Friday, February 16, 2024

 

A flicker of truth: Piercing the “continuity illusion”


Peer-Reviewed Publication

CHAMPALIMAUD CENTRE FOR THE UNKNOWN

A Flicker of Truth: Piercing the “Continuity Illusion” 

IMAGE: 

SCIENTISTS AT THE CHAMPALIMAUD FOUNDATION HAVE IDENTIFIED A BRAIN AREA THAT MAY BE KEY TO THE "CONTINUITY ILLUSION”, ENABLING US TO PERCEIVE RAPID SEQUENCES OF STILL IMAGES AS SEAMLESS MOTION, ESSENTIAL FOR EVERYDAY EXPERIENCES LIKE WATCHING MOVIES.

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CREDIT: FREDERICO SEVERO




A study by a team at the Champalimaud Foundation (CF) has cast a new light on the superior colliculus (SC), a deep-seated brain structure often overshadowed by its more prominent cortical neighbour. Their discovery uncovers how the SC may play a pivotal role in how animals see the world in motion, and sheds light on the “continuity illusion”, an essential perceptual process integral to many of our daily activities, from driving vehicles to watching movies.

Imagine watching a film. The moving images you see are actually a series of static frames shown rapidly. This is the continuity illusion at work, where our brain perceives a sequence of quick flashes as continuous, smooth motion. It’s a phenomenon not just vital to our enjoyment of films but also a fundamental aspect of how all mammals, from humans to rats, perceive the dynamic world around them. This study from the CF’s Shemesh Lab, published in Nature Communications, delves into how this illusion is encoded in the brain.

The speed at which flashes must occur for our brain to see them as constant rather than flickering is known as the Flicker Fusion Frequency (FFF) threshold. This threshold varies among animals; for instance, birds, which need to see fast movements, have a higher threshold than humans, which means they can still perceive light as flickering, rather than continuous, even when it’s blinking very rapidly. The FFF threshold is also important in nature, such as in predator-prey interactions, and can be affected by certain diseases like liver disorders or eye conditions like cataracts.

Interestingly, different methods of measuring this threshold, like observing animal behaviour or recording electrical activity in the eyes or the cortex (the brain’s outer layer that processes what we see), can give different results. This suggests that other parts of the brain also play a role in how we perceive flickering light. In this study, researchers combined functional MRI (fMRI) brain scans, behavioural experiments, and electrical recordings of brain activity to understand how this process works. Their findings indicate that the SC is vital in the transition from seeing individual flashes to smooth motion, and that it may be a key component in the creation of the continuity illusion.

A Three-pronged Attack

“This project was really a ground-up endeavour, and began as a conversation between two PhD students at CF”, notes Noam Shemesh, senior author of the study. “Rita Gil, a student in my lab, was exploring the rat brain’s responses to different light frequencies with MRI. Her discussions with Mafalda Valente, in the lab of Alfonso Renart, led to the development of a behavioural task in which rats were trained to distinguish between flashes and continuous light. Using the MRI and behavioural data, they also recorded the brain’s electrical activity during light stimulation. This approach enabled them to measure and compare FFF thresholds using three distinct methods: MRI, behavioural experiments, and electrophysiology. This multimodal approach is quite rare, and is really what sets this study apart. We’re also grateful to Alfonso Renart for the interesting discussions that contributed to this research”.

For the fMRI experiments, rats were shown visual stimuli at frequencies ranging from low to high. To minimise movement and ensure stable brain imaging, the animals were lightly sedated. “fMRI is a non-invasive technique that tracks changes in blood flow, which are indicative of neural activity in the brain”, explains Gil. “One of the advantages of fMRI is its ability to map brain activity throughout the entire visual pathway, simultaneously capturing activity from multiple regions”. The goal was to observe how the brain shifts from perceiving individual flashes of light (static vision) to a continuous flow of light (dynamic vision), and to pinpoint the brain regions involved.

