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1.
  • Parola, S., et al. (author)
  • Hybrid materials for non linear absorption
  • 2005
  • In: Nonlinear Optical Transmission and Multiphoton Processes in Organics III. - : SPIE - International Society for Optical Engineering. ; , s. 1-5
  • Conference paper (peer-reviewed)abstract
    • Alkynyl platinum derivatives and thiacalixarenes were trapped in solid transparent matrices prepared by the sol-gel process. By using functionalyzed silicon alkoxides, molecular species were grafted to the gel matrix giving a high doping concentration and chemically stable materials. In this communication we present broadband optical limiting performance in the visible wavelength region observed in the prepared materials.
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2.
  • Vestberg, Robert, et al. (author)
  • Thiophene-cored 2,2-bis(methylol)propionic acid dendrimers for optical-power-limiting applications
  • 2005
  • In: Journal of Polymer Science Part A. - : Wiley. - 0887-624X .- 1099-0518. ; 43:6, s. 1177-1187
  • Journal article (peer-reviewed)abstract
    • The synthesis and characterization of dendron-coated 2,5-bis(phenylethynyl)thiophene chromophores are described. The dendrimers were grown divergently on the arylthiophene core with the versatile anhydride of 2,2-bis(methylol)propionic acid. The arylthiophene core was synthesized with Sonogashira coupling reactions. Structurally well-defined dendrimers up to the fourth generation were grown, as confirmed by size exclusion chromatography, NMR, and matrix-assisted laser desorption/ionization time-of-flight analysis. The different dendritic substitution did not influence the absorption spectra of the compounds in or near the visible region. Solutions of arylthiophenes had good transparency at wavelengths greater than 400 nm. The dendritic thiophenes exhibited an optical-power limit at the laser wavelength of 532 nm. However, the magnitude of the optical-power limit of these compounds was slightly lower than that of a nondendritic arylthiophene with n-pentyl substituents.
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  • Arner, Marianne, et al. (author)
  • Hand Function in Cerebral Palsy. Report of 367 Children in a Population-Based Longitudinal Health Care Program
  • 2008
  • In: The Journal of Hand Surgery. - : Elsevier BV. - 1531-6564 .- 0363-5023. ; 33A:8, s. 1337-1347
  • Journal article (peer-reviewed)abstract
    • Purpose To describe aspects of hand function in a total population of children with cerebral palsy (CP). Methods Upper extremity data were collected for 367 children who were born between 1992 and 2001 and were registered in a population-based health care program for children with CP. Hand function was classified according to the Manual Ability Classification System (MACS), the House functional classification, and the Zancolli classification. The type of spastic thumb-in-palm deformity was evaluated according to House. Results In the total population of children with CP aged 4 to 14 years, 60% had more than minor problems with hand function (>MACS I). Independence in age-relevant, daily manual activities (MACS I-II) was noted in 87% of children with spastic unilateral CP and in 63% of children with spastic bilateral CP, but in only 20% of children with dyskinetic CP. According to the House functional classification, both hands were spontaneously and independently used in 55% of children (House 7-8), whereas 5% did not use either of their hands (House 0). Minor increase of flexor muscle tone (Zancolli level 1) was found in 69% of all children. Only 2% were in level 3 in both hands. Spastic thumb-in-palm deformity in 1 hand was found in 25% and in both hands in another 15%. Conclusions Limitations in hand function are common in all types of CP, but characteristics of the disability vary considerably between different CP subtypes. The MACS classification is useful to evaluate how well children can handle objects in daily activities. The House functional classification describes grip function in each hand separately; the Zancolli classification of finger and wrist extension and the classification of thumb-in-palm deformity according to House give an estimate of dynamic spasticity. All these classifications were shown to be useful in a population-based health care program, but further studies of the psychometric properties are required. (J Hand Surg 2008;33A:1337-1347. Copyright (C) 2008 by the American Society for Surgery of the Hand. All rights reserved.)
