963 resultados para PHOSPHOLIPASE C-GAMMA-2


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In this communication we report results from the application to the study of the rotation of the Moon of the creeping tide theory just proposed (Ferraz-Mello, Cel. Mech. Dyn. Astron., submitted. ArXiv astro-ph 1204.3957). The choice of the Moon for the first application of this new theory is motivated by the fact that the Moon is one of the best observed celestial bodies and the comparison of the theoretical predictions of the theory with observations i may validate the theory or point out the need of further improvements. Particularly, the tidal perturbations of the rotation of the Moon - the physical libration of the Moon - have been detected in the Lunar Laser Ranging measurements (Williams et al. JGR 106, 27933, 2001). The major difficulty in this application comes from the fact that tidal torques in a planet-satellite system are very sensitive to the distance between the two-bodies, which is strongly affected by Solar perturbations. In the case of the Moon, the main solar perturbations - the Evection and the Variation - are more important than most of the Keplerian oscillations, being smaller only than the first Keplerian harmonic (equation of the centre). Besides, two of the three components of the Moon's libration in longitude whose tidal contributions were determined by LLR are related to these perturbations. The results may allow us to determine the main parameter of a possible Moon's creeping tide. The preliminary results point to a relaxation factor (gamma) 2 to 4 times smaller than the one predicted from the often cited values of thr Moon's quality factor Q (between 30 and 40), and points to larger Q values.

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We find conditions for two piecewise 'C POT.2+V' homeomorphisms f and g of the circle to be 'C POT.1' conjugate. Besides the restrictions on the combinatorics of the maps (we assume that the maps have bounded combinatorics), and necessary conditions on the one-side derivatives of points where f and g are not differentiable, we also assume zero mean-nonlinearity for f and g.

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Fluxes of CO2 were measured above a sugarcane plantation using the eddy-covariance method covering two growth cycles, representing the second and third re-growth (ratoons) harvested with stubble burning. The total net ecosystem exchange (NEE) in the first cycle (second ratoon, 393 days long) was −1964 ± 44 g C m−2; the gross ecosystem productivity (GEP) was 3612 ± 46 g C m−2 and the ecosystem respiration (RE) was 1648 ± 14 g C m−2. The NEE and GEP totals in the second cycle (third ratoon, 374 days long) decreased 51% and 25%, respectively and RE increased 7%. Accounting for the carbon emitted during biomass burning and the removal of stalks at harvest, net ecosystem carbon balance (NECB) totals were 102 ± 130 g C m−2 and 403 ± 84 g C m−2 in each cycle respectively. Thus the sugarcane agrosystem was approximately carbon neutral in the second ratoon. Yield in stalks fresh weight (SFW) attained the regional average (8.3 kg SFW m−2). Although it was a carbon source to the atmosphere, observed productivity (6.2 kg SFW m−2) of the third ratoon was 19% lower than the regional average due to the lower water availability observed during the initial 120 days of re-growth. However, the overall water use efficiency (WUE) achieved in the first cycle (4.3 g C kg−1 H2O) decreased only 5% in the second cycle. © 2013 Elsevier B.V. All rights reserved

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The AZORES-I cruise was conducted in August 1998, spanning the length of three latitudinal large-scale sections at 22, 28 and 32ºW. The oceanic carbon system was oversampled by measuring total alkalinity, total inorganic carbon and pH. It is thus possible to estimate anthropogenic CO2 (CANT) and to investigate its relationship with the main water masses that are present. CANT is calculated using the latest back-calculation techniques: jCTº and TrOCA methods. Although the two approaches produce similar vertical distributions, the results of the TrOCA method show higher CANT variability and produce higher inventories than those of the jCTº method. The large proportion of Mediterranean Water found in the northern part of the study area is the main cause of the observed increase northwards of CANT inventories. Changes in CANT inventories between 1981 and 2004 are evaluated using data from the TTO-NAS, OACES-93 and METEOR-60/5 cruises. According to the jCTº and TrOCA approaches, the average long-term rates of CANT inventory change are 1.32±0.11 mol C m-2 y-1 (P=0.008) and 1.18±0.16 mol C m-2 y-1 (P=0.018), respectively. During the 1993-1998 a significant increase in the CANT storage rate was detected by the jCTº method. It is thought that this stems directly from the enhanced Labrador Seawater formation after the increased advection observed at the time.

