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Role-playing exercise, videos, and student worksheets. Project TND was initially created for high-risk students attending alternative or continuation high schools. It has been adapted and tested amongst students attending regular high schools also. Project TND’s MedChemExpress Ubiquitin Isopeptidase Inhibitor I, G5 lessons are presented over a four to six week period. Project TND received a score of three.1 (out of four.0) on readiness for dissemination by NREPP. Plan Components–Project TND was developed to fill a gap in substance abuse prevention programming for senior high school youth. Project TND addresses three main threat things for tobacco, alcohol, and other drug use, violence-related behaviors, along with other trouble behaviors amongst youth. These consist of motivation elements like attitudes, beliefs,Child Adolesc Psychiatr Clin N Am. Author manuscript; offered in PMC 2011 July 1.Griffin and BotvinPageand expectations with regards to substance use; social, self-control, and coping capabilities; and decision-making abilities with an emphasis on how to make decisions that bring about healthpromoting behaviors. Project TND is based on an underlying theoretical framework proposing that young individuals at danger for substance abuse won’t use substances if they 1) are aware of misconceptions, myths, and misleading details about drug use that results in use; two) have adequate coping, self-control, along with other capabilities that assist them reduced their risk for use; three) know about how substance use may have damaging consequences both in their own lives as in the lives of other individuals; 4) are conscious of cessation methods for quitting smoking along with other types of substance use; and five) have fantastic decision-making skills and are in a position to create a commitment to not use substances. Plan components for Project TND consist of an implementation manual for providers covering instructions for each and every with the 12 lessons, a video on how substance abuse can impede life objectives, a student workbook, an optional kit containing evaluation supplies, the book The Social Psychology of Drug Abuse, and Project TND outcome articles. System Providers and Training Requirements–A one- to two-day education workshop performed by a certified trainer is suggested for teachers prior to implementing Project TND. The coaching workshops are developed to build the skills that teachers want to provide the lessons with fidelity, and inform them from the theoretical basis, program content material, instructional methods, and objectives in the program.NIH-PA Author Manuscript NIH-PA Author Manuscript NIH-PA Author ManuscriptEvidence of Effectiveness–In help from the high-quality of investigation on Project TND, the NREPP internet website lists 5 peer-reviewed outcome papers with study populations consisting of mainly Hispanic/Latino and White youth, together with 4 replication research. Across three randomized trials, students in Project TND schools exhibited a 25 reduction in rates of hard drug use relative to students in control schools in the one-year follow-up; also, those who utilised alcohol before the intervention exhibited a reduction in alcohol use prevalence of among 7 and 12 relative to controls. In a study testing a revised 12session TND curriculum, students in Project TND PubMed ID:http://www.ncbi.nlm.nih.gov/pubmed/20483746 schools (relative to students in manage schools) exhibited a reduction in cigarette use of 27 in the one-year follow-up and 50 at the two-year follow-up, a reduction in marijuana use of 22 at the one-year follow-up, and at the two-year follow-up students in TND schools had been about a single fifth as likel.

Al tests of balance, such as the Berg Balance scale [54]. Of

Al tests of balance, such as the Berg Balance scale [54]. Of the studies included in this review, five (19 ) reported assessing standing balance or walking stability while patients were not medicated [14, 24, 33, 38, 40], 9 (35 ) Citarinostat web order RO5186582 assessed patients on-medication [18?1, 30, 31, 35, 36, 39] and three (12 ) assessed patients in both on and off states [17, 22, 32]. Of the remaining studies, six (22 ) assessed patients who were not yet being medicated for PD [13, 25?9], while three (12 ) did not report whether their participants were on or off medication at the time of testing [23, 34, 37]. Interestingly, of the studies not reporting differences in standing balance or walking stability between different groups of PD patients and/or healthy controls, two assessed patients while they were off medication [24, 38], while the other did not report whether patients were assessed on or off medication [23]. Of the three studies that assessed patients on and off medication, only two statistically compared their presented outcomes for the two conditions [22, 32]. For a group of idiopathic PD patients, it was reported that the length and maximal distance of postural sway was significantly increased during normal stance, when patients were assessed on medication [32], which would typically be interpreted as a greater amount of sway during the medicated state. During walking, Weiss et al. [22] reported a significant reduction in the width of the dominant harmonic in the acceleration signal when patients were tested on medication, which represented less variability in the gait patterns of medicated patients. While there is a clear need for further research in this area, the presented findings suggest that wearable sensors can be effectively used to evaluate changes in standing balance and walking stability for different patients who are assessed with or without anti-parkinsonian medication. Considering that 66 of individuals with PD fall at least once in a given year [11, 55] and nearly 50 of these falls occur during locomotion [56, 57], assessing walking stability and falls risk is critical to ensure that high-risk patients can be easily identified by clinicians. However, to date, there is a paucity of research evaluating the capacity for wearable sensors to identify people with PD who are at a higher risk of prospectively falling. Two of the studies included in this review compared people with PD who retrospectively reported having no falls (non-fallers) to those who reported falling at least once (fallers) in the previous 12 months [30, 31]. Both of these studies reported that PD fallers had less rhythmic movements for the pelvis or lower trunk (as assessed using the HR) in both the anterior-posterior (forward-backward) and vertical directions compared with PD non-fallers [30, 31] and controls [30]. While their retrospective nature makes it difficult to determine whether these deficits contribute to the patients falling or whether they are perhaps a consequence of an increased fear of future falls, thePLOS ONE | DOI:10.1371/journal.pone.0123705 April 20,18 /Wearable Sensors for Assessing Balance and Gait in Parkinson’s Diseaseresults of these studies provide some support for the use of wearable sensors for screening patients for falls risk. Nevertheless, further prospective research is needed to confirm whether sensor-based measures of standing balance or walking stability are suitable for the assessing falls risk and predicting future falls in this po.Al tests of balance, such as the Berg Balance scale [54]. Of the studies included in this review, five (19 ) reported assessing standing balance or walking stability while patients were not medicated [14, 24, 33, 38, 40], 9 (35 ) assessed patients on-medication [18?1, 30, 31, 35, 36, 39] and three (12 ) assessed patients in both on and off states [17, 22, 32]. Of the remaining studies, six (22 ) assessed patients who were not yet being medicated for PD [13, 25?9], while three (12 ) did not report whether their participants were on or off medication at the time of testing [23, 34, 37]. Interestingly, of the studies not reporting differences in standing balance or walking stability between different groups of PD patients and/or healthy controls, two assessed patients while they were off medication [24, 38], while the other did not report whether patients were assessed on or off medication [23]. Of the three studies that assessed patients on and off medication, only two statistically compared their presented outcomes for the two conditions [22, 32]. For a group of idiopathic PD patients, it was reported that the length and maximal distance of postural sway was significantly increased during normal stance, when patients were assessed on medication [32], which would typically be interpreted as a greater amount of sway during the medicated state. During walking, Weiss et al. [22] reported a significant reduction in the width of the dominant harmonic in the acceleration signal when patients were tested on medication, which represented less variability in the gait patterns of medicated patients. While there is a clear need for further research in this area, the presented findings suggest that wearable sensors can be effectively used to evaluate changes in standing balance and walking stability for different patients who are assessed with or without anti-parkinsonian medication. Considering that 66 of individuals with PD fall at least once in a given year [11, 55] and nearly 50 of these falls occur during locomotion [56, 57], assessing walking stability and falls risk is critical to ensure that high-risk patients can be easily identified by clinicians. However, to date, there is a paucity of research evaluating the capacity for wearable sensors to identify people with PD who are at a higher risk of prospectively falling. Two of the studies included in this review compared people with PD who retrospectively reported having no falls (non-fallers) to those who reported falling at least once (fallers) in the previous 12 months [30, 31]. Both of these studies reported that PD fallers had less rhythmic movements for the pelvis or lower trunk (as assessed using the HR) in both the anterior-posterior (forward-backward) and vertical directions compared with PD non-fallers [30, 31] and controls [30]. While their retrospective nature makes it difficult to determine whether these deficits contribute to the patients falling or whether they are perhaps a consequence of an increased fear of future falls, thePLOS ONE | DOI:10.1371/journal.pone.0123705 April 20,18 /Wearable Sensors for Assessing Balance and Gait in Parkinson’s Diseaseresults of these studies provide some support for the use of wearable sensors for screening patients for falls risk. Nevertheless, further prospective research is needed to confirm whether sensor-based measures of standing balance or walking stability are suitable for the assessing falls risk and predicting future falls in this po.