“When we looked at the SC”, says Gil, “we found markedly different responses based on the frequency of visual stimuli. As the frequency of the visual stimulus increased, moving towards continuous light perception, there was a shift in the SC’s response from positive to negative fMRI signal regimes”. Positive signals reflect increased neural activity, while negative signals potentially signify the opposite. Based on these observations, a hypothesis began to form: might the transition from static to dynamic vision in the continuity illusion involve the suppression of activity in the SC?

To answer this question, they next turned to behavioural experiments. Rats were trained in a specially designed box, where they learned to go to one side port if they perceived the light as flickering, and to the other if they perceived it as continuous. Correct choices were rewarded with water to reinforce the learning. By varying the light frequencies displayed, the team recorded at which point the rats perceived the flickering light as continuous. When they compared the behavioural data with the fMRI data, they made a surprising discovery: the change from positive to negative fMRI signals in the SC at certain frequencies matched the frequencies at which rats behaviourally perceived the shift from flickering to continuous light.

Given that the SC showed the strongest correlation between behaviour and fMRI data compared to other brain areas, the researchers targeted it for electrophysiological recordings, directly measuring the electrical activity of its neurons. They used light sedation to maintain consistency with the fMRI conditions. Their aim was to better understand the specific neural mechanisms involved when rats perceive flickering versus continuous light. Did the positive and negative signals detected in fMRI correspond to neural activity and suppression, respectively, as they had hypothesised?

At low light frequencies where rats discerned individual flashes, the researchers observed increased neural activity corresponding to each flash. At higher frequencies perceived as continuous light, the neural responses to these individual flashes diminished, and instead, there were more pronounced responses at both the start and the end of the light stimulation. Notably, there was a marked suppression of neural activity in between these initial (onset) and final (offset) peaks.

Valente notes, “Our measurements of electrical activity in the SC aligned well with our fMRI data, which exhibited onset and offset peaks surrounding the negative signals at higher frequencies. These electrophysiological recordings support the notion that the positive and negative signals recorded in fMRI do indeed represent neural activity and suppression, respectively. It seems that this suppression happens when animals enter a state of dynamic vision mode, potentially serving as a key contributor to flicker fusion and the continuity illusion”.

Reflecting on the study, Valente shares, “What really surprised us was how closely the fMRI signals in the SC matched the behavioural data, even more than those in the cortex, which is typically seen as the main visual processing area in mammals. Equally striking was to find the same patterns in the SC even after we had intentionally disabled the cortex, suggesting that these signals originate in the SC itself and are not just a result of activity from the cortex”.

Gil continues, “This points to the SC’s role as a novelty detector. For instance, at lower light frequencies, each flash seems to be processed as a new event by the SC. But as the frequency increases beyond a certain point, the SC appears to decide the stimulus is no longer new or noteworthy, leading to reduced activity. This could account for the pattern of increased activity at the start and end of high-frequency stimulation, with periods of suppression in between”.

Implications and future directions

“Our findings provide a roadmap for how neuroscience experiments could be conducted in the future”, concludes Shemesh. “By initially using fMRI to present stimuli, researchers can efficiently pinpoint which brain regions to focus on for more detailed electrophysiological studies. This approach not only saves time and resources but also capitalises on fMRI’s strength in reflecting the population activity of brain regions. While it doesn’t offer the granular detail of single-cell activity, fMRI’s ability to show the bigger picture – whether there’s more brain activation or suppression – makes it a valuable first step in guiding subsequent experiments”.

The authors believe that their findings hold relevance for clinical applications. In cases of individuals with visual impairments, optic nerve diseases, or conditions like autism and stroke, this study offers new avenues for both assessment and potential treatment of visual dysfunctions. By determining and comparing FFF thresholds in these individuals against those in healthy populations, and observing how these thresholds evolve, it may be possible to gauge the adaptability of specific brain regions. This could lead to an understanding of which areas of the brain remain amenable to treatment, paving the way for the development of targeted therapeutic interventions.