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[EN] 1. The present study examined whether reductions in muscle blood flow with exercise-induced dehydration would reduce substrate delivery and metabolite and heat removal to and from active skeletal muscles during prolonged exercise in the heat. A second aim was to examine the effects of dehydration on fuel utilisation across the exercising leg and identify factors related to fatigue. 2. Seven cyclists performed two cycle ergometer exercise trials in the heat (35 C; 61 +/- 2 % of maximal oxygen consumption rate, VO2,max), separated by 1 week. During the first trial (dehydration, DE), they cycled until volitional exhaustion (135 +/- 4 min, mean +/- s.e.m.), while developing progressive DE and hyperthermia (3.9 +/- 0.3 % body weight loss and 39.7 +/- 0.2 C oesophageal temperature, Toes). On the second trial (control), they cycled for the same period of time maintaining euhydration by ingesting fluids and stabilising Toes at 38.2 +/- 0.1 degrees C. 3. After 20 min of exercise in both trials, leg blood flow (LBF) and leg exchange of lactate, glucose, free fatty acids (FFA) and glycerol were similar. During the 20 to 135 +/- 4 min period of exercise, LBF declined significantly in DE but tended to increase in control. Therefore, after 120 and 135 +/- 4 min of DE, LBF was 0.6 +/- 0.2 and 1.0 +/- 0.3 l min-1 lower (P < 0.05), respectively, compared with control. 4. The lower LBF after 2 h in DE did not alter glucose or FFA delivery compared with control. However, DE resulted in lower (P < 0.05) net FFA uptake and higher (P < 0.05) muscle glycogen utilisation (45 %), muscle lactate accumulation (4.6-fold) and net lactate release (52 %), without altering net glycerol release or net glucose uptake. 5. In both trials, the mean convective heat transfer from the exercising legs to the body core ranged from 6.3 +/- 1.7 to 7.2 +/- 1.3 kJ min-1, thereby accounting for 35-40 % of the estimated rate of heat production ( approximately 18 kJ min-1). 6. At exhaustion in DE, blood lactate values were low whereas blood glucose and muscle glycogen levels were still high. Exhaustion coincided with high body temperature ( approximately 40 C). 7. In conclusion, the present results demonstrate that reductions in exercising muscle blood flow with dehydration do not impair either the delivery of glucose and FFA or the removal of lactate during moderately intense prolonged exercise in the heat. However, dehydration during exercise in the heat elevates carbohydrate oxidation and lactate production. A major finding is that more than one-half of the metabolic heat liberated in the contracting leg muscles is dissipated directly to the surrounding environment. The present results indicate that hyperthermia, rather than altered metabolism, is the main factor underlying the early fatigue with dehydration during prolonged exercise in the heat.

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Phospholipase C (PLC) has been known to be a key effector protein in signal transduction pathway for cell proliferation and differentiation. Studies on signalling through the insulin/IGF-1 receptors in muscle differentiation have revealed that PLCγ1 is involved during this process and that both mRNA and protein levels were increased during myogenesis. Based on increasing signal transduction pathways that required both PLCγ1 and PKCε, we investigated its role in insulin stimulation of skeletal muscle differentiation. The precise effects of insulin on specific PKC isoforms are as yet unknown. Insulin stimulation produced a gradual increase in PKCε expression and activation of PKCε through skeletal muscle differentiation. By immunoprecipitation we have demonstrated that endogenous PLCγ1 and PKCε belong to the same immunocomplex that increase during through myogenic differentiation. Furthermore, the SH domain of PLCγ1 is involved in the protein complex and that its confine to the Golgi membrane. PLCγ1 has been involved in cyclin D3 up-regulation. By overexpression and silencing approach we have evidenced that PKCε modulate the espression of cyclin D3; the kinase dead form of PKCε doesn’t maintain the same ability. Using a reporter hGH vector we proved that PKCε acts at transcriptional level by affecting the -37 region of cyclin D3 promoter, as has been described previous for PLCγ1. In summary this data proved the involvement of PKCε in the regulation of cyclin D3 expression, together with PLCγ1.

