Researchers Find Link To Arsenic Absorption In Crops

Scandinavian scientists believe they may have discovered a gene that could prevent people from eating levels of the poisonous metal arsenic, which can be absorbed by crops like rice.

Apparently a gene, called nodulin26-like intrinsic protein, is responsible for protecting crops by allowing them to absorb silicon in cell walls as a defense against fungal infections.

“Our observations … may provide a key to the development of low arsenic crops for food production,” wrote the team from the University of Copenhagen in Denmark and the University of Gothenburg in Sweden.

Arsenic is a naturally occurring element in crops that can build up over time in animals or plants, causing them to develop lung disease and cancers, even long after exposure.

The primary source of arsenic is contaminated water, followed by foods like rice, which are irrigated with contaminated water.

Tens of millions of people in dozens of countries in the developing and developed world drink unsafe water containing arsenic levels above World Health Organization guidelines, according to research presented last year at the Royal Geographical Meeting in London.

Arsenic is acutely toxic to all organisms and is rated as a group I human carcinogen by the International Agency for Research of Cancer

The researchers found that when yeast was injected into the plants without the nodulin26-like intrinsic protein, the plants accumulated arsenite, one of the most common forms of arsenic.

“This is the genetic proof,” Jahn said in a telephone interview.

The findings could one day lead to genetically engineered crops that allow rice, for example, to accumulate silicon but not arsenic, Jahn said.

“The plant is not able to discriminate between these very similar compounds — one of which is extremely toxic and the other which is extremely important for life,” he said.

The study is published in the journal BioMed Central Biology.

On the Net:

BioMed Central Biology

University of Copenhagen

University of Gothenburg

Pyng Medical Closes Acquisition of Bio Cybernetics’ Trauma Assets

Pyng Medical Corp. (TSX VENTURE: PYT) today announced it has completed the acquisition of the trauma assets of California-based Bio Cybernetics International (BCI) (dba “Cybertech Medical”, www.cybertechmedical.com), including the market leading Trauma Pelvic Orthotic Device (TPOD(R)), Mechanical Advantage Tourniquet (MAT(R)), and Cricothyrotomy Kit (CRIC(TM)). As previously announced, the purchase price was $US 2.4 million, part paid on closing and part subject to achievement of certain milestones. Pyng has received final regulatory approval for this transaction from the TSX Venture Exchange.

In order to partially fund the acquisition, Pyng obtained a loan from Vancity Capital Corporation. As part of that financing, Pyng has issued 110,000 common share purchase warrants to Vancity Capital at an exercise price of $0.55. Each warrant is exercisable to purchase one common share of Pyng until the date the loan is repaid or no later than June 6, 2013.

“With these additional trauma products and enhanced international distribution network, we expect to significantly increase the Company’s revenues and earnings by commercializing a suite of complementary products to common end-users in several large markets including hospitals, EMS and international military applications,” said David Christie, President and Chief Executive Officer.

Pyng is also pleased to announce the appointments of two former BCI executives responsible for the commercial acceptance of the acquired trauma assets, effective immediately. Ms. Julee Arbuckle will join Pyng as the Product Specialist responsible for sales of TPOD(R) and MAT(R). Julee has increased revenues from product sales of TPOD(R) and MAT(R) by approximately 30 percent annually since market launch in 2004 and 2005, respectively. Mr. Royce Rumsey, designer and developer of CRIC(TM) Kit, will assume the position of Vice President, Business Development, responsible for the commercialization of CRIC(TM).

TPOD(R) is used to stabilize patients with severe or “open-book” pelvic fractures and provides powerful, fast and safe simultaneous circumferential compression of the pelvic region. The MAT(R) tourniquet is used to staunch bleeding for patients with severed limbs. It is uniquely differentiated and easily applied by one-hand to provide life and limb-saving incremental compression in seconds.

“In addition to increasing revenue from sales of the market-leading MAT(R) and TPOD(R), we believe there will be rapid market adoption and tremendous commercial potential for the CRIC(TM) cricothyrotomy kit,” adds Christie. “We expect to receive UD FDA regulatory clearance during the summer and launch the product in the fall,” adds Christie.

CRIC(TM) is currenty under regulatory review by the US Food and Drug Administration, and is being developed with $750,000 of funding support and design input provided by the US Department of Defense (DOD) for the purpose of equipping US military medics. As with the MAT(R) and TPOD(R), the CRIC(TM) is designed to provide significant improvements in speed, efficacy and safety to life-saving medical procedures worldwide.

About CRIC(TM)

The Complete Rapid Illuminated Cricothyrotomy Kit (CRIC(TM)) is used to establish an airway in patients whose upper airway is blocked. An obstructed airway is the second leading cause of death on the battlefield, after severe blood loss. This is a standard procedure with civilian and military causalities involving a facial, jaw or upper neck injury.

Current methods for performing cricothyrotomy require the use of at least three distinct medical instruments: scalpel, retractor, insertion tube, and in many cases, a light source. Outside of a hospital setting, the procedure is extraordinarily difficult to perform, particularly on the battlefield.

CRIC(TM) is a lightweight handheld device that incorporates all necessary instruments including a depth-controlled scalpel in an easy to use, ergonomically designed system. In addition to funding support from the US DOD, CRIC(TM) is being developed with input from all four branches of the US military including the Navy/Marines, Army, Special Forces and Air Force. It has been specifically designed to meet the needs of the entire US military establishment, as a standard piece of lifesaving equipment for use by medics under very difficult conditions.

About TPOD(R)

Clinical tests indicate that the TPOD(R) is the most rapid and effective commercially available device for treating pelvic trauma, pain, and bleed-out, while preventing loss of life. There are approximately 120,000 pelvic fractures reported in the US annually and up to 15% of these are “open-book”. Open-book pelvic fractures are a significant source of blood loss and, if untreated, the survival rate is only about 15%. With its patented circumferential tightening mechanism, TPOD(R) is the only external fixation device shown in clinical studies to be equivalent to a surgical procedure in achieving stabilization, while also mitigating patient discomfort. Most of the US hospital customers purchase TPOD(R) directly, so that Pyng will also now have this customer base to which it can market FAST1(TM) directly. TPOD(R) is also used extensively by civilian first responders, especially in motor vehicle accidents; and by medics on battlefields, especially in incidents involving improvised explosive devices.

About MAT(R)

The MAT(R) tourniquet provides proven superior performance in terms of occlusion efficiency (cessation of blood loss), speed of application, and ease of use. MAT(R) consistently provides complete occlusion in about 50 seconds making it the most versatile and efficient tourniquet in the industry. It is the only tourniquet that meets all of the US DOD performance requirements, and provides proven and effective one-handed operation. MAT(R) has undergone rigorous testing by US military medical teams. The tests indicate that MAT(R) provides consistent superior occlusion efficacy, speed of application, ease of use and modulated constriction, which saves lives and limbs. MAT(R) is designed to be self-administered and is intended for use by individual soldiers and civilians, as well as medical personnel.

Initially developed for the US DOD, MAT(R) has been adopted by emergency first responders and law-enforcement agencies around the world. MAT’s design won the IDSA’s Gold Award for Best Medical Product Design of 2006 and has subsequently become a finalist in the highly prestigious INDEX Award 2007 for best medical product in the world in the last two years.

About Bio Cybernetics International

Bio Cybernetics International (BCI) is a United States-based medical products company that focuses on products in both the orthopedic and trauma areas. BCI utilizes proprietary patented technology to provide for superior product performance, while interfacing with patients when they are at their most vulnerable medical condition. Products are sold throughout the world to medical institutions that treat patients directly, as well as governments that supply medical products to military and civilian institutions. BCI has chosen to concentrate its efforts within the orthopedics field, which is the Company’s primary market interest.

About Pyng Medical Corp.

Pyng Medical Corp. is the developer and manufacturer of the proprietary, award-winning FAST1(TM) Intraosseous Infusion System. FAST1(TM) is the most rapid, reliable and safe alternative to conventional IV infusion providing lifesaving vascular access for fluid and drug resuscitation in shock and trauma victims. Pyng has received the exclusive 2008 Medical Device Company of the Year Award from LifeSciences British Columbia for its sustained achievements in commercializing the Company’s proprietary FAST1(TM) IO System. The Company was also selected in the “2007 TSX Venture 50” Top 10 companies in Life Sciences based on solid financial metrics for the year ending December 31, 2006. With expanding markets in North America, Europe and Asia, the FAST1(TM) has worldwide application for use with hospitals, emergency medical services and military forces.

This news release contains certain “forward-looking statements” and “forward-looking information” which may include but is not limited to statements in respect of the proposed acquisition by Pyng. Words like “hope”, “believe”, “intend”, “may”, “expect”, “anticipate”, “plan”, “should”, “assume” and other similar expressions are forward looking statements that involve a number of risks and uncertainties. By their nature, forward looking statements involve numerous factors, assumptions and estimates. For a further description of the principal risks affecting Pyng, see Pyng’s regulatory filings at www.sedar.com. These factors should be considered carefully and readers are cautioned not to place undue reliance on such forward looking statements. Although Pyng has attempted to identify important risks, uncertainties and other factors that could cause actual results or events to differ materially from those expressed or implied in the forward looking statements, there may be other factors that cause actual results or events to differ from those expressed or implied in the forward-looking statements. All forward-looking statements are qualified in their entirety by this cautionary statement and Pyng undertakes no obligation to revise or update any forward-looking statements as a result of new information, future events or otherwise after the date hereof, unless required by law.

The TSX Venture Exchange has not reviewed and does not accept responsibility for the adequacy or accuracy of this release.

 Contacts: Pyng Medical Corp. David Christie (604) 303-7964 Website: www.pyng.com

SOURCE: Pyng Medical Corp.

Perrigo Files ANDA for Fluocinonide Cream 0.1%

Perrigo Company has filed an abbreviated new drug application for Fluocinonide cream 0.1%, a generic version of Vanos cream 0.1%.

The company believes that it is the first to file an abbreviated new drug application (ANDA) with a Paragraph IV certification against Vanos.

Perrigo filed its ANDA for Fluocinonide cream, 0.1% containing a Paragraph IV Certification with the FDA and notified Medicis Pharmaceutical, the listed patent holder of its filing.

Vanos (fluocinonide) cream 0.1% is a corticosteroid (steroid hormone) approved to relieve the inflammation and itching caused by certain skin conditions that respond to treatment with corticosteroids in patients 12 years of age or older.

AtStaff Introduces a New, Outcomes-Based Patient Acuity System That Integrates Nursing Outcomes Classification (NOC)

Sharon Eck Birmingham, DNSc, RN, AtStaff’s Chief Nursing Executive and a national leader in evidence-based, outcomes-driven nurse staffing, will outline today, in a presentation at a national nursing informatics conference sponsored by the University of Iowa’s College of Nursing, how healthcare organizations can significantly improve patient care by integrating an outcomes-approach to patient acuity measurement.

In her presentation, “Outcomes-Driven Acuity Measurement Using Nursing Outcomes Classification,” to be delivered this afternoon at the 8th Institute of Nursing Informatics & Classification, Birmingham will reveal how AtStaff’s patient acuity solution has adopted Nursing Outcomes Classification (NOC) to automate outcomes-driven acuity measurement and drive patients to positive clinical results.

Developed at the University of Iowa’s College of Nursing, NOC is a comprehensive, standardized language of patient/client outcomes developed to evaluate the effects of nursing interventions. The outcomes taxonomy provides an easy to use, clinically relevant language that has been proven for more than 16 years of scientific testing and clinical implementation. Each patient outcome includes a list of indicators to evaluate a patient’s status in relation to the outcome, measured on a five-point Likert scale. The outcomes are developed for use across the continuum of care, and may be used to follow patients throughout a hospitalization or over an extended period of time.

“Incorporating NOC within AtStaff’s ClairVia(R) Outcomes-Driven Patient Acuity * is a huge breakthrough in the world of patient acuity in several important ways,” says Birmingham, who has nearly 25 years of nursing leadership experience, and was involved in the initial classification discussions in the mid-1980s. “First and foremost, it’s an acuity solution that focuses directly on each patient’s condition and outcomes progress, not on caregiver activity. It precisely calculates workload for staffing levels and skill mix based on patient-specific outcomes relevant to the clinical population, and guiding each patient toward expected outcomes and length of stay.

“Secondly, because it’s based on NOC, it’s based on the industry-proven, patient outcomes taxonomy that supports and complements established, evidence-based standards of care. And rather than being a separate system that takes time and attention away from patient care, it leverages the patient assessments that are already part of professional nursing practice and patient documentation.

“Also,” Birmingham adds, “with ClairVia Patient Acuity, patient outcomes assessments are automated directly from clinical documentation systems via HL7 data connectivity. For healthcare organizations not currently using an EMR, the software provides a direct-entry screen. An audit process for inter-rater reliability and staffing validation is built into the automation for ongoing evaluation; this process replaces historically labor intensive paper processes.”

This year alone, AtStaff has started 12 ClairVia Patient Acuity implementation projects. Interest is mounting, Birmingham reports, because of a heightened national focus on patient safety, and increasing state staffing legislation requiring valid acuity methodologies and direct caregiver involvement in system selection and implementation.

ClairVia Patient Acuity will continue to capture the attention of nursing leaders because it represents “a dramatic departure from traditional acuity offerings that primarily track caregiver activities and measure tasks performed,” says Michael Warner, AtStaff’s co-founder and Chief Science Officer.

“Traditional acuity systems are famous for not surviving,” Warner states. “Sooner or later, confidence among nursing is lost because of a lack of validity, or because they require too much time away from patient care. Confidence among both nursing and financial leaders may also be lost because ‘acuity creep’ erodes both reliability and validity. But by embedding patient acuity directly in the documentation of nursing practice — through patient outcomes assessments — ClairVia Outcomes-Driven Patient Acuity avoids these pitfalls.”

The most important and fundamental benefit of ClairVia Patient Acuity, emphasizes Beth Pickard, AtStaff’s President & Chief Executive Officer, is that it addresses the overriding goal in healthcare: achieving the best possible clinical outcome for each patient.

“Our acuity solution enables caregivers to actively track and drive each patient in real time along each improved, outcome phase of care — from the point of admission and all the way to discharge,” Pickard says. “This is essential in consistently achieving positive clinical results.”

Moreover, she says, ClairVia Patient Acuity provides the means for ongoing staffing effectiveness analysis and process improvement — which are vitally important to continually improve patient care quality.

“With ClairVia Patient Acuity, you have documented proof where and why a patient deviates from the desired plan of care, and can pinpoint the role of staffing in the deviation. Comparisons may be made for similar patient groups across organizations to see whether patient progress differs, and studies can identify variables and best practices for optimal patient safety and progress toward the next level of wellness.”

About the Institute on Nursing Informatics & Classification

The 8th Institute on Nursing Informatics & Classification will be held June 9-11, 2008 at the University of Iowa in Iowa City. The conference provides an annual forum on advances in nursing informatics and classification. Particular emphasis is placed on the actual use of standardized language in clinical and educational settings. More information can be obtained at http://www.nursing.uiowa.edu/excellence/nursing_knowledge/clinical_ effectiveness/conferences.htm

(Due to the length of this URL, it may be necessary to copy and paste this hyperlink into your Internet browser’s URL address field. Remove the extra space if one exists.)

About Sharon Eck Birmingham, DNSc, RN

Over Sharon Eck Birmingham’s career of nearly 25 years, she has held positions as nurse manager, director, chief nurse and adjunct faculty in large academic medical centers. Birmingham’s primary clinical and administrative expertise has been in maternal child health in both acute and ambulatory settings, with a focus on access to and care for underserved women and their families. She has served on the steering committee for Magnet Designation in two academic medical centers.

Birmingham’s consultation experience includes: staffing and scheduling, clinical quality and fiscal outcomes, unit-based research implementation, CNO coaching and Magnet consultation.

She obtained her bachelor’s degree in Nursing and master’s degree in Nursing Administration from The University of Iowa. She obtained her doctoral degree from Yale University with an emphasis on uses of data in healthcare decision-making. Birmingham conducted her doctoral dissertation on “The Effect of Nurse Staffing on Clinical, Organizational and Financial Outcomes.” This research won the Yale School of Nursing Dissertation Prize.

She is currently Adjunct Assistant Professor at The University of North Carolina, School of Nursing in Healthcare Systems.

About AtStaff and ClairVia(R)

Healthcare management software systems from AtStaff serve more than 1,200 healthcare organizations, medical facilities, nursing departments and group practices.

The company’s set of ClairVia(R) demand management solutions for the hospital enterprise marketplace improves quality of care, patient safety and patient throughput by ensuring that patients receive the exact, clinically appropriate level and amount of staffing care from admission to discharge.

AtStaff markets five ClairVia solutions:

— ClairVia Demand Manager

— ClairVia Outcomes-Driven Patient Acuity

— ClairVia Caregiver Assignment

— ClairVia eWork

— ClairVia Staff Manager

More information on AtStaff and its ClairVia solutions is available at www.atstaff.com.

* Patent Pending

Surgeon’s Suit Contains Link to Saint Agnes Infections

By Tracy Correa and Barbara Anderson, The Fresno Bee, Calif.

Jun. 10–A Fresno heart surgeon alleges in a lawsuit that he was disciplined after complaining about a doctor who was later linked to a high rate of infections in Saint Agnes Medical Center’s troubled cardiac unit — months before an outbreak peaked last year.

Dr. Paul Stefanacci says Stanford University officials suspended him as a surgeon with their cardiothoracic surgery program at Saint Agnes.

Saint Agnes has struggled with infection problems in its cardiac unit over the past year. Although state officials found no heath violations at the hospital following last year’s outbreak of chest infections, they shut down the cardiac surgery program for nearly a week in May after a second episode, this one involving leg infections.

In his lawsuit against Stanford’s board of trustees, Stefanacci said he first raised concerns about the competence and performance of a fellow surgeon at Saint Agnes in March 2007. He said that as a clinical instructor, he observed many surgeries and became concerned about the Stanford doctor’s technical abilities and surgical judgment. The doctor is not identified in the lawsuit.

Stefanacci said he complained about the doctor again in September 2007 after an increase in postoperative infections at the hospital. Stefanacci said the colleague had an infection rate “well in excess of the acceptable limits,” and he voiced concern about the quality of patient care being provided.

Stefanacci’s lawsuit raises questions about whether Saint Agnes and Stanford officials missed a chance to prevent the infection problem from worsening last summer.

Mathew Abraham, Saint Agnes’ president and chief executive, declined to comment on Stefanacci’s lawsuit. Saint Agnes is not named as a defendant.

Stefanacci filed his lawsuit Dec. 20, about a week after the state issued a report identifying possible causes for last year’s infection problem — including a Stanford surgeon who had a particularly high number of infections. The lawsuit did not attract news media attention at the time.

In the suit, Stefanacci alleged that Stanford had accused him of creating a hostile work environment and placed him on leave in October.

Stefanacci, a surgeon for about five years in Fresno, said Stanford put him on leave to punish him “for advocating for appropriate patient care.” Stefanacci declined to discuss the lawsuit.

Paul Costello, a Stanford medical school spokesman, said he could not comment on pending litigation, but added, “Stanford does not retaliate against anyone, especially someone who raises questions about patient safety.” Costello said Stefanacci no longer is an employee with the Stanford surgery program but wouldn’t say why.

Saint Agnes contracted with the Stanford group two years ago to do open-heart surgery. The surgeons operate exclusively on Kaiser Permanente patients referred to Saint Agnes. A majority of the heart surgery cases at the hospital are Kaiser patients, officials have said. Kaiser does not have a cardiac surgery program in Fresno.

In November 2007, Saint Agnes was investigated by the U.S. Centers for Disease Control and Prevention and state health officials after at least a dozen open-heart surgery patients developed life-threatening, deep-chest wound infections. Three patients died, two likely as a result of the infections, federal health officials concluded. At least two who died were Kaiser patients.

Last month, a second infection problem became public after state health officials forced a halt to cardiac surgeries after leg wound infections became a concern. Coronary artery bypass graft surgery often involves removing a blood vessel from the leg, arm, chest or abdomen to replace blocked coronary arteries.

The state suspended cardiac surgeries at Saint Agnes from May 23 to 29. Investigators were last at the hospital June 2 and have not made public a report on the leg-wound infections.

In last year’s investigation of mostly chest-wound infections, the CDC found no single cause for the outbreak and the state found no health violations. But the CDC did note that a single surgeon had an abnormally high number of affected patients.

E-mails between government and local health officials, obtained by The Bee, said the practices of the doctor in question “could be a major contributing factor” to the infections. Seven of the 12 infected patients were operated on by the same doctor.

A Stanford official confirmed last year that Dr. Douglas Wallace had the highest number of infections among surgeons operating at Saint Agnes. Wallace is an associate clinical professor with Stanford who has performed cardiac surgery at Saint Agnes since January 2007.

Calls to Wallace’s office were directed to Costello, Stanford’s spokesman. Costello said Wallace remains an active member of Stanford’s cardiac unit at Saint Agnes. He said that Wallace and his boss, Dr. Randy Bolton, head of the Stanford surgery program at Saint Agnes, “have our full support.”

The reporters can be reached at [email protected] or (559) 441-6378 and [email protected] or (559) 441-6310.

—–

To see more of The Fresno Bee, or to subscribe to the newspaper, go to http://www.fresnobee.com

Copyright (c) 2008, The Fresno Bee, Calif.

Distributed by McClatchy-Tribune Information Services.

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Population Growth Depleting Africa’s Natural Resources

The Swiss-based conservation group WWF reported Monday that growing populations in many African nations are quickly dwindling the continent’s natural resources.

The warning was part of the group’s flagship report on Africa’s ecological footprint, which provides an estimate of a region’s land and sea surface required each year to meet the consumption demands of its population.

“A growing number of African countries are depleting their natural resources — or will shortly be doing so — faster than they can be replaced,” said Chief Emeka Anyaoku, WWF’s President, as he presented the findings to a conference in Johannesburg.

According to the report, Libya, Egypt and Algeria were at the top of a list of African nations living far beyond their ecological means. Nine others, including Morocco, Uganda, Senegal, Nigeria, South Africa, Tunisia, Ethiopia, Kenya and Zimbabwe, were also lessening their bio-capacity.

But despite the over-consumption of natural resources in these countries, Africa’s overall ecological footprint at 1.1 hectares is still behind the continent’s total biocapacity of 1.3 hectares per head of population. And the numbers are still well below the global average footprint of 2.2 hectares per person, a rate the WWF says would require two planets by 2050 to meet the needs of humanity.

However, for Africa, the biggest threat is the predicted doubling of its current population of 680 million. According to forecasts, Africans will account for nearly one in four of the world’s population by 2050.

But ongoing development is critical for African nations, which according to the U.N. rank among the bottom of the human welfare index. However, these nations must “work with, rather than against, ecological budget constraints,” Global Footprint Network director Mathis Wackernagel told Reuters.

“Development that ignores the limits of our natural resources ultimately ends up imposing disproportionate costs on the most vulnerable and the most dependent on the health of natural systems, such as the rural poor,” he said.

The full WWF report, “Africa-Ecological Footprint and Human Well-being” was developed in partnership with the U.S.-based research body Global Footprint Network. It can be viewed at http://assets.panda.org/downloads/aef_2007_final_4_lr.pdf.

College Students Affected By Insomnia

Insomnia complaints among college students are significantly associated with a decline in school performance based on self-reported grade-point average (GPA), according to a research abstract that will be presented on Monday at SLEEP 2008, the 22nd Annual Meeting of the Associated Professional Sleep Societies (APSS).

The study, authored by James F. Pagel, MD, of the University of Colorado, focused on 64 psychology, nursing and medical students, with an average age of 27.4 years. GPA (2.0 to 4.0) was split in the middle to form two groups: low GPA and high GPA.

According to the results, 69.7 percent of those students with low GPAs had difficulty falling asleep. In addition, 53.1 percent of low GPA students experienced leg kicks or twitches at night, while 65.6 percent reported waking at night and having trouble falling back to sleep and 72.7 percent had difficulty concentrating during the day.

“In college students, the complaint of difficulty concentrating during the day continues to have a considerable impact on their ability to succeed in the classroom,” said Dr. Pagel. “This study showed that disordered sleep has significant deleterious effects on a student’s academic performance, including GPA.”

Insomnia is a classification of sleep disorders in which a person has trouble falling asleep, staying asleep or waking up too early. It is the most commonly reported sleep disorder. About 30 percent of adults have symptoms of insomnia.

It is recommended that adults get between seven and eight hours of nightly sleep.

The American Academy of Sleep Medicine (AASM) offers the following tips on how to get a good night’s sleep:

  • Follow a consistent bedtime routine.
  • Establish a relaxing setting at bedtime.
  • Get a full night’s sleep every night.
  • Avoid foods or drinks that contain caffeine, as well as any medicine that has a stimulant, prior to bedtime.
  • Do not bring your worries to bed with you.
  • Do not go to bed hungry, but don’t eat a big meal before bedtime either.
  • Avoid any rigorous exercise within six hours of your bedtime.
  • Make your bedroom quiet, dark and a little bit cool.
  • Get up at the same time every morning.

Those who suspect that they might be suffering from insomnia, or another sleep disorder, are encouraged to consult with their primary care physician or a sleep specialist.

The annual SLEEP meeting brings together an international body of 5,000 leading researchers and clinicians in the field of sleep medicine to present and discuss new findings and medical developments related to sleep and sleep disorders.

More than 1,000 research abstracts will be presented at the SLEEP meeting, a joint venture of the AASM and the Sleep Research Society. The three-and-a-half-day scientific meeting will bring to light new findings that enhance the understanding of the processes of sleep and aid the diagnosis and treatment of sleep disorders such as insomnia, narcolepsy and sleep apnea.

SleepEducation.com, a patient education Web site created by the AASM, provides information about various sleep disorders, the forms of treatment available, recent news on the topic of sleep, sleep studies that have been conducted and a listing of sleep facilities.

On the Net:

American Academy of Sleep Medicine

Associated Professional Sleep Societies

115-Year-Old Woman Had Normal Brain

Alzheimer’s disease isn’t inevitable, suggests unique case in Neurobiology of Aging

A 115-year-old woman who remained mentally alert throughout her life had an essentially normal brain, with little or no evidence of Alzheimer’s disease, according to a study in the August issue of Neurobiology of Aging.

The findings question the assumption that Alzheimer’s disease or other forms of dementia will inevitably develop, if people live long enough. “Our observations suggest that, in contrast to general belief, the limits of human cognitive function may extend far beyond the range that is currently enjoyed by most individuals, and that improvements in preventing brain disorders of aging may yield substantial long-term benefits,” according to a study led by Prof. dr. Gert Holstege of University Medical Centre Groningen, The Netherlands.

Dr. Holstege and colleagues had a unique chance to test the mental functioning of one of the world’s oldest humans, and then to compare their findings with the condition of the subject’s brain after death. The patient was a Dutch woman who, at age 82, made arrangements to donate her body to science after death. At age 111, she contacted the researchers to ask whether her body would still be useful for research or teaching purposes. They assured her that, contrary to what she thought, they were especially interested because of her age: “She was very enthusiastic about her being important for science,” Dr. Gert Holstege and colleagues write.

The researchers found the patient to be “an alert and assertive lady, full of interest in the world around her, including national and international politics and sports.” She had lived independently until moving to a residential care home at age 105, mainly because of poor eyesight. Ironically, she had been very small at birth and was not expected to survive.

A series of neurological and psychological examinations were performed when the patient was 112 and 113 years old. The results were essentially normal, with no signs of dementia or problems with memory or attention. In general, her mental performance was above average for adults aged 60 to 75.

As planned, her body was donated to science when she died at age 115. At the time, she was the world’s oldest woman. Examination after death found almost no evidence of atherosclerosis (narrowing of the arteries) anywhere in her body. The brain also showed very few abnormalities””the number of brain cells was similar to that expected in healthy people between 60 and 80 years old.

A key finding was the absence of brain abnormalities typical of Alzheimer’s disease. There were almost no deposits of a substance called beta-amyloid, which are characteristic of Alzheimer’s patients. The other abnormalities present, including “neurofibrillary tangles,” were very mild””too early to cause significant mental impairment.

The unique case lends new insights into the potential for preserving brain function in very elderly patients. Previous studies have found at least mild abnormalities in the brains of nearly all “cognitively normal” elderly people. As the number of people living to age 100 and beyond continues to increase, the findings suggest that deterioration of the brain is not inevitable.

Image Caption: Histopathogic image of senile plaques seen in the cerebral cortex in a patient with Alzheimer disease of presenile onset. Courtesy Wikipedia

On the Net:

Neurobiology of Aging

The University Hospital Groningen

The Video Generation: Kids and Teens Consuming More Online Video Content Than Adults at Home, According to Nielsen Online

Nielsen Online, a service of The Nielsen Company, today announced that per person, kids consumed more streams than those over 18, and spent more time watching online video from home in April (see Table 1). Kids 2-11 viewed an average of 51 streams and 118 minutes of online video per person during the month, while teens 12-17 viewed an average of 74 streams and 132 minutes of online video. Those over 18 viewed an average of 44 streams and 99 minutes of online video.

 Table 1: Monthly Online Video Consumption among Kids, Teens and Adults (U.S., Home Only, April 2008)         Unique Viewers   Unique Viewer   Streams per     Min per Age     (000)            Comp %          Viewer          Viewer 2-11             7,966             8.4          51.0       117.9 12-17           11,632            12.3          74.2       132.4 18+             75,122            79.3          44.3        99.4 Source: Nielsen Online, VideoCensus 

The top 10 online video destinations for kids 2-11 and teens 12-17 demonstrate that kids pursue similar interests both online and off. Younger children gravitate towards sites associated with well-known children’s toys and TV programming, while teens go online to watch music videos, movie trailers and clips of other visitors (see Tables 2 and 3).

Disney Records led online video destinations among kids 2-11 when ranked by unique viewer composition percent, with 50 percent. EverythingGirl.com and MyePets followed with 48 percent each. Stickam was the top online video destination among teens 12-17, who accounted for 44 percent of that site’s unique viewers, followed by Buzznet.com and Atlantic Records, with 43 percent each.

“Today’s youth don’t know — or don’t remember — a time when they weren’t going online, so their adoption of online video has been seamless,” said Michael Pond, senior media analyst, Nielsen Online. “And while video consumption in the workplace increases usage metrics among adults, the ‘at home’ data show how kids and teens are driving usage and claiming their territory. The Web provides another platform for their interest in TV shows, toys, movies and music, and offers an interactive element that children especially enjoy. Among the top sites for the younger demographic we see publishers that are integrating video into games, music and other content to drive engagement with this multi-media generation.”

TOP ONLINE VIDEO DESTINATIONS FOR KIDS AND TEENS BY COMPOSITION

 Table 2: Top 10 Online Video Destinations: Age 2-11 (U.S., Home)                       Unique Viewer     2-11 Unique Brand/Channel         Composition %     Viewers (000) Disney Records                 49.6               179 EverythingGirl.com             48.0               161 MyePets                        47.6               161 JETIX                          46.9               159 Playhouse Disney               43.9               340 PBS Kids                       43.1               281 LEGO                           40.9               137 NickJr                         39.6               718 Barbie                         39.6               105 Nick                           39.3             1,009 Source: Nielsen Online, VideoCensus 100,000 Unique Viewer Minimum Table 3: Top 10 Online Video Destinations: Age 12-17 (U.S., Home)                       Unique Viewer     12-17 Unique Brand/Channel         Composition %     Viewers (000) Stickam                        44.3               106 Buzznet.com                    42.9               310 Atlantic Records               42.7               273 Epic Records                   41.5               180 bebo                           40.2               114 Funnyjunk.com                  40.1               123 NABBR                          37.4             1,336 GamesRadar                     34.6               180 Paramount Films                33.8               198 Photobucket                    30.7               767 Source: Nielsen Online, VideoCensus 100,000 Unique Viewer Minimum 

TOP ONLINE VIDEO DESTINATIONS FOR KIDS AND TEENS BY AUDIENCE SIZE

 Table 4: Top 10 Online Video Destinations: Age 2-11 (U.S., Home)                       2-11 Unique       2-11 Total Brand/Channel         Viewers (000)     Streams (000) YouTube                       4,129           252,405 DisneyChannel.com             1,324            11,843 Nick                          1,009            16,366 Disney.com                      842             4,926 Myspace.com                     827            13,689 NickJr                          718            18,619 Buena Vista Online  Entertainment                  455             1,301 Cartoon Network                 431             9,096 Playhouse Disney                340             1,983 Google Video                    323             1,080 Source: Nielsen Online, VideoCensus Table 5: Top 10 Online Video Destinations: Age 12-17 (U.S., Home)                       12-17 Unique      12-17 Total Brand/Channel         Viewers (000)     Streams (000) YouTube                       8,916           609,981 Myspace.com                   3,493            62,810 NABBR                         1,336             6,207 Google Video                    839             4,925 Photobucket                     767             1,597 Apple                           548             1,820 DisneyChannel.com               444             3,687 Veoh                            415             8,263 Metacafe                        372             1,936 Facebook                        360             1,132 Source: Nielsen Online, VideoCensus 

Nielsen Online today also released April 2008 U.S. topline VideoCensus Results, including overall video usage.

 Table 6: Overall Online Video Consumption for April 2008 (U.S., Home, Work)                           Apr-08        Mar-08       % Change Unique Viewers (000)     119,626       115,366            3.7% Total Streams (000)    7,613,847     6,967,963            9.3% Streams per Viewer          63.6          60.4            5.3% Time per Viewer (min)      142.8         137.3            4.0% Source: Nielsen Online, VideoCensus (Excludes video advertising; includes both streaming and progressive downloads.) Table 7: Top 10 Brands by Video Streams for April 2008 (U.S., Home, Work) Video Brand             Total Streams (000)     Unique Viewers (000) YouTube                           4,052,984                   73,537 Fox Interactive Media               328,974                   20,855 Yahoo!                              221,600                   22,179 Nickelodeon Kids and  Family Network                     151,828                    6,323 MSN/Windows Live                    149,684                    9,873 ESPN                                125,327                    5,477 Disney Online                        93,649                    7,219 CNN Digital Network                  84,782                    5,681 Turner Entertainment  New Media Network                   81,586                    6,513 hulu                                 63,228                    2,428 Source: Nielsen Online, VideoCensus (Excludes video advertising; includes both streaming and progressive downloads.) 

About VideoCensus:

Nielsen Online’s VideoCensus is the first and only syndicated online video measurement service to combine patented panel and census research methodologies, providing an accurate count of viewing activity and engagement along with in-depth demographic reporting.

About Nielsen Online:

Nielsen Online, a service of The Nielsen Company, delivers comprehensive, independent measurement and analysis of online audiences, advertising, video, consumer-generated media, word of mouth, commerce and consumer behavior, and includes products previously marketed under the Nielsen//NetRatings and Nielsen BuzzMetrics brands. With high quality, technology-driven products and services, Nielsen Online enables clients to make informed business decisions regarding their Internet, digital and marketing strategies. For more information, please visit www.nielsen-online.com.

About The Nielsen Company:

The Nielsen Company is a global information and media company with leading market positions in marketing information (ACNielsen), media information (Nielsen Media Research), online intelligence (NetRatings and BuzzMetrics), mobile measurement, trade shows and business publications (Billboard, The Hollywood Reporter, Adweek). The privately held company is active in more than 100 countries, with headquarters in Haarlem, the Netherlands, and New York, USA. For more information, please visit, www.nielsen.com.

 Media Contacts:  Suzy Bausch (415) 617-0181  Michelle McGiboney (408) 941-2930  [email protected]

SOURCE: The Nielsen Company

Banner Alzheimer’s Institute and Sun Health Research Institute Enrolling Local Patients in Study of Investigational Therapy to Treat Alzheimer’s Disease

PHOENIX and SUN CITY, Ariz., June 9 /PRNewswire/ — Banner Alzheimer’s Institute and Sun Health Research Institute today announced that they are actively enrolling patients in a new study of the investigational drug Dimebon(TM) for the treatment of Alzheimer’s disease. The study will evaluate the safety and efficacy of Dimebon in patients with Alzheimer’s disease taken in combination with Aricept(R) (donepezil HCI tablets), an FDA-approved Alzheimer’s treatment.

According to new estimates from the Alzheimer’s Association, more than 5 million people in the United States are living with Alzheimer’s disease, a progressive, debilitating and deadly neurodegenerative disease that destroys brain cells and affects areas of the brain involved in memory, cognition, judgment, language and behavior. Currently available therapies for Alzheimer’s treat the symptoms with modest effect in most patients; new therapies are urgently needed.

Results from a one-year study of Dimebon in mild-to-moderate Alzheimer’s disease — showing statistically significant improvements in memory, thinking, function and behavior — were highlighted at the recent 2008 Arizona Alzheimer’s Consortium (AAC) Annual Conference, a community service event. Banner Alzheimer’s Institute and Sun Health Research Institute are both members of the Consortium.

“We are encouraged by the results Dimebon has shown in clinical studies to date and believe it is imperative to fully assess its promise in the fight against Alzheimer’s disease,” said Pierre N. Tariot, M.D., director, Memory Disorders Center, Banner Alzheimer’s Institute. “We are pleased to be participating in this study.”

“As the baby boomer population ages, the incidence of Alzheimer’s will dramatically increase. We must find innovative ways to treat this devastating disease and slow its progression,” said Marwan Sabbagh, M.D., founder and director of clinical research at Sun Health Research Institute’s Cleo Roberts Center for Clinical Research. “We encourage local patients and caregivers to learn more about possible enrollment in this study, as clinical research is vitally important to understanding how we can better treat Alzheimer’s disease.”

About the Study

The multi-phase 1/2 study is designed to evaluate the safety, tolerability and pharmacokinetics(1) of the investigational drug Dimebon in the treatment of patients with Alzheimer’s disease. Patients aged 50 and older with a clinical diagnosis of Alzheimer’s disease, taking Aricept for at least 60 days prior to enrollment, may be eligible to participate in the study. The trial is sponsored by Medivation, Inc.

   For more information about the study, please contact:    -- Banner Alzheimer's Institute, (602) 239-6900    -- Sun Health Research Institute, (623) 875-6500 or visit      http://www.shri.org/ (for information on all clinical trials)     About Dimebon  

Dimebon is an investigational therapy in clinical development for the treatment of Alzheimer’s disease. It targets Alzheimer’s disease differently than currently available therapies. Initial studies of Dimebon have shown promise and further study is indicated.

About Banner Alzheimer’s Institute

Banner Alzheimer’s Institute is a treatment and research facility dedicated to helping patients with memory and thinking problems. It offers clinical care for patients; provides education, referral and support services for family and caregivers; and conducts leading-edge research in clinical trials, brain imaging and genetics studies. The Institute is devoted to finding effective Alzheimer’s disease-slowing and prevention treatments in the shortest time possible. Banner Alzheimer’s Institute is owned and operated by Phoenix-based Banner Health, a nonprofit organization.

About Sun Health Research Institute

For 21 years, Sun Health Research Institute has been a leader nationally and internationally in the effort to find answers to disorders of aging including Alzheimer’s disease, Parkinson’s disease, arthritis and prostate cancer. The institute, together with its Arizona Alzheimer’s Consortium partners, has been designated by the National Institutes of Health as one of just 31 Alzheimer’s Disease Centers in the nation. The institute’s Cleo Roberts Center for Clinical Research takes laboratory discoveries to clinical trials that foster hope for new treatments. Sun Health Research Institute is affiliated with the Sun Health non-profit community healthcare network.

(1) Pharmacokinetics is the process by which a drug is absorbed,

distributed, metabolized and eliminated by the body.

Banner Alzheimer’s Institute; Sun Health Research Institute

CONTACT: Paul Matthews of Banner Alzheimer’s Institute, +1-602-239-6907,Cell, +1-602-790-1688, [email protected]; or Brian Browne of SunHealth Research, +1-623-815-7600, [email protected]

Web site: http://www.shri.org/

Communications Technology Evolves To Better Serve the Offshore Industry

By Zhong, Qian

Development of OADM Trunk-and-Branch Suite of Undersea Hardware Leads Communication Systems into the Future Although undersea telecommunications is a mature industry that routinely installs and maintains transoceanic fiber optic cables capable of providing reliable performance for more than a quarter of a century, the demand for offshore technology continues to grow.

Oil and gas companies are looking to deploy larger, more dependable subsea systems that are cost effective and will provide them with increased Internet speed and more bandwidth to support applications such as voice over Internet protocol. Furthermore, oil platforms and wells are in need of more reliable communications systems in order to avoid profit losses caused by slowdowns in production. Increased security in communications is an additional incentive.

Optical add/drop multiplexing (OADM) continues to evolve in response to the demand for more advanced offshore technology that will meet the requirements for reliable connections between onshore and offshore platforms. By using the available bandwidth to distribute small units of capacity to a large number of offshore platforms, an OADM system allows a chain of oil rigs to be connected to a single undersea fiber optic network. OADM provides each platform with a dedicated channel and bandwidth, therefore ensuring that signals will continue to flow if ever another rig’s connection is interrupted. This type of system is referred to as a trunk-and- branch system. While the trunk is the portion that connects the two ends of the system, the branches connect the oil platforms to the trunk.

OADM Interconnect Devices

In order to accommodate oil and gas companies who are increasingly moving their platforms farther away from shore, telecommunications providers like Tyco Telecommunications have developed a trunk-and-branch suite of undersea hardware to provide real-time communication to and between offshore oil and gas platforms. The hardware, which functions to connect branches to the main cable trunk of an OADM system, includes a dynamic riser cable (DRC), rig termination and interconnecting joint working together as a unit; a fiber distribution canister (FDC); and a branching optical amplification unit

The DRC is a high-strength, torquebalanced cable that is specifically designed to withstand the dynamic environment surrounding a deepwater oil platform. The top end of the DRC is joined to the platform by a rig termination device. At the other end, the DRC is secured to the ocean floor by wearprotected anchors. The interconnecting joint then joins the DRC to the rest of the network cable.

The FDC serves as an outlet to connect certain fibers from the platform to the network, while other fibers are terminated locally for later plug-in accessibility. The FDC can support up to four wetmate connectors, which allow new fibers to be connected after the system is installed without having to cut into the cable. Remotely operated vehicles can quickly install the additional wetmate connectors as they are needed.

Last, the branching unit (BU), which is an optical amplification unit (repeater), serves to connect each of the platforms in the system to the network cable; simply, it connects the branches to the trunk. If a system repair is ever needed, the BU also provides the ability to isolate each of the branches. The OADM power-switched branching unit (OADM-PSBU) can support optical and controllable electrical connections between three cables that terminate at the unit, in addition to a local sea ground, which is built into the unit. Furthermore, the OADM-PSBU provides for direct routing of optical signals between two fibers and shared optical routing needed for optical add/drop features.