Looking ahead, the researchers aim to identify which specific cell types in the SC are responsible for the activities they observed. Their broader objective is to deepen our comprehension of the roles of various brain regions within the visual pathway, combining experimental techniques such as targeted lesions or visual deprivation along with MRI studies. These strategies promise to provide a deeper insight into the adaptability and function of visual regions, refining our current model of how each area contributes to visual perception. So, the next time you’re watching a movie, experiencing the illusion of fluid motion from the rapid succession of frames, spare a thought for the intricate processes at play in your brain, and for the ongoing research efforts to unravel them.

 

Research grant aimed at improving wastewater monitoring for diseases in rural Appalachian communities


Testing wastewater to assess the spread of the COVID-19 virus became common and well-publicized during the pandemic, but it has been focused mostly on urban areas


Grant and Award Announcement

VIRGINIA TECH





Testing wastewater to assess the spread of the COVID-19 virus became common and well-publicized during the pandemic, but it has been focused mostly on urban areas.

The Appalachian Regional Commission (ARC) has awarded $400,000 to Virginia Tech, with an additional $50,000 to Virginia Tech from the Virginia Department of Health, for a two-year project to identify and implement improved and new methods to detect pathogens for multiple diseases in the wastewater of rural communities.

“My work and research have primarily been focused on rural areas, and prior to the pandemic, most of my research was on drinking water and health-related challenges,” said Alasdair Cohen, assistant professor of environmental epidemiology in the Department of Population Health Sciences at the Virginia-Maryland College of Veterinary Medicine

Cohen is the principal investigator on this new project that will build on research Cohen’s team has been conducting since 2022 in collaboration with a wastewater utility in Southwest Virginia and led by Amanda Darling, a Ph.D. student in Cohen’s group. 

“Dr. Cohen does important work on drinking water and health, locally and globally,” said Laura Hungerford, head of the Department of Population Health Sciences. “During COVID, he jumped in to help develop improved methods for wastewater surveillance. This let the university and Virginia better track and manage diseases. With ARC funding, he and his community partners will bring this science to benefit rural communities.”

Early in the pandemic, Virginia Tech researchers in the College of Engineering began testing campus wastewater for COVID-19Cohen was part of this team and led the statistical analyses of the data, finding that they were able to predict future COVID-19 cases at scales as small as one residence hall. The team published its findings in the journal Environmental Science and Technology Water, and this campuswide research collaboration also piqued Cohen’s interest in the use of wastewater surveillance in rural settings. 

He is joined in the ARC grant by two co-investigators from the Charles E. Via, Jr. Department of Civil and Environmental Engineering in the College of EngineeringAmy Pruden, University Distinguished Professor in Civil and Environmental Engineering, and Peter Vikesland, the Nick Prillaman Professor in civil and environmental engineering, as well as Leigh-Anne Krometis, associate professor of biological systems engineering in the College of Agriculture and Life Sciences.

Concurrent with the grant funding, Cohen’s team recently published “Making Waves: The Benefits and Challenges of Responsibly Implementing Wastewater-based Surveillance for Rural Communities” in the journal Water Research. The article calls attention to the potential public health benefits of wastewater surveillance for rural communities and to methodological and ethical challenges that Cohen and his colleagues are working to address.

“ARC’s grant of $400,000 will help Virginia Tech expand their work to detect pathogens in wastewater from rural communities,” U.S Rep. Morgan Griffith said in a press release announcing the grant. “This work is aimed at improving our country’s public health through better community health monitoring and outbreak forecasting.” 

The Virginia Department of Health (VDH) monitors wastewater at sites across the commonwealth for pathogens causing COVID-19, influenza A, influenza B, hepatitis A and respiratory syncytial virus. The department found though that results from some smaller rural communities are challenging to interpret. 

“This project aims to complement VDH's efforts in using wastewater-based surveillance to advance public health in rural towns in Appalachian Virginia,” said Rekha Singh, the department's Wastewater Surveillance Program manager. “The VDH has initiated wastewater surveillance for COVID-19 in communities statewide since September 2021. This new project will help identify the best practices for sampling in small communities and will assist VDH in implementing effective wastewater surveillance in similar communities.”

Infrastructure is often part of the challenge in testing rural wastewater, Cohen said. 

