998 resultados para Periodontal attachment loss
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Vad händer i tidvattenzonen? Var går gränsen mellan land och hav, vad händer i tidvattenzonen och vem ansvarar för detta? I västra Indiska oceanen (VIO) kan avståndet mellan den lägsta nivån för lågvattnet och den högsta nivån för högvattnet vara flera kilometer och nivåskillnaderna upp till 6 meter och detta skapar ett stort och föränderligt område. Syftet med min avhandling är att öka förståelsen för tidvattenzonen i tropiska och subtropiska västra Indiska oceanen. Sammanfattningsvis visar mina studier att det finns ett mycket stort värde i den komplexa tidvattenzonen, men också att det här området hotas från både land och hav, genom t.ex. överexploatering, erosion och föroreningar. Uttnyttjandet av tidvattenzonen är stort och min avhandling har visat att aktiviteter såsom fiske i form av plocking av musslor och andra ryggradslösa djur och hamnaktiviteter påverkar den biologiska mångfalden negativt, vilket leder till försämrad levnadsstandard för resursutnyttjande människor i regionen. För att förbättra situationen krävs det mer forskning, miljöövervakning och bättre förvaltning av tidvattenzonen. Experter i regionen har rangordnat förslag på förvaltningsstrategier som skulle kunna testas för att förbättra miljön och skapa ett mer hållbart nyttjande. Avhandlingen visar även att det är möjligt att använda fjärranalysteknik såsom satellitbildsanalys för att kvantifiera mängden sjögräsvegetation (i form av biomassa), vilket kan ha stor betydelse för att förbättra storskalig miljöövervakning av kustnära naturtyper (habitat). I avhandlingsarbetet har jag använt mig av ett multidisciplinärt tillvägagångssätt och använt metoder såsom ekologisk och biologisk provtagning, intervjuer, observationer, diskussionsgrupper, frågeformulär och fjärranalys. Resultaten presenterade i denna avhandling ger en ökad kunskap om tidvattenzonen i utvecklingsländerna inom VIO-regionen som kan användas för att initiera och fortsätta att utveckla hållbara förvaltningsstrategier av biologiska resurser.
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OBJETIVOS: verificar as condições periodontais e necessidade de tratamento fornecidas pelo Registro Periodontal Simplificado (PSR) em puérperas, com o intuito de contribuir ao esclarecimento da relação entre doença periodontal e nascimento de recém-nascidos prematuros de baixo peso. MÉTODOS: foi empregado o PSR em amostra de 40 puérperas, divididas em: grupo 1 (teste), composto pelas mães de recém-nascidos prematuros com peso inferior a 2.500 g (n=20), e grupo 2 (controle), formado por mães de recém-nascidos a termo com peso igual ou superior a 2.500 g (n=20). Os dados coletados foram analisados por meio de estatística descritiva, sendo os resultados do PSR submetidos ao tratamento estatístico para verificar se existem diferenças na condição periodontal e necessidade de tratamento entre as puérperas, sendo empregado o teste de Kolmogorov-Smirnov, em nível de significância de 5%. RESULTADOS: a presença de bolsa periodontal de 3,5 a 5,5 mm foi o achado mais comum entre as puérperas de recém-nascidos de baixo peso (39,17% dos sextantes), ao passo que a presença de sangramento à sondagem e ausência de bolsa periodontal foram os achados mais freqüentes entre as puérperas de recém-nascidos com peso normal (37,50% dos sextantes), havendo diferença significativa na condição periodontal das puérperas (p=0,0494). Quanto à necessidade de tratamento, não houve diferença significativa entre os grupos estudados (p>0,05). CONCLUSÕES: as puérperas de recém-nascidos prematuros com baixo peso apresentaram piores condições periodontais, sugerindo que a infecção periodontal pode estar relacionada ao nascimento de recém-nascidos prematuros de baixo peso.