To provide maximum protection and reliability, the OADM-PSBU is enclosed in a cylindrical container made of a beryllium-copper alloy. The design not only guards the optical and electrical elements of the BU from the volatile ocean environment, it also provides a high-strength connection among the three cable terminations and voltage isolation between sea ground and system potential.

Advantages of OADM

“There are three key technological advantages of the use of undersea fiber optic telecommunication devices and/or systems in the oil and gas industry. First, these systems use commercially available submarine telecommunications products that have established track records, can be readily modified to suit specific offshore applications and are highly reliable. Often such products have a design life of more than 25 years and performance availability in excess of 99.99 percent. second, the devices and systems optimize the technology choices between repeaterless transmission for close platforms or amplified transmission for distant platforms. Finally, the devices exploit miniaturization, with compact terminals and low power requirements, making them well suited for the extreme space limitations on oil platforms.

Application of Technology

For offshore systems in which interconnect communication is desired, OADM-BUs are used to connect a series of platforms to a trunk cable that connects two end-cable stations. Communication can be established between different platforms as well as between a platform and a cable station. The advantages for this connectivity topology are flexibility, meaning more platforms can be added if designed appropriately, and independence, meaning one platform does not have to be dependent on another to ensure communication, a feature that is extremely important in the event of a natural disaster.

Once the submerged plant, which includes the cable, BUs and underwater interconnect devices, is in place, connectivity to the platform is then established via a riser cable and specific terminal gears. The result is the easy establishment of either a traditional or an Internet protocol-based network.

BP (London, England) has deployed such technology in a system that initially connects each of two shore stations with a series of seven platforms. Traffic is carried on one fiber pair (FP), with connectivity between each shore station and each of the seven platforms. A total design capacity of 640 Gigabits per second per FP is provided, and each platform is equipped with routers providing Gigabit Ethernet interfaces for communication needs.

The system is designed with flexibility to accommodate future expansion to 32 platforms per FP, with a total of two FPs, supporting individual FP ownership of transmission.

The same technology platform is being considered for other oil and gas applications in a variety of locations, including the Caribbean Sea, Africa and Southeast Asia, where oil and gas exploration activities are abundant.

Conclusions

Using existing undersea telecommunication fiber optics technology and products, offshore oil and gas platforms can enjoy reliable, secure, cost-effective and expandable communication connectivity.

Specifically, Tyco Telecommunications’ trunk-and-branch suite of interconnect devices, which includes the DRC, FDC and OADM-PSBU, is a significant development in providing offshore platforms with the most reliable real-time communications.

It is envisioned that this platform of versatile, reliable and cost-effective communications systems can be easily adapted to accommodate the growing needs of the industry, as well as serve as the bridge for introducing new technologies where the transport media evolve in the form of both capacity and structure.

A typical con figuration of a suite of technological components (or an undersea communication system connecting to oil and gas platforms.

(Above) A trunk and branch platform/cable station configuration.

(Right) Wavelength distribution in a hypothetical trunk-and- branch platform connectivity configuration.

(Bottom) The OADM-PSBU serves to connect each of the oil platforms in a system to the main network cable, otherwise known as the trunk.

“Tyco Telecommunications’ trunk-and-branch suite of interconnect devices is a significant development in providing offshore platforms with the most reliable real-time communications.”

Visit our Web site at www.sea-technology.com, and click on the title of this article in the Table of Contents to be linked to the respective company’s Web site.

By Dr. Qian Zhong

Director of System Engineering

Tyco Telecommunications

Morristown, New Jersey

Dr. Qian Zhong is director of system engineering at Tyco Telecommunications. He started his career at AT&T Bell Laboratories in the optical fiber research department and then joined the undersea systems unit, which became Tyco Telecommunications. Before becoming director of system engineering, Zhong headed the advanced technology research and cable development organizairons.

Copyright Compass Publications, Inc. May 2008

(c) 2008 Sea Technology. Provided by ProQuest Information and Learning. All rights Reserved.

Negotiating Magic: Ukrainian Wedding Traditions and Their Persistence in Canada

By Kukharenko, Svitlana

ABSTRACT: Magical efficacy has been important in Ukrainian wedding ritual. The korovai, rushnyk, omens, gifts, the showering of the couple, and other “sacred” objects and acts of the Ukrainian folk wedding are believed to be imbued with prophetic qualities. Uprooted folklore tradition, however, faces inevitable transformations, and Ukrainian immigrants in Canada tend to know and believe in magical objects and actions significantly less. The examination of magical beliefs and practices in the context of weddings among Ukrainians in Ukraine and in Canada shows that the two groups possess different belief systems: magical and anti- magical respectively. Rural and urban dwellers, divorced people, and the clergy from both countries were interviewed retrospectively about their wedding days. Their answers confirm that magical beliefs and practices are the most fragile part of the folklore complex transmitted to a different cultural context. By contrast, material culture, which becomes a major means of ethnic identification, remains well preserved and cherished. The straightforward transformation of traditional values and worldviews from one country to another is impossible, and permanent emigration always brings cultural changes. Some elements of “Old World” folklore get preserved in new surroundings, while others get lost. In multi- ethnic settings, as Voigt states, ethnic heritage has a symbolic value and the “locus control” of ethnic groups is external: “…ethnic symbols are mostly formulated by the outsiders, the members of the receivers, and not by the members of the ‘we’-group, the senders of the message.”1 As a result, folklore traditions displayed by ethnic groups to the larger society tend to be “the more entertaining and usually less essential or central traditions of the old culture.”2 This phenomenon follows universal patterns as demonstrated by scholars in regards to various ethnic groups that experienced migration.

Interest towards one’s own heritage, ethnic symbols, and forms of cultural expression changes from one generation of immigrants to the next, and can experience both dramatic decreases and revivals. This process is governed and universally explained by the Hansen’s Law.3 According to this Law, the first generation usually keeps faith in the folklore complex they brought from the Old Country, while the pressure of assimilation and desire to enter the dominant society, blend into the new cultural context forces the second generation to negate their own cultural baggage. Conscious reconstruction of ethnic identity usually happens to the third generation and leads to interest in, and energetic revival of, ethnic traditions.

Not all the items of the folklore complex, however, are equally valued and revived even by the third generation. Guntis Smidchens found that among the “items” that survive transfer to the New Country and are used as symbols of ethnic identity “music, song, and dance are the most popular symbols.”4 Traditional folk beliefs and superstitions of various ethnic groups, on the contrary, become meaningless or inappropriate for the new life, time, place, or the expectations of others, and hence tend to vanish by the second generation.5

Ukrainian emigration to Canada started at the end of the nineteenth century, and the transition of the folk culture from the Old Country to Canada has been studied quite intensely. Magic and its function among modern Canadian Ukrainians is reflected, however, in a relatively small scope of studies and is usually not the main concern of the authors.6 This has happened because, on the one hand, immigrants’ interest tended to be “almost exclusively devoted to the non-verbal, sensory appeal of the Ukrainian folk heritage in Canada: the sound of Ukrainian folk music, the taste of traditional foods, and the visual attraction of folk arts and crafts.”7 On the other hand, the very words “magic” and “superstition” in everyday use have quite a negative connotation. Yet studying magic is important, for it permits to “provide insights into the deep ontologies of culture.”8 Without studying magic beliefs and practices, a description of the culture, and hence of acculturation processes, would not be complete.

The knowledge of such beliefs and practices cannot be acquired through reading or watching folkloric materials: it comes as a result of co-actions of the tradition bearers during the live folkloric process.9 And studying magic beliefs in the social context of a wedding-one of the main rites of passage-provides the best opportunity to describe them through people’s behaviours.

Magic and superstition are closely related but not identical notions. Magic implies manipulation of supernatural forces for achieving desirable outcomes, and thus is empowering. Accidental events do not exist for people who see the world magically, and, within the magical worldview, power is perceived as something physical, a “thing freely given, sold, extorted, stolen, or exchanged.”10 Leaving aside the broad popular use of the word superstition, it is useful here to adopt Kenneth Pimple’s definition of the term as “a belief, usually about luck or concerned with the successful completion of a specific task, often associated with ritual behaviours.” ‘ ‘ Superstitions help to explain man’s relationship with social, natural, and supernatural phenomena, as well as influencing these phenomena. Not only magical acts but omens bear the magical function of foretelling. Those are events or conditions “over which human beings have no control and which they regard and interpret.”12

Therefore, studying Ukrainian wedding magic beliefs and practices helps to better understand traditional Ukrainian culture and the process of its acculturation in Canada. And magic does accompany Ukrainian weddings. Documented ethnographic literature on traditional Ukrainian weddings from the end of the nineteenth and beginning of the twentieth centuries reveals that magic beliefs and practices associated with this ceremony are numerous: there are magical acts for giving one spouse superiority over the other; enhancing the fertility of the couple; facilitating marriage of the yet unmarried; enhancing love and attachment of the couple toward each other; ensuring the couple’s wellbeing and prosperity; protecting the couple from evil forces or misfortune, and so forth.13

Petr Bogatyrev classified magical elements used at traditional Ukrainian weddings into contagious and imitative ones.u His classification is based on Frazer’s distinction of two main laws of magic-the law of contact and the law of similarity.15 According to the law of contact, the object transfers its magic quality to the person who directly contacts this object. According to the law of similarity, the actions performed resemble the desired results. Often, however, according to Bogatyrev, both kinds of magic can be identified in some magical action. Furthermore, Bogatyrev utilizes Frazer’s division of magical actions into positive and negative (or taboo). Positive magic is present in the wedding actions aimed at achieving some desirable effect, while negative magic consists in avoiding those actions, which would bring some undesirable effect.

Additionally, Bogatyrev distinguished motivated and unmotivated magical actions: if a person performing some action can explain the reasons why the action produces a desirable result, then the action is motivated. If the “cause-effect” relation is unknown to the performer, but she or he still believes in the result, the magical action is unmotivated.

According to Butler, magical tradition includes three components: ritual act, formulaic expression, and magic artifact.16 Many of them are present at a traditional Ukrainian wedding. For example, special ritual bread, the korovai, is used at weddings where it represents a “magical circle,” the fullness of life and marriage. Regardless of being touched or not, the korovai bears magical symbolism by its very presence: the korovai is “…efficacious independently of magical actions… It possesses magical power in itself.”17 The baking of the korovai-which happens before the wedding day-is in fact an act of divination: any unwanted defects, according to the law of similarity, foretell marital problems for the couple. At the same time, any touching of the korovai (kissing, cutting, and obligatory consumption), according to the law of contact, passes the magical quality of this ritual object to those performing the actions. Korovai baking is a ritually structured process restricted to only happily married women with no histories of previous marital misfortunes.18 It is believed that divorced women or widows, or those whose children died can transfer their unhappy fate to the new couple.

Similarly, there are magical actions performed with the rushnyk, a ritual embroidered cloth. The rushnyk is usually described as part of a church ceremony and as having a magical power in and of itself. Stepping on a rushnyk is believed to give one spouse superiority over the other: according to the law of similarity, whoever steps first on the rushnyk will become the head of the family.19 To attain the same goal, a bride sometimes might put her hand atop the groom’s hand while the priest is binding their hands together with a rushnyk.20 There is a belief that the couple possesses magical powers that can facilitate the marriage of the yet unmarried. Here the law of contact comes into effect: while standing on a rushnyk in church, a bride can step aside a little so that her druzhka (bridesmaid) can put her toes on it as well and thus marry the same year.21 In addition, the bride can throw greenery to the girls or just give them a look. All this will facilitate their marriages. The groom and the best man possess the same magical power that can help their male friends marry before others.22 Among magical actions that ensure love between the couple is a treatment with honey, accompanied by the verbal formula “May your love be as sweet as honey.”23 Here the law of contact and the law of similarity coincide.

Showering the couple with wheat, rye, oats, or hops is a traditional magical act for ensuring the couple’s well-being and prosperity. In this ritualistic showering both the law of contact and law of similarity apply. People wish a couple a happy and full life, and put the couple in contact with metaphorical materializations of their wishes. Grains traditionally symbolized wealth in Ukrainian rural agrarian traditions. Besides, the Ukrainian word for rye, zhyto, has the same etymological root as the word for life, zhyttia.

Children are very important to Ukrainians, and the guests repeatedly wish the couple fertility. Although children of both sexes are welcomed, boys are valued more. In the past, magical actions were performed to ensure male babies are bom: the bride would hold a little boy in her lap in the groom’s house. According to both laws of magic, this ensured that she would bear male children, for she not only held the boy but also “fondled his testicles.”24

There are many natural omens, e.g., rain during the wedding, that are believed to have special meaning. Omens appear spontaneously as messengers, and their meanings are usually interpreted within a binary opposition of “good-bad.” There are also numerous taboos for the whole family to observe.

To trace magic beliefs with respect to Ukrainian weddings and the extent to which they have been accepted in Canada, two groups of Ukrainians, one from each country, were retrospectively interviewed about their weddings. The questionnaire was compiled according to the description of the magic objects and actions provided by Bogatyrev (the korovai, the rushnyk, the showering of the couple, wedding day omens, and so on). Informants explained not only the reasons for having or not having certain objects (performing or not performing certain actions), but also what they knew about the object or action, i.e., what beliefs were associated with it, and whether they believed these things themselves.

Twenty Ukrainians from different regions of Ukraine and fifteen Canadian-Ukrainians of different ages, and from different generations of immigrants, were respectively subdivided into subgroups of rural dwellers, urban dwellers, clergy, and divorced people.25 This was intended to provide cross-comparison of the belief systems of people who possess different social and marital statuses in both countries. In this respect, comparing the magic beliefs of the clergy to these of secular laymen was interesting, because, despite all possible differences, as Versnel states, “magic and religion have in common that they refer to supernatural forces and powers, a reality different from normal reality.”26 The divorced group was of a special interest as well because, in the eyes of Ukrainians, a divorce represents misfortune, an undesirable outcome, and divorced people are traditionally excluded from some activities connected to weddings (korovai baking). Each informant was included into one category only, though there is an overlap between some categories. For example, both the clergy and the divorced groups consist of both rural and urban informants, since their statuses (professional and marital, respectively) were more important for my study than their social origins. Also, defining the rural Canadian Ukrainian proved difficult due to the lack of a Canadian equivalent of a Ukrainian village. I, therefore, defined them as people born and raised outside of large cities, in rural areas, where, as John Lehr states, old country life style endured without much change until the 1950s.27

Analysis of the interviews of Ukrainians in Ukraine and Canada reveals two entirely different attitudes toward traditional beliefs in the supernatural and toward magic as such. First of all, Ukrainians in Ukraine felt free and eager to talk about magic beliefs and practices. They had enough vocabulary to communicate such beliefs, and were precise in their definitions of magic objects, actions, formulae, and persons. They explained their meanings and presented numerous and diverse beliefs. Among the leading ones were beliefs in the evil eye, taboos, bad luck, and the need for protecting the couple. They readily provided examples of personal encounters with the magical. Their narratives were emotional and detailed. Not only did they know about magic powers but-what is more important-they believed in them. Their “magical knowledge” was immediate: the answers they provided started with either “I heard” or “I know,” thus pointing to either personal experience or the wider cognitive field around them, that of close “others.” Though none of the informants could identify a traditional ritual for ensuring the sex of future children as described in Ukrainian ethnographic literature, they, however, presented a colourful picture of magic beliefs and practices connected to the wedding.

Sixteen Ukrainian informants had the korovai either baked by relatives or had it purchased. Those who had no korovai explained that circumstances of their weddings, not the lack of personal desire, were responsible for the absence of this ritual object. Even when informants could not describe the ritual of baking, they provided ideas about the meaning of the korovai, explaining its symbolism in terms of financial and psychological well-being: “The korovai is a symbol of life and wealth, of marital harmony. I do not know any beliefs related to the korovai but I know that are happy when it rums out well. They hire knowledgeable people for that” (rev. Ivan28); “ symbolizes wealth, well-being. Bread is generally the basis of life. Probably it should be baked with feeling, thus making an impact on future happiness” (Nina, urban). All informants who had the korovai shared it with guests to ensure that everything was eaten.

Seventeen informants were showered, and there was little variation in terms of substances used: candies, grains, and coins. The showering was accompanied with verbalized wishes for happiness, wealth, love, and joy in marital life. Informants connected it directly, through the law of similarity, to future wealth: “We were wished wealth, happiness, and fortune so that we would not be poor” (Vira, divorced); “It symbolizes wealth, well-being of the future family. The main thing is to shower abundantly: as much grain and coins as possible. Small children will later collect and count the money. The more they collect, the better for the well-being of the future family” (Nina, urban). “We were showered with rye, grains, and sugar. Rye is a symbol of life; therefore they wished us a sweet life. They also sprinkled us with blessed water. Coins or candies are not used in our area, but as far as I understand you [always] wish the same thing-a wealthy and sweet life-to the couple” (rev. Pavlo); “When we went to the sil’rada29 we were showered all the way there with wheat and rye, money coins, and candies. Grains-for the good crops to follow; coins-so that there’s money in the house; candies-for the marriage to be sweet. And they used to repeat: “For your health! For your happiness!” (Tonia, rural)

Informants also had rushnyky. During the twentieth century, when religion was associated with unenlightened thinking in the USSR, wedding rushnyky became secularized and taken over by the institutions that granted marriage licenses: sil’rada in villages and ZAHS30 in the cities. Most informants explained the symbolism of the rushnyk in terms of a trip. They compared it both to a road and dolia, i.e., fate, meaning that a couple was entering a new phase of their lives, when their two separate paths joined into one and from now on they were starting a new journey together: “People step on the rushnyk for happiness and good luck” (Nadiia, urban); “A couple stands on it as if on a common road so that they would share both joy and sadness, so that the two would have one common fate, the way rushnyk ” (Maryna, rural).

All informants knew about divinations and many performed these acts to determine the head of the family: “I heard about ‘who steps first’ and I tried to step first. As a result, I used to think for both of us, I used to be the moneyearner, and he enjoyed a carefree life” (Ol’ha, divorced); “Oh, yes, I knew about it, and stepped on it with the right foot!” (Tonia, rural); “I kept in mind that whoever steps first would become the head of the family, but we stepped together” (Nina, urban). “I know about ‘who steps first’ but it is a superstition” (rev. Ihor).

A bride tossing a bouquet to unmarried girls was considered by many informants an American practice, brought to Ukraine relatively recently. Yet this action was frequently used to facilitate the marriage of others along with a ritual performed in the western parts of Ukraine, called rozhuliuvaty velion. It involved the bride dancing with every unmarried girl consecutively while putting her veil on the girl’s head. Most of the informants believed in the validity of the ritual.

Since the wedding registry is unknown in Ukraine, the likelihood of getting an unexpected gift is very high. Most Ukrainians were convinced that certain gifts possessed magical powers capable of inflicting unwanted or even fatal outcomes and thus should be taboo at weddings. If they were offered (purposefully or inadvertently), they became bad omens. Among such items were knives and forks. According to the law of similarity, sharp metal objects would “cut off’ the marriage; or the couple would live “on knives”-the Ukrainian idiom for endless quarrels and animosity. The informants also mentioned mirrors, wrist watches, and black fabric: broken mirrors bring bad luck; wrist watches count down either the couple’s time together or their lifetime; and everything black is appropriate only for funerals. “I heard that knives should not be presented. And that baby clothes are not acceptable” (rev. Petro); “Even if guests present some toys at a wedding, they say it is for the couplenot for their future children” (Mariia, rural); “I wouldn’t be happy if I were to get knives, wrist watches or something connected to fire, like a lighter. I heard about those objects, and I have examples from my own life that they cause separation from the people who presented them. But in this case , separation can happen between those to whom they are presented” (Nina, urban); “Mirrors, baby clothes, and artificial flowers-these are bad omens” (Vira, divorced); “Children’s clothes should not be given because it might cause the couple not to have children; someone can cast a curse through those clothes” (Olena, divorced). Not only objects but also certain types of behaviour at a wedding were feared as omens foretelling bad luck. For example, it was bad luck for a couple if someone came to a wedding in a black attire, or if a couple forgot something in the house while heading to the ceremony; it is a taboo to return home on a wedding day. It was considered a bad omen if someone crossed the path of a couple, especially with something empty, like unfilled buckets. It can, according to the law of similarity, “cut” the couple’s marital journey; it can become an obstacle on a path that was supposed to be clear or, literally, make it empty. It is also a sign of bad luck if a wedding party meets a funeral procession in the street: “It is bad if they meet a funeral. They will not live together” (Kira, rural).

Ukrainians on average, and especially those in villages, feared deliberate harm more than the appearance of natural omens. They were unanimous in their belief that there were magical, non-material influences coming from other people that were dangerous to the wedded couple. All informants believed it was possible to ruin a marriage through either natural or supernatural means, and they specifically talked about the evil eye: “Mean people can give them sunflower seeds to gnaw on, and they will not live well. Someone gave them to my friend at her wedding and… they have been fighting all the time since then. Oh, there are lots of things that can be done! They can toss soil on the couple or they can put a wreath on a bride’s head backward, or they can twist the bouquet on a groom’s jacket” (Tonia, rural); “Of course people can ruin a marriage by presenting a gift with evil intentions… It is prohibited for others to pass between the couple. They should keep their hands locked all the time. God forbid they break their hands apart and let someone pass between them!” (Vira, divorced).

To counterbalance negative influences, to escape from evil, married couples protected themselves assiduously by prayers and magical substances: “They put garlic in their pockets and attach a safety pin. When a bride exits the house, an ax and a broom are put on the threshold and she jumps over them, and the parents sprinkle her with blessed water” (Hanna, rural); “They make a roll out of paper, inside they put pieces of garlic, wheat grains, honey or sugar, and a coin; they put golden wrap around it and glue it all with honey and put it into the bouquet on chest and into wreath so that the couple could not be evil-eyed and their life would be sweet” (Mariia, rural); “I was blessed with an icon. Then I put my baptismal cross on a safety pin and tied it to the hem of my dress… I do not know, probably there are some precise rules for that but I sincerely tried to do what my heart told me. In the morning, I washed my face with blessed water, prayed so that nothing bad would happen during the wedding, and not to have bad thoughts…” (Nina, urban)

Talking to Ukrainians in Canada about magic beliefs was quite difficult. Asked to share recollections about their wedding days, informants often felt uncomfortable with questions about good or bad luck. Soon after the beginning of the interviews, Canadian- Ukrainian informants started using the word ‘superstition,’ meaning backward, irrational, and silly beliefs: “It is superstition. You can wear anything you want here in Canada or North America. I have gone to a wedding in a black dress. It is only superstition” (Natalia, rural). They manifested their negative attitude towards magic beliefs in various ways. To them, magic was something outdated, backward, while believing in it was shameful. Traditional Ukrainian beliefs, however, are still present in the Canadian context but mostly on the level of theoretical knowledge. Most of the Canadian-Ukrainian informants have never been exposed to the oral tradition conveying knowledge about magical objects, individuals, or actions at weddings. They gained their knowledge through family narratives or printed sources, not as personal experiences: “There was something written in our booklet about it . I wrote it down: I had done research before the wedding. But since then I have forgotten” (Sofiia, urban). Such a “theoretical” stance explains why Canadian Ukrainians were sure that there were some unknown beliefs about weddings worth learning: “If we would know there is such a part of the ritual that should be performed we would perform it, but we did not know about it” (Semen, divorced).

Informants who read books on Ukrainian culture were able to interpret certain actions or objects even if they did not personally possess or perform them. Those who had not read about these rituals often could not elaborate on the meaning of objects or acts even if they did have them or performed an action at their own weddings: “I did not know why ; because somebody told me to do it… Just for fun, I think. One who got it was very happy, but… what that means I do not know” (Oksana, rural); “I threw her garter because everyone does it! It is sort of a Canadian tradition… No symbolic purpose” (levhen, urban).

Canadian-Ukrainian informants knew little about the beliefs associated with the korovai. Three striking things about it became apparent: the korovai has become “trendy” relatively recently; the korovai is not consumed at the wedding, but kept for display afterwards; and the marital status of the person baking it does not matter. An informant who was a widow subordinated the baking ritual to the laws of the market economy: “The korovai started coming back… let’s say 10-12 years ago… I put a hundred-my minimum is a hundred-birds on it. Then I decorate it with flowers… It depends how the bride is going to use it. If she wants to eat or keep it then I treat it differently. For if they want to keep it then I start a drying process… I have lots of korovai that did not turn out. It does not mean anything. The only thing it means is that I have to get another one baked” (Liubov, rural).

Ten informants got showered at their weddings; others were not. The reasons provided by the latter are unknown in Ukraine: “Churches do not like it, and it was not something I particularly wanted, so… we never asked them to do it, we never gave them anything to shower us with” (Sofiia, urban); “They do not really do it now because the priest does not like it on the steps because they have to vacuum it up. Besides, birds will come and he does not want them to choke” (levhen, urban). The substances that are used for showering are significantly different from traditional ones: rice, confetti, rose petals, and even soap bubbles. Many informants were unable to explain the meaning of the action: “I really do not know why they do it. It was something… that people just did. Now they don’t because of the environment” (Liubov, rural); “I have no idea . I really do not know” (Halyna, urban).

Canadian Ukrainians were not particularly comfortable with questions about omens, which they immediately branded as ‘superstitions.’ “Marriage is supposed to last forever. I do not think there are any symbols or signs saying it would not” (levhen, urban); “If there is I did not hear and I did not know about it… I heard, if it pours people will be rich but we can’t control the weather” (Oksana, rural).

Older informants did not have a wedding registry for gifts since it was not customary at that time. For younger informants, however, a registry is common and there was very little chance of getting unwanted or unexpected gifts. They all, however, were surprised by the question about tabooed gifts. Informants tried to reason logically and come to a conclusion on the spot: “Children’s clothes? That’s very unusual; I have never heard of that before! That’s really neat but I think you have to really know the couple… because there are couples that would not have children, it would be tough for those couples…” (Sofiia, urban); “I am guessing now: a knife is a dangerous object, it could be used as a weapon. Why would you present somebody with weapon?” (Semen, divorced).

Canadian Ukrainians generally did not believe that non-material forces could ruin a marriage: “No, I do not think so. That’s witchcraft, I do not believe in that. Witchcraft is what is written in books, and on television… No, I do not believe in that! We go to church every Sunday” (Natalia, rural); “Only if someone would destroy the wedding, become totally drunk and obnoxious and embarrassing himself… Any kind of an embarrassment to anybody, especially to the bride and groom” (Sofiia, urban). Canadian informants wholeheartedly denied being superstitious. For them superstitions implied any action or omen that predicted bad luck, but not something that ensured good luck. If the couple performed some action for the purpose of good luck it was mostly based on Western wedding traditions (e.g., having ‘something old, something new, something borrowed, and something blue’ in the bride’s attire; hiding the bride’s dress from the groom before the wedding ceremony, or tossing a garter by the groom). Such actions had three distinct characteristics: 1) they were performed for fun only, i.e., they were not treated seriously; 2) they could have been skipped, omitted, or performed partially; and 3) they “worked” in one direction only, i.e., they could not have brought bad luck if left unperformed or if some problem occurred while being performed. Hence, ritual acts enacted for good luck were called “just a tradition” and became a game with no magical essence-like bubbles used for showering the couple.

Representatives of the third generation, who consciously wanted to organize ‘Ukrainian weddings,’ took the best elements from the Ukrainian wedding tradition and rejected the rest, namely folk supernatural beliefs. The elements they chose and used were discussed, researched, and performed in front of an audience that might have no knowledge about Ukrainian wedding traditions. Those elements were aimed at making a statement about one’s uniqueness, about one’s Ukrainianness: “I wrote it down because there were many non-Ukrainian guests, so that they would know what was going on” (Sofiia, urban); “We demonstratively did not want to have a white wedding cake… We wanted to say: ‘We are not like all others who have the white cakes'” (Semen, divorced).

Cross-comparison of the subgroups illuminates the differences among them even more sharply. Thus, informants from rural areas of Ukraine provided a clear and convincing picture of a magical world- view: magic for them was an integral part of life. They might not use the word ‘magic’ itself, but their answers demonstrated how much they believed. Magic beliefs circulated in villages on the level of common knowledge, as elements of social life. Villagers attributed supernatural protective qualities to various objects or substances like a safety pin, red thread, salt, garlic, etc.

The village wedding was stable and followed known ethnographic sources closely. It invariably included a korovai baked by relatives or by other female villagers. The korovai was routinely shared and eaten. For villagers it was important to “purify” the power of the korovai to magically predict a good future for the couple: “When it is being baked no door slamming, loud talking, or arguing are allowed. There must be silence and peace” (Maryna).

In Soviet times, even in villages, there was a ban on public church ceremonies of any kind. Despite this fact, the villagers were not anti- or a-religious, but it seems that their faith did not prevent them from believing in magic: a village wedding was surrounded by numerous magic actions, omens, and taboos.

Ukrainian rural dwellers in Canada still maintained many of the traditional beliefs. They, of course, were not as abundant as among villagers in Ukraine, and it seems that persistence of those beliefs depended to a large extent on the attitude of informants’ parents. All Canadian-Ukrainian rural dwellers were married in churches. What united the group was an implicit statement that their faith alone was enough to fight any misfortunes, should they appear; their religion gave them the strength they needed to build their lives without any kinds of magic actions: “Oh, I do not believe in that ! If you go to church, and you say prayers you should believe in that” (Marta).

And yet they believed in church symbolism and blessings: “Our parents blessed us with bread for good luck, happy marriage, prosperity, and healthy children… Parents and grandparents give their blessings with bread and prayers… We got married on Tuesday because it was a Ukrainian holiday, St. Peter’s Day. So, we chose that day to get married” (Natalia).

Canadian-Ukrainian rural dwellers expressed a belief that some actions can bring good luck: “They keep it for good luck, I think. Forever…” (Natalia); “My husband had a silver coin in each shoe for luck” (Lidiia); “Parents blessed us for good luck and good health… I tried to have ‘something old, something new, something borrowed, something blue’ for good luck” (Marta).

These informants knew about some Ukrainian wedding beliefs, but there were many more they never heard of. Ukrainian villagers were able to express twice as many beliefs as their Canadian counterparats. When Canadian-Ukrainians tried to explain beliefs, they looked for rational explanations, and they did not recognize any bad luck omens the way Ukrainian villagers did: “I have lots of korovai that did not turn out. It does not mean anything. The only thing it means is that I have to get another one baked” (Liubov, Canada) vs. “If it does not turn out, rises and then settles, or cracks-the marital life of the couple will be bad” (Maryna, Ukraine); “Witchcraft is what is written in books, and on television… No, I do not believe in that! We go to church every Sunday” (Natalia, Canada) vs. “There are people who have the evil eye. Maybe they do not want to harm but they have such bad eyes… They can even ruin marriage… Maybe some girl loved the groom but he did not marry her, then she can do something… she can go to the sorcerers” (Hanna, Ukraine).

The Ukrainian urban dwellers in my study had strong ties with the village: most of them became urban dwellers only after they had graduated from schools and moved to urban settings to get their degrees. Therefore, their worldviews were very much affected by their rural background. Even though the Ukrainian urban group expressed half the beliefs of the rural group, they cited numerous omens and taboos, and provided examples of how the world of the supernatural was able to ruin the marital life of a couple. To a large extent, the urban dwellers took information on wedding omens from contemporary books or magazines, and they often specified reading something on the topic. They appropriated printed beliefs, treating them as trustworthy as those reported or practiced by others. In a word, the source did not seem to influence the strength of their beliefs. They believed that both human and supernatural malevolent forces were able to cause harm, and that a wedding was a special space and time when those forces can work with extreme effectiveness: “I do believe there are people with mean eyes… and there is a folk belief that those people can affect not only a wedding, but generally human health… And if you do not have strong protection, the evil eye affects you” (Zoia); “Yes, of course! Something can happen to the kitchen utensils. For example, forks can be put at an acute angle; a pin can be tied to a dress with vicious intentions and special incantations… There were people at our wedding who could have wished us ill, and strange events started in a year. I could not find any explanation for them, but I have no doubt it was due to the interference of evil people” (Nina).

Ukrainian urban dwellers were more likely to control weddings by setting up celebrations in restaurants or cafes where only invited guests could attend. They would buy ritual bread, the production of which is now well marketed in cities. Nevertheless, the korovai, rushnyk, and showering of the couple were regular objects and rituals at their weddings.

City people were eager to create theories about particular omens or beliefs, looking for rational explanations for traditional rituals, and even non-believers demonstrated the power of the belief system around them. Their responses showed that no one is immune to popular folk beliefs with their magic prescriptions and taboos, and non-believers often modified their behaviour in accordance with the magical worldview of the people around them: “I placed my bouquet in the hands of a girl, who wished to marry soon. No, I personally do not believe in that, but she did” (Zoia).

The further away Canadian Ukrainians were from rural traditions, the shorter their answers became about their beliefs. At the same time there was a strong desire to return to these traditions, especially by representatives of the third generation. Urban Canadian Ukrainians presented very contradictory views but were nearly unanimous in their negative attitude toward Ukrainian magic beliefs, which were mostly unknown to them but were nevertheless perceived as backward and irrational. Canadian urban dwellers believed that nothing intangible, otherworldly could affect a wedding day or a marriage, and protection given through the church ceremony was sufficient: “I believe in God: the Holy Spirit will help you make marriage successful” (Victor); “I do not think it is necessary to protect them . But if there are very close friends who could handle a crisis situation that can just happen during the wedding-that’s a nice thing” (Sofiia).

In neither group were the clergy immune to folk beliefs, but the intensity and amount of beliefs differed. Interestingly, priests of both groups expressed half as many beliefs as rural dwellers; and among Canadian-Ukrainian priests that number was half of what the Ukrainian clergy believed. It seemed that Canadian-Ukrainian priests found it easier to reject folk beliefs than the Ukrainian clergy. One reason might be that the former worked in an environment, where beliefs in the supernatural were neither appreciated, maintained, nor passed down. Ukrainian priests, on the other hand, provided examples of every day dealing with folk beliefs and the people’s fears of the supernatural. Ukrainian priests used the formula “The folk say/do this, but it is a superstition”; the Canadian priests said: “Nobody says/does this, and this is a superstition.” In both cases the word superstition implied irrational, backward beliefs. Ukrainian priests maintained the korovai, rushnyk, and showering as mandatory traditional elements of their own weddings. They continued to perceive them as sacred objects and ancient rituals essential for the present. All Canadian-Ukrainian priests used the korovai in their weddings but considered showering of the couple as an annoying redundant ritual: “Some would like to , but we do not allow it because someone has to clean that afterwards… Those who clean up protest” (rev. Fedir).

Only Ukrainian priests were familiar with the ritual of stepping on a nishnyk as a means of establishing a leading role in the family, and they routinely dealt with it when they blessed young couples.

Both groups of priests admitted the existence of supernatural powers and diabolical forces capable of doing harm. Yet Canadian priests recognized-in theory-diabolical forces only in terms of their place within the Christian cosmology, while Ukrainian priests provided detailed examples from their own every day practice: “There are people who can use all those things for sorcery even inside a church. There are people with different spiritual states and intentions… The church uses ‘living water’ and wizards use ‘dead water.’ They summon the devil’s curse through that water and then use it. They also use water from washing the dead body, candles from funerals; they cross the path of the couple, even inside the church… The wizards use a myriad of things: they bring nails, hair, poppy seeds, or dried frogs with them to church. Let’s remember that these are people who wish the couple not happiness, but misfortune… The wedding candle has a certain meaning. Together with the icons and a rushnyk it is a mute witness of the wedding. You can take it with you from the church… but under the condition that it will not get into the hands of strangers… You’d better leave your wedding candle in the church so that it will burn down and there will be a guarantee it will not get into enemy hands” (rev. Ivan, Ukraine). Compare the Canadian view: “Some people do not want to have a wedding candle because it is somewhat dangerous, and then, you know, those candles can spot the floor in the church…” (rev. Mykyta, Canada).

Canadian priests did not believe that life outside of church was full of supernatural dangers or that a couple needed special protection, while Ukrainian priests did: “Both priests and church- workers watch carefully so that everything is efficient and proper. Therefore, it is improbable that someone might harm the couple in church. They are under the spiritual protection of God… The priests instruct the couple to pay attention so that nobody cuts a piece off the wedding dress or the veil, or takes away their wedding candle so as nothing would end up in strangers’ hands… Magic-it is serious” (rev. Ivan, Ukraine). “Oh, there are such things connected to black magic that can harm the couple. bury a korovai in the ground, can give them some objects or take the wreaths away from them. There are different factors. Some girl maybe is offended by the groom and she desires to do evil; or there is someone who really is an expert in black magic. The only protection is faith in God” (rev. Vasyl’, Ukraine); “There is no stronger protection than confession and communion. And a cross must always be on the body. The couple is protected through blessing with the icons of the Savior and the Mother of God for marital life. In addition, they are sprinkled with blessed water and poppy seeds, according to folk custom” (rev. Petro, Ukraine).

Answers provided by divorced informants stressed the difference between magical and rational worldviews even more. The Ukrainian divorced group was convinced that nature itself sent them omens, foretelling their unhappy marital lives and that something magical had happened at their wedding, i.e., that malicious people performed some acts. The most characteristic feature of the divorced group was the abundance of their examples as well as their strong belief that evil forces interfered and caused the failure of their marriage. Divorced Ukrainians tend to look back on the day of their wedding (or on prewedding events) and find, post hoc, omens that predicted the failure of the marriage. It seems that personal predispositions do not matter: in peoples’ minds, a happy marriage lies outside of the sphere of their own power since the informants attributed the breakdown of their marriages to some supernatural force. “It is a bad omen to forget something, and we forgot our passports. Besides, we were married on June 21st, and this is the day when the War started. So, we were quarrelling all the way through , all five years” (Vira).

Canadian divorced informants, on the contrary, did not believe that otherworldly forces can interfere with their happiness. To lead a happy life, they felt it was enough to have strong desires and abilities. Periodic questions addressed to married Canadian interviewees about their divorced friends showed that this topic was taboo even between close friends: “I do not think any of can relate to the day of the wedding. It is a sort of event that occurs after the wedding… that makes marriage deteriorate” (levhen, urban). Avoidance of the issue might indicate that an unsuccessful marriage is perceived as a personal failure. Canadian Ukrainians rely very much on personality, on strong intentions, on one’s own will, and on the wedding vows as the best way to protect a marriage. In short, they rely on human and institutional resources. Their answers imply that they believe in personal responsibility rather than in supernatural intervention. They were very rational and logical: “I do not believe in the evil eye. I have a degree in hard sciences, and I approach things empirically. That’s why it is hard for me to believe that someone would come to the wedding, curse us, and it would ruin our life” (Semen).

Overall, the Canadian-Ukrainian group had a very pragmatic and rational worldview that can be called anti-magical: even though they did believe in and even performed some magic actions, the prevailing attitude was not to believe completely, to deny their importance or possible influence, i.e. there was no sense of causality. Generally, it appeared that treating superstitions seriously was a sign of weakness, passivity, and helplessness-traits not appreciated in Western culture.

CONCLUSIONS:

Ukrainians on two different continents possessed two different worldviews: one magical, the other anti-magical or empirical. There is an obvious incongruity between them. In Canada, magical tradition has little or no relevance. In Ukraine, on the contrary, magic is unrestricted, ever-present, filled with meaning, and is the basis for interpreting life events. For Canadian Ukrainians there is a conflict between simultaneously believing in God and in magical powers, while for Ukrainians, such conflict is mostly non-existent. In Canada, there are social and experience-related restrictions on discussions of magic beliefs and practices, while in Ukraine magic is a widely accepted phenomenon recognized even by the clergy. For Canadian Ukrainians-even if they express some beliefs or knowledge of magic-this tradition is restricted to their immediate families, whereas in Ukraine it is both discussed and performed in a public context. Using Butler’s classification of group acceptance of supernatural tradition,31 we can say that in Ukraine people’s acceptance ranged from total to marginal, while in Canada it ranged from uncertainty to total rejection.

In the wedding context, ritual acts and sacred artifacts perform different functions for Ukrainians and Canadian Ukrainians. In Canada, they are very much interwoven into ethnic identity issues, performing an ornamental function for conscious Ukrainian identity objectification. Belief in their initial magical qualities, however, is no longer current in Canada. In Ukraine, on the contrary, all three magic components (ritual acts, utterances, and sacred artifacts) retain an unbroken continuity with the past.

The traditional Ukrainian wedding complex in Canada has been experiencing changes and losses: the ritual of making a korovai has disappeared or the korovai is baked without any accompanying “fortune-telling”; korovai sharing is not practiced; a couple is not showered; the concept of a “wrong” gift is almost absent. On the other hand, some new wedding traditions have appeared and are now considered traditional (e.g., preserving the wedding korovai, including certain elements in the wedding attire, or hiding a bride’s wedding dress from a groom). According to Bogatyrev, this is natural since “new rites and magical actions are always being created.”32 This remains true for both groups in the study, yet the Ukrainian group seemed to be more conservative in terms of creating new magical wedding elements.

Weddings of Ukrainians in Canada are designed mainly according to Western standards. They may or may not contain Ukrainian elements. If they do, those elements are pre-selected by the couple according to the principle “The best from Ukraine.” Their main function is to underline one’s marked status, i.e., one’s belonging to a different, Ukrainian, culture within a multicultural environment. It is about making a statement about one’s Ukrainian heritage and a conscious desire to preserve it: “If I would know there is such folk ritual I would probably perform it. Not because I believe in it but because the folk do it. And it would be one more way to underline my Self, my Ukrainian Self. I would do it for the sake of that tradition. But whether I would believe in that or notthat would be secondary for me” (Semen, divorced); “It is part of the heritage and part of the tradition. I really want to keep that tradition in a family” (Sofiia, urban). The symbolic meaning of the magical actions, however, is neither socially relevant, nor central to their ethnic identity. Traditional Ukrainian wedding elements are emphasized in Canada through visual means, on the level of physical objects and vivid actions. They serve an ornamental function and reflect purely theoretical knowledge; they lack the inner, originally magical, essence. Canadian-Ukrainian weddings have become a “staged art,” a learned tradition where every step and element are precisely choreographed and-if necessary-verified through books since “tradition competence” is no longer alive. The number and quality of these elements depend on the individual couple. But even if they are numerous, magic cannot be “staged”-and thus simply disappears.

1 Vilmos Voigt, Suggestions towards a Theory of Folklore (Budapest: Mundus Hungarian University Press, 1999) 236.

2 Carole H. Carpenter, Many Voices: A Study of Folklore Activities in Canada and Their Role in Canadian Culture (Ottawa: National Museums of Canada, 1979) 374.