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Breast carcinoma, one of the most frequent malignancies in women, is a complex disease in which a number of different factors combine to drive pathogenesis. The biopathological characterization of these tumors is essential to determine their aggressiveness and to find the most appropriate therapy. As in others neoplasms, the deregulation of signal transduction pathways is frequently responsible for conferring selective biological advantages to the tumor. Phosphoinositides play an essential role in diverse cellular functions, their metabolism is highly active, and is tightly controlled. Among the enzymes implicated in this pathway, phospholipase C beta 1 (PLCβ1) is one of the key regulators, both at the cytoplasmic and the nuclear level. The PLCβ1 gene maps onto the short arm of chromosome 20, a region that has been shown to be altered in several solid tumors, including breast cancer. In the present study a FISH approach was used to investigate the genetic alterations of the PLCβ1 gene in various classes of breast cancer which differ in their invasiveness and proliferation status, according to their mitotic index. The overall aim was to find out whether this enzyme could be a suitable prognostic marker for this neoplasm. Our results show that 83% of cases had aneusomies at the 20p12 level, and the most frequent alteration is a gain in this specific locus. Indeed, we found that this amplification is not related to the invasion status since there were no differences in amplified tumor frequencies between in situ and invasive breast cancer. On the contrary, the gain of PLCβ1 was significantly related to the mitotic index (p = 0.001). To verify if the change in genetic dosage influences the expression of PLCβ1 we performed Real Time PCR and Immunohystochemical analysis. Our results confirmed that amplified tumors have higher levels of PLCβ1 mRNA, which is the sum of the two splicing isoforms 1a and 1b. On the other hand, even if protein levels were higher in the majority of cases compared to the nontumoral specimens, there were no significant associations between gain and overexpression. Finally, the significant association between the amplification of PLCβ1 and others important clinicopathological parameters, such as grading and hormonal receptors status, confirmed a correlation of this enzyme with the aggressiveness of breast cancer. This suggests that PLCβ1 has the potential to be a prognostic marker in these tumors. However, further work needs to be carried out to validate these preliminary findings.

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La proliferazione di strutture di difesa costiere ha determinato un interesse crescente circa l’ecologia di questi ambienti artificiali. Ricerche precedenti svolte lungo le coste del Nord Adriatico avevano evidenziato che mentre i substrati naturali in questa regione sono abbondantemente colonizzati da specie algali, i substrati artificiali tendono ad essere quantitativamente poveri di specie algali e dominati da specie di invertebrati. La seguente tesi ha analizzato l’ipotesi che tali differenze nella crescita di alghe tra habitat naturali ed artificiali potessero essere legate ad una iversa pressione da parte di organismi erbivori. Il lavoro si è focalizzato sulla specie Cystoseira barbata che è naturalmente presente nella regione di studio, ma che negli ultimi 70 anni ha subito una significativa regressione. Si volevano pertanto analizzare i fattori che possono favorire o inibire la crescita di Cystoseira su strutture artificiali di difesa costiera, al fine di poter valutare la possibilità di utilizzare questi substrati artificiali come mezzo per la conservazione di questa specie. I principali obiettivi del lavoro erano: 1. individuare e caratterizzare le potenziali specie erbivore presenti nei siti di studio che potessero limitare la crescita di C. barbata 2. analizzare se ci sono differenze nell’abbondanza di erbivori tra i siti artificiali e quelli naturali. 3. testare se il diverso stadio di sviluppo dell’alga o le modalità di trapianto potessero influenzarne la suscettibilità alla predazione. Mediante esperimenti in campo ho testato gli effetti dell’esclusione di erbivori sulla sopravvivenza e la crescita di Cystoseira barbata. Ho inoltre effettuato test in laboratorio determinare per individuare il potenziale ruolo come erbivori di varie tipologie di organismi, quali anfipodi, paguri e pesci. I risultati confermano l’importanza dell’erbivoria nel determinare il successo dei trapianti e ci dicono che gli erbivori da ricercare superano 1 cm di grandezza. In più, si è osservato che modalità di trapianto che distanzino i talli dal fondo aumentano la sopravvivenza dei talli, mentre non sono state osservate differenze in funzione della taglia dell’alga. Attraverso i test di laboratorio è stato possibile escludere gli Anfipodi come potenziali erbivori mentre Pagurus bernardus ha dimostrato un’effettiva azione di consumo dell’alga. Al contrario, i tests effettuati per approfondire la dieta di alcune specie di blennidi, composta almeno in parte da alghe, non hanno fornito conferme, almeno per il momento. Mediante visual census, si è inoltre escluso il ruolo di grandi erbivori quali ricci e salpe, scarsi nei siti di studio. Il lavoro fino a qui svolto indica, tuttavia, chiaramente che gli ambienti artificiali possono essere influenzati dall’azione di organismi predatori in maniera maggiore rispetto agli ambienti rocciosi circostanti. Questa ipotesi è particolarmente interessante in quanto rappresenterebbe una differenza fondamentale nel funzionamento delle strutture artificiali rispetto agli ambienti rocciosi naturali.