Rt for a link between temperature and trust processing, as revealed

Rt for a link between temperature and trust processing, as revealed in brain activity rather than in behavior. In particular, the insula showed greater response to cold temperature, and this differential activation was re-observed during decision phases of trust game, suggesting a plausible neural basis for a relationship between experienced temperature and interpersonal trust. GENERAL DISCUSSION Physical coldness led to decreased trust behavior, compared to warmth. Furthermore, trust-related decisions recruited regions that also activated differentially to cold temperatures. Specifically, insula was more active during cold temperature perception, and also active in trust decisions after havingSCAN (2011)experienced cold. This differential brain activation during trust decisions as a function of prior experiences of different temperatures may explain how physical experiences with temperature can alter psychological states related to trust, as observed in several previous studies. Based on our data as well as those previous findings, our interpretation is that physical temperature experiences primed the insula, leading both to differences in behavioral responding (Study 1) and in patterns of neural activation (Study 2). A deeper understanding of the mechanisms by which cold temperatures obstruct trusting behaviors can inform both cognitive science and practice. The present work represents an important step towards further elucidating the mechanisms by which physical environmental cues can influence people’s judgments and decisions, by examining the neuropsychological consequences of exposure to cold vs warm temperatures. Furthermore, these studies provide initial evidence for the process by which conceptual scaffolding occurs (Williams et al., 2009), by highlighting how an evolutionarily significant physical concept (temperature) is functionally linked on a neural level to the metaphorically related higher order RG7800 supplement psychosocial concept (trust). Similar to the way in which the purchase L-660711 sodium salt processing of physical and psychological pain overlaps in specific areas of the brain (ACC; Eisenberger et al., 2003), so too it appears that there is functional overlap in the processing of information related to physical and psychological warmth. Considering practical implications, given the present findings and previous demonstrations of the effects of physical temperatures on psychological states (Zhong and Leonardelli, 2008; Ijzerman and Semin, 2009), it may be prudent to take physical temperature into account for cognitive and behavioral therapies treating psychopathological conditions, such as borderline personality disorder in which difficulties in expressing trust contribute to dysfunction (King-Casas et al., 2008). For example, it may be possible that physical experience with cold temperatures can lead patients to be less receptive to attempts at behavioral change designed to increase their capacity for trusting others (perhaps via increasing insula activity normally associated with cold temperatures and the expectation of risk; Knutson and Bossaerts, 2007). Risk perception literature provides possible explanations for the differential insula activity following temperature priming. Mounting evidence supports the association of insula and expected risk (Knutson and Bossaerts, 2007). Activation in insula increased proportionally to increasing risk (Dreher et al., 2006; Preuschoff et al., 2006, 2008), as well as in response to uncertainty in other financial and.Rt for a link between temperature and trust processing, as revealed in brain activity rather than in behavior. In particular, the insula showed greater response to cold temperature, and this differential activation was re-observed during decision phases of trust game, suggesting a plausible neural basis for a relationship between experienced temperature and interpersonal trust. GENERAL DISCUSSION Physical coldness led to decreased trust behavior, compared to warmth. Furthermore, trust-related decisions recruited regions that also activated differentially to cold temperatures. Specifically, insula was more active during cold temperature perception, and also active in trust decisions after havingSCAN (2011)experienced cold. This differential brain activation during trust decisions as a function of prior experiences of different temperatures may explain how physical experiences with temperature can alter psychological states related to trust, as observed in several previous studies. Based on our data as well as those previous findings, our interpretation is that physical temperature experiences primed the insula, leading both to differences in behavioral responding (Study 1) and in patterns of neural activation (Study 2). A deeper understanding of the mechanisms by which cold temperatures obstruct trusting behaviors can inform both cognitive science and practice. The present work represents an important step towards further elucidating the mechanisms by which physical environmental cues can influence people’s judgments and decisions, by examining the neuropsychological consequences of exposure to cold vs warm temperatures. Furthermore, these studies provide initial evidence for the process by which conceptual scaffolding occurs (Williams et al., 2009), by highlighting how an evolutionarily significant physical concept (temperature) is functionally linked on a neural level to the metaphorically related higher order psychosocial concept (trust). Similar to the way in which the processing of physical and psychological pain overlaps in specific areas of the brain (ACC; Eisenberger et al., 2003), so too it appears that there is functional overlap in the processing of information related to physical and psychological warmth. Considering practical implications, given the present findings and previous demonstrations of the effects of physical temperatures on psychological states (Zhong and Leonardelli, 2008; Ijzerman and Semin, 2009), it may be prudent to take physical temperature into account for cognitive and behavioral therapies treating psychopathological conditions, such as borderline personality disorder in which difficulties in expressing trust contribute to dysfunction (King-Casas et al., 2008). For example, it may be possible that physical experience with cold temperatures can lead patients to be less receptive to attempts at behavioral change designed to increase their capacity for trusting others (perhaps via increasing insula activity normally associated with cold temperatures and the expectation of risk; Knutson and Bossaerts, 2007). Risk perception literature provides possible explanations for the differential insula activity following temperature priming. Mounting evidence supports the association of insula and expected risk (Knutson and Bossaerts, 2007). Activation in insula increased proportionally to increasing risk (Dreher et al., 2006; Preuschoff et al., 2006, 2008), as well as in response to uncertainty in other financial and.