3 Marcus L. Hansen, The Problem of the Third Generation Immigrant (Rock Island, IL: Augustana Historical Society, 1938).

4 Guntis Smidchens, “Immigrant and Ethnic Folklore,” The Emergence of Folklore in Everyday Life: A Fieldguide and Sourcebook, ed. by George H. Schoemaker (Bloomington, Ind.: Trickster Press, 1990) 135.

5 See, for example, Marvin Opler, “Japanese Folk Beliefs and Practices, Tule Lake, California,” Journal of American Folklore 63 (1950): 385-397; Barbro Sklute, Legends and Folk Beliefs in a Swedish American Community: A Study in Folklore and Acculturation (Ann Arbor, Michigan and London, England: University Microfilms International, 1971); Carla Bianko, The Two Rosetos (Bloomington: Indiana University Press, 1974) for discussion of transformations of Japanese, Swedish, and Italian traditional cultures in North America.

6 Robert Klymasz, Svieto: Celebrating Ukrainian-Canadian Ritual in East Central Alberta through the Generations (Toronto: HSS, 1992); Marie Lesoway, “Ukrainian Ritual Breads,” Migrations from Western Ukraine to Western Canada, ed. by Alesander Makar and Radomis Bilash (Edmonton: Canadian Center for Ukrainian Culture and Ethnography, 2002).

7 Robert Klymasz, “Introduction,” Continuity and Change: The Ukrainian Folk Heritage in Canada (Ottawa: The Center, 1972) 11.

8 Galina Lindquist, Conjuring Hope: Healing and Magic in Contemporary Russia (New York/Oxford: Berghahn Books, 2006) 3.

9 Olexandra Britsyna and Inna Holovakha, Prozovyi Fol’klor sela Ploske na Chernihivshchyni (teksty ta rozvidky) (Kyiv: IMFE im. M.T. Ryl’s’koho, 2004) 24.

10 Rosalie Wax and Murray Wax, “The Magical World View,” Journal for the Scientific Study of Religion 1.2(1962): 185.

11 Kenneth Pimple, “Folk Beliefs,” The Emergence of Folklore in Everyday Life: A Fieldguide and Sourcebook, ed. by George H. Schoemaker (Bloomington, Ind.: Trickster Press, 1990)53.

12 Robert Georges and Michael Jones, Folkloristics: An Introduction (Bloomington, Indiana University Press, 1995)97.

13 The wedding literature from the turn of the century tends to be a more genuine and reliable source of information than the Soviet Ukrainian publications. Western scholarship on magic in the post- Soviet countries focuses primarily on the urban setting. My work tries to balance that with a look at life in villages.

14 Petr Bogatyrev, Vampires in the Carpathians: Magical Acts, Rites, and Beliefs in Subcarpathian Rus ‘ (New York: Columbia University Press, 1998 [1929]).

15 James G. Frazer, The Golden Bough: A Study in Magic and Religion (New York: Macmillan Company, 1963 [1890]) 11.

16 Gary Butler, Saying Isn’t Believing: Conversation, Narrative and the Discourse of Tradition in a French Newfoundland Community (St. John’s: Institute of Social and Economic Research Memorial University of Newfoundland, 1990) 83.

17 Bogatyrev 34.

18 Hnat Tantsiura, Vesillia v seli Ziatkivtsiakh [Wedding in the Village of Ziatkivtsi], ed. by M.K. Dmytrenko and L.O. lefremova (Kyiv: Narodoznavstvo, 1998) 54. Tantsiura collected his materials in 1918-1930.

19 Bogatyrev 106.

20 Pavlo Chubyns’kyi, Mudrist’ vikiv, vol. II (Kyiv: Mystetstvo, 1995 [1872]) 140-141.

21 Chubyns’kyi 141.

22 Bogatyrev 106.

23 Bogatyrev 106.

24 Bogatyrev 104.

25 The often problematic methodology of my study is expressive of the problematic nature of studying beliefs and attitudes. Not trying to be representative, I, however, was looking for nuance and diversity. My limited sample does not permit strong generalizations, but presents patterns of the contemporary magic beliefs across different social strata in Ukraine and among Canadians who identify themselves as Ukrainians. Apart from the clergy subgroups, the majority of my informants were females, most probably due to the idea of “gender relevant” activities: Ukrainian men, often believing that women were better narrators, would more readily provide information about domestic animals or households, than about their weddings.

26 Henk Versnel, “Some Reflections on the Relationship Magic- Religion,” Numen 38.2 (1991): 178.

27 John C. Lehr, “Introduction,” in Zhorna: Material Culture of the Ukrainian Pioneers, by Roman Paul Fodchuk (Calgary: University of Calgary Press, 2006) xviii.

28 All names are changed. See the list of informants in Appendix A.

29 The main state-representative institution in rural settings.

30 Abbreviation stands for Zapys Aktiv Hromadians’koho Stanu, a state institution that officially certifies marriages, births, and deaths of the citizens.

31 Butler 98.

32 Bogatyrev 15.

SVITLANA KUKHARENKO is a PhD candidate in the Department of Modern Languages and Cultural Studies, Ukrainian Program, University of Alberta. Her major field of interest is contemporary Ukrainian folk beliefs. She has published an article on animal magic in Folklorica and is currently writing her dissertation on accidental death memorials and magic connected to travel.

Copyright Canadian Association of Slavists Mar-Jun 2008

(c) 2008 Canadian Slavonic Papers. Provided by ProQuest Information and Learning. All rights Reserved.

Circadian System – Not All Light Sources The Same

Like a wristwatch that needs to be wound daily for accurate time-telling, the human circadian system “” the biological cycles that repeat approximately every 24 hours “” requires daily light exposure to the eye’s retina to remain synchronized with the solar day. In a new study published in the June issue of Neuroscience Letters, researchers have demonstrated that when it comes to the circadian system, not all light exposure is created equal.

The findings have profound implications for exploring how lighting can be used to adjust our bodies’ clocks, and they could redefine the way lighting is manufactured, according to Mariana Figueiro, lead author of the paper and assistant professor in the Lighting Research Center (LRC) at Rensselaer Polytechnic Institute.

Short-wavelength light, including natural light from the blue sky, is highly effective at stimulating the circadian system. Exposure to other wavelengths “” and thus colors “” of light may necessitate longer exposure times or require higher exposure levels to be as effective at “winding the watch.”

In some instances, exposure to multiple wavelengths (colors) of light simultaneously can result in less total stimulation to the circadian system than would result if either color were viewed separately, a phenomenon known as “spectral opponency.” The LRC scientists have shown that the circadian system shares neurons in the retina “” which exhibit spectral opponency and form the foundation for our perception of color “” with the visual system. Thus, in principle, the circadian system may be able to distinguish between lights of different colors.

More than meets the eye

To demonstrate that the circadian system exhibited spectral opponency formed in the retina, the researchers exposed 10 subjects to three experimental conditions: one unit of blue light to the left eye plus one unit of green light to the right eye; one unit of blue light to the right eye plus one unit of green light to the left eye; and half a unit of blue light plus half a unit of green light to both eyes and then measured each individual’s melatonin levels, a natural indicator of the circadian clock.

“The first two conditions “” exposure to a single color in each eye “” did not result in a significant difference in melatonin suppression, while the third condition “” exposure to both colors in both eyes “” resulted in significantly less melatonin suppression,” said Figueiro. “Even though the amount of light at the eye was the same in all three conditions, when the two colors of light were combined in the same eye, the response of the system was reduced due to spectral opponent mechanisms formed in the retina.”

This indicates that spectral opponency is a fundamental characteristic of how the human retina converts light into neural signals in the human circadian system, according to Figueiro.

The findings also verify the accuracy of a new quantification system LRC researchers developed in 2006 to calculate the “circadian efficacy” of different light sources. Called the model of human circadian phototransduction, the tool correctly predicted the circadian system response demonstrated under each of the three experimental conditions.

The model appears to correctly predict the circadian response to any light source, and can be used as the foundation for a new system of circadian photometry, much like the current system of photometry based on human vision.

Quantification of light as a stimulus for the circadian system provide new scientific insights into how the human body processes light for the circadian system, according to Figueiro.

Nocturnal melatonin, a hormone produced at night and under conditions of darkness, is used as a marker for the circadian clock. Scientific evidence suggests that disruption of the circadian system “” and thus the melatonin cycle “” may result in increased malignant tumor growth, as well as poor sleep quality, lack of alertness, seasonal depression, and immune deficiencies.

Now that the model can predict circadian efficacy for any light source, Figueiro and her research partners have begun studying the way time of night affects the potency of light exposure. Once complete, the comprehensive model will allow manufacturers to develop light sources that most effectively stimulate and, importantly, do not stimulate the circadian system.

Figueiro’s research was supported by a $200,000 grant from the New York State Office of Science, Technology, and Academic Research (NYSTAR), which awarded her the James D. Watson Investigator award in 2007.

The Watson awards are designed to recognize and support outstanding scientists and engineers who show potential for leadership and scientific discovery early in their careers in the fields of biotechnology, according to Michael J. Relyea, executive director of NYSTAR.

Figueiro conducted her research with LRC Director Mark Rea, and Senior Research Scientist Andrew Bierman, who are coauthors on the paper.

On the Net:

Lighting Research Center

Neuroscience Letters

Robofish Work As A Team

In the world of underwater robots, this is a team of pioneers. While most ocean robots require periodic communication with scientist or satellite intermediaries to share information, these can work cooperatively communicating only with each other.

Over the past five years Kristi Morgansen, a University of Washington assistant professor of aeronautics and astronautics, has built three Robofish that communicate with one another underwater. Recently at the International Federation of Automatic Control’s Workshop on Navigation, Guidance and Control of Underwater Vehicles she presented results showing that the robots had successfully completed their first major test. The robots were programmed to either all swim in one direction or all swim in different directions, basic tasks that can provide the building blocks for coordinated group movement.

This success in indoor test tanks, she said, will eventually provide the basis for ocean-going systems to better explore remote ocean environments.

“Underwater robots don’t need oxygen. The only reason they come up to the surface right now is for communication,” Morgansen said. Her robots do not need to come to the surface until their task is complete.

In the future, ocean-going robots could cooperatively track moving targets underwater, such as groups of whales or spreading plumes of pollution, or explore caves, underneath ice-covered waters, or in dangerous environments where surfacing might not be possible. Schools of robots would be able to work together to do things that one could not do alone, such as tracking large herds of animals or mapping expanses of pollution that can grow and change shape.

Co-authors on the recent study were UW doctoral students Daniel Klein and Benjamin Triplett in aeronautics and astronautics, and UW graduate student Patrick Bettale in electrical engineering. The research was supported by grants from the National Science Foundation and the Air Force Office of Scientific Research.

The Robofish, which are roughly the size of a 10-pound salmon, look a bit like fish because they use fins rather than propellers. The fins make them potentially more maneuverable and are thought to create lower drag than propeller-driven vehicles.

But while other research groups are building fishlike robots, what’s novel with this system is that the robotic fish can communicate wirelessly underwater. Again, Morgansen looked to natural systems for inspiration. The engineers worked with collaborator Julia Parrish, an associate professor in the UW’s School of Aquatic and Fishery Sciences, to record patterns of fish schools’ behavior.

“In schooling and herding animals, you can get much more efficient maneuvers and smoother behaviors than what we can do in engineering right now,” Morgansen explained. “The idea of these experiments (with schools of live fish) is to ask, ‘How are they doing it?’ and see if we can come up with some ideas.”

The team trained some live fish to respond to a stimulus by swimming to the feeding area. The scientists discovered that even when less than a third of the fish were trained, the whole school swam to the feeding area on cue.

“The fish that have a strong idea tend to dominate over those that don’t,” Morgansen said. “That has implications for what will happen in a group of vehicles. Can one vehicle make the rest of the group do something just based on its behavior?”

Beyond finding the optimal way to coordinate movement of the robots, the researchers faced major challenges in having robots transmit information through dense water.

“When you’re underwater you run into problems with not being able to send a lot of data,” Morgansen said. State of the art is 80 bytes or about 32 numbers per second, she said.

The energy required to send the information over long distances is prohibitive because the robots have limited battery power. What’s more, signals can become garbled when they reflect off the surface or off of any obstacles.

Messages were sent between the robots using low-frequency sonar pulses, or pressure waves. The new results showed that only about half the information was received successfully, yet because of the way the Robofish were programmed they were still able to accomplish their tasks. Robots that can independently carry out two simple sets of instructions–swimming in the same direction or swimming in different directions–will allow them to carry out more complicated missions.

Now researchers are using the fish’s coordination ability to do a task more similar to what they would face in the ocean. The Robofish pack’s first assignment, beginning this summer, will be to trail a remote-controlled toy shark.

Image 1: Kristi Morgansen uses a remote controller to direct a Robofish. In experiments she programs basic instructions so up to three robots can navigate without human intervention. (University of Washington)

Image 2: A fin-propelled Robofish designed at the University of Washington. A penny in front of the robot gives a sense of its size. (University of Washington)

On the Net:

Fin Actuated Autonomous Underwater Vehicle (Information and Video)

University of Washington

Training Can Increase Fluid Intelligence

Can human beings rev up their intelligence quotients, or are they stuck with IQs set by their genes at birth? Until recently, nature seemed to be the clear winner over nurture.

But new research, led by Swiss postdoctoral fellows Susanne M. Jaeggi and Martin Buschkuehl, working at the University of Michigan in Ann Arbor, suggests that at least one aspect of a person’s IQ can be improved by training a certain type of memory.

Most IQ tests attempt to measure two types of intelligence–crystallized and fluid intelligence. Crystallized intelligence draws on existing skills, knowledge and experiences to solve problems by accessing information from long-term memory.

Fluid intelligence, on the other hand, draws on the ability to understand relationships between various concepts, independent of any previous knowledge or skills, to solve new problems. The research shows that this part of intelligence can be improved through memory training.

“When it comes to improving intelligence, many researchers have thought it was not possible,” says Jaeggi. “Our findings clearly show this is not the case. Our brain is more plastic than we might think.”

Jaeggi, Buschkuehl and Walter Perrig from Bern University, Switzerland, along with Jon Jonides, their National Science Foundation-supported colleague from the University of Michigan, reasoned that just as crystallized intelligence relies on long-term memory, fluid intelligence relies on short-term memory, or “working memory,” as it is more accurately called. This is the same type of memory people use to remember a phone number or an e-mail address for a short time, but beyond that, working memory refers to the ability to both manipulate and use information briefly stored in the mind in the face of distraction.

Researchers gathered four groups of volunteers and trained their working memories using a complex training task called “dual n-back training,” which presented both auditory and visual cues that participants had to temporarily store and recall.

Participants received the training during a half hour session held once a day for either eight, 12, 17 or 19 days.  For each of these training periods, researchers tested participants’ gains in fluid intelligence. They compared the results against those of control groups to be sure the volunteers actually improved their fluid intelligence, not merely their test-taking skills.

The results were surprising. While the control groups made gains, presumably because they had practice with the fluid intelligence tests, the trained groups improved considerably more than the control groups. Further, the longer the participants trained, the larger were their intelligence gains.

“Our findings clearly show that training on certain memory tasks transfer to fluid intelligence,” says Jaeggi. “We also find that individuals with lower fluid intelligence scores at pre-test could profit from the training.”

The results are significant because improved fluid intelligence scores could translate into improved general intelligence as measured by IQ tests. General intelligence is a key to determining life outcomes such as academic success, job performance and occupational advancement.

Researchers also surmise that this same type of memory training may help children with developmental problems and older adults who face memory decline. But, that remains to be seen, because the test results are based on assessments of young, healthy adult participants.

“Even though it currently appears very hard to improve these conditions, there might be some memory training related to intelligence that actually helps,” says Jaeggi. “The saying ‘use it or lose it’ is probably appropriate here.”

Since it is not known whether the improvements in fluid intelligence last after the training stops, researchers currently are measuring long-term fluid intelligence gains with both laboratory testing and long-term field work. Researchers say it will be some time before a complete data set is available to draw any conclusions.

University of Bern professor Walter J. Perrig also co-authors this study along with University of Michigan professor John Jonides. The Swiss National Science Foundation funds Jaeggi and Buschkuehl’s visiting scholar status.

On the Net:

National Science Foundation

University of Michigan

Procedure for Prolapsed Hemorrhoids for Treatment of Rectal Mucosa Prolapse Following Anorectoplasty for Imperforate Anus

By Amortegui, Jose D Solla, Julio A

Surgical management of imperforate anus and rectal mucosal prolapse has evolved significantly over the last two decades. The procedure for prolapsed hemorrhoids (PPH) is now widely used primarily for rectal mucosal prolapse and internal hemorrhoids. We describe the use of PPH in the management of symptomatic rectal mucosal prolapse in a 39-year-old man with a history of a high imperforate anus and pelvic floor reconstruction. At 4-year follow up, the prolapse has not recurred and the preoperative symptoms have resolved. To the best of our knowledge, this is the first report on the use of a PPH in the management of rectal mucosal prolapse in a patient with these characteristics. THE MANAGEMENT OF AN imperforate anus has evolved significantly over the last 25 years, especially by the development of the posterior sagittal anorectoplasty (PSARP) described by Pena and deVries in 1982.1, 2 Long-term complications after repair of an imperforate anus are common, including soiling, ectropion, fecal incontinence, and constipation.3 These patients are predisposed to rectal mucosal prolapse.

The procedure for prolapsed hemorrhoids (PPH) was first described by Longo in 1998.4 Today, the PPH is indicated in the management of rectal mucosal prolapse and internal hemorrhoids. Although not considered a traditional indication, the PPH has also been used for the treatment of rectal mucosal prolapse with outlet obstruction, other functional disorders of defection, and even rectocele.5-8 To the best of our knowledge, this is the first report of a PPH used for rectal mucosal prolapse in a patient with a history of a high imperforate anus.

Case Report

A 39-year-old white man presented in July 2003 with increasing rectal pain after bowel movements and sitting, worsening rectal mucosal prolapse, pruritus ani, soiling, and a significant amount of bright red blood with stools. His history included a high imperforate anus. He had a colostomy immediately after birth and during the next 4 years, he had multiple surgeries to reconstruct his anorectum and perineum. At the age of 4 years, continuity of the gastrointestinal tract was re-established. Since then, the patient has had chronic constipation with straining, and he averaged one to two bowel movements per week using an enema on a biweekly basis to evacuate. Once able to defecate, he had significant incontinence. His constipation-incontinence lasted until his latter 20s and had only recently reached a point where soiling and seepage was not a major problem. He has also had a long history of rectal mucosal prolapse, ectropion, pruritus ani, and occasional rectal pain and bleeding.

When asked the reason for delaying seeking out medical attention, he expressed to us that he had his symptomatic mucosal prolapse for years because of his fear that surgery would cause recurrence of his incontinence.

Avoiding incontinence or even seepage was very important because he is a maintenance technician in a nuclear plant; he works in radiation-contaminated areas, requiring the use of a bubble suit, which did not allow him to take breaks for cleaning purposes.

On physical examination, there was an obvious circumferential rectal mucosal prolapse exiting at least 1.5 cm with associated swelling and signs of pruritus ani. There was no evidence of full- thickness rectal prolapse. There was an ectropion secondary to his prior surgeries with erythema of the perineal area secondary to “wet anus syndrome” and pruritus ani. There was no evidence of hemorrhoids or an obvious sphincter complex and his squeeze pressure was very poor to almost absent (Fig. 1A). A proctoscopic examination up to 18 cm showed signs of nonspecific proctitis. After the initial evaluation, the patient was put on a high-fiber diet with psyllium supplementation and was scheduled for a PPH.

FIG. 1. (A) Preoperative findings; note the mucosal prolapse. (B) Postoperative results; the prolapse has resolved.

At surgery, there was incarcerated rectal mucosa with associated swelling in the area where one would expect hemorrhoids to be. Such findings explain the pain, bleeding, “wet anus syndrome,” and pruritus ani experienced by the patient. We proceeded with a standard PPH as described elsewhere with the intention of performing a mucoproctoplasty.9

The senior author (SJ) modifies the procedure by drawing a line in the pursestring suture anoscope at the point where it changes from a cylinder to a cone. This facilitates visualization of the point where the pursestring should be made; the residents routinely refer to this as “Solla’s line” (Fig. 2).

The postoperative period was uneventful with only mild discomfort during the first few postoperative days. Pain, bleeding, pruritus ani, “wet anus syndrome,” soiling, and rectal mucosal prolapse rapidly resolved after the surgery and have not recurred with 4 years of follow up (Fig. IB). His constipation improved as well with the diet modification and fiber supplementation. Most importantly for the patient, he maintained continence.

Discussion

There are a wide range of congenital anorectal malformations. Imperforate anus occurs in every 4000 to 5000 births. Sacral deformities, spinal abnormalities, esophageal atresia, cardiac malformations, and urologie defects are commonly associated.3,10 Surgical management is dictated by anatomy, associated malformations, and the patient’s condition. Consensus exists that patients with a perineal fistula can be repaired primarily in the newborn period without a colostomy. For all other anorectal defects, a three-step approach consisting of diverting colostomy shortly after birth, definitive surgical management of the defect at a later date, usually 4 to 8 weeks later, and, finally, colostomy closure.10 Most pediatric surgeons perform the PSARP to repair these malformations with or without laparotomy or laparoscopy.3,10

FIG. 2. (A) Line in the pursestring suture anoscope at the point where it changes from a cylinder to a cone. (B) Anoscope in a patient; the line facilitates visualization of the point where the pursestring should be made. (Note: This image is not from the case reported in this text.)

For our patient, a colostomy was required at birth and he had multiple surgeries throughout his first years of life. Eventually, the colostomy was closed when he was 4 years old. Unfortunately, old records from our patient were lost. We speculate that he had a high and complex defect based on the course of his management. At the time of our patient’s birth, the PSARP had not been described; we could not tell what kind of definitive repair he had.

Most patients who undergo repair of an anorectal malformation have some degree of a functional defecating disorder with an abnormal fecal continence mechanism. Long-term results vary depending on the type of defects; patients with a bladder neck fistula have a worse prognosis than those with perineal fistula. Thirty-five per cent to 100 per cent of patients have voluntary bowel movements. Total continence ranges from O per cent to 100 per cent and constipation (65%) is the most common sequelae seen in patients after the repair of an imperforate anus.3,10 Our patient had lifelong constipation that required biweekly enemas to evacuate.

Rectal mucosal prolapse is a common condition that is frequently confused with prolapsing hemorrhoids. Rectal mucosal prolapse is characterized by prolapse of the rectal mucosa below the dentate line spontaneously or during straining on defecation. It may or may not be associated with internal prolapsed hemorrhoids and causes itching, wet anus, and bleeding. All these symptoms were experienced by our patient. In his case, there were no hemorrhoidal cushions with the prolapsed mucosa. The most common condition that causes rectal mucosal prolapse is constipation and chronic straining; other causes include anal sphincter dysfunction and descending perineum syndrome. The treatment is based on the severity of symptoms and findings on examination and can range from conservative measures to surgical excision of the prolapsed mucosa.

The PPH was first described by Longo in 1998(4); in his initial series, he reported on 144 patients with mucosal and hemorrhoidal prolapse who underwent PPH with good results. The therapeutic premise for the procedure is that the reduction of the prolapse, restoring the normal anatomical relationship between the anal mucosa and the hemorrhoidal piles with the anal sphincters, allows a better venous return; there is also a blocking of the end branches of the upper rectal artery and, as a consequence, the regression of the symptoms of the hemorrhoidal disease, anal prolapse, and bleeding. After this initial report, there have been randomized trials comparing the PPH with different techniques used in the management of hemorrhoidal disease.11-18 The trials have proven that the PPH is safe procedure; it is at least as effective as the traditional methods in the surgical management of internal hemorrhoidal disease and rectal mucosal prolapse and has the same complication rates as the open techniques. Advantages of the PPH over open techniques include less postoperative pain, fewer analgesics, early discharge, less time off work, and less pain at first bowel movement. These advantages result as a result of the fact that the highly innervated peri-anal skin and anoderm are not incised or removed. One of the author’s (SJ) personal experience with more than 600 PPH mirrors these results with 50 per cent of the patients back to their normal activities in 3 days and 95 per cent within 1 week. A recent meta- analysis of stapled hemorrhoidectomy done by the Cochrane group19 showed a higher long-term risk of hemorrhoidal recurrence and the symptoms of prolapse. This study has been widely criticized because it draws conclusions from heterogeneous patients and techniques compared. We inform the patients that the PPH has a higher recurrence rate for hemorrhoids, but we also believe that the advantages mentioned outweigh any increase in the recurrence rate. Altomare et al.20 reported the successful treatment of 18 patients with overt rectal mucosal prolapse without hemorrhoids using the PPH stapler. All patients were fully satisfied with the results and the prolapse was eliminated in all except two who required one rubber band ligation. Similar good results were reported more recently in a small series of eight patients without recurrence of rectal mucosal prolapse.21

We were able to use to use the PPH technique to maximally benefit our patient. Left with the undesirable complications of soilage, constipation, prolapse, and pain after imperforate anus reconstruction, the PPH has successfully eliminated these symptoms. After a 4-year follow up, the prolapse has not recurred and the preoperative symptoms have resolved. The PPH technique should be considered in similar cases.

REFERENCES

1. Pena A, Devries PA. Posterior sagittal anorectoplasty: Important technical considerations and new applications. J Pediatr Surg 1982;17:796-811.

2. deVries PA, Pena A. Posterior sagittal anorectoplasty. J Pediatr Surg 1982; 17:638-43.

3. Levitt MA, Pena A. Outcomes from the correction of anorectal malformations. Curr Opin Pediatr 2005;17:394-401.

4. Longo A. Treatment of hemorrhoids disease by reduction of mucosa and hemorrhoidal prolapse with a circular suturing device: A new procedure. In: Proceedings of the 6th World Congress of Endoscopie Surgery. Rome: Monduzzi Editori, 1998:777-84.

5. Araki Y, Ishibashi N, Kishimoto Y, et al. Circular stapling procedure for mucosal prolapse of the rectum associated with outlet obstruction. Kurume Med J 2001;48:201-4.

6. Boccasanta P, Venturi M, Roviaro G. Stapled transanal rectal resection versus stapled anopexy in the cure of hemorrhoids associated with rectal prolapse. A randomized controlled trial. Int J Colorectal Dis 2007;22:245-51.

7. Corman ML, Carriero A, Hager T, et al. Consensus conference on the stapled transanal rectal resection (STARR) for disordered defaecation. Colorectal Dis 2006;8:98-101.

8. Jayne DG, Finan PJ. Stapled transanal rectal resection for obstructed defaecation and evidence-based practice. Br J Surg 2005;92:793-4.

9. Corman ML, Gravie JF, Hager T, et al. Stapled haemorrhoidopexy: A consensus position paper by an international working party-Indications, contra-indications and technique. Colorectal Dis 2003;5:304-10.

10. Pena A, Hong A. Advances in the management of anorectal malformations. Am J Surg 2000; 180:370-6.

11. Bikhchandani J, Agarwal PN, Kant R, Malik VK. Randomized controlled trial to compare the early and mid-term results of stapled versus open hemorrhoidectomy. Am J Surg 2005; 189: 56-60.

12. Chung CC, Cheung HY, Chan ES, et al. Stapled hemorrhoidopexy vs. harmonic scalpel hemorrhoidectomy: A randomized trial. Dis Colon Rectum 2005;48:1213-9.

13. Gravie JF, Lehur PA, Huten N, et al. Stapled hemorrhoidopexy versus Milligan-Morgan hemorrhoidectomy: A prospective, randomized, multicenter trial with 2-year postoperative follow up. Ann Surg 2005;242:29-35.

14. Ho KS, Ho YH. Prospective randomized trial comparing stapled hemorrhoidopexy versus closed Ferguson hemorrhoidectomy. Tech Coloproctol 2006;10:193-7.

15. Picchio M, Palimento D, Attanasio U, Renda A. Stapled vs. open hemorrhoidectomy: Long-term outcome of a randomized controlled trial. Int J Colorectal Dis 2006;21:668-9.

16. Senagore AJ, Singer M, Abcarian H, et al.; Procedure for Prolapse and Hemmorrhoids (PPH) Multicenter Study Group. A prospective, randomized, controlled multicenter trial comparing stapled hemorrhoidopexy and Ferguson hemorrhoidectomy: Perioperative and one-year results. Dis Colon Rectum 2004;47: 1824-36.

17. Wilson M, Pope V, Doran H, et al. Objective comparison of stapled anopexy and open hemorrhoidectomy: A randomized, controlled trial. Dis Colon Rectum 2002;45:1437^t4.

18. Racalbuto A, Aliotta I, Corsaro G, et al. Hemorrhoidal stapler prolapsectomy vs. Milligan-Morgan hemorrhoidectomy: A long- term randomized trial. Int J Colorectal Dis 2004; 19:239-44.

19. Jayaraman S, Colquhoun PH, Malthaner RA. Stapled versus conventional surgery for hemorrhoids. Cochrane Database Syst Rev 2006;18:CD005393.

20. Altomare DF, Rinaldi M, Chiumarulo C, Palasciano N. Treatment of external anorectal mucosal prolapse with circular stapler: An easy and effective new surgical technique. Dis Colon Rectum 1999;42:1102-5.

21. Zacharakis E, Pramateftakis MG, Kanellos D, et al. Longterm results after transanal stapled excision of rectal mucosal prolapse. Tech Coloproctol 2007; 11:67-8.

JOSE D. AMORTEGUI, M.D., JULIO A. SOLLA, M.D.

From the Department of Surgery, University of Tennessee Graduate School of Medicine,

Knoxville, Tennessee

Presented at the Annual Scientific Meeting and Postgraduate Course Program, Southeastern Surgical Congress, Birmingham, Alabama, February 9-12, 2008.

Address correspondence and reprint requests to Jose D. Amortegui, M.D., 1924 Alcoa Highway, Box U-11, Knoxville, TN 37920. E-mail: [email protected].

Copyright Southeastern Surgical Congress May 2008

(c) 2008 American Surgeon, The. Provided by ProQuest Information and Learning. All rights Reserved.

Using Herbs and Diet to Beat Crohn’s Disease

By Bone, Kerry

Crohn’s disease is a chronic autoimmune disease of unknown cause, characterized by inflammation of the gut wall triggered by an attack from the immune system. The immune system, which normally attacks invading viruses or bacteria, is somehow stimulated to attack the body’s own tissue (in this case, the gut wall). A recent survey found there has been no change in the results from conventional treatment for Crohn’s (such as drugs) in the past 40 years.1 But there is hope. Recent medical research has identified several important factors that might trigger or feed the inflammation in Crohn’s disease. In my experience, when herbs and dietary change are used to control or neutralize these factors, the inflammation is more or less alleviated.

There seems to be a genetic cause to Crohn’s disease. The genetic defect linked to Crohn’s disease actually gives us an insight into its cause. The defect is in a gene that encodes the protein known as CARD 15.2 CARD 15 is involved in recognizing and activating the immune response to bacteria. So, a poor immune response to gut microbes could be a key piece in the jigsaw puzzle. This highlights a common misunderstanding about autoimmune disease. It’s not due to a strong immune system that is too powerful. In fact, autoimmune disease, as illustrated above, most likely results when there is some weakness in the immune system. Under-responsiveness in one part of the immune system might lead to an excessive response in another part.

Johne’s disease, which occurs in cattle, is very similar to Crohn’s disease. The main difference is that the cause of Johne’s disease is known: a close relative of the bacterium that causes tuberculosis. This is known as Mycobacterium avium subspecies paratuberculosis or MAP for short. In 1984, a group of Italian researchers began a major scientific controversy when they found MAP in the intestinal tissue of patients with Crohn’s disease.3 The implication was that, like Johne’s disease, Crohn’s disease also was caused by the presence of this micro-organism in the gut. Now, more than 20 years later, the evidence implicating MAP in Crohn’s disease is strong.4 One factor behind this proof is the use of sophisticated gene techniques to find MAP, which are similar to those used by crime labs to identify victims or criminals.

Where does the MAP in humans come from? It seems it originates from consuming the milk from cows infected with Johne’s disease. Pasteurization may not kill this organism, and this has led British food authorities to advise dairy farmers not to release the milk from infected cows into the human food supply.

The amount of MAP found in Crohn’s disease patients is not high, so whether the inflammation is directly caused by the bacterium or by the body’s excessive immune response to its presence is not clear. But what is clear is that some respected medical authorities are now suggesting that eliminating MAP might improve the disease.5

Other gut bacteria such as E. coli have been implicated in Crohn’s and may contribute to the chronic disease process.6 A leaky gut probably enables the breakdown products of such bacteria to enter the general circulation, further stirring up the immune system.7

Crohn’s Disease and Diet

It might seem obvious that diet could be an important factor in Crohn’s disease, since it is after all a chronic inflammation of the digestive tract. This is backed up by the well-known observation that Crohn’s patients placed on an elemental diet (food broken down into its basic components such as amino acids, sugars, vitamins, etc) improve substantially.8 Clinical studies using elimination diets found that symptomatic improvement resulted when patients were placed on diets free of gluten, dairy products and yeast.9

The yeast aspect is particularly fascinating. Several studies have found that Crohn’s disease patients have antibodies in their blood directed towards baker’s or brewer’s yeast (Saccharomyces cerevisiae).10 In fact, these antibodies are so characteristic their presence is now used as a diagnostic test for Crohn’s.11 While some scientists think this association is of no consequence, others feel removal of yeast from the diet could be beneficial.12

Herbs for Crohn’s Disease

One of the key herbs for Crohn’s disease is the Ayurvedic herb known as boswellia. The safety and efficacy of a boswellia extract was compared against mesalazine for the treatment of 102 patients with active Crohn’s disease in an eight-week randomized, double- blind study.13 Mesalazine is a synthetic drug used as the standard anti-inflammatory treatment in Crohn’s disease. The primary clinical outcome measured was the change in the Crohn’s Disease Activity Index. After therapy with Boswellia extract (3.6 g per day), the average index was reduced by 90, compared to a reduction of only 53 for the mesalazine group (4.5 g per day).

Other herbs useful for Crohn’s disease include garlic, golden seal and some essential oils (oregano and anise) to reduce pathogenic bacteria in the gut such as MAP. Either fresh, crushed garlic cloves or garlic powder product can be used. The latter mimics in the digestive tract what happens when you crush a fresh clove. In my practice, I use a bowel flora-rebuilding protocol which is based around these herbs.

The final herb I would recommend is echinacea – a good-quality product made from the root and high in alkylamides. I know this is controversial, but I have found this herb to be very beneficial in Crohn’s disease. Remember that the genetics suggest Crohn’s disease sufferers have poor immunity against gut pathogens such as MAP.

Finally, a key aspect of therapy is to follow a strict diet. The diet should be, at the very least, diary- and yeast-free, but other food intolerances also might need to be identified and dealt with.

Case History

“Anne,” a 39-year-old woman, suffered from Crohn’s disease for 24 years. Lately (past 2.5 years), it was out of control. Anne had a stricture two inches from the rectum which made it difficult to control her bowel motions. Her main symptom was almost continuous diarrhea. Other symptoms included mouth ulcers, occasional high temperatures and chronically blocked sinuses. Conventional medications at the time of the first consultation were mesalazine 1,500 mg/day, oral prednisone (tapering off) and prednisone enemas daily. The enemas were needed because of the stricture and helped to control her bowel motions.

Anne was placed on the following nutritional and herbal protocol:

* Golden seal (1,500 mg per day) and slippery elm powder on a regular basis (she could not tolerate garlic);

* Tablets containing Echinacea angustifolia root (600 mg) and Echinacea purpurea root (675 mg), three per day;

* Tablets containing boswellia (1,200 mg), turmeric (2,000 mg), celery (1,000 mg) and ginger (300 mg), four per day; and

* A dairy- and yeast-free diet.

After five month’s treatment there was great symptomatic improvement. Anne had one relatively normal bowel motion per day. There were no mouth ulcers and the high temperatures had gone. Anne still was on her conventional medications, but the enemas were being tapered off and the prednisone was stopped.

After three years of treatment, this patient has no symptoms. Her only conventional medication is 1,000 mg/day mesalazine. Anne has been transformed from semi-invalid status to a lively outgoing person, full of energy and life.

Editor’s Note: For a complete list of references, go to www.nutritional wellness.com.

By Kerry Bone, BSc (hons.), Dip. Phyto

Bio

Kerry Bone is a practicing herbalist; co-founder and head of research and development at MediHerb; and principal of the Australian College of Phytotherapy. Kerry also is the author of several books, including Principles and Practice of Phytotherapy and The Essential Guide to Herbal Safety.

Researchers at Penn State ‘Awaken’ Dormant Bacteria

By Allison M. Heinrichs

Beneath two miles of ice in Greenland, a novel species of unusually small yellow-orange bacteria has been lying dormant for 120,000 years.

On Tuesday, Pennsylvania State University researchers announced they “awakened” the bacteria.

“This organism could have some very unique and useful properties, including perhaps biotechnical ones, like novel enzymes for making antibiotics,” said co-discoverer Vanya Miteva, a senior research associate at Penn State.

The discovery strengthens scientists’ belief that if any life is found on Mars it would be in the red planet’s polar ice caps, where NASA’s Phoenix spacecraft landed over Memorial Day weekend.

“No one knows if there is life on Mars, but if there were, it would have to survive at very low temperatures,” said Jeffrey Lawrence, associate professor of biology at the University of Pittsburgh. “Understanding the extremes of what you find on this planet could help you understand what is possible elsewhere and how to look for it.”

The bacteria, reported at the 108th American Society for Microbiology General Meeting in Boston, is called Chryseobacterium greenlandensis, which means yellow bacteria from Greenland. Only about 10 species of bacteria have been found in polar ice and scientifically characterized.

Chryseobacterium greenlandensis is about 20 times smaller than typical bacteria, making it tiny enough to fit in the microscopic cracks in ice where water stays a liquid and small amounts of nutrients are trapped.

“That’s how they survive in the ice,” said Miteva, who works in the laboratory led by Jean Brenchley, a biochemistry and molecular biology professor at Penn State. “There are tiny liquid veins between the ice crystals. … They are small, but this bacteria will fit in there. Life needs water. If there is not water, there is no life.”

The bacteria was in a column of ice drilled out of a glacier. To revive the oblong bacteria, the scientists slowly melt the ice and then pass it through filters to remove larger bacteria. The ice water was incubated in the cold without oxygen and with little nutrients.

When scientists examined the bacteria with a high-powered microscope, they discovered it dividing and growing.

Brenchley’s team analyzed its genetic material and cross- referenced it against known bacteria. Because it had no matches, they knew it was a new species. It is related to bacteria found in fish, marine mud and the roots of some plants.

(c) 2008 Tribune-Review/Pittsburgh Tribune-Review. Provided by ProQuest Information and Learning. All rights Reserved.

Hispanic Teens At Higher Risk For Drug-Use, Depression

A federal survey shows that Hispanic high school students use drugs and attempt suicide at higher rates than their black and white classmates. This represents the continuation of a troubling trend found in the series of surveys of U.S. high school students every two years.

“It is disheartening that we aren’t seeing progress among Hispanic teens for certain risk factors,” said Howell Wechsler of the Centers for Disease Control and Prevention.

The study showed that black and white students are reporting less sexual activity than in years past, but there was no decline among Hispanics and experts are not sure why.

Hispanic students were also more likely than either blacks or whites to attempt suicide, ride with a driver who had been drinking alcohol, or use cocaine, heroin or ecstasy.

They were also found most likely to drink alcohol on school property, be offered or sold illegal drugs, and occasionally skip school because they feared for their safety.

Wechsler, who is director of the CDC’s Division of Adolescent and School Health, said the school environments many Hispanics face may differ considerably from what many blacks or whites encounter.

“There’s tremendous segregation in our schools,” he said.

A CDC survey of about 14,000 U.S. high school students has been conducted every other year since 1991. Results reported Thursday were from last year’s survey.

The questionnaires were given to students in grades 9-12 in both public and private high schools in all 50 states and the District of Columbia. Parental permission was required for each student who participated.

Adolescents cannot always be counted on to tell the truth about their sexual exploits, drug use, or other risky behaviors. But CDC officials say they take many steps to secure accurate responses: Participation is confidential, kids are spaced apart when answering the questions and teachers do not hover.

Questions over a wide array of behaviors such as sunscreen use, seatbelt avoidance, drug use and suicide attempts are covered in the survey.

Both the 2005 and the 2007 data showed higher rates of risk-taking by Hispanics in several areas.

One example being that about 10 to 11 percent of Hispanic students said they attempted suicide, compared with around 7 percent of whites and 8 percent of blacks.

Whites reported the highest rates of smoking and heavy drinking, while blacks reported the highest rates of obesity, violence and sexual activity.

Blacks faired the worst in the amount of time spent watching television.

No more than two hours of daily TV viewing a day for kids is recommended by the American Academy of Pediatrics. Physical activity is needed to develop mental and social skills and help prevent obesity, and TV violence has been associated with more aggressive behavior in children who watch a lot of it.

TV watching by high school students has been generally steady overall, with about 35 percent watching three or more hours a day.

The new report shows that about 63 percent of black students watch three or more hours a day. In contrast, 43 percent of Hispanic students and 27 percent of whites watched too much TV, the report concluded.

“We don’t see that kind of gap in virtually any other measurement of risky health behaviors,” said Wechsler.

On the Net:

Centers for Disease Control and Prevention

CHIPSat Quietly Shut Down

University of California, Berkeley scientists quietly switched off one of the campus’s working satellites in April, ending a 10-year series of ups and downs for NASA’s first and only low-cost, university-class Explorer spacecraft.

The Cosmic Hot Interstellar Plasma Spectrometer satellite (CHIPSat), funded by NASA in 1998, was designed to look for extreme ultraviolet (EUV) emissions from the bubble of hot gas that envelops our solar system out to a distance of several hundred light years.

Five years later, after two cancellations and anxious scrambling for launch space by Mark Hurwitz, the UC Berkeley physicist who shepherded the satellite from its original concept, CHIPSat was launched on Jan. 12, 2003. The total cost was $14.5 million. The only other university-class Explorer (UNEX) mission approved never made it to launch.

On April 11, 2008, not long after its fifth anniversary in orbit, CHIPSat was essentially told not to call home anymore.

“It is sad and liberating,” said Hurwitz, who, during CHIPSat’s lifetime transitioned from a data-crunching research astronomer to a high school physics teacher at Lick-Wilmerding High School in San Francisco. “It’s been lucky that the project has gone on as long as it has, and it has been very cool.”

Although the team needed only about $100,000 to operate the satellite through the rest of 2008, Hurwitz said the budget climate is tight and that NASA personnel do not have the discretion they had in past years. According to Patrick Crouse, project manager for space science mission operations at NASA’s Goddard Space Flight Center, CHIPSat is one of five satellites turned off since last fall, and only two of them had become inoperable.

