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GOES-13 satellite catches Alex as a tropical storm now, after a landfall in northeastern Mexico

Alex made landfall at 10 p.m. EDT in northeastern Mexico, about 110 miles south of Brownsville, Texas. By 8 a.m. EDT on July 1, Alex has weakened to a tropical storm and GOES satellite imagery showed it moving near the high mountains of Mexico. At 8 a.m. EDT on July 1, Alex was about 55 miles (85 km) west of Ciudad Victoria, Mexico. That's near 23.8 North and 99.8 West. Its maximum sustained winds were now around 70 mph (110 km/hr) with higher gusts. Alex is moving west at 12 mph (19 km/hr) and has a minimum central pressure of 977 millibars. The Geostationary Operational Environmental Satellite that covers the U.S. east coast, called GOES-13 captured an image of Alex moving into the Mexican mountains at 1131 UTC (7:31 a.m. EDT). GOES satellite imagery is created by NASA's GOES Project, located at NASA's Goddard Space Flight Center, Greenbelt, Md. GOES-13 is operated by the National Oceanic and Atmospheric Administration. The government of Mexico has replaced the hurricane warning with a Tropical storm warning for the coast of Mexico from Rio San Fernando to La Cruz. NASA's AIRS instrument aboard the Aqua satellite captured Alex on June 30 at 2017 UTC (4:17 p.m. EDT) about 6 hours before Alex's eye made landfall. At that time, the strongest thunderstorms were mostly still offshore and the infrared imagery showed that cloud tops were so high they were colder than -63 Fahrenheit. When Alex did make landfall, it was packing maximum sustained winds near 97 mph (85 knots) and dumped 8 to 12 inches of rain on northeastern states in Mexico. The National Hurricane Center in Miami, Fla. noted that Alex will continue to be a big rainmaker. Alex is expected to produce total rainfall accumulations of 6 to 12 inches over portions of northeastern Mexico. Isolated maximum amounts of 20 inches are possible over the higher elevations of northeastern Mexico. Alex is expected to produce total rainfall accumulations of 4 to 8 inches over portions of southern Texas, with possible isolated maximum amounts around 10 inches. In Texas, Galveston and Jamaica Beach, Texas received enough rainfall to cover the roadways last night, but the roads have already cleared this morning. Brownsville, Texas reports no wind damage, no power outages, and clear roadways. Sporadic power outages, a wind gust to 66 mph, and a storm surge of 3.44 feet were reported in South Padre Island, Texas. In Boca Chica, Texas, there was a report of a tornado touchdown at 6:45 p.m. CDT. The system is now moving inland and weakening. Heavy rainfall is the main threat as Alex continues to weaken. Alex is expected to weaken to a tropical depression later today and dissipate in the next 24 to 36 hours.

Jul 1, 2010

Health

Ultrafine particles in air pollution may heighten allergic inflammation in asthma

A new academic study led by UCLA scientists has found that even brief exposure to ultrafine pollution particles near a Los Angeles freeway is potent enough to boost the allergic inflammation that exacerbates asthma. Published online in the American Journal of Physiology -- Lung Cellular and Molecular Physiology in June, the study shows that the tiniest air pollutant particles ― those measuring less than 180 nanometers, or about one-thousandth the width of a human hair ― incited inflammation deep in the lungs. The researchers used a "real-time" testing method in an animal model to isolate the effects of vehicular emission particles on the immune response in the lung. Since these ultrafine particles are primarily derived from vehicular emissions and are found in highest concentrations on freeways, the results have particular significance for the study of the impact of traffic-related emissions on asthma flares in urban areas. The findings also point to the importance of understanding the role air-pollution particles play in asthma flares in order to develop new approaches for asthma therapy. "The immune processes involved in asthma, and current treatments, are traditionally thought to be dominated by a specific initial immune response, but our study shows that ultrafine pollution particles may play an important role in triggering additional pathways of inflammation that heighten the disease," said the study's principal investigator, Dr. Andre E. Nel, professor of medicine and chief of nanomedicine at the David Geffen School of Medicine at UCLA. Pollution particles emitted by vehicles and other combustion sources are coated with a layer of organic chemicals that can be released into the lungs. These chemicals generate free oxygen radicals, which excite the immune system in the lung through a cell- and tissue- damaging process known as oxidation. Oxidation contributes to allergic inflammation in the lungs of people with asthma. Although other studies have shown that larger air-pollution particles can cause an oxidative response in asthma, this is the first study to show that real-time breathing of collected ultrafine pollutant particles triggers the same reaction and may even be more damaging, due to the particles' tiny size, the researchers noted. Because of their size and large surface area, ultrafine particles have the capacity to carry and deposit a rich load of active organic chemicals deep in the lung. The chemicals coming off the particles in the small airways in the lung promote oxidative stress at those sites. In the study, researchers initially gave mice a surrogate allergen, similar to exposing humans to an allergen such as pollen. After further sensitization, half the mice received ultrafine pollutants, taken in real time near a freeway in downtown Los Angeles, while the other half breathed filtered air. The study utilized sophisticated exposure technologies developed by Dr. Costas Sioutas, the Fred Champion Professor of Civil and Environmental Engineering at the University of Southern California and co-director of the Southern California Particle Center. The multicampus team also included researchers from Michigan State University and the University of California, Irvine. The research at the Southern California Particle Center and the UCLA Asthma and Allergic Disease Center was funded by the U.S. Environmental Protection Agency and the National Institutes of Health. Researchers found that exposure to air containing ultrafine particles for a few hours a day over five days significantly enhanced allergic airway inflammation, which correlated to the changes found in the immune system and genes expressed. Scientists discovered that the most profound effects of the allergic inflammation were observed deep in the lung. "We found that even small exposure amounts to the ultrafine particles could boost the pro-inflammatory effects," said first author Ning Li, an assistant researcher in the UCLA Division of Nanomedicine. The level of ultrafine particle exposure in the study was two to five times higher than levels commuters are subject to while traveling in their vehicles on Los Angeles freeways. Researchers noted that the development of asthma may be more complicated than originally thought, with mounting evidence pointing to the involvement of additional pathways of immune activity associated with the effects of oxidative stress. "A number of new therapies are now targeting the role of oxidative stress in asthma exacerbation," Nel said. "One possible strategy may be the use of antioxidants that may interfere with development of oxidative stress." In addition to new considerations for asthma treatment, the study findings may also help epidemiologists further establish the link between surges of pollutants near freeways and asthma flares and to pinpoint the amount of ultrafine particle concentrations involved. The next stage of research will help identify the chemical components responsible for boosting the effect of particulate pollutants on the allergic inflammation found in asthma and will explore the immunological mechanisms behind it at the molecular level. Asthma, which affects 15 to 20 million people in the United States, is a chronic inflammatory disease of the small airways in the lung and can trigger acute episodes of airway tightening and wheezing. Other study authors included Jack R. Harkema, Ryan P. Lewandowski, Meiying Wang, Lori A. Bramble, Glenn Gookin, and Zhi Ning. The UCLA Division of Nanomedicine conducts world-class research in the area of nanomaterial safety and biocompatibility while developing cutting-edge diagnostics and drug-delivery systems. The division, part of the department of medicine at the David Geffen School of Medicine at UCLA, provides training for physicians and physician-scientists in nanobiology and nanotoxicology. The division also helps leverage developments at the California NanoSystems Institute (CNSI) to advance diagnosis, imaging, biosensoring and drug-delivery of nano-products. For more news, visit the UCLA Newsroom and follow us on Twitter.

