scholarly journals NEONATOLOGY: EVOLUTION FROM THE PAST TO FUTURE PERSPECTIVES

2019 ◽  
Vol 10 (1) ◽  
Author(s):  
Elisa Laschi ◽  
Serafina Perrone ◽  
Chiara Lembo ◽  
Giuseppe Buonocore

The begin of modern neonatology takes place in the 1940s, when physicians first started to have interest in the newborn so that the primary responsibility for the neonate passed from the obstetricians to the neonatologists. In the 19th century the term premature grouped together the concept of “preterm and weak infants”, meant as babies suffering from poor energy and vitality. The idea that premature infants could be treated was introduced in the second half of the 19th century, when crucial fields signed the basis for neonatal care over the last century, such as thermoregulation, Apgar score, respiratory support, prenatal corticosteroids, metabolic screening and jaundice. From then on, advances in neonatology have resulted in the reduction of infant mortality worldwide. To date, scientific evidences have shown that the environmental conditions experienced in early life can profoundly influence human biology and long-term health. Chemical contaminants in water and diet, tobacco smoke, air pollution, gestational diabetes, hypertension and pre-eclampsia are all conditions that lead to the lowest common denominator oxidative stress. Fetuses and newborns -especially preterm- are particularly susceptible to oxidative stress mediated damage. Recently, the “omics” sciences represent the major area of growing interest and research in neonatology. The analysis of the metabolic profile detectable in a human biological fluid allows to instantly identifying changes in the composition of endogenous and exogenous metabolites caused by the interaction between specific physiopathological states, gene expression, and environment. From metabolomics studies comes the need of individualized and tailored medicine.

2009 ◽  
Vol 13 (1) ◽  
pp. 59-92
Author(s):  
Philipp Bruckmayr

AbstractThe paper is concerned with a long-term perspective on the position of Māturīdi kalām within (mostly) Hanafi Muslim societies from Timurid times to the 19th century. Whereas outright conflict between legal and theological schools was mainly a thing of the past during the time in question with Ash'arism, already fully embraced also by Hanafi constituencies within the ahl al-sunna wa l-jamā'a, a preference for Māturīdi views on specific issues persisted among the majority of Hanafi kalām scholars from Bosnia to South Asia. This state of affairs will be highlighted through recourse to madrasa curricula and theological literature from the era and areas as diverse as Turkey and Southeast Asia. Additionally, it seeks to draw attention to the mechanisms behind the spread and long-term persistence of the school throughout large parts of a Muslim world seemingly dominated by Ash'arism in the sphere of scholastic theology. In this regard, the prevalence of Transoxanian legal tradition within Hanafism and its linkages to Māturīdism, as well as the relationship of Naqshbandi Sufism to the school will be discussed.


2009 ◽  
Vol 30 (5) ◽  
pp. 653-669 ◽  
Author(s):  
Ruben van Gaalen ◽  
Frans van Poppel

The demographic and social processes of the past 150 years have radically changed the number of parents that children grow up with. This article uses two unique data sets to illustrate long-term changes in the living arrangements of children born between 1850 and 1985 in the Netherlands. Changes are described in terms of whether fathers, mothers, and stepparents lived with these children at birth and at age 15. A massive shift occurred in the living arrangements of the 1850-1879 cohort compared with the 1880-1899 cohort of children, and there is only a slight return to 19th-century conditions in the most recent birth cohort. Researchers and politicians should be careful when comparing contemporary family life with the extraordinary situation Western families were in just after World War II. To some degree, contemporary complexities are more comparable to those in the 19th century, although the sources of these complexities are different.


