957 resultados para Site selection


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Landscape structure and heterogeneity play a potentially important, but little understood role in predator-prey interactions and behaviourally-mediated habitat selection. For example, habitat complexity may either reduce or enhance the efficiency of a predator's efforts to search, track, capture, kill and consume prey. For prey, structural heterogeneity may affect predator detection, avoidance and defense, escape tactics, and the ability to exploit refuges. This study, investigates whether and how vegetation and topographic structure influence the spatial patterns and distribution of moose (Alces alces) mortality due to predation and malnutrition at the local and landscape levels on Isle Royale National Park. 230 locations where wolves (Canis lupus) killed moose during the winters between 2002 and 2010, and 182 moose starvation death sites for the period 1996-2010, were selected from the extensive Isle Royale Wolf-Moose Project carcass database. A variety of LiDAR-derived metrics were generated and used in an algorithm model (Random Forest) to identify, characterize, and classify three-dimensional variables significant to each of the mortality classes. Furthermore, spatial models to predict and assess the likelihood at the landscape scale of moose mortality were developed. This research found that the patterns of moose mortality by predation and malnutrition across the landscape are non-random, have a high degree of spatial variability, and that both mechanisms operate in contexts of comparable physiographic and vegetation structure. Wolf winter hunting locations on Isle Royale are more likely to be a result of its prey habitat selection, although they seem to prioritize the overall areas with higher moose density in the winter. Furthermore, the findings suggest that the distribution of moose mortality by predation is habitat-specific to moose, and not to wolves. In addition, moose sex, age, and health condition also affect mortality site selection, as revealed by subtle differences between sites in vegetation heights, vegetation density, and topography. Vegetation density in particular appears to differentiate mortality locations for distinct classes of moose. The results also emphasize the significance of fine-scale landscape and habitat features when addressing predator-prey interactions. These finer scale findings would be easily missed if analyses were limited to the broader landscape scale alone.

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The recovery of a 1.5 million yr long ice core from Antarctica represents a keystone of our understanding of Quaternary climate, the progression of glaciation over this time period and the role of greenhouse gas cycles in this progression. Here we tackle the question of where such ice may still be found in the Antarctic ice sheet. We can show that such old ice is most likely to exist in the plateau area of the East Antarctic ice sheet (EAIS) without stratigraphic disturbance and should be able to be recovered after careful pre-site selection studies. Based on a simple ice and heat flow model and glaciological observations, we conclude that positions in the vicinity of major domes and saddle position on the East Antarctic Plateau will most likely have such old ice in store and represent the best study areas for dedicated reconnaissance studies in the near future. In contrast to previous ice core drill site selections, however, we strongly suggest significantly reduced ice thickness to avoid bottom melting. For example for the geothermal heat flux and accumulation conditions at Dome C, an ice thickness lower than but close to about 2500 m would be required to find 1.5 Myr old ice (i.e., more than 700 m less than at the current EPICA Dome C drill site). Within this constraint, the resolution of an Oldest-Ice record and the distance of such old ice to the bedrock should be maximized to avoid ice flow disturbances, for example, by finding locations with minimum geothermal heat flux. As the geothermal heat flux is largely unknown for the EAIS, this parameter has to be carefully determined beforehand. In addition, detailed bedrock topography and ice flow history has to be reconstructed for candidates of an Oldest-Ice ice coring site. Finally, we argue strongly for rapid access drilling before any full, deep ice coring activity commences to bring datable samples to the surface and to allow an age check of the oldest ice.

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BACKGROUND AND PURPOSE Mechanical thrombectomy using stent retriever devices have been advocated to increase revascularization in intracranial vessel occlusion. We present the results of a large prospective study on the use of the Solitaire Flow Restoration in patients with acute ischemic stroke. METHODS Solitaire Flow Restoration Thrombectomy for Acute Revascularization was an international, multicenter, prospective, single-arm study of Solitaire Flow Restoration thrombectomy in patients with large vessel anterior circulation strokes treated within 8 hours of symptom onset. Strict criteria for site selection were applied. The primary end point was the revascularization rate (thrombolysis in cerebral infarction ≥2b) of the occluded vessel as determined by an independent core laboratory. The secondary end point was the rate of good functional outcome (defined as 90-day modified Rankin scale, 0-2). RESULTS A total of 202 patients were enrolled across 14 comprehensive stroke centers in Europe, Canada, and Australia. The median age was 72 years, 60% were female patients. The median National Institute of Health Stroke Scale was 17. Most proximal intracranial occlusion was the internal carotid artery in 18%, and the middle cerebral artery in 82%. Successful revascularization was achieved in 79.2% of patients. Device and procedure-related severe adverse events were found in 7.4%. Favorable neurological outcome was found in 57.9%. The mortality rate was 6.9%. Any intracranial hemorrhagic transformation was found in 18.8% of patients, 1.5% were symptomatic. CONCLUSIONS In this single-arm study, treatment with the Solitaire Flow Restoration device in intracranial anterior circulation occlusions results in high rates of revascularization, low risk of clinically relevant procedural complications, and good clinical outcomes in combination with low mortality at 90 days. CLINICAL TRIAL REGISTRATION URL http://www.clinicaltrials.gov. Unique identifier: NCT01327989.