Jul 1, 2010

Health

Story tips from the Department of Energy's Oak Ridge National Laboratory July 2010

To arrange for an interview with a researcher, please contact the Communications and External Relations staff member identified at the end of each tip. For more information on ORNL and its research and development activities, please refer to one of our Media Contacts. If you have a general media-related question or comment, you can send it to [email protected]. HEALTH -- Stride right . . . People recovering from injuries, the elderly and even athletes could one day benefit from a gait analysis technology being developed by a team at Oak Ridge National Laboratory. The patented system uses electrical signature analysis to measure, interpret and record the current drawn by a treadmill as a patient walks. "When the heel strikes, the load increases, resulting in an increase in the current drawn by the motor," said Charles Hochanadel, a physical therapist and co-inventor of the technology. "Changes in the current represent the various phases of gait and allow us to interpret what's going on during each stride." Other inventors are Daryl Cox of the Energy and Transportation Science Division and Howard Haynes of the Measurement Science and Systems Engineering Division. "We are really just beginning to explore potential applications, including expanding from the lower body to upper extremities such as shoulder rehab and other commercial applications," Cox said. [Contact: Ron Walli, (865) 576-0226; [email protected]] BIOFUELS -- Nano-reactors . . . A National Academies Keck Futures Initiative award of $100,000 will help researchers from Oak Ridge National Laboratory and State University of New York in their quest to create a yeast strain to produce biofuels. ORNL's Miguel Fuentes-Cabrera and SUNY's Qing Lin are looking at exporting two bacterial micro-compartments, Eut and Pdu, into yeast to create a biofuel-producing yeast strain. Eut and Pdu produce acetaldehyde, an indispensable intermediate in the production of biofuels such as ethanol and fatty acids. The scientists believe that this would make it possible to increase the yield of biofuels by encapsulating acetaldehyde, a volatile and toxic organic compound in the nano-sized micro-compartments. This was one of 13 projects chosen for awards in the area of synthetic biology, the theme of this year's Futures conference. [Contact: Ron Walli, (865) 576-0226; [email protected]] RESEARCH FACILITIES -- A place to sleep . . . Visiting scientists working at the Spallation Neutron Source (SNS) and the adjacent Center for Nanophase Materials Sciences (CNMS) at Oak Ridge National Laboratory often conduct experiments that run at all hours of the day and night. To help take some of the edge off this grueling schedule, the laboratory is building a guesthouse just down the hill from the SNS. This will enable researchers to monitor their experiments without having to drive the 20 miles back and forth between hotels and the laboratory. Similar to a small, on-site hotel, the guesthouse will have 47 units, including a mix of single and double rooms. The rooms will be equipped with amenities that include cable, microwave ovens, wireless Internet and easy access to the cafeteria and offices. Groundbreaking occurred in February, and ORNL expects to welcome researchers to the guesthouse by early spring of 2011. [Contact: Jim Pearce, (865) 241-2427; [email protected]] CLIMATE -- Potential gold mine . . . By applying advanced data mining techniques to observed and model-simulated climate data, a researcher at Oak Ridge National Laboratory envisions the creation of a new set of tools that can provide valuable insights into climate science. Ultimately, Karsten Steinhaeuser believes this work will lead to improvements in predictive modeling and reduce uncertainty. "We are effectively using data mining techniques to 'learn' the not-so-well-understood physical relationships in the global climate system," said Steinhaeuser, who is earning a doctorate at the University of Notre Dame. While traditional approaches have focused on descriptive analysis, Steinhaeuser noted that this "unified framework" approach uses complex networks to discover relationships between ocean climate indicators and land climate from observed data. [Contact: Ron Walli, (865) 576-0226; [email protected]]

Jul 1, 2010

Health

UVA radiation damages DNA in human melanocyte skin cells and can lead to melanoma

A new study by researchers at NYU School of Medicine found that UVA radiation damages the DNA in human melanocyte cells, causing mutations that can lead to melanoma. Melanocytes, which contain a substance called melanin that darkens the skin to protect it from the ultraviolet rays of the sun, are more vulnerable to UVA radiation than normal skin cells because they are unable to repair themselves as efficiently. "For the first time, UVA rays have been shown to cause significant damage to the DNA of human melanocyte skin cells," says Moon-shong Tang, PhD, professor of environmental medicine, pathology and medicine at NYU School of Medicine. "And because melanocytes have a reduced capacity to repair DNA damage from UVA radiation, they mutate more frequently, potentially leading to the development of melanoma." In this study, researchers exposed lightly and darkly pigmented human melanocytes to UVA radiation and assessed DNA damage and the capacity of these cells to repair damaged DNA. DNA damage was detected in all melanocyte cells and these cells were unable to repair the damage. Normal skin cells were also exposed to UVA light but no damage to their DNA was observed. "Identifying the underlying causes of melanoma allows researchers to develop new ways to assess a person's risk of melanoma, prevent the disease and aid in the design of more effective treatments," said Dr. Tang, who is also a member of the NYU Cancer Institute. Sunlight in the form of UVA radiation causes oxygen in melanocytes to damage DNA. Thus, oxidative DNA damage adversely affects transcription and DNA replication in melanocytes. The authors concluded that UVA-induced oxidative DNA damage in melanocytes and the inherently reduced repair capacity in these cells are the two key factors that contribute to melanoma on the skin. The authors also discovered the underlying mechanism to explain why melanoma can also develop in areas never exposed to sunlight: Because melanocytes generally have a limited capacity to repair any DNA damage, they have a higher mutation frequency rate and are more susceptible to the development of melanoma -- even without the effects of the sun. "Melanoma, the deadliest form of skin cancer, continues to increase at a rate of 3 percent a year," says Dr. Tang. "This research highlights the necessity of limiting UVA radiation by avoiding excessive sunlight, tanning and sunbeds." The study received funding from the National Institutes of Health in Bethesda, Maryland. It was published early online and will be appear in the print edition of the Proceedings of the National Academy of Sciences on July 6, 2010. About NYU Langone Medical Center NYU Langone Medical Center is one of the nation's premier centers of excellence in healthcare, biomedical research, and medical education. For over 170 years, NYU physicians and researchers have made countless contributions to the practice and science of health care. Today the Medical Center consists of NYU School of Medicine, including the Smilow Research Center, the Skirball Institute of Biomolecular Medicine, and the Sackler Institute of Graduate Biomedical Sciences; and the NYU Hospitals Center, including Tisch Hospital, a 705-bed acute-care general hospital, Rusk Institute of Rehabilitation Medicine, the first and largest facility of its kind, and NYU Hospital for Joint Diseases, a leader in musculoskeletal care, a Clinical Cancer Center and numerous ambulatory sites.

