999 resultados para UDK:620.031


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The size, growth and spawning characteristics of pompano dolphin (N=150) and common dolphinfish (N=36) caught off the Canary Islands between May and September 1995 and between July and September 1996 were examined. Fork length (FL) of pompano dolphin was in the range 28.3-62.8 cm. In 1995, the mean length increased significantly from June to September. However, in 1996, the mean length was significantly larger in July than in September. The overall length-weight relationship was W=0.0287*FL2.774 (r=0.97), while these relationships by sex were as follows: W=0.031*FL2.758 (r=0.98) and W=0.0282*FL2.776 (r=0.97), for males and females respectively. Spawning takes place at the beginning of the Summer (June-July). All the individuals obtained showed developing gonads, but females showed a higher gonadosomatic index (GSI) than males. The highest GSI values were obtained in June (x- =3.10±1.73), and decreased progressively towards the end of the season (September), when the average of this index was x- = 1.86±0.87. Similarly, the condition index decreased significantly from June to September. The proportion of females was always significantly higher than males, except in July 1996 when it was 1:1. There was a high correspondence between growth rates determined by annuli scale interpretation and modal progression analysis. According to scale annuli interpretation, the individuals caught showed more than five age classes. However, there are doubts about age assignation from scales. Fork length of common dolphinfish was in the range of 76.5-103.0 cm. The length-weight relationships obtained for all the specimens caught was W=0.00095FL3.527 (r=0.96), while these relationships by sex were as follows: W=0.00398FL3.222 (r=0.94) and W=0.01656FL2.873 (r=0.91), for males and females respectively. Spawning probably takes place at the beginning of the Summer. All the individuals obtained showed developing gonads, although the GSI of females were higher than males. The highest GSI values were obtained in June (x- =5.50±2.17). In the same way, the condition index decreased from May to June. The proportion of females was always slightly higher than males (1:1.4), but the ratio was not significantly different from 1:1

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BACKGROUND: Fluorescein (FA) and indocyanine-green angiography (ICGA) may offer valuable information concerning disease severity and prognosis in ocular syphilis. The aim of the present study is to describe angiographic patterns encountered in the context of ocular syphilis, and to explore the associations between specific angiographic manifestations and severity of disease presentation, as well as disease evolution after treatment. METHODS: We performed a retrospective institutional study with the inclusion of 23 patients with ocular syphilis presenting to the uveitis clinic of the Jules-Gonin Eye Hospital in a 10-year period. FA and ICGA were performed following a standard protocol for posterior uveitis. Patterns of fluorescence were noted, and statistical associations between each angiographic pattern and any demographic, clinical, or laboratory parameter at baseline and after treatment were sought. RESULTS: The presence of any dark dots in ICGA was significantly associated with anterior uveitis (p = 0.031). The presence of hot spots in ICGA was significantly associated with longer duration of symptoms prior to initial visit (p = 0.032) and with male gender (p = 0.012). Weak non-significant trends were found associating vascular staining in FA with anterior uveitis (p = 0.066), vitritis (p = 0.069), and younger age (p = 0.061), as well as disc hyperfluorescence in FA with seropositivity for HIV (p = 0.089) and macular edema in FA with longer disease duration (p = 0.061). The presence of any dark dots in ICGA exhibited a weak trend of association with anterior uveitis and/or vitritis (p = 0.079). CONCLUSIONS: Out of the several associations identified implicating specific angiographic features, we underline the possible role of the presence of dark dots in ICGA for identifying active inflammation, and the role of hot spots in ICGA as markers of long-standing disease. Vascular staining in FA appears to be more common in patients with severe ocular inflammation with presence of anterior uveitis and/or vitritis.