“You have fewer people but over a larger space, so you have more wastewater collection infrastructure per person than you would in an urban setting,” Cohen said. “Many rural towns, and especially older rural towns, are going to have sewage collection infrastructure with a lot of breaks and cracks in the pipes. That means sewage could get out into the ground and it means water can get into the pipes.”

Especially after periods of heavier rain, runoff seeping into sewage systems could dilute the results of wastewater testing in rural areas. It can also mean tax dollars down the drain with sewage plants treating rainwater alongside wastewater.

“We have enough preliminary data from our pilot research to show that this can be a problem,” Cohen said.

The grant will allow Cohen’s team to take on wastewater surveillance in new Southwest Virginia communities, gaining efficiency as experiences from prior studies are applied.

“The goal is we want to try to develop an approach so that rural utilities and public health agencies can determine if wastewater surveillance is something that makes sense for a given rural community,” Cohen said. “And if so, how could it best be implemented?”

 

First human trial shows ‘wonder’ material can be developed safely


A revolutionary nanomaterial with huge potential to tackle multiple global challenges could be developed further without acute risk to human health, research suggests


Peer-Reviewed Publication

UNIVERSITY OF EDINBURGH





A revolutionary nanomaterial with huge potential to tackle multiple global challenges could be developed further without acute risk to human health, research suggests. 

Carefully controlled inhalation of a specific type of graphene – the world’s thinnest, super strong and super flexible material – has no short-term adverse effects on lung or cardiovascular function, the study shows. 

The first controlled exposure clinical trial in people was carried out using thin, ultra-pure graphene oxide – a water-compatible form of the material. 

Researchers say further work is needed to find out whether higher doses of this graphene oxide material or other forms of graphene would have a different effect. 

The team is also keen to establish whether longer exposure to the material, which is thousands of times thinner than a human hair, would carry additional health risks. 

There has been a surge of interest in developing graphene – a material first isolated by scientists in 2004 and which has been hailed as a ‘wonder’ material. Possible applications include electronics, phone screens, clothing, paints and water purification. 

Graphene is actively being explored around the world to assist with targeted therapeutics against cancer and other health conditions, and also in the form of implantable devices and sensors. Before medical use, however, all nanomaterials need to be tested for any potential adverse effects. 

Researchers from the Universities of Edinburgh and Manchester recruited 14 volunteers to take part in the study under carefully controlled exposure and clinical monitoring conditions. 

The volunteers breathed the material through a face mask for two hours while cycling in a purpose-designed mobile exposure chamber brought to Edinburgh from the National Public Health Institute in the Netherlands. 

Effects on lung function, blood pressure, blood clotting and inflammation in the blood were measured – before the exposure and at two-hour intervals. A few weeks later, the volunteers were asked to return to the clinic for repeated controlled exposures to a different size of graphene oxide, or clean air for comparison. 

There were no adverse effects on lung function, blood pressure or the majority of other biological parameters looked at.  

Researchers noticed a slight suggestion that inhalation of the material may influence the way the blood clots, but they stress this effect was very small.  

Dr Mark Miller, of the University of Edinburgh’s Centre for Cardiovascular Science, said: “Nanomaterials such as graphene hold such great promise, but we must ensure they are manufactured in a way that is safe before they can be used more widely in our lives. 

“Being able to explore the safety of this unique material in human volunteers is a huge step forward in our understanding of how graphene could affect the body. With careful design we can safely make the most of nanotechnology.” 

Professor Kostas Kostarelos, of the University of Manchester and the Catalan Institute of Nanoscience and Nanotechnology (ICN2) in Barcelona, said: “This is the first-ever controlled study involving healthy people to demonstrate that very pure forms of graphene oxide – of a specific size distribution and surface character – can be further developed in a way that would minimise the risk to human health. 

“It has taken us more than 10 years to develop the knowledge to carry out this research, from a materials and biological science point of view, but also from the clinical capacity to carry out such controlled studies safely by assembling some of the world’s leading experts in this field.” 

Professor Bryan Williams, Chief Scientific and Medical Officer at the British Heart Foundation, said: “The discovery that this type of graphene can be developed safely, with minimal short term side effects, could open the door to the development of new devices, treatment innovations and monitoring techniques. 