Jul 1, 2010

Health

Top down approach helps academic medical center reduce unnecessary emergency department X-rays

An imaging algorithm produced by a radiology department and distributed through the medical director's office, in a top-down fashion, enabled a large, academic medical center to significantly reduce the number of unnecessary cervical spine radiographs (X-rays) in the emergency department, according to a study published in the July issue of the Journal of the American College of Radiology (www.jacr.org). At the University of Rochester Medical Center in Rochester, NY, it was observed that a large number of routine trauma X-rays of the cervical spine were requested after a CT scan of the cervical spine had demonstrated no significant findings. "In view of the recent increasing awareness of over utilization and concern of the risks from medical radiation, we looked for opportunities to eliminate what we believed were unnecessary or inappropriate exams," said Mark J. Adams, MD, MBA, FACR, lead author of the study. "With the assistance of our medical director, a clear algorithm for the X-ray evaluation of post CT cervical spines was developed and distributed from the top down to care providers through their respective departments, not directly from the imaging department," said Adams. One year after the implementation of the policy, data demonstrated a significant decrease in the number of unnecessary or inappropriate studies being performed. The number of unnecessary X-ray exams performed was reduced by 83 percent between January 2008 and January 2009. "Not only are these X-ray exams unwarranted, they consume valuable resources, add an additional burden to emergency department and radiology staff, and subject patients to unnecessary radiation," said Adams. "It is hoped that this simple approach can also be used to address other improper use of imaging resources, thereby reducing radiation exposure and improving the efficiency of care in the emergency department and acute care setting," he said. The July issue of JACR is an important resource for radiology and nuclear medicine professionals as well as students seeking clinical and educational improvement. For more information about JACR, please visit www.jacr.org. To receive an electronic copy of an article appearing in JACR or to set up an interview with a JACR author or another ACR member, please contact Heather Curry at 703-390-9822 or [email protected].

Jun 30, 2010

Health

Planned home births associated with tripling of neonatal mortality rate vs. planned hospital births

Philadelphia, PA, July 1, 2010 -- About 1 in 200 women in the US delivers her baby at home, with approximately 75% of these low-risk, single-baby births planned in advance as home deliveries. In a study published online today by the American Journal of Obstetrics & Gynecology (AJOG), researchers from Maine Medical Center, Portland, Maine, analyzed the results of multiple studies from around the world. They report that less medical intervention, characteristic of planned home births, is associated with a tripling of the neonatal mortality rate compared to planned hospital deliveries. Planned home births were characterized by a greater proportion of deaths attributed to respiratory distress and failed resuscitation. "Our findings raise the question of a link between the increased neonatal mortality among planned home births and the decreased obstetric intervention in this group," according to lead investigator Joseph R. Wax, MD, Division of Maternal-Fetal Medicine, Department of Obstetrics and Gynecology, Maine Medical Center. "Women choosing home birth, particularly low-risk individuals who had given birth previously, are in large part successful in achieving their goal of delivering with less morbidity and medical intervention than experienced during hospital-based childbirth. Of significant concern, these apparent benefits are associated with a doubling of the neonatal mortality rate overall and a near tripling among infants born without congenital defects (nonanomalous). These findings echo concerns raised in a recent large US cohort study in which home births experienced significantly more 5-minute Apgar scores < 7 as compared to low-risk term hospital births, suggesting an increased need for resuscitation among home births. Therefore, the personnel, training, and equipment available for neonatal resuscitation represent other possible contributors to the excessive neonatal mortality rate among planned home births." Investigators conducted a rigorous metaanalysis through which the peer-reviewed medical literature was searched for studies that contained information about home and hospital deliveries, including morbidity and mortality data for both mother and child. They extracted data for a total of 342,056 planned home and 207,551 planned hospital deliveries. The results are striking as women planning home births were of similar and often lower obstetric risk than those planning hospital births. In contrast to neonatal mortality rates, investigators observed that perinatal mortality rates for planned home and hospital births were similar overall, as well as just among nonanomalous offspring. Mothers in planned home births experienced significantly fewer medical interventions including epidural analgesia, electronic fetal heart rate monitoring, episiotomy, and operative vaginal and cesarean deliveries. Likewise, women intending home deliveries had fewer infections, perineal and vaginal lacerations, hemorrhages, and retained placentas. Data also showed that planned home births are characterized by less frequent premature and low birthweight infants. AJOG Editors-in- Chief Thomas J. Garite, MD, and Moon H. Kim, MD, commented that "The report by Wax et al supports the safety of planned home birth for the mother, but raises serious concerns about increased risks of home birth for the newborn infant. This topic deserves more attention from public health officials at state and national levels." The article is "Maternal and newborn outcomes in planned home birth vs planned hospital births: a metaanalysis" by Joseph R. Wax, MD; F. Lee Lucas, PhD; Maryanne Lamont, MLS; Michael G. Pinette, MD; Angelina Cartin; and Jacquelyn Blackstone, DO. It will appear in the American Journal of Obstetrics & Gynecology, Volume 203, Issue 3 (September 2010) published by Elsevier. DOI: 10.1016/j.ajog.2010.05.028

Jun 30, 2010

Health

'Trophic cascades' of disruption may include loss of woolly mammoth, saber-toothed cat