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Due to the growing attention of consumers towards their food, improvement of quality of animal products has become one of the main focus of research. To this aim, the application of modern molecular genetics approaches has been proved extremely useful and effective. This innovative drive includes all livestock species productions, including pork. The Italian pig breeding industry is unique because needs heavy pigs slaughtered at about 160 kg for the production of high quality processed products. For this reason, it requires precise meat quality and carcass characteristics. Two aspects have been considered in this thesis: the application of the transcriptome analysis in post mortem pig muscles as a possible method to evaluate meat quality parameters related to the pre mortem status of the animals, including health, nutrition, welfare, and with potential applications for product traceability (chapters 3 and 4); the study of candidate genes for obesity related traits in order to identify markers associated with fatness in pigs that could be applied to improve carcass quality (chapters 5, 6, and 7). Chapter three addresses the first issue from a methodological point of view. When we considered this issue, it was not obvious that post mortem skeletal muscle could be useful for transcriptomic analysis. Therefore we demonstrated that the quality of RNA extracted from skeletal muscle of pigs sampled at different post mortem intervals (20 minutes, 2 hours, 6 hours, and 24 hours) is good for downstream applications. Degradation occurred starting from 48 h post mortem even if at this time it is still possible to use some RNA products. In the fourth chapter, in order to demonstrate the potential use of RNA obtained up to 24 hours post mortem, we present the results of RNA analysis with the Affymetrix microarray platform that made it possible to assess the level of expression of more of 24000 mRNAs. We did not identify any significant differences between the different post mortem times suggesting that this technique could be applied to retrieve information coming from the transcriptome of skeletal muscle samples not collected just after slaughtering. This study represents the first contribution of this kind applied to pork. In the fifth chapter, we investigated as candidate for fat deposition the TBC1D1 [TBC1 (tre-2/USP6, BUB2, cdc16) gene. This gene is involved in mechanisms regulating energy homeostasis in skeletal muscle and is associated with predisposition to obesity in humans. By resequencing a fragment of the TBC1D1 gene we identified three synonymous mutations localized in exon 2 (g.40A>G, g.151C>T, and g.172T>C) and 2 polymorphisms localized in intron 2 (g.219G>A and g.252G>A). One of these polymorphisms (g.219G>A) was genotyped by high resolution melting (HRM) analysis and PCR-RFLP. Moreover, this gene sequence was mapped by radiation hybrid analysis on porcine chromosome 8. The association study was conducted in 756 performance tested pigs of Italian Large White and Italian Duroc breeds. Significant results were obtained for lean meat content, back fat thickness, visible intermuscular fat and ham weight. In chapter six, a second candidate gene (tribbles homolog 3, TRIB3) is analyzed in a study of association with carcass and meat quality traits. The TRIB3 gene is involved in energy metabolism of skeletal muscle and plays a role as suppressor of adipocyte differentiation. We identified two polymorphisms in the first coding exon of the porcine TRIB3 gene, one is a synonymous SNP (c.132T> C), a second is a missense mutation (c.146C> T, p.P49L). The two polymorphisms appear to be in complete linkage disequilibrium between and within breeds. The in silico analysis of the p.P49L substitution suggests that it might have a functional effect. The association study in about 650 pigs indicates that this marker is associated with back fat thickness in Italian Large White and Italian Duroc breeds in two different experimental designs. This polymorphisms is also associated with lactate content of muscle semimembranosus in Italian Large White pigs. Expression analysis indicated that this gene is transcribed in skeletal muscle and adipose tissue as well as in other tissues. In the seventh chapter, we reported the genotyping results for of 677 SNPs in extreme divergent groups of pigs chosen according to the extreme estimated breeding values for back fat thickness. SNPs were identified by resequencing, literature mining and in silico database mining. analysis, data reported in the literature of 60 candidates genes for obesity. Genotyping was carried out using the GoldenGate (Illumina) platform. Of the analyzed SNPs more that 300 were polymorphic in the genotyped population and had minor allele frequency (MAF) >0.05. Of these SNPs, 65 were associated (P<0.10) with back fat thickness. One of the most significant gene marker was the same TBC1D1 SNPs reported in chapter 5, confirming the role of this gene in fat deposition in pig. These results could be important to better define the pig as a model for human obesity other than for marker assisted selection to improve carcass characteristics.