“We look forward to seeing larger studies over a longer timeframe to better understand how we can safely use nanomaterials like graphene to make leaps in delivering lifesaving drugs to patients.” 

The study is published in the journal Nature Nanotechnology: https://www.nature.com/articles/s41565-023-01572-3. It was funded by the British Heart Foundation and the UKRI EPSRC. 

 

Biomanufacturing using chemically synthesized sugars enables sustainable supply of sugar without competing with food


Researchers from Osaka University and collaborating partners succeeded in biomanufacturing using chemically synthesized sugar for the first time in the world


Peer-Reviewed Publication

OSAKA UNIVERSITY

Fig. 1 

IMAGE: 

SCHEMATIC ILLUSTRATION OF THE RESEARCH CONCEPT (COMPARISON WITH CONVENTIONAL APPROACH).

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CREDIT: OSAKA UNIVERSITY



Osaka, Japan – Biomanufacturing using biomass sugars such as corn obtained from agriculture is attracting attention as an environmentally friendly technology. However, the supply of such conventional biomass sugars is limited in relation to the huge demand for the production of fuels and chemical products, leading to concerns about competition with food due to the expansion of industrial use.

Now, in a study recently published in ChemBioChem, researchers from Osaka University and collaborating partners developed an innovative biomanufacturing technology using chemically synthesized non-natural sugars as a raw material to solve the above-mentioned problem (Fig. 1). Using bacteria (Corynebacterium glutamicum, C. glutamicum), they succeeded in fermentation production of lactate using synthesized sugar solutions as the sole substrate (Fig. 2). This is the first case in the world in which biomanufacturing was conducted using synthesized sugar as a raw material. This achievement will enable the procurement of sustainable raw sugar that does not compete with food and is expected to further expand biomanufacturing.

Since the Industrial Revolution, climate change caused by the excessive use of fossil fuels and the resulting greenhouse gas (GHG) emissions is a global challenge of the 21st century. Biomanufacturing is seen as one effective means of solving these issues, and its implementation is being actively promoted. The production of the main raw material (1st generation biomass) in current biomanufacturing relies on agricultural processes such as corn cultivation. However, there is concern that the supply of 1st generation biomass may compete with food, as it cannot satisfy the enormous demand for the production of fuels and chemical products. Furthermore, the production of sugar through large-scale agriculture has negative aspects such as land use, massive consumption of depletable resources such as fresh water, nitrogen, and phosphorus, water pollution due to eutrophication, and loss of biodiversity.

The research group has been conducting research on chemically synthesized sugar that does not depend on agriculture and the application of the obtained sugar to bioprocesses. Chemical sugar synthesis has many advantages such as (1) an extremely high rate of synthesis (at least several hundred times faster than agricultural processes), (2) less use of water (about 1/1300 of agricultural processes), (3) less use of land (about 1/600 of agricultural processes), and (4) no need for nutrients such as phosphorus and nitrogen. However, chemically synthesized sugars are mixtures that contain many compounds with structures that do not exist in nature. Therefore, there have been challenges in using synthesized non-natural sugar solutions for bioprocesses, such as the presence of factors that inhibit the growth of bacteria.

In this study, the research group established a stable cultivation method using chemically synthesized sugar as a substrate, using C. glutamicum as a model bacterium. They also identified growth inhibitory factors in the synthesized sugar solution and showed that they can be removed by secondary catalytic treatment (Fig. 3a). Furthermore, by conducting fermentation under oxygen-limited conditions, they succeeded in the fermentation production of lactate using a synthesized sugar solution as the sole substrate despite their absence in nature (Fig. 3b). This is the first case in the world where bioproduction was conducted using agriculturally-independent synthesized sugar as a substrate. Lactate is produced via pyruvate, which is located at the end of a metabolic pathway called glycolysis. This means that this method can be widely and generally applied to biomanufacturing via glycolysis.