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OBJETIVO: verificar se existe relação entre os parâmetros periodontais e os níveis de estrógeno e densitometria óssea mineral (DOM). MÉTODOS: foram avaliadas 46 mulheres na pós-menopausa entre 44 e 68 anos de idade (52,2±4,8) e 15 mulheres como grupo controle entre 35 e 54 anos de idade (44,7±7,5). Parâmetros periodontais como profundidade à sondagem (PS), perda de inserção clínica (PIC) e dentes ausentes (DA) foram comparados com os níveis de estrógeno (suficiente e deficiente) e DOM em normais, osteopênicas e osteoporóticas. Os dados foram comparados pela diferença das médias entre os grupos e analisados pelo teste de Aspin-Welch. RESULTADOS: as médias dos parâmetros de PS, PIC e DA, quando associados ao grau da DOM em normais (2,1±0,5; 2,9±1,4 e 10,6±5,0), osteopênicas (2,3±0,7; 3,0±1,1 e 12,8±5,1) e osteoporóticas (2,4±0,6; 2,7±0,9 e 14,3±5,7), não mostraram diferenças significativas (p>0,05). Foi encontrada diferença significante entre o grupo controle e nas mulheres menopausadas para PIC e DA. Quando comparados com os níveis de estrógeno os resultados demonstraram igualdade para os parâmetros periodontais. CONCLUSÕES: apesar de alguns estudos demonstrarem correlação positiva da doença periodontal com osteoporose e com os níveis de estrogênio, na população de mulheres menopausadas estes dados não foram confirmados neste estudo.
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Estudos têm apontado possíveis relações de risco existentes entre doenças bucais, principalmente a doença periodontal, e complicações gestacionais, como parto prematuro, nascimento de recém-nascidos de baixo peso e pré-eclâmpsia. As explicações para tais hipóteses baseiam-se no fato de a doença periodontal ser de origem infecciosa, o que poderia provocar aumento de citocinas inflamatórias no sangue materno, por liberação direta da bolsa periodontal ou por disseminação de bactérias patogênicas, induzindo sua produção sistêmica. Esta suposição fundamenta-se no conhecimento de que a fisiopatologia das complicações obstétricas citadas está associada à presença de algumas citocinas no sangue materno. O presente trabalho teve como objetivo realizar revisão da literatura em busca de evidências para estas supostas associações. Apesar do grande número de estudos clínicos encontrados nesta revisão, observa-se a falta de padronização metodológica dos mesmos, fato que limita conclusões definitivas a respeito. Por outro lado, o fato de a doença periodontal ainda não ser comprovadamente um fator de risco para as complicações obstétricas não diminui a importância da manutenção da saúde bucal das gestantes, que devem apresentar condições orais que propiciem adequada alimentação, sem dor e sangramento, e assim manter seu aporte nutricional adequado.
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OBJETIVO: o objetivo desse estudo foi verificar a associação entre a osteoporose e a doença periodontal. MÉTODOS: foram incluídas 39 mulheres na pós-menopausa, que foram divididas em três grupos conforme categorização da massa óssea, por meio da avaliação da densidade mineral óssea, aferida pela absormetria de dupla emissão com raios X na área lombar (L1-L4): osso normal, osteopenia e osteoporose. Foi aplicado o índice de nível de inserção clínica (NIC) para todas as participantes no início da pesquisa e após um ano, por apenas um examinador. Os dados da situação periodontal foram submetidos à análise estatística com o teste t de Student pareado. RESULTADOS: o exame periodontal revelou que as mulheres na pós-menopausa com osteopenia apresentaram menor média do NIC no exame clínico periodontal inicial (2,1±1,1 mm), enquanto as pertencentes ao grupo osso normal mostraram menor perda dos tecidos de sustentação dos dentes após um ano (3,1±1,6 mm). Após a realização do tratamento estatístico, observou-se que não houve diferença significativa para a situação periodontal no osso normal, entretanto foi constatada diferença estatística nas pacientes do osteopenia e osteoporose, quando comparados os valores do NIC, nos dois períodos de avaliação. CONCLUSÕES: conclui-se que a osteoporose na pós-menopausa pode ser considerada como possível fator de risco para a doença periodontal.