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Introduction générale : D'après une étude réalisée en Suisse en 2004, les entreprises de famille représentent 88,14% des entreprises, dont 80,2% sont constitués en sociétés anonymes. Les chiffres parlent d'eux-mêmes : les sociétés anonymes de famille occupent une place considérable dans le paysage des entreprises suisses. Les sociétés anonymes de famille correspondent donc à une réalité pratique. Juridiquement, la notion de société de famille n'apparaît pas dans le Code des obligations ; les sociétés anonymes de famille revêtent la forme juridique de la société anonyme, qui représente l'entreprise commerciale la plus courante en pratique. Le Code des obligations, à ses art. 620 ss, se limite à donner un cadre général de réglementation, ce qui a notamment pour conséquence que la forme juridique de la société anonyme s'adapte à des entités très variées, dans toutes sortes de secteurs d'activité, que ce soient des petites et moyennes entreprises ou de grandes multinationales, des sociétés capitalistes et impersonnelles ou des sociétés purement privées. Selon la conception générale de la forme juridique de la société anonyme, celle-ci revêt en principe un caractère capitaliste. L'intérêt de l'actionnaire pour la société anonyme est normalement de nature financière. Le fait que la qualité d'actionnaire soit matérialisée dans un titre, l'action, implique tant une certaine liquidité de l'actionnariat qu'une dépersonnalisation des rapports entre les membres qui composent la société anonyme. A l'opposé, la famille repose sur des liens personnels particuliers, étroits, avec notamment des dimensions psychologiques, affectives, émotives. Au premier abord, société anonyme et famille semblent donc antinomiques. Cette dichotomie présente un intérêt dogmatique. Elle correspond en outre à l'un des principaux enjeux : comment tenir compte des intérêts d'une entité fortement personnalisée - la famille - dans une structure impersonnelle et de type capitaliste - la société anonyme ? Le fait que le Code des obligations se limite à donner un cadre général de réglementation prend alors ici toute son importance ; la marge de manoeuvre et la liberté d'aménagement que le législateur accorde aux sociétés anonymes r vont permettre - ou alors empêcher - d'adapter la forme juridique de la société anonyme aux besoins d'une entité personnalisée comme la famille. Cette liberté n'est donc pas sans limites et les membres de la famille devront peut-être aussi assumer les conséquences du choix de cette forme de société. Partant, le but de notre travail est d'étudier les raisons d'être, l'organisation et la pérennité des sociétés anonymes de famille, spécifiquement sous l'angle du maintien du caractère familial de la société. Nous nous concentrerons sur la détention du capital, mais aussi sur sa structure, son maintien et son optimisation ; nous aborderons ainsi notamment les questions relatives à la transmissibilité des actions. Au regard de l'ampleur du sujet, nous avons dû procéder à certains choix, parfois arbitraires, notamment en raison des implications presque infinies des règles avec d'autres domaines. Nous nous limiterons ainsi, dans la première partie, à exposer les notions de base employées dans la suite de notre travail et nous focaliserons sur l'élaboration des définitions d'entreprise, société et société anonyme de famille, prémisses non seulement essentielles sous l'angle théorique, mais aussi fondamentales pour nos développements ultérieurs. S'agissant ensuite de l'analyse des possibilités d'aménagement d'une société anonyme dans le cadre du maintien du caractère familial de la société, nous nous concentrerons sur les règles relatives à la société anonyme et étudierons les limites qu'elles imposent et la liberté qu'elles offrent aux actionnaires familiaux. Nous laisserons en revanche de côté les problématiques particulières de la protection des actionnaires minoritaires et des organes. Enfin, si nous traitons toutes les notions théoriques nécessaires à la compréhension de chaque thématique présentée, seules celles primordiales et déterminantes sous l'angle de la conservation de l'hégémonie familiale seront approfondies. Nous avons structuré notre étude en quatre titres. Dans un premier titre, nous développerons les notions et principes élémentaires de notre sujet. Nous rappellerons ainsi la définition et les particularités de la société anonyme en général, y compris les sources et les modifications législatives, et les conditions de la cotation en bourse. Au stade des notions introductives, nous devrons également définir la société anonyme de famille, en particulier en établissant les éléments de la définition. Qu'entend-on par famille ? Quels critères permettent de qualifier une société anonyme de « société anonyme de famille » ? La définition de la société anonyme de famille devra être à la fois suffisamment précise, afin que cette notion puisse être appréhendée de manière adéquate pour la suite de notre travail, et suffisamment large, pour qu'elle englobe toute la variété des sociétés anonymes de famille. Nous présenterons aussi les raisons du choix de la forme juridique de la société anonyme pour une société de famille. Nous terminerons nos développements introductifs par un exposé relatif à la notion d'action et à son transfert en sa qualité de papier-valeur, préalables nécessaires à nos développements sur la transmissibilité des actions. Nous mettrons ainsi en évidence les conditions de transfert des actions, en tenant compte de la tendance à la dématérialisation des titres. Une fois ces éléments mis en place, qui nous donneront une première idée de la structure du capital d'une société anonyme de famille, nous devrons préciser la manière dont le capital doit être structuré. Nous chercherons comment il peut être maintenu en mains de la famille et si d'autres moyens n'ayant pas directement trait au capital peuvent être mis en oeuvre. Ainsi, dans un deuxième titre, nous analyserons les dispositions statutaires relatives à la structure du capital et à son maintien en mains familiales, en particulier les restrictions au transfert des actions nominatives. Les dispositions statutaires constituent-elles un moyen adéquat pour maintenir le caractère familial de la société ? Quelles sont les conditions pour limiter le transfert des actions ? Le caractère familial de la société peut-il être utilisé afin de restreindre le transfert des actions ? Les solutions sont-elles différentes si les actions sont, en tout ou en partie, cotées en bourse ? Nous traiterons aussi, dans ce même titre, les modalités du droit de vote et déterminerons si des dispositions statutaires peuvent être aménagées afin de donner plus de voix aux actions des membres de la famille et ainsi d'optimiser la détention du capital. Nous examinerons, dans notre troisième titre, un acte qui a trait à la fois au droit des contrats et au droit de la société anonyme, la convention d'actionnaires. En quoi consistent ces contrats ? Quels engagements les actionnaires familiaux peuvent-ils et doivent-ils prendre ? Quelle est l'utilité de ces contrats dans les sociétés anonymes de famille ? Quelles en sont les limites ? Les clauses conventionnelles peuvent-elles être intégrées dans les statuts ? Comment combiner les différentes clauses de la convention entre elles ? Dans ce même titre, nous étudierons également la concrétisation et la mise en application des dispositions statutaires et des clauses conventionnelles, afin de déterminer si, combinées, elles constituent des moyens adéquats pour assurer la structure, le maintien et l'optimisation de la détention du capital. Enfin, dans le quatrième et dernier titre, qui est davantage conçu comme un excursus, nous nous éloignerons du domaine strict du droit des sociétés (et des contrats) pour envisager certains aspects matrimoniaux et d'ordre successoral. En effet, puisque la famille est à la base de la société, il convient de relever l'importance des règles matrimoniales et successorales pour les sociétés anonymes de famille et leur incidence sur la détention des actions et le maintien du caractère familial de la société. Nous examinerons en particulier comment ces instruments doivent être utilisés pour qu'ils n'annihilent pas les efforts entrepris pour conserver la société en mains familiales. Notre travail a pour but et pour innovation de présenter une analyse transversale aussi complète que possible du droit de la société anonyme et des instruments connexes en étudiant les moyens à disposition des actionnaires d'une société anonyme de type personnel, la société anonyme de famille. Il tentera ainsi d'apporter une approche théorique nouvelle de ces questions, de présenter certains aspects de manière pragmatique, d'analyser la mise en oeuvre des différents moyens étudiés et de discuter leur opportunité.