“Typically, missions just kept getting extended, but we’re now reaching the end of diminishing returns on some of these small satellites,” said Crouse, who still oversees about 20 other satellites for Goddard.

The CHIPS instrument never did detect EUV radiation from the hot interstellar gas, which may be cooler or hotter than the million-degree Kelvin temperatures expected, or else theories of what makes up the sparse material between stars are incomplete. After about three years of operation, Hurwitz concluded from CHIPS measurements that the EUV glow of the local interstellar medium was less than one-thirtieth expected, and redirected the satellite to look at EUV emissions from the sun.

Hurwitz and colleagues at UC Berkeley’s Space Sciences Laboratory had hoped that NASA would be interested in such studies, since they complement the observations of other satellites studying the sun’s ultraviolet emissions.

“CHIPSat’s instruments can provide a high-resolution solar spectrum that can help us learn about the temperature distribution in the sun’s chromosphere and corona and the EUV input to the photochemistry in Earth’s upper atmosphere,” Hurwitz said.

Additionally, from an altitude of 575 kilometers, CHIPSat was observing the so-called “ultraviolet sunset” in the tenuous outer layers of Earth’s atmosphere, probing the distribution of nitrogen and oxygen high above the surface of the earth. Unfortunately, NASA turned down two proposals to support such studies.

Hurwitz reminisced about the hurdles he had to overcome to get the CHIPS instrument launched in the first place. Though the original proposal called for attaching an extreme ultraviolet spectrograph to a commercial communications satellite to be launched aboard a Russian rocket, the U.S. government killed that idea when it unexpectedly applied to the CHIPS instrument a policy designed to prevent the launch of government-funded satellites aboard foreign launch vehicles.

“After the Russian rocket fiasco, we pounded the pavement for months, looking for any way to get our small instrument into space,” recounted Hurwitz. “At the end of the day, we would have done just as well to stand on the side of the road near the Kennedy Space Center and stick out a thumb.”

An offer to piggy-back aboard the launch of a global positioning satellite (GPS) made Hurwitz and his team scramble to build an independent satellite, CHIPSat, instead of a ride-along experiment, but that fell through in 1999. Finally, NASA switched CHIPSat into a Delta rocket to replace a satellite having problems, and the mini-satellite was launched in 2003.

“Many people at NASA and elsewhere assigned us a low probability of success,” Hurwitz said. The satellite and instrument had been built on a shoestring, and without the parts qualification and test programs that the larger projects use. But both the satellite, built by SpaceDev Inc. of Poway, Calif., and the EUV spectrometer, built at UC Berkeley’s Space Sciences Laboratory (SSL), performed beyond all expectations, he said.

“The operations team at UC Berkeley, led by Mark Lewis and Manfred Bester, has done a fantastic job over the years keeping an increasingly temperamental satellite healthy and productive,” he said.

CHIPSat has also been productive from an engineering perspective. It was NASA’s first mission to communicate via IP (Internet protocol), and it was used by NASA’s Exploration Initiative to test scheduling systems software in orbit. A small satellite group at the Ames Research Center in Mountain View, Calif., used CHIPSat to study real-time data during ground station passes.

“The design life was 18 months because, beyond that, the cumulative effects of radiation and thermal cycling had a good chance of causing component failure,” said Michael Sholl, CHIPS project manager at the SSL. “But as happened with some other low-cost missions, once the CHIPS instrument survived the first few months, it proved to be sufficiently robust for long-term operations.”

The SSL team and NASA both are still open to reviving CHIPSat if the need arises. Crouse noted that the SWAS (Submillimeter Wave Astronomy Satellite) spacecraft, which was turned off at the end of January, had been revived several times previously to make observations of comets and to view the Deep Impact collision.

“Turning it off does not mean it’s unrecoverable,” Crouse said. “These missions were designed so that someone could not accidentally shut them down forever, so the flip side of that is, it is hard to shut them down forever. We leave them in a pacified state but, if it was in the interests of the agency, we could try to recover them and bring them back.”

That would have to happen before CHIPS falls from orbit and burns up in a fiery plunge through the atmosphere.

“The satellite could last five years or longer in orbit, and if NASA wants to turn it on again, I’d be happy to support that work,” Hurwitz said.

Image Caption: CHIPSat satellite (SpaceDev Inc. image)

On the Net:

University of California, Berkeley

Cosmic Hot Interstellar Plasma Spectrometer

Exclusive Life Time Athletic Club to Open in Florham Park, New Jersey

Life Time Fitness, Inc. (NYSE: LTM) today announced plans to open one of its exclusive and luxurious Life Time Athletic clubs in Florham Park, New Jersey, in the fourth quarter of 2008. The center, Florham Park Life Time Athletic, will be located at 14 Fernwood Road, Florham Park, NJ 07932.

In keeping with the rich arrangements and personalized services found at Life Time Athletic clubs, the new 110,000 square foot Florham Park facility will offer a richly appointed, full-service day spa offering the latest in massage and relaxation therapy, and a comprehensive range of body, hair, nail and skin care services. Additionally, Florham Park Life Time Athletic will provide the finest in cardiovascular and resistance machines, beautifully appointed Pilates and yoga salons, dedicated group fitness and cycle studios, and relaxing whirlpools. A staff of certified personal trainers and nutrition coaches will serve members with personalized assessments and fitness and nutrition programs designed to help them achieve and maintain healthy and active lifestyles.

Luxurious dressing rooms adorned with cherry wood lockers and stone and granite features will provide the utmost in comfort and convenience. Furthermore, a chef-driven LifeCafe will feature an all-natural menu with an abundance of organic, no-preservative and free-range offerings. Pre-prepared selections, including fresh, organic fruit and granola items will be available, along with made-to-order items prepared by a specialty chef. The club also will feature a large child center with interactive play areas and a computer center.

The facility also will feature large indoor and outdoor aquatics centers, complete with a two-story waterslide, large, zero-depth recreation pools, lap pools and children’s interactive play areas, whirlpools and an outdoor bistro. A family locker room is also available.

Stone sculpture accents round out the center’s exquisite finishes and ambiance.

“Our Florham Park Life Time Athletic club will uniquely combine the ultimate in services coupled with the rich finishes and exclusivity of our Life Time Athletic environment,” said Mike Gerend, President and Chief Operating Officer, Life Time Fitness. “Because we limit the number of available memberships at each Life Time Athletic club, members are provided an added level of personalized spa and salon services, professional fitness and nutrition programming all in an environment that inspires relaxation and rejuvenation.”

Individuals may visit the Florham Park Life Time Athletic preview center at 176 Columbia Turnpike, Florham Park, NJ 07932 to learn more about special, limited-time Charter Membership opportunities. More information also is available by calling 908-598-1212.

Beginning July 1, individuals may also visit the Florham Park Life Time Athletic Member Information Center located in the Mall at Short Hills. The Information Center will be adjacent to the Member Services Desk on the first floor of the Mall.

Additional information is available online at http://www.lifetimefitness.com/florhampark.

About Life Time Fitness, Inc.

Life Time Fitness, Inc. (NYSE:LTM) operates distinctive and large, multi-use sports and athletic, professional fitness, family recreation and resort and spa centers. The company also provides consumers with personal training consultation, full-service spas and cafes, corporate wellness programs, health and nutrition education, the healthy lifestyle magazine, Experience Life, athletic events, and nutritional products. As of June 4, 2008, Life Time Fitness operated 72 centers in 16 states, including Arizona, Colorado, Florida, Georgia, Illinois, Indiana, Kansas, Maryland, Michigan, Minnesota, Nebraska, North Carolina, Ohio, Texas, Utah and Virginia. The Company also operated one satellite facility and five preview locations in existing and new markets. Life Time Fitness is headquartered in Chanhassen, Minnesota, and can be located on the Web at www.lifetimefitness.com. LIFE TIME FITNESS, the LIFE TIME FITNESS logo, EXPERIENCE LIFE, and the LIFE TIME FITNESS TRIATHLON SERIES are registered trademarks of Life Time Fitness, Inc. All other trademarks or registered trademarks are the property of their respective owners.

Note to Editors:

Contact Kent Wipf at 952-229-7211 or [email protected] with all Life Time Fitness and Life Time Athletic club preview, interview, photography or video requests.

Bausch & Lomb Names Flemming Ornskov, M.D., MPH, As Global President, Pharmaceuticals

Bausch & Lomb, the global eye health company, announced today that it has named Flemming Ornskov, M.D., MPH, as corporate vice president and global president, Pharmaceuticals. He is responsible for the company’s prescription ophthalmic pharmaceuticals and generics, as well as its general eye health and vitamins businesses.

Most recently, Dr. Ornskov was CEO and president of LifeCycle Pharma, an emerging cardiovascular and transplantation specialty company. Prior, he served as CEO and president of biotech start-up Ikaria, Inc. From 2002 to 2005, he was president of the Ophthalmics Business Unit for Novartis, and formerly led Novartis’ U.S. cardiovascular franchise. Dr. Ornskov has also held multiple leadership positions at Merck & Co.

He serves on several boards, and is chairman of the board for Santaris Pharma A/S and Astion Pharma A/S.

Dr. Ornskov received a M.D. degree from University of Copenhagen, a M.B.A. degree from INSEAD and a Master of Public Health degree from Harvard University.

“Dr. Ornskov’s expertise in specialty and ophthalmic pharmaceuticals, plus his broad global experience developing pharmaceuticals from early stage discovery to market introduction, will help further accelerate Bausch & Lomb’s goal to create long-term value,” said Gerald M. Ostrov, Bausch & Lomb chairman and CEO. “Our pharmaceuticals business is the fastest growing component of the company, and Dr. Ornskov’s leadership will help create additional opportunities for technology commercialization and global markets penetration.”

Bausch & Lomb is the eye health company dedicated to perfecting vision and enhancing life for consumers around the world. Its core businesses include soft and rigid gas permeable contact lenses and lens care products, and ophthalmic surgical and pharmaceutical products. The Bausch & Lomb name is one of the best known and most respected healthcare brands in the world. Founded in 1853, the Company is headquartered in Rochester, N.Y., and employs approximately 13,000 people worldwide. Its products are available in more than 100 countries. More information about the Company can be found at www.bausch.com.

AmeriChoice Acquires Unison Health Plan

AmeriChoice, a UnitedHealth Group company, has acquired Unison Health Plan, a provider of government-sponsored health plan coverage to approximately 380,000 people.

On a combined basis, AmeriChoice and Unison serve more than two million beneficiaries of government-sponsored health care programs in 21 states and the District of Columbia, including Unison’s operations in Pennsylvania, Ohio, Tennessee, Delaware, South Carolina and Washington, DC.

Unison facilitates access to health care for traditionally underserved populations through its participation in state Medicaid, State Children’s Health Insurance Programs (SCHIP), Adult Basic Programs and Medicare Special Needs Plans.

Rick Jelinek, CEO of AmeriChoice, said: “We are looking forward to working with the management and staff of Unison, the many fine physicians, hospitals and other health care professionals affiliated with the company and the states it serves to deliver quality health care services to its members.”

6 Things You Probably Don’t Know About Belly Fat

By Dr. Michael Roizen, Dr. Mehmet Oz [email protected]

Politicians, gossip columnists, doctors, your best friend — they’re all talking about the same thing: fat. Especially belly fat.

The great thing about belly fat is that the better you get to know it, the easier it is to make it vanish (if only spam e-mail worked the same way!).

Digest these stomach-flattening facts:

1. All fat is not alike. Eat more calories than you burn and the extras get packed away in one of two places — long-term storage depots beneath the skin (subcutaneous fat) or short-term bins deep in the abdomen (visceral fat).

Visceral fat is what we call omental fat — that is, fat in your omentum, a piece of webbing that hangs off your stomach just beneath your ab muscles, sort of like a mesh apron.

2. The fat you don’t see is the most dangerous. The soft, superficial stuff that ripples your thighs and tummy may be a bikini- spoiler, but if you can pinch it, it probably won’t kill you. However, if you have a solid “beer belly” … well, you’re likely headed for more trouble than a politician hooked up to a polygraph.

That’s because too much deep fat churns out supersize amounts of hormones and proteins, which can lead to big hazards. Among them: lousy LDL cholesterol and triglyceride levels; high blood sugar and blood pressure; insulin resistance; and widespread inflammation. All are instigators of many diseases — including dementia, cancer, heart disease and diabetes. But often you can get a “do over,” which doesn’t take that long and isn’t that hard if you know what you’re doing. So don’t stop reading!

First, don’t rely on your scale. As you start to reduce risky belly fat, your weight may temporarily go up. So ditch the scales in favor of the tape measure. If you’re a woman, your waist should be 32.5 inches; if you’re a man, 35 inches. Creep past 37 inches for women or 40 for men, and the health dangers increase.

3. Stress makes you fat. Not only does stress lead you to eat Haagen-Dazs straight from the carton, it also triggers the release of cortisol, a stress hormone. When stress becomes unrelenting, the omentum attempts to control cortisol flow by sucking it out of the bloodstream.

Nice try, but cortisol fights back once it’s in the omentum, and it turbo-charges fat there. That sets off other chemical reactions that leave you feeling hungry … and looking for the Haagen-Dazs again. Fortunately, any kind of stress reduction, especially exercise, will help short-circuit this stress/fat cycle. Feeling tense right now? Go for a walk the minute you finish this column.

4. The fat you eat affects the fat you get. When monkeys munched on trans-fat-laced diets for six years, they developed more deep- belly fat than those who went trans-fat-free, even though both ate the same number of calories. Physiologically, we’re close enough to monkeys to extrapolate that trans fat doesn’t do anything good for your waist or your arteries.

5. Blasting belly fat isn’t hard. If you’re not overweight but still have an oversize waist, the fastest way to shrink your omentum is by walking. A brisk, 30-minute daily walk will keep those fat cells from expanding. Pick up the pace some, walk a little longer, and you can give your omentum a makeover, turning a flabby apron of omental fat into sheer mesh again.

After 30 days of walking, start doing resistance exercises as well to add muscle and lose inches — otherwise, you’ll hit a plateau. No dumbbells? No gym? No problem. You can get an excellent workout in 20 minutes by using your own body as a weight to stretch and strengthen all of your major muscle groups. Find examples at www.realage.com/ct/shape-up-slim-down/.

6. Whole grains scare away belly fat. If you and a friend go on a diet but you eat whole grains (meaning brown rice, steel-cut oats and whole-wheat pasta — not whole-grain Pop Tarts) and your friend eats processed grains (anything made with white/enriched grains and flours, cupcakes to noodles), you both might lose the same amount of weight, but you’ll shed more belly fat and lower your levels of C- reactive protein, a marker of damaging inflammation.

And your food will taste better, and you’ll feel full longer, AND you’ll have a flat stomach!

Prism Health Networks is Now Palladian Muscular Skeletal Health

WEST SENECA, N.Y., June 3 /PRNewswire/ — Managed-care services company Prism Health Networks has officially changed its name to Palladian Muscular Skeletal Health.

The name change became official with a vote of the company’s board of directors on June 1.

The new name is part of a larger initiative to re-brand the former Prism Health Networks as a unique comprehensive, integrated muscular skeletal -care provider, that integrates physical therapy, chiropractic and physical health and fitness with primary care to provide optimal outcomes for their health plan clients and their members. Palladian’s focus is on medical specialties that address muscular skeletal injuries, ongoing wellness and the coordination of care. Palladian’s Clinical Advisory Board, made up of nationally recognized professionals from a cross-section of muscular skeletal health specialties, is a unique resource for clinical expertise and guidance regarding muscular skeletal health symptoms, conditions and treatment options.

“We are excited about our new name, Palladian Muscular Skeletal Health,” said Paul Candino, president and chief executive officer of Palladian. “We are especially looking forward to expanding our service focus nationally, and establishing ourselves as a model for muscular skeletal healthcare delivery. We are dedicated to improving the coordination of patient care, enhancing the clinical effectiveness and efficiency of caregivers, and ultimately improving the quality of people’s lives. As part of our initial ‘re-branding’ launch, we will have a significant presence at the America’s Health Insurance Plans (AHIP) Conference at San Francisco later this month where we look forward to the opportunity to present our vision for muscular skeletal healthcare delivery.”

ABOUT PALLADIAN MUSCULAR SKELETAL HEALTH

Palladian is focused on muscular skeletal healthcare, specializing in care that integrates physical therapy, chiropractic, and physical health and fitness with primary care. The integrated clinical model is what sets Palladian apart, with timely collaboration among experienced medical professionals helping to establish the most effective treatment protocols, all while containing costs. Palladian’s core belief is: “building strength through knowledge.” The company is dedicated to improving the quality of people’s lives–coordinating patients’ care, as well as enhancing the clinical effectiveness and efficiency of caregivers. Optimum health outcomes translate into satisfaction and cost savings for members, providers and health plans alike.

More information on Palladian may be found at http://www.palladianhealth.com/ .

Palladian Muscular Skeletal Health

CONTACT: Bruce Daley, MyPRGenie Solutions, +1-303-949-5056,[email protected]

Web site: http://www.palladianhealth.com/

Bermuda Cancer and Health Centre Create Awareness Campaign With Covidien Ltd for Prostate Cancer

Bermuda Cancer and Health Centre and Bermuda-based Covidien Ltd, a leading global healthcare products company, today announced a joint initiative to raise awareness of prostate cancer and to urge men over 40 to seek prostate screenings annually.

June is officially Prostate Awareness Month. Bermuda Cancer and Health Centre provides programs and services to educate and support individuals who have prostate problems, have been diagnosed with prostate cancer or are simply seeking information.

“There is a definite need to make men and their families more aware of prostate cancer,” said Pauline Girling, Marketing/PR Director of Bermuda Cancer and Health Centre. “This is not a one-person disease. It affects husbands, wives, friends and entire families.”

The facts are clear:

— one in six men will get prostate cancer.

— African American men have an even higher risk – one in four.

— nearly 100% of those diagnosed with prostate cancer will survive if the disease is caught early; that is why screening is vital.

The campaign to increase prostate awareness during the month of June has been generously funded by Covidien Ltd. The campaign includes print media coverage, TV advertising, radio interviews and a free public information seminar on 26th June at BUEI with a highly regarded specialist – Dr. Michael O’Leary – speaking about the latest developments in treating prostate cancer and other prostate-related conditions.

“As a leading healthcare products company, Covidien is very pleased to help educate Bermudians about prostate cancer,” said Teresa Hacunda, Director of Civic Affairs for Covidien Ltd. “Our mission is to enhance the quality of life for patients through local and global activities supporting our philanthropic initiative, the Covidien Partnership for Neighborhood Wellness. This collaboration with the Bermuda Cancer and Health Centre is focused on the prevention, detection and treatment of prostate cancer for the island’s citizens, and we’re glad to offer our support,” she said.

The Campaign for the month of June includes the following events and media communications:

— Wide reaching newsprint campaign in local daily and weekly newspapers.

— Public Service Information Bulletins on local radio stations throughout the month.

— Public Service Announcements on local TV channels throughout the month.

— Radio talk-show interviews promoting prostrate health.

— Partnership with Coopers Men Store to promote prostrate health – two special evening events to link the connection between prostrate screenings with upcoming Father’s Day.

— A free public information seminar on 26th June with a highly regarded specialist from Boston – Dr. Michael O’Leary – and local urologist Dr. Dyer speaking about the latest developments in treating prostate cancer and other prostate-related conditions.

— “Every Man should know the Facts” information literature distributed throughout the pharmacies on the island for the month of June.

ABOUT COVIDIEN LTD.

Covidien is a leading global healthcare products company that creates innovative medical solutions for better patient outcomes and delivers value through clinical leadership and excellence. Covidien manufactures, distributes and services a diverse range of industry-leading product lines in four segments: Medical Devices, Imaging Solutions, Pharmaceutical Products and Medical Supplies. With 2007 revenue of nearly $9 billion, Covidien has more than 42,000 employees worldwide in 57 countries, and its products are sold in over 130 countries. Please visit www.covidien.com to learn more about our business.

ABOUT BERMUDA CANCER AND HEALTH CENTRE:

Bermuda Cancer and Health Centre (formerly The Bermuda TB Cancer & Health Association) is an accredited facility and one of Bermuda ‘s oldest non-profit charities (#070) and an International Charitable Fund 501c (3) designated organization. Currently the Centre has a staff of 18 and provides screening through mammography, bone densitometry and ultrasound.

Our mission is:

“To Educate our community about prevention and early detection of cancer and other health issues impacting Bermuda.

To Promote a healthy and productive lifestyle.

To Provide access to early detection screening, health supplies, information and educational services.

To Enable and Empower our community, and so positively impact on the incidence of cancer and the promotion of wellness in Bermuda.”

Our history:

— Bermuda Cancer and Health Centre are recognized as one of Bermuda’s oldest charities, marking its 60th anniversary in 2005.

— Originally formed in 1945 to assist patients with tuberculosis, today the organization continues to expand its role regarding early detection, education and support of major health concerns such as cancer and other health issues that affect the community.

— The Centre’s impact in the community is far reaching. The early detection of breast cancer through mammography is one of the Centre’s primary functions, with between 600-700 mammograms being performed each month. The Centre also performs ultra sound and bone densitometry screenings.

— The Centre’s preventative programs focus on educating the community through free public health programs/presentations on wellness and cancer prevention.

— The Centre provides ostomy supplies and appliances at cost – or without charge if patients are unable to pay.

— 2007 saw the introduction of the partnership between Partners International Program, Bermuda Hospital Board and Bermuda Insurance Council in order to form the Hereditary Breast and Ovarian Cancer Screening and Genetic Testing Program at the Centre.

— In April 2008 Bermuda Cancer and Health Centre advanced the fight against breast cancer by installing a new, state-of-the-art digital mammography systems for breast screening. This system replaces the analog screening equipment and provides physicians with clear and precise all-digital images in order to detect suspicious lesions at an early more treatable stage.

Texas TAAS Scores Revisited

By Lorence, Jon

Data based on all eligible Texas public school students reveals that scores from the Texas Assessment of Academic Skills (TAAS) reading and mathematics tests are more valid than Klein, Hamilton, McCaffrey, and Stecher (2000) implied. New analyses based on both individual student and school-level scores support the concurrent validity of the TAAS. TAAS scores are moderately to highly correlated with answers from the Stanford-9 reading and mathematics tests. In addition, analyses based on individual students and aggregated school scores support the nomological validity of TAAS scores. In contrast to the findings reported by Klein et al., economically disadvantaged students in the present study obtain lower reading and mathematics TAAS scores than students of higher socioeconomic status. Schools with a greater percentage of students qualifying for federal lunch assistance also evidence lower average performance on the TAAS. The present results indicate that the nonrandom sample of 20 schools available to Klein et al. (2000) led to findings unrepresentative of Texas students and schools. Background

The Texas Assessment of Academic Skills (TAAS), a criterionreferenced educational achievement test, has received considerable attention in recent years. Results from the TAAS tests became the basis for evaluating the performance of individual students, teachers, schools, and school districts in Texas. Beginning in the spring of 1994, Texas students in grades three through eight and grade ten were required to take tests in reading and mathematics. In 2003 the Texas Assessment of Knowledge and Skills (TAKS) tests replaced the TAAS as the foundation of the state=s accountability system. The new state mandated tests required additional testing in grades nine and eleven which had previously been excluded from taking the TAAS. Despite the fact that Texas now uses a different criterion-referenced test to measure what students have learned in school, there are several reasons to investigate the validity of scores from the TAAS. First, the Texas high-stakes accountability system was the foundation for the No Child Left Behind (2002) legislation, which attempted to implement throughout all states educational evaluation practices similar to those in Texas. Supporters of this legislation argued that educational reforms in Texas were successful because TAAS scores had increased during the latter half of the 1990s. However, critics of the Texas educational model argued that TAAS scores were invalid because school administrators and teachers focused only on a narrow curriculum devoted solely to TAAS questions (e.g., McNeil & Valenzuela, 2001). The observed increases in TAAS scores over time were attributed largely to teaching only to the tests, rather than an increase in “real” student learning. A RAND report by Klein, Hamilton, McCaffrey, and Strecher (2000) also argued that TAAS test scores were invalid.

Insofar as the Texas Education Agency has provided TAAS data to many researchers, analysts of TAAS data may find that their results will be challenged if the validity of TAAS scores is viewed as highly suspect. To illustrate, Allensworth (2005) and Shepard (2004) cited the Klein et al. (2000) study to indicate that educational findings based on TAAS scores are likely distorted and not believable. Given the prominence of the Klein et al. (2000) critique and the degree to which it is mentioned as challenging the validity of TAAS scores, it is worthwhile to reevaluate this RAND study’s findings.

Klein et al. (2000) Study

Although Klein et al. (2000) did not state the explicit strategies used to gauge the validity of TAAS scores, they utilized the general methods associated with concurrent and nomological validation. To assess the concurrent validity of the TAAS reading and mathematics tests, Klein et al. administered the Stanford-9 open- ended math test, the Stanford-9 multiple-choice science test, and a hands-on science test developed at RAND to approximately 2000 fifth grade students in 20 public schools from one geographic region in Texas. These tests were given to students in the spring of 1997, a few weeks after the children had taken the TAAS reading and mathematics tests. Scores from the TAAS and non-TAAS tests were found to be moderately correlated when individual students were the units of analysis. Pearson correlations ranged from .42 to .53. These results were consistent with prior research which often finds that students have comparable scores on different tests measuring similar concepts of academic achievement. Alternately, when school mean scores on the TAAS and non-TAAS tests were correlated, me associations were very small, ranging from -.07 to .21. Because these correlations were much smaller than usually reported, the authors questioned the validity of the TAAS results.

Klein et al. (2000) further investigated two general hypotheses to assess the nomological validity of the Texas reading and mathematics scores. First, the researchers presumed that changes in TAAS scores over time should be consistent with changes in other educational achievement tests. Klein et al. compared changes in average state TAAS scores between 1994 and 1998 with the trends in the mean performance of Texas students who took the National Assessment of Educational Progress (NAEP) reading and mathematics tests in 1992 or in 1996. Large increases in average TAAS scores suggested considerable improvement in reading and mathematics. However, the researchers found that mean NAEP scores revealed little growth in educational achievement among Texas fourth and eighth graders; the slight increases in the NAEP scores of Texas students were similar to those observed nationally. These divergent trends in educational achievement from the TAAS and NAEP tests led Klein et al. to conclude that various practices by Texas teachers and administrators likely inflated TAAS scores. True levels of student learning were assumed to be much lower than indicated by the TAAS examinations.

Klein et al. (2000) also attempted to replicate a common finding in educational research, i.e., students of lower socioeconomic status (SES) obtain lower test scores than do more affluent pupils. The authors assumed that the fifth graders of lower socioeconomic status in their sample would have lower scores on both the TAAS and non-TAAS tests. Although Klein et al. observed correlations between economic status and test scores in the hypothesized direction on the non-TAAS examinations when using individual pupils as the units of analysis, the correlations based on the TAAS tests were virtually zero. Moreover, when analyses were aggregated to the school level, the mean number of TAAS questions correctly answered was not associated with school average SES in the anticipated direction. The authors reported a curvilinear relationship between average school SES and mean school TAAS math scores. Conversely, greater percentages of low SES students were significantly associated with lower average scores on the nonTAAS tests. Klein et al. acknowledged that their findings pertaining to the associations between student and school economic standing and student TAAS scores could be attributable to their nonrandom sample of schools. They also stated that AWe are therefore reluctant to draw conclusions from our findings with these schools or to imply that these findings are likely to occur elsewhere in Texas@ (Klein et al., 2000, p. 15). Despite the authors= admonition, however, readers of their paper will likely infer that the findings reported between student socioeconomic background and test scores demonstrate the invalidity of TAAS scores.

Purpose of the Present Study

This paper attempts to replicate two sets of findings Klein et al. (2000) reported in their evaluation of TAAS test results:

1. The present analyses attempt to assess the concurrent validity of TAAS scores hi manner parallel to that of the RAND researchers. The concurrent validity of TAAS scores is ascertained by examining the relationship between student responses to the state=s criterion- referenced TAAS tests and Stanford-9 tests.

2. Next examined are a limited number of hypotheses pertaining to the nomological validity of TAAS scores. The relationship between student socioeconomic status and academic achievement scores is investigated using both individual-level and school-level analyses. Unlike Klein et al. (2000) who examined data only from fifth graders, the current analyses disaggregate data by all tested grade levels. The present analyses also examine the association between student economic standing and performance on non-TAAS tests.

Data

To assess the impact of certain educational practices throughout the state, the Texas Education Agency (TEA) provided to the Sociology of Education Research Group at the University of Houston annual individual-level demographic and TAAS information from all Texas students enrolled in public schools from 1994 through 2000. Data from the spring of 1999 are examined to investigate the association between student economic status and performance on the TAAS. Reading and mathematics scores from the 1999 TAAS are selected because another data set available to gauge the validity of TAAS scores originated in 1999.

The TAAS tests were the only examinations of academic achievement administered to all public school students in Texas. However, some school districts in the state also required their pupils to take one other standardized test so that school officials could compare the performance of their students with others throughout the nation who have also taken the same test. In the fall of 1997, a Texas metropolitan school district required that all its students take the Stanford-9 reading and Stanford-9 mathematics tests. In order to make comparisons between the TAAS and the Stanford-9 tests more meaningful, the school district did not administer the Stanford-9 until the spring of 1999. The fact that the TAAS and Stanford-9 were administered within about a month of each other helped ensure that students were at similar stages of academic instruction during the school year. Discussions with principals and teachers revealed they viewed Stanford results as having few consequences for school personnel. Instead, performance on the TAAS carried much greater importance for rewards and sanctions than did Stanford-9 scores. Consequently, principals and teachers did not emphasize to their students that Stanford-9 tests results were of the same importance as the TAAS tests. Unlike the TAAS, the Stanford-9 was a low-stakes test. Another advantage of comparing scores on the TAAS and Stanford- 9 tests administered in the spring of 1999 is that teachers were relatively unfamiliar with the Stanford-9 questions, as the test had been given previously only in the fall of 1997. Teachers in the spring of 1999 would have found it relatively difficult to teach directly to the Stanford-9 or incorporate specific items from the Stanford-9 into their lessons, a common criticism of the TAAS.

Not all students took the TAAS, e.g., students with severe learning disabilities were excluded. In addition, non-English speaking children (predominately Hispanic in Texas) were given a standardized test in Spanish instead of the TAAS.1 Despite the exclusion of these students from taking the TAAS, it must be emphasized that many students with limited English, as well as pupils who are classified as being in special education, completed the TAAS. The percentages of students taking the spring 1999 TAAS tests throughout the state, as well as in the metropolitan school district providing Stanford-9 data, are shown in Table 1. Approximately 89% of students took the TAAS exams. About seven percent of the students were excluded because of serious mental impairment or acute emotional problems. The second major reason for test exemption was insufficient comprehension of English among about two percent of the student population. The participation rate of students in the metropolitan school district providing Stanford-9 data is almost identical to that of the state participation rate. Moreover, the reasons for exempting the metropolitan students from the TAAS were similar to those throughout the state.

Given that most of the students who did not take the TAAS probably had extremely low scores, their exemption likely reduces the number of observations in the left-hand tail of the distribution of test scores. Their omission from the analyses may slightly reduce the magnitude of computed correlations.

To further assess whether students with Stanford-9 scores from the metropolitan district are similar to the population of Texas TAAS takers, the social and demographic characteristics of the two groups of students are shown in Table 2. Over 80% of the metropolitan students with test results are either Hispanic or African American. Only about 13% of the students in the metropolitan school district are non-Hispanic white compared to 48% of all students with scored tests in Texas. 2 The large percentage of metropolitan Hispanic students results in over 17% of the tested pupils being classified with a limited command of English, in contrast to about seven percent of all students in the state with test results. Students in the metropolitan district are also more economically disadvantaged than students throughout the state. Approximately six percent of the students with eligible test scores are labeled special education. The vast majority of students in this category are not severely mentally challenged, but are listed as having visual, auditory, or mobility impairments. As is evident in Table 2, the demographic characteristics of the metropolitan students answering both the TAAS and Stanford-9 differ from other students in the state with scored TAAS tests. However, should the analyses yield findings from the metropolitan students similar to those based on the population of Texas students, the demographic differences in Table 2 will be of less concern.

Findings

Descriptive Statistics of TAAS and Stanford-9 Tests B Individual Students

Like Klein et al. (2000), the present study assesses whether students who performed well on the TAAS also obtained high scores on another test. However, the Stanford-9 tests given in the metropolitan school district differed from those Klein and his colleagues used. As previously mentioned, the RAND researchers administered the Stanford-9 science test, the Stanford-9 open-ended mathematics test, and a hands-on science test developed by two of the authors. Students in the metropolitan school district were required to take only the closed-ended Stanford-9 reading and mathematics tests.

The maximum numbers of correct answers (raw scores) for each grade level tests are given in Table 3. Third grade pupils could correctly answer only 36 questions on the TAAS reading test, while eighth and tenth grade students had the possibility of a maximum score of 48. For the TAAS mathematics test, the maximum possible score in eighth and tenth grade was 60 while third graders could obtain only a score of 44. The Stanford-9 reading and mathematics tests required students to answer more questions. The maximum possible raw score for the Stanford-9 reading test in each grade was 84. Among primary and middle school students the maximum number of correct answers for the Stanford-9 mathematics tests ranged from 76 among third graders to 82 for the eighth graders. The highest score possible among sophomores was 48; high school students were asked fewer mathematics questions but higher order mathematical concepts pertaining to algebra and geometry were tested.

Means and standard deviations for both the TAAS and Stanford-9 tests among individual students are shown in Table 4. Summary statistics for the examinations are given for the seven grades in which students took both the TAAS and Stanford-9 reading and mathematics exams. The mean values indicate the average number of questions correctly answered. In general the average number of questions correctly answered on the reading and mathematics TAAS examinations increase with grade progression, partially because the number of items tested increases with grade level. The number of pupils in each grade with answers for both the TAAS and Stanford-9 tests is also given.

Although not shown, histograms of the distributions and skewness statistics of TAAS scores and Stanford-9 scores reveal the test results evidence considerable negative skew. In each grade TAAS scores are somewhat more negatively skewed than the Stanford-9 scores. Some readers may be concerned that the absence of normal distributions will result in attenuated estimated correlations between the two types of tests. However, Nunnally (1978, p. 141) states that if the general shape of two sets of scores are similar (whether normal or not), calculated correlations between the two variables will not be adversely affected. Because both TAAS and Stanford-9 tests scores are negatively skewed, their calculated correlation should not be distorted.

Descriptive Statistics of TAAS and Stanford-9 Tests B School Analyses

In addition to examining relationships derived from individual students, aggregate school-level correlations are calculated in an attempt to replicate the Klein et al. (2000) research. The mean school scores and standard deviations for the TAAS and Stanford-9 tests across grade levels appear in Table 5. These data are derived from the individual school averages, i.e., these are the means of the school averages. Also presented are the numbers of schools on which the correlations between school-average TAAS and Stanford-9 scores are computed. In 1999 there were 280 schools in the metropolitan district; however, 20 schools were excluded from the analyses. A few elementary schools were deleted because there were less than 10 students in a grade taking the TAAS and Stanford-9 tests. Middle schools and high schools which enrolled only students with severe behavioral and emotional problems were also excluded from the analyses. Even with these deletions, the analyses are based on a total of 258 schools and over 74,000 students. As seen in Table 5 there were considerably more elementary schools than middle schools or high schools. Some elementary schools differed in the grades taught. For example, of the sixth graders located in 81 schools, some attended elementary schools while others were assigned to middle schools.

Concurrent Validity B Individual Student Analyses

Research Question 1: Do students performing well on the TAAS tests also obtain higher scores on Stanford-9 Tests?

Pearson correlation coefficients based on individual student responses from the TAAS and Stanford-9 examinations are given in Table 6. The linear associations between the TAAS reading and mathematics test scores are positive and fairly consistent across the seven grade levels. Correlations range from .67 to .75. Students with more correct answers on the TAAS reading test also obtain higher scores on the TAAS mathematics test. A similar pattern occurs between the number of correct answers on the Stanford-9 reading and mathematics tests. The size of correlations between the reading and mathematics subsets of the TAAS and Stanford-9 tests are fairly comparable within each grade level. Students who do well on the reading test also obtain more correct answers on the same-grade mathematics test. Further, the correlations between the TAAS and Stanford tests measuring the same construct are also moderately positive. To illustrate, the association between TAAS and Stanford- 9 reading performance in fifth grade is .75. Fifth graders who score high on the TAAS mathematics test are also more apt to correctly answer a larger number of questions on the Stanford-9 mathematics test (r = .78). Although the reading and mathematics tests measure different content, students with higher scores on the TAAS reading test evidence higher scores on the Stanford-9 mathematics test. Likewise, pupils with more correct answers on the Stanford-9 reading test also have higher scores on the TAAS mathematics test. The fact that the same-subject correlations (i.e., TAAS reading and Stanford- 9 reading or TAAS mathematics with Stanford-9 math) are larger in magnitude than the different test content measures of association (i.e., reading scores correlated with math scores), implies that the TAAS and Stanford examinations are measuring similar skills. In general, students who perform well on the TAAS are also likely to have better scores on the Stanford-9 regardless of the content area examined. TAAS scores have also been found to be highly related to performance on the Iowa Test of Basis Skills, the Metropolitan Achievement Test 7, and the Otis-Lennon norm-referenced tests (Dworkin et al., 1999). The correlations observed in Table 6 between the TAAS and non-TAAS measures are higher than those reported by Klein et al. (2000). One reason for the difference may be that the present study analyzes more students from more schools than did the RAND study. The variability (as measured by standard deviations) in non-TAAS test scores reported by Klein et al. are somewhat smaller than shown in Table 5. The larger measures of association obtained in the present study may arise because the subject matters the TAAS and Stanford-9 tests administered to the metropolitan students are more similar. Whereas the RAND research examined two science examinations, the present study focuses only on relationships between reading and mathematics tests. Observed correlations may also be higher among the metropolitan students because both the TAAS and Stanford-9 tests use a multiple-choice format. The Klein et al. analyses utilized an open-ended mathematics and hands-on science test.3 Similarity in response DUMMY MAINTEXT formats between tests may result in higher correlations than observed across tests using different answering procedures to assess learning achievement. Perhaps a more important explanation for the weaker correlations between TAAS scores and the RAND administered science tests is that elementary and middle grade schools in Texas (as well as in many other states) have not emphasized science instruction to the same degree as reading and mathematics.

Concurrent Validity B School Analyses

Research Question 2: Do schools with higher average TAAS scores also obtain higher average scores on the Stanford-9? Like the RAND researchers, aggregate-level correlations were calculated in which the units of analysis were schools. The average numbers of correctly answered TAAS and Stanford-9 scores by grade were calculated for each school. Pearson correlation coefficients across schools are presented in Table 7. The correlation between mean school performance on the fifth grade TAAS reading test and mean school performance on the mathematics section of the fifth grade TAAS is .82, which is almost the same value of .85 Klein et al. (2000) reported on the fifth graders they tested in 1997. Examining the same-subject test correlations across all the grades reveals that the schools in the metropolitan district with higher scores on the TAAS or Stanford-9 reading tests also reported a greater number of correct answers on its mathematics counterpart The average school- level correlation across the seven grades between the TAAS reading and mathematics tests is .88 while the mean correlation across grades between performance on the Stanford-9 reading and mathematics tests is .87. As is seen in Table 7, for each grade, the correlation between the TAAS reading and math examination is very similar to the correlation between performance on the Stanford-9 reading and math test.

The present analyses, however, differ from those reported by Klein et al. (2000) when examining the school-level correlations between performance on the TAAS and Stanford-9 tests. Whereas the RAND researchers found no meaningful associations between mean school performance on the TAAS and mean school scores on the Stanford-9 (see their Table 4), the school-level correlations shown here in Table 7 are positive and substantial. The metropolitan schools with larger average TAAS reading scores also report higher average correct answers on the Stanford-9 reading test. Among the fifth graders, the correlation is .81. An identical correlation is observed among fifth graders taking the TAAS and Stanford mathematics tests. Across the seven grades in Table 7, the mean correlation between school-level scores on the TAAS reading test and the Stanford-9 mathematics test is .82 (i.e., the average of the seven correlations in the first row). Although somewhat smaller, the mean correlation across the seven grades showing the linear association between average TAAS mathematics scores and average Stanford-9 reading scores is .74. Schools with higher mean scores on the TAAS also have higher average scores on the Stanford-9, regardless of the subject matter tested. These aggregate level analyses further support the concurrent validity of TAAS scores.

Nomological Validation

Support for the nomological validity of test scores occurs when student responses are associated in a theoretically consistent manner with other concepts. Like Klein et al. (2000) the present research investigates a general proposition that economically disadvantaged students would have lower TAAS scores and fewer correct answers on the non-TAAS tests. Two levels of analysis, one based on individual students and another on schools, are again presented. One hypothesis is that students of lower economic status should obtain fewer correct test answers. A second hypothesis is that greater percentages of economically disadvantaged students attending a school will be associated with lower mean school test performance.

Individual student socioeconomic status (SES) is measured by participation in the federal lunch program. Students enrolled for a free or reduced-price lunch are given a score of 1 while non- participants are coded 0. Although relying solely on participation in the federal school lunch program is a problematic indicator of a student=s economic standing, it is often the only measure available from student school records. For school-level analyses, the percentage of students enrolled in the free or reduced-price lunch program in the school is the measure of school economic status most often reported. These indicators of student and school economic status are also the ones used by Klein et al. (2000). However, the current analyses differ from those of the RAND researchers because, in addition to the data from the metropolitan school district which provided data on both the TAAS and Stanford-9, individual-level data based on all Texas public school students are utilized. Further, all schools in Texas are available for examination.

Summary statistics of the individual students and school-level socioeconomic indicators from the metropolitan area studied are shown, respectively, in Tables 4 and 5. The means and standard deviations of individual TAAS scores in reading and mathematics derived from all public school students with scored tests are presented in Panel A of Table 8. TAAS scores are somewhat higher when computed from all students in the state than only from those in the metropolitan area under study. Variation in test scores is also greater when all students in the state are considered. The proportion of students throughout the state participating in the free or reduced-price school lunch program is smaller than among the metropolitan students. The percentage of economically disadvantaged students remains fairly similar across the elementary grades but decreases somewhat in higher grades.4

The average of the mean school TAAS reading and mathematics scores, along with the percentage of economically disadvantaged students are shown in Panel B of Table 8. Schools with less than 20 students in a grade were deleted from the analyses to help ensure that small schools did not distort the findings. The mean school reading and mathematics TAAS scores are slightly higher than those based on the metropolitan district schools. The percentage of students classified as economically disadvantaged is again lower throughout state schools overall when compared to the metropolitan schools previously analyzed. Nonetheless, the standard deviations based on all state schools are fairly similar to those computed from only the schools in the metropolitan school district with available Stanford-9 data.