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OBJETIVO: Verificar a relação entre periodontite e osteoporose em um estudo caso-controle sobre a condição periodontal das mulheres na pós-menopausa. MÉTODOS: A amostra foi composta por 99 mulheres na pós-menopausa, divididas em três grupos: osso normal (Gn), osteopenia (Gpenia) e osteoporose (Gporose), com 45, 31 e 23 casos, respectivamente. A categorização da massa óssea foi aferida pela absorciometria de dupla emissão com raios X na área lombar (L2 - L4), e pela avaliação da densidade mineral óssea. Os índices de nível de inserção clínica (NIC), sangramento gengival (IG), de placa (IP) e profundidade de sondagem (PS) foram obtidos de todas as participantes, por apenas um examinador. Foi utilizado o programa BioEstat 2.0 para análise dos dados com os testes paramétricos análise de variância (ANOVA) e teste de Bonferroni, empregando-se o nível de significância de 5%. RESULTADOS: O grupo de mulheres com osteoporose apresentou o maior percentual de presença da doença periodontal, com maior média do NIC (2,6±0,4 mm), assim como PS (2,8±0,6 mm), IG (72,8±25,9 mm) e IP (72,9±24,2 mm). Após a realização do tratamento estatístico, observou-se que houve diferença significativa para a situação periodontal, principalmente entre os grupos Gn e Gporose (p=0,01) e entre os grupos Gpenia e Gporose (p=0,03). CONCLUSÃO: A osteoporose pode ter uma influência na condição periodontal, por haver relação entre periodontite e osteoporose em mulheres na pós-menopausa.
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PURPOSE: To examine the expression of AKT and PTEN in a series of HER2-positive primary invasive breast tumors using immunohistochemistry, and to associate these expression profiles with classic pathologic features such as tumor grade, hormone receptor expression, lymphatic vascular invasion, and proliferation.METHODS: A total of 104 HER2-positive breast carcinoma specimens were prepared in tissue microarrays blocks for immunohistochemical detection of PTEN and phosphorylated AKT (pAKT). Original histologic sections were reviewed to assess pathological features, including HER2 status and Ki-67 index values. The associations between categorical and numeric variables were identified using Pearson's chi-square test and the Mann-Whitney, respectively.RESULTS: Co-expression of pAKT and PTEN was presented in 59 (56.7%) cases. Reduced levels of PTEN expression were detected in 20 (19.2%) cases, and these 20 tumors had a lower Ki-67 index value. In contrast, tumors positive for pAKT expression [71 (68.3%)] were associated with a higher Ki-67 index value.CONCLUSION: A role for AKT in the proliferation of HER2-positive breast cancers was confirmed. However, immunohistochemical detection of PTEN expression did not correlate with an inhibition of cellular proliferation or control of AKT phosphorylation, suggesting other pathways in these mechanisms of control.
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Abstract PURPOSE: To estimate the future pregnancy success rate in women with a history of recurrent pregnancy loss. METHODS: A retrospective cohort study including 103 women seen at a clinic for recurrent pregnancy loss (loss group) between January 2006 and December 2010 and a control group including 204 pregnant women seen at a low-risk prenatal care unit between May 2007 and April 2008. Both groups were seen in the university teaching hospital the Maternidade Climério de Oliveira, Salvador, Bahia, Brazil. Reproductive success rate was defined as an alive-birth, independent of gestational age at birth and survival after the neonatal period. Continuous variables Means and standard deviations (SD) were compared using Student's t-test and nominal variables proportions by Pearson χ2test. RESULTS: Out of 90 who conceived, 83 (91.2%) had reproductive success rate. There were more full-term pregnancies in the control than in the loss group (174/187; 92.1 versus 51/90; 56.7%; p<0.01). The prenatal visits number was satisfactory for 76 (85.4%) women in the loss group and 125 (61.3%) in the control (p<0.01). In this, the beginning of prenatal care was earlier (13.3; 4.2 versus 19.6; 6.9 weeks). During pregnancy, the loss group women increased the weight more than those in the control group (58.1 versus 46.6%; p=0.04). Although cervix cerclage was performed in 32/90 women in the loss group, the pregnancy duration mean was smaller (34.8 weeks; SD=5.6 versus 39.3 weeks; SD=1.6; p<0.01) than in the control group. Due to gestational complications, cesarean delivery predominated in the loss group (55/83; 64.7 versus 73/183; 39.5%; p<0.01). CONCLUSION: A very good reproductive success rate can be attributed to greater availability of healthcare services to receive pregnant women, through prenatal visits (scheduled or not), cervical cerclage performed on time, and available hospital care for the mother and newborn.