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BACKGROUND: Knowledge of normal heart weight ranges is important information for pathologists. Comparing the measured heart weight to reference values is one of the key elements used to determine if the heart is pathological, as heart weight increases in many cardiac pathologies. The current reference tables are old and in need of an update. AIMS: The purposes of this study are to establish new reference tables for normal heart weights in the local population and to determine the best predictive factor for normal heart weight. We also aim to provide technical support to calculate the predictive normal heart weight. METHODS: The reference values are based on retrospective analysis of adult Caucasian autopsy cases without any obvious pathology that were collected at the University Centre of Legal Medicine in Lausanne from 2007 to 2011. We selected 288 cases. The mean age was 39.2 years. There were 118 men and 170 women. Regression analyses were performed to assess the relationship of heart weight to body weight, body height, body mass index (BMI) and body surface area (BSA). RESULTS: The heart weight increased along with an increase in all the parameters studied. The mean heart weight was greater in men than in women at a similar body weight. BSA was determined to be the best predictor for normal heart weight. New reference tables for predicted heart weights are presented as a web application that enable the comparison of heart weights observed at autopsy with the reference values. CONCLUSIONS: The reference tables for heart weight and other organs should be systematically updated and adapted for the local population. Web access and smartphone applications for the predicted heart weight represent important investigational tools.