Research Question 3: Do individual students from economically disadvantaged families obtain lower TAAS and Stanford-9 scores? The calculated correlations between individual student social standing and individual test scores are given in Table 9. Panel A shows the correlations based on all Texas students with scored TAAS tests. Correlations computed from the metropolitan students with both TAAS and Stanford-9 scores are presented in Panel B. Although it may seem redundant to show the correlations from the metropolitan district, the latter correlations are presented as a check to determine whether the findings from the metropolitan district are consistent with those based on the state population. Similar relationships between student socioeconomic status and student academic achievement in both the metropolitan district and those based on all eligible Texas students would support the generalizability of the TAAS-Stanford-9 associations based on the single school district reported earlier in the paper. In contrast to the results Klein et al. (2000) reported, the correlations between individual economic status and individual TAAS performance shown in Table 9 are in the hypothesized direction. For the correlations derived from all Texas students, and those in the metropolitan school district examined, economically disadvantaged students obtain fewer correct answers on the Texas reading and mathematics exams. The magnitudes of the TAAS correlations are fairly similar across grades. Although not large, the negative correlations in Table 9 based on the TAAS examinations are two to three times larger than those shown in Table 4 of the Klein et al. paper. The correlations between individual student economic standing and Stanford-9 scores presented in Table 9 are also larger than the measures of association Klein et al. reported. Further, the negative linear relationship between student SES and TAAS performance are fairly similar when comparing the correlations based on all Texas students and those pupils with scored tests in the metropolitan school district. The similarity in correlations between those based on the population of Texas students and those in the single metropolitan district suggest that the earlier findings from the metropolitan students may be similar to those throughout the state. Moreover, the negative correlations between student socioeconomic background and number of correct answers on the two Stanford-9 examinations given to the metropolitan school district students are also larger than reported in the RAND analyses of fifth graders from 20 schools.

Research Question 4: Do schools with a greater percentage of economically disadvantaged students evidence lower average TAAS and Stanford-9 scores?

Aggregate-level analyses using correlations based on schools are presented in Table 10. One of the most anomalous findings Klein et al. (2000) reported, which they believed challenged the validity of TAAS scores, was the absence of a significant negative association between the percentage of economically disadvantaged students in a school and the average number of correctly answered items by the school=s students on the required state examinations. Whereas the aggregate-level correlations between student SES and performance on the non-TAAS tests Klein et al. reported were negative and substantial, their school-level correlations between SES and TAAS reading and math scores were. 13 and -.21, respectively. In contrast to the findings presented by the RAND researchers, the correlations DUMMY MAINTEXT shown in Table 10 support the nomological validity of the TAAS scores. For both the reading and math sections of die TAAS, greater percentages of students with low SES background attending a school were associated with fewer average numbers of correctly answered TAAS questions. This pattern persists across all grades. Correlations based on almost all schools in the state reveal correlations from -.43 to -.74.

Examinations of bivariate scatterplots (not shown) between school SES and mean school TAAS scores revealed no curvilinear relationships as Klein et al. (2000) reported. Instead, straight lines best fit the data points in each grade level indicating a linear relationship between school economic composition and test scores. Aggregate correlations based only on the metropolitan schools were also negative. Panel B in Table 10 shows that all but one of the correlations can be considered at least moderate in size. The smallest correlation is -.27 between school SES and mean score for the sixth grade TAAS math exam. Similar to the linear associations presented in Table 4 of the Klein et al. paper, schools with less affluent students exhibit lower reading and mathematics scores on the Stanford-9 tests. Correlations ranging from -.45 to – .90 support the nomological validity of the Stanford-9 scores because they are consistent with the proposition that lower SES is associated with lower academic achievement

Aggregate-level correlations between mean school socioeconomic status and average scores on the required TAAS tests among the metropolitan school are similar, although somewhat smaller than observed with scores from the non-TAAS tests. Examining the magnitude of the standard deviations from the two kinds of tests, however, reveals that there is greater variation in mean scores based on the Stanford tests when compared to the TAAS tests. It seems plausible that the larger numbers of items asked on the Stanford-9 allow for greater dispersion in mean school level responses. DUMMY MAINTEXT The more restricted variation of the TAAS tests may result in somewhat lower correlations with the economic status of schools than observed for the Stanford-9 tests. Also, some of the substantive areas tested by the Stanford-9 are not aligned with the Texas curriculum.

Summary and Discussion

These analyses attempted to replicate a number of findings pertaining to TAAS scores Klein et al. (2000) reported. The results based on data from a major Texas metropolitan area are consistent with those of the RAND researchers. Urban students with high scores on the state=s mandatory accountability test also obtain high scores on the Stanford-9 reading and mathematics tests. Contrary to the school-level analyses of Klein et al., which found no linear association between mean responses on the TAAS and non-TAAS tests, the present data revealed large positive linear correlations between school-average TAAS scores and average Stanford-9 scores. Schools with a greater average number of correct answers on the TAAS tests also evidenced larger mean scores on the two Stanford-9 examinations. Analyses based on both individual students and schools support the concurrent validity of TAAS responses. These positive findings were observed across seven different grade levels. The TAAS reading and mathematics tests and their Stanford-9 counterparts apparently measure similar kinds of academic skills.

Neither the Klein et al. (2000) publication nor the present paper attempt an extensive nomological analysis of the Texas test scores. Rather than investigate many possible relationships which would support the validity of TAAS scores, the present paper examined two limited hypotheses: (1) the associate between student socioeconomic status and test performance and (2) the relationship between average school economic standing and average test performance. Data based on school means from a single metropolitan school district used in the present study revealed that schools with a greater percentage of economically disadvantaged pupils also evidenced lower average scores on the Stanford-9 tests. The remaining findings reported here contradict those of Klein et al. Whereas the RAND researchers found no significant linear association between school economic standing and average school TAAS scores, data from all eligible schools in the state indicated that schools with a greater percentage of students from lower socioeconomic families obtained lower mean TAAS scores in both reading and mathematics. When using students as the units of analysis, Klein et al. found no significant negative correlation between student family status and student TAAS scores. However, the present analyses, based on all TAAS takers in Texas, demonstrated that economically disadvantaged students provided fewer correct answers on the TAAS reading and mathematics exams. The hypothesized negative relationships were replicated across all TAAS tested grades in the state. Both school-level and individual-level analyses reported here support the nomological validity of TAAS scores.

A major reason for the difference in findings reported here and those of Klein et al. (2000) is that they did not have access to the population of state data. Instead they used data from a sample based on 20 schools and about 2000 fifth graders from a single geographic region of Texas. It must be emphasized that the RAND researchers did not explicitly attempt to generalize their findings to the state; however, readers of their study may conclude that their findings based on a non-random sample of schools and students may apply to all Texas public schools. The major rationale of the present study was to investigate whether some of the negative findings in the RAND study were representative of Texas public school students. The current results are fairly similar to other studies which attempt to gauge the concurrent and nomological validity of test scores. Although the RAND researchers did not explicitly claim that student answers to the TAAS were invalid, readers of the Klein et al. (2000) paper may incorrectly assume that the results from their limited non- representative sample apply to schools throughout the state. The major conclusion derived from the present findings is that TAAS scores are more valid than implied by the Klein et al. study. TAAS scores meet conventional standards of concurrent validity. Further, the analyses based on all students and schools in the state provide partial support for the nomological validity of TAAS scores. The major conclusion from the current analyses is that the TAAS scores are consistent with conventional definitions of measurement validity.

Using NAEP Results to Assess the Validity of State Accountability Scores

Critics of Texas TAAS results will likely contend that findings based on data from the 20 schools Klein et al. (2000) examined are irrelevant when compared to their comparison of trends in TAAS scores with those from the National Assessment of Educational Progress (NAEP) examinations. An important question Klein et al. (2000) raise is whether the upward trends in TAAS scores observed during the 1990s demonstrate a true increase in student academic achievement. The present paper does not investigate this issue. Nonetheless, a few comments are offered addressing the usefulness of the NAEP to verify trends in student performance within specific states. Critics of educational accountability systems argue that results from standardized tests provide an inflated estimate of how much pupils have actually learned. Student responses from tests states use are presumed to be corrupted because school personnel narrow instruction only to the content of the required examination, rather than focus on the general concepts and skills such tests attempt to measure. Teachers are accused of emphasizing testtaking skills and how to answer the specific kinds of questions which will likely appear on the required examination, instead of concentrating on the subject matter itself. To obtain a more accurate measure of student learning trends, Linn (2000) recommended that more than one test be used to monitor student learning gains. Similar patterns of improvement in scores across two tests would imply that the findings from the test mandated by the accountability system are valid. He suggested comparing examinations used by states with results from the National Assessment of Educational Progress (NAEP) tests. NAEP scores are considered good benchmarks of student learning because the content of the exams were agreed upon by nationally recognized experts in their respective areas. Rigorous sampling procedures are also followed to help ensure that the pupils who agree to be tested are representative of the state student population. The fact that no one ever learns how well individual students or schools performed is also considered an important feature of the NAEP because no pressure exists to generate biased test results. In addition to Klein et al. (2000), other studies have attempted to confirm the validity of increased TAAS scores by comparing state test results with the NAEP. Holland (2002) examined changes in NAEP scores from 1994 to 2000 with changes in TAAS scores over the same time span. 5 He noted discrepancies between results on the state test and the NAEP among AfricanAmericans. Whereas more African-American students passed the TAAS reading exams over time, there was no change in the proportion of African-American students who scored only at the basic level of learning defined on the NAEP. However, the mathematics scores of African-American children improved in the lower tail of the NAEP distribution. Holland also concluded that NAEP data indicated a slight decrease in the mathematics gap between African-American and white students. Unlike Holland, who had access to the NAEP scores of individual students, Linton and Kester (2003) analyzed aggregate changes in TAAS and NAEP mathematics scores from 1996 to 2000. Substantial increases on the Texas examination were not observed on the NAEP. Only among Hispanic students were increases on the TAAS consistent with higher NAEP scores. Even though African American and nonHispanic white students showed substantial gains on the TAAS mathematics test, increases in their NAEP scores were very slight. The growth in NAEP scores among Texas Hispanic students over the four years was also greater than observed among African American and non-Hispanic white pupils. The small gains in NAEP mathematics scores among African American and white test takers in Texas were similar to those observed among their respective racial groups throughout the nation. Comparable to Klein and his colleagues, Linton and Kester concluded that alleged improvements in TAAS scores were illusionary.

Differences in test results between the NAEP and TAAS are assumed to demonstrate that TAAS scores are invalid measures of change. However, critics of TAAS scores ignore the extent to which NAEP scores can be used to help confirm the validity of changes in state test results. It is very likely that certain features of the NAEP may underestimate the degree to which academic achievement has changed within states. The National Assessment Governing Board (NAGB), which oversees the NAEP, has recognized the importance of this issue. Although NAEP data can certainly be useful in assessing changes in student educational achievement, the NAGB (2002) released a report listing a number of factors which potentially limit the degree of convergence between state test results and those from the NAEP:

Potential differences between NAEP and state testing programs include: content coverage in the subjects, definitions of subgroups, changes in the demography within a state over time, sampling procedures, standard-setting approaches, reporting metrics, student motivation in taking the state test versus the NAEP, mix of item formats, test difficulty, etc. (NAGB, p. 16)

The NAGB report suggested that, should state assessment tests vary with the NAEP on some of these dimensions, the greater the likelihood that trends in student performance will diverge from those indicated by the NAEP. Consequently, the NAGB report recommended that comparisons between NAEP data and state tests should be made with caution. Researchers have thus far paid little attention to differences between state accountability tests and the NAEP which might partially explain different trends in student learning gains observed on the two kinds of tests.

Given that the federal government continues to emphasize the use of standardized tests to increase accountability in education, many states have developed testing procedures to gauge growth in student academic achievement. It is highly probable that trends in student scores from state accountability tests will be compared with NAEP answers. Thus far there has been little research investigating the extent to which possible differences in the kinds of tests administered by states and the NAPE may result in discrepant findings. Although many educational researchers will likely favor NAEP results as a better measure of student learning gains, a worthwhile research endeavor for the future would be to investigate the degree to which differences between state accountability tests and the NAEP result in contradictory findings. For example, variation in test content could be examined. The social and demographic characteristics of students taking the NAEP could be compared with the population of students taking a state assessment test. Levels of student motivation on mandatory and voluntary tests could also be investigated. This suggested line of research may enable educational administrators, educators, officials and other interested parties to better evaluate student academic progress.

References

Allensworth, E. M. Dropout rates after high-stakes testing in elementary school. A study of the contradictory effects of Chicago’s efforts to end social promotion. Educational Evaluation and Policy Analysis, 27(4), 341-346.

Dworkin, A. G., Lorence, J., Toenjes, L. A., Hill, A. N., Perez, N., & Thomas, M. (1999). Comparisons between the TAAS and norm- referenced tests: Issues of criterion-related validity. Houston, TX: University of Houston, Sociology of Education Research Group.

Holland, Paul W. (2002). Using NAEP data to confirm progress in State AC.@ Appendix B in National Assessment Governing Board National Assessment of Educational Progress (2002, March 1). Using the National Assessment of Educational Progress to confirm state test results. Retrieved December 1, 2005 from http://www.nagb.org/ pubs/color_document.pdf.

Klein, S. Hamilton, L., McCaffrey, B., & Stecher, B. (2000). What do test scores in Texas tell us? Educational Policy Analysis Archives 8(49). Retrieved May 19, 2005, from http:// epaa.asu.edu/ epaa/v8n49/.

Linn, R. L. (2000). Assessments and accountability. Educational Researcher, 29 (2), 4-16.

Linton, T. H. & Kester, D. (2003). Exploring the achievement gap between white and minority students in Texas: A comparison of the 1996 and 2000 NAEP and TAAS eighth grade mathematics test results. Educational Policy Analysis Archives, 8 (49). Retrieved May 19, 2005, from http://epaa.asu.edu/epaa/v11n10/

McNeil, L. & Valenzuela, A. (2001). The harmful effect of the TAAS system of testing in Texas: Beneath the accountability rhetoric. In G. Orfield & M. L. Kornhaber (Eds.), Raising standards or raising barriers? (pp. 127150). New York: Century Foundation Press. National Assessment Governing Board National Assessment of Educational Progress (2002, March 1). Using the National Assessment of Educational Progress to confirm state test results. Retrieved December 1, 2005 from http://www. nagb.org/pubs/color_document.pdf.

No Child Left Behind Act of 2001, 20 U.S.C. ‘ 6301 (2002).

Nunnally, J. C. (1978). Psychometric theory (2nd ed.). New York: McGraw-Hill.

Shepard, L. (2004). Understanding research on the consequences of retention. In H. J. Walberg, A. J. Reynolds, and M. C. Chang (Eds.), Can unlike students learn together? (pp. 183-202). Greenwich CT: Information Age Publishing.

Texas Education Agency (n.d.). TAAS participation rates by student characteristics. Retrieved December 30,2005 from http:// www.tea.state.tx.us/perfreport/aeis/99/state.html

Texas Education Agency (2005a). Percent meeting minimum expectations on the TAAS, 4th grade. Retrieved December 30, 2005 from http://www.tea.state.tx.us/ student. assessment/eporting/ results/swresults/august/g4all_au.pdf

Texas Education Agency (2005b). Percent meeting minimum expectations on the TAAS, 8th grade. Retrieved December 30, 2005 from http://www.tea.state.tx.us/ student. assessment/eeporting/ results/swresults/august/g8all_au.pdf

Jon Lorence

University of Houston

Copyright Educational Research Quarterly Jun 2008

(c) 2008 Educational Research Quarterly. Provided by ProQuest Information and Learning. All rights Reserved.

Identifying Indicators of Student Development in College

By Hassan, Karma El

The purpose of this study is to investigate the effect of college on student goals and aspirations, in addition to identifying the determinants of overall quality of instruction, satisfaction with college in general, and the predictors of various aspects of student self-reported growth (intellectual, personal, social, preparation for further study, and preparation for a career). Moreover, the relationship among these various aspects of growth and with variables like grade point average, gender, level, and major was studied. The College Outcomes Survey (COS) was administered at end of the year to a representative sample of undergraduate students. Regression analyses were used to determine predictors of growth and satisfaction with college. T-tests were used to investigate change in students’ goals and aspirations, and mean differences in growth. ANOVAs were used to investigate differences in growth by various background variables studied. Findings were discussed and their implications on institutional policies and practices were outlined. There is vast evidence on college impact. Overwhelming body of evidence suggests that college attendance significantly contributes to learning and cognitive development over and above that of expected maturation and life experiences (Pascarella & Terenzini, 1991). Simple comparison between college graduates and non- graduates of a similar age, graduates make statistically significant gains in factual knowledge and in a range of general cognitive and intellectual skills: they also change on a broad array of value, attitudinal, psycho-social, and moral dimensions.

The conceptual work of Astin (1993), Chickering (1969), Pascarella (1985), and Pascarella and Terenzini (1991) has identified four types of influences that need to be taken into account to accurately estimate the impact of college on students (1) demographic or precollege characteristics, (2) organizational or structural characteristics of the institution (3) academic experiences, and (4) nonacademic experiences.

Interest in student development was heightened by industrial leaders’ calls for college graduates who can work in teams and solve real world problems (Augustine, 1996; Black, 1994; Bucciarelli, 1988). In addition, in 1992, the National Educational Goals Panel declared student developmental outcomes such as critical thinking, problem solving, effective communication, and responsible citizenship essential when judging the effectiveness of its institutional affiliates. Accrediting agencies have contributed to this trend also by shifting their focus to indicators of teaching effectiveness.

The National Study of Student Learning (NSSL) examined the influence of academic and nonacademic experiences on undergraduate student learning and orientations to learning. The study uncovered a large number of unconditional effects like quality of teaching, extent and nature of interaction with faculty and peers, the focus and intensity of academic experiences, and the overall level of student engagement that are more important in defining excellence in undergraduate education than the reputation, selectivity, or resources of the institution attended (Pascarella, 2001). Identifiable types of campus structures seem to matter far less than the nature of the opportunities presented by the college (Pascarella & Terenzini, 1991).

Student self-reports of cognitive growth along with standardized test results and college grades have been the more commonly used outcome measures in college impact studies (Pascarella & Terenzini, 1991 ). In the former, students are asked to estimate and report the degree of cognitive change since they entered college in each of several areas of knowledge and competence. A good deal of research supports the use of student self-report measures (Pike, 1995, 1996; Bowen, 1977), as they possess a certain degree of convergent validity vis-a-vis standardized instruments, and despite the absence of one-to-one correspondence between the two, self-reports can be justifiably used as general indicators of achievement.

Ewell & Jones (1993) champion the use of indirect measures because of the extreme difficulty of producing direct ones. From a methodological perspective, this method can cover a wide range of learning and developmental outcomes. It is also attractive from a practical perspective since it is fairly inexpensive, in addition, many of the goals of higher education cannot be measured by achievement tests, such as outcomes related to attitudes, values, and social and practical competence. For some outcomes, student reports may be the only source of useful data ((Kuh, Pace & Vesper, 1997).

For these reasons, efforts have been allocated to creating performance indicators that address the functions of a university and that can act as proxies of institutional quality and as predictors of college student learning. As the viability of resource and reputation indicators has been questioned, recommendations were made for the development of process indicators, measures of behavior associated with desired outcomes of college (NCHEMS, 1994), and for assessment of impacts or results in area of student development and professional competencies (Burke & Serban, 1998). Process indicators serve two purposes; they can help institutions identify whether activities and opportunities for learning are in ample supply and whether students are taking advantage of institution’s resources. In addition, they are action-oriented in that they can be used to inform policy decisions that could lead to enhanced student learning (Kuh et al, 1997).

For the past four years, the University (AUB) has been going through a process of self-study and self-assessment as part of accreditation and its efforts to improve the quality of its education. For this purpose, a series of studies investigating both teaching and institutional effectiveness were conducted. AUB received accreditation in June 2004; however the assessment of processes, academic programs and learning outcomes, had been an ongoing activity. The results of these investigations are being made use of in the strategic planning initiative that has started following accreditation.

One of the instruments used for the past three years to assess student perceptions of their learning experience at AUB and the extent to which it contributed to student growth is the ACT College Outcome Survey (COS). The COS is administered annually to a representative sample of the undergraduate student population and its results are made use of in assessing AUB’s progress towards attaining the various learning outcomes.

The COS provides information on college outcomes attained, personal growth realized, extent of satisfaction with various aspects of college, and extent of growth (intellectual, personal, social, preparation for further study and for a career), in addition to student background information (age, major, level, sex, educational achievements and goals, parents education, responsibilities, and time allocations). It also provides an additional items section which includes items on instructional and teaching activities.

The purpose of this study is to investigate the effect of college on student goals and plans, in addition to identifying the determinants of Overall quality of instruction in my program’ and ‘satisfaction with this college in general’. Similarly, this study aims to identify the predictors of various aspects of student self- reported growth (intellectual, personal, social, preparation for further study, preparation for a career), and those variables within college expertence that are statistically significant predictors of outcome measures. Moreover, the relationship among these various aspects of growth and with variables like grade point average, gender, level, and major will be studied. Findings will have practical implications on how the institution will organize itself and for how it will structure students’ learning experiences. They will also impact institutional policies and practices as they will identify those processes and activities most tied to learning, and accordingly the more effort devoted to these activities the higher the benefits.

Method

Sample and Administration

The COS was administered by the Office of Institutional Research to a representative sample of undergraduate students in their classrooms towards the end of the academic year. Stratified cluster sampling was used and a sample of 72 course sections was selected. Concerned faculty were contacted, and students’ cooperation and motivation were sought by e-mail. A total of 892 students filled out the forms and these were sent to ACT for scoring and reporting.

Data Analysis

ACT provided item statistics for the whole sample and by gender, faculty, and GPA, in addition to an ASCI data file. The later was used to answer questions of the present study. To investigate effect of college on student goals and plans, t-tests were used to investigate difference in goals at entry to university and at present. For predictors of present goals, overall quality of instruction, overall satisfaction, and various aspects of growth, a series of regression analyses were used. The dependent variables were regressed against 1) student precollege characteristics (educational plans and aspirations, father/mother education), 2) satisfaction items with various aspects of college, 3) progress made in various learning outcomes, 4) personal growth attained, and 5) teaching practices and classroom experiences. To investigate relation among various aspects of growth, Pearson r correlations were computed, while to study the relationship of aspects of growth with demographic variables, analyses of variance were used. Results

Effect of College on Student Aspirations and Plans

T-tests revealed significant mean differences between ‘Highest goal you Now intend to pursue in your lifetime’ (M=7.43, SD = 0.79) and ‘Highest goal you had when you first enrolled here’ (M=6.55, SD= 0.1.91), t (660) =12.06, p=.00. Correlations betweens goals at entry and at present were low but significant r=0.25, p

Predictors of Overall Satisfaction with College and with Quality of Instruction

When overall satisfaction with college was regressed against all other independent variables, the model revealed 12 variables that correlated r=0.77 and accounted for 59% of the variance in satisfaction. Table 1 provides results of the regression with respective Betas (beta), in decreasing order of importance, and their significance. As to satisfaction with overall quality of instruction, regression revealed 11 predictors correlating r=0.76 and accounting for 57% of the variance (Table 1).

Various Aspects of Growth

Descriptive statistics revealed highest mean in intellectual growth (M= 3.94) followed by social growth (M=3.87), while lowest was in preparation for a career (M=3.56). Tests of significance between means revealed significant differences between different types of growth attained by students at p

Regression analyses involving aspects of growth against various variables are reported in Table 2. Predictors of various aspects of growth are reported with their respective Beta (beta) weights and the significance level in their order of importance.

Discussion

Effect of College on Student Aspirations and Goals

Studying at AUB has an impact on students as revealed by growth they experienced in several areas and by significant effect on their aspirations and goals. Goals student NOW intend to pursue are significantly higher than the ones they entered with which confirms the fact that there is a relationship between present goals and aspirations and those at entry but they are different and distinct. Pascarella, Wolniak, & Pierson (2003) confirm the importance of pre college educational plans as an important variable in end of year plans, in addition to gender, race and tested academic ability. One does not have to use change or gain scores to either statistically or conceptually explain growth in college, as adjustment for pre- college abilities was taken care of by including pretest measure as a statistical control. Then, estimated impacts of all other variables in regression equation on posttest scores would remain the same as their estimated impact on pretest-to-posttest gains. Moreover, pre college achievement is presumably already controlled because the survey asks the student to report change since entering college.

Predictors of Overall Satisfaction with College and with Quality of Instruction

Regression revealed predictors of overall quality of instruction to be mainly teaching and classroom practices like those involving clarity and organization and interacting with faculty and receiving feedback. Evidence in the literature is mounting to the importance of these classroom practices. Terenzini, Springer, Pascarella, & Nora (1995) confirm that student’ interactions with peers and with faculty members (primarily outside the classroom) are positively related to gains in cognitive ability. Similarly, Tsui (2002) revealed that selfassessed growth is positively related to such instructional factors as having a paper critiqued by an instructor, conducting independent research, and working on a group project. Results of Cabrera, Colbeck & Terenzini (2001) corroborate evidence from other research indicating that faculty efforts in the classroom influences student learning. An instructor who interacts with students, guides learning rather than lecturing, and gives detailed and specific feedback and encouragement provides students with a model for positive collaborative behavior. Those instructors who bring clarity and organization to the classroom also positively influence student development. Explaining assignments and activities and articulating them to the content of the class, and clearly stating course expectations increases the ability of students to solve problems.

As to overall satisfaction with college, the identified 12 variables explained around 60% of the variance. Five of these variables were satisfaction items with curriculum (variety of courses, flexible degree requirements, program of study) and with out-of class experiences (faculty respect for students, campus atmosphere of understanding). A third of the variables predictive of overall satisfaction represented personal growth in social skills; constructively expressing emotions and ideas, academic competence, and considering opposing points of view. Similarly, satisfaction with college is affected by progress in attaining certain outcomes like developing ability to think and reason and study skills. Examining these findings, leads to the conclusion that satisfaction with college is not solely related to satisfaction or growth in intellectual development but it is equally, if not, more related to personal and social growth and to both classroom and out-of- classroom experiences. Theoreticians have long suggested that students learn and change in holistic ways and as a consequence of multiple college influences (Graham & Cockriel, 1996; Pascarella, 1989). Accordingly, an aggregate measure of student social and academic involvement would be a significant predictor, as college’s effects go beyond intellectual development and are more cumulative and interrelated, rather than specific to any particular kind of experience.

Various Aspects of Growth

Highest growth was achieved in the intellectual domain and these results can be explained by the tendency at AUB, as a teaching research institution, to enhance student intellectualism. Recently, however, and since accreditation was received and to meet employers’ and job market needs, a move to stress all aspects of growth was started. However, the intellectualism stressed at AUB was not at the expense of other aspects, as revealed by the reported moderate correlations between various aspects. Similar results were reported by Moss (2003) while investigating intellectualism versus career preparation among graduating college seniors thus failing to support Khatchadourian & Boli ‘s (1985) finding that career growth tends to interfere with intellectual growth.

When investigating differences in various aspects of growth by background variables (GPA, major, gender, level), only intellectual growth revealed significant differences in all of those variables. Students in senior class, with higher GPA, male and majoring in education and sciences had highest mean scores in intellectual growth. Preparation for a career and for further study differed by major, while the later also differed by GPA. It is expected that students with higher GPA would have also attained more growth in all of the aforementioned areas. Measures of growth should demonstrate relationships with background characteristics that agree with theory and existing research. Research has shown that a student studying humanities and social sciences shows better critical and logical thinking than others (Gadzella & Masten, 1998). Also, higher levels of general thinking were reported among students with higher GPA and a higher level of study (Cheung, Rudowicz, Kwan, & Yue, 2002). Similarly, Tsui (1999) concluded that self-reported growth in critical thinking is positively, albeit moderately, correlated with college grades (.13) and undergraduate degree attainment (.11).

Examining predictors identified from regressing aspects of growth on different categories of variables, one can note some interesting general findings. First, there is overlap in predictors of different growth aspects and some predictors explain variance in more than one domain. For example progress in ‘applying scientific knowledge and skills’ is a predictor of personal growth, preparation for further study and for a career. Second, despite overlap, there are some predictors that are specific to some growth domains. Third, predictors of any one aspect of growth are a combination of cognitive, social/ personal, and teaching/classroom practices. Importance of each category differs depending on aspect of growth measured. Table 3 presents a summary of predictors, the overlap among different types of growth, and the specificity to certain growth domains. Each of progress in learning to think and reason’, ‘applying scientific knowledge and skills’, and ‘personal growth in developing a sense of purpose and meaning in life’ is a predictor of three aspects of growth. There are others which predict two aspects, while some which are specific to one like ‘practical work experiences offered in areas related to my major’ and ‘acquiring knowledge and skills needed for a career’ that are predictors of preparation for a career. Similarly, ‘dealing fairly with a wide range of people’, ‘developing self-confidence’, and ‘becoming an effective team group member’ were particular to social growth.

As evident from the table, the predictors of each aspect of growth is a combination of factors emphasizing progress in some cognitive outcomes, personal/social growth, and satisfaction with class and out of class experiences. Research have long emphasized the multiple sources of influences that span the college experience including student involvement both in and outside the class (Terenzini, et. al, 1995, Pascarella, 89, Loeb and Magee, 1992). These data suggest college experiences affect personal growth in many different areas simultaneously and do not just affect a limited spectrum of it. They also stress the fact that the real quality of the undergraduate experience rests more on the educational ethos and in what a college does to tie academic and social engagement to one another rather than to the traditional measures of quality (Terenzini & Pascarella, 1994). Research emphasizes the multidimensionality of these indicators and the need to use them as a group if they are to support strategic decisions. The information they provide provides a comprehensive picture of institutional strategic areas (Ewell, 1998).

Conclusion and Implications

This research has attempted to identify predictors of student development and satisfaction with college. The findings of this study helped identify the different types of experiences needed to enhance and develop different types of growth. Gains in student development appear to be a consequence of a variety of student experiences, not those that are part of the formal instructional program only. Students’ background characteristics had only trivial influences on educational gains. Little in way of structures seemed to make difference in student achievement. Growth was largely determined by the individual’s level of involvement in both academic and nonacademic activities. Differences that mattered were on ‘personal level’. Interactions with faculty on research projects, discussing research or career plans seemed to play a significant role in development. The relatedness of both cognitive and affective development calls for addressing what appears to make a difference- the quality of teaching and the nature of the educational environment on campus. Some of the implications of the above findings:

1. In order to make a complete representation of the college experience, we need to take into account the multiple sources of influence that span the entire college experience. This study provided information on areas where college has its greatest impact and accordingly they should be targeted by policy decisions.

2. From practical point of view, findings have implications for how colleges organize themselves and for how they structure students’ learning experiences. Institutional & academic program planning processes are more likely to be effective if they take into account the potential for simultaneous contributions of students’ class-related and out of class experiences on student learning. Astra, et al, 1994, as cited in Graham & Cockriel ( 1996), recommend college officials to articulate general frameworks of growth for students and to link academic and student service programs through internships and course experiences. These can allow students to confront real-world problems and provide opportunities for leadership roles that are similar to ones they will be required to develop once they join the world of work.

3. Similarly, recent advances in cognitive psychology (Anderson & Armbruster, 1990) and student involvement (Astin, 1993; Pascarella and Terenzini, 1991) might offer ideas to design meaningful learning experiences that integrate cognitive growth and personality development.

4. From academic point of view, findings can help in identifying instructional techniques that are influential to intellectual growth and quality instruction and accordingly emphasize them in faculty development and in curriculum. The importance of faculty feedback and clarity/organization of instruction were evident in the study, in addition to that of student active involvement.

Finally, this paper confirms the literature on the multidimensionality and web-like character of the factors enhancing student growth. It also affirms the holistic way in which students grow and learn, thus affirming a general framework for growth, despite the fact that this study is done in a different culture. However, the differences, if any, might have been overcome by the fact that AUB is an American institution promoting liberal arts education.

References

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Burke, J. C., and Serban, A. M. (1998). Performance funding for public higher education: Fad or trend? New Directions for Institutional Research, No. 97. San Francisco: Jossey-Bass.

Cabrera, A.F., Colbeck, C.L., & Terenzini, RT. (2001). Developing process indicators for assessing classroom teaching practices and student learning: The case of engineering. Research in Higher Education, 42(3), 327-352.

Cheung, C., Rudowicz, E., Kwan, A., & Yue, X. (2002). Assessing university Students’ general and specific critical thinking. College Student Journal, 36 (4), 504-526.

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Khatchadourian, H., & BoIi, J. (1985). Careerism and intellectualism among college students. San Francisco: Jossey-Bass.

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Pascarella, E. (1985). College environmental influences on learning and cognitive development: A critical review and synthesis. In J. Smart (Ed.), Higher education: Handbook of theory and research (Vol. 1, pp. 1-64). New York: Agathon.

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Pascarella, E., Wolniak, G., & Pierson, C. (2003). Explaining student growth in college when you don’t think you are. Journal of College Student Development, 44(1), 122-126.

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Pike, G. R. (1996). Limitations of using students’ self-reports of academic development as proxies for traditional achievement measures. Research in Higher Education, 37(1), 89-113.

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Tsui, L. (2002). Fostering critical thinking through effective pedagogy. Journal of Higher Education, 73(6), 740-763.

KARMA EL HASSAN, PHD.

American University of Beirut, Lebanon

Copyright Project Innovation, Inc. Jun 2008

(c) 2008 College Student Journal. Provided by ProQuest Information and Learning. All rights Reserved.

America’s First Amphetamine Epidemic 1929-1971

By Rasmussen, Nicolas

Using historical research that draws on new primary sources, I review the causes and course of the first, mainly iatrogenic amphetamine epidemic in the United States from the 1940s through the 1960s. Retrospective epidemiology indicates that the absolute prevalence of both nonmedical stimulant use and stimulant dependence or abuse have reached nearly the same levels today as at the epidemic’s peak around 1969. Further parallels between epidemics past and present, including evidence that consumption of prescribed amphetamines has also reached the same absolute levels today as at the original epidemic’s peak, suggest that stricter limits on pharmaceutical stimulants must be considered in any efforts to reduce amphetamine abuse today. ( Am J Public Health. 2008;98:974- 985. doi: 10.2105/AJPH.2007.110593) THE UNITED STATES IS experiencing an outbreak of amphetamine abuse. The latest national surveys show that about 3 million Americans used amphetamine- type stimulants nonmedically in the past year, 600000 in the past week, and that 250000 to 350000 are addicted.1 Although survey data indicate that the number of nonmedical users of amphetamine-type stimulants may have stabilized, the number of heavy users with addiction problems doubled between 2002 and 2004.2 Thus, the public health problem presented by amphetamines may still be increasing in severity; in many ways it surpasses that of heroin.3 Although all of this is widely appreciated, the history of an even larger amphetamine epidemic 4 decades ago is less well-known.

ORIGINS OF THE EPIDEMIC, 1929-1945

The original amphetamine epidemic was generated by the pharmaceutical industry and medical profession as a byproduct of routine commercial drug development and competition. Searching for a decongestant and bronchodilator to substitute for ephedrine, in 1929, biochemist Gordon Alles discovered the physiological activity of beta-phenylisopropylamine (soon to be known as amphetamine). Alles published his first clinical results with the compound in 1929,4 began amphetamine’s clinical development in collaboration with pharmacologists and clinicians at the University of California, and received a patent on its orally active salts in 1932.5 Meanwhile, possibly inspired by Alles’s work, the Philadelphia firm Smith, Kline and French (SKF) investigated the base form of amphetamine and patented it in 1933. SKF marketed it as the Benzedrine Inhaler, a capped tube containing 325 mg of oily amphetamine base and little else. For congestion, one was meant to inhale amphetamine vapor every hour as needed.6 Although no legal category of prescriptiononly drugs existed in the 1930s,7 the Benzedrine Inhaler was advertised for over-the-counter sale upon its introduction in 1933 and 1934 and for the next 15 years.8

At the end of 1934, Alles transferred his patent on amphetamine salts to SKF, and the firm sponsored the drug’s further clinical development.9 In 1937, the American Medical Association (AMA) approved advertising of SKF’s “Benzedrine Sulfate” racemic amphetamine tablets for narcolepsy, postencephalitic Parkinsonism, and minor depression.10 (The voluntary AMA “Seal of Approval” system, in which mainly academic medical experts evaluated data submitted by manufacturers before allowing advertising in cooperating journals, was the only drug efficacy regulation at the time.11) Amphetamine therapy for minor (“neurotic”) depression quickly found acceptance among psychiatrists and neurologists in the late 1930s. SKF-funded Harvard psychiatrist Abraham Myerson played a particularly influential role, theorizing that amphetamine adjusted hormonal balance in the central nervous system by creating or amplifying adrenergic stimulation so as to promote activity and extraversion. Because Meyerson understood minor depression as anhedonia caused by suppression of natural drives to action, amphetamine represented an ideal depression therapy to him.12

Fueled by advertising and marketing urging general practitioners to prescribe the drug for depression, and at the same time promoting Myerson’s rationale for that use, annual sales of Benzedrine tablets (mainly 10 mg) grew steadily to about $500000 in 1941, over 4% of SKF’s total sales.13 Thus, by World War II, amphetamine in tablet form was finding commercial success and gaining credibility as a prescription psychiatric medication (the first “antidepressant”), despite sporadic reports of misuse.14 The war years did nothing to diminish the drug’s growth in popularity; by 1945, SKF’s civilian amphetamine tablet sales had quadrupled to $2 million, including $650000 in sales of the firm’s new “Dexedrine” dextroamphetamine tablets.15

The US military also supplied Benzedrine to servicemen during the war, mainly as 5-mg tablets, for routine use in aviation, as a general medical supply, and in emergency kits.16 The British military also supplied Benzedrine tablets during the war, and the German and Japanese military supplied methamphetamine.17 Of course, not all amphetamine supplied by the military was ingested by servicemen, nor did users ingest it ad libitum; there were rules limiting the drug’s use.18 However, these were not well observed. For instance, in a 1945 army survey of fighter pilots, of the 15% (13 of 85) who regularly used amphetamine in combat, the majority “made their own rules” and took Benzedrine whenever they “felt like it” rather than as directed.19

Along with growth in amphetamine use for psychiatric indications, the war years also saw an explosion of amphetamine consumption for weight loss, although this medical usage was not yet approved by AMA and not advertised by SKF. Off-brand pills manufactured by smaller companies dominated this market. In 1943, SKF filed suit for patent infringement against one of these manufacturers, a New Jersey concern named Clark & Clark, producer of both 10-mg Benzedrine look- alike tablets and colorful diet pills containing metabolism- boosting thyroid hormone and 5 mg of amphetamine. The company’s output was a matter of dispute, but on the basis of sworn testimony from both sides, combined amphetamine production for civilian use by SKF and Clark & Clark in late 1945 must have stood between 13 million and 55 million tablets monthly and may be conservatively estimated at about 30 million tablets monthly, each containing 5 to 10 mg of amphetamine salts.20 This national (civilian) consumption rate for the United States in 1945 was sufficient to supply half a million Americans with 2 tablets daily, the standard dosage schedule for depression and weight loss. Pastyear use in 1946 would have almost certainly been higher, because many were only occasional users.

Unsurprisingly, given such widespread availability of so inherently attractive a drug, significant abuse of amphetamine quickly developed. One noteworthy 1947 publication hinted at its dimensions. Psychiatrists Russell Monroe and Hyman Drell, stationed at a military prison in 1945, encountered large numbers of agitated, hallucinating patients. A survey revealed that one quarter of the imprisoned personnel were eating the contents of Benzedrine Inhalers, which then contained 250 mg of amphetamine base. Almost one third of the abusers (8% of the prison population) had begun this practice in the military before imprisonment. Only 11% of the inhaler abusers (3% of the prison population) had used some form of amphetamine nonmedically before the war. Twenty-seven percent of abusers had been given amphetamine during military service, mainly by an officer and in tablet form, compared with 5% of nonabusers-an odds ratio of 7.0. There is thus strong evidence that Benzedrine abuse, although an existing practice, was multiplied many times by military exposure, at least among vulnerable subpopulations. And although these prisoners were not typical of military personnel, neither, in the judgment of the psychiatrists, were most of them particularly abnormal young men.21

To sum up, by the end of World War II in 1945, less than a decade after amphetamine tablets were introduced to medicine, over half a million civilians were using the drug psychiatrically or for weight loss, and the consumption rate in the United States was greater than 2 tablets per person per year on a total-population (all ages) basis.22 Up to 16 million young Americans had been exposed to Benzedrine Sulfate during military service, in which the drug was not treated as dangerous nor was its use effectively controlled, helping normalize and disseminate nonmedical amphetamine use. Misuse and abuse, especially of the cheap nonprescription Benzedrine Inhaler but also of tablets, were not uncommon. However, as often occurs in the first flush of enthusiasm for new pharmaceuticals, abuse, adverse effects, and other drawbacks had not yet attracted much notice.