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Objective We studied the effects of loss of ovarian function (ovariectomy) onmuscle mass of gastrocnemius and themRNA levels of IGF-1, atrogin-1, MuRF-1, andmyostatin in an experimental model of rheumatoid arthritis in rats. Methods We randomly allocated 24 female Wistar rats (9 weeks, 195.3±17.4 grams) into four groups: control (CT-Sham; n = 6); rheumatoid arthritis (RA; n = 6); ovariectomy without rheumatoid arthritis (OV; n = 6); ovariectomy with rheumatoid arthritis (RAOV; n = 6). We performed the ovariectomy (OV and RAOV) or Sham (CTSham or RA) procedures at the same time, fifteen days before the rheumatoid arthritis induction. The RA and RAOV groups were immunized and then were injected with Met- BSA in the tibiotarsal joint. After 15 days of intra-articular injections the animals were euthanized. We evaluated the external manifestations of rheumatoid arthritis (perimeter joint) as well as animal weight, and food intake throughout the study. We also analyzed the cross-sectional areas (CSA) of gastrocnemius muscle fibers in 200 fibers (H&E method). In the gastrocnemius muscle, we analyzed mRNA expression by quantitative real time PCR followed by the Livak method (ΔΔCT). Results The rheumatoid arthritis induced reduction in CSA of gastrocnemius muscle fibers. The RAOV group showed a lower CSA of gastrocnemius muscle fibers compared to RA and CT-Sham groups. Skeletal muscle IGF-1 mRNA increased in arthritics and ovariectomized rats. The increased IGF-1 mRNA was higher in OV groups than in the RA and RAOV groups. Antrogin-1 mRNA also increased in the gastrocnemius muscle of arthritic and ovariectomized rats. However, the increased atrogin-1 mRNA was higher in RAOV groups than in the RA and OV groups. Gastrocnemius muscle MuRF-1 mRNA increased in the OVand RAOVgroups, but not in the RA and Shamgroups. However, the RAOV group showed higher MuRF-1 mRNA than the OV group. The myostatin gene expression was similar in all groups. Conclusion Loss of ovarian function results in increased loss of skeletal musclerelated ubiquitin ligases atrogin-1 and MuRF-1 in arthritic rats.
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In vitro- and in vivo-assays were conducted, to study the possible role of streptomycin- and actinomycin-producing soil actinomycetes for the pathogenesis of "Cara inchada" in cattle (CI). Adherence of Bacteroides spp. to epithelial cells of the bovine gingiva, known to be associated with the progressive lesions of CI, was significantly increased by the addition of streptomycin, actinomycin or antibiotic culture supernatants of the soil actinomycetes. Applications of these mixtures together with Actinomyces pyogenes to the marginal gingiva of the upper premolar teeth of about 1 month old Holstein Friesian calves did not lead to progressive lesions of CI. Only one calf exhibited a slight diarrhea and a temporary retraction of the gingiva at the site of application.