2021 ◽  
Author(s):  
José M. Vaquero

<p>Solar activity is an essential factor for the study of many aspects of the geophysical and astronomical sciences. A very simple measure of solar activity is counting sunspots using telescopes. This task can be done even with small telescopes since the Sun is apparently a very large and luminous star. For this reason, it is possible to rescue the ancient observations of sunspots made in the past centuries to obtain an image of the evolution of solar activity during the last four centuries.</p><p>The first attempt to reconstruct solar activity from these records was made by Rudolf Wolf, who defined the <em>Sunspot Number</em> index in the 19th century. The Zurich Observatory (and later the Brussels Observatory) was in charge of continuing Wolf's work to the present day. In 1998, Hoyt and Schatten presented a new reconstruction of solar activity that was very different from Wolf's reconstruction (Vaquero and Vázquez, 2009). Many of these differences were solved by Clette et al. (2014).</p><p>Currently, research to improve the <em>Sunspot Number</em> is focused on (i) improving the database by reviewing old observations, and (ii) improving the methodologies to convert raw data into the <em>Sunspot Number</em> index. In this work, we try to present the latest advances in this task (Muñoz-Jaramillo and Vaquero, 2019; Arlt and Vaquero, 2020).</p><p> </p><p>References</p><p>Arlt, R., Vaquero, J.M. (2020) Living Reviews in Solar Physics 17, 1.</p><p>Clette, F. et al. (2014) Space Science Reviews 186, 35.</p><p>Muñoz-Jaramillo, A., Vaquero, J.M. (2019) Nature Astronomy 3, 205.</p><p>Vaquero, J.M. and Vázquez, M. (2009) The Sun recorded through history (Springer).</p>


Buildings ◽  
2021 ◽  
Vol 11 (1) ◽  
pp. 27
Author(s):  
Klara Kroftova

An urban residential building from the second half of the 19th century and the start of the 20th century, the so-called tenement house, is a significant representative of the architecture of the developing urban fabric in Central Europe. The vertical and horizontal load-bearing structures of these houses currently tend to show characteristic, repeated defects and failures. Their knowledge may, in many cases, facilitate and speed up the design of the historic building’s restoration without compromising its heritage value in this process. The article presents the summary of the most frequently occurring defects and failures of these buildings. The summary, however, is not an absolute one, and, in the case of major damage to the building, it still applies that, first of all, a detailed analysis of the causes and consequences of defects and failures must be made as a basic prerequisite for the reliability and long-term durability of the building’s restoration and rehabilitation. An integral part of the rehabilitation of buildings must be the elimination of the causes of the appearance of their failures and remediation of all defects impairing their structural safety, health safety and energy efficiency.


Author(s):  
Marcelo Luiz Carvalho Gonçalves ◽  
Cassius Schnell ◽  
Luciana Sianto ◽  
Francoise Bouchet ◽  
Mathieu Le Bailly ◽  
...  

The identification of parasites in ancient human feces is compromised by differential preservation of identifiable parasite structures. However, protein molecules can survive the damage of the environment. It was possible to detected antigen of Entamoeba histolytica and Giardia duodenalis in historic and prehistoric human fecal remains using two enzyme immunoassay (ELISA) kits with monoclonal antibodies specific for E. histolytica and G. duodenalis, respectively. Specimens of desiccated feces and ancient latrine sediment from the New and the Old World were examined. The ELISA detected E. histolytica antigen in samples from Argentina, USA, France, Belgium, and Switzerland, dated to about 5300 years BP to the 19th Century AD. G. duodenalis antigen was detected in samples from USA, Belgium, and Germany, dated to about 1200 AD, 1600 AD, and 1700 AD. The detection of protozoan antigen using immunoassays is a reliable tool for the study of intestinal parasites in the past.


Author(s):  
Sergio Sabbatani ◽  
Luca Ansaloni ◽  
Massimo Sartelli ◽  
Federico Coccolini ◽  
Salomone Di Saverio ◽  
...  

Risk of infection remains a major concern for surgeons. The expansion of surgery towards the end of the 19th century determined a noticeable increase in septicemia and gangrene, and surgeons developed various techniques to limit them. In a previous publication, we reminded our readers of one of the gems of Italian surgery, Dr. Giuseppe Ruggi, who operated in Bologna from the end of 19th to the beginning of the 20th century. To him we owe the introduction and dissemination of the antiseptic method in Bologna. His scientific activity continued with Dr. Benedetto Schiassi, his successor. The techniques used to avoid microbial contamination by the Italian surgeon Dr. Schiassi, are particularly interesting, as Schiassi’s tentorium is still useful. Despite advances in surgical technologies, many innovations to prevent infection in surgery proposed in the past are still relevant today.