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  • Bunck, M. C., et al. (author)
  • One-year treatment with exenatide improves beta-cell function, compared with insulin glargine, in metformin-treated type 2 diabetic patients: a randomized, controlled trial
  • 2009
  • In: Diabetes Care. - 1935-5548. ; 32:5, s. 762-8
  • Journal article (peer-reviewed)abstract
    • OBJECTIVE: Traditional blood glucose-lowering agents do not sustain adequate glycemic control in most type 2 diabetic patients. Preclinical studies with exenatide have suggested sustained improvements in beta-cell function. We investigated the effects of 52 weeks of treatment with exenatide or insulin glargine followed by an off-drug period on hyperglycemic clamp-derived measures of beta-cell function, glycemic control, and body weight. RESEARCH DESIGN AND METHODS: Sixty-nine metformin-treated patients with type 2 diabetes were randomly assigned to exenatide (n = 36) or insulin glargine (n = 33). beta-Cell function was measured during an arginine-stimulated hyperglycemic clamp at week 0, at week 52, and after a 4-week off-drug period. Additional end points included effects on glycemic control, body weight, and safety. RESULTS: Treatment-induced change in combined glucose- and arginine-stimulated C-peptide secretion was 2.46-fold (95% CI 2.09-2.90, P < 0.0001) greater after a 52-week exenatide treatment compared with insulin glargine treatment. Both exenatide and insulin glargine reduced A1C similarly: -0.8 +/- 0.1 and -0.7 +/- 0.2%, respectively (P = 0.55). Exenatide reduced body weight compared with insulin glargine (difference -4.6 kg, P < 0.0001). beta-Cell function measures returned to pretreatment values in both groups after a 4-week off-drug period. A1C and body weight rose to pretreatment values 12 weeks after discontinuation of either exenatide or insulin glargine therapy. CONCLUSIONS: Exenatide significantly improves beta-cell function during 1 year of treatment compared with titrated insulin glargine. After cessation of both exenatide and insulin glargine therapy, beta-cell function and glycemic control returned to pretreatment values, suggesting that ongoing treatment is necessary to maintain the beneficial effects of either therapy.
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  • Collins, S. C., et al. (author)
  • Long-term exposure of mouse pancreatic islets to oleate or palmitate results in reduced glucose-induced somatostatin and oversecretion of glucagon
  • 2008
  • In: Diabetologia. - : Springer Science and Business Media LLC. - 1432-0428 .- 0012-186X. ; 51:9, s. 1689-1693
  • Journal article (peer-reviewed)abstract
    • Aims/hypothesis Long-term exposure to NEFAs leads to inhibition of glucose-induced insulin secretion. We tested whether the release of somatostatin and glucagon, the two other major islet hormones, is also affected. Methods Mouse pancreatic islets were cultured for 72 h at 4.5 or 15 mmol/l glucose with or without 0.5 mmol/l oleate or palmitate. The release of glucagon and somatostatin during subsequent 1 h incubations at 1 or 20 mmol/l glucose as well as the islet content of the two hormones were determined. Lipid-induced changes in islet cell ultrastructure were assessed by electron microscopy. Results Culture at 15 mmol/l glucose increased islet glucagon content by similar to 50% relative to that observed following culture at 4.5 mmol/l glucose. Inclusion of oleate or palmitate reduced islet glucagon content by 25% (at 4.5 mmol/l glucose) to 50% (at 15 mmol/l glucose). Long-term exposure to the NEFA increased glucagon secretion at 1 mmol/l glucose by 50% (when islets had been cultured at 15 mmol/l glucose) to 100% (with 4.5 mmol/l glucose in the culture medium) and abolished the inhibitory effect of 20 mmol/l glucose on glucagon secretion. Somatostatin content was unaffected by glucose and lipids, but glucose-induced somatostatin secretion was reduced by similar to 50% following long-term exposure to either of the NEFA, regardless of whether the culture medium contained 4.5 or 15 mmol/l glucose. Ultrastructural evidence of lipid deposition was seen in < 10% of non-beta cells but in > 80% of the beta cells. Conclusions/interpretation Long-term exposure to high glucose and/or NEFA affects the release of somatostatin and glucagon. The effects on glucagon secretion are very pronounced and in type 2 diabetes in vivo may aggravate the hyperglycaemic effects due to lack of insulin.