CORVALLIS, Ore. -- A new analysis of the extinction of woolly mammoths and other large mammals more than 10,000 years ago suggests that they may have fallen victim to the same type of "trophic cascade" of ecosystem disruption that scientists say is being caused today by the global decline of predators such as wolves, cougars, and sharks. In each case the cascading events were originally begun by human disruption of ecosystems, a new study concludes, but around 15,000 years ago the problem was not the loss of a key predator, but the addition of one -- human hunters with spears. In a study published today in the journal BioScience, researchers propose that this mass extinction was caused by newly-arrived humans tipping the balance of power and competing with major predators such as saber-toothed cats. An equilibrium that had survived for thousands of years was disrupted, possibly explaining the loss of two-thirds of North America's large mammals during this period. "For decades, scientists have been debating the causes of this mass extinction, and the two theories with the most support are hunting pressures from the arrival of humans, and climate change," said William Ripple, a professor of forest ecosystems and society at Oregon State University, and an expert on the ecosystem alterations that scientists are increasingly finding when predators are added or removed. "We believe humans indeed may have been a factor, but not as most current theory suggests, simply by hunting animals to extinction," Ripple said. "Rather, we think humans provided competition for other predators that still did the bulk of the killing. But we were the triggering mechanism that disrupted the ecosystem." In the late Pleistocene, researchers say, major predators dominated North America in an uneasy stability with a wide range of mammals: mammoths, mastodons, ground sloths, camels, horses, and several species of bison. The new study cites previous evidence from carnivore tooth wear and fracture, growth rates of prey, and other factors that suggest that there were no serious shortages of food caused by environmental change 10,000 to 15,000 years ago. Quite contrary to that, the large herbivores seemed to be growing quickly and just as quickly had their numbers reduced by a range of significant carnivorous predators, not the least of which was lions, dire wolves, and two species of saber-toothed cats. Food was plentiful for herbivores, the system was balanced, but it was dominated by predators. "When human hunters arrived on the scene, they provided new competition with these carnivores for the same prey," said Blaire Van Valkenburgh, an expert at UCLA on the paleobiology of carnivores, and a co-author with Ripple on this study. "The humans were also omnivores, and could live on plant foods if necessary," Van Valkenburgh said. "We think this may have triggered a sequential collapse not only in the large herbivores but ultimately their predators as well. Importantly, humans had some other defenses against predation, such as fire, weapons and living in groups, so they were able to survive." But the driving force in eliminating the large mammals, according to the new theory, was not humans -- they just got the process started. After that, predators increasingly desperate for food may have driven their prey to extinction over long periods of time -- and then eventually died out themselves. In recent studies in Yellowstone National Park and elsewhere, scientists from OSU and other institutions have explored these "trophic cascades," often caused by the loss or introduction of a single major predator in an ecosystem. With the elimination of wolves from Yellowstone, for instance, the numbers of elk exploded. This caused widespread overgrazing; damage to stream ecosystems; the slow demise of aspen forests; and ultimate effects on everything from trees to beaver, fish, birds, and other life forms. When wolves were re-introduced to Yellowstone, studies are showing that those processes have begun to reverse themselves. "We think the evidence shows that major ecosystem disruptions, resulting in these domino effects, can be caused either by subtracting or adding a major predator," Ripple said. "In the case of the woolly mammoths and saber-toothed tiger, the problems may have begun by adding a predator, in this case humans." The new analysis draws on many other existing studies in making its case. For instance, other research describes this process with a model in modern times in Alaska. There, the allowance of relatively limited human hunting on moose caused wolves to switch some of their predation to sheep, ultimately resulting in a precipitous decline in populations not only of moose but also wolves and sheep. The loss of species in North America during the late Pleistocene was remarkable -- about 80 percent of 51 large herbivore species went extinct, along with more than 60 percent of important large carnivores. Previous research has documented the growth rates of North American mammoths by studying their tusks, revealing no evidence of reduced growth caused by inadequate food -- thus offering no support for climate-induced habitat decline. It seems that diverse and abundant carnivores kept herbivore numbers below levels where food becomes limiting. By contrast, the large population of predators such as dire wolves and saber tooth cats caused them to compete intensely for food, as evidenced by heavy tooth wear. "Heavily worn and fractured teeth are a result of bone consumption, something most carnivores avoid unless prey is difficult to acquire," says Van Valkenburgh. Trophic cascades initiated by humans are broadly demonstrated, the researchers report. In North America, it may have started with the arrival of the first humans, but continues today with the extirpation of wolves, cougars and other predators around the world. The hunting of whales in the last century may have led to predatory killer whales turning their attention to other prey such as seals and sea otters - and the declines in sea otter populations has led to an explosion of sea urchins and collapse of kelp forest ecosystems. "In the terrestrial realm, it is important that we have a better understanding of how Pleistocene ecosystems were structured as we proceed in maintaining and restoring today's ecosystems," the researchers wrote in their conclusion. "In the aquatic realm, the Earth's oceans are the last frontier for megafaunal species declines and extinctions." "The tragic cascade of species declines due to human harvesting of marine megafauna happening now may be a repeat of the cascade that occurred with the onset of human harvesting of terrestrial megafauna more than 10,000 years ago. This is a sobering thought, but it is not too late to alter our course this time around in the interest of sustaining Earth's ecosystems." Editor's Note: A digital graphic drawing of a woolly mammoth fighting with a saber-toothed tiger can be obtained online: http://www.flickr.com/photos/oregonstateuniversity/4746479327/

Jun 30, 2010

Health

Kilimani Sesame has positive impact on children in Tanzania: Johns Hopkins University study