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TbRRM1 of Trypanosoma brucei is a nucleoprotein that was previously identified in a search for splicing factors in T. brucei. We show that TbRRM1 associates with mRNAs and with the auxiliary splicing factor polypyrimidine tract-binding protein 2, but not with components of the core spliceosome. TbRRM1 also interacts with several retrotransposon hot spot (RHS) proteins and histones. RNA immunoprecipitation of a tagged form of TbRRM1 from procyclic (insect) form trypanosomes identified ca. 1,500 transcripts that were enriched and 3,000 transcripts that were underrepresented compared to cellular mRNA. Enriched transcripts encoded RNA-binding proteins, including TbRRM1 itself, several RHS transcripts, mRNAs with long coding regions, and a high proportion of stage-regulated mRNAs that are more highly expressed in bloodstream forms. Transcripts encoding ribosomal proteins, other factors involved in translation, and procyclic-specific transcripts were underrepresented. Knockdown of TbRRM1 by RNA interference caused widespread changes in mRNA abundance, but these changes did not correlate with the binding of the protein to transcripts, and most splice sites were unchanged, negating a general role for TbRRM1 in splice site selection. When changes in mRNA abundance were mapped across the genome, regions with many downregulated mRNAs were identified. Two regions were analyzed by chromatin immunoprecipitation, both of which exhibited increases in nucleosome occupancy upon TbRRM1 depletion. In addition, subjecting cells to heat shock resulted in translocation of TbRRM1 to the cytoplasm and compaction of chromatin, consistent with a second role for TbRRM1 in modulating chromatin structure. IMPORTANCE: Trypanosoma brucei, the parasite that causes human sleeping sickness, is transmitted by tsetse flies. The parasite progresses through different life cycle stages in its two hosts, altering its pattern of gene expression in the process. In trypanosomes, protein-coding genes are organized as polycistronic units that are processed into monocistronic mRNAs. Since genes in the same unit can be regulated independently of each other, it is believed that gene regulation is essentially posttranscriptional. In this study, we investigated the role of a nuclear RNA-binding protein, TbRRM1, in the insect stage of the parasite. We found that TbRRM1 binds nuclear mRNAs and also affects chromatin status. Reduction of nuclear TbRRM1 by RNA interference or heat shock resulted in chromatin compaction. We propose that TbRRM1 regulates RNA polymerase II-driven gene expression both cotranscriptionally, by facilitating transcription and efficient splicing, and posttranscriptionally, via its interaction with nuclear mRNAs.

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In order to maintain pond-breeding amphibian species richness, it is important to understand how both natural and anthropogenic disturbances affect species assemblages and individual species distributions both at the scale of individual ponds and at a larger landscape scale. The goal of this project was to investigate what characteristics of ponds and the surrounding wetland landscape were most effective in predicting pond-breeding species richness and the individual occurrence of wood frog (Rana sylvatica), bullfrog (Rana catesbeiana) and pickerel frog (Rana palustris) breeding sites in a beaver-modified landscape and how this landscape has changed over time. The wetland landscape of Acadia National Park was historically modified by the natural disturbance cycles of beaver (Castor cazadensis), and since their reintroduction to the island in 1921, beaver have played a large role in creating and maintaining palustrine wetlands. In 2000 and 2001, I studied pond-breeding amphibian assemblages at 71 palustrine wetlands in Acadia National Park, Mount Desert Island, Maine. I determined breeding presence of 7 amphibian species and quantified 15 variables describing local pond conditions and characteristics of the wetland landscape. I developed a priori models to predict sites with high amphibian species and used model selection with Akaike's Information Criterion (AIC) to identify important variables. Single species models were also developed to predict wood frog, bullfrog and pickerel frogs breeding presence. The variables for wetland connectivity by stream corridors and the presence of beaver disturbance were the most effective variables to predict sites with high amphibian richness. Wood frog breeding was best predicted by local scale variables describing temporary, fishless wetlands and the absence of active beaver disturbance. Abandoned beaver sites provided wood frog breeding habitat (70%) in a similar proportion to that found in non beaver-influenced sites (79%). In contrast, bullfrog breeding presence was limited to active beaver wetlands with fish and permanent water, and 80% of breeding sites were large (≥2ha in size). Pickerel frog breeding site selection was predicted best by the connectivity of sites in the landscape by stream corridors. Models including the presence of beaver disturbance, greater wetland perimeter and greater depth were included in the confidence set of pickerel frog models but showed considerably less support. Analysis of historic aerial photographs showed an 89% increase in the total number of ponded wetlands available in the landscape between the years of 1944 and 1997. Beaver colonization generally converted forested wetlands and riparian areas to open water and emergent wetlands. Temporal colonization of beaver wetlands favored large sites low in the watersheds and sites that were impounded later were generally smaller, higher in the watershed, and more likely to be abandoned. These results suggest that beaver have not only increased the number of available breeding sites in the landscape for pond-breeding amphibians, but the resulting mosaic of active and abandoned beaver wetlands also provides suitable breeding habitat for species with differing habitat requirements.