GROWTH OF THE EPIDEMIC, 1945-1960

In 1945 and 1946, the courts upheld Alles’s patent on amphetamine salts, affirming SKF’s monopoly control of oral amphetamine until late 1949.23 With recouped business from infringing firms, SKF’s annual sales of amphetamine tablets (Benzedrine and Dexedrine Sulfate) doubled, from $2.9 million in 1946 to $5.7 million in 1947.24 With AMA approval to advertise amphetamine for weight loss that year, sales climbed further to $7.3 million in 1949, despite competition from methamphetamine-based weight loss and antidepressant products such as Abbot’s Desoxyn and Wellcome’s Methedrine.25 Following expiration of Alles’s patent in late 1949, consumption of pharmaceutical amphetamines in the United States surged. On the basis of voluntary manufacturer surveys, the Food and Drug Administration (FDA) placed 1952 production of amphetamine and methamphetamine salts at nearly quadruple the agency’s 1949 estimate by similar methods.26 Given that SKF amphetamine sales in the period did not grow significantly, virtually all this expansion in amphetamine supply was driven by the marketing efforts of competitors.27 During the 1950s, fierce commercial competition helped drive amphetamine consumption higher still. In a particularly innovative effort to expand medical usages for the drug, in late 1950, SKF introduced a product called Dexamyl, a blend of dextroamphetamine and the barbiturate sedative amobarbital. 28 Intended to overcome the unpleasant agitation that many users experienced with amphetamine and to quell anxiety without drowsiness, Dexamyl was marketed with great success for everyday “mental and emotional distress” in general practice and also as a weight-loss remedy striking at the emotional causes of overeating. 29 Competing firms answered with their own sedative- amphetamine combinations, such as Abbot’s Desbutal and Robins’s Ambar, blends of methamphetamine and pentobarbital or phenobarbital, respectively.30 Creative amphetamine combination products from both SKF and its competitors proliferated throughout the 1950s.31

According to FDA manufacturer surveys, by 1962, US production reached an estimated 80000 kg of amphetamine salts, corresponding to consumption of 43 standard 10-mg doses per person per year on a total-population basis.32 Thus, in amphetamine alone, the United States in the early 1960s was using nearly as much psychotropic medication as the 65 doses per person per year in the present decade that social critics today find so extraordinary. 33 And the 1960s are rightly remembered for excessive minor tranquilizer consumption, around 14 standard doses per person per year on the basis of retail prescription sales.34 It is rarely appreciated that in the early 1960s, amphetamines were actually consumed at a higher rate than tranquilizers. This oversight may be caused by excessive reliance on retail prescription audits (inappropriate for amphetamines when billions were dispensed directly; see the next section) and neglect of the fact that amphetamine obesity medications were just as psychotropic as amphetamine- based antidepressants. Through the rest of the 1960s, FDA estimates of amphetamine production would grow little beyond 8 billion 10-mg doses, implying that consumption of the drug had already reached saturation levels in 1962. This conclusion, based on voluntary FDA production surveys, draws independent support from flat retail prescription sales from 1964 to 1970.35

The best published evidence of the nature and prevalence of medical amphetamine consumption around 1960 comes from studies in the United Kingdom, thanks to the National Health System, which facilitates comprehensive prescription monitoring and correlation of physicians with base populations. A study of retail prescriptions filled in the Newcastle area during 1960 found that about 3% were for amphetamines, consistent both with UK national prescribing figures and with contemporary prescribing in the United States according to commercial audits.36 Given similarities in culture and medical practices, the British findings therefore shed light on amphetamine use in America around 1960, at least for drugs dispensed at pharmacies.37

In the Newcastle study, quantities dispensed were sufficient to supply more than 1% of the total population with 60 tablets per month; two 5-mg doses of dextroamphetamine daily was the most common prescription, according to a 1961 companion study that audited family practitioners in the same area.38 Dexamyl-in Britain called Drinamyl-was the most commonly prescribed amphetamine product. About one third of amphetamine prescriptions were for weight loss, one third for clear-cut psychiatric disorders (depression, anxiety), and the remaining third for ambiguous, mostly psychiatric and psychosomatic complaints (tiredness, nonspecific pain). The largest age group among the medical users were those aged 36 to 45 years, and 85% of all amphetamine patients were women.39 Even making the simplifying assumption that weight loss prescriptions were entirely for women and taking into account that women seek medical attention more often than men, these figures indicate that per doctor visit around 1960, a woman was twice as likely as a man to receive an amphetamine prescription to adjust her mental state-much like minor tranquilizers in the same period.40

By about 1960, widespread consumption had begun to make amphetamine’s negative health consequences more evident. Amphetamine psychosis had already been observed in the 1930s among long-term narcoleptic users of the drug, and individual case reports mounted during the 1940s and early 1950s.41 Initially, psychotic episodes were attributed to latent schizophrenia “unmasked” by the drug or to some other preexisting psychiatric pathology in the user.42 In Philip Connell’s definitive 1958 study of 40 cases, however, the British psychiatrist persuasively showed that amphetamine psychosis could happen to anyone, and eventually would, given enough of the drug.43 The highly uniform set of paranoid symptoms- sinister voices emanating from toilet bowls, spies following one’s every move-in a wide variety of personality types argued against any shared constitutional feature of the patients’ mentality or neurology. Also, the psychosis generally took time to develop, suggesting a dosage-dependent cumulative effect. And although almost all of Connell’s patients had engaged in nonmedical use before their crises, a large proportion had first taken amphetamines by prescription, so they could not be dismissed as deviant thrill- seekers. Finally, patients recovered fully a week or two after they ceased amphetamine use, essentially proving they had not been schizophrenic.44

Evidence was also emerging around 1960 that amphetamine is truly addictive, instead of merely “habituating” like caffeine, as leading pharmacologists had asserted when the drug was first introduced. 45 Postwar changes in thinking about addiction, promoted particularly by the World Health Organization, facilitated this new perspective on amphetamine by moving the concept away from an opiate model, defined by acute physiological withdrawal, toward a psychosocial model of “drug dependency” defined by compulsive behavior and erosion of function.46 Indeed, the previously mentioned British research uncovered evidence of significant dependency on prescribed amphetamines. In Newcastle in 1961, 0.8% of a very large study population received amphetamine prescriptions during a 3-month audit period; according to their physicians, between one fifth and one quarter of these amphetamine patients were “habituated or addicted” or dependent to some extent.47 Taking the sample in these studies as representative (as the investigators intended), between 2% and 3% of the total population must have received amphetamines by prescription in the course of a year.48 This, together with the 0.2% of the general population identified as “habituated or addicted,” implies a dependency rate among past-year medical amphetamine users of 6.7% to 10%.49

To distinguish between the habituation and addiction reported by Newcastle physicians, another northern British study of the early 1960s enrolled family practitioners to dispense Dexamyl tablets, identical-looking placebos, or plain white tablets containing Dexamyl’s active ingredients to their apparently amphetamine- dependent patients on a double-blind basis. The study found that about one third of “habituated or addicted” medical Dexamyl users were in fact physically dependent.50 Taken together with the prevalence estimates in the previous paragraph, this outcome implies extensive iatrogenic amphetamine addiction in the early 1960s-that is, 2.2% to 3.3% of all patients receiving amphetamine prescriptions in a given year.51

At the end of the 1950s, the monoamine oxidase inhibitor and tricyclic antidepressants were introduced and quickly acclaimed by psychiatrists as superior to amphetamines for depression. In the United States, however, prescribing rates for amphetamines did not decline significantly in the 1960s,52 despite the availability of alternatives and increasing awareness of amphetamine’s defects. At that time, the vast majority of psychiatric medications were prescribed in primary care, much more so than today.53 Why, then, did family practitioners continue to prescribe mental health drugs that psychiatric specialists judged inferior?

The answer lies in the type of patient for whom amphetaminebased prescriptions had become typical in the 1950s and the trends and exigencies of primary care. At least one third of primary care office visits are motivated by complaints for which the physician can find no organic explanation, a longstanding fact of life for general practitioners that received official recognition in the 1950s.54 “Psychosomatic medicine” enjoyed a postwar vogue, and as a substitute for the archaic bromides and nerve tonics then still commonly prescribed, primary care authorities in the 1950s began advocating barbiturates, amphetamine, and amphetamine-barbiturate combinations for the mild depressions and other emotional disturbances presumed to be driving such mysterious complaints.55 Psychiatric specialists writing on general practice also endorsed these prescribing approaches, although they understood sympathy, reassurance, and time as the main therapeutic agents for all neurotic ailments.56 Assisted by such trends in medical thought, along with pharmaceutical marketing that reinforced them, amphetamines became first-line treatments for emotional distress and psychosomatic complaints in the 1950s. In the 1960s, the continuing preference of family doctors for amphetamines caused psychiatrists some consternation. Evidently, the newer drugs did not work as well for the typical distressed amphetamine patient, even though they worked better on bona fide depressives in controlled clinical trials. As one specialist lamented in 1965, general practitioners had tried newer antidepressants, but they prescribed them in subtherapeutic doses to avoid toxicity (in the case of monoamine oxidase inhibitors) and unpleasant side effects (in the case of tricyclics). Used as placebos to tide patients over their difficulties, amphetamines were superior because they were more agreeable and improved compliance. After a brief experiment, many primary care physicians therefore went “back to the old standbys, amphetamine and amphetamine-barbiturate combinations.” 57 As one general practitioner explained in 1970, only amphetamine kept certain patients “capable of performing or even enjoying their duties”58- that is, of managing their problems of living. In the United States, medical amphetamine use declined only after 1970, when new laws restricted prescribing. In Britain, however, there was a clamor for physicians to show restraint with such dangerous and addictive medicines by the mid- 1960s,59 leading to voluntary moratoriums around 1968 that apparently succeeded in reducing national amphetamine prescribing rates.60 This difference might be explained by a public health insurance framework in the United Kingdom that reduced incentives to overprescribe drugs popular with patients.

THE EPIDEMIC’S CRISIS IN THE 1960s

In the early 1960s, amphetamines were still widely accepted as innocuous medications. Apart from vast numbers of middleaged, middle- class patients receiving low-dose prescriptions from family doctors to help them cope with their daily “duties,” in much the same way that their doctors prescribed minor tranquilizers,61 a significant quasi-medical gray market in amphetamines had developed. For instance, for his painful war injuries and also to help maintain his image of youthful vigor, President John F. Kennedy received regular injections containing around 15 mg of methamphetamine, together with vitamins and hormones, from a German-trained physician named Max Jacobson.62 Known as a doctor to the stars and nicknamed “Dr Feelgood,” Jacobson also treated Cecil B. De- Mille, Alan Jay Lerner, Truman Capote, Tennessee Williams, the Rolling Stones, and ironically, Congressman Claude Pepper of Florida, a noted antidrug campaigner. 63 Jacobson’s concoctions were peculiar, but he was far from unique in his readiness to prescribe or dispense amphetamines for the price of a consultation.64

Large quantities of amphetamines were also dispensed in the 1960s directly by diet doctors and weight loss clinics, many of which were essentially subsidiaries of offbrand diet pill manufacturers. Huge profits could be made when the pharmacist was cut out in this fashion; one dispensing diet doctor paid $71 for 100000 amphetamine- containing tablets and sold them for $12000.65 One widely cited estimate placed the number of amphetamine tablets consumed annually via this channel at 2 billion. 66 Finally, according to the FDA, of the roughly 8 billion to 10 billion 10-mg amphetamine tablets manufactured by drug firms annually in the United States by the late 1960s, up to one half were “diverted” from medical channels altogether.67 As CBS television revealed in 1964, with a few hundred dollars and a fake company letterhead, anyone could purchase millions of tablets direct from manufacturers by mail, notwithstanding pharmaceutical industry pretensions to self- regulation.68 When tighter regulation made this tactic more difficult in the later 1960s, wholesale quantities were shipped from manufacturers to Mexico (even to addresses like the Tijuana Golf Course’s 11th hole) and immediately reimported.69

The FDA’s crude populationlevel amphetamine consumption estimates based on manufacturing surveys (80000-100000 kg of amphetamine salts produced for a total population of around 200 million in 1969, or up to 50 10-mg doses per person) were supplemented with prevalence estimates from the first modern drug use surveys. A national survey conducted in late 1970 and early 1971 found past-year usage of amphetamine-type drugs by 5% of American adults. This study was designed exclusively to measure medical, prescribed drug use.70 A more thorough, roughly simultaneous survey in New York State explored both nonmedical and medical amphetamine use. It found that 6.5% of the state’s 13.8 million residents older than 14 years had used amphetamines in the past 6 months. If one counts only those using oral amphetamines made by pharmaceutical firms (the great majority) in the past 6 months, 39% sometimes used them nonmedically and 22% “abused” the drugs, defined as both obtaining drugs without prescription and using them on social occasions.71

Because the New York survey’s past-6-month medical amphetamine usage rates were lower than, and consistent with, the national survey’s past-year prevalence figures, we might reasonably (indeed, with conservative bias) extrapolate the New York study’s combined medical and nonmedical usage rates to all 149.4 million Americans older than 14 years. By this extrapolation, at least 9.7 million Americans were past-year users of amphetamines in 1970. If we may also extrapolate the New York misuse rates, 3.8 million took amphetamines nonmedically and 2.1 million abused the drugs by the New York criteria.72

To the extent that amphetamine addiction is determined biologically by active compound, dosage form, and dosage schedule or availability, we may safely (again, with conservative bias) apply dependency rates derived from the early-1960s British studies of medical users to the United States of the late 1960s, because the same pills were being distributed on the same prescriptions. If we apply the higher range of the British medical amphetamine dependency rate (reflecting freer supply, predictably higher dependency rates among recreational than medical users, and the more plausible past- year Newcastle prescription rate of 2%) to the inferred national population of pastyear medical and nonmedical amphetamine users combined, the United States in 1970 had 970000 amphetamine users meeting some criteria of dependence and about 320000 addicts. 73 These should be regarded as minimal figures given the multiple sources of conservative bias in our national past-year amphetamine usage estimates for 1970 and 1971. Furthermore, 1970 to 1971 prevalence presumably underestimates amphetamine use at the epidemic’s peak around 1969, because consumption in the United States was already declining when the surveys were conducted.74

As noted, in the United States, large-scale diversion from medical channels was widely acknowledged early in the 1960s, and amphetamine control measures were discussed in Congress throughout the decade. The legislation that in 1965 became the Drug Abuse Control Amendments was originally intended to restrict the manufacture of amphetamines, along with barbiturates. However, the version passed into law stressed penalties for the unauthorized distribution of these drugs and the “counterfeiting” of any name- brand pharmaceuticals, no matter how safe.75 The manufacture of such potentially dangerous pharmaceuticals remained “an area where guidance has to be provided without enforcement,” as the drug industry’s spokesmen urged.76 National consumption of amphetamines showed no sign of decline following the legislation’s implementation.

Drug abuse in general became an increasingly exigent political topic during the later 1960s, as popular concern mounted about widespread amphetamine abuse everywhere from leafy suburbs to Vietnam to hippie enclaves like Haight-Ashbury.77 In 1969, another congressional hearing was devoted to the theme “Crime in America- Why 8 Billion Amphetamines?” 78 The legislation that emerged, the 1970 Comprehensive Drug Abuse Prevention and Control Act, established the modern set of controlled substance “schedules” in harmony with new international agreements and enabled federal narcotics authorities to establish and enforce production quotas on drugs in the most strictly controlled Schedules I and II. However, reflecting industry interests, only a handful of rarely prescribed injectable methamphetamine products were placed in Schedule II, while some 6000 oral amphetamine products on the US drug market were classed in Schedule III, meaning they were subject to no manufacturing quotas and to looser recordkeeping and their prescriptions could be refilled 5 times.79 The impact on amphetamine consumption was not dramatic, with reported legal production dropping only 17% between 1969 and 1970.80

Although congressional focus on a comparatively small but frightening population of methamphetamine-injecting “speed freaks” spared industry any major inconvenience in 1970,81 law enforcement authorities had not forgotten that 80% or 90% of amphetamines seized on the street were pills manufactured by US pharmaceutical firms.82 Civil servants now stepped forward where elected representatives feared to tread. In mid-1971, the Bureau of Narcotics and Dangerous Drugs (BNDD; forerunner to today’s Drug Enforcement Administration [DEA]) exercised administrative authority gained under the 1970 act by shifting all amphetamine products to Schedule II, including methylphenidate (Ritalin) and the diet drug phenmetrazine (Preludin), both of which had proved attractive to high-dose injection abusers. Drugs in Schedule II required a fresh prescription each time they were filled, and doctors and pharmacists had to keep strict records or face prosecution. Prescription sales of amphetamines and related drugs shot up when the new restrictions were announced and then plummeted 60% below their original level when they came into effect.83 Large numbers of doctors and patients obviously realized that their “medical” usage was difficult to justify. The move to Schedule II empowered federal narcotics authorities, in consultation with the FDA, to set quotas limiting the production of amphetamines to quantities required by medicine. Meanwhile, the FDA was narrowing legitimate uses of the amphetamines, retroactively declaring the drugs to be of unproven efficacy in obesity and depression. Manufacturers were invited to submit applications demonstrating efficacy, but in general these submissions were based on older trials and were found wanting by modern standards of clinical research. Only narcolepsy and “hyperkinetic disorder of childhood” (today’s attention deficit disorder, then rare) remained approved usages.84

While the FDA pursued its reevaluation of amphetamine efficacy, in 1971, the BNDD took applications from firms wishing to manufacture Schedule II drugs, a procedure that required reporting of past production. According to this reporting, US firms applying for 1971 quotas manufactured 17000 kg of amphetamine base and 8000 kg of methamphetamine base in 1969. (In terms of the units used in prior voluntary FDA surveys, this figure equals about 3 billion 10- mg amphetamine sulfate tablets and 1 billion 10-mg methamphetamine hydrochloride tablets-altogether, 4 billion doses, a fair estimate of actual medical consumption in 1969 given the context of reporting).85 The BNDD originally set 1971 quotas to allow the manufacture of about 15000 kg of amphetamine and methamphetamine base combined, 40% less than reported 1969 levels. Another 40% cut in the quantity of amphetamines manufactured in the United States was slated for 1972. Given the prescribing slump that followed Schedule II listing, however, the BNDD, with FDA agreement, instead set production levels for 1972 at one fifth of 1971 levels and at one tenth of reported medical production (or about one twentieth of actual production) in 1969.86 Under the supply controls imposed by the 2 agencies, amphetamines became relatively minor drugs of abuse by the late 1970s, while illicit cocaine use exploded.87

RECENT TRENDS IN THE LIGHT OF HISTORY

The first amphetamine epidemic was iatrogenic, created by the pharmaceutical industry and (mostly) well-meaning prescribers. The current amphetamine resurgence began through a combination of recreational drug fashion cycles and increased illicit supply since the late 1980s.88 On the basis of treatment admissions data, methamphetamine abuse doubled in the United States from 1983 to 1988, doubled again between 1988 and 1992, and then quintupled from 1992 to 2002.89 According to usage surveys, during 2004, some 3 million Americans consumed amphetamine-type stimulants of all kinds nonmedically, twice the number of a decade earlier. As noted, 250000 to 350000 of them were addicted.90 Thus, in terms of absolute numbers, the current epidemic has now reached approximately the same extent and severity as that of the original epidemic at its peak in 1970, when there were roughly 3.8 million past-year nonmedical amphetamine users, about 320 000 of whom were addicted (Table 1). (Of course, the national population then was about 200 million compared with 300 million today, meaning that in relative terms today’s epidemic is only two thirds as extensive.)

Another striking similarity between present and past epidemics relates to the role of pharmaceutical amphetamines. Although illicitly manufactured methamphetamine launched the current epidemic, in step with rising amphetamine abuse in recent years, the United States has seen a surge in the legal supply and use of amphetamine- type attention deficit medications, such as Ritalin (methylphenidate) and Adderall (amphetamine). American physicians, much more than those in other countries, apparently are again finding it difficult to resist prescribing stimulants that patients and parents consider necessary, or at least helpful, in their struggle with everyday duties.91 According to DEA production data, since 1995, medical consumption of these drugs has more than quintupled, and in 2005, for the first time exceeded amphetamine consumption for medical use at the epidemic’s original peak: 2.5 billion 10-mg amphetamine base units in 1969 vs 2.6 billion comparable units in 2005.92 Thus, just as the absolute prevalence of amphetamine abuse and dependency have now reached levels matching the original epidemic’s peak, so has the supply of medical amphetamines (Figure 1).

Might the recent increases in both medical and nonmedical amphetamine use be related, and if so, how? Childhood stimulant treatment for attention deficit disorder as a cause of later nonmedical amphetamine consumption is one possible connection that has received considerable attention. Although controversy remains, the weight of evidence suggests that medication prescribed for attention deficit disorder does not predispose individuals to stimulant abuse or dependence.93 Moreover, if there is a statistical association, it may link stimulant misuse to attention deficit disorder per se (rather than to medication), 94 as one would expect if some nonmedical amphetamine use is in fact self-medication. Nevertheless, this line of inquiry does not eliminate any possible relationship between prescribing for attention deficit disorder and rates of stimulant abuse. Even if there is no connection at the individual level, there may be one at the population level.

Other than converting attention deficit disorder patients into abusers, prescribed amphetamines can contribute to the national stimulant epidemic in at least 2 other ways. For one, the mere distribution of so many stimulant tablets in the population creates a hazard. Diversion from students with attention deficit prescriptions to those without is known to occur in high schools, and at American universities, both diversion and nonmedical use by those with prescriptions are commonplace.95 In 2005, some 600 000 Americans used psychiatric stimulants other than methamphetamine nonmedically in the past month.96 Thus, legally manufactured attention deficit medications like Adderall and Ritalin appear to be supplying frequent, and not just casual, misusers. A detailed analysis of stimulant abuse in recent national household drug surveys found not only that 1.6 million of the 3.2 million past- year nonmedical users of stimulants in the United States used strictly nonmethamphetamine psychiatric stimulants in the past year, but that over 750 000 of them had never used any stimulants except attention deficit pharmaceuticals in their entire lives. In that study, those who abused only nonmethamphetamine (i.e., pharmaceutical) stimulants in the past year accounted for one third of the approximately 300 000 Americans estimated to be amphetamine addicted (reflecting the fact that nonmethamphetamine users have a somewhat lower rate of frank addiction than methamphetamine users.97 On this evidence alone, one can fairly describe the high production and prescription rates of these medications as a public health menace of great significance.

Besides iatrogenic dependence and diversion to nonmedical users, there is another way that widespread prescription of amphetaminetype stimulants can contribute to an amphetamine epidemic. When a drug is treated not only as a legal medicine but as a virtually harmless one, it is difficult to make a convincing case that the same drug is terribly harmful if used nonmedically. This is what happened in the 1960s and is presumably happening today. Thus, to end their rampant abuse, amphetamines had to be made strictly controlled substances and their prescription sharply curtailed. Today, amphetamines are widely accepted as safe even for small children, and this return of medical normalization inevitably inevitably undermines public health efforts to limit amphetamine abuse. We have not yet reached the point where up to 90% of the amphetamines sold on the street are products of US pharmaceutical firms, as the federal narcotics chief reluctantly admitted before Congress in 1970.98 But with half the nation’s nonmedical users evidently consuming pharmaceutical amphetamines only, the comments made by Senator Thomas Dodd in those hearings echo strongly today. America’s drug problems were no accidental development, Dodd observed; the pharmaceutical industry’s “multihundred million dollar advertising budgets, frequently the most costly ingredient in the price of a pill, have pill by pill, led, coaxed and seduced post-World War II generations into the ‘freaked out’ drug culture” plaguing the nation.99 Any effort to deal harshly with methamphetamine users today in the name of epidemic control, without touching medical stimulant production and prescription, is as impossible practically as in 1970-and given historical experience, even more hypocritical.

Amphetamine was successfully marketed as the first antidepressant in the late 1930s and 1940s, together with a particular understanding of depression as anhedonia.

Source. California Western Medicine62 (April 1945): 33 (advertising section) and American Journal of Psychiatry101 (March 1945): xiii (advertising section).

In the 1950s, competition among pharmaceutical firms boosted amphetamine consumption dramatically, after expiration of the Alles and Smith, Kline and French patent in 1949.

Source. Journal of the American Medical Association147 (1951): 19 (advertising section).

“By the end of World War II in 1945, less than a decade after amphetamine tablets were introduced to medicine, over half a million civilians were using the drug psychiatrically or for weight loss, and the consumption rate in the United States was greater than 2 tablets per person per year on a total-population (all ages) basis.” Endnotes

1. Substance Abuse and Mental Health Services Administration (SAMHSA), Methamphetamine Use, Abuse, and Dependence: 2002, 2003 and 2004 (Rockville, Md: US Dept of Health and Human Services, September 16, 2005), available at: www.oas.samhsa.gov/2k5/meth/ meth.htm, accessed September 15, 2006; SAMHSA, Results From the 2005 National Survey on Drug Use and Health: National Findings (Rockville, Md: US Dept of Health and Human Services, 2006), available at: http:// oas.samhsa.gov/ NSDUH/2k5NSDUH/2k5results.htm, accessed September 15, 2006.

2. SAMHSA, Methamphetamine Use, Abuse, and Dependence.

3. SAMHSA, Results From the 2005 National Survey on Drug Use and Health.

4. G. Piness, H. Miller, and G. Alles, “Clinical Observations on Phenylethanolamine Sulfate,” Journal of the American Medical Association 94 (1930): 790-791.

5. N. Rasmussen, Making the First Anti-Depressant: Amphetamine in American Medicine, 1929-1950,” Journal of the History of Medicine and Allied Sciences 61 (2006): 288-323.

6. AMA Council on Pharmacy and Chemistry, “Benzedrine,” Journal of the American Medical Association 101 (1933): 1315.

7. J. Swann, “FDA and the Practice of Pharmacy: Prescription Drug Regulation Before the Durham-Humphrey Amendment of 1951,” Pharmacy in History 36 (1994): 55-70; H. Marks, “Revisiting ‘The Origins of Compulsory Drug Prescriptions,’ ” American Journal of Public Health 85 (1995): 109-115.

8. C. O. Jackson, The Amphetamine Inhaler: A Case Study of Medical Abuse,” Journal of the History of Medicine 26 (1971): 187- 196.

9. Rasmussen, “Making the First Anti- Depressant.”

10. AMA Council on Pharmacy and Chemistry, “Present Status of Benzedrine Sulfate,” Journal of the American Medical Association 109 (1937): 2064-2069.

11. H. Marks, The Progress of Experiment: Science and Therapeutic Reform in the United States, 1900-1990 (Cambridge, England: Cambridge University Press, 1997).

12. Rasmussen, “Making the First Anti- Depressant”; A. Myerson, “Effect of Benzedrine Sulfate on Mood and Fatigue in Normal and Neurotic Persons,” Archives of Neurology and Psychiatry 36 (1936): 816-822.

13. Smith, Kline & French, “For Depressive States [Benzedrine Sulfate advertisement],” New England Journal of Medicine 222 (1939): unpaginated; Smith, Kline & French, “The Patient With Mild Depression [Benzedrine Sulfate advertisement],” New England Journal of Medicine 223 (1940): unpaginated; Rasmussen, “Making the First Anti-Depressant”; Anonymous, “Untitled Quarterly Royalty Reports,” in Gordon Alles Papers, California Institute of Technology Archives, box 6, folder “1941-1945 SKF Accounting to Alles, Alles Accounting to Piness.”

14. L. Goodman and A. Gilman, The Pharmacological Basis of Therapeutics (New York: Macmillan, 1941); “Benzedrine Sulfate ‘pep pills’ [editorial],” Journal of the American Medical Association 108 (1937): 1973-1974.

15. “Untitled Quarterly Royalty Reports.” California Western Medicine 62 (April 1945): 33 (advertising section) and American Journal of Psychiatry 101 (March 1945): xiii (advertising section).

16. L. Grinspoon and P. Hedblom, The Speed Culture: Amphetamine Use and Abuse in America (Cambridge, Mass: Harvard University Press, 1975); N. Rasmussen, On Speed: The Many Lives of Amphetamine (New York: New York University Press, 2008).

17. F.H.K. Green and G. Clovell, History of the Second World War: Medical Research (London: HMSO, 1953), 21-22, 38; W.R. Bett, L.H. Howells, and A.D. MacDonald, Amphetamine in Clinical Medicine (Edinburgh: E. & S. Livingstone, 1955), 4; P. Steinkamp, “Pervitin Testing, Use and Misuse in the German Wehrmacht,” in Man, Medicine, and the State: The Human Body as an Object of Government Sponsored Medical Research in the 20th Century, ed. W. Eckart (Stuttgart: Franz Steiner Verlag, 2006), 61-71; H. Brill and T. Hirose, “The Rise and Fall of a Methamphetamine Epidemic: Japan 1945-1955,” Seminars in Psychiatry 1 (1969): 179-194.

18. Office of the Air Surgeon, “Benzedrine Alert,” Air Surgeon’s Bulletin (February 1944): unpaginated.

19. D. Hart, “Memo re ‘Fatigue and Morale Problem of Fighter Pilots,'” May 28, 1945, in US National Archives, record group 341, entry 44, box 123, folder “Fatigue: AML Reports.”

20. “Untitled Quarterly Royalty Reports”; Rasmussen, On Speed, chap 4; SKF v Clark & Clark, Records of Case No. C-2311 (1943), US District Court, New Jersey, US National Archives Administration. For further information, see the Methodological Appendix, Part 1, available as a supplement to the online version of this article at http://www.ajph.org.

21. R. Monroe and H. Drell, “Oral Use of Stimulants Obtained From Inhalers,” Journal of the American Medical Association 135 (1947): 909-915.

22. Historical National Population Estimates: July 1, 1900 to July 1, 1999 (Washington, DC: Bureau of the Census, 2000), available at: http://www.census.gov/ population/estimates/nation/popclockest. txt, accessed January 7, 2006.

23. Opinion of Judge Forman, Smith, Kline & French Laboratories v Clark & Clark, 62 F Supp 971 (D NJ 1945); Opinion of Judge Biggs, Smith, Kline & French Laboratories v Clark & Clark, 157 F 2d 725 (3rd Cir 1946).

24. Anonymous, “Sales Record of 1- Phenyl-2-Aminopropane Sulfate in Tablets,” in Gordon Alles Papers, California Institute of Technology Archives, box 11, folder “SKF Accounting to Alles on Products 1936 to Date.”

25. AMA Council on Pharmacy and Chemistry, “Drugs for Obesity,” Journal of the American Medical Association 134 (1947): 527-529; C.O. Jackson, “Before the Drug Culture: Barbiturate/Amphetamine Abuse in American Society,” Clio Medica 11 (1976): 47-58.

26. Jackson, “Before the Drug Culture.”

27. Rasmussen, On Speed, chap 4-5; “Sales Record of 1-Phenyl-2- Aminopropane Sulfate in Tablets.” Journal of the American Medical Association 147 (1951):19 (advertising section).

28. Rasmussen, On Speed, chap 5.

29. Smith, Kline & French, “The Remarkable New Preparation [Dexamyl advertisement],” American Journal of the Medical Sciences 220 (December 1950): 6 (advertisement section); Smith, Kline & French. “When Psychic Distress Is the Cause of Overeating [Dexamyl advertisement],” American Journal of the Medical Sciences 223 (March 1952): 27 (advertisement section).

30. Abbott Laboratories, “To Balance Emotional Extremes [Desbutal advertisement],” American Journal of the Medical Sciences 223 (May 1952): 15 (advertisement section); A. H. Robins Inc, “Tight Squeeze? [Ambar advertisement],” Journal of the American Medical Association 174 (1960): unpaginated.

31. Smith, Kline & French, “In Colds and Grippe [Edrisal advertisement],” California Medicine 77 (1952): 11(advertisement section); Smith, Kline & French, “For Your Problem Overweight Patients [Eskatrol advertisement],” New England Journal of Medicine 262 (1960): 51(advertisement section); Smith, Kline & French, “Thora- Dex [advertisement],” New England Journal of Medicine 256 (1957): unpaginated; Roerig Inc, “Prescription: AmPlus Now [advertisement],” California Medicine 82 (1955): 45 (advertisement section); Boyle & Co, “New! For Your Overweight Patient [Opidice advertisement],” California Medicine 76 (1952): 5(advertisement section); S.E. Massengill Co, “Overcoming Weight Control Obstacles [Obedrin advertisement],” California Medicine 80 (1954): unpaginated.

32. Jackson, “Before the Drug Culture”; L. Lasher, quoted in B. Stewart and J. Lyndall, “The Deadly Highway Menace,” Fleet Owner, May 1964, reproduced in Senate Subcommittee on Health, Hearing on Control of Psychotoxic Drugs (S. 2628), 88th Cong, 2nd Sess, August 3, 1964:21-37; Historical National Population Estimates.

33. N. Rose, “Becoming Neurochemical Selves,” in Biotechnology: Between Commerce and Civil Society, ed. N. Stehr (New Brunswick, NJ: Transaction Press, 2004), chap 3. For further information, see the Methodological Appendix, Part 2, available as a supplement to the online version of this article at http://www.ajph.org.

34. Historical National Population Estimates; M. Balter and J. Levine, “The Nature and Extent of Psychotropic Drug Usage in the United States,” Psychopharmacology Bulletin 5 (1969): 3-13. For further information, see the Methodological Appendix, Part 3, available as a supplement to the online version of this article at http://www.ajph.org.

35. Balter and Levine, “Nature and Extent of Psychotropic Drug Usage”; M. Balter, “Coping With Illness: Choices, Alternatives, and Consequences,” in Drug Development and Marketing, ed. R. Helms (Washington, DC: American Enterprise Institute, 1975), 27-46.

36. L.G. Kiloh and S. Brandon, “Habituation and Addiction to Amphetamines,” British Medical Journal 2 (1962): 40-43; Anonymous, “Drugs of Addiction and Habituation,” British Medical Journal 1 (1961): 1523; P.H. Connell, “Amphetamine Dependence,” Proceedings of the Royal Society of Medicine 61 (1968): 178-181; Anonymous, National Prescription Audit, College Edition (Dedham, Mass: R.A. Gosselin, 1962), 6-15.

37. For further information, see the Methodological Appendix, Part 4, available as a supplement to the online version of this article at http://www.ajph.org.

38. Kiloh and Brandon, “Habituation and Addiction to Amphetamines”; S. Brandon and D. Smith, “Amphetamines in General Practice,” Journal of the College of General Practitioners 5 (1962): 603-606.

39. Brandon and Smith, “Amphetamines in General Practice.”

40. Ibid. For further information, see the Methodological Appendix, Part 5, available as a supplement to the online version of this article at http://www.ajph.org. S. Speaker, “From ‘Happiness Pills’ to ‘National Nightmare’: Changing Cultural Assessment of Minor Tranquilizers in America, 1955-1980,” Journal of the History of Medicine and Allied Sciences 52 (1997): 338-376.

41. D. Young and W.B. Scoville, “Paranoid Psychoses in Narcolepsy and Possible Danger of Benzedrine Treatment,” Medical Clinics of North America (Boston) 22 (1938): 637-646; J. Norman and J. Shea, “Acute Hallucinations as a Complication of Addiction to Amphetamine Sulfate,” New England Journal of Medicine 233 (1945): 270-271; F.A. Freyhan, “Craving for Benzedrine,” Delaware State Medical Journal 21 (1949): 151-156; P. Knapp, “Amphetamine and Addiction,” Journal of Nervous and Mental Disease 115 (1952): 406-432; A.H. Chapman, “Paranoid Psychosis Associated With Amphetamine Usage,” American Journal of Psychiatry 111 (1954): 43-45. 42. Freyhan, “Craving for Benzedrine”; Knapp, “Amphetamine and Addiction.”

43. P.H. Connell, Amphetamine Psychosis (Oxford: Oxford University Press, 1958).

44. Ibid.

45. Goodman and Gilman, The Pharmacological Basis of Therapeutics.

46. Expert Committee on Addiction- Producing Drugs, “Seventh Report,” World Health Organization Technical Report 116 (1957): 9- 10.

47. Kiloh and Brandon, “Habituation and Addiction to Amphetamines”; Brandon and Smith, “Amphetamines in General Practice.”

48. Brandon and Smith, “Amphetamines in General Practice”; for further information, see the Methodological Appendix, Part 6, available as a supplement to the online version of this article at http://www.ajph.org.

49. Kiloh and Brandon, “Habituation and Addiction to Amphetamines”; for further information, see the Methodological Appendix, Part 7, available as a supplement to the online version of this article at http://www.ajph.org.

50. C.W.M. Wilson and S. Beacon, “An Investigation Into the Habituating Properties of an Amphetamine-Barbiturate Mixture,” British Journal of Addiction 60 (1964): 81-92.

51. Brandon and Smith, “Amphetamines in General Practice.” For further information, see the Methodological Appendix, Part 8, available as a supplement to the online version of this article at http://www.ajph.org.

52. Balter and Levine, “Nature and Extent of Psychotropic Drug Usage”; Balter, “Coping With Illness.”

53. S. Shapiro and S.H. Baron, “Prescriptions for Psychotropic Drugs in a Noninstitutional Population,” Public Health Reports 76 (1961): 483-485; C. Callahan and G. Berrios, Reinventing Depression: A History of the Treatment of Depression in Primary Care 1940-2004 (Oxford: Oxford University Press, 2005); H.A. Pincus, T. Tanielian, S.C. Marcus, et al., “Prescribing Trends in Psychotropic Medications: Primary Care, Psychiatry, and Other Medical Specialties,” Journal of the American Medical Association 279 (1998): 526-531.

54. Callahan and Berrios, Reinventing Depression.

55. Callahan and Berrios, Reinventing Depression; S. Taylor, Good General Practice (Oxford: Oxford University Press, 1954).

56. Callahan and Berrios, Reinventing Depression; F. Lemere, “Treatment of Mild Depression in General Office Practice,” Journal of the American Medical Association 164 (1957): 516-518.

57. R.R. Koegler, “Drugs, Neurosis, and the Family Physician,” California Medicine 102 (1965): 5-8, quotation on p. 7.

58. B.Z. Paulshock, “Coping on Amphetamines,” New England Journal of Medicine 282 (1970): 346.

59. D.S. Nachsen, “Amphetamine,” Lancet (August 7, 1965): 289; P.H. Connell, “Adolescent Drug Taking,” Proceedings of the Royal Society of Medicine 58 (1965): 409-412; D. Dunlop, “The Use and Abuse of Psychotropic Drugs,” Proceedings of the Royal Society of Medicine 63 (1970): 1279-1282.

60. F. Wells, “The Effects of a Voluntary Ban on Amphetamine Prescribing by Doctors on Abuse Patterns: Experience in the United Kingdom,” in Amphetamines and Related Stimulants: Chemical, Biological, Clinical and Social Aspects, ed. J. Caldwell (Boca Raton, Fla: CRC Press, 1980), 189-192; “Freedom From Amphetamines [editorial],” British Medical Journal (July 17, 1971): 133-134.

61. Speaker, “From ‘Happiness Pills’ to ‘National Nightmare'”; M. Smith, Small Comforts: A Social History of the Minor Tranquilizers (New York: Praeger, 1985).

62. R. Dallek, An Unfinished Life: John F. Kennedy, 1917-1963 (Boston: Little, Brown, 2003); J.N. Giglio, The Presidency of John F. Kennedy (Lawrence: University Press of Kansas, 1991).

63. Rasmussen, On Speed, chap 7; B. Rensberger, “Amphetamines Used by a Physician to Lift Moods of Famous Patients,” New York Times (December 4, 1972): section 1, pp. 1, 34.

64. B. Rensberger, “Two Doctors Here Known to Users as Sources of Amphetamines,” New York Times (March 25, 1973): section 1, p. 48.

65. J. Swann, “Rainbow Diet Pills in Medical Practice, Industry, and Regulation 1938 to 1968,” paper presented at conference “Drugs Trajectories: Historical Studies of Biology, Medicine, and Industry,” June 7-8, 2002, Max Planck Institute for History of Science, Berlin.

66. S. McBee, “The End of the Rainbow May Be Tragic: Scandal of the Diet Pills,” Life Magazine (January 26, 1968), reproduced in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 245-251.

67. E. Wolfson, “Prepared Statement on Behalf of the American Public Health Association,” in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 105-109; S. Cohen, statement in Crime in America-Why 8 Billion Amphetamines?, Hearing on the House Select Committee on Crime, 91st Congress, 1st Sess, November 18, 1969, 2-13.

68. Anonymous, “Hearings Needed on “Psychotoxic” Drug Coverage,” FDC Reports (September 7, 1964): 3-8.

69. Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972:226 -232 (statement of John E. Ingersoll, director, Bureau of Narcotics and Dangerous Drugs).

70. H. Parry, M. Balter, G. Mellinger, I. Cisin, and D. Manheimer, “National Patterns of Psychotherapeutic Drug Use,” Archives of General Psychiatry 28 (1973): 769-783.

71. J. Inciardi and C. Chambers, “The Epidemiology of Amphetamine Use in the General Population,” Canadian Journal of Criminology and Corrections 14 (1972): 166-172.

72. Ibid. Parry et al., “National Patterns of Psychotherapeutic Drug Use.” For further information, see the Methodological Appendix, Part 9, available as a supplement to the online version of this article at http://www.ajph.org.

73. Methodological Appendix, Part 10, available as a supplement to the online version of this article at http://www.ajph. org.

74. J. Ingersoll, “Statement of John E. Ingersoll, Director, Bureau of Narcotics and Dangerous Drugs,” in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, pursuant to S. Res. 32, Section 12. 92nd Congress, 1st session, February 7, 1972: 226-232. For further information, see the Methodological Appendix, Part 11, available as a supplement to the online version of this article at http://www.ajph.org.

75. Subcommittee on Health, Senate Committee on Labor and Public Welfare, Hearings on S. 2628, 88th Cong, 2nd Sess, August 3, 1964; R. King, The Drug Hang- Up: America’s Fifty Year Folly (Springfield, Ill: Charles Thomas, 1972), available at http://www.druglibrary.org/ special/king/ dhu/dhumenu.htm, accessed October 26, 2006.

76. Drug Abuse Control Amendments of 1965, Hearings Before the House Committee on Interstate and Foreign Commerce, on H.R. 2, 89th Cong, 1st Sess, January 28, 1965: 177 (testimony of A. Smith, president, Pharmaceutical Manufacturers Association).

77. B. Jackson, “White-Collar Pill Party,” Atlantic Monthly 218 (August 1966): 35-40; B. Gilbert, “Drugs in Sport, Part 1: Problems in a Turned-On World,” Sports Illustrated (June 23, 1969): 64-72; D. Bentel, D. Crim, and D.E. Smith, “Drug Abuse in Combat: The Crisis of Drugs and Addiction Among American Troops in Vietnam,” Journal of Psychedelic Drugs 4 (1971): 23-30; S. Fiddle, “The Case of the Peak User John,” in Amphetamine Abuse, ed. R. Russo (Springfield, Ill: Charles C. Thomas, 1968), 119-144; R. Smith, “The World of the Haight-Ashbury Speed Freak,” Journal of Psychedelic Drugs 2 (1969): 77-83; D.E. Smith, “Speed Freaks vs Acid Heads,” Clinical Pediatrics 8 (1969): 185-188.

78. Crime in America-Why 8 Billion Amphetamines? Hearings of the Senate Committee on Crime, 91st Cong, 1st Sess, November 18, 1969.

79. J. Graham, “Amphetamine Politics on Capitol Hill,” Trans- Action Magazine (January 1972), reproduced in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 185-195.

80. Statement of Ingersoll in Diet Pill (Amphetamines) Traffic.

81. Graham, “Amphetamine Politics on Capitol Hill.”

82. Statement of Ingersoll in Diet Pill (Amphetamines) Traffic; Graham, “Amphetamine Politics on Capitol Hill”; Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 204-206 (statement of M. Costello).

83. Statement of Ingersoll in Diet Pill (Amphetamines) Traffic; Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 9-13 (statement of J. Edwards).

84. Rasmussen, On Speed, chap 7; E. Colman, “Anorectics on Trial: A Half Century of Federal Regulation of Prescription Appetite Suppressants,” Annals of Internal Medicine 143 (2005): 380-385. 85. B. Bayh, query, February 16, 1972, exhibit 10, in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 90-91; J. Ingersoll, submission, April 5, 1972, exhibit 11, in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, 92nd Cong, 1st Sess, February 7, 1972: 91-95.