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Contient : « Cahier contenant les conclusions capitulaires touchant l'entreprise des Huguenots pour se rendre maîtres de Verdun en l'année 1562, tirées des registres de la cathédrale de la dite ville, et quelques remarques à ce sujet » ; ce cahier se termine au fol. 21 par cette note : « Ce mémoire appartient à Mr Guedon, chanoine de la cathédrale de Verdun. Toutes les conclusions qui servent de preuves ont esté tirées des registres qui sont conservez dans les archives de la dite église, dont il est gardien. 1750 » ; « Recueil des épitaphes, tombes et autres monuments qui sont dans la cathédrale de Verdun. » ; « Déclaration générale des domaines de l'église cathédrale de Verdun, fournie à nosseigneurs de la Chambre des comptes du Parlement de Metz » ; copie ; « Description des tombes et épitaphes qui sont dans les trois allées du cloître de la cathédrale de Verdun », avec plans coloriés ; « Recuëil des épitaphes, tombes et autres monuments qui sont dans la cathédrale de Verdun... », avec plans et blasons

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Risperidone is metabolized by polymorphic enzymes, and a large variability in plasma concentration and therapeutic response is observed. Risperidone long-acting injection (RLAI) avoids the first-pass effect, and little is known about the influence of gene polymorphisms involved in its pharmacokinetics. The influence on plasma concentrations of risperidone (RIS), its metabolite 9-hydroxy-risperidone, and on adverse effects were investigated for polymorphisms of cytochrome P450 2D6 (CYP2D6) (*3, *4, *5, *6), CYP3A (CYP3A4*1B, CYP3A4 rs4646437, CYP3A5*3, CYP3A7*1C), ABCB1 (1236C>T, 2677G>T, 3435C>T), NR1/2 coding for pregnane X receptor (rs1523130, rs2472677, rs7643645), and for CYP3A activity measured by a phenotyping test. Forty-two patients with at least 4 consecutive unchanged doses of RLAI were included in a multicenter cross-sectional study. A 55% lower dose-adjusted plasma levels of RIS were observed for CYP2D6 ultrarapid metabolizers (n = 5) as compared with CYP2D6 intermediate metabolizers (P < 0.007). NR1/2 polymorphism (rs7643645A>G) influenced RIS exposure with a 2.8-fold lower active moiety (P = 0.031) in GG compared with the AA genotype. This was confirmed in a second independent cohort (n = 16). Furthermore, high-density lipoprotein cholesterol was positively correlated with CYP3A activity (P = 0.01), and the NR1/2 (rs2472677) polymorphism was associated with different adverse effects including prolactin plasma levels adjusted for age and sex. In conclusion, our results confirmed the influence of CYP2D6 genotype on plasma levels of RIS. This is the first report on the influence of NR1/2 polymorphisms on RLAI exposure and on drug-induced adverse effects. These results should be validated in larger cohorts.

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The trabecular bone score (TBS) is an index of bone microarchitectural texture calculated from anteroposterior dual-energy X-ray absorptiometry (DXA) scans of the lumbar spine (LS) that predicts fracture risk, independent of bone mineral density (BMD). The aim of this study was to compare the effects of yearly intravenous zoledronate (ZOL) versus placebo (PLB) on LS BMD and TBS in postmenopausal women with osteoporosis. Changes in TBS were assessed in the subset of 107 patients recruited at the Department of Osteoporosis of the University Hospital of Berne, Switzerland, who were included in the HORIZON trial. All subjects received adequate calcium and vitamin D3. In these patients randomly assigned to either ZOL (n = 54) or PLB (n = 53) for 3 years, BMD was measured by DXA and TBS assessed by TBS iNsight (v1.9) at baseline and 6, 12, 24, and 36 months after treatment initiation. Baseline characteristics (mean ± SD) were similar between groups in terms of age, 76.8 ± 5.0 years; body mass index (BMI), 24.5 ± 3.6 kg/m(2) ; TBS, 1.178 ± 0.1 but for LS T-score (ZOL-2.9 ± 1.5 versus PLB-2.1 ± 1.5). Changes in LS BMD were significantly greater with ZOL than with PLB at all time points (p < 0.0001 for all), reaching +9.58% versus +1.38% at month 36. Change in TBS was significantly greater with ZOL than with PLB as of month 24, reaching +1.41 versus-0.49% at month 36; p = 0.031, respectively. LS BMD and TBS were weakly correlated (r = 0.20) and there were no correlations between changes in BMD and TBS from baseline at any visit. In postmenopausal women with osteoporosis, once-yearly intravenous ZOL therapy significantly increased LS BMD relative to PLB over 3 years and TBS as of 2 years. © 2013 American Society for Bone and Mineral Research.