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Alternative RNA splicing is a critical process that contributes variety to protein functions, and further controls cell differentiation and normal development. Although it is known that most eukaryotic genes produce multiple transcripts in which splice site selection is regulated, how RNA binding proteins cooperate to activate and repress specific splice sites is still poorly understood. In addition how the regulation of alternative splicing affects germ cell development is also not well known. In this study, Drosophila Transformer 2 (Tra2) was used as a model to explore both the mechanism of its repressive function on its own pre-mRNA splicing, and the effect of the splicing regulation on spermatogenesis in testis. Half-pint (Hfp), a protein known as splicing activator, was identified in an S2 cell-based RNAi screen as a co-repressor that functions in combination with Tra2 in the splicing repression of the M1 intron. Its repressive splicing function is found to be sequence specific and is dependent on both the weak 3’ splice site and an intronic splicing silencer within the M1 intron. In addition we found that in vivo, two forms of Hfp are expressed in a cell type specific manner. These alternative forms differ at their amino terminus affecting the presence of a region with four RS dipeptides. Using assays in Drosophila S2 cells, we determined that the alternative N terminal domain is necessary in repression. This difference is probably due to differential localization of the two isoforms in the nucleus and cytoplasm. Our in vivo studies show that both Hfp and Tra2 are required for normal spermatogenesis and cooperate in repression of M1 splicing in spermatocytes. But interestingly, Tra2 and Hfp antagonize each other’s function in regulating germline specific alternative splicing of Taf1 (TBP associated factor 1). Genetic and cytological studies showed that mutants of Hfp and Taf1 both cause similar defects in meiosis and spermatogenesis. These results suggest Hfp regulates normal spermatogenesis partially through the regulation of taf1 splicing. These observations indicate that Hfp regulates tra2 and taf1 activity and play an important role in germ cell differentiation of male flies.

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Much progress has been made in estimating recurrence intervals of great and giant subduction earthquakes using terrestrial, lacustrine, and marine paleoseismic archives. Recent detailed records suggest these earthquakes may have variable recurrence periods and magnitudes forming supercycles. Understanding seismic supercycles requires long paleoseismic archives that record timing and magnitude of such events. Turbidite paleoseismic archives may potentially extend past earthquake records to the Pleistocene and can thus complement commonly shorter-term terrestrial archives. However, in order to unambiguously establish recurring seismicity as a trigger mechanism for turbidity currents, synchronous deposition of turbidites in widely spaced, isolated depocenters has to be ascertained. Furthermore, characteristics that predispose a seismically active continental margin to turbidite paleoseismology and the correct sample site selection have to be taken into account. Here we analyze 8 marine sediment cores along 950 km of the Chile margin to test for the feasibility of compiling detailed and continuous paleoseismic records based on turbidites. Our results suggest that the deposition of areally widespread, synchronous turbidites triggered by seismicity is largely controlled by sediment supply and, hence, the climatic and geomorphic conditions of the adjacent subaerial setting. The feasibility of compiling a turbidite paleoseismic record depends on the delicate balance between sufficient sediment supply providing material to fail frequently during seismic shaking and sufficiently low sedimentation rates to allow for coeval accumulation of planktonic foraminifera for high-resolution radiocarbon dating. We conclude that offshore northern central Chile (29-32.5°S) Holocene turbidite paleoseismology is not feasible, because sediment supply from the semi-arid mainland is low and almost no Holocene turbidity-current deposits are found in the cores. In contrast, in the humid region between 36 and 38°S frequent Holocene turbidite deposition may generally correspond to paleoseismic events. However, high terrigenous sedimentation rates prevent high-resolution radiocarbon dating. The climatic transition region between 32.5 and 36°S appears to be best suited for turbidite paleoseismology.