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  • Eliasson, A. C., et al. (author)
  • The Manual Ability Classification System (MACS) for children with cerebral palsy: scale development and evidence of validity and reliability
  • 2006
  • In: Dev Med Child Neurol. - 0012-1622 .- 1469-8749. ; 48:7, s. 549-54
  • Journal article (peer-reviewed)abstract
    • The Manual Ability Classification System (MACS) has been developed to classify how children with cerebral palsy (CP) use their hands when handling objects in daily activities. The classification is designed to reflect the child's typical manual performance, not the child's maximal capacity. It classifies the collaborative use of both hands together. Validation was based on the experience within an expert group, a review of the literature, and thorough analysis of children across a spectrum of function. Discussions continued until consensus was reached, first about the constructs, then about the content of the five levels. Parents and therapists were interviewed about the content and the description of levels. Reliability was tested between pairs of therapists for 168 children (70 females, 98 males; with hemiplegia [n=52], diplegia [n=70], tetraplegia [n=19], ataxia [n=6], dyskinesia [n=19], and unspecified CP [n=2]) between 4 and 18 years and between 25 parents and their children's therapists. The results demonstrated that MACS has good validity and reliability. The intraclass correlation coefficient between therapists was 0.97 (95% confidence interval 0.96-0.98), and between parents and therapist was 0.96 (0.89-0.98), indicating excellent agreement.
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  • Eliasson, Gunnar, et al. (author)
  • On the macroeconomic effects of establishing tradability in weak property rights
  • 2005
  • In: Entrepreneurships, the New Economy and Public Policy. - Berlin/Heidelberg : Springer Berlin/Heidelberg. - 9783540226130 - 9783540269946 ; , s. 137-162
  • Book chapter (peer-reviewed)abstract
    • The New Economy is closely associated with computing & communications technology, notably the Internet. We discuss property rights to, and trade in, the difficult-to-define intangible assets increasingly dominating the New Economy, and the possibility of under-investment in these assets. For a realistic analysis we introduce a Schumpeterian market environment (the experimentally organized economy). Weak property rights prevail when the rights to access, use, and trade in intangible assets cannot be fully exercised. The trade-off between the benefits of open access on the Internet, and the incentive effects of strengthened property rights, depend both on the particular strategy a firm employs to secure property rights, and the protection offered by law. Economic property rights can be strengthened if the originator can find innovative ways to charge for the intangible assets. The extreme complexity of the New Economy and the large number of possible innovative private contract arrangements make it more important to facilitate the use and enforcement of private individualized contracts to protect intellectual property than to rely only on standard patent and copyright law. Enabling law is one proposed solution. Current patent legislation in the US has led to costly litigation processes weakening the position of small firms and individuals in patent disputes. The property rights of such firms and individuals could be strengthened with insurance or arbitration procedures.
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  • Eliasson, Ingegärd, 1961, et al. (author)
  • Wind fields and turbulence statistics in an urban street canyon
  • 2006
  • In: Atmospheric Environment. - : Elsevier BV. - 1352-2310. ; 40:1, s. 1-16
  • Journal article (peer-reviewed)abstract
    • This is the first paper of a long-term measurement campaign to explore wind, temperature, radiation and energy fieldswithin an urban canyon. A canyon and a rooftop mast were installed in a canyon with an aspect ratio (Height/Width)of 2.1 in Goteborg, Sweden. A number of instruments including sonic anemometers, radiometers and thermocoupleswere mounted in vertical profiles and across the width of the canyon. The experimental set-up, the characteristics of thecanyon flow pattern and mean and turbulence statistics with respect to above canyon flow are examined using datacollected under clear-sky conditions in summer and autumn 2003. Results show that under cross-canyon (within 601 oforthogonal) flow, a single helical vortex exists. High temporal resolution analysis suggests that eddies frequentlypenetrate the shear stress layer at the canyon top disrupting established flow patterns. A combination of complexbuilding roof shapes and local topography may contribute to this effect by maintaining a high degree of turbulence. Theprofile of mean wind speed within the canyon and the relation with that above canyon depends on the ambient flowdirection in relation to the canyon long axis. Turbulence statistics show results similar to other field studies, withturbulence kinetic energy and vertical mixing greatest toward the windward wall.