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Diese Arbeit ist in ihrem Kern darum bemüht, die hochumstrittene Problematik der Haftung des Arztes für Aufklärungsfehler (insbesondere im Hinblick auf die Selbstbestimmungsaufklärung des Patienten) sachgerecht in das geltende Deliktsrechtssytem einzuordnen. Das bedeutet im Ausgangspunkt ein klares Bekenntnis zur sog. Körperverletzungsdoktrin [dazu in Teil C.) I.)] und ein Bekenntnis zur Lehre vom Erfolgsunrecht [Teil C.) III.)], in die auch der Vorwurf des Behandlungsfehlers (!) durchaus sachgerecht integriert werden kann. Unter Teil C.) IV.) wird die hochgradig kontroverse Problematik der Schadensfolgenzurechnung wegen nicht wirksam konsentierten Heilbehandlungen eingehend erörtert. Hierbei zeigt sich, daß die Lehre vom „Schutzzweck der Norm“ im Kontext des §823 I BGB bei der Haftungsausfüllung weder aus dogmatischen noch aus rein tatsächlichen Gründen anwendbar ist. Statt dessen ist die Einschränkung der Haftung des Arztes für die Schadensfolgen seines Tuns durch eine teleologische Reduktion des durch § 249 I BGB vorgegebenen und in gewissen Einzelfällen zu weit gerateten Prinzips des Totalersatzes zu erreichen. Hierbei ist nach Haftungslücken zu suchen, bei denen in besonders gelagerten Fällen eine Haftung des Arztes zu verneinen ist. Als Hilfsmittel der Lückenfüllung bietet sich in diesem Zusammenhang die Methode der Topik an. [dazu eingehend in Teil C.) IV.) 2.) d.) und e.)] In diesem Zusammenhang werden durch Vergleich verschiedenartig gelagerter Fallgruppen deren jeweilige Unterschiede herausgearbeitet und - darauf aufbauend - unterschiedliche Zurechnungsregeln herausgebildet. In Teil D.) werden die inhaltlichen, formellen und prozessualen Probleme der ärztlichen Aufklärungspflicht eingehend behandelt. Um diesbezüglich Wiederholungen zu vermeiden, wird an dieser Stelle auf die Stellungnahme zu Teil D.) in Teil D.) III.) verwiesen.