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La energía eólica, así como otras energías renovables, ha experimentado en la última década un gran auge que va extendiéndose alrededor de todo el mundo, cada vez más concienciado de la importancia de las energías renovables como una fuente alternativa de energía. Se han sumado al reto todos los países acogidos al Protocolo de Kyoto, que a fin de reducir emisiones están potenciando la energía eólica como la fuente de energía renovable hoy día más viable para la generación eléctrica. Brasil alcanzó en 2011 los 1.509 MW instalados, lo que representa el 50% de Latinoamérica, seguido por México con el 31%. Las características del sector eléctrico así como un marco legal favorable y el alto potencial eólico, hacen que la perspectiva de crecimiento en este tipo de energía sea muy favorable durante los próximos años, con estimaciones de unos 20.000 MW para 2020. El asentamiento del sector en el país de algunos de los fabricantes más importantes y los avances en cuanto a eficiencia de los aerogeneradores, mayor aprovechamiento de la energía de los vientos menos intensos, amplía las posibles ubicaciones de parques eólicos permitiendo una expansión grande del sector. El parque eólico objeto del proyecto está ubicado en el estado de Rio Grande do Sul, al sur del país, y está constituido por 33 aerogeneradores de 2,0 MW de potencia unitaria, lo que supone una potencia total instalada de 66 MW. La energía eléctrica generada en él será de 272,8 GWh/año. Esta energía se venderá mediante un contrato de compraventa de energía (PPA, Power Purchase Agreement) adjudicado por el gobierno Brasileño en sus sistemas de subasta de energía. En el proyecto se aborda primeramente la selección del emplazamiento del parque eólico a partir de datos de viento de la zona. Estos datos son estudiados para evaluar el potencial eólico y así poder optimizar la ubicación de las turbinas eólicas. Posteriormente se evalúan varios tipos de aerogeneradores para su implantación en el emplazamiento. La elección se realiza teniendo en cuenta las características técnicas de las máquinas y mediante un estudio de la productividad del parque con el aerogenerador correspondiente. Finalmente se opta por el aerogenerador G97-2.0 de GAMESA. La ejecución técnica del parque eólico se realiza de forma que se minimicen los impactos ambientales y de acuerdo a lo establecido en el Estudio de Impacto Ambiental realizado. Este proyecto requiere una inversión de 75,4 M€, financiada externamente en un 80 % y el 20 % con recursos propios del promotor. Del estudio económico-financiero se deduce que el proyecto diseñado es rentable económicamente y viable, tanto desde el punto de vista técnico como financiero. Abstract Wind energy, as well as other renewable energies, has experienced over the last decade a boom that is spreading around the world increasingly aware of the importance of renewable energy as an alternative energy source. All countries that ratified the Kyoto Protocol have joined the challenge promoting wind energy in order to reduce emissions as the more feasible renewable energy for power generation. In 2011 Brazil reached 1509 MW installed, 50% of Latin America, followed by Mexico with 31%. Electric sector characteristics as well as a favorable legal framework and the high wind potential, make the perspective of growth in this kind of energy very positive in the coming years, with estimates of about 20,000 MW by 2020. Some leading manufacturers have settled in the country and improvements in wind turbines efficiency with less intense winds, make higher the number of possible locations for wind farms allowing a major expansion of the sector. The planned wind farm is located in the state of Rio Grande do Sul, in the south of the Brazil, and is made up of 33 wind turbines of 2,0 MW each, representing a total capacity of 66 MW. The electricity generated, 272,8 GWh/year will be sold through a power purchase agreement (PPA) awarded by the Brazilian government in its energy auction systems. The project deals with the site selection of the wind farm from wind data in the area. These data are studied to evaluate the wind potential and thus optimize the location of wind turbines. Then several types of turbines are evaluated for implementation at the site. The choice is made taking into account the technical characteristics of the machines and a study of the productivity of the park with the corresponding turbine. Finally selected wind turbine is Gamesa G97-2.0. The technical implementation of the wind farm is done to minimize environmental impacts as established in the Environmental Impact Study. This project requires an investment of 75,4 M€, financed externally by 80% and 20% with equity from the promoter. The economic-financial study shows that the project is economically viable, both technically and financially.