There are 8.3 million children who are 5 years and younger living in Tanzania. With limited access to formal education, can media intervention make a positive and significant impact on what these children learn? Sesame Workshop, which produces Kilimani Sesame, the Tanzanian version of Sesame Street, recently commissioned researchers from the Johns Hopkins Bloomberg School of Public Health in full collaboration with a Dar es Salaam-based research team, to examine the effects of a six-week intervention delivering Kilimani Sesame content to 223 children in the rural district of Kisarawe and the city of Dar es Salaam. The article is expected to be published in July in the Journal of Applied Developmental Psychology, and the abstract can be read here: http://dx.doi.org/10.1016/j.appdev.2010.05.002 Kilimani Sesame, which features the feathered and furry Muppets of Sesame Street characters, presents educational objectives that include improving children's basic literacy and numeracy skills, as well as providing knowledge and reducing the stigma related to HIV/AIDS. The study found that children with greater exposure to Kilimani Sesame showed more gains in cognitive, social and health outcomes than those with less exposure. Specifically, children who viewed more Kilimani Sesame content had higher scores on tests of literacy and primary math skills, greater ability to describe appropriate social behaviors and emotions, and knew more about malaria and HIV/AIDS. Children with greater exposure to Kilimani Sesame were also more likely to say an HIV positive child could play with others and that they would invite an HIV positive person into their home to share a meal. These findings remained robust over and above the contribution of factors that are important in predicting these outcomes: child age, child gender, location, general media exposure, and the child's performance in these outcomes prior to the intervention. "We are pleased that researchers at an esteemed academic institution have found evidence of the impact of this media intervention." said Dr. Charlotte Cole, Vice President of International Education, Research, and Outreach at Sesame Workshop. "Children learn best when learning opportunities match their own daily life experiences. Kiilmani Sesame, which was developed by a team of Tanzanian educators and producers, provides images and content that features an environment familiar to its viewers and imparts age-appropriate messages -- such as malaria prevention information -- that are critical to children living in the country." "This was an exciting opportunity to see how media can have a great impact," described Dr. Dina L.G. Borzekowski, an Associate Professor with the Johns Hopkins Bloomberg School of Public Health's Department of Health, Behavior and Society. She continued, "Despite lacking basic resources such as household water and electricity, children in this study benefited from the culturally-relevant and age-appropriate books, radio and video. Sesame Workshop demonstrates how media can best be used engage and motivate young children. This intervention offers a powerful, educational foundation to help Tanzanian children reach their highest potential." The full findings will be available in the Journal of Applied Developmental Psychology, published by Elsevier, next month. Funded by the United States Agency for International Development (USAID), Kilimani Sesame was a multimedia educational project in Kiswahili consisting of thirteen half-hour television shows airing in Tanazania Broadcasting Company (TBC) and Television Zanzibar (TVZ), thirteen 15-minute radio shows, three storybooks, and a teacher and parent guide containing early childhood education tips and activities. The program launched in 2008. Sesame Workshop is the nonprofit educational organization that revolutionized children's television programming with the landmark Sesame Street. The Workshop produces local Sesame Street programs, seen in over 140 countries, and other acclaimed shows to help bridge the literacy gap including The Electric Company. Beyond television, the Workshop produces content for multiple media platforms on a wide range of issues including literacy, health and military deployment. Initiatives meet specific needs to help young children and families develop critical skills, acquire healthy habits and build emotional strength to prepare them for lifelong learning. Learn more at www.sesameworkshop.org.

Jun 30, 2010

Health

UM School of Medicine scientists develop new strategy that may improve cognition

For the first time, scientists have linked a brain compound called kynurenic acid to cognition, possibly opening doors for new ways to enhance memory function and treat catastrophic brain diseases, according to a new study from the University of Maryland School of Medicine. When researchers decreased the levels of kynurenic acid in the brains of mice, their cognition was shown to improve markedly, according to the study, which was published in the July issue of the journal Neuropsychopharmacology. The study is the result of decades of pioneering research in the lab of Robert Schwarcz, Ph.D., a professor of psychiatry, pediatrics and pharmacology and experimental therapeutics at the University of Maryland School of Medicine. "We believe that interventions aimed specifically at reducing the level of kynurenic acid in the brain are a promising strategy for cognitive improvement in both healthy patients and in those suffering from a variety of brain diseases ranging from schizophrenia to Alzheimer's disease," says Dr. Schwarcz. Kynurenic acid is a substance with unique biological properties and is produced when the brain metabolizes the amino acid L-tryptophan. The compound is related to another breakdown product of tryptophan known as quinolinic acid. In 1983, Dr. Schwarz published a paper in the journal Science identifying the critical role excessive quinolinic acid plays in the neurodegenerative disorder Huntington's disease. He has since designed a therapeutic strategy targeting quinolinic acid for the treatment of Huntington's disease. Dr. Schwarcz also is involved in a company called VistaGen, which pursues the development of neuroprotective drugs based on this concept. In the study published this month, Dr. Schwarcz and his colleagues at the Maryland Psychiatric Research Center -- a world-renowned clinical and basic science research center at the University of Maryland School of Medicine -- examined mice that had been genetically engineered to have more than 70 percent lower kynurenic acid levels than ordinary mice. These mice were found to perform significantly better than their normal peers on several widely used tests that specifically measure function in the hippocampus. The hippocampus is a critical area of the brain for memory and spatial navigation. The mice were clearly superior in their ability to explore and recognize objects, to remember unpleasant experiences and to navigate a maze. The engineered animals also showed increased hippocampal plasticity, meaning they had a greatly improved ability to convert electrical stimuli into long-lasting memories. "These results are very exciting, because they open up an entirely new way of thinking about the formation and retrieval of memories," says Dr. Schwarcz. "Kynurenic acid has been known for more than 150 years, but only now do we recognize it as a major player in one of the fundamental functions of the brain. Our most recent work, still unpublished, shows that new chemicals that specifically influence the production of kynurenic acid in the brain predictably affect cognition. We are now in the process of developing such compounds for cognitive enhancement in humans." "I feel confident Dr. Schwarcz's determined pursuit of answers for the desperate patients suffering from devastating neurodegenerative disorders such as Alzheimer's disease and Huntington's disease, and psychotic disorders such as schizophrenia, will pay off," says E. Albert Reece, M.D., Ph.D., M.B.A., vice president for medical affairs, University of Maryland, and John Z. and Akiko K. Bowers Distinguished Professor and dean, University of Maryland School of Medicine. "His work creates hope for these patients and their families, and his findings are making a significant impact on the field of neuroscience and psychiatric medicine."

Jun 30, 2010

Health

Psychological research conducted in WEIRD nations may not apply to global populations