86. Rasmussen, On Speed, chap 7; J. Ingersoll, “Amphetamines and Methamphetamine, Notice of Proposed Production Quotas, February 10, 1972,” in Diet Pill (Amphetamines) Traffic, Abuse and Regulation, Hearings, Before the Subcommittee to Investigate Juvenile Delinquency, Senate Committee on the Judiciary, Pursuant to S. Res. 32, Section 12, 92nd Cong, 1st Sess, February 7, 1972: 169-170.

87. J. Gfroerer and M. Brodsky, “The Incidence of Illicit Drug Use in the United States, 1962-1989,” British Journal of Addiction 87 (1992): 1345-1351.

88. A. Cho, “Ice: A New Form of an Old Drug,” Science 249 (1990): 631-634.

89. A. Hughes, “Epidemiology of Amphetamine Use in the United States,” in Amphetamine and Its Analogs, ed. A. Cho and D. Segal (San Diego: Academic Press, 1994), 439-457; J.C. Greenblatt and J. Gfroerer, Methamphetamine Abuse in the United States (Rockville, Md: Substance Abuse and Mental Health Services, US Dept of Health and Human Services, 1997), available at http://www.oas. samhsa.gov/ NHSDA/Treatan/treana13.h tm, accessed September 15, 2006; The DASIS Report: Primary Methamphetamine/ Amphetamine Treatment Admissions: 1992-2002 (Rockville, Md: Substance Abuse and Mental Health Services, US Dept of Health and Human Services, September 17, 2004), available at http:// www.oas.samhsa.gov/2k4/methTX/meth TX.htm, accessed September 15, 2006.

90. SAMHSA, Methamphetamine Use, Abuse, and Dependence; SAMHSA, Results From the 2005 National Survey on Drug Use and Health. Regarding Table 1: for footnote a, see Inciardi and Chambers, “The Epidemiology of Amphetamine Use in the General Population” and also the Methodological Appendix, Parts 9 and 11, available as a supplement to the online version of this article at http://www. ajph.org. For footnote b, see Kiloh and Brandon, “Habituation and Addiction to Amphetamines”; Brandon and Smith, “Amphetamines in General Practice”; Wilson and Beacon, “An Investigation Into the Habituating Properties of an Amphetamine- Barbiturate Mixture”; Inciardi and Chambers, “The Epidemiology of Amphetamine Use in the General Population,” and also the Methodological Appendix, Part 10, available as a supplement to the online version of this article at http://www.ajph.org. For footnote c, see Bureau of the Census, Historical National Population Estimates: July 1, 1900 to July 1, 1999; Bureau of the Census, “Statistical Abstract of the United States, 1971,” available at http://www2. census. gov/prod2/statcomp/ documents/ 1971-02.pdf, accessed December 20, 2006. For footnote d, see Kroutil et al., “Nonmedical Use of Prescription Stimulants” and SAMHSA, Results From the 2005 National Survey on Drug Use and Health. For footnote e, see Bureau of the Census, “2007 Statistical Abstract, Table 11-Resident Population by Age and Sex: 1980 to 2005,” available at http://www. census.gov/compendia/statab/ population, accessed January 16, 2007.

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95. C. Poulin, “Medical and Nonmedical Stimulant Use Among Adolescents: From Sanctioned to Unsanctioned Use, Canadian Medical Association Journal 165 (2001): 1039-1044; S.E. McCabe, C.J. Teter, and C.J. Boyd, “The

Desert Mirage Medical Plaza and Desert Mirage Surgery Center Opens June 2008

Dr. Robert Waldrip, orthopedic spine surgeon, today announced the grand opening of the Desert Mirage Medical Plaza and the Desert Mirage Surgery Center in Surprise, Arizona. The new facility offers minimally invasive procedures including vertebroplasty, a treatment for those who suffer from vertebral compression fractures due to osteoporosis, trauma or metastatic disease.

Dr. Waldrip, whose practice is focused on the spine, has been located in the Phoenix area for more than 23 years and has performed more than 3,000 vertebroplasties. Vertebroplasty can help stop the pain of a spinal fracture with specially formulated acrylic bone cement that fills in the fractured vertebrae. Within 24-48 hours after the procedure, many patients are pain free and able to return to their normal activities.(1)

“Vertebroplasty is the most significant treatment I’ve seen to treat patients with vertebral compression fractures, most of which are related to osteoporosis,” Dr. Waldrip said. “We’re so pleased to be able to offer this procedure on an outpatient basis to the community here at the new Desert Mirage Surgery Center. Now, our patients can be treated and recover at home with no hospital stay required. Most patients are up and around quickly and experience a significant reduction in the amount of pain they feel immediately.”

The new surgery center features General, Urological, Gastrointestinal, and Orthopedic Surgery with an active Pain Center. Patients are referred by their primary care physicians for treatment or can contact the main office for an appointment. Services provided include all types of outpatient procedures by multi-specialists.

According to the National Osteoporosis Foundation, osteoporosis is a major public health threat for an estimated 44 million Americans, including more than 810,000 Arizonans which is nearly one-fifth its total population. One in two women and one in four men over age 50 will have an osteoporosis-related fracture in their remaining lifetime.

For more information about Vertebroplasty including treatments for metastatic disease, please visit www.vertebroplasty.com or contact Dr. Waldrip’s office directly at 623-584-5626.

About Dr. Robert Waldrip

Dr. Robert Waldrip is an orthopedic spine surgeon with more than 26 years of experience practicing in the Phoenix area. Research and treatment of osteoporosis have been a priority in his practice. As a spine surgeon and a physician practicing in a retirement community, Dr. Waldrip has found osteoporosis to be one of the most significant health issues facing older adults.

(1) McGraw JK et al, Prospective evaluation of pain relief in 100 patients undergoing percutaneous vertebroplasty. Results and follow-up. JVIR 2002; 13;883-886

Note to editors: Photos and interviews with Dr. Waldrip and a patient treated with vertebroplasty are available by contacting Michelle Garrett, 614-315-4037, or [email protected].

Highmark Blue Shield and the Blue Cross Blue Shield Association Name Area Hospitals As 2008 Blue Distinction Centers for Bariatric Care

CAMP HILL, Pa., June 2 /PRNewswire/ — The Blue Cross and Blue Shield Association (BCBSA) has designated seven area hospitals as Blue Distinction Centers (BDC) for Bariatric Care for 2008.

According to the Agency for Healthcare Research and Quality (AHRQ), the total number of bariatric surgeries increased 400 percent from 1998 to 2004. Obesity is widely recognized as a contributor to serious health risks, so bariatric surgery is being considered as a means to help some individuals reduce extreme obesity.

These hospitals provide a full range of bariatric surgery care services, including inpatient care, post-operative care, outpatient follow-up and patient education.

“Blue Distinction puts a high value on research and evidence-based health and medical information,” says Carey Vinson, MD, Vice President, Quality and Medical Performance Management at Highmark. “Blue Distinction Centers show our commitment to working with doctors and hospitals to identify leading institutions that meet clinically validated quality standards and deliver better overall outcomes in patient care.”

   The hospitals that have earned this designation are:    -- Geisinger Medical Center   -- Lehigh Valley Hospital   -- Milton S. Hershey Medical Center   -- Pinnacle Health at Community General Osteopathic Hospital   -- Reading Hospital and Medical Center   -- Sacred Heart Hospital   -- York Hospital    

These hospitals have met numerous selection criteria thresholds necessary to be named as a Blue Distinction Center for Bariatric Surgery, including:

   -- full-service inpatient hospital facility   -- full accreditation by The Joint Commission or Healthcare Facilities      Accreditation Program   -- performed bariatric surgery for the most recent 12-month period and met      a required volume of bariatric surgical cases   -- experience and credentialing of the bariatric surgical team   -- appropriate equipment and staffing   -- documented policies and procedures for patient care and follow-up care   -- a commitment to quality improvement as evidenced by ongoing quality      management and improvement programs    

The full list of selection criteria are available to the public at http://www.bcbs.com/ .

Blue Distinction(R) is a designation awarded by Blue Cross and Blue Shield companies to medical facilities that have demonstrated expertise in delivering quality health care. The designation is based on rigorous, evidence-based selection criteria established in collaboration with leading clinicians, medical societies and professional organizations. Today, nearly 800 Blue Distinction Centers are available to members nationwide, providing quality care in the areas of transplants, bariatric surgery, cardiac care, and complex and rare cancers.

About Highmark Blue Shield

As one of the state’s leading health insurers and with nearly 70 years of community involvement, Highmark Blue Shield helps members live longer, healthier lives by ensuring access to affordable, high quality health insurance and services. Highmark offers the widest range of products, access to all area hospitals and the most responsive customer service. Highmark exerts an enormous economic impact throughout Pennsylvania. A recent study states that Highmark’s positive impact exceeded $2.5 billion. Employing more than 5,000 people in central Pennsylvania and the Lehigh Valley, Highmark provides the resources to give its members a greater hand in their health.

Highmark Blue Shield is an independent licensee of the Blue Cross and Blue Shield Association, an association of independent Blue Cross and Blue Shield Plans. For more information about Highmark Blue Shield, visit http://www.highmark.com/.

Highmark Blue Cross Blue Shield

CONTACT: Leilyn Perri of Highmark Blue Cross Blue Shield,+1-717-302-4243, [email protected]

Web site: http://www.highmark.com/http://www.bcbs.com/

Astronomers Peer Deep Inside Crab Pulsar

New information about the heart of one of the most famous objects in the sky — the Crab Pulsar in the Crab Nebula — has been revealed by an international team of scientists searching for gravitational waves. The team’s achievement also is the first direct look into the interior of a neutron star.

The research team detected signals from the pulsar — a rapidly spinning neutron star — with the Laser Interferometer Gravitational-Wave Observatory (LIGO). The analysis of the signals reveals that has shown that no more than 4 percent of the energy loss of the pulsar is caused by the emission of gravitational waves. This long-awaited analysis is one of LIGO’s first landmark results, bringing the search for gravitational waves into the outskirts of the realm of theoretical predictions made several years ago by Ben Owen, assistant professor of physics at Penn State. Owen is a co-author of the paper describing the discovery, which will be submitted to Astrophysical Journal Letters by the LIGO Scientific Collaboration, a 600-member group in which Penn State plays a key role.

The Crab Nebula, located 6,500 light years away in the constellation Taurus, was formed in a spectacular supernova explosion in 1054. It was visible in daylight for more than three weeks and may briefly have been brighter than the full moon. Ancient Chinese texts referred to the extraordinary event as a “guest star.” Today, at the heart of the Crab Nebula, remains an incredibly rapidly rotating neutron star that sweeps two narrow radio beams across the Earth each time it spins. The lighthouse-like radio pulses have given the star the name “pulsar.”

“The Crab Pulsar is spinning at a rate of 30 times per second. However, its rotation rate is decreasing rapidly relative to most pulsars, indicating that it is radiating energy at a prodigious rate,” says Graham Woan of the University of Glasgow, who co-led the science group that used LIGO data to analyze the Crab Pulsar, along with Michael Landry of the LIGO Hanford Observatory.

Pulsars, which are only 10 km in radius yet contain more mass than the Sun, are almost perfect spheres made up of neutrons. Gravitational waves are ripples in the fabric of space and time and are an important consequence of Einstein’s general theory of relativity. Gravitational-wave emission is one of the few physical mechanisms hypothesized for the pulsar’s energy loss and the accompanying slowing of its spin, but the scenario that gravitational waves significantly “brake” the Crab pulsar has been disproved by the new analysis. “These results strongly imply that no more than 4 percent of the pulsar’s energy loss is due to gravitational radiation,” Michael Landry said. “The remainder of the loss must be due to other mechanisms, such as a combination of electromagnetic radiation generated by the rapidly rotating magnetic field of the pulsar and the emission of high-velocity particles into the nebula.”

LIGO scientists monitored the neutron star from November 2005 to August 2006 using data from the three LIGO interferometers, which were combined to create a single, highly sensitive detector. They compared the LIGO data with published data about the pulsar’s rotation rate from the Jodrell Bank Observatory, looking for a synchronous gravitational-wave signal.

The analysis revealed no signs of gravitational waves — a result the scientists say is important because it provides information about the pulsar and its structure. They say a perfectly smooth neutron star will not generate gravitational waves as it spins, and that LIGO would have been able to detect gravitational waves from a star whose shape was deformed by only a few meters. Such distortion could occur in a young neutron star, like the Crab Pulsar, whose crust could still be semisolid, or in a star with an enormous magnetic field.

According to Ben Owen, “What LIGO really adds is that we can see more than skin deep. Astronomers see plenty of electromagnetic waves (radio waves, x-rays, and so on) from the Crab, but pulsars are so dense that even the x-rays can’t get through the interior and you can only see down to the surface. But gravitational waves can get through, so our result is the first direct look into a neutron star’s interior.” Joseph Taylor, a Nobel Prize-winning radio astronomer and professor of physics at Princeton University, says, “The physics world has been waiting eagerly for scientific results from LIGO. It is exciting that we now know something concrete about how nearly spherical a neutron star must be, and we have definite limits on the strength of its internal magnetic field.”

Looking to the future of research with LIGO, Ben Owen adds, “For a long time particle physicists have predicted a lot of strange possibilities for neutron star interiors, like neutrons dissolving into more fundamental particles called quarks. As LIGO’s sensitivity improves, we can explore more of those possibilities. If we see a strong signal in the next couple of years, it will be strong evidence that these strange states of matter exist.”

Research with LIGO is carried out by the LIGO Scientific Collaboration, which includes the Penn State group, led by Lee Samuel Finn, professor of physics and of astronomy and astrophysics, and Ben Owen. The Penn State group plays a key role in the analysis of LIGO data and its scientific interpretation.

Image Caption: New information about the heart of one of the most famous objects in the sky — the Crab Pulsar in the Crab Nebula — has been revealed by an international team of scientists searching for gravitational waves. The team’s achievement also is the first direct look into the interior of a neutron star.  Credit: NASA/JPL-Caltech/R. Gehrz (University of Minnesota)

On the Net:

Laser Interferometer Gravitational-Wave Observatory (LIGO)

Penn State

Astrophysical Journal Letters

University of Glasgow

LIGO Hanford Observatory

Princeton University

Declining Male Birth Rate Baffles Scientists

CHICAGO — Once there was a kids’ hockey team on the reservation of the Aamjiwnaang First Nation in Canada just across the border from Michigan.

No longer. There aren’t enough boys.

This community, surrounded by dozens of pollution-spewing chemical plants, is an especially extreme example of a puzzling phenomenon playing out across the world, in countries as diverse as the United States, Sweden and Japan.

Though more boys are being born than girls in most places, their numbers are falling. And no one is sure why.

The change is small, but real. In the U.S., the number of baby boys vs. girls has been declining since 1970, translating into 17 fewer males for every 10,000 births or an estimated 135,000 fewer boys born between 1970 and 2002, according to a study last year in Environmental Health Perspectives.

Some experts suggest the shift is part of a naturally occurring, cyclical pattern in population dynamics. But others think a notable change is under way, driven by factors such as environmental contaminants and various types of stress, such as economic hardship.

These issues could affect boys more because they’re actually the weaker sex _ more vulnerable than girls to illness and death from conception to grave.

Nature’s way of compensating is to produce more males than females, increasing the likelihood that the sexes will survive to reproductive age in equal numbers. But recent decades have eroded the gap between the sexes.

The difference may seem tiny, but “it’s important to look at the really big picture here, which is that there are global indications that something unusual is going on,” said Devra Davis, director of the Center for Environmental Oncology at the University of Pittsburgh and lead author of last year’s report.

The sex ratio is an indicator of population health, and unexpected changes could be an important signal that people are at risk biologically, she said.

Several Latin American nations have reported a similar shift in the sex ratio at birth, as have Finland, Norway, Wales and the Netherlands. Late last year, several Arctic communities documented a startling decline in the number of boys being born. Studies have shown changing sex ratios in Italian cities and among fish-eating women in the Great Lakes region.

None of these countries or areas has a tradition of sex selection, which in any case usually favors boys.

The puzzling phenomenon has inspired a flurry of research on what could be causing the population shifts. Davis’ hypothesis is that “there is something happening after conception that is making it harder for boys to exist in the maternal fetal environment.”

A growing body of research indicates that could include exposure to pollutants such as pesticides, mercury, lead and dioxin. More controversial is the idea that synthetic chemicals known as endocrine-disrupters may be damaging male fetuses during critical periods of development or affecting men’s sperm counts and testosterone levels.

That thesis is “very interesting and provocative” but hasn’t been proved, said Dr. Rebecca Sokol, past president of the Society of Male Reproduction and Urology.

The steepest sex ratio declines observed in the world have occurred on the 3,000-acre Aamjiwnaang (AH-jih-nahng) First Nation reservation in Canada.

The number of boys vs. girls there began dropping in the early 1990s, according to data published in 2005 in Environmental Health Perspectives. Between 1999 and 2003, researchers found, only 46 boys were born out of 132 recorded births.

“You get angry and you get worried, thinking what could be causing this,” said Ada Lockridge, a member of the tribe who compiled the data and has since become an activist. “And then you want to learn more.”

Dozens of petrochemical, polymer and chemical plants surround the reservation on three sides. Mercury and PCBs contaminate the creek that runs through the land, and air-quality studies show the highest toxic releases in all of Canada, said Jim Brophy, executive director of Occupational Health Clinics for Ontario Workers, based in Sarnia, the nearest city.

Several months ago, Brophy and co-worker Margaret Keith did additional calculations, finding that boys made up only 42 percent of the 171 babies born from 2001 to 2005 to Aamjiwnaang living on the reserve or nearby.

“A disruption in the sex ratio of this magnitude has to be taken seriously,” Brophy said.

Still, there is no proof that pollution is responsible, and data from surrounding Lambton County don’t show a similar impact. The findings represent a “short period of time and a small population” and require further study, said Dean Edwardson, general manager of the Sarnia-Lambton Environmental Association, which represents area industry.

Experts note that other factors might include diet, alcohol use, smoking and occupational exposures.

Indeed, there’s strong evidence from other areas that men exposed in the workplace to pesticides, lead and solvents and in industrial accidents to toxic substances such as dioxin end up fathering fewer boys.

When a July 1976 chemical plant explosion in Seveso, Italy sent a cloud of dioxin over the area, researchers discovered that no boys were born for seven years to parents who had the highest levels of the toxin in their blood.

In another study, men exposed to the pesticide dibromochloropropane fathered three times as many daughters as expected.

Some evidence also suggests stress can reduce the motility or viability of Y-bearing sperm, reducing the likelihood that boys will be conceived. This may help explain why fewer boys are born after natural disasters such as earthquakes and floods _ a finding well documented in the scientific literature.

Moms are thought to have a different set of responses to stress, which also could favor girls over boys.

When pregnant women struggle with adverse circumstances _ economic hardship, poor food supply _ a biological mechanism that “culls” weak male fetuses may be inadvertently deployed, said Ralph Catalano, a professor of public health at the University of California, Berkeley.

From an evolutionary standpoint, this would make sense, since boys require more parental effort to raise while also dying at a higher rate, Catalano explained. When times are tough, it’s more advantageous to give birth to a girl, he said.

Among Catalano’s thought-provoking findings: The number of boys born in New York City relative to girls fell significantly after the Sept. 11 terrorist attacks.

That result, reported in 2006 in the journal Human Reproduction, applied primarily to women in their second trimester at the time of the attacks. In the paper, Catalano suggests that “fetal response to maternal stressors appears strongest in the second half of gestation” and “mothers may use that response as a test of male fetal robustness.”

Separately, in 2003 Catalano reported that the proportion of boys born in East Germany dropped sharply in 1991, when that nation’s economy collapsed.

The world’s leading expert on the science of sex ratios, William H. James, who spent his career at University College in London, offers another possible explanation: Hormones in both parents at the time of conception affect the sex of offspring.

Higher levels of testosterone and estrogen are associated with the birth of sons, James says, while elevated levels of gonadotropins and progesterone are associated with daughters. These hormones are internally regulated but also are subject to external influences such as alcohol, cigarette smoke, radiation, chemicals, and illnesses in parents.

A spinoff of the theory is the notion that the timing of conception can help determine the sex of offspring because hormone levels fluctuate during a woman’s fertile period.

James observed that women who conceive early or late in their fertile periods are more likely to have boys. Couples who have lots of sex have a higher probability of bearing sons, he concluded, because they’re more likely to conceive early on, he concluded.

This ties in to the stress hypothesis: If adults have less sex when enduring adversity, then they’d be less likely to conceive male children.

Another notable finding conforms to James’ research: Women receiving ovary-stimulating drugs (including gonadotropins) during assisted reproduction give birth to more girls.

On the Aamjiwnaang reservation, it took people a while to recognize the trend toward fewer boys. Families were more concerned about how many babies they were losing: The miscarriage rate for women on the reservation is about 40 percent, much higher than Ontario’s average.

Even when there were three girls’ baseball teams and only one boys’ team, “people just thought there were girls running in their families,” Lockridge said.

It still isn’t a subject that people talk about much, said Stephanie Stone, 37, who lives on the reservation with her husband, Paul, and three young daughters.

Stone has an 18-year-old son from a previous marriage but said “it hurts my heart” that she hasn’t been able to have another. “We have tried and tried to have a baby boy,” she said.

C2N Diagnostics Launches Alzheimer’s Research Tool

C2N Diagnostics today announced the availability of its first commercial assay and research service for the measurement of neurally-derived biomolecules in vivo. The SILK-AB(TM) assay refers to the use of stable isotope labeling and tandem mass spectrometry for the measurement of the kinetics, or metabolism, of amyloid-beta. Amyloid-beta is a small peptide implicated as a key mediator of Alzheimer’s disease.

Developed in the halls of the Washington University School of Medicine by Drs. Randall Bateman and David Holtzman, the proprietary technology behind C2N’s SILK-AB(TM) assay received recognition by Scientific American as one of the top 50 scientific advancements of 2006. Dr. Bateman is an Assistant Professor within the Department of Neurology and recipient of several distinguished awards for his innovative research that served the basis for C2N’s platform technology. Dr. David Holtzman is the Andrew B. and Gretchen P. Jones Professor and Chair of Neurology and Developmental Biology, and past recipient of the Potamkin prize and MetLife award for Alzheimer’s research.

“With the industry availability of this assay, for the first time, it is now possible for pharmaceutical and biotechnology companies to readily evaluate the impact of their development-stage compounds on the production and clearance rates of amyloid-beta. The sensitivity of the assay intends to enable clinical researchers the ability to discriminate active from inactive drugs with a remarkably small number of patients,” says Dr. Joel Braunstein, a C2N Managing Member and co-founder of LifeTech Research, a technology research and development firm that formed C2N with Drs. Holtzman and Bateman.

The long-term vision at C2N is to create a convenient-to-use test that can detect Alzheimer’s at its earliest stages, and to guide effective treatment development and use in patients before they manifest any clinical symptoms. With the introduction of its SILK-AB(TM) assay, the company believes it is one step closer to this ultimate goal.

About Alzheimer’s Disease

Alzheimer’s disease is a progressive neurological disorder characterized by loss of memory and decline in basic mental ability. Though several drugs are available to treat the symptoms of Alzheimer’s, none halt or modify disease progression. The risk of developing Alzheimer’s disease increases significantly with age. By the age of 85, approximately 1 out of 2 people likely have the disease. Alzheimer’s disease affects more than 20 million elderly people worldwide, and the incidence is likely to grow rapidly over the following decades. According to the Alzheimer’s Research Trust, an estimated 4.6 million new cases of Alzheimer’s are diagnosed each year worldwide, and roughly 500,000 of these occur in the United States alone.

About C2N Diagnostics

C2N Diagnostics, LLC formed in late 2007 by scientific co-founders Drs. Holtzman and Bateman, the Washington University Office of Technology Management, and LifeTech Research. C2N resides at the Center for Emerging Technology in St. Louis, MO. The company is developing a suite of biomarker assays and tools to assist in pre-clinical drug discovery, clinical drug development, and the early detection and assessment of progression of debilitating neurodegenerative disorders. The company’s first commercial tool targets Alzheimer’s disease; but other products are in development to target Parkinson’s disease, Huntington’s disease, schizophrenia, and amyotrophic lateral sclerosis (ALS), among others. For additional information, see www.c2ndiagnostics.com or call 1-877-C2N-DIAG (1-877-226-3424).

About LifeTech Research

Founded in 2003, LifeTech Research, Inc is a Baltimore-Washington based technology development firm and provider of investment due-diligence research across the entire life sciences sector. The company fosters unique innovation by assisting entrepreneurs that possess important ideas and technologies that can change their fields. The collective LifeTech team brings to its portfolio companies diverse experience in regulatory affairs, manufacturing, preclinical and clinical development, technology adoption and reimbursement, business development, and finance. For additional information, see www.lifetechresearch.com.

Bunk Beds Deemed Dangerous

1st national study finds startling injury rates in patients from 1-21

Bunk bed-related injuries are not an issue of concern solely for parents of young children according to a study conducted by investigators at the Center for Injury Research and Policy of The Research Institute at Nationwide Children’s Hospital. The study, published in the June issue of Pediatrics, found although three-quarters of the children who sustain bunk bed-related injuries are younger than 10 years of age, there is a surprising spike in injuries among individuals between the ages of 18 and 21 years.

The study is the first of its kind to use national data to comprehensively examine patterns and trends of bunk bed-related injuries among children and young adults (up to 21 years of age). There were an estimated 572,580 bunk bed-related injuries during the 16-year study period, resulting in an average of nearly 36,000 cases annually.

“The high rates of injury found in our study suggest the need for increased prevention efforts to lower the risk of bunk bed-related injury, especially among young children and young adults,” said study co-author Gary Smith, MD, DrPH, director of the Center for Injury Research and Policy at Nationwide Children’s Hospital, and an associate professor of Pediatrics at The Ohio State University College of Medicine.

Bunk bed-related injuries occur most frequently among males, and half of the cases analyzed involved children younger than 6 years of age. Bunk bed injuries most commonly result from falls. The most common bunk bed-related injuries include lacerations, contusions/abrasions and fractures. While fractures were the third most common injury, patients with fractures were almost six times more likely to require hospital admission, transfer to another hospital, or to be held for observation.

The body regions most frequently injured include the head/neck and face. Injuries to this area of the body are especially common among small children who, due to a higher center of gravity, tend to fall head first. Children less than 3 years of age were 40 percent more likely to sustain head injuries than older children.

The study also found 18- to 21-year-olds experienced twice as many injuries as adolescents in the 14- to17-year-old age group. The reason for this finding is unknown, however, individuals in this age group may use bunk beds more frequently due to increased residence in institutional settings, such as college dormitories and the military. Older children were also found to be significantly more likely to be injured due to bed malfunction than younger children, perhaps due to their larger size and increased weight.

“Everyone wants to feel safe and secure while resting or sleeping, yet bunk beds are a common source of injury among children and adolescents,” said study co-author Lara McKenzie, PhD, MA, principal investigator in the Center for Injury Research and Policy at Nationwide Children’s, and an assistant professor at The Ohio State University College of Medicine. “Our study found that bunk bed-related injuries can be severe and require hospital admission. In addition to children less than 6 years of age, young adults have a significantly increased risk of injury from bunk beds in schools, recreational sports facilities and public properties.”

Recommended strategies for prevention of bunk bed-related injuries include making sure guardrails are used on both sides of the upper bunk, with guardrail gaps being 3.5 inches or less to prevent entrapment and strangulation; ensuring the mattress foundation is secure and the proper size mattress is used; not permitting children younger than 6 years of age to sleep in the upper bunk; discouraging children from playing on bunk beds; using night lights to help children see the ladder at night; removing hazardous objects from around the bed; and not placing the bunk bed too close to ceiling fans or other ceiling fixtures. Bunk beds should not be changed so as to negate safety standards.

Data for the study were obtained from the National Electronic Injury Surveillance System of the United States Consumer Product Safety Commission. The analysis included cases of non-fatal bunk bed-related injuries treated in emergency departments across the U.S. from 1990 through 2005.

On the Net:

Nationwide Children’s Hospital

Pediatrics

SIRIUS Satellite Radio & NYU Langone Medical Center Launch ‘Doctor Radio’ Channel

NEW YORK, June 2 /PRNewswire-FirstCall/ — SIRIUS Satellite Radio and NYU today announced the launch of Doctor Radio powered by NYU Langone Medical Center, a national radio channel of world-class physicians hosting live call-in radio shows broadcast daily to millions of listeners. Doctor Radio will launch on June 2 exclusively on SIRIUS channel 114.

   (Logo: http://www.newscom.com/cgi-bin/prnh/20080602/NYM040LOGO )   (Logo: http://www.newscom.com/cgi-bin/prnh/19991118/NYTH125 )    

Doctor Radio is a groundbreaking concept: a 24/7 radio channel featuring dozens of expert clinicians and researchers hosting live call-in shows from its studio at the Medical Center. It’s real doctors helping real people. Doctor Radio will provide expert information, news, and fascinating stories from the world of health and medicine delivered firsthand by the New York University medical professionals on the front lines of advancing medicine, discussed conversationally and interactively with SIRIUS listeners.

Doctor Radio will delve into topics that matter to millions of Americans, including general health and wellness; child psychiatry; sexual health; plastic surgery; cancer; pediatrics; heart health; men’s and women’s health; sports injuries; dermatology; autism and ADHD; and emergency medicine. SIRIUS’ Doctor Radio hosts from NYU Langone Medical Center include renowned psychiatrists, heart surgeons, emergency care specialists, cardiologists, a police surgeon, as well as physicians who specialize in issues specific to men, women and children.

SIRIUS and NYU have built a state-of-the-art broadcasting studio in the lobby of the Manhattan-based NYU Langone Medical Center to be the broadcast home of Doctor Radio, bringing listeners right into the middle of the medical world. Doctors are minutes from the O.R., the E.R., and seeing patients, and can often be seen performing their radio shows in scrubs.

Going even further into the world of medicine, in the coming weeks, as part of a special series called “Sounds of the Hospital,” Doctor Radio will take listeners inside the operating room during open heart surgery. The series will also feature a night in Bellevue Hospital’s emergency department, one of the busiest in New York City, as well as allow people to listen in and learn from a family in crisis at the NYU Child Study Center.

“Doctor Radio offers listeners a rare level of contact and communication with New York University School of Medicine physicians and scientists,” said Robert I. Grossman, M.D., Saul J. Farber Dean and CEO of NYU Langone Medical Center. “We are so pleased to partner with SIRIUS on Doctor Radio. We will greatly expand the reach and impact of our academic medical center, and the medical information people have access to, as SIRIUS helps us connect daily to millions of diverse listeners across the country.”

“Doctor Radio is a revolutionary concept: leading-edge medicine paired with leading-edge media,” said Scott Greenstein, SIRIUS’ President, Sports and Entertainment. “Top physicians are just a phone call away, able to deliver immediate and insightful medical information and knowledge relevant to our listeners, their families and friends who may never otherwise get this unique access to the highest echelon of doctors.”

Below is a selection of weekly programs listeners will hear on Doctor Radio:

"Tales From the E.R."   Thursday, 8:00 am - 10:00 am ET  

Baby on the way, too much alcohol, heart attack, car accident, shooting, stabbing, coughing, fainting, fever, rash, bites, pain – all in a night’s work for E.R. doctors. Trained to react quickly and stabilize patients, they are the front line of medical treatment. Hear the real life stories of the trauma and the drama E.R. doctors face every day from host Dr. Billy Goldberg, assistant professor and assistant director, NYU Department of Emergency Medicine. Goldberg is the bestselling author of Why Do Men Have Nipples? and Why Do Men Fall Asleep after Sex?

   Child Psychiatry / "About Our Kids"   Friday, 8:00 - 10:00 am ET  

Acting out, behavior problems, skipping school, family stress, bullying, shyness, lack of attention, social anxiety, the signs of autism, Asperger’s and other learning disabilities as well as drugs and sex. The problems all parents face every day. Now for the first time the Child Study Center Team from NYU is available to take calls and help parents answer questions on these difficult subjects. Hosted by Dr. Jess Shatkin, Dr. Lori Evans and Dr. Alexandra Barzvi, leading child psychologists and psychiatrists from the world-famous NYU Child Study Center. Harold S. Koplewicz, M.D., the co-founder and director of the NYU Child Study Center, will also make guest appearances on the show.

   Plastic Surgery   Tuesday, 6:00 - 8:00 pm ET  

Whether elective, cosmetic or reconstructive surgery, a simple surgical procedure can become a positive life-changing experience. NYU’s world renowned director of the Institute of Reconstructive Plastic Surgery, Dr. Joseph McCarthy, together with Dr. Alexes Hazen, director of NYU’s Aesthetic Surgery Center, and Dr. Sherrell Aston, professor of surgery, Department of Plastic Surgery, NYU Langone Medical Center, will guide listeners through the maze of procedures, answering their questions on face lifts, liposuction, tummy tucks and implants for cheeks, jaws, breasts or butt and more.

   Dermatology   Thursday, 6:00 - 8:00 pm ET  

The new buzz word in beauty is injections. With non-surgical cosmetic treatments like Botox on the rise, more and more people have questions. Are these treatments safe? Do they really work? What is the truth about popular beauty secrets? Your skin can tell you a lot about your body. Knowing what to look for and when to see your doctor can save your life. Hosted by Dr. Lew Stolman, Dr. Jessie Cheung and Dr. Doris Day.

   Men's Health   Wednesday, 6:00 - 8:00 pm ET  

Men worry about libido, performance and impotency. Prostate cancer is the second leading cause of cancer deaths in men. This show will explore in-depth a wide variety of general and sexual health issues affecting men of all ages. Sexual health isn’t just a man’s problem – it directly affects relationships and quality of life. The causes of sexual dysfunction can run from high blood pressure to depression to other serious health issues. Host Dr. Herb Lepor, chairman of Urology at the NYU School of Medicine, is world-renowned for his research-driven approach to treating the prostate. Lepor helped pioneer surgical techniques for removing the prostate while preserving sexual function. Co-host Dr. Andrew McCullough is assistant professor at NYU Langone Medical Center, director of NYU’s Male Sexual Health and Fertility program, and was a principal investigator into the development of Viagra. Co-host Dr. Samir Taneja is director of Urologic Oncology in the Department of Urology at NYU. Drs. Lepor and Taneja are urologic oncologists at the NYU Cancer Institute.

   Sexual Health   Monday, 12:00 - 2:00 pm ET  

Intimacy, desire, technique – no question is taboo for Dr. Virginia Sadock, one of the most respected human sexuality experts in America. Through the anonymity of the telephone, listeners can finally talk about their fantasies, inhibitions, their partner’s desires as well as their own. Sadock is a psychiatrist and a clinical professor of psychiatry, human sexuality, and marital therapy.

   Women's Health   Thursday, 6:00 - 8:00 am ET  

Having busy lives as wives, mothers, and career women doesn’t always make it easy for women to pay attention to themselves and their bodies. Host Dr. Nieca Goldberg, a cardiologist and a nationally recognized pioneer in women’s heart health, will help both women and men everywhere recognize the signs and symptoms of heart disease and other serious health risks on this one-of-a-kind radio show. Dr. Goldberg is clinical associate professor of medicine and medical director of the NYU Women’s Heart Program. She has been named five times to New York magazine’s “Best Doctors” list and is the author of Women are Not Small Men and Dr. Nieca Goldberg’s Complete Guide to Women’s Health.

   Cardiology / Heart Health   Friday, 6:00 - 8:00 am ET  

Two of the world’s most prominent heart surgeons, Dr. Greg Ribakove and Dr. Charles Schwartz, take listeners into the O.R., describing the intricate surgeries they perform many times a week, from the now common bypass surgery and valve repair to the heroic efforts of saving the life of an accident or crime victim. You’ll feel the adrenaline rush as they hold the life of a patient in their hands. Dr. Ribakove is an associate professor and chief of cardiothoracic surgery at Bellevue Hospital Center and director of cardiac surgical intensive care units at NYU. Dr. Schwartz is assistant professor of cardiothoracic surgery at NYU Langone Medical Center.

Visit http://www.sirius.com/doctorradio to hear sample audio, take the SIRIUS Doctor Radio Quiz, and see behind-the-scene photos. SIRIUS’ interactive Doctor Radio site also features the complete programming lineup and host bios.

About SIRIUS

SIRIUS, “The Best Radio on Radio,” delivers more than 130 channels of the best programming in all of radio. SIRIUS is the original and only home of 100% commercial free music channels in satellite radio, offering 69 music channels. SIRIUS also delivers 65 channels of sports, news, talk, entertainment, traffic, weather and data. SIRIUS is the Official Satellite Radio Partner of the NFL, NASCAR, NBA, and broadcasts live play-by-play games of the NFL, NBA, as well as live NASCAR races. All SIRIUS programming is available for a monthly subscription fee of only $12.95.

SIRIUS Internet Radio (SIR) is an Internet-only version of the SIRIUS radio service, without the use of a radio, for the monthly subscription fee of $12.95. SIR delivers more than 80 channels of talk, entertainment, sports, and 100% commercial free music.

SIRIUS Backseat TV (TM) is the first ever live in-vehicle rear seat entertainment featuring three channels of children’s programming, including Nickelodeon, Disney Channel and Cartoon Network, for the subscription fee of $6.99 plus applicable audio subscription fee.

SIRIUS products for the car, truck, home, RV and boat are available at shop.sirius.com and in more than 20,000 retail locations, including Best Buy, Circuit City, Crutchfield, Target, Wal-Mart, Sam’s Club and RadioShack.

As of December 31, 2007, SIRIUS radios were available as a factory and dealer-installed option in 116 vehicle models and as a dealer only-installed option in 37 vehicle models.

SIRIUS has agreements with Aston Martin, Audi, Bentley, BMW, Chrysler, Dodge, Ford, Jaguar, Jeep, Kia, Land Rover, Lincoln, Maybach, Mazda, Mercedes- Benz, Mercury, MINI, Mitsubishi, Rolls-Royce, Volvo, and Volkswagen to offer SIRIUS radios as factory or dealer-installed equipment in their vehicles. SIRIUS has relationships with Toyota and Scion to offer SIRIUS radios as dealer-installed equipment, and a relationship with Subaru to offer SIRIUS radios as factory or dealer-installed equipment. SIRIUS radios are also offered to renters of Hertz vehicles at airport locations nationwide.

Click on http://www.sirius.com/ to listen to SIRIUS live, or to purchase a SIRIUS radio and subscription.

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   P-SIRI    About NYU LANGONE MEDICAL CENTER  

One of the world’s premier academic medical institutions for more than 167 years, NYU Langone Medical Center continues to be a leader in patient care, physician education and scientific research. NYU Langone Medical Center is internationally renowned for excellence in areas such as cardiovascular disease, pediatrics, skin care, neurosurgery, urology, cancer care, rehabilitation medicine, plastic surgery, minimally invasive surgery, transplant surgery, infertility, and women’s health.

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Arthritis Drug Celebrex May Prevent Lung Cancer

Researchers from M.D. Anderson Cancer Center in Houston reported Sunday that high doses of the arthritis medication Celebrex might prevent lung cancer in heavy smokers. The drug works by inhibiting the COX-2 enzyme that causes inflammation, which has been linked to cancer.

The researchers studied 212 heavy smokers and discovered that those who took a high dose of Celebrex, also known as celecoxib, had less of a certain type of precancerous lung cell changes compared with those who took placebo.

None of those who participated in the study had any heart-related problems such as those with Merck & Co Inc’s arthritis drug Vioxx, a COX-2 inhibitor that was later withdrawn from the market.

“Celebrex was safe and we did not see any cardiovascular events,” said Dr. Edward Kim of M.D. Anderson Cancer Center in Houston, while presenting his research at a meeting of the American Society of Clinical Oncology in Chicago.

Dr. Kim said the study suggests that a high dose of Celebrex might interfere with the cellular changes that precede lung cancer. However, the findings are preliminary and need confirmation by larger, longer studies.

“This is not a study where we go tell someone who is a heavy smoker to start taking Celebrex to prevent lung cancer,” Dr. Kim said in a Reuters interview.

Although the study began prior to news in September 2004 that Vioxx doubled the risk of stroke and heart attack in some patients, Dr. Kim said it was put on hold in December 2004 at the request from the National Cancer Institute (NCI), which funded the trial, and Pfizer, in order to give researchers time to look for signs of heart attacks or strokes.

The work resumed again in May 2005 after researchers added safeguards to reduce heart risks, which included consultations with cardiologists.

Dr. Kim said the researchers were looking for early changes in the body that might indicate the drug could reduce the chances of developing lung cancer, rather than a direct measure of cancer prevention that could take many years.

Indeed, two large, long-term studies on lung cancer prevention with beta-carotene and vitamin A supplements found they actually increased the risk of developing lung cancer.

“We have not had positive results with these studies. Now we would like to search for an intermediate endpoint or biomarker,” said Dr. Kim during a media briefing.

“Perhaps that will lead us in the direction of who we need to target in the future,” he said.

Dr. Kim said the researchers chose to study Celebrex because previous research conducted in cells, mice and people found that the COX-2 enzyme is present at higher than normal levels in lung cancer and in precancerous lesions of the lung. COX-2 is believed to play a part in the development of blood vessels that feed tumors.

In the study, Dr. Kim measured levels of the protein Ki-67, a marker for cell growth. They wanted to determine if Celebrex affected levels of this protein in tissue samples taken from the lungs of heavy smokers.

The researchers began by obtaining lung samples from six predetermined areas of the lung. Then the study participants received either a 200-milligram or a 400-milligram dose of Celebrex twice a day, or a placebo. Samples were obtained again at three-month and six-month intervals. The researchers found that the group receiving the higher dose of Celebrex realized a reduction in Ki-67 protein levels. Dr. Kim added that it would be important to find better ways of identifying those at highest risk for lung cancer for whom the benefits high-dose COX-2 inhibitor would outweigh the risks.

According to the American Cancer Society, lung cancer is the leading cause of cancer death in the United States. About 215,000 people will be diagnosed with lung cancer this year, and about 114,000 people will die from the disease.

Final Results of the CellCept(R) Spare the Nephron (STN) Study Show Maintenance Therapy is Associated With Improved Renal Function

TORONTO, June 1 /PRNewswire/ — The final results of the Spare the Nephron (STN) study, a multicenter trial investigating a novel kidney-sparing treatment protocol using CellCept(R) (mycophenolate mofetil), showed the CellCept-based regimen in combination with sirolimus (SRL) is associated with improved renal function when compared with the CellCept-based regimen in combination with calcineurin inhibitors (CNI).