. [60] have used both anaesthesia techniques. GA, general anaesthesia. doi:10.1371/journal.pone.

. [60] have used both anaesthesia techniques. GA, general anaesthesia. doi:10.1371/journal.pone.0156448.gPLOS ONE | DOI:10.1371/journal.pone.0156448 May 26,31 /Anaesthesia Management for Awake Craniotomyintraoperative seizures and their consequences [10,17?9,31?9,42?4,47,49?5,57?0,62]. The total number of performed AC procedures in these studies was 4942 and 351 (7.1 ) intraoperative seizures were reported (Table 4). Only twenty-three (0.5 ) intraoperative seizures led to a failure of AC, but they were resolved without any serious problems and the surgery was continued in GA [33,34,42,43,55,57]. Interestingly, the AAA technique showed a high proportion of eight seizures in fifty AC procedures, but only one led to AC failure due to U0126-EtOHMedChemExpress U0126-EtOH required intubation [33]. Intraoperative seizures were more common in younger patients and those with a history of seizures [31,42]. A meta-analysis was performed for thirty-four studies, [10,17?6,28,29,32,34?39,43,47,49?5,57?0,62], which used the MAC and SAS technique, excluding the duplicate studies from Tel Aviv [31,42] and Glostrup [27,44]. Meta-analysis showed an estimated proportion of seizures of 8 [95 CI: 6?1] with substantial heterogeneity GSK1363089 molecular weight between studies (I2 = 75 ) (Fig 4). In the meta-regression analysis, the techniques used did not explain the differences in the studies (QM < 0.001, df = 1, p = 0.983). The OR comparing SAS to MAC technique was 1.01 [CI95 : 0.52?.88]. Postoperative neurological dysfunction (new/ late). Description of particular postoperative neurological dysfunctions differed significantly in the included studies. Therefore we have subsumed all kinds of new neurological dysfunctions under these superordinate two outcome variables. Of note, we did not include data of patients with deterioration of a pre-existing neurological dysfunction. Twenty-nine studies [10,18,19,23,24,28,29,31,33?5,37,38,40?43,48,49,51?5,57?9,61,62] reported new postoperative neurological dysfunctions after 565 (14.0 ) of totally 4029 AC procedures. A later follow up result (six months) was provided for 279 of these patients with new neurological dysfunction. It showed a persistent neurological dysfunction in 64 patients. Of note, late neurological outcome after six months was reported in only seventeen studies comprising 2085 AC procedures in total. Considering twenty-six studies [10,18,19,23,24,28,29,34,35,37,38,40,41,43,48,49,51?5,57?9,61,62], which were reasonable included in our meta-analysis, the proportion of new neurological dysfunction was estimated to be 17 [95 CI: 12?3], with a high heterogeneity (I2 = 90 ) (Fig 5). Meta-regression analysis did not reveal a difference depending on the anaesthesia technique (MAC/ SAS) (QM = 1.52, df = 1, p = 0.217), with an OR of 1.66 [95 CI: 1.35?.70]. Furthermore, there is a large proportion of residual heterogeneity (QE = 187.55, df = 24, p < .0001), which cannot be explained by the applied anaesthesia technique. However, it has to be noted that there are only six studies available in the SAS group. Other adverse events/outcomes. The other extracted adverse events and outcome data are shown in Tables 4 and 5. Mortality was very low with 10 patients (0.2 ) of all forty-four studies comprising 5381 patients, which reported the outcome variable mortality (Table 5). Of note, two deaths include probably duplicate patients [42,43] to the study of Grossman et al. [31]. Furthermore, we have only included deaths within 30 days after surgery in this analysis. Interestingly.. [60] have used both anaesthesia techniques. GA, general anaesthesia. doi:10.1371/journal.pone.0156448.gPLOS ONE | DOI:10.1371/journal.pone.0156448 May 26,31 /Anaesthesia Management for Awake Craniotomyintraoperative seizures and their consequences [10,17?9,31?9,42?4,47,49?5,57?0,62]. The total number of performed AC procedures in these studies was 4942 and 351 (7.1 ) intraoperative seizures were reported (Table 4). Only twenty-three (0.5 ) intraoperative seizures led to a failure of AC, but they were resolved without any serious problems and the surgery was continued in GA [33,34,42,43,55,57]. Interestingly, the AAA technique showed a high proportion of eight seizures in fifty AC procedures, but only one led to AC failure due to required intubation [33]. Intraoperative seizures were more common in younger patients and those with a history of seizures [31,42]. A meta-analysis was performed for thirty-four studies, [10,17?6,28,29,32,34?39,43,47,49?5,57?0,62], which used the MAC and SAS technique, excluding the duplicate studies from Tel Aviv [31,42] and Glostrup [27,44]. Meta-analysis showed an estimated proportion of seizures of 8 [95 CI: 6?1] with substantial heterogeneity between studies (I2 = 75 ) (Fig 4). In the meta-regression analysis, the techniques used did not explain the differences in the studies (QM < 0.001, df = 1, p = 0.983). The OR comparing SAS to MAC technique was 1.01 [CI95 : 0.52?.88]. Postoperative neurological dysfunction (new/ late). Description of particular postoperative neurological dysfunctions differed significantly in the included studies. Therefore we have subsumed all kinds of new neurological dysfunctions under these superordinate two outcome variables. Of note, we did not include data of patients with deterioration of a pre-existing neurological dysfunction. Twenty-nine studies [10,18,19,23,24,28,29,31,33?5,37,38,40?43,48,49,51?5,57?9,61,62] reported new postoperative neurological dysfunctions after 565 (14.0 ) of totally 4029 AC procedures. A later follow up result (six months) was provided for 279 of these patients with new neurological dysfunction. It showed a persistent neurological dysfunction in 64 patients. Of note, late neurological outcome after six months was reported in only seventeen studies comprising 2085 AC procedures in total. Considering twenty-six studies [10,18,19,23,24,28,29,34,35,37,38,40,41,43,48,49,51?5,57?9,61,62], which were reasonable included in our meta-analysis, the proportion of new neurological dysfunction was estimated to be 17 [95 CI: 12?3], with a high heterogeneity (I2 = 90 ) (Fig 5). Meta-regression analysis did not reveal a difference depending on the anaesthesia technique (MAC/ SAS) (QM = 1.52, df = 1, p = 0.217), with an OR of 1.66 [95 CI: 1.35?.70]. Furthermore, there is a large proportion of residual heterogeneity (QE = 187.55, df = 24, p < .0001), which cannot be explained by the applied anaesthesia technique. However, it has to be noted that there are only six studies available in the SAS group. Other adverse events/outcomes. The other extracted adverse events and outcome data are shown in Tables 4 and 5. Mortality was very low with 10 patients (0.2 ) of all forty-four studies comprising 5381 patients, which reported the outcome variable mortality (Table 5). Of note, two deaths include probably duplicate patients [42,43] to the study of Grossman et al. [31]. Furthermore, we have only included deaths within 30 days after surgery in this analysis. Interestingly.