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La teca (Tectona grandis L.f.) ha sido tradicionalmente considerada como una madera preciosa en los países del SE Asiático, de donde es originaria, pero durante las últimas décadas ha alcanzado especial relevancia en el sector internacional de las maderas tropicales duras de buena calidad. La especie ha sido ampliamente establecida en América Central, donde tiene una gran importancia socioeconómica, tanto por el impacto de las grandes empresas multinacionales que gestionan grandes plantaciones en la región, como por el gran número de pequeños y medianos propietarios que han elegido esta especie para reforestar sus tierras. Pese a la gran importancia de esta especie, se ha desarrollado relativamente poca investigación acerca de su nutrición y de la gestión del suelo necesaria para su establecimiento y mantenimiento en condiciones sostenibles y productivas. En la presente Tesis Doctoral, tras realizar una amplia revisión bibliográfica, se caracterizan los suelos y la nutrición de las plantaciones de teca en América Central y se proponen varias herramientas para la mejora de su gestión. Las plantaciones de teca de América Central presentan habitualmente deficiencias de K y P, además de algunos problemas de acidez ocasionales. Estos se originan, principalmente, por la mala selección de sitio que se realizó en las últimas dos décadas del siglo XX y por el establecimiento de plantaciones de teca por pequeños propietarios en terrenos que no tienen características propicias para la especie. Además, estos problemas comunes relativos a la baja disponibilidad de P y de K en el suelo son causantes de las relativamente bajas concentraciones foliares de estos elementos (0,88±0,07% K y 0,16±0,04% P) encontradas en plantaciones de teca características de la región. Se presentan varios modelos estadísticos que permiten a los gestores: (a) usarlos como referencia para la interpretación de análisis foliares, ya que ofrecen valores que se consideran característicos de plantaciones de teca con un buen estado nutricional; (b) estimar la cantidad de nutrientes acumulados en la biomasa aérea de sus plantaciones y, sobre todo, su extracción a través de la madera en un aprovechamiento forestal, bien sea una clara o la corta final. La gran acumulación de N, P y K en plantaciones de teca ha de ser considerada como un factor fundamental en su gestión. Además, P y K adquieren mayor relevancia aún ya que su extracción del sistema a través de la madera y su escasa disponibilidad en los suelos hacen que se presente un importante desequilibrio que pone en riesgo la sostenibilidad del sistema. En ese sentido, cambiar la época de cosecha, de la actual (en Enero-Mayo) a Septiembre o Diciembre, puede reducir entre un 24 y un 28% la salida de N asociada a la extracción de madera, un 29% la de P y entre un 14 y un 43% la de K. Se estima que la concentración foliar de P es un factor limitante de la productividad de plantaciones de teca en América Central, proponiéndose un nivel crítico de 0,125%. Además, la teca presenta una tolerancia muy baja a suelos salinos, tendencia que no había sido señalada hasta el momento, siendo muy alta la probabilidad de que la plantación tenga un crecimiento lento o muy lento cuando la Saturación de Na es mayor de 1,1%. Por otro lado, se confirma que K es uno de los elementos clave en la nutrición de las plantaciones de teca en la región centroamericana, proponiéndose un nivel crítico provisional de 3,09% para la Saturación de K, por encima del cual es muy probable que la plantación tenga un crecimiento muy alto. Se ha comprobado que las técnicas estadísticas de análisis multivariante pueden ser usadas como herramientas para agrupar los rodales en base a sus similitudes en cuanto a la fertilidad del suelo y mejorar así el diseño de planes de fertilización en plantaciones con una superficie relativamente grande. De esta manera, se pueden ajustar planes de fertilización más eficientes a escala de grupos de rodales, como un primer paso hacia la selvicultura de precisión, intensificando y diversificando la gestión en función de las diferencias edáficas. Finalmente, aunque los análisis foliares y de suelos indiquen la existencia de deficiencias nutricionales, la fertilización de las plantaciones no siempre va a producir efectos positivos sobre su crecimiento si no se diseña adecuadamente teniendo en cuenta varios factores que pueden estar influyendo negativamente en dicha respuesta, como la densidad de las plantaciones (sinergias con la programación de los clareos y claras) y la elección de la dosis y del producto a aplicar (habitualmente dosis bajas de N-P-K en lugar de incluir otros nutrientes como Mg, B y Zn o usar otros productos como micorrizas, biofertilizantes etc…). ABSTRACT Teak (Tectona grandis L.f.) has been traditionally considered as a precious wood in SE Asia, where it is indigenous. However, during recent decades the species has reached worldwide relevance in the tropical high quality hardwood sector. Teak has been widely established in Central America, where it has become a key species in the forest sector due to its socioeconomic impact, either because of the big-scale plantations of transnational companies and the abundant small-scale plantations established by many farmers. Despite the relevance of the species, little research has been carried out regarding its soil fertility and nutrition management, a key issue both for sustainability and productivity. The present Thesis performs a literature review to this respect, characterize the soil fertility and the nutrition of teak plantations of Central America and propose several management tools. Soil deficiencies of K and P are usually found in teak plantations in Central America, in addition to occasional acidity problems. These problems are mainly derived of (a) a poor site selection performed during 80s and 90s; and (b) small-scale plantations by farmers in sites which are not adequate for the species. These common soil fertility problems related with P and K soil availability are probably the cause of the relatively low P and K foliar concentration (0,88±0,07% K y 0,16±0,04% P) found in representative teak plantations of the region. Several statistical models are proposed, which allow forest managers to: (a) use them as a reference for foliar analysis interpretation, as they