di cui si mostra anche che raccoglie in pieno l’eredità costruttiva di Hume, al quale gli avversari si rifanno costantemente ma in modo frammentario. Si analizzano poi gli elementi delle teorie di Hempel e Salmon che hanno precorso l’impostazione epistemica. La teoria di Spohn non è esente però da alcuni punti ancora problematici. Innanzitutto, il ruolo della verità; in un primo tempo Spohn sembra rinunciare, come fa esplicitamente il suo predecessore, a trattare la verità, salvo poi invocarla quando si pone il grave problema dell’oggettivazione delle ranking functions (il problema si presenta poiché di esse inizialmente si dice che sono regole soggettive di giudizio e poi si identificano in parte con le leggi di natura). C’è poi la dottrina dei gradi di credenza che Spohn dice presentarsi “unitamente alle proposizioni” e che costituisce un inutile distacco dal realismo psicologico (critica consueta alla teoria): basterebbe osservare che i gradi di credenza sono ricavati o per condizionalizzazione automatica sulla base del tipo di fonte da cui una proposizione proviene, o per paragone immaginario con altre fonti (la maggiore o minore credenza infatti è un concetto relazionale: si crede di più o di meno “sulla base di…” o “rispetto a…”). Anche la trattazione delle leggi di natura è problematica; Spohn sostiene che sono ranking functions: a mio avviso invece esse concorrono a regole di giudizio, che prescrivono di impiegare le leggi stesse per valutare proposizioni o aspettative. Una legge di natura è un ingranaggio, per così dire, di una valutazione di certezza ma non si identifica totalmente con una legge di giudizio. I tre criteri che Spohn individua per distinguere le leggi poi non sono rispettati da tutte e sole le leggi stesse: la generalizzazione induttiva può anche dare adito a pregiudizi, e non di tutte le leggi si sono viste, individualmente, istanze ripetute tanto da giustificarle induttivamente. Infine, un episodio reale di storia della scienza come la scoperta della sintesi dell’urea da parte di F. Wöhler (1828 – ottenendo carbammide, organico, da due sostanze inorganiche, dimostra che non è vera la legge di natura fini a quel momento presunta tale secondo cui “sostanze organiche non possono essere ricavate da sostanze inorganiche”) è indice che le leggi di natura non sono sempre credute in modo persistente, cosicché per comprendere il momento della scoperta è pur sempre necessario rifarsi a una teoria di tipo popperiano, rispetto alla quale Spohn presenta invece la propria in assoluta antitesi.
Resumo:
Context-aware computing is currently considered the most promising approach to overcome information overload and to speed up access to relevant information and services. Context-awareness may be derived from many sources, including user profile and preferences, network information, sensor analysis; usually context-awareness relies on the ability of computing devices to interact with the physical world, i.e. with the natural and artificial objects hosted within the "environment”. Ideally, context-aware applications should not be intrusive and should be able to react according to user’s context, with minimum user effort. Context is an application dependent multidimensional space and the location is an important part of it since the very beginning. Location can be used to guide applications, in providing information or functions that are most appropriate for a specific position. Hence location systems play a crucial role. There are several technologies and systems for computing location to a vary degree of accuracy and tailored for specific space model, i.e. indoors or outdoors, structured spaces or unstructured spaces. The research challenge faced by this thesis is related to pedestrian positioning in heterogeneous environments. Particularly, the focus will be on pedestrian identification, localization, orientation and activity recognition. This research was mainly carried out within the “mobile and ambient systems” workgroup of EPOCH, a 6FP NoE on the application of ICT to Cultural Heritage. Therefore applications in Cultural Heritage sites were the main target of the context-aware services discussed. Cultural Heritage sites are considered significant test-beds in Context-aware computing for many reasons. For example building a smart environment in museums or in protected sites is a challenging task, because localization and tracking are usually based on technologies that are difficult to hide or harmonize within the environment. Therefore it is expected that the experience made with this research may be useful also in domains other than Cultural Heritage. This work presents three different approaches to the pedestrian identification, positioning and tracking: Pedestrian navigation by means of a wearable inertial sensing platform assisted by the vision based tracking system for initial settings an real-time calibration; Pedestrian navigation by means of a wearable inertial sensing platform augmented with GPS measurements; Pedestrian identification and tracking, combining the vision based tracking system with WiFi localization. The proposed localization systems have been mainly used to enhance Cultural Heritage applications in providing information and services depending on the user’s actual context, in particular depending on the user’s location.
Resumo:
Visual correspondence is a key computer vision task that aims at identifying projections of the same 3D point into images taken either from different viewpoints or at different time instances. This task has been the subject of intense research activities in the last years in scenarios such as object recognition, motion detection, stereo vision, pattern matching, image registration. The approaches proposed in literature typically aim at improving the state of the art by increasing the reliability, the accuracy or the computational efficiency of visual correspondence algorithms. The research work carried out during the Ph.D. course and presented in this dissertation deals with three specific visual correspondence problems: fast pattern matching, stereo correspondence and robust image matching. The dissertation presents original contributions to the theory of visual correspondence, as well as applications dealing with 3D reconstruction and multi-view video surveillance.