The results of this research have demonstrated that chemically synthesized sugar can be used as a new raw material for biomanufacturing. The use of chemically synthesized sugar, which can be produced at high rate and on-site, is expected to solve the problems of raw material supply in biomanufacturing, such as competition with food, regional dependence, and large-scale use of depletable resources, and is expected to be a game changer in this area.

Fig. 2 (IMAGE)

OSAKA UNIVERSITY

(a) Growth curves of bacteria using chemically synthesized sugars as the substrate. Additional catalytic treatment removed growth inhibitors and improved growth rate. (b) Quantification results of organic acid fermentation using synthesized sugars as the substrate. The production of lactate was observed only when synthesized sugars were added.

CREDIT

ChemBioChem 2024, 25, e202300760. Copyright Wiley-VCH GmbH. Reproduced with permission.

The article, “Microbial Biomanufacturing Using Chemically Synthesized Non-Natural Sugars as the Substrate,” was published in ChemBioChem at DOI: https://doi.org/10.1002/cbic.20230076


About Osaka University
Osaka University was founded in 1931 as one of the seven imperial universities of Japan and is now one of Japan's leading comprehensive universities with a broad disciplinary spectrum. This strength is coupled with a singular drive for innovation that extends throughout the scientific process, from fundamental research to the creation of applied technology with positive economic impacts. Its commitment to innovation has been recognized in Japan and around the world, being named Japan's most innovative university in 2015 (Reuters 2015 Top 100) and one of the most innovative institutions in the world in 2017 (Innovative Universities and the Nature Index Innovation 2017). Now, Osaka University is leveraging its role as a Designated National University Corporation selected by the Ministry of Education, Culture, Sports, Science and Technology to contribute to innovation for human welfare, sustainable development of society, and social transformation.
Website: https://resou.osaka-u.ac.jp/en

 

New peer-reviewed EWG study finds little-known toxic crop chemical in four out of five people tested


Peer-Reviewed Publication

ENVIRONMENTAL WORKING GROUP




WASHINGTON – A new Environmental Working Group peer-reviewed study has found chlormequat, a little-known pesticide, in four out of five people tested. Because the chemical is linked to reproductive and developmental problems in animal studies, the findings suggest the potential for similar harm to humans.

EWG’s research, published February 15 in the Journal of Exposure Science and Environmental Epidemiology, tested the urine of 96 people for the presence of chlormequat, finding it in 77 of them. EWG summarized the findings in an article published on its website.

“EWG’s new study on chlormequat is the first of its kind in the U.S.,” said EWG Toxicologist Alexis Temkin, Ph.D, lead author of the study. “The ubiquity of this little-studied pesticide in people raises alarm bells about how it could potentially cause harm without anyone even knowing they’ve consumed it.”

Some animal studies show chlormequat can damage the reproductive system and disrupt fetal growth, changing development of the head and bones and altering key metabolic processes.

This research raises questions about whether chlormequat could also harm humans. 

For its study, EWG sourced urine samples collected between 2017 and 2023 from 96 people in the U.S. and tested them for chlormequat at a specialized lab in the United Kingdom. 

The tests found chlormequat in the urine of more people and at higher concentrations in samples collected in 2023, compared to earlier years – suggesting consumer exposure to chlormequat could be on the rise. 

Environmental Protection Agency regulations allow the chemical to be used on ornamental plants only – not food crops – grown in the U.S. 

But since 2018, the EPA has permitted chlormequat on imported oats and other foods, increasing the allowed amount in 2020. Both regulatory changes took place under the Trump administration. Many oats and oat products consumed in the U.S. come from Canada. 

In April 2023, in response to an application submitted by chlormequat manufacturer Taminco in 2019, the Biden EPA proposed allowing the first-ever use of chlormequat on barley, oats, triticale and wheat grown in the U.S. EWG opposes the plan. The proposed rule has not yet been finalized.

“The federal government has a vital role in ensuring that pesticides are adequately monitored, studied and regulated,” Temkin said. “Yet the EPA continues to abdicate its responsibility to protect children from the potential health harms of toxic chemicals like chlormequat in food.”