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  • Evyatar, E, et al. (author)
  • Incorporating spatial and temporal variations of advected moisture in the canyon air temperature (CAT) model.
  • 2009
  • In: ICUC7 Proceedings.
  • Conference paper (peer-reviewed)abstract
    • CAT (Canyon Air Temperature) is a parametric model that predicts site-specific air temperature in an urban street canyon for extended periods on the basis of data from a reference station in the region. A method is described for incorporating spatial and temporal variations in advected moisture, allowing application of the model with no prior knowledge of moisture availability in the area. The revised model is tested against data from field experiments in Gothenburg and Adelaide, in all seasons and in a variety of atmospheric conditions.
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  • Hermansson, Liselotte, 1954-, et al. (author)
  • Psychosocial adjustment in Swedish children with upper-limb reduction deficiency and a myoelectric prosthetic hand
  • 2005
  • In: Acta Paediatrica. - : Wiley. - 0803-5253 .- 1651-2227. ; 94:4, s. 479-88
  • Journal article (peer-reviewed)abstract
    • AIM: To study psychosocial adjustment and mental health in children with upper-limb reduction deficiency and a myoelectric prosthetic hand.METHODS: Sixty-two parents of children aged 8 to 18 y old answered a questionnaire concerning competence and behaviour/emotional problems in their children. Of the 62 children, 37 adolescents aged 11 to 18 y old answered questionnaires concerning competence, problems and mood state. The results were compared with Swedish normative data. The children were divided into five groups based on degree of myoelectric prosthetic use.RESULTS: Children with upper-limb reduction deficiency and a myoelectric prosthetic hand showed social competence and behaviour/emotional problems similar to Swedish standardized norms. However, withdrawn behaviour was significantly higher in all children, social competence was significantly lower in girls, and social activities were significantly lower in older children with upper-limb reduction deficiency. There was a significant difference between prosthetic use groups. Non-users had significantly more delinquent behaviour problems than full-time users. There was an interaction between gender and prosthetic use in their affect on competence and behaviour/emotional problems, yielding two contrasting patterns.CONCLUSION: Children with upper-limb reduction deficiency and a myoelectric prosthetic hand are as well adjusted psychosocially as their able-bodied peers. There are indications, however, of social stigmata related to the deficiency, which have to be considered differently in boys and girls.
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  • Iezzi, M, et al. (author)
  • Adenovirus-mediated silencing of Synaptotagmin 9 inhibits Ca2+-dependent insulin secretion in islets
  • 2005
  • In: FEBS Letters. - : Wiley. - 1873-3468 .- 0014-5793. ; 579:23, s. 5241-5246
  • Journal article (peer-reviewed)abstract
    • Synaptotagmins (Syts) are involved in Ca2+-dependent insulin release. However, which Syt isoform is functional in primary beta-cells remains unknown. We demonstrate by electron microscopy of pancreatic islets, the association of Syt 9 with insulin granules. Silencing of Syt 9 by RNA interference adenovirus in islet cells had no effect on the expression of Syt 5, Syt 7 and Syt 3 isoforms. The latter was localized at the plasma membrane of pancreatic polypeptide cells. Insulin release in response to glucose or tolbutamide was strongly inhibited in Syt 9 deficient islets, whereas exocytosis potentiated by raising cAMP levels, was unaltered. Thus, Syt 9 may act as Ca2+ sensor for beta-cell secretion.
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  • Jones, Helena, et al. (author)
  • beta-cell PDE3B regulates Ca(2+)-stimulated exocytosis of insulin.