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Brachial circumference (BC), also known as upper arm or mid arm circumference, can be used as an indicator of muscle mass and fat tissue, which are distributed differently in men and women. Analysis of anthropometric measures of peripheral fat distribution such as BC could help in understanding the complex pathophysiology behind overweight and obesity. The purpose of this study is to identify genetic variants associated with BC through a large-scale genome-wide association scan (GWAS) meta-analysis. We used fixed-effects meta-analysis to synthesise summary results across 14 GWAS discovery and 4 replication cohorts comprising overall 22,376 individuals (12,031 women and 10,345 men) of European ancestry. Individual analyses were carried out for men, women, and combined across sexes using linear regression and an additive genetic model: adjusted for age and adjusted for age and BMI. We prioritised signals for follow-up in two-stages. We did not detect any signals reaching genome-wide significance. The FTO rs9939609 SNP showed nominal evidence for association (p<0.05) in the age-adjusted strata for men and across both sexes. In this first GWAS meta-analysis for BC to date, we have not identified any genome-wide significant signals and do not observe robust association of previously established obesity loci with BC. Large-scale collaborations will be necessary to achieve higher power to detect loci underlying BC.

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Very little research has been conducted so far to study the potential mechanisms of change in long-term active psychological treatments of recurrent depression. The present pilot randomized controlled trial aimed to determine the feasibility of studying the change process occurring in patients during the course of 2-year-long dynamic psychotherapy, psychoanalysis, and cognitive therapy, as compared with clinical management. In total, eight outpatients presenting with recurrent depression, two patients per treatment arm, were included. All patients were randomly assigned to one of the four treatment conditions. Defense mechanisms and coping patterns were assessed using validated observer-rated methodology based on transcribed, semistructured follow-along independent dynamic interviews. The results indicated that, whereas some patients in the active treatments changed on the symptomatic levels, some others remained unchanged during the course of their 2-year-long treatment. However, with regard to potential mechanisms of change in these patients, changes in defense mechanisms and coping patterns were revealed to be important processes over time in successful therapies and, to a lesser extent, in less successful treatments. No change was found either on outcome or on the process measure for the control condition, that is, clinical management. These results are discussed along with previous data comparing change in defense mechanisms and coping during the course of treatments.

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BACKGROUND: Recent data suggest that varicella zoster virus (VZV)-associated complications of the central nervous system (CNS) are more common and diverse than previously thought. The main purpose of this article is to describe the clinical characteristics and the outcome of patients suffering from meningitis and encephalitis caused by VZV reactivation. METHODS: A retrospective case study of adult patients (≥16 years old) diagnosed with a VZV reactivation in the CNS was performed. The cases were identified by a qualitative PCR DNA assay of the cerebrospinal fluid (CSF) at the Regional Hospital of Lugano between January 1, 2003 and July 31, 2010. RESULTS: Eleven out of 519 CSF samples (2.1%), submitted from patients with a clinical diagnosis of viral meningitis or encephalitis, were positive for VZV. A vesiculo-pustular skin eruption was observed in only five patients (45%). In six cases (55%), a systemic inflammatory syndrome was absent. The clinical outcome was favorable in eight patients (73%). Only one out of 11 patients (9%) died. The four patients with encephalitis had a less favorable prognosis: one patient recovered without residual neurological sequelae; two had a chronic neuropsychological handicap, speech difficulties, facial nerve palsy, and focal seizures; one patient died. We estimated an annual incidence rate of VZV infection of the CNS of 1.02/100 000 inhabitants for southern Switzerland. CONCLUSIONS: Screening of CSF for VZV by PCR is recommended for all patients with encephalitis and for those with viral meningitis of unclear origin in order to better target antiviral treatment.