show values considered as representative for teak plantations with an adequate nutritional status in the region; (b) estimate the amount of nutrients accumulated in the aerial biomass of the plantations and, especially, the amount of them which are extracted from the systems as wood is harvested in thinning or final clearcuts. The accumulation of N, P and K result in a key factor for teak management in the region. This turns out to be especially relevant for the P and K because their high output rate by timber extraction and the low soil availability result in an important unbalance which constitutes a risk regarding the sustainability of the system. To this respect, modifying the harvesting time from the usual right now (January-May, business as usual scenario) to September or December (proposed alternatives) can reduce between 24 and 28% the N output associated to timber extraction, 29% the P output and between 14 and 43% the K. Foliar P concentration is a main limiting factor for teak plantations productivity in Central America and a 0.125% critical level is proposed. In addition, the results show a very low tolerance for soil salinity, tendency which was not previously reported. Hence, the probability of teak plantations to have low or very low Site Index is high when Na Saturation is higher than 1.1%. On the other hand, K is confirmed as one of the key nutrients regarding teak nutrition in Central America and a 3.09% provisional critical level is proposed for K Saturation; when values are above this level the probability of having very high Site Index is high. Multivariate statistical analyses have been successfully tested to be used as tools to group forest stands according to their soil fertility similarities. Hence, more efficient fertilization plans can be designed for each group of stands, intensifying and diversifying nutritional management according to soil fertility differences. This methodology, which is considered as a first step towards precision forestry, is regarded as helpful tool to design fertilization plans in big scale plantations. Finally, even though foliar and soil analysis would point out some nutritional deficiencies in a forest stand, the results show how the fertilization is not always going to have a positive effect over forest growth if it is not adequately designed. Some factors have been identified as determinants of tree response to fertilization: density (synergisms between fertilization and thinning scheduling) and the appropriate selection of dosages and product (usually low dosages are applied and N-P-K is preferred instead of applying other nutrients such as Mg, B or Zn or using other alternatives such as mycorrhizas or biofertilizers).

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El crecimiento demográfico y el proceso de urbanización que ha experimentado el planeta en el último siglo se ha traducido, en contextos de pobreza, en la generación de tugurios y en el aumento de la población viviendo en condiciones de habitabilidad precaria (HaP) fruto de la urbanización informal. Situación que, según las estimaciones de Naciones Unidas continuará teniendo lugar en las próximas décadas, especialmente en las ciudades de las regiones menos desarrolladas. Este ha sido el problema específico que se ha querido atender con el presente trabajo: la búsqueda de un instrumento urbano que incida en la reducción de las tasas de precariedad habitacional urbana futuras, la búsqueda de instrumentos que eviten que ese aumento de la urbanización se traduzca en aumento de población condenada a vivir en tugurios durante décadas. Dicha búsqueda ha tenido lugar en el marco de la teoría de la Habitabilidad Básica (HaB) desarrollada por el ICHaBCátedra UNESCO de Habitabilidad Básica de la UPM. Una HaB que consiste en la satisfacción de las necesidades fundamentales de habitabilidad pero, a su vez, o más importante aún, en una esperanza de mejora y progreso paulatino de esas condiciones elementales entendida como herramienta de desarrollo y lucha contra la pobreza. Como herramienta básica, no se trata de ofrecer las condiciones ideales, sino de brindar un camino razonable, que se considera posible, para que miles de millones de personas que viven en HaP o parecen condenadas a tener que hacerlo, puedan acceder a mejores condiciones de vida en tiempos más cortos. Entre las políticas habitacionales no convencionales puestas en marcha desde Hábitat I en 1976, las de habilitación urbana progresiva, y más en particular, la Ocupación Guiada, resultan ser en contextos de escasez económica, el mejor instrumento para hacer frente a la urbanización informal, un instrumento paradigmático mínimo preferente de implantación ex novo de HaB. Lo es, por la atención prestada en la elección del suelo y la parcelación, las dos etapas cabecera del proceso, así como por los mecanismos implementados para atender la etapa de urbanización en su fase provisional, y por dejar la última etapa, la de la edificación de las viviendas, en manos de la población. El proceso de urbanización que se favorece es parecido al de los tugurios y ocupaciones ilegales en lo referente a las etapas y mecanismos de crecimiento. Sin embargo, la diferencia está en las condiciones en las que se produce, en los niveles de salubridad y de seguridad, y en la proyección de futuro. El Programa de Ocupación Guiada 'Alto Trujillo' (POG), puesto en marcha por la municipalidad de Trujillo (Perú) entre 1995 y 2006 fue concebido para hacer frente a los procesos de urbanización informal que estaban teniendo lugar en la ciudad y ha demostrado ser un mecanismo adecuado para garantizar el acceso regulado al suelo, las infraestructuras, los servicios básicos y la vivienda en condiciones de fuerte restricción económica mediante un cogestión acertada entre municipalidad, población y demás actores del proceso. El POG eligió un suelo no vulnerable y en continuidad con el tejido urbano, con la parcelación estableció el orden geométrico del asentamiento y reservó los espacios públicos destinados a equipamientos, zonas verdes y viario, y fijó las dimensiones de las parcelas, acompañó a la población en el proceso de ocupación guiada de las mismas, así como en el posterior desarrollo progresivo del asentamiento haciendo una fuerte apuesta por lo público, relegando la construcción de las viviendas al esfuerzo de los pobladores. Los POG