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La nanotecnologia è una scienza innovativa che sviluppa e utilizza materiali di dimensioni nanometriche (< 100 nm). Lo sviluppo e il mercato delle nanoparticelle in merito alle loro interessanti proprietà chimico‐fisiche, é accompagnato da una scarsa conoscenza relativa al destino finale e agli effetti che questi nano materiali provocano nell’ ambiente [Handy et al., 2008]. La metodologia LCA (Life Cycle Assessment – Valutazione del Ciclo di Vita) è riconosciuta come lo strumento ideale per valutare e gestire gli impatti ambientali indotti dalle ENPs, nonostante non sia ancora possibile definire, in maniera precisa, un Fattore di Caratterizzazione CF per questa categoria di sostanze. Il lavoro di questa tesi ha l’obbiettivo di stimare il Fattore di Effetto EF per nanoparticelle di Diossido di Titanio (n‐TiO2) e quindi contribuire al calcolo del CF; seguendo il modello di caratterizzazione USEtox, l’EF viene calcolato sulla base dei valori di EC50 o LC50 relativi agli organismi appartenenti ai tre livelli trofici di un ecosistema acquatico (alghe, crostacei, pesci) e assume valore pari a 49,11 PAF m3/Kg. I valori tossicologici utilizzati per il calcolo del Fattore di Effetto derivano sia da un’accurata ricerca bibliografica sia dai risultati ottenuti dai saggi d’inibizione condotti con n‐TiO2 sulla specie algale Pseudokirchneriella Subcapitata. La lettura dei saggi è stata svolta applicando tre differenti metodi quali la conta cellulare al microscopio ottico (media geometrica EC50: 2,09 mg/L, (I.C.95% 1,45‐ 2,99)), l’assorbanza allo spettrofotometro (strumento non adatto alla lettura di test condotti con ENPs) e l’intensità di fluorescenza allo spettrofluorimetro (media geometrica EC50: 3,67 mg/L (I.C.95% 2,16‐6,24)), in modo tale da confrontare i risultati e valutare quale sia lo strumento più consono allo studio di saggi condotti con n‐TiO2. Nonostante la grande variabilità dei valori tossicologici e la scarsa conoscenza sui meccanismi di tossicità delle ENPs sulle specie algali, il lavoro sperimentale e la ricerca bibliografica condotta, hanno permesso di individuare alcune proprietà chimico‐fisiche delle nanoparticelle di Diossido di Titanio che sembrano essere rilevanti per la loro tossicità come la fase cristallina, le dimensioni e la foto attivazione [Vevers et al., 2008; Reeves et al., 2007]. Il lavoro sperimentale ha inoltre permesso di ampliare l’insieme di valori di EC50 finora disponibile in letteratura e di affiancare un progetto di ricerca dottorale utilizzando il Fattore di Effetto per n‐ TiO2 nel calcolo del Fattore di Caratterizzazione.

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Der Einsatz von Penningfallen in der Massenspektrometrie hat zu einem einmaligen Genauigkeitssprung geführt. Dadurch wurden Massenwerte verschiedenster Atome zu wichtigen Eingangsparametern bei immer mehr physikalischen Fragestellungen. Die Massenspektrometrie mit Hilfe von Penningfallen basiert auf der Bestimmung der freien Zyklotronfrequenz eines Ions in einem homogenen Magnetfeld νc=qB/(2πm). Sie wird mit Flugzeitmethode (TOF-ICR) bestimmt, wobei eine relative Massenungenauigkeit δm/m von wenigen 10^-9 bei Nukliden mit Lebensdauern von <500 ms erreicht wird. Dies wurde durch die im Rahmen dieser Arbeit erstmals in der Penningfallen-Massenspektrometrie eingesetzten Ramsey-Methode möglich. Dabei werden zeitlich separierte, oszillierenden Feldern zur resonanten Ionenanregung genutzt, um die Frequenzmessung durch die Flugzeitmethode zu verbessern. Damit wurden am Penningfallenmassenspektrometer ISOLTRAP an ISOLDE/CERN die Massen der Nuklide 26,27Al und 38,39Ca bestimmt. Alle Massen wurden in die „Atomic Mass Evaluation“ eingebettet. Die Massenwerte von 26Al und 38Ca dienten insbesondere zu Tests des Standardmodells. Um mit Massenwerten fundamentale Symmetrien oder die Quantenelektrodynamik (QED) in extremen Feldern zu testen wurde ein neues Penningfallenprojekt (PENTATRAP) für hochpräzise Massenmessungen an hochgeladenen Ionen konzipiert. In dieser Doktorarbeit wurde vornehmlich die Entwicklung der Penningfallen betrieben. Eine Neuerung bei Penningfallenexperimenten ist dabei die permanente Beobachtung des Magnetfeldes B und seiner zeitlichen Fluktuationen durch so genannte „Monitorfallen“.