  • 2007
  • In: Cellular Signalling. - : Elsevier BV. - 1873-3913 .- 0898-6568. ; 19:Feb 12, s. 1505-1513
  • Journal article (peer-reviewed)abstract
    • cAMP signaling is important for the regulation of insulin secretion in pancreatic beta-cells. The level of intracellular cAMP is controlled through its production by adenylyl cyclases and its breakdown by cyclic nucleotide phosphodiesterases (PDEs). We have previously shown that PDE3B is involved in the regulation of nutrient-stimulated insulin secretion. Here, aiming at getting deeper functional insights, we have examined the role of PDE3B in the two phases of insulin secretion as well as its localization in the beta-cell. Depolarization-induced insulin secretion was assessed and in models where PDE3B was overexpressed [islets from transgenic RIP-PDE3B/7 mice and adenovirally (AdPDE3B) infected INS-I (832/13) cells], the first phase of insulin secretion, occurring in response to stimulation with high K+ for 5 min, was significantly reduced (similar to 25% compared to controls). In contrast, in islets from PDE3B(-/-) mice the response to high K+ was increased. Further, stimulation of isolated beta-cells from RIP-PDE3B/7 islets, using successive trains of voltage-clamped depolarizations, resulted in reduced Ca2+-triggered first phase exocytotic response as well as reduced granule mobilization-dependent second phase, compared to wild-type beta-cells. Using sub-cellular fractionation, confocal microscopy and transmission electron microscopy of isolated mouse islets and INS-1 (832/13) cells, we show that endogenous and overexpressed PDE3B is localized to insulin granules and plasma membrane. We conclude that PDE3B, through hydrolysis of cAMP in pools regulated by Ca2+, plays a regulatory role in depolarization-induced insulin secretion and that the enzyme is associated with the exocytotic machinery in beta-cells. (c) 2007 Elsevier Inc. All rights reserved.
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  • Jonsson, P., et al. (author)
  • Longwave incoming radiation in the Tropics: results from field work in three African cities
  • 2006
  • In: Theoretical and Applied Climatology. - : Springer Science and Business Media LLC. - 0177-798X .- 1434-4483. ; 85:3-4, s. 185-201
  • Journal article (peer-reviewed)abstract
    • This study investigates differences in longwave incoming radiation (L down arrow) within and between three African cities, Dar es Salaam (Tanzania), Ouagadougou (Burkina Faso), and Gaborone (Botswana), during the dry season, and evaluates the performance of a model to simulate these fluxes. In each city, direct observations of L down arrow, shortwave incoming radiation (K down arrow), air temperature, air humidity, and total suspended particle (TSP) concentration for three land uses (CBD, green residential, and traditional residential) were taken. The observed L down arrow flux decreases with increasing latitude, and temperature becomes an increasingly important factor in governing L down arrow variations further from the Equator. Humidity, as well as particle loading, differs significantly between the three cities. Differences between observed and modelled epsilon(sky) for rural stations near all cities showed a clear diurnal variation, with maximum differences of 0.08 between day and night. This diurnal difference was incorporated in the model and, for urban areas the model overestimates L down arrow by around 25m(-2). However, this model performs equally well regardless of the land use considered in any of the cities. The residual (difference between observed and modelled urban L down arrow) did not show any correlation with particulate pollution. However, the difference between observed and calculated epsilon(sky) is around 0.05 higher in Ouagadougou compared to the other cities, likely due to the heavy dust load observed here. It is concluded that tropical urban longwave radiation is not dramatically different from the mid latitudes.
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  • Li, Dai-Qing, et al. (author)
  • Suppression of sulfonylurea- and glucose-induced insulin secretion in vitro and in vivo in mice lacking the chloride transport protein ClC-3.
  • 2009
  • In: Cell metabolism. - : Elsevier BV. - 1932-7420 .- 1550-4131. ; 10:4, s. 309-15
  • Journal article (peer-reviewed)abstract
    • Priming of insulin secretory granules for release requires intragranular acidification and depends on vesicular Cl(-)-fluxes, but the identity of the chloride transporter/ion channel involved is unknown. We tested the hypothesis that the chloride transport protein ClC-3 fulfills these actions in pancreatic beta cells. In ClC-3(-/-) mice, insulin secretion evoked by membrane depolarization (high extracellular K(+), sulfonylureas), or glucose was >60% reduced compared to WT animals. This effect was mirrored by a approximately 80% reduction in depolarization-evoked beta cell exocytosis (monitored as increases in cell capacitance) in single ClC-3(-/-) beta cells, as well as a 44% reduction in proton transport across the granule membrane. ClC-3 expression in the insulin granule was demonstrated by immunoblotting, immunostaining, and negative immuno-EM in a high-purification fraction of large dense-core vesicles (LDCVs) obtained by phogrin-EGFP labeling. The data establish the importance of granular Cl(-) fluxes in granule priming and provide direct evidence for the involvement of ClC-3 in the process.