municipales resultan ser un instrumento replicable siempre que se den cinco condiciones: la existencia de un marco institucional adecuado que contemple la descentralización de competencias, que haya interés y continuidad política en el gobierno local, acceso a suelo urbano disponible y voluntad de co-gestión con la población. El análisis del POG ha permitido elaborar una propuesta de replicabilidad del POG basada en la experiencia de soluciones ya implementadas, que han sido contrastadas empíricamente y analizadas para aprender de sus fortalezas, oportunidades, debilidades y amenazas, así como de sus aciertos y errores. La estrategia de replicabilidad del POG se plantea como alternativa a la urbanización informal con mecanismos mejorados para que las ciudades se desarrollen siguiendo unos parámetros mínimos de HaB y no a través de asentamientos informales que dificulten el progreso futuro de las familias que los habitan y de las mismas ciudades de las que forman parte. Esta propuesta de replicabilidad, que precisa ser adaptada a cada contexto, tenía una clara vocación: intentar ser instrumento en la región del planeta donde, según las estimaciones, en los próximos treinta años el crecimiento demográfico y el proceso de urbanización serán más fuertes: África Subsahariana. Por ello, con el apoyo de expertos mozambiqueños en temas de habitabilidad, se estudió la replicabilidad en Mozambique incorporando las medidas necesarias que darían respuesta a los condicionantes particulares del país. ABSTRACT The demographic growth and the urbanisation process that the planet has experienced in the last century has turned into the generation of slums and in the increase of population living in conditions of precarious habitability (HaP) result of the informal urbanisation, in contexts of poverty. According to the United Nations estimations, this situation will continue taking place in the next decades, especially in the cities of the least developed regions. The present work has wanted to attend this specific problem by the search of an urban instrument that has an impact on the reduction of the urban future precarious housing rates, a search of instruments that prevent that this urbanisation spread become an increase of population doomed to live in slums during decades. The above mentioned search has taken place in the frame of the Basic Habitability theory (HaB) developed by the ICHaB-Cátedra UNESCO of Basic Habitability of the UPM. HaB consists of the satisfaction of the fundamental habitability needs but, in turn, or still more important, it is the hope of improvement and gradual progress of these elementary conditions. The HaB is understood as a tool of development and fight against poverty. As a basic tool, it does not offer the ideal conditions, but it offers a reasonable way, which is considered to be possible, so that thousands of million persons who live in HaP or that seem to be doomed to have to do it, could gain access to better living conditions in shorter times. Between the non conventional housing policies started up from Habitat I in 1976, those of urban progressive fitting out, and more especially, the Guided Occupation, has turned out to be, in contexts of economic shortage, the best instrument to face the informal urbanisation, a preferential and minimum paradigmatic instrument of ex-novo HaB implementation. It is so due to the attention given to the appropriate site selection and the land allotment, both headboard stages of the process, as well as to the mechanisms implemented to attend the urbanisation stage in its provisional phase, and to leave the last stage, the building process, in population hands. The urbanisation process that is favored is similar to that of the slums and squatting in what concerns the stages and mechanisms of growth. Nevertheless, the difference is in the conditions in which it takes place, in the levels of health and safety, and in the future projection. The Program of Guided Occupation 'Alto Trujillo' (PGO), turned on by the Provincial City Hall of Trujillo (Peru) between 1995 and 2006, was conceived to face the processes of informal urbanisation that took place in the city and it has demonstrated to be a mechanism adapted to guarantee the regulated access to soil, infrastructures, basic services and housing in conditions of strong economic restriction by means of a succeeded co-management between municipality, population and other process actors. The PGO chose a non vulnerable soil in continuity with the urban fabric, with the land allotment established the settlement geometric order, reserved the public spaces allocated for urban facilities, green spaces and streets, and fixed the plot dimensions, accompanied the population in the plot guided occupation process, as well as in the later progressive settlement development betting strongly for the public components, relegating the housing construction to the settlers effort. The municipal PGO turn out to be a replicable instrument under five conditions: the existence of an institutional suitable frame that contemplates the decentralization competitions, interest and political continuity in the local government, access to urban available soil and will of co-management with the population. The PGO analysis has allowed to elaborate a replicability proposal of the PGO based on the experience of the already implemented solutions, which have been empirically confirmed and analyzed to learn of its strengths, opportunities, weaknesses and threats, as well as of its successes and mistakes. The replicability strategy of the PGO is considered an alternative to the informal urbanisation with improved mechanisms in order that the cities can develop following a few HaB's minimal parameters, but not through informal settlements that would make difficult the families future progress and that of the cities where they live. This replicability proposal, that needs to be adapted to every context, had a clear vocation: try to be an instrument in the region of the planet where, according to the estimations, in the next thirty years the demographic growth and the urbanisation process will be stronger: Sub-Saharan Africa. Therefore, with the support of Mozambican experts in habitability topics, the replicability was studied in Mozambique incorporating the necessary measures that would give response to the country's determinants.