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Diamant ist das härteste Mineral – und dazu ein Edelstein -, das unter höchstem Druck und hohen Temperaturen in tiefen kontinentalen Regionen der Erde kristallisiert. Die Mineraleinschlüsse in Diamanten werden durch die physikalische Stabilität und chemische Beständigkeit der umgebenden – eigentlich metastabilen -Diamant-Phase geschützt. Aufgrund der koexistierenden Phasenkombination ermöglichen sie, die Mineral-Entwicklung zu studieren, während deren der Einschlüssen und die Diamanten kristallisierten. rnDie Phasenkombinationen von Diamant und Chrom-Pyrop, Chrom-Diopsid, Chromit, Olivin, Graphit und Enstatit nebeneinander (teilweise in Berührungsexistenz) mit Chrom-Pyrop Einschlüssen wurden von neunundzwanzig Diamant-Proben von sechs Standorten in Südafrika (Premier, Koffiefontein, De Beers Pool, Finsch, Venetia und Koingnaas Minen) und Udachnaya (Sibirien/Russland) identifiziert und charakterisiert. Die Mineraleinschlüsse weisen z.T. kubo-oktaedrische Form auf, die unabhängig von ihren eigenen Kristallsystemen ausgebildet werden können. Das bedeutet, dass sie syngenetische Einschlüsse sind, die durch die sehr hohe Formenergie des umgebenden Diamanten morphologisch unter Zwang stehen. Aus zweidiemnsionalen Messungen der ersten Ordnung von charakteristischen Raman-Banden lassen sich relative Restdrucke in Diamanten zwischen Diamant und Einschlussmineral gewinnen; sie haben charakteristische Werte von ca. 0,4 bis 0,9 GPa um Chrom-Pyrop-Einschlüsse, 0,6 bis 2,0 GPa um Chrom-Diopsid-Einschlüsse, 0,3 bis 1,2 GPa um Olivin-Einschlüsse, 0,2 bis 1,0 GPa um Chromit-Einschlüsse, beziehungsweise 0,5 GPa um Graphit Einschlüsse.rnDie kristallstrukturellen Beziehung von Diamanten und ihren monomineralischen Einschlüssen wurden mit Hilfe der Quantifizierung der Winkelkorrelationen zwischen der [111] Richtung von Diamanten und spezifisch ausgewählten Richtungen ihrer mineralischen Einschlüsse untersucht. Die Winkelkorrelationen zwischen Diamant [111] und Chrom-Pyrop [111] oder Chromit [111] zeigen die kleinsten Verzerrungen von 2,2 bis zu 3,4. Die Chrom-Diopsid- und Olivin-Einschlüsse zeigen die Missorientierungswerte mit Diamant [111] bis zu 10,2 und 12,9 von Chrom-Diopsid [010] beziehungsweise Olivin [100].rnDie chemische Zusammensetzung von neun herausgearbeiteten (orientiertes Anschleifen) Einschlüssen (drei Chrom-Pyrop-Einschlüsse von Koffiefontein-, Finsch- und Venetia-Mine (zwei von drei koexistieren nebeneinander mit Enstatit), ein Chromit von Udachnaya (Sibirien/Russland), drei Chrom-Diopside von Koffiefontein, Koingnaas und Udachnaya (Sibirien/Russland) und zwei Olivin Einschlüsse von De Beers Pool und Koingnaas) wurden mit Hilfe EPMA und LA-ICP-MS analysiert. Auf der Grundlage der chemischen Zusammensetzung können die Mineraleinschlüsse in Diamanten in dieser Arbeit der peridotitischen Suite zugeordnet werden.rnDie Geothermobarometrie-Untersuchungen waren aufgrund der berührenden Koexistenz von Chrom-Pyrop- und Enstatit in einzelnen Diamanten möglich. Durchschnittliche Temperaturen und Drücke der Bildung sind mit ca. 1087 (± 15) C, 5,2 (± 0,1) GPa für Diamant DHK6.2 von der Koffiefontein Mine beziehungsweise ca. 1041 (± 5) C, 5,0 (± 0,1) GPa für Diamant DHF10.2 von der Finsch Mine zu interpretieren.rn