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  • Lind, P., et al. (author)
  • A theoretical and experimental study of non-linear absorption properties of substituted 2,5-di-(phenylethynyl)thiophenes and structurally related compounds
  • 2009
  • In: Molecular Physics. - : Informa UK Limited. - 0026-8976 .- 1362-3028. ; 107:7, s. 629-641
  • Journal article (peer-reviewed)abstract
    • Photo-physical properties relevant for optical power limiting in the near-visible and visible regions of the spectrum are reported for a series of substituted diarylalkynyl chalcogenophenes (furans, thiophenes, selenophenes, and tellurophenes). The linear ground and excited state absorption as well as the nonlinear (two-photon) absorption were determined at the time-dependent density functional theory level with use of the hybrid exchange-correlation functionals B3LYP and CAM-B3LYP. A selected number of the theoretically studied molecules were synthesized and characterized experimentally with the use of absorption and luminescence spectroscopy. The photo-physical data are compared to the results from optical power limiting measurements performed in THF solution at a wavelength of 532 nm, with a laser pulse length of 5 ns and pulse energies up to 150 J. The best compounds in the present investigation display an energy damping by approximately a factor of 10 at a concentration of 0.010 M.
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  • Mastos, M, et al. (author)
  • Goal-directed training: linking theories of treatment to clinical practice for improved functional activities in daily life
  • 2007
  • In: Clinical rehabilitation. - : SAGE Publications. - 0269-2155 .- 1477-0873. ; 21:1, s. 47-55
  • Journal article (peer-reviewed)abstract
    • Background: Goal-directed training is an activity-based approach to therapy. Meaningful, client-selected goals are used to provide opportunities for problem solving and to indirectly drive the movements required to successfully meet the task demands. This is in contrast to interventions that focus on changing body functions. Here, the principles of goal-directed training will be studied through two case studies with the aim of linking theories of treatment to clinical practice. Principles illustrated: The approach is based on the dynamic systems motor control theory and occupation-based therapy models, which suggest that movement patterns emerge from the interaction between the person's abilities, environment and the goal. Motor learning principles are applied to structure and schedule practice. Theory in practice: Four components provide the basis for goal-directed training: (1) selection of a meaningful goal; (2) analysis of baseline performance; (3) intervention/ practice regime; and (4) evaluation of outcome. Two individuals with acquired brain injury practised self-care tasks: eating and tying hair into a ponytail. Intensive training was undertaken over four weeks and the intervention outcome measured using the Goal Attainment Scale. Conclusions: The positive achievements in the self-care tasks illustrated that theories of motor control and motor learning can be applied to goal-directed training. The examples demonstrated that the approach could be applied to individuals with a range of abilities.
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  • Monz, B, et al. (author)
  • A description of health care provision and access to treatment for women with urinary incontinence in Europe - A five-country comparison
  • 2005
  • In: Maturitas. - : Elsevier BV. - 1873-4111 .- 0378-5122. ; 52:Suppl 2, s. 3-12
  • Journal article (peer-reviewed)abstract
    • Background: Female urinary incontinence is a prevalent condition, but only about one-third of women seek treatment. Objectives: To describe the health care provision for women with urinary incontinence from a European perspective, selecting France, Germany, Spain, Sweden, and the United Kingdom as examples, and to investigate whether specific barriers for treatment exist. Methods: Available health care system information, a literature review and clinical expert information identified patterns of treatment provision. Results: In Spain, Sweden, and the UK, access to medical care in general is primarily through the general practitioners. However, in Spain and Sweden, women with urinary incontinence can directly visit specialists. In France and Germany, women have equal access to either general practitioners or specialists. Aside from general practitioners. gynaecologists play a major role ill urinary incontinence care in all countries except the UK. In Germany, urologists are also involved in initial female urinary incontinence cared however, only in about 16% of women. There are no waiting lists in France and Germany for appointments with physicians or procedures, contrary to Spain, which has long waiting lists. Access to general practitioners in the UK is unrestricted whereas advanced diagnosis and treatment in secondary care requires long waits. A specific Swedish policy mandates that no woman is required to wait longer than,3 months for incontinence visits and related surgery. In Sweden and the UK, specialist nurses and other health care workers provide incontinence set-vices. Almost all treatment options for urinary incontinence are at least in part reimbursed. However, various co-payments and fees in France, Germany, Spain and Sweden exist and constitute out-of-pocket expenses for women if no complementary additional private health insurance is available. In some countries, financial incentives for physicians to provide incontinence services are low, raising concerns about their interest to engage in continued patient care. Conclusions: Information about service provision in Europe for women with urinary incontinence is limited and makes it difficult to understand barriers to treatment seeking. A broad European perspective may promote optimised treatment access in the future for this widespread and under-recognised condition.