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O elevado conteúdo de matéria orgânica de lodo de esgoto é uma das motivações para sua disposição no ambiente como condicionador do solo. O objetivo deste trabalho foi avaliar o efeito de aplicações consecutivas de lodo de esgoto sobre o acúmulo de C e de N (total e mineral), sobre o pH e sobre a densidade de um Latossolo. As avaliações foram feitas em duas profundidades do solo (0-0,1 e 0,2-0,4 m) após três cultivos de milho, em experimento realizado entre os anos de 1999 e 2001, em Jaguariúna-SP. Os tratamentos consistiram de cinco doses crescentes de dois tipos de lodo de esgoto, aplicadas a cada cultivo. O aumento das doses aplicadas (totalizando 0, 10.284, 20.568, 41.136 e 82.272 kg ha-1) do lodo da Estação de Tratamento de Esgotos de Franca-SP, de origem urbana, causou crescimento significativo dos estoques de C orgânico e de N na camada superficial. Nos tratamentos com o lodo da Estação de Tratamento de Esgotos de Barueri-SP (totalizando 0, 17.405, 34.810, 69.620 e 139.240 kg ha-1), produzido a partir de esgotos urbanos e industriais, apesar da incorporação de 14 % a mais de C ao solo, os estoques de C não foram influenciados pelas doses aplicadas e houve crescimento significativo dos estoques de N. A densidade na camada superficial diminuiu significativamente com o aumento das doses dos dois tipos de lodo de esgoto. Houve acidificação do solo nas duas camadas estudadas, com necessidade de duas calagens, após o segundo e terceiro cultivos. Observou-se lixiviação de N-mineral para maiores profundidades do solo.

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ABSTRACT: BACKGROUND: Serologic testing algorithms for recent HIV seroconversion (STARHS) provide important information for HIV surveillance. We have shown that a patient's antibody reaction in a confirmatory line immunoassay (INNO-LIATM HIV I/II Score, Innogenetics) provides information on the duration of infection. Here, we sought to further investigate the diagnostic specificity of various Inno-Lia algorithms and to identify factors affecting it. METHODS: Plasma samples of 714 selected patients of the Swiss HIV Cohort Study infected for longer than 12 months and representing all viral clades and stages of chronic HIV-1 infection were tested blindly by Inno-Lia and classified as either incident (up to 12 m) or older infection by 24 different algorithms. Of the total, 524 patients received HAART, 308 had HIV-1 RNA below 50 copies/mL, and 620 were infected by a HIV-1 non-B clade. Using logistic regression analysis we evaluated factors that might affect the specificity of these algorithms. RESULTS: HIV-1 RNA <50 copies/mL was associated with significantly lower reactivity to all five HIV-1 antigens of the Inno-Lia and impaired specificity of most algorithms. Among 412 patients either untreated or with HIV-1 RNA ≥50 copies/mL despite HAART, the median specificity of the algorithms was 96.5% (range 92.0-100%). The only factor that significantly promoted false-incident results in this group was age, with false-incident results increasing by a few percent per additional year. HIV-1 clade, HIV-1 RNA, CD4 percentage, sex, disease stage, and testing modalities exhibited no significance. Results were similar among 190 untreated patients. CONCLUSIONS: The specificity of most Inno-Lia algorithms was high and not affected by HIV-1 variability, advanced disease and other factors promoting false-recent results in other STARHS. Specificity should be good in any group of untreated HIV-1 patients.

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Clin Microbiol Infect ABSTRACT: The aetiological diagnosis of community-acquired pneumonia (CAP) is challenging in children, and serological markers would be useful surrogates for epidemiological studies of pneumococcal CAP. We compared the use of anti-pneumolysin (Ply) antibody alone or with four additional pneumococcal surface proteins (PSPs) (pneumococcal histidine triad D (PhtD), pneumococcal histidine triad E (PhtE), LytB, and pneumococcal choline-binding protein A (PcpA)) as serological probes in children hospitalized with CAP. Recent pneumococcal exposure (positive blood culture for Streptococcus pneumoniae, Ply(+) blood PCR finding, and PSP seroresponse) was predefined as supporting the diagnosis of presumed pneumococcal CAP (P-CAP). Twenty-three of 75 (31%) children with CAP (mean age 33.7 months) had a Ply(+) PCR finding and/or a ≥2-fold increase of antibodies. Adding seroresponses to four PSPs identified 12 additional patients (35/75, 45%), increasing the sensitivity of the diagnosis of P-CAP from 0.44 (Ply alone) to 0.94. Convalescent anti-Ply and anti-PhtD antibody titres were significantly higher in P-CAP than in non P-CAP patients (446 vs. 169 ELISA Units (EU)/mL, p 0.031, and 189 vs. 66 EU/mL, p 0.044), confirming recent exposure. Acute anti-PcpA titres were three-fold lower (71 vs. 286 EU/mL, p <0.001) in P-CAP children. Regression analyses confirmed a low level of acute PcpA antibodies as the only independent predictor (p 0.002) of P-CAP. Novel PSPs facilitate the demonstration of recent pneumococcal exposure in CAP children. Low anti-PcpA antibody titres at admission distinguished children with P-CAP from those with CAP with a non-pneumococcal origin.