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Objetivou-se fazer levantamento das principais afecções de cavidade oral relacionadas com a doença perio-dontal em Panthera onca proveniente de cativeiro e natureza. Sob o ponto de vista da conservação de animais ameaçados de extinção, no caso a onça-pintada (Panthera onca), buscou-se promover a orientação dos proprietários e trabalhadores rurais sobre a necessidade da preservação de tal espécie em vida livre e tentar determinar se as condições ambientais podem influenciar na saúde oral. Utilizou-se amostra constituída de 42 onças-pintadas (P. onca), provenientes de 18 instituições mantenedoras de tais espécies em cativeiro no Estado de São Paulo, que foram visitadas e anestesiadas pelo Plano de Manejo de Felinos Neotropicais. Pesquisaram-se também 4 onças-pintadas (P. onca), provenientes de vida livre, capturados na Fazenda Sete, município de Miranda, Estado do Mato Grosso do Sul, no pantanal sul mato-grossense. Todos os animais pesquisados em cativeiro apresentaram graus variados de lesões orais relacionadas à doença periodontal. Aqueles animais pesquisados na natureza não apresentaram nenhum tipo de comprometimento clínico na cavidade oral.
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Obesity is one of the most frequent nutritional problems in companion animals and can lead to severe health problems in dogs and cats, such as cardiovascular diseases. This research aimed to evaluate the structural and functional cardiac changes after weight loss in obese dogs. Eighteen obese healthy dogs were assigned into three different groups, according with their initial body weight: Group I (dogs up to 15 kg), Group II (dogs weighing between 15.1 and 30 kg), and Group III (dogs weighing over 30 kg). The animals were submitted to a caloric restriction weight-loss program until they lose 15% of the body weight. The M-mode echocardiogram, electrocardiogram, and blood pressure evaluations were performed before the diet has started and after the dogs have reached the target weight. Data showed a decrease in left ventricular free wall thickness during diastole and systole in Group III, decrease in the systolic blood pressure in Group III, and also in the mean blood pressure in Group II. It was possible to conclude that the weight loss program can reverse structural cardiac changes such as left ventricle eccentric hypertrophy in dogs weighing more than 30 kg, and decrease the arterial blood pressure in obese dogs.
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Changes in the electroencephalography (EEG) signal have been used to study the effects of anesthetic agents on the brain function. Several commercial EEG based anesthesia depth monitors have been developed to measure the level of the hypnotic component of anesthesia. Specific anesthetic related changes can be seen in the EEG, but still it remains difficult to determine whether the subject is consciousness or not during anesthesia. EEG reactivity to external stimuli may be seen in unconsciousness subjects, in anesthesia or even in coma. Changes in regional cerebral blood flow, which can be measured with positron emission tomography (PET), can be used as a surrogate for changes in neuronal activity. The aim of this study was to investigate the effects of dexmedetomidine, propofol, sevoflurane and xenon on the EEG and the behavior of two commercial anesthesia depth monitors, Bispectral Index (BIS) and Entropy. Slowly escalating drug concentrations were used with dexmedetomidine, propofol and sevoflurane. EEG reactivity at clinically determined similar level of consciousness was studied and the performance of BIS and Entropy in differentiating consciousness form unconsciousness was evaluated. Changes in brain activity during emergence from dexmedetomidine and propofol induced unconsciousness were studied using PET imaging. Additionally, the effects of normobaric hyperoxia, induced during denitrogenation prior to xenon anesthesia induction, on the EEG were studied. Dexmedetomidine and propofol caused increases in the low frequency, high amplitude (delta 0.5-4 Hz and theta 4.1-8 Hz) EEG activity during stepwise increased drug concentrations from the awake state to unconsciousness. With sevoflurane, an increase in delta activity was also seen, and an increase in alpha- slow beta (8.1-15 Hz) band power was seen in both propofol and sevoflurane. EEG reactivity to a verbal command in the unconsciousness state was best retained with propofol, and almost disappeared with sevoflurane. The ability of BIS and Entropy to differentiate consciousness from unconsciousness was poor. At the emergence from dexmedetomidine and propofol induced unconsciousness, activation was detected in deep brain structures, but not within the cortex. In xenon anesthesia, EEG band powers increased in delta, theta and alpha (8-12Hz) frequencies. In steady state xenon anesthesia, BIS and Entropy indices were low and these monitors seemed to work well in xenon anesthesia. Normobaric hyperoxia alone did not cause changes in the EEG. All of these results are based on studies in healthy volunteers and their application to clinical practice should be considered carefully.