A new University of British Columbia study says that an overreliance on research subjects from the U.S. and other Western nations can produce false claims about human psychology and behavior because their psychological tendencies are highly unusual compared to the global population. According to the study, the majority of psychological research is conducted on subjects from Western nations, primarily university students. Between 2003 and 2007, 96 per cent of psychological samples came from countries with only 12 per cent of the world's populations. The U.S. alone provided nearly 70 per cent of these subjects. However, the study finds significant psychological and behavioral differences between what the researchers call Western, Educated, Industrialized, Rich and Democratic (WEIRD) societies and their non-WEIRD counterparts across a spectrum of key areas, including visual perception, fairness, spatial and moral reasoning, memory and conformity. The findings, published in Nature tomorrow and Behavioral Sciences this week, raise questions about the practice of drawing universal claims about human psychology and behavior based on research samples from WEIRD societies. "The foundations of human psychology and behavior have been built almost exclusively on research conducted on subjects from WEIRD societies," says UBC Psychology and Economics Prof. Joe Henrich, who led the study with UBC co-authors Prof. Steven Heine and Prof. Ara Norenzayan. "While students from Western nations are a convenient, low-cost data pool, our findings suggest that they are also among the least representative populations one could find for generalizing about humans." The study, which reviews the comparative database of research from across the behavioural sciences, finds that subjects from WEIRD societies are more individualistic, analytic, concerned with fairness, existentially anxious and less conforming and attentive to context compared to those from non-WEIRD societies. According to the study, significant psychological and behavioral differences also exist between population groups within WEIRD nations. For example, U.S. undergraduate students are typically more analytic and choosy and less conforming than U.S. adults without college educations. "Researchers often implicitly assume that there is little variation across human populations or that these 'standard subjects' are as representative of the species as any other population," says Henrich. "Our study shows there is substantial variability in experimental results across populations. In fact, there is enough evidence that researchers cannot in good faith continue to make species-generalizing claims about Homo sapiens in the absence of comparative evidence." The research team calls on universities, peer reviewers, funding agencies and journal editors to push researchers to explicitly support any generalizations to the species with evidence or potent inductive arguments. Additionally, they envision the creation of research partnerships with non-WEIRD institutions to further and expand and diversify the empirical base of the behavioral sciences. View the study, "The weirdest people in the world?," and comprehensive commentary by the authors and colleagues in the research community at: http://journals.cambridge.org/action/displayIssue?jid=BBS&volumeId=33&issueId=2-3&iid=7825832 An opinion piece by the authors, to appear in the journal Nature on July 1, is available by request from the authors. Contacts: Prof. Joseph.Henrich UBC Psychology/Economics Cell: 778-833-4234 [email protected] *Currently in UK Prof. Steven Heine UBC Dept. of Psychology Cell: 604-812-6908 Office: 604-822-6908 [email protected] Prof. Ara Norenzayan UBC Dept. of Psychology Cell: 604.221.1722 Office: 604.827.5134 [email protected] Basil Waugh UBC Public Affairs Tel: 604.822.2048 [email protected]

Jun 30, 2010

Health

Do eggs matured in the laboratory result in babies with Large Offspring syndrome?

Rome, Italy: A review of studies of babies born after in vitro maturation (IVM) fertility treatment has suggested that they are more likely to be born larger than normal and to have more difficult births requiring more obstetric interventions such as caesareans. Authors of the literature review to be presented to the 26th annual meeting of the European Society of Human Reproduction and Embryology in Rome today (Wednesday) believe that this may be a problem associated with the IVM process in which immature eggs are retrieved from a woman's ovaries and matured in the lab before being fertilised and any resulting embryos transferred to the woman's uterus. They have urged caution in the use of IVM until further studies can clarify their findings. Dr Peter Sjöblom, unit manager of Nurture, the Nottingham University IVF clinic at Queen's Medical Centre (Nottingham, UK), said: "We looked at four different data sets from four different countries and, although the numbers were small and differences modest, we saw a consistent pattern that cannot be ignored. We strongly believe that these findings must be explored further." Dr Sjöblom and his colleagues analysed data from studies of babies born after IVM, in vitro fertilisation (IVF) and intracytoplasmic sperm injection (ICSI) in Denmark, Finland, Canada and Korea. They found that the birth weight of the 165 babies born after IVM was between 0.3% and 6% higher than the national average for singleton births and 6%-9% higher than babies conceived after IVF and/or ICSI. Caesarean rates were consistently higher after IVM as well: for singleton IVM births they were 30-60% versus 27-44% for IVF/ICSI births. IVM pregnancies had high miscarriage rates (25-37%) and the average period of gestation was 3-11 days longer than for IVF/ICSI. Although there were no firm data on other obstetric interventions, the authors thought it was probable that there was also a higher number of procedures such as inductions, vacuum extractions and forceps deliveries compared to IVF/ICSI births and births after natural conception. "These findings suggest a significant impact of the IVM procedure on early development," said Dr Sjöblom. "The pattern of increased birth weight, more obstetric interventions and possibly a longer gestation period are consistent with Large Offspring Syndrome. It cannot be explained by there being a higher proportion of women with polycystic ovarian syndrome in the IVM group*, since the birth weight of their offspring was not significantly different from babies born after natural conception. "We urge IVM practitioners and clinics to pool their data on obstetric and neonatal outcomes after fertility treatments because, at present, only limited data on small numbers of births are available. This should enable us to look more closely at the health and physiology of babies born after fertility treatment so that we can make a more detailed assessment of infant health. If the observed pattern still holds as the number of observations increases, then in-depth studies of mechanisms must be initiated. Caution is called for before proceeding with IVM on a large scale." He said the possible mechanisms involved were unclear. "It has been described in the literature that gene expression is altered in IVM eggs compared to those matured naturally in the body; it may be the case that the final stages of egg development before ovulation involves events that are crucial to development and that this is not happening when they are matured in the lab. Another explanation could be that the preparation of the lining of the womb (the endometrium) is different and this may influence development, as has been shown in animal studies." The long-term consequences to the health of babies born after IVM are also unknown. "For the sake of the health and safety of the babies and their mothers, we need to be following IVM babies from the moment the eggs are matured in the laboratory through to their birth and into adulthood. We also need to look in detail into possible physiological effects, like alterations in blood pressure. However, we must make it clear to the public that, at the moment, no major health problems have been observed in children born after IVM. Nevertheless, all fertility clinics should share their detailed data, so that we can, hopefully, conclude that there is no reason for concern," concluded Dr Sjöblom.

Jun 30, 2010

Earth & Environment

New UGA temperature table may help reduce heat-related deaths of children in closed cars