Rat murine chimeric TNF-alpha antibody of IgG2ak isotype (Centocor, Malvern

Rat murine chimeric TNF-alpha antibody of IgG2ak isotype (Centocor, Malvern, PA, USA) was administered once a week 10 mg/kg intraperitoneally for four weeks. The development of joint manifestations was monitored as described above. The mice were killed at 15 weeks of infection. Tissue samples from ear, bladder and hind buy PX-478 tibiotarsal joint were collected for culture and PCR analyses. Blood was collected for serology, and one tibiotarsal joint for histology. In experiment III, eight dbpAB/dbpAB (group 14), eight dbpAB (group 15) infected animals, and four uninfected control (group 13) animals were killed at two weeks of infection. Samples from ear, bladder and hind tibiotarsal joint were collected for culture. One hind tibiotarsal joint was collected for PCR analysis of B. burgdorferi tissue load, and blood was collected for serology. In experiment IV, eight animals we infected with dbpAB/dbpAB (groups 17 and 19) and eight animals with dbpAB (groups 18 and 20). Four uninfected animals (group 16) were negative controls. Eight animals (groups 19 and 20) were treated with ZM241385 web ceftriaxone at six weeks. The development of joint manifestations was monitored as explained above. The mice were killed at 15 weeks of infection. Tissue samples from ear, bladder and hind tibiotarsal joint were collected for culture and PCR analyses. Blood was collected for serology.PLOS ONE | DOI:10.1371/journal.pone.0121512 March 27,3 /DbpA and B Promote Arthritis and Post-Treatment Persistence in MiceFig 1. Design of the mouse experiments. In Experiment I, four dbpAB/dbpAB (group 2), eight dbpAB/ dbpA (group 3), eight dbpAB/dbpB (group 4), two dbpAB (group 5) infected animals and two uninfected control animals (group 1) were killed at seven weeks of infection. In Experiment II, 16 infected animals (groups 4 and 5) were treated with ceftriaxone and 16 (groups 6 and 7) with ceftriaxone and anti-TNF-alpha. The ceftriaxone treatment was started at two weeks (25 mg/kg twice a day for 5 days) and the anti-TNF-alpha treatment at seven weeks of infection (10 mg/kg once a week for 4 weeks). Ear biopsy samples were collected at 6 and 9 weeks of infection to monitor the dissemination of the infection. In Experiment III, mice were killed at two weeks to study infection kinetics and bacterial load in joints. In Experiment IV, eight infected animals were treated with ceftriaxone at six weeks of infection (groups 14 and 15). doi:10.1371/journal.pone.0121512.gPreparation and B. burgdorferi culture of tissue samplesIn experiments II, the infection status of the mice was assessed by culturing ear biopsy samples at 6 and 9 weeks of infection. Ear, bladder and hind tibiotarsal joint samples were collected at seven weeks (experiments I), at 15 weeks (experiments II and IV), or at 2 weeks (experiment III) of the infection. All instruments were disinfected in ethanol between the dissections of the different samples. The tissue samples were grown in BSK II medium supplemented withPLOS ONE | DOI:10.1371/journal.pone.0121512 March 27,4 /DbpA and B Promote Arthritis and Post-Treatment Persistence in Micephosphomycin (50 g/ml; Sigma-Aldrich) and rifampin (100 g/ml; Sigma-Aldrich) at 33 for a maximum of 6 weeks.DNA extraction and PCR analysisEar, bladder and joint tissue samples were stored at -20 before the DNA extraction. Tissue samples were incubated with proteinase-K (275 g/ml, Promega, Madison, WI, USA) at 56 for overnight before the DNA was extracted using NucliSENS easyMAG kit (Biom ieux, M.Rat murine chimeric TNF-alpha antibody of IgG2ak isotype (Centocor, Malvern, PA, USA) was administered once a week 10 mg/kg intraperitoneally for four weeks. The development of joint manifestations was monitored as described above. The mice were killed at 15 weeks of infection. Tissue samples from ear, bladder and hind tibiotarsal joint were collected for culture and PCR analyses. Blood was collected for serology, and one tibiotarsal joint for histology. In experiment III, eight dbpAB/dbpAB (group 14), eight dbpAB (group 15) infected animals, and four uninfected control (group 13) animals were killed at two weeks of infection. Samples from ear, bladder and hind tibiotarsal joint were collected for culture. One hind tibiotarsal joint was collected for PCR analysis of B. burgdorferi tissue load, and blood was collected for serology. In experiment IV, eight animals we infected with dbpAB/dbpAB (groups 17 and 19) and eight animals with dbpAB (groups 18 and 20). Four uninfected animals (group 16) were negative controls. Eight animals (groups 19 and 20) were treated with ceftriaxone at six weeks. The development of joint manifestations was monitored as explained above. The mice were killed at 15 weeks of infection. Tissue samples from ear, bladder and hind tibiotarsal joint were collected for culture and PCR analyses. Blood was collected for serology.PLOS ONE | DOI:10.1371/journal.pone.0121512 March 27,3 /DbpA and B Promote Arthritis and Post-Treatment Persistence in MiceFig 1. Design of the mouse experiments. In Experiment I, four dbpAB/dbpAB (group 2), eight dbpAB/ dbpA (group 3), eight dbpAB/dbpB (group 4), two dbpAB (group 5) infected animals and two uninfected control animals (group 1) were killed at seven weeks of infection. In Experiment II, 16 infected animals (groups 4 and 5) were treated with ceftriaxone and 16 (groups 6 and 7) with ceftriaxone and anti-TNF-alpha. The ceftriaxone treatment was started at two weeks (25 mg/kg twice a day for 5 days) and the anti-TNF-alpha treatment at seven weeks of infection (10 mg/kg once a week for 4 weeks). Ear biopsy samples were collected at 6 and 9 weeks of infection to monitor the dissemination of the infection. In Experiment III, mice were killed at two weeks to study infection kinetics and bacterial load in joints. In Experiment IV, eight infected animals were treated with ceftriaxone at six weeks of infection (groups 14 and 15). doi:10.1371/journal.pone.0121512.gPreparation and B. burgdorferi culture of tissue samplesIn experiments II, the infection status of the mice was assessed by culturing ear biopsy samples at 6 and 9 weeks of infection. Ear, bladder and hind tibiotarsal joint samples were collected at seven weeks (experiments I), at 15 weeks (experiments II and IV), or at 2 weeks (experiment III) of the infection. All instruments were disinfected in ethanol between the dissections of the different samples. The tissue samples were grown in BSK II medium supplemented withPLOS ONE | DOI:10.1371/journal.pone.0121512 March 27,4 /DbpA and B Promote Arthritis and Post-Treatment Persistence in Micephosphomycin (50 g/ml; Sigma-Aldrich) and rifampin (100 g/ml; Sigma-Aldrich) at 33 for a maximum of 6 weeks.DNA extraction and PCR analysisEar, bladder and joint tissue samples were stored at -20 before the DNA extraction. Tissue samples were incubated with proteinase-K (275 g/ml, Promega, Madison, WI, USA) at 56 for overnight before the DNA was extracted using NucliSENS easyMAG kit (Biom ieux, M.