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Permanent magnet generators (PMG) represent the cutting edge technology in modern wind mills. The efficiency remains high (over 90%) at partial loads. To improve the machine efficiency even further, every aspect of machine losses has to be analyzed. Additional losses are often given as a certain percentage without providing any detailed information about the actual calculation process; meanwhile, there are many design-dependent losses that have an effect on the total amount of additional losses and that have to be taken into consideration. Additional losses are most often eddy current losses in different parts of the machine. These losses are usually difficult to calculate in the design process. In this doctoral thesis, some additional losses are identified and modeled. Further, suggestions on how to minimize the losses are given. Iron losses can differ significantly between the measured no-load values and the loss values under load. In addition, with embedded magnet rotors, the quadrature-axis armature reaction adds losses to the stator iron by manipulating the harmonic content of the flux. It was, therefore, re-evaluated that in salient pole machines, to minimize the losses and the loss difference between the no-load and load operation, the flux density has to be kept below 1.5 T in the stator yoke, which is the traditional guideline for machine designers. Eddy current losses may occur in the end-winding area and in the support structure of the machine, that is, in the finger plate and the clamping ring. With construction steel, these losses account for 0.08% of the input power of the machine. These losses can be reduced almost to zero by using nonmagnetic stainless steel. In addition, the machine housing may be subjected to eddy current losses if the flux density exceeds 1.5 T in the stator yoke. Winding losses can rise rapidly when high frequencies and 10–15 mm high conductors are used. In general, minimizing the winding losses is simple. For example, it can be done by dividing the conductor into transposed subconductors. However, this comes with the expense of an increase in the DC resistance. In the doctoral thesis, a new method is presented to minimize the winding losses by applying a litz wire with noninsulated strands. The construction is the same as in a normal litz wire but the insulation between the subconductors has been left out. The idea is that the connection is kept weak to prevent harmful eddy currents from flowing. Moreover, the analytical solution for calculating the AC resistance factor of the litz-wire is supplemented by including an end-winding resistance in the analytical solution. A simple measurement device is developed to measure the AC resistance in the windings. In the case of a litz-wire with originally noninsulated strands, vacuum pressure impregnation (VPI) is used to insulate the subconductors. In one of the two cases studied, the VPI affected the AC resistance factor, but in the other case, it did not have any effect. However, more research is needed to determine the effect of the VPI on litz-wire with noninsulated strands. An empirical model is developed to calculate the AC resistance factor of a single-layer formwound winding. The model includes the end-winding length and the number of strands and turns. The end winding includes the circulating current (eddy currents that are traveling through the whole winding between parallel strands) and the main current. The end-winding length also affects the total AC resistance factor.
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In this work we consider the transient stability of coupled motions of a 2 D.O.F. nonlinear oscillator that can represent, for example, the motions of a sea vessel under the action of trains of regular lateral waves. Instability is studied as the escape of the system from a safe potential well. The set of initial conditions in phase space that lead to acceptable motions constitutes its safe basin. We investigate the evolution of these safe basins under variation of parameters such as frequency and amplitude of waves, and an internal tuning parameter. Complex nonlinear phenomena are known to play an important role in determining the loss of safe basins as, say, wave amplitude is increased. We therefore investigate those processes, and attempt to classify them in terms of their speed relative to changes in parameter values. "Mechanism basins" are produced depicting regions of parameter space in which rapid or slow losses of safe basin are observed. We propose that a comprehensive understanding of mechanisms of loss of safe basins can be a valuable tool in assessing stability properties of these systems, and we give a conceptual view of how such information could be used.