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It has been assumed that constitutive and regulated splicing of RNA polymerase II transcripts depends exclusively on signals present in the RNA molecule. Here we show that changes in promoter structure strongly affect splice site selection. We investigated the splicing of the ED I exon, which encodes a facultative type III repeat of fibronectin, whose inclusion is regulated during development and in proliferative processes. We used an alternative splicing assay combined with promoter swapping to demonstrate that the extent of ED I splicing is dependent on the promoter structure from which the transcript originated and that this regulation is independent of the promoter strength. Thus, these results provide the first evidence for coupling between alternative splicing and promoter-specific transcription, which agrees with recent cytological and biochemical evidence of coordination between splicing and transcription.

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Yeast Las17 protein is homologous to the Wiskott–Aldrich Syndrome protein, which is implicated in severe immunodeficiency. Las17p/Bee1p has been shown to be important for actin patch assembly and actin polymerization. Here we show that Las17p interacts with the Arp2/3 complex. LAS17 is an allele-specific multicopy suppressor of ARP2 and ARP3 mutations; overexpression restores both actin patch organization and endocytosis defects in ARP2 temperature-sensitive (ts) cells. Six of seven ARP2 ts mutants and at least one ARP3 ts mutant are synthetically lethal with las17Δ ts confirming functional interaction with the Arp2/3 complex. Further characterization of las17Δ cells showed that receptor-mediated internalization of α factor by the Ste2 receptor is severely defective. The polarity of normal bipolar bud site selection is lost. Las17-gfp remains localized in cortical patches in vivo independently of polymerized actin and is required for the polarized localization of Arp2/3 as well as actin. Coimmunoprecipitation of Arp2p with Las17p indicates that Las17p interacts directly with the complex. Two hybrid results also suggest that Las17p interacts with actin, verprolin, Rvs167p and several other proteins including Src homology 3 (SH3) domain proteins, suggesting that Las17p may integrate signals from different regulatory cascades destined for the Arp2/3p complex and the actin cytoskeleton.

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Alternative pre-mRNA splicing patterns can change an extracellular stimulus, but the signaling pathways leading to these changes are still poorly characterized. Here, we describe a tyrosine-phosphorylated nuclear protein, YT521-B, and show that it interacts with the nuclear transcriptosomal component scaffold attachment factor B, and the 68-kDa Src substrate associated during mitosis, Sam68. Northern blot analysis demonstrated ubiquitous expression, but detailed RNA in situ analysis revealed cell type specificity in the brain. YT521-B protein is localized in the nucleoplasm and concentrated in 5–20 large nuclear dots. Deletion analysis demonstrated that the formation of these dots depends on the presence of the amino-terminal glutamic acid-rich domain and the carboxyl-terminal glutamic acid/arginine-rich region. We show that the latter comprises an important protein–protein interaction domain. The Src family kinase p59fyn-mediated tyrosine phosphorylation of Sam68 negatively regulates its association with YT521-B, and overexpression of p59fyn dissolves nuclear dots containing YT521-B. In vivo splicing assays demonstrated that YT521-B modulates alternative splice site selection in a concentration-dependent manner. Together, our data indicate that YT521-B and Sam68 may be part of a signal transduction pathway that influences splice site selection.

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This communication reports an analysis of Tn5/IS50 target site selection by using an extensive collection of Tn5 and IS50 insertions in two relatively small regions of DNA (less than 1 kb each). For both regions data were collected resulting from in vitro and in vivo transposition events. Since the data sets are consistent and transposase was the only protein present in vitro, this demonstrates that target selection is a property of only transposase. There appear to be two factors governing target selection. A target consensus sequence, which presumably reflects the target selection of individual pairs of Tn5/IS50 bound transposase protomers, was deduced by analyzing all insertion sites. The consensus Tn5/IS50 target site is A-GNTYWRANC-T. However, we observed that independent insertion sites tend to form groups of closely located insertions (clusters), and insertions very often were spaced in a 5-bp periodic fashion. This suggests that Tn5/IS50 target selection is facilitated by more than two transposase protomers binding to the DNA, and, thus, for a site to be a good target, the overlapping neighboring DNA should be a good target, too. Synthetic target sequences were designed and used to test and confirm this model.