TraliaHigh skin temperatures also affect thermal sensation and comfort. Very few

TraliaHigh skin temperatures also affect thermal sensation and comfort. Very few studies in the present reviewApart from the normal thermoregulatory and subjective responses, heat stress may also impact worker health in terms of heat exhaustion and occasionally heat stroke. While not captured in the present review as physiological markers of heat MG-132 supplement strain (core temperature) were not measured in the workplace, Donoghue, Sinclair and Bates investigated the thermal conditions and personal risk factors and the clinical characteristics associated with 106 cases of heat exhaustion in the deep mines at Mt Isa, QLD.64 The overall incidence of heat exhaustion was 43.0 cases / million man-hours of underground work with a peak incidence rate in February at 147 cases / million-man hours. Specific to this review the OPC-8212 web workplace thermal conditions were recorded in 74 (70 ) cases. Air temperature and humidity were very close to those shown in Table 2 but air velocity was lower averaging 0.5 ?0.6 m�s? (range 0.0?.0 m�s?). The incidence of heat exhaustion increased steeply when air temperature >34 C,TEMPERATUREwet bulb temperature >25 C and air velocity <1.56 m�s?. These observations highlight the critical importance of air movement in promoting sweat evaporation in conditions of high humidity.12,23,65 The occurrence of heat exhaustion in these conditions contrasts with the apparent rarity of heat casualties in sheep shearers who seem to work at higher Hprod (?50?00 W)14 compared to the highest value measured in mines (?80 Wm?; 360 W for a 2.0 m2 worker; personal communication ?Graham Bates), and in similar ambient air temperatures and air velocity but much lower humidity. Symptoms of heat exhaustion also caused soldiers to drop out from forced marches.66 Self-pacing presumably maintains tolerable levels of strain but implies that increasing environmental heat stress would affect work performance and productivity. Shearers' tallies declined by about 2 sheep per hour from averages of about 17 sheep per hour when Ta exceeded 42 C; shearing ceased on a day when Ta reached 46 C.14 Bush firefighters spent less time in active work in warmer weather. Although their active work intensity was not affected their overall energy expenditure was slightly reduced.32 In the Defense Force marches not all soldiers, particularly females, were able to complete the tasks in the allotted times, with failure rates being most common in warmer conditions.5 The lower physiological responses of non-heat acclimatised search and rescue personnel operating in the Northern Territory compared to acclimatised personnel likely reflected a behavioral response to avoid excessive stress and strain.Current gaps in knowledge and considerationsOnly three studies were identified that examined in situ occupational heat stress in the Australian construction industry. Since workers in this industry, which is one of the largest sectors in Australia, typically experience the greatest amount of outdoor environmental heat exposure, this is a clear knowledge gap that needs addressing. There also seems to be a paucity of information for the agriculture/horticulture sector, particularly for manual labor jobs such as fruit picking and grape harvesting, which are usually performed in hot weather, often by foreign workers on temporary work visas. No occupational heat stress studies were captured for the Australian Capital Territory (ACT) orTasmania. The climate within the ACT is similar to New South Wales and Vi.TraliaHigh skin temperatures also affect thermal sensation and comfort. Very few studies in the present reviewApart from the normal thermoregulatory and subjective responses, heat stress may also impact worker health in terms of heat exhaustion and occasionally heat stroke. While not captured in the present review as physiological markers of heat strain (core temperature) were not measured in the workplace, Donoghue, Sinclair and Bates investigated the thermal conditions and personal risk factors and the clinical characteristics associated with 106 cases of heat exhaustion in the deep mines at Mt Isa, QLD.64 The overall incidence of heat exhaustion was 43.0 cases / million man-hours of underground work with a peak incidence rate in February at 147 cases / million-man hours. Specific to this review the workplace thermal conditions were recorded in 74 (70 ) cases. Air temperature and humidity were very close to those shown in Table 2 but air velocity was lower averaging 0.5 ?0.6 m�s? (range 0.0?.0 m�s?). The incidence of heat exhaustion increased steeply when air temperature >34 C,TEMPERATUREwet bulb temperature >25 C and air velocity <1.56 m�s?. These observations highlight the critical importance of air movement in promoting sweat evaporation in conditions of high humidity.12,23,65 The occurrence of heat exhaustion in these conditions contrasts with the apparent rarity of heat casualties in sheep shearers who seem to work at higher Hprod (?50?00 W)14 compared to the highest value measured in mines (?80 Wm?; 360 W for a 2.0 m2 worker; personal communication ?Graham Bates), and in similar ambient air temperatures and air velocity but much lower humidity. Symptoms of heat exhaustion also caused soldiers to drop out from forced marches.66 Self-pacing presumably maintains tolerable levels of strain but implies that increasing environmental heat stress would affect work performance and productivity. Shearers' tallies declined by about 2 sheep per hour from averages of about 17 sheep per hour when Ta exceeded 42 C; shearing ceased on a day when Ta reached 46 C.14 Bush firefighters spent less time in active work in warmer weather. Although their active work intensity was not affected their overall energy expenditure was slightly reduced.32 In the Defense Force marches not all soldiers, particularly females, were able to complete the tasks in the allotted times, with failure rates being most common in warmer conditions.5 The lower physiological responses of non-heat acclimatised search and rescue personnel operating in the Northern Territory compared to acclimatised personnel likely reflected a behavioral response to avoid excessive stress and strain.Current gaps in knowledge and considerationsOnly three studies were identified that examined in situ occupational heat stress in the Australian construction industry. Since workers in this industry, which is one of the largest sectors in Australia, typically experience the greatest amount of outdoor environmental heat exposure, this is a clear knowledge gap that needs addressing. There also seems to be a paucity of information for the agriculture/horticulture sector, particularly for manual labor jobs such as fruit picking and grape harvesting, which are usually performed in hot weather, often by foreign workers on temporary work visas. No occupational heat stress studies were captured for the Australian Capital Territory (ACT) orTasmania. The climate within the ACT is similar to New South Wales and Vi.