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The production rate of $b$ and $\bar{b}$ hadrons in $pp$ collisions are not expected to be strictly identical, due to imbalance between quarks and anti-quarks in the initial state. This phenomenon can be naively related to the fact that the $\bar{b}$ quark produced in the hard scattering might combine with a $u$ or $d$ valence quark from the colliding protons, whereas the same cannot happen for a $b$ quark. This thesis presents the analysis performed to determine the production asymmetries of $B^0$ and $B^0_s$. The analysis relies on data samples collected by the LHCb detector at the Large Hadron Collider (LHC) during the 2011 and 2012 data takings at two different values of the centre of mass energy $\sqrt{s}=7$ TeV and at $\sqrt{s}=8$ TeV, corresponding respectively to an integrated luminosity of 1 fb$^{-1}$ and of 2 fb$^{-1}$. The production asymmetry is one of the key ingredients to perform measurements of $CP$ violation in b-hadron decays at the LHC, since $CP$ asymmetries must be disentangled from other sources. The measurements of the production asymmetries are performed in bins of $p_\mathrm{T}$ and $\eta$ of the $B$-meson. The values of the production asymmetries, integrated in the ranges $4 < p_\mathrm{T} < 30$ GeV/c and $2.5<\eta<4.5$, are determined to be: \begin{equation} A_\mathrm{P}(\B^0)= (-1.00\pm0.48\pm0.29)\%,\nonumber \end{equation} \begin{equation} A_\mathrm{P}(\B^0_s)= (\phantom{-}1.09\pm2.61\pm0.61)\%,\nonumber \end{equation} where the first uncertainty is statistical and the second is systematic. The measurement of $A_\mathrm{P}(B^0)$ is performed using the full statistics collected by LHCb so far, corresponding to an integrated luminosity of 3 fb$^{-1}$, while the measurement of $A_\mathrm{P}(B^0_s)$ is realized with the first 1 fb$^{-1}$, leaving room for improvement. No clear evidence of dependences on the values of $p_\mathrm{T}$ and $\eta$ is observed. The results presented in this thesis are the most precise measurements available up to date.

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The multiligand Receptor for Advanced Glycation End products (RAGE) is involved in various pathophysiological processes, including diabetic inflammatory conditions and Alzheimers disease. Full-length RAGE, a cell surface-located type I membrane protein, can proteolytically be converted by metalloproteinases ADAM10 and MMP9 into a soluble RAGE form. Moreover, administration of recombinant soluble RAGE suppresses activation of cell surface-located RAGE by trapping RAGE ligands. Therefore stimulation of RAGE shedding might have a therapeutic value regarding inflammatory diseases. We aimed to investigate whether RAGE shedding is inducible via ligand-induced activation of G protein-coupled receptors (GPCRs). We chose three different GPCRs coupled to distinct signaling cascades: the V2 vasopressin receptor (V2R) activating adenylyl cyclase, the oxytocin receptor (OTR) linked to phospholipase Cβ, and the PACAP receptor (subtype PAC1) coupled to adenylyl cyclase, phospholipase Cβ, calcium signaling and MAP kinases. We generated HEK cell lines stably coexpressing an individual GPCR and full-length RAGE and then investigated GPCR ligand-induced activation of RAGE shedding. We found metalloproteinase-mediated RAGE shedding on the cell surface to be inducible via ligand-specific activation of all analyzed GPCRs. By using specific inhibitors we have identified Ca2+ signaling, PKCα/PKCβI, CaMKII, PI3 kinases and MAP kinases to be involved in PAC1 receptor-induced RAGE shedding. We detected an induction of calcium signaling in all our cell lines coexpressing RAGE and different GPCRs after agonist treatment. However, we did not disclose a contribution of adenylyl cyclase in RAGE shedding induction. Furthermore, by using a selective metalloproteinase inhibitor and siRNAmediated knock-down approaches, we show that ADAM10 and/or MMP9 are playing important roles in constitutive and PACAP-induced RAGE shedding. We also found that treatment of mice with PACAP increases the amount of soluble RAGE in the mouse lung. Our findings suggest that pharmacological stimulation of RAGE shedding might open alternative treatment strategies for Alzheimers disease and diabetes-induced inflammation.