2017 ◽  
Vol 6 (2) ◽  
pp. 135-140
Author(s):  
Constantin Vadimovich Troianowski

This article investigates the process of designing of the new social estate in imperial Russia - odnodvortsy of the western provinces. This social category was designed specifically for those petty szlachta who did not possess documents to prove their noble ancestry and status. The author analyses deliberations on the subject that took place in the Committee for the Western Provinces. The author focuses on the argument between senior imperial officials and the Grodno governor Mikhail Muraviev on the issue of registering petty szlachta in fiscal rolls. Muraviev argued against setting up a special fiscal-administrative category for petty szlachta suggesting that its members should join the already existing unprivileged categories of peasants and burgers. Because this proposal ran against the established fiscal practices, the Committee opted for creating a distinct social estate for petty szlachta. The existing social estate paradigm in Russia pre-assigned the location of the new soslovie in the imperial social hierarchy. Western odnodvortsy were to be included into a broad legal status category of the free inhabitants. Despite similarity of the name, the new estate was not modeled on the odnodvortsy of the Russian provinces because they retained from the past certain privileges (e.g. the right to possess serfs) that did not correspond to the 19th century attributes of unprivileged social estates.


2011 ◽  
Vol 139 (suppl. 1) ◽  
pp. 6-9 ◽  
Author(s):  
Milutin Nenadovic

Discordances of harmonic mental functioning are as old as the human kind. Psychopathological behaviour of an individual in the past was not treated as an illness. That means that psychopathology was not considered an illness. In all past civilizations discordance of mental harmony of an individual is interpreted from the physiological aspect. Psychopathologic expression was not considered an illness, so social attitudes about psychiatric patients in the past were non-medical and generally speaking inhuman. Hospitals did not follow development of medicine for admission of psychiatric patients in past civilizations, not even in the antique era. According to historic sources, the first hospital that was meant for mental patients only was established in the 15th century, 1409 in Valencia (Spain). Therefore mental patients were isolated in a special institution-hospital, and social community rejected them. Only in the new era psychopathological behavior begins to be treated as an illness. Therefore during the 19th century psychiatry is developed as a special branch of medicine, and mental disorder is more and more seen according to the principals of interpretation of physical illnesses. By the middle of the 19th century psychiatric hospitals are humanized, and patients are being less physically restricted. Deinstitutialisation in protection of mental health is the heritage of reforms from the beginning of the 19th century which regarded the prevention of mental health protection. It was necessary to develop institutions of the prevention of protection in the community which would primarily have social support and characteristics.


2020 ◽  
Vol 9 (73) ◽  

This research covers an examination of the effects of the ongoing war in Palestine on artists of Palestinian origin and their works that can be considered as “uprising (intifada)”. Although the beginning of the Palestine-Israel conflict can be dated back to the end of the 19th century, the turning point has been known as 1948 when the State of Israel was officially declared. While the year 1948 means victory for the Israelis, this date was imprinted on the memories of the Palestinians as a “Catastrophe (nakba in Arabic)”. The First Palestinian Intifada (uprising), which took place twice in Palestine from 1987 to 1993 (the period from the signing of the Oslo Accords and the Palestinian uprising against the occupation of Palestinian lands), the second Palestinian Intifada (uprising) from September 2000 to 2005 and the interim periods when the artists came to the fore with their works were evaluated within the scope of the uprisings. Artists who attempt to trace the traces of individual and social war memory, notably those such as Mona Hatoum, Emily Jacir and Dana Awartani, were addressed within the scope of the research on the works of artists of Palestinian origin. As a result, the works of artists, who have been continuing in Palestine from the past to the present and cannot easily isolate themselves from the conflicts, will take their place in art history as the anatomy of an occupied society by war. Keywords: war, art, Intifada art, Palestinian artists, occupation


Sign in / Sign up

Export Citation Format

Share Document