Interviews, chart review, and clinician report) caused ambiguity–Two capability determinations were

Interviews, chart review, and clinician report) caused ambiguity–Two capability determinations were ambiguous due to discrepancies between information collected from participant interviews, chart review, and clinician report. In both examples, the participants described themselves as more capable than was indicated in data from patient charts or from treating clinicians.Author Manuscript Author Manuscript Author Manuscript Author ManuscriptDiscussionDetermining financial capability is complicated. One reason capability is difficult to judge is that managing a limited income, with or without a disabling illness, is very difficult. The challenges disabled people face–poverty, substance use (21), gambling (22), crime, financial dysfunction, psychiatric symptomatology (23) and financial predation (6) — contribute to their financial difficulties. Most beneficiaries and, in fact, most people do not spend all of their funds on basic needs. A Bureau of Labor Statistics report found that Americans in the lowest, middle, and highest income quintiles spend 7?0 of their income on nonessential items and that those in the lowest quintile spend a greater percentage of their money than those in the highest quintile on basic necessities such as housing, food, utilities, fuels and public services, healthcare, and medications (24, 25).Emerging literature suggests that because of the stresses of poverty, it is particularly difficult for someone who is poor to exert the planning, self-control and attention needed to resist unnecessary purchases (26). Second, determinations of the amount of nonessential or harmful spending and the circumstances around such spending that would merit payee assignment is a subjective judgment with few guidelines. The Social CBIC2MedChemExpress JC-1 Security Administration guidelines about how representative payees must use a beneficiary’s monthly benefits allow for some nonessential purchases (i.e. clothing and recreation), but only after food and shelter are provided for (27). This paper highlights areas requiring special deliberation. Clinicians assessing financial capability need to consider the extent of the harm spending patterns have on the individual being assessed (i.e. misspending that results in a few missed meals might cause minor discomfort but not measureable harm, whereas misspending that results in an inability to pay for rent may be very harmful). When looking at harmful spending, clinicians should discern whether the beneficiary has a financial problem or an addiction problem. If improved financial skills or payee assignment would not impact the acquisition of drugs of abuse, then the beneficiaries’ substance use probably does not reflect financial incapability. Another important issue that clinicians face when making determinations about beneficiaries’ ability to manage funds is attempting to predict future functioning, which is inherently uncertain. There is evidence that clinicians have difficulty predicting behaviors such as future medication adherence (28, 29), so some uncertainty in predicting financialPsychiatr Serv. Author manuscript; available in PMC 2016 March 01.Lazar et al.Pagecapability is to be expected. Frequent reBQ-123 supplier evaluations of financial capability might help with complicated determinations. Extensive and serial evaluations of capability to manage one’s funds are probably beyond the mandate and the resources of the Social Security Administration, but re-evaluating the capability of beneficiaries who are admitted to.Interviews, chart review, and clinician report) caused ambiguity–Two capability determinations were ambiguous due to discrepancies between information collected from participant interviews, chart review, and clinician report. In both examples, the participants described themselves as more capable than was indicated in data from patient charts or from treating clinicians.Author Manuscript Author Manuscript Author Manuscript Author ManuscriptDiscussionDetermining financial capability is complicated. One reason capability is difficult to judge is that managing a limited income, with or without a disabling illness, is very difficult. The challenges disabled people face–poverty, substance use (21), gambling (22), crime, financial dysfunction, psychiatric symptomatology (23) and financial predation (6) — contribute to their financial difficulties. Most beneficiaries and, in fact, most people do not spend all of their funds on basic needs. A Bureau of Labor Statistics report found that Americans in the lowest, middle, and highest income quintiles spend 7?0 of their income on nonessential items and that those in the lowest quintile spend a greater percentage of their money than those in the highest quintile on basic necessities such as housing, food, utilities, fuels and public services, healthcare, and medications (24, 25).Emerging literature suggests that because of the stresses of poverty, it is particularly difficult for someone who is poor to exert the planning, self-control and attention needed to resist unnecessary purchases (26). Second, determinations of the amount of nonessential or harmful spending and the circumstances around such spending that would merit payee assignment is a subjective judgment with few guidelines. The Social Security Administration guidelines about how representative payees must use a beneficiary’s monthly benefits allow for some nonessential purchases (i.e. clothing and recreation), but only after food and shelter are provided for (27). This paper highlights areas requiring special deliberation. Clinicians assessing financial capability need to consider the extent of the harm spending patterns have on the individual being assessed (i.e. misspending that results in a few missed meals might cause minor discomfort but not measureable harm, whereas misspending that results in an inability to pay for rent may be very harmful). When looking at harmful spending, clinicians should discern whether the beneficiary has a financial problem or an addiction problem. If improved financial skills or payee assignment would not impact the acquisition of drugs of abuse, then the beneficiaries’ substance use probably does not reflect financial incapability. Another important issue that clinicians face when making determinations about beneficiaries’ ability to manage funds is attempting to predict future functioning, which is inherently uncertain. There is evidence that clinicians have difficulty predicting behaviors such as future medication adherence (28, 29), so some uncertainty in predicting financialPsychiatr Serv. Author manuscript; available in PMC 2016 March 01.Lazar et al.Pagecapability is to be expected. Frequent reevaluations of financial capability might help with complicated determinations. Extensive and serial evaluations of capability to manage one’s funds are probably beyond the mandate and the resources of the Social Security Administration, but re-evaluating the capability of beneficiaries who are admitted to.

As the population mean (Loeve, 1977). Stuttered and non-stuttered disfluencies–Our second finding