Athens, Ga. -- The heat of summer brings trips to the lake, afternoons at the beach and vacations in the mountains. It also arrives with the threat of dangerous conditions in closed cars, where children left alone for even a few minutes can lead to tragedy. Now, a team of researchers at the University of Georgia has developed an easy-to-use table of vehicle temperature changes that may help public officials and media remind the public about the deadly consequences of vehicle-related hyperthermia in children. While government agencies routinely give warnings about leaving children alone in cars in hot weather, vehicle temperature data from many early studies were "often obtained with small datasets and questionable methodologies such as placing a temperature sensor directly on a car seat," according to Andrew Grundstein of UGA's department of geography in the Franklin College of Arts and Sciences and leader of the research. "The danger of leaving young children unattended in vehicles has been well documented," said Grundstein, "But it still happens, and it's always the worst kind of tragedy. Most of the time, caregivers simply forget their children, but more than a quarter of deaths in this situation involve children intentionally left in cars. In some cases, parents just don't want to disturb a sleeping child. Such behavior shows a clear lack of understanding about the dangers of leaving children unattended in vehicles." The research was just published in the Bulletin of the American Meteorological Society. Other authors, also from UGA, are John Dowd and Vernon Meentemeyer. Each year around 40 children die in the U.S. alone from being left in closed cars during hot weather. Many studies have shown how such things as shading, ventilation and different meteorological conditions can affect temperatures inside cars. But until now, there has been no reliable table of vehicle temperature changes. What the researchers found was stunning. In hot weather in an open parking lot, the inside temperature of a car can rise by 7 degrees Fahrenheit in five minutes, 13 degrees in 10 minutes, 29 degrees in 30 minutes and 47 degrees in an hour. This means interior temperatures can reach levels lethal to small children in less time than some parents might think. One way to characterize the meaning of these temperatures in terms of a health hazard is to place them in the context of heat-health warnings provided by the National Weather Service. For example, on a 90-degree day, temperatures within the car would reach an "excessive heat advisory" in a little over 10 minutes and an "excessive heat warning" in less than 30 minutes. To develop their table, the researchers measured air temperatures for 58 days (April 1-Aug. 31, 2007) in a metallic gray Honda with gray cloth seats parked in an open, paved parking lot with direct exposure to sunlight. To gather data, they used carefully positioned, high-temporal-resolution temperature sensors. They coupled that information with data gathered using a human thermal exchange model called the Man-Environment Heat Exchange Model (MENEX). In doing so, they were able to combine the rising temperatures inside a closed car with the way they would interact with the so-called "human thermal budget." In the end, the team selected 14 clear days, representing the most severe possible conditions on which to base calculations for their new table. The model simulations were performed on a "theoretical" child seated inside the car as well as one outside the car for reference. The results were sobering. "Not only are the children exposed to intense heating from the hot interior of the car, but within a closed vehicle without ventilation, physiological mechanisms typically used for cooling are ineffective," said Grundstein. "Furthermore, the efficiency of evaporative cooling would be reduced as evaporated perspiration accumulated in the vehicle." All of this is not to imply in any way that government agencies have ignored the problem. The National Weather Service, for instance, issues excessive heat warnings and heat advisories to alert people when conditions outside can be dangerous because of the heat. And health agencies have warned the public for years about the dangers of leaving children in cars during hot weather. What the new research offers is the first table of vehicle temperature changes based on precise temperature readings, coupled with the MENEX model. The result is a chart that brings home clearly just what a serious decision it is to leave a child in a closed car in hot weather even for a few minutes. "While the deaths of children left in cars from hyperthermia is tragic, there is, of course, no reason, ever, to leave a child in a car unattended," said Grundstein. "Risks such as abduction or injury abound, as well as children being asphyxiated from entrapment by vehicle windows." The new easy-to-use table, however, could offer government officials and health agencies a way to quantify warnings and to make real yet again to parents that leaving a child in a heated car can only be a prelude to lifelong remorse. Note to editors and writers: Copies of the paper and the chart are available from Dr. Grundstein. Please e-mail him or leave a message at the addresses or telephone numbers above, and he will get in touch with you.

Jun 29, 2010

Health

Community-based education strengthens campaign for elimination of lymphatic filariasis

Community-based lymphatic filariasis education in Orissa State, India, increased treatment compliance from around 50% to up to 90%, according to a study published June 29 in the open-access journal PLoS Neglected Tropical Diseases. In their study, researchers from the U.S. Centers for Disease Control and Prevention, in partnership with the Church's Auxiliary for Social Action, an India-based non-governmental organization, and IMA World Health, a US-based non-governmental organization, identified barriers to compliance with India's MDA program for LF, and suggest that timely educational and lymphedema management programs can reverse this trend. Nearly 1.3 billion people worldwide live at risk of infection with the parasite that causes lymphatic filariasis. Infected individuals may develop long-term complications, such as grossly swollen limbs from lymphedema. Elimination of this disease of poverty requires giving drugs at least once per year to people who are at risk; of that population, 80% or more need to continue receiving medication on an annual basis for 5 or more years to stop transmission. The authors evaluated a community-based education campaign, noted deficiencies, and designed interventions to correct them. An evaluation of the revised education program, covering over 8,000 people in ninety villages, showed markedly improved drug compliance and, for the first time, showed that lymphedema management programs, which teach leg care to patients with swollen legs, may also increase compliance with lymphatic filariasis mass drug administration programs. The increase was greatest in areas that had implemented U.S. Agency for International Development-supported programs to teach people how to care for legs swollen from infection. This evaluation was confined to rural areas in Orissa State, so the findings do not necessarily apply to urban areas or areas outside the state. Nonetheless, lymphatic filariasis elimination programs facing difficulties in achieving the necessary level of drug compliance should consider evaluating their education campaigns using similar methods and integrating lymphedema management with lymphatic filariasis elimination efforts, the authors say. FINANCIAL DISCLOSURE: Funding for this work was provided by USAID (GHA-G-00-03-0005-00) to IMA World Health and by CDC (IAA GHH99-006). The funders had no role in study design, data collection and analysis, decision to publish, or preparation of the manucript. COMPETING INTERESTS: The authors have declared that no competing interests exist PLEASE ADD THIS LINK TO THE PUBLISHED ARTICLE IN ONLINE VERSIONS OF YOUR REPORT: http://dx.plos.org/10.1371/journal.pntd.0000728 CITATION: Cantey PT, Rout J, Rao G, Williamson J, Fox LM (2010) Increasing Compliance with Mass Drug Administration Programs for Lymphatic Filariasis in India through Education and Lymphedema Management Programs. PLoS Negl Trop Dis 4(6): e728. doi:10.1371/journal.pntd.0000728 Disclaimer This press release refers to an upcoming article in PLoS Neglected Tropical Diseases. The release is provided by the article authors and Centers for Disease Control and Prevention (CDC). Any opinions expressed in these releases or articles are the personal views of the journal staff and/or article contributors, and do not necessarily represent the views or policies of PLoS. PLoS expressly disclaims any and all warranties and liability in connection with the information found in the releases and articles and your use of such information. About PLoS Neglected Tropical Diseases PLoS Neglected Tropical Diseases (http://www.plosntds.org/) is a peer-reviewed, open-access journal devoted to the pathology, epidemiology, prevention, treatment, and control of the neglected tropical diseases, as well as public policy relevant to this group of diseases. All works published in PLoS Neglected Tropical Diseases are open access, which means that everything is immediately and freely available subject only to the condition that the original authorship and source are properly attributed. The Public Library of Science uses the Creative Commons Attribution License, and copyright is retained by the authors. About the Public Library of Science The Public Library of Science (PLoS) is a non-profit organization of scientists and physicians committed to making the world's scientific and medical literature a freely available public resource. For more information, visit http://www.plos.org.