Furthermore, the study showed this improvement without increasing the risk of acute rejection, and was tolerated in almost 80 percent of patients. The results were presented today at the American Transplant Congress (ATC) in Toronto.

The STN Trial in kidney transplant recipients examines ways to prevent rejection without damaging kidneys. As transplant patients are living longer, studies suggest that therapies such as CNIs can cause impairment of kidney function, damage to the blood vessels, and filtering capacity of the kidneys. “This study provides strong evidence for the benefits of a CNI-free, CellCept-based regimen,” said Thomas Pearson, M.D., lead investigator, Livingston Professor of Surgery, Department of Surgery, Emory University School of Medicine, Atlanta, GA.

The STN trials were conducted at more than 35 transplant centers in the United States and Canada.

“The goal of this study was to optimize the use of immunosuppressants for achieving long-term success,” added Dr. Pearson. “The STN Kidney studied the combination of CellCept and SRL with the goal of reducing CNI associated nephrotoxicity therapy to prolong graft and patient survival.”

About the Study

This open-label, prospective, multicenter study, randomized 305 patients (maintained on MMF and a CNI) for 30-180 days post-transplant to receive either MMF (1-1.5 g BID) plus SRL (2-10 mg followed by at least 2 mg/day; trough 5-10 ng/mL) and discontinue the CNI (MMF/SRL) or to continue their current regimen (MMF/CNI). Antibody induction and/or corticosteroids were administered according to individual center practices.

Study Results

The 12-month results are from the first 249 patients receiving either the CellCept-based regimen in combination with SRL (n=123) or the CellCept-based regimen in combination with CNI (n=126).

Investigators found acute rejection in 6.5 percent of the patients (8/123) in the CellCept-based regimen in combination with SRL, compared to 7.1 percent of the patients (9/126) in the CellCept-based regimen in combination with CNI.

Mean time from transplant to randomization in both groups was 117 days. Baseline characteristics and measured GFR values were similar in the treatment groups and 98 patients in the CellCept-based regimen in combination with SRL were receiving tacrolimus. Graft loss was experienced in 1.6 percent of patients (2/123) in the CellCept-based regimen in combination with SRL, compared to 2.4 percent of patients (3/126) in the CellCept-based regimen in combination with CNI.

There were no deaths in the CellCept-based regimen in combination with SRL. Three (3/126) patient deaths were remotely related to the CellCept-based regimen in combination with CNI. The number and proportion of patients withdrawn for adverse events at 12 months was 18.7 percent (23/123) in the CellCept-based regimen in combination with SRL, and 7.1 percent (9/126) in the CellCept-based regimen in combination with CNI.

The percent change from baseline in GFR at 12 months was 25.8 percent for patients in the CellCept-based regimen in combination with SRL, compared to 11.3 percent in the CellCept-based regimen in combination with CNI group. Safety outcomes were similar in both groups.

CellCept is indicated for the prophylaxis of organ rejection in patients receiving allogeneic renal, cardiac or hepatic transplants. CellCept should be used concomitantly with cyclosporine and corticosteroids.

   Important Safety Information:    WARNING:  

Immunosuppression may lead to increased susceptibility to infection and possible development of lymphoma. Only physicians experienced in immunosuppressive therapy and management of renal, cardiac or hepatic transplant patients should use CellCept. Patients receiving the drug should be managed in facilities equipped and staffed with adequate laboratory and supportive medical resources. The physician responsible for maintenance therapy should have complete information requisite for the follow-up of the patient.

Female users of childbearing potential must use contraception. Physicians should inform female patients that CellCept use during pregnancy is associated with increased rates of pregnancy loss and congenital malformations.

   -- Patients receiving immunosuppressive regimens involving combinations of      drugs, including CellCept, as part of an immunosuppressive regimen are      at increased risk of developing lymphomas and other malignancies,      particularly of the skin.   -- Oversuppression of the immune system can also increase susceptibility      to infection, including opportunistic infections, and sepsis.   -- Cases of progressive multifocal leukoencephalopathy (PML), sometimes      fatal, have been reported in patients treated with CellCept.      Hemiparesis, apathy, confusion, cognitive deficiencies and ataxia were      the most frequent clinical features observed.  The reported cases      generally had risk factors for PML, including treatment with      immunosuppressant therapies and impairment of immune function.  In      immunosuppressed patients, physicians should consider PML in the      differential diagnosis in patients reporting neurological symptoms and      consultation with a neurologist should be considered as clinically      indicated.  Consideration should be given to reducing the amount of      immunosuppression in patients who develop PML.  In transplant patients,      physicians should also consider the risk that reduced immunosuppression      represents to the graft.   -- CellCept can cause fetal harm when administered to a pregnant woman.  A      patient who is planning a pregnancy should not use CellCept unless she      cannot be successfully treated with other immunosuppressant drugs.  If      this drug is used during pregnancy, or if the patient becomes pregnant      while taking this drug, the patient should be apprised of the potential      hazard to the fetus.   -- Women of childbearing potential (including pubertal girls and      peri-menopausal women) taking CellCept must receive contraceptive      counseling and use effective contraception.  The patient should begin      using her chosen contraceptive method 4 weeks prior to starting      CellCept therapy.  She should continue contraceptive use during therapy      and for 6 weeks after stopping CellCept.  Two reliable forms of      contraception must be used simultaneously unless abstinence is the      chosen method.  Patients should be aware that CellCept reduces blood      levels of the hormones in the oral contraceptive pill and could      theoretically reduce its effectiveness.   -- Severe neutropenia [absolute neutrophil count (ANC) 

Hoffmann-La Roche Inc. (Roche), based in Nutley, N.J., is the U.S. pharmaceuticals headquarters of the Roche Group, one of the world's leading research-oriented healthcare groups with core businesses in pharmaceuticals and diagnostics. For more than 100 years in the U.S., Roche has been committed to developing innovative products and services that address prevention, diagnosis and treatment of diseases, thus enhancing people's health and quality of life. An employer of choice, in 2007 Roche was named Top Company of the Year by Med Ad News, one of the Top 20 Employers (Science) and ranked the No. 1 Company to Sell For (Selling Power). In previous years, Roche has been named as a Top Company for Older Workers (AARP) and one of the Best Companies to Work For in America (Fortune). For additional information about the U.S. pharmaceuticals business, visit our website http://www.rocheusa.com/. Product and treatment information for U.S. healthcare professionals is available at http://www.rocheexchange.com/.

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New Techniques Reduce Stress in Zoo Animals

Animals in the nation’s zoos are faring better as more is learned about ways to relieve their distress, according to experts from zoos and universities who met Friday at Chicago’s Brookfield Zoo.

The scientists are gaining a better understanding of how animals feel, and how a toy or training can often reduce the continuous pacing and other repetitive behaviors that are often believed to be signs of distress.

For example, polar bears like to scratch for hidden stores of food, and some big cats prefer to view visitors from a high perch, and male barn swallows could use a tail extension to attract potential mates.

Visitors who observe a pacing cheetah or a polar bear swimming in circles might believe the animals are stressed by confinement, but instead they may be merely expending excess energy or soothing themselves, said experts during interviews at the symposium.

“We humans swim laps, and people take comfort in walking in circles. As long is it not injuring the animals, and not causing them pain, it may not be a sign of poor welfare,” Nadja Wielebnowski of the Chicago Zoological Society told Reuters.

Wielebnowski, who measures stress hormones in zoo animals, is assisting in efforts to reduce stress when animals are moved, exposed to noise or come in close contact with humans.

“Some species do absolutely great in zoos — they get great food, they get it every day, they have great veterinary care. For some species, the zoo trumps the wild,” David Shepherdson of the Oregon Zoo in Portland told Reuters.

However, some species do not fare as well, such as bears, elephants and large cats.

Shepherdson conducted a study of polar bears in the nation’s zoos, and found 50 out of 54 bears exhibited behavioral symptoms indicative of stress, even though there were no elevated levels of corticosteroids, hormones that specify stress.

Shepherdson further discovered that close to half the bears reduced their repetitive behavior when given training or toys that helped them mimic their behavior in the wild. He found, for example, that polar bears that were provided a plastic barrel would crush it, just as they would a seal den in their native Arctic habitat.

Experts are also looking at whether certain species, such as leopards, do not belong in zoos at all because they favor remaining out of sight.

“Essentially, we need to go against the knee-jerk human reaction, which is the view that (zoo animals) need companionship, they need a large enclosure, and that they are only interested in the world visually,” Vicki Melfi of Whitley Wildlife Conservation Trust, told Reuters. Melfi runs Britain’s Paignton Zoo.

She said animals sensitive to sounds might be offered a dark, quiet corner for retreat, whereas other animals more sensitive to smell might have their enclosures disinfected less frequently so as not to wipe out scent markings.  

Wielebnowski suggested zoos might consider exercise equipment for animals to expend excess energy.

Wayne Pacelle, president of the Humane Society of the United States, told Reuters that hormone levels alone might not be as effective as simply looking for repetitive or listless behavior.

“You don’t want a shell of an animal on display,” he said.

“Zoos are here to stay and they should make efforts to enrich animals’ lives and they should ask a number of other questions about the suitability of certain species in captivity.”

Leg Pain May Be Signal of Heart Problems

Most people know that blockage of arteries in the heart can lead to heart attacks and blockage of arteries in the brain can lead to stroke.

But what about blockage in the legs? Many people don’t have a clue, but they should: Buildup of plaque in the legs means it’s likely elsewhere in the body, as well.

Atherosclerosis in the limbs is called peripheral arterial disease or peripheral vascular disease. Having it dramatically increases the risk of heart attack, stroke and amputation, but many are unaware of it or attribute its passing pain to old age, arthritis or being out of shape.

An estimated 10 million Americans have the disorder, also known as PAD.

“When you’re living a sedentary life it doesn’t hurt you,” Dr. Thomas Whitsett, director of vascular medicine at the University of Oklahoma Health Sciences Center, said of the intermittent pain, called “claudication.”

The pain stops when the person stops moving.

Testing for the disease Lifestyle changes, particularly exercise, are the first response to peripheral arterial disease, followed by medication and surgery.

Those with peripheral arterial disease have the same likelihood of having a heart attack or stroke as someone who already has had a heart attack or small stroke, Whitsett said, adding: “It’s a harbinger of bad things to come.”

Moreover, he said, the chances of dying from complications of peripheral arterial disease are greater than those of breast cancer or lymphoma.

“When someone comes in with leg symptoms, I always listen to their neck,” Dr. James Melton, medical director of the Vascular Institute at Oklahoma Heart Hospital, said of the increased stroke risk.

Testing for peripheral arterial disease is straightforward: Using a blood pressure cuff on the ankle and a Doppler ultrasound device, doctors determine how much the pressure in the lower extremity differs from the arm’s blood pressure.

Melton said peripheral arterial disease and heart disease go together in 70 to 80 percent of his patients.

“It’s a global disease. It’s not isolated to one part of the body,” he said.

‘My toes would get numb’ The reason the blocked vessels cause leg pain is that the person can’t generate a high enough heart rate to cause chest pain, called angina.

“It’s like a charley horse you’ve never had before,” Melton said of the intense leg pain.

Reginald Jenkins had to return from working in Afghanistan for military contractor KBR because of the pain in his legs.

“My legs would start hurting and my toes would get numb,” the Army retiree and Desert Storm veteran said, describing how it was an ordeal to walk from his bedroom to his front door when his peripheral arterial disease became severe.

Jenkins finished up his tour in 2005 and returned to the United States, taking a job as a security guard at Fort Sill. In April, Dr. Feroz Maqbool implanted two stents in Jenkins’ legs to improve his circulation.

“I could tell the difference the day I walked out of the hospital,” he said.

Jenkins, 55, wants to return overseas. He’s able to run again and can endure the difficulties of life abroad.

“As soon as I get that paperwork turned in, I’m going,” he said.

Waiting to treat disease Treatment of peripheral arterial disease has evolved as it has for other disorders: Doctors use balloons, stents, liquid nitrogen — even lasers — to dislodge worrisome plaque. Free clots and reduced circulation can lead to gangrene.

Reduced blood flow also means slower healing.

“There are people out there who have had sores on their foot for years and don’t know what caused it,” Melton said.

Maqbool, who treats most of his patients at the Oklahoma City VA Medical Center, said the aggressiveness of treatment depends on the effect of the pain on one’s life.

“It’s a quality-of-life issue and basically avoiding surgery,” he said, calling peripheral arterial disease “quite common” among veterans.

“Most of the time we see severe or critically severe disease,” he said. Veterans often “tough it out” rather than seek care, he added.

What Should Schools Do to Limit Cafeteria Noise?

By MERRY FIRSCHEIN, STAFF WRITER

Lunchtime for elementary and middle school students means not only food but socializing outside of the classroom. Sometimes, however, noise levels in cafeterias can rise above an acceptable level, making it difficult for teachers and other school aides to keep control.

Schools try to find the best way to let children be themselves and have some freedom to talk but, at the same time, keep control.

Several companies make “traffic” lights specifically for schools to monitor noise levels in cafeterias or at assemblies. The full- size, plug-in lights have a microphone-sensitivity alarm. As the noise level rises, the green “good noise level” light changes to the yellow “warning” light, and when the talk level becomes too loud, the red “too loud” light comes on and an alarm sounds.

South Bay Elementary School in West Babylon, N.Y., uses a traffic light to control noise in the cafeteria. The Long Island school has used the tool for about six years, Principal JoAnn Scott said.

“The intention is not solely to reduce the noise level but to make the students aware of their noise level and for them to take steps on their own” to quiet down, Scott said.

The school uses the traffic light as a skill-learning opportunity, Scott said. The goal is the “transfer of the responsibility to the students and not have the adults be the noise police,” she said.

So far it’s working. Children have started to “police each other,” she said.

But officials from several Bergen County school districts said such electronic monitors aren’t necessary.

Edgewater Schools Superintendent Ted Blumstein said the district tried the traffic light years ago.

Officials thought children “would police themselves,” he said, but after six months the light was turned off.

“What we found was that some of the older students in elementary school thought it was a novelty” to have the red light go on, “so they would be louder” on purpose, he said.

The district has reduced noise levels in the cafeteria by adding an additional lunch period so there are fewer children in the cafeteria at one time, Blumstein said. Cafeteria monitors also raise their hands to get the children’s attention.

Students in the Eleanor Van Gelder School quiet down within 20 to 30 seconds, he said.

The two Hasbrouck Heights elementary schools control excess noise in the cafeterias by having adult monitors raise their hands in the air or sometimes by flicking the lights on and off, Schools Superintendent Joseph Luongo said.

“I would say, the simpler, the better,” he said.

When an adult raises his or her hand, it’s a “universal symbol” in elementary school to be quiet, he said. Children are taught from kindergarten that a raised hand means to stop talking, he said.

Students usually quiet down in 10 to 15 seconds when they see a raised hand, Luongo said.

Ridgefield schools also use the raised-hand approach, Superintendent Richard Brockel said.

“I’ve always believed that kids are doing what they do naturally at lunch, which is socialize and get noisy,” he said. “I’d rather have them do that at lunch than in the classroom.”

Having established rules helps keep the noise level down, Paramus interim Superintendent Eugene Westlake said.

“I think you have to set the standard in September,” he said. “Once the children know what their boundaries are, what the rules and regulations are, then they will behave.”

(c) 2008 Record, The; Bergen County, N.J.. Provided by ProQuest Information and Learning. All rights Reserved.

NCCN Previews Chemotherapy Order Templates(TM)

An initial set of NCCN Chemotherapy Order Templates(TM), peer-reviewed and evidence-based chemotherapy regimens with indications, doses, and schedules and routes of administration will be previewed at the upcoming American Society of Clinical Oncology (ASCO) meeting to be held May 31 to June 2, 2008.

The Templates can enhance patient safety by helping clinicians standardize patient care, reduce medication errors and anticipate and manage adverse events. They also include appropriate antiemetic and supportive care treatments, monitoring and safety patterns and supporting references. All clinical information in the Templates is derived from the recommendations of the NCCN Clinical Practice Guidelines in Oncology(TM) and the NCCN Drugs & Biologics Compendium(TM).

Access to the first set of NCCN Chemotherapy Order Templates(TM) will be provided via a flash-stick that can be obtained at the NCCN ASCO exhibit booth number 23015 and will include templates for the treatment of:

— Bladder Cancer

— Chronic Myelogenous Leukemia

— Kidney Cancer

— Prostate Cancer

Other templates for these and other cancer diagnoses will be made available on a rolling schedule throughout 2008 and 2009. All NCCN Chemotherapy Order Templates(TM) will be continually updated to reflect changes to the recommendations contained in the NCCN Clinical Practice Guidelines in Oncology(TM) and the NCCN Drugs & Biologics Compendium(TM).

For more information on the NCCN Chemotherapy Order Templates(TM), please contact Thomas Mitchell at 215-690-0245 or visit www.nccn.org.

About the National Comprehensive Cancer Network

The National Comprehensive Cancer Network (NCCN), a not-for-profit alliance of 21 of the world’s leading cancer centers, is dedicated to improving the quality and effectiveness of care provided to patients with cancer. Through the leadership and expertise of clinical professionals at NCCN Member Institutions, NCCN develops resources that present valuable information to the numerous stakeholders in the health care delivery system. As the arbiter of high-quality cancer care, NCCN promotes the importance of continuous quality improvement and recognizes the significance of creating clinical practice guidelines appropriate for use by patients, clinicians, and other health care decision-makers. The primary goal of all NCCN initiatives is to improve the quality, effectiveness, and efficiency of oncology practice so patients can live better lives.

For more information, visit www.nccn.org.

The NCCN Member Institutions are: City of Hope, Los Angeles, CA; Dana-Farber/Brigham and Women’s Cancer Center | Massachusetts General Hospital Cancer Center, Boston, MA; Duke Comprehensive Cancer Center, Durham, NC; Fox Chase Cancer Center, Philadelphia, PA; Huntsman Cancer Institute at the University of Utah, Salt Lake City, UT; Fred Hutchinson Cancer Research Center/Seattle Cancer Care Alliance, Seattle, WA; Arthur G. James Cancer Hospital & Richard J. Solove Research Institute at The Ohio State University, Columbus, OH; The Sidney Kimmel Comprehensive Cancer Center at Johns Hopkins, Baltimore, MD; Robert H. Lurie Comprehensive Cancer Center of Northwestern University, Chicago, IL; Memorial Sloan-Kettering Cancer Center, New York, NY; H. Lee Moffitt Cancer Center & Research Institute, Tampa, FL; Roswell Park Cancer Institute, Buffalo, NY; Siteman Cancer Center at Barnes-Jewish Hospital and Washington University School of Medicine, St. Louis, MO; St. Jude Children’s Research Hospital/University of Tennessee Cancer Institute, Memphis, TN; Stanford Comprehensive Cancer Center, Stanford, CA; University of Alabama at Birmingham Comprehensive Cancer Center, Birmingham, AL; UCSF Helen Diller Family Comprehensive Cancer Center, San Francisco, CA; University of Michigan Comprehensive Cancer Center, Ann Arbor, MI; UNMC Eppley Cancer Center at The Nebraska Medical Center, Omaha, NE; The University of Texas M. D. Anderson Cancer Center, Houston, TX; and Vanderbilt-Ingram Cancer Center, Nashville, TN.

Study: Golfers Live Longer

Golf can be a good investment for the health, according to a new study from the Swedish medical university Karolinska Institutet.

The death rate for golfers is 40 percent lower than for other people of the same sex, age and socioeconomic status, which correspond to a 5 year increase in life expectancy. Golfers with a low handicap are the safest.

It is a well-known fact that exercise is good for the health, but the expected health gains of particular activities are still largely unknown. A team of researchers from Karolinska Institutet has now presented a study of the health effects of golf ““ a low-intensity form of exercise in which over 600,000 Swedes engage.

The study, which is published in Scandinavian Journal of Medicine & Science in Sports, is based on data from 300,000 Swedish golfers and shows that golf has beneficial health effects. The death rate amongst golfers is 40 percent lower than the rest of the population, which equates to an increased life expectancy of five years.

Professor Anders Ahlbom, who has led the study with Bahman Farahmand is not surprised at the result, as he believes that there are several aspects of the game that are proved to be good for the health.

“A round of golf means being outside for four or five hours, walking at a fast pace for six to seven kilometres, something which is known to be good for the health,” he says. “People play golf into old age, and there are also positive social and psychological aspects to the game that can be of help.”

The study does not rule out that other factors than the actual playing, such as a generally healthy lifestyle, are also behind the lower death rate observed amongst golfers. However, the researchers believe it is likely that the playing of the game in itself has a significant impact on health.

Golf players have a lower death rate regardless of sex, age and social group. The effect is greater for golfers from blue-collar professions than for those from white-collar professions. The lowest rates are found in the group of players with the lowest handicap (i.e. the best golfers).

“Maintaining a low handicap involves playing a lot, so this supports the idea that it is largely the game itself that is good for the health,” says Professor Ahlbom.

On the Net:

Karolinska Institutet

Rainbow Babies & Children’s Hospital NICU Ranks #2 in Country

CLEVELAND, May 30 /PRNewswire/ — Rainbow Babies & Children’s Hospital at University Hospitals Case Medical Center is once again ranked as a top five children’s hospital (#5) by U.S. News & World Report. This year, the first time the publication ranked pediatric subspecialties, Rainbow ranked #2 in neonatal care/NICU and among the top 10 in the country for neurology/neurosurgery and respiratory disorders. Rainbow is in the top 25 for all six subspecialties.

“We are so pleased and proud to be ranked so highly among our peer pediatric institutions,” said Michael Farrell, president of Rainbow Babies & Children’s Hospital and MacDonald Women’s Hospital. “This year, U.S. News evolved their methodology to look at subspecialties, in an effort to show where parents should turn for the best care for their children. These rankings are really an honor and tribute to the dedication of our talented and caring staff, and the NICU ranking is especially exciting for our team.”

“Rainbow’s division of neonatology has long been revered as the pioneers of the specialty, and with some of the best outcomes in the country for decades and a new state-of-the-future art NICU under construction, we are thrilled to be near the top of this prestigious list,” said Avroy A. Fanaroff, M.D., neonatologist and chairman of pediatrics at Rainbow.

As part of UH’s Vision 2010 strategic plan, Rainbow’s new Quentin & Elisabeth Alexander Neonatal Intensive Care Unit will open in early 2009. The new 40-bed unit will be connected to the current neonatal transitional care unit, and will unite advanced technology, research and clinical services in a home-like environment with private space for parents to sleep at their child’s bedside.

“Although Rainbow has a rich history of excellence in neonatology, we are always looking toward the future, and how we can continue to enhance the care we provide to our babies,” said Michele Walsh, M.D., medical director of the NICU. “Our team approach and family-centered philosophy is at the heart of every decision we make, whether it is a patient care decision or something related to the design of the new unit, we are always working together to do what is best for the baby and striving to advance neonatal medicine. We are very proud to be ranked so highly.”

In 2007, Rainbow also ranked as the #5 best children’s hospital in the country in the inaugural best children’s hospital issue of U.S. News & World Report. Previously, pediatrics was ranked (solely on reputation) as a subspecialty in the best hospitals issue every July. In 2008, they expanded the children’s hospital issue, conducted a thorough survey of outcomes and volumes at the children’s hospitals and ranked six subspecialties within pediatrics — cancer, digestive disorders, heart & heart surgery, neonatal care, neurology & neurosurgery and respiratory disorders.

   Rainbow ranked #5 overall and as follows for additional specialties:   #9 -- Neurology/Neurosurgery   #10 -- Respiratory Disorders   #21 -- Digestive Disorders   #23 -- Cancer   #24 -- Heart & Heart Surgery   

A complete list of the children’s hospital rankings will be published in the June 9 issue of U.S. News & World Report (which hits newsstands on June 2). The issue will include a feature story about Rainbow’s expertise in neonatology. The rankings are available online at http://www.usnews.com/pediatrics .

About Rainbow Babies & Children’s Hospital

For 120 years, Rainbow Babies & Children’s Hospital at University Hospitals Case Medical Center has been dedicated solely to the care of children. As one of the most renowned pediatric medical centers and a principal referral center for Ohio and the region, Rainbow physicians will receive more than 200,000 patient visits annually. The 244-bed hospital is home to 850 pediatric specialists and 40 special care centers including Centers of Excellence in oncology, neonatology, pulmonology, cardiology, neurology and endocrinology. There is a full complement of pediatric surgical specialists who focus on minimally invasive techniques as well as an outstanding program in bloodless surgery. As a teaching affiliate of Case Western Reserve University School of Medicine, Rainbow trains more than 100 pediatricians each year and consistently ranks among the top children’s hospitals in research funding from the National Institutes of Health.

Rainbow Babies & Children’s Hospital at University Hospitals Case

CONTACT: Amanda Todorovich, Rainbow Babies & Children’s Hospital atUniversity Hospitals Case Medical Center, +1-216-767-8543,[email protected]

Web site: http://www.usnews.com/pediatricshttp://www.uhhospitals.org/

New Jersey Dermatologist Volunteers Show Golf Enthusiasts How to Play Safe in the Sun

CLIFTON, N.J., May 29 /PRNewswire/ — To promote sun safety and skin cancer prevention among golf enthusiasts, who face heightened risks of developing skin cancer due to prolonged sun exposure, dermatologists representing the Women’s Dermatologic Society (WDS) provided free skin cancer screenings and sun damage assessments at the recent LPGA’s Sybase Classic Presented by ShopRite in Clifton, New Jersey. This event marked the debut of a 3-year community service campaign geared for outdoor enthusiasts, supported by L’Oreal USA.

   (Photo:  http://www.newscom.com/cgi-bin/prnh/20080529/AQTH092)   (Logo:   http://www.newscom.com/cgi-bin/prnh/20080508/AQTH063LOGO)  

WDS member and New Jersey dermatologist Naomi Lawrence, MD hosted the “Play Safe in the Sun” outreach event. Dr. Lawrence, board-certified in dermatology and dermatopathology, is Director of Procedural Dermatology, Cooper University Hospital. The WDS volunteer team provided free skin cancer screenings, sun damage assessments, sun safety educational materials and free sunscreen to tournament spectators over the weekend. In addition, volunteers conducted private skin cancer screenings of LPGA Tour players, a record number of male caddies and several members of the media.

The following local dermatologists volunteered for the skin cancer screenings and sun safety outreach: Naomi Lawrence, MD, (event chair), Cheryl Ackerman, MD, Adrian Connolly, MD, Ellen Cunningham, MD, Jason Marquart, MD and Suzanne Sirota-Rozenberg, DO.

Other volunteers who provided support during the outreach included: Suzie Davidowitz , Paul Fehn, Kelli Rodriguez, and Paul Rubino (all from L’Oreal USA); Thomas Moog (Canfield Imaging Systems); Vanessa DiSalvo, Joe Mamola, Mike Pinto, Blair Shepard and Sean Wilson (all from Medicis).

   Highlights from the event include:   --  90 sun damage assessments provided to the public, resulting in a       majority of people who said they would change their habits after       viewing their sun damage with the ultraviolet reflectance camera unit.   --  15 LPGA Tour Players and 20 male caddies (a record number)       participated in the skin cancer screenings.   --  One caddie's story of a suspected melanoma led to a New York Times       article about the importance of skin cancer prevention for golfers.       http://www.nytimes.com/2008/05/19/sports/golf/19golfsun.html   --  17 members of the Media underwent sun damage assessments and skin       cancer screenings.   --  69 golf fans were screened during the rainy golf weekend.   --  35% of all people screened were referred to dermatologists for further       diagnosis/biopsy of suspicious sites presumptively diagnosed as skin       cancer.   --  Despite inclement weather, 22,000 samples of broad-spectrum sunscreen       were distributed to the public with the message, "use on sunny or       cloudy days!"   --  Clifton, New Jersey Mayor James Anzaldi presented WDS with a       proclamation in recognition of the organization's effort to promote       skin cancer prevention and sun safety awareness in the community       through "Play Safe in the Sun."

In addition to funding support from L’Oreal USA, product donations for the public, players and members of the media were provided by several of L’Oreal USA’s brands, including Garnier, Kiehls, SkinCeuticals and La Roche Posay.

The WDS national campaign, is co-chaired by WDS members Adrienne Stewart, MD (Denver, CO) and Michel McDonald, MD (Nashville, TN). The service effort draws from the Society’s 1,500 dermatologist members to provide volunteer support in local communities to heighten sun safety awareness and promote healthy skin practices among outdoor sports enthusiasts. WDS will next present Play Safe in the Sun at the upcoming McDonald’s LPGA Championship in Havre de Grace, Maryland, June 6-8, 2008 and later this season in Portland, Oregon and Half Moon Bay, California. WDS will premiere its sun safety outreach in the world of professional tennis at the Pilot Pen Classic in New Haven, Connecticut in August. For further information, please visit: http://www.playsafeinthesun.org/ or http://www.womensderm.org/.

The Women’s Dermatologic Society supports the careers and professional development of women dermatologists. The mission of the Women’s Dermatologic Society is to help women in dermatology achieve their greatest personal and professional potential by striving to: foster, promote, and support women’s issues in dermatology; identify, train, and recognize women leaders in dermatology; and provide a forum for developing relationships.

Photo: NewsCom: http://www.newscom.com/cgi-bin/prnh/20080529/AQTH092Logo: http://www.newscom.com/cgi-bin/prnh/20080508/AQTH063LOGOAP Archive: http://photoarchive.ap.org/PRN Photo Desk, [email protected]

The Women’s Dermatologic Society

CONTACT: Kerry parker, 1-877-WDS-ROSE, (937-7673), or media, NancyFitzGerald, +1-760-333-9296, both for The Women’s Dermatologic Society

Web site: http://www.womensderm.org/http://www.playsafeinthesun.org/

Psychologist Gives Rare Insight Into the Mind of World-Renowned Artist Frida Kahlo

Her iconic paintings, deeply personal yet universally powerful, continue to resonate with throngs of people despite her death over 50 years ago. Now, a new book looks into the life, times — and mind — of Frida Kahlo, the troubled Mexican artist who was one of the 20th century’s most important painters.

The book, Salomon Grimberg’s “Frida Kahlo: Song of Herself,” includes a psychological assessment of Kahlo by Dr. James B. Harris, a psychologist at Presbyterian Hospital of Dallas. The evaluation is based on results from psychological tests Kahlo underwent before her death in 1954.

“It’s unprecedented in the history of the art world to have an internationally known artist of Frida Kahlo’s caliber disclose her psychological testing,” Dr. Harris said. “The tests reveal that she suffered deep emotional pain, but her talent and temperament allowed her to create world-class art. It still resonates with people today.”

An exhibit of Kahlo’s work is currently on tour in North America, organized in celebration of the 100th anniversary of the artist’s birth. It’s the first major Kahlo exhibition in the United States in nearly fifteen years.

Kahlo’s extraordinary life, which included tumultuous personal relationships, a near-fatal bus accident and chronic health conditions, all depicted and transcended in her remarkable paintings, has been examined in other works. Until “Song of Herself,” though, no psychological evaluation had been published to show how her psychology contributed to Kahlo’s creative genius.

This first-ever analysis begins to shed light on some of the art world’s most basic questions, Dr. Harris said.

“That’s the great mystery of art,” Dr. Harris said. “Powerful paintings have an energy that leaps off the canvas. Where does that energy come from and how does an artist’s personality, and perhaps their own struggles with mental health, help create their art and that energy? For many artists, their work is a way of processing their pain. They tap into something greater than themselves.”

Kahlo began painting in 1926, while recovering from the bus accident. Her work is known for vibrant colors, powerful compositions, and revealing depictions of intensely personal struggles — the traumatic accident, her ongoing health problems, miscarriages, and her tumultuous relationship with her husband.

Her blunt style, influenced by Mexican folk art, and unique imagery earned her recognition among the Surrealists, according to the San Francisco Museum of Modern Art, but her intriguing persona and unmistakable originality propelled her beyond the confines of a specific movement to become a leading figure in the history of modern art.

From rock legend Kurt Cobain to painter Vincent Van Gogh, the troubled lives of legendary artists have been relegated to speculation, rumor and anecdotal analyses based on cursory personality traits, Dr. Harris said.

“There’s no way to watch them going down the red carpet or performing on stage and truly understand anything meaningful about their mental health,” he said. “Now, readers and art lovers can delve inside the mind of one of history’s most accomplished artists and begin to understand how an artist’s personality, personal experiences and mental health affect their work.”

Dr. Harris’ chapter is based on a series of psychological tests — the Rorschach Inkblot Test, Thematic Apperception Test, Bleuler-Jung Test, and Szondi Test — that were administered by her friend and student of psychology Olga Campos. The results show a troubled, complicated artist who corralled personal demons and an epic creative genius to produce some of the most powerful art of the last 150 years.

“(Her) struggle to sustain her sense of self, particularly in the area of self-regard, meant that she worked extra hard to be highly admired, thus sacrificing emotional depth and genuine empathy,” Dr. Harris writes. “Her struggle, which could be resolved only if addressed from within, never ended. Despite the richness of her internal world, as well as the world that surrounded her, Kahlo lived without working through her overwhelming dependency, doomed to perceive others as unreliable, and herself as incomplete.” Dr. Harris views Kahlo as heroic in her struggles, documented through her iconic art, and now through her psychological testing.

 Contact: Stephen O'Brien Public Relations manager 214.345.4960 214.759.2584 (Pager) [email protected]

SOURCE: Presbyterian Hospital of Dallas

Space Station Toilet Parts Set for Liftoff

The countdown clock began ticking Wednesday afternoon for Saturday’s space shuttle launch and no one will likely be happier to see an on-time liftoff than crew members of the International Space Station orbiting 220 miles above the Earth.

That’s because the space station’s 7-year-old Russian toilet went on the fritz last week and the shuttle will be carrying the parts to fix it.

But the rush for the flush is not the big task. The main mission of the seven-member Discovery crew is to deliver a 37-foot-long, 15-ton pressurized module, the latest segment of the Japanese space science laboratory called “Kibo,” a Japanese word for “hope.” It is the size of a school bus and several people at a time could work on experiments in the lab.

Nevertheless it was a much smaller piece of cargo, a 29-pound gas liquid separator pump for the toilet, that was getting attention Wednesday.

Such pumps aren’t something you can pick off the shelf of a local home repair store.

On Wednesday, the 18-inch by 8-inch pump was put on a commercial airliner and hustled across the Atlantic in a diplomatic pouch from Russia, all the time shepherded by a NASA worker.

If all goes well, astronauts will install the new pump, part of the system that processes urine from the three space station astronauts.

The toilet for solid waste is working fine, said NASA spokesman John Yembrick, and the astronauts can use a toilet on a Russian space ship attached to the space station or store their urine in waste collection bags.

“Clearly, having a working toilet is a priority for us,” NASA payload manager Scott Higginbotham said at the Kennedy Space Center.

The potty parts were scheduled to arrive at the Orlando International Airport then rushed to the Kennedy Space Center, where technicians will put them aboard Discovery as a last-minute addition.

To make room for the pump and other fixtures, technicians are removing some tools and equipment already stored in the shuttle.

The shuttle is expected to lift off at 5:02 p.m. Saturday.

Cost of Premium Deck Wood Pays Off

By Gene Austin

McClatchy Newspapers

Q. I plan to build a simple deck at the back of my house this summer, using pressure-treated wood. What should I look for when buying the wood? Also, how much space should I leave between deck boards for drainage? – Ralph

A. You should shop for premium-grade wood that has been properly dried after the preservation treatment. Using premium wood will result in less shrinkage, warping, cracking and other problems that often result when very wet wood is used. Look for a grade stamp on the wood with the initials KD (kiln dried) or KDAT (kiln dried after treatment).

Premium grades of pressure-treated wood are usually easier to find at lumber yards than at home centers. In addition to being drier, premium wood generally has fewer knots, resulting in a better looking deck. Kiln-dried wood is also lighter in weight and easier to handle than moisture-soaked boards. This top-grade wood will cost more, but the problems you will avoid will make it well worth it. For more information on what grade stamps can tell you when buying pressure-treated wood, visit www.southernpine.com and click on Pressure Treated, then User Guidance.

Some deck builders leave a small space of about 1/16-inch between deck boards, using a nail as a spacer. However, I recommend butting the sides of the boards together, not leaving any space. Even if you use kiln-dried wood, it will contain enough moisture to shrink after installation, which will automatically open up a small space between boards for drainage. If you start with a space, shrinkage can sometimes make it so wide that the space can catch sharp heels and cause tripping.

Q. Should we seal the two vents in the walls of the crawl space under our house? The space has a dirt floor covered with a vapor barrier and the ceiling is insulated. We have had conflicting advice about whether to leave the vents open or close them. What do you think? – A. Moser

A. Whether the crawl space should be vented depends on the climate in your area. The purpose of the vents is to allow outside air to circulate in the crawl space, reducing moisture condensation that could cause mold and rot. This works well in many areas, especially in drier northern climates. However, if there is often high relative humidity in your area in summer, the outside air that enters the crawl space can actually increase the chances of condensation in the cooler crawl space (this happens in some southern states).

Automatic crawl space vents that open and close with changing humidity are available, but they are rather expensive and hard to find. Since you are in doubt, try this: If you have been leaving the vents open in summer, examine the crawl space for signs of mildew or condensation on cold metal surfaces. If the space appears dry and mold free, I think you should continue to leave the vents open. If you find traces of mildew or condensation, try closing the vents for a few months. Examine the crawl space periodically to see if the problems have ceased (existing mildew can be removed with a chlorine- bleach solution or one of the special mildew cleaners sold at home centers). Monitoring the crawl space should help you determine how to adjust your vents. You might also consult with local building- code officials to see if there are any special recommendations for your area.

Doggie boots

A clever and practical suggestion for eliminating dog scratches on hardwood floors came from Carol L., who owns a dog named Maggie and whose house has hardwood floors throughout her home. She said Maggie dons rubber-soled dog boots when she enters the house, and the hardwood floors remain undamaged. The dog also doesn’t slip on the slick wood surfaces. Dog boots can be bought at some pet stores or at www.petboots.com.

Questions and comments should be e-mailed to Gene Austin at [email protected]. Send regular mail for Gene Austin to 1730 Blue Bell Pike, Blue Bell, PA 19422.

(c) 2008 Sunday Gazette – Mail; Charleston, W.V.. Provided by ProQuest Information and Learning. All rights Reserved.

Southeast Texas Biomedical Research Institute Announces Ambitious Plan: Build Biomedical Research Center and Medical School Northeast of Houston

They think big in Texas. A distinguished group of physicians and medical researchers have announced an ambitious plan to build a state-of-the-art biomedical research institute and medical school in Cleveland, Texas, northeast of Houston.

The Southeast Texas Biomedical Research Institute is the brainchild of Houston cardiologist Glover O.L. Johnson, Jr., who serves as its chairman. The tall, gregarious African-American physician, an Army veteran, is passionate in the pursuit of his dream, which has the following objectives:

— Introduce breakthrough technologies for the detection, monitoring and eventual cure of emerging diseases, such as HIV/AIDS and Ebola;

— Train healthcare professionals from Third World nations to implement effective and efficient disease countermeasures;

— Conduct a multi-year study of cardiovascular disease among underserved populations in Southeast Texas;

— Build and staff a premier medical school that will actively recruit qualified minority students to address the acute shortage of physicians in the United States.

“The medical concerns we intend to address through the institute are important to all Americans,” Johnson notes. “Many life-threatening diseases such as HIV/AIDS originate in less developed countries but eventually migrate to the United States and the first line of defense is in those nations.

“Heart disease remains the leading cause of death in our country, causing more than 650,000 fatalities a year. Multi-generational studies of cardiovascular disease that are ongoing in various parts of the country have led to significant advances in prevention and treatment, and our program in Southeast Texas should lead to similar breakthroughs.”

Johnson says immigrants are helping address physician shortages in the United States, “but we have a huge untapped resource right here in America in our minority populations. Only three percent of all students accepted in U.S. medical schools are African-American and fewer than 10 percent of physicians in our region are African-American, Hispanic or Native American. When you have a serious illness, you need a qualified physician to cure you–the doctor’s race is not a factor.”

Johnson and his Board have obtained endorsement from prominent medical researchers and practitioners, as well as the enthusiastic support of the City of Cleveland. A major fundraising effort is under way, with a Gala planned for Sept. 27 in Houston. The group will host a wine and cheese reception for interested parties on May 28 from 6 p.m. to 9 p.m. at the Red Cat Jazz Cafe, 924 Congress Street, in downtown Houston. More on the institute is available on its Web site, www.setbri.org.

Call for Allergy Warning Labels on Hair Dyes

By LING, Jenny

AN ALLERGIST is calling for warnings on hair dye labels to highlight the risks of chemical reactions to hair dye.

Vincent Crump, of the Auckland Allergy Clinic, said prolonged use of hair dye, particularly permanent colours, could increase the chance of a severe allergic reaction.

“People need to be aware if you’re going to dye your hair — especially if it’s a permanent dye — that you run that risk,” he said.

Dr Crump’s comments come after The Dominion Post reported Hamilton woman Pam Douglas’ bad reaction to hair dye. Yesterday other women came forward wanting to warn others of the effects.

Auckland finance analyst Rosemary Fuller suffered swelling to her face after a permanent colour was applied at an Auckland salon last month.

The 42-year-old, who has dyed her hair every nine weeks for about 20 years, said she had not had any adverse reactions till 12 months ago when she had an itchy scalp.

But two days after her April visit she woke to find red liquid all over her pillow. “I had a whole lot of scabs all over my head.

“My GP said the dye had got into the open wounds and that got into my bloodstream which caused the swelling. It was a heck of a mess,” she said.

Later that day Ms Fuller and her work colleagues watched in shock as her entire face swelled up sealing shut her eyes. Her doctor gave her strong doses of antihistamines to reduce the puffiness.

Kathy McLauchlan, from Pukerua Bay, said her scalp blistered and her hair fell out in handfuls after applying a semi- permanent colour bought from the supermarket last year. She had the last of it cut out recently and would never colour her hair again, she said.

The chemical most likely to cause adverse reactions is called p- phenylenediamine (PPD). Consumer NZ estimates it is used in two thirds of permanent hair dyes available in supermarkets and pharmacies.

PPD is not on a list of 100 chemicals proposed to be banned from hair dyes being investigated by the Environmental Risk Management Authority. The authority hopes to bring New Zealand into line with European standards.

But the chemical is classified as an extreme sensitiser by the European Commission’s scientific committee on consumer products.

It used to be banned in some European countries but is now allowed to make up 6 per cent of a product, the same concentrations that are allowed here.

However, New Zealand manufacturers do not have to say how much of the chemical is in a product.

Dr Crump said PPD was more of a problem with over-the-counter products. He urged users to perform a patch test before every hair colour.