As the population mean (Loeve, 1977). Stuttered and non-stuttered disfluencies–Our second finding that preschool-age CWS produce significantly more stuttered and non-stuttered disfluencies than CWNS corroborates findings from previous studies (Ambrose Yairi, 1999; Johnson et al., 1959; Yairi Ambrose, 2005). Whereas the frequency of stuttered disfluencies has been commonly used as a talker-group classification criterion, our data suggest that non-stuttered disfluencies could also be employed to augment decisions about talker group classification based on stuttered disfluencies. The finding that preschool-age CWS produce significantlyNIH-PA Author Manuscript NIH-PA Author Manuscript NIH-PA Author Manuscript7Present authors recognize that syllable-level Crotaline site measures of stuttering can be converted to word-level measures of stuttering and vice versa (Yaruss, 2001). However, this issue goes beyond the purpose and scope of the present study. J Commun Disord. Author manuscript; available in PMC 2015 May 01.Tumanova et al.Pagemore non-stuttered disfluencies than CWNS and that the number of non-stuttered disfluencies was a significant predictor for talker group classification provides empirical support for the notion that total number of disfluencies may be another augmentative measure useful for distinguishing between children who do and do not stutter (Adams, 1977). One seemingly apparent assumption, whether children are classified according to parental report (e.g., Boey et al., 2007; Johnson et al., 1959) or objective criteria (e.g., Pellowski Conture, 2002), is that the speech disfluencies exhibited by CWS versus those of CWNS are more dimensional (i.e., continuous) than categorical (i.e., non-continuous) in nature. Our data suggests that both talker groups produce instances of stuttered disfluencies as well as speech disfluencies not classified as stuttering. Thus, the disfluency distributions for the two talker groups overlap to some degree (something earlier discussed and/or recognized by Johnson et al., 1963). This, of course, does not mean that the two groups are identical. Neither does this overlook the fact that some individuals close to the between-group classification PNB-0408 web criterion will be challenging to classify. However, clinicians and researchers alike must make decisions about who does and who does not stutter when attempting to empirically study or clinically treat such children. One attempt to inform this decision-making process or minimize behavioral overlap between the two talker groups is the establishment of a priori criteria for talker group classification (taking into consideration empirical evidence, as well as parental, caregiver and/or professional perceptions). The present finding that the number of non-stuttered disfluencies significantly predicted talker group classification support the use of that variable as an adjunct to (but certainly not replacement for) the 3 stuttered disfluencies criterion for talker group classification. It should be noted, however, that while minimizing one type of error (e.g., false negatives) this practice may increase the chances of false positives (see Conture, 2001, Fig. 1.1, for further discussion of the issue of false positives and false negatives when classifying children as CWS vs. CWNS). At present, it seems safe to say that there are no absolute, error-free demarcations that perfectly (i.e., 100 of the time) separate the two talker groups. However, as movement toward a more da.As the population mean (Loeve, 1977). Stuttered and non-stuttered disfluencies–Our second finding that preschool-age CWS produce significantly more stuttered and non-stuttered disfluencies than CWNS corroborates findings from previous studies (Ambrose Yairi, 1999; Johnson et al., 1959; Yairi Ambrose, 2005). Whereas the frequency of stuttered disfluencies has been commonly used as a talker-group classification criterion, our data suggest that non-stuttered disfluencies could also be employed to augment decisions about talker group classification based on stuttered disfluencies. The finding that preschool-age CWS produce significantlyNIH-PA Author Manuscript NIH-PA Author Manuscript NIH-PA Author Manuscript7Present authors recognize that syllable-level measures of stuttering can be converted to word-level measures of stuttering and vice versa (Yaruss, 2001). However, this issue goes beyond the purpose and scope of the present study. J Commun Disord. Author manuscript; available in PMC 2015 May 01.Tumanova et al.Pagemore non-stuttered disfluencies than CWNS and that the number of non-stuttered disfluencies was a significant predictor for talker group classification provides empirical support for the notion that total number of disfluencies may be another augmentative measure useful for distinguishing between children who do and do not stutter (Adams, 1977). One seemingly apparent assumption, whether children are classified according to parental report (e.g., Boey et al., 2007; Johnson et al., 1959) or objective criteria (e.g., Pellowski Conture, 2002), is that the speech disfluencies exhibited by CWS versus those of CWNS are more dimensional (i.e., continuous) than categorical (i.e., non-continuous) in nature. Our data suggests that both talker groups produce instances of stuttered disfluencies as well as speech disfluencies not classified as stuttering. Thus, the disfluency distributions for the two talker groups overlap to some degree (something earlier discussed and/or recognized by Johnson et al., 1963). This, of course, does not mean that the two groups are identical. Neither does this overlook the fact that some individuals close to the between-group classification criterion will be challenging to classify. However, clinicians and researchers alike must make decisions about who does and who does not stutter when attempting to empirically study or clinically treat such children. One attempt to inform this decision-making process or minimize behavioral overlap between the two talker groups is the establishment of a priori criteria for talker group classification (taking into consideration empirical evidence, as well as parental, caregiver and/or professional perceptions). The present finding that the number of non-stuttered disfluencies significantly predicted talker group classification support the use of that variable as an adjunct to (but certainly not replacement for) the 3 stuttered disfluencies criterion for talker group classification. It should be noted, however, that while minimizing one type of error (e.g., false negatives) this practice may increase the chances of false positives (see Conture, 2001, Fig. 1.1, for further discussion of the issue of false positives and false negatives when classifying children as CWS vs. CWNS). At present, it seems safe to say that there are no absolute, error-free demarcations that perfectly (i.e., 100 of the time) separate the two talker groups. However, as movement toward a more da.

Intimacy to develop incrementally and to disclose as trust builds is

Intimacy to develop incrementally and to disclose as trust builds is eliminated or at least burdened with the possibility of felony charges. Structural interventions can also compromise autonomy by imposing the interventionists’ priorities and values. In most cases, interventionists operate under the assumption that health takes precedence over any priorities that the intervention ARA290 chemical information Efforts replace (e.g., pleasure, relationship development, economic security). When these assumptions serve as a basis for structural interventions, the affect of which may be virtually unavoidable for those in the intervention area, the intervention effectively imposes this priority on others. Micro finance interventions are based on the assumption that individuals should welcome the opportunity to become entrepreneurs. However, many of these endeavors produced mixed results, in part because entrepreneurship is not universally desirable.97,98 Efforts to routinely test all U.S. adults can serve as another example. While concentrating on the important goal of testing individuals for HIV infection, practitioners may persuade individuals to be tested at a time when an HIV-positive diagnosis could GGTI298 web topple an already unstable housing or employment situation or end a primary relationship. Structural interventions can also incur risk for persons who do not consent to test. Routine HIV testing increases the likelihood that some persons will be diagnosed with HIV or another condition when they do not have health insurance. The intervention then creates a documented preexisting condition and may preclude an individual from receiving health benefits in theAIDS Behav. Author manuscript; available in PMC 2011 December 1.Latkin et al.Pagecontext of current insurance coverage standards. Increasing risk for individuals who have not consented to this new risk is especially of concern if the individual who is put at risk by the intervention does not receive benefit from the intervention. This occurs, for example, with criminal HIV disclosure laws, which increase the risk of unwanted secondary disclosure of HIV-positive persons’ serostatus by requiring disclosure if they want to engage in sex. Because structural interventions make system wide changes, there is the risk that intervening factors may produce unanticipated and potentially deleterious outcomes. These outcomes may not only be difficult to anticipate, they may be difficult to neutralize or to control. Public trust, once called into question, especially by persons who occupy marginal positions in society, may be exceedingly difficult to regain. The collective memory of a community is a significant structure in itself. Methods to Study Structural Factors The broad scope and complex nature of structural factors and structural interventions create myriad challenges for research. Studies of structural factors affecting HIV-related behavior have fallen into three general categories. The first approach is to assess the impact of structural interventions at the macro, meso, and micro levels that were not initially designed to change HIV-related behaviors directly. The second is to assess structural factors that shape the context and processes of the epidemic and its eradication. A third approach includes experimental tests of the effects of structural interventions specifically designed to reduce the transmission and impact of HIV. One example of the first approach is to assess the impact of district-wide interventions to redu.Intimacy to develop incrementally and to disclose as trust builds is eliminated or at least burdened with the possibility of felony charges. Structural interventions can also compromise autonomy by imposing the interventionists’ priorities and values. In most cases, interventionists operate under the assumption that health takes precedence over any priorities that the intervention efforts replace (e.g., pleasure, relationship development, economic security). When these assumptions serve as a basis for structural interventions, the affect of which may be virtually unavoidable for those in the intervention area, the intervention effectively imposes this priority on others. Micro finance interventions are based on the assumption that individuals should welcome the opportunity to become entrepreneurs. However, many of these endeavors produced mixed results, in part because entrepreneurship is not universally desirable.97,98 Efforts to routinely test all U.S. adults can serve as another example. While concentrating on the important goal of testing individuals for HIV infection, practitioners may persuade individuals to be tested at a time when an HIV-positive diagnosis could topple an already unstable housing or employment situation or end a primary relationship. Structural interventions can also incur risk for persons who do not consent to test. Routine HIV testing increases the likelihood that some persons will be diagnosed with HIV or another condition when they do not have health insurance. The intervention then creates a documented preexisting condition and may preclude an individual from receiving health benefits in theAIDS Behav. Author manuscript; available in PMC 2011 December 1.Latkin et al.Pagecontext of current insurance coverage standards. Increasing risk for individuals who have not consented to this new risk is especially of concern if the individual who is put at risk by the intervention does not receive benefit from the intervention. This occurs, for example, with criminal HIV disclosure laws, which increase the risk of unwanted secondary disclosure of HIV-positive persons’ serostatus by requiring disclosure if they want to engage in sex. Because structural interventions make system wide changes, there is the risk that intervening factors may produce unanticipated and potentially deleterious outcomes. These outcomes may not only be difficult to anticipate, they may be difficult to neutralize or to control. Public trust, once called into question, especially by persons who occupy marginal positions in society, may be exceedingly difficult to regain. The collective memory of a community is a significant structure in itself. Methods to Study Structural Factors The broad scope and complex nature of structural factors and structural interventions create myriad challenges for research. Studies of structural factors affecting HIV-related behavior have fallen into three general categories. The first approach is to assess the impact of structural interventions at the macro, meso, and micro levels that were not initially designed to change HIV-related behaviors directly. The second is to assess structural factors that shape the context and processes of the epidemic and its eradication. A third approach includes experimental tests of the effects of structural interventions specifically designed to reduce the transmission and impact of HIV. One example of the first approach is to assess the impact of district-wide interventions to redu.