Jun 29, 2010

Blog Entry

Bars, restaurants see no significant employment change under smoking bans in 2 cities

COLUMBUS, Ohio -- The passage of smoking bans in two large Minnesota cities was not associated with job losses at bars and may in fact have contributed to higher employment in restaurants, according to new research. The study is the first to examine the economic effects of clean indoor air policies on bars and restaurants as independent types of businesses, the researchers said. Consistent with previous published studies of the economic impact of smoking bans, this analysis did not find significant economic effects on the hospitality industry as a whole. In both Minneapolis and St. Paul, the policies were associated with an increase of at least 3 percent in employment at restaurants over a 2 ½-year span following adoption of a local clean indoor air policy. Employment in Minneapolis bars increased more than 5 percent after passage of that city's smoking ban, while in St. Paul, bar employment had a nonsignificant decrease of 1 percent -- a decrease that cannot be statistically distinguished from zero, or no change in employment. The researchers noted that the broad look at total bar and restaurant employment at the city level over time means that this study is not able to describe potential changes at the neighborhood or individual business level. Opponents to smoking bans have argued against enactment of these policies with predictions of large revenue losses, worker layoffs and business closures in the hospitality industry, and at bars in particular because of known correlations between drinking and tobacco use. Proponents of such policies say smoking bans promote a healthful workplace atmosphere for workers and patrons. According to the U.S. Department of Health and Human Services, exposure to secondhand smoke increases nonsmokers' risks of developing lung cancer, heart disease, respiratory conditions and other diseases. "These clean indoor air policies are designed to protect workers from exposure to secondhand smoke," said Elizabeth Klein, assistant professor of health behavior and health promotion at Ohio State University and lead author of the study. "We are evaluating business employment because employment is an objective measure of the overall economic health of these businesses. What we have found is that there isn't a significant economic effect for bars, and in fact for restaurants, there is some positive change in employment. These findings underscore that nothing economically catastrophic happened for bars or restaurants in the Twin Cities as a result of banning smoking in these environments." The research is published in the July/August issue of the Journal of Public Health Management Practice. All of this research examines employment trends before Minnesota adopted a comprehensive statewide clean indoor air policy in late 2007. A comprehensive citywide smoking ban -- covering virtually all workplaces -- took effect on March 31, 2005 in Minneapolis and on March 31, 2006 in St. Paul. For a year before that, St. Paul operated under a partial smoking ban that exempted bars. Klein and colleagues used what is called an interrupted time series analysis to evaluate short- and long-term effects of these new policies. They examined a five-year period between January 2003 and December 2007 to monitor employment levels in bars and restaurants before and after enactment of the smoking bans in these two cities. "It is difficult to find an appropriate comparison between one city with a clean indoor air policy and another city without a policy, so we used this model to look at what was going on in each community before adoption of the policies and what happened after that. This design allows for each city to serve as its own comparison group," Klein said. The researchers also accounted for employment in the rest of the hospitality industry -- minus restaurants and bars -- over the same time period as a way to account for general economic conditions that might have been an additional influence on bar and restaurant employment. The researchers obtained employment figures from the Minnesota Department of Employment and Economic Development, to which businesses are required by law to report the total number of individuals they employ each month. In Minneapolis, the comprehensive smoking ban was associated with a 3 percent gradual permanent increase in employment at restaurants and an increase of between 5 percent and 6 percent employment in bars. The estimated change in the rest of the hospitality industry, when compared with either bars or restaurants, was a 1 percent or smaller increase in employment. In St. Paul, the clean indoor air policy was associated with a 4 percent increase in restaurant employment. Bars, which were not subject to the smoking ban until a year later than restaurants in that city, saw a 1 percent or smaller decrease in employment after the smoking ban took effect in bars. When subject to statistical analysis, that decrease was no different from no effect at all. For the rest of the hospitality industry in St. Paul, the partial smoking ban was associated with an almost 12 percent increase in employment. The comprehensive clean indoor air policy adopted a year later was associated with a reduction in hospitality employment of 13 percent, but this decrease was not significant by statistical standards. Klein said no clear explanation exists for this decrease, but an ongoing investigation into the economic effects of the statewide Minnesota smoking ban adopted in late 2007 can evaluate if other regions of the state experienced similar trends. As part of monitoring other economic conditions, Klein accounted for the potential influence of a National Hockey League 2004-05 season-long strike on employment at bars and restaurants in St. Paul, home to the Minnesota Wild. The strike was associated with a nonsignificant drop in bar and restaurant employment of less than 1 percent. The researchers did note that the employment figures act as a headcount of the total number of people employed but do not differentiate between part-time and full-time jobs held. And while revenues are another strong indicator of the economic health of businesses, reliable revenue data would not be available frequently enough to allow for a monthly analysis. Klein said that these findings are consistent with previous research that has examined the economic effects of smoking bans on bars and restaurants in California and in cities in Canada and Australia. It also reinforces her own findings published in 2009 that suggested that exempting bars from community smoking bans made no economic difference in terms of preserving bar employment. That study examined employment trends over three years in eight Minnesota cities with different types of clean indoor air policies and two cities with no laws restricting smoking. While the Midwestern United States has been slower to adopt clean indoor air policies than have coastal states, Klein said this first detailed look at the economic effects of smoking bans on bars in the Midwest might encourage more communities and states in the region to consider adopting the policies. "These results show there is a null or a slightly positive effect on employment with these policies," Klein said. "In this case, it appears that the unintended consequences of local clean indoor air policies may have had a positive, albeit small, economic benefit for hospitality businesses." This work was supported by a grant from ClearWay Minnesota, an independent, nonprofit organization seeking to reduce Minnesota residents' tobacco use and exposure to secondhand smoke through research, action and collaboration. The study findings do not necessarily represent the official views of the organization. Co-authors on the paper were Jean Forster, Darin Erickson and Leslie Lytle of the University of Minnesota School of Public Health, and Barbara Schillo of ClearWay Minnesota. Contact: Elizabeth Klein, (614) 292-5424; [email protected] (E-mail is the best way to initiate contact with Klein.) Written by Emily Caldwell, (614) 292-8310; [email protected]

Jun 29, 2010