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  • Offerle, Brian, 1967, et al. (author)
  • Surface heating in relation to air temperature, wind and turbulence in an urban street canyon
  • 2007
  • In: Boundary-Layer Meteorology. - : Springer Science and Business Media LLC. - 0006-8314 .- 1573-1472. ; 122:2, s. 273-292
  • Journal article (peer-reviewed)abstract
    • Wind and temperature measurements from within and above a deep urban canyon (height/width = 2.1) were used to examine the thermal structure of air within the canyon, exchange of heat with the overlying atmosphere, and the possible impacts of surface heating on within-canyon air flow. Measurements were made over a range of seasons and primarily analysed for sunny days. This allowed the study of temperature differences between opposing canyon walls and between wall and air of more than 15 degrees C in summer. The wall temperature patterns follow those of incoming solar radiation loading with a secondary daytime effect from the longwave exchange between the walls. In winter, the canyon walls receive little direct solar radiation, and temperature differences are largely due to anthropogenic heating of the building interiors. Cool air from aloft and heated air from canyon walls is shown to circulate within the canyon under cross-canyon flow. Roofs and some portions of walls heat up rapidly on clear days and have a large influence on heat fluxes and the temperature field. The magnitude and direction of the measured turbulent heat flux also depend strongly on the direction of flow relative to surface heating. However, these spatial differences are smoothed by the shear layer at the canyon top. Buoyancy effects from the heated walls were not seen to have as large an impact on the measured flow field as has been shown in numerical experiments. At night canyon walls are shown to be the source of positive sensible heat fluxes. The measurements show that materials and their location, as well as geometry, play a role in regulating the heat exchange between the urban surface and atmosphere.
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  • Offerle, Brian, 1967, et al. (author)
  • Urban modification of the surface energy balance in the West African Sahel: Ouagadougou, Burkina Faso
  • 2005
  • In: Journal of Climate. - 0894-8755 .- 1520-0442. ; 18:19, s. 3983-3995
  • Journal article (peer-reviewed)abstract
    • Surface-atmosphere energy exchanges in Ouagadougou, Burkina Faso, located in the West African Sahel, were investigated during February 2003. Basic knowledge of the impact of land cover changes on local climate is needed to understand and forecast the impacts of rapid urbanization predicted for the region. Previously collected data showed a large dry season urban heat island (UHI), which dramatically decreased with the onset of the rainy season and corresponding changes to the natural land cover thermal and radiative properties. Observations of local-scale energy balance fluxes were made over a residential district; and building surface temperatures were measured in three separate locations. Net all-wave radiation showed an increase with urbanization owing to the higher albedo, lower heat capacity, and thermal conductivity of the bare dry soil compared to the urbanized surface. The combination of material and geometry resulted in a decrease in albedo toward the urban center. Despite the higher albedo, surface temperatures of bare undisturbed soil could exceed surface temperatures in the residential area and urban center by 15 degrees-20 degrees C due to differences in thermal characteristics. Turbulent heat exchange measured over a residential area was dominated by sensible heat flux. Latent heat fluxes were greater than expected from the amount of vegetation but in accordance with water use in the area. An urban land surface scheme reproduced fluxes in agreement with measurements. The results point toward an intensification of the dry season urban heat island in Ouagadougou, given increased urbanization.
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