………………………………………………………………………………………………….. 19 Definition of the genus Apanteles sensu stricto …………………………………………… 19 Species formerly described as

………………………………………………………………………………………………….. 19 Definition of the genus Apanteles sensu stricto …………………………………………… 19 Species formerly described as Apanteles but here excluded from the genus …….. 22 Dolichogenidea hedyleptae (Muesebeck, 1958), comb. n. ……………………….. 22 Dolichogenidea politiventris (Muesebeck, 1958), comb. n. ……………………… 22 Iconella albinervis (Tobias, 1964), stat rev. ………………………………………….. 22 Illidops BEZ235 chemical information scutellaris (Muesebeck, 1921), comb. rev………………………………….. 23 Rhygoplitis sanctivincenti (Ashmead, 1900), comb. n. …………………………… 24 ACG species wrongly assigned to Apanteles in the past ………………………………. 25 General comments on the biology and morphology of Apanteles in Mesoamerica ….25 Species groups of Mesoamerican Apanteles ……………………………………………….. 27 Key to the species-groups of Mesoamerican Apanteles ………………………………… 35 adelinamoralesae species-group …………………………………………………………. 45 adrianachavarriae species-group ……………………………………………………….. 48 adrianaguilarae species-group …………………………………………………………… 50 alejandromorai species-group ……………………………………………………………. 51 anabellecordobae species-group …………………………………………………………. 53 anamarencoae species-group …………………………………………………………….. 55 arielopezi species-group …………………………………………………………………… 56 ater species-group …………………………………………………………………………… 56 bernyapui species-group…………………………………………………………………… 58 bienvenidachavarriae species-group ……………………………………………………. 59 calixtomoragai species-group …………………………………………………………….. 59 carlosguadamuzi species-group ………………………………………………………….. 61 carlosrodriguezi species-group …………………………………………………………… 62 carloszunigai species-group ………………………………………………………………. 63 carpatus species-group …………………………………………………………………….. 63 coffeellae species-group ……………………………………………………………………. 64 diatraeae species-group ……………………………………………………………………. 65 dickyui species-group ………………………………………………………………………. 66 erickduartei species-group ………………………………………………………………… 66 glenriverai species-group ………………………………………………………………….. 68 guadaluperodriguezae species-group …………………………………………………… 68 SCR7 molecular weight humbertolopezi species-group……………………………………………………………. 69 isidrochaconi species-group ………………………………………………………………………………………………………………………………………. 19 Definition of the genus Apanteles sensu stricto …………………………………………… 19 Species formerly described as Apanteles but here excluded from the genus …….. 22 Dolichogenidea hedyleptae (Muesebeck, 1958), comb. n. ……………………….. 22 Dolichogenidea politiventris (Muesebeck, 1958), comb. n. ……………………… 22 Iconella albinervis (Tobias, 1964), stat rev. ………………………………………….. 22 Illidops scutellaris (Muesebeck, 1921), comb. rev………………………………….. 23 Rhygoplitis sanctivincenti (Ashmead, 1900), comb. n. …………………………… 24 ACG species wrongly assigned to Apanteles in the past ………………………………. 25 General comments on the biology and morphology of Apanteles in Mesoamerica ….25 Species groups of Mesoamerican Apanteles ……………………………………………….. 27 Key to the species-groups of Mesoamerican Apanteles ………………………………… 35 adelinamoralesae species-group …………………………………………………………. 45 adrianachavarriae species-group ……………………………………………………….. 48 adrianaguilarae species-group …………………………………………………………… 50 alejandromorai species-group ……………………………………………………………. 51 anabellecordobae species-group …………………………………………………………. 53 anamarencoae species-group …………………………………………………………….. 55 arielopezi species-group …………………………………………………………………… 56 ater species-group …………………………………………………………………………… 56 bernyapui species-group…………………………………………………………………… 58 bienvenidachavarriae species-group ……………………………………………………. 59 calixtomoragai species-group …………………………………………………………….. 59 carlosguadamuzi species-group ………………………………………………………….. 61 carlosrodriguezi species-group …………………………………………………………… 62 carloszunigai species-group ………………………………………………………………. 63 carpatus species-group …………………………………………………………………….. 63 coffeellae species-group ……………………………………………………………………. 64 diatraeae species-group ……………………………………………………………………. 65 dickyui species-group ………………………………………………………………………. 66 erickduartei species-group ………………………………………………………………… 66 glenriverai species-group ………………………………………………………………….. 68 guadaluperodriguezae species-group …………………………………………………… 68 humbertolopezi species-group……………………………………………………………. 69 isidrochaconi species-group …………………………………..