EWG urges the Agriculture Department and the Food and Drug Administration to test foods for chlormequat and requests that the Centers for Disease Control and Prevention add chlormequat to its biomonitoring program. The organization also calls for more research on the effects of chlormequat on human health.

EWG conducted its own tests of oat-based foods in 2022 and 2023, finding chlormequat in numerous non-organic oat-based products. Organic oat products had little to no detections of the chemical.

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The Environmental Working Group is a nonprofit, non-partisan organization that empowers people to live healthier lives in a healthier environment. Through research, advocacy and unique education tools, EWG drives consumer choice and civic action. Visit www.ewg.org for more information.

 

Neolithic groups from the south of the Iberian Peninsula first settled permanently in San Fernando (Cadiz) 6,200 years ago


New study by ICTA-UAB and the University of Cádiz reveals that the first farmers and herdsmen settled in Andalusia collected and consumed shellfish throughout the year, especially in winter

Peer-Reviewed Publication

UNIVERSITAT AUTONOMA DE BARCELONA




New study by ICTA-UAB and the University of Cádiz reveals that the first farmers and herdsmen settled in Andalusia collected and consumed shellfish throughout the year, especially in winter.

 

The first Neolithic farmers and shepherds in Andalusia settled permanently on the island of San Fernando, Cadiz, 6,200 years ago, where they continued to collect and consume shellfish throughout the year, preferably in winter. This is the conclusion of an archaeological study led by Asier García-Escárzaga, researcher at the Institute of Environmental Science and Technology (ICTA-UAB) and the Department of Prehistory of the Universitat Autònoma de Barcelona (UAB), which shows that these populations occupied the island throughout the year. 

The research carried out in recent decades in the south of the Iberian Peninsula has revealed many aspects of the life of the first Neolithic groups in Andalusia. These populations were the first to base their subsistence mainly on agriculture and livestock, rather than hunting and gathering. However, there were still questions to be answered about the patterns of occupation of sites (annual or seasonal) and the exploitation of marine resources after the adoption of a new economic model. 

In a new study, published in the prestigious international journal Archaeological and Anthropological Science, oxygen stable isotope analysis was applied to marine shells to address both questions. The shells analysed were recovered from the sites of Campo de Hockey (San Fernando, Cadiz).

The necropolis of Campo de Hockey, excavated in 2008, is located on the ancient island of San Fernando, just 150 metres from the ancient coastline. The excavations, directed by Eduardo Vijande from the University of Cadiz, allowed to document 53 graves (45 single, 7 double and 1 quadruple). Most of them were plain (simple graves in which the individual is buried), but what stood out the most was the existence of 4 graves of greater complexity and monumentality, made with medium and large stones considered to be proto-megalithic. The Campo de Hockey II site, annexed to the first site and whose excavation and research was conducted by María Sánchez and Eduardo Vijande in 2018, allowed for the identification of 28 archaeological structures (17 hearths, two shell heaps, four tombs and five stone structures). 

The high presence of hearths and mollusk and fish remains in the middens suggests that the area was used for the processing and consumption of marine resources. Among the information that can be obtained from the analysis of stable oxygen isotopes in marine shells is the possibility of reconstructing the time of year when the mollusks died, and therefore when they were consumed by prehistoric populations in the past. 

The results of this research indicate that the first farmers occupying the island of San Fernando collected shellfish all year round, but more in the colder months of autumn, winter, and early spring, that is, from November to April. This information allowed the scientific team to conclude that these populations occupied the island throughout the year. "The size of the necropolis already led us to believe that it was an annual habitat, but these studies confirm the existence of a permanent settlement 6,200 years ago," said Eduardo Vijande, researcher at the University of Cadiz and co-author of the study. 

The greatest exploitation of shellfish during the coldest months of the year coincides with the annual period of maximum profitability of this food resource due to the formation of gametes. A seasonal pattern of shellfish consumption based on energetic cost-benefit principles which is similar to that developed by the last hunter-gatherer populations of the Iberian Peninsula. "That is to say, there is a greater exploitation of these topshells in the winter months, since this is the time when these animals present a greater quantity of meat," points out Asier García-Escárzaga. This suggests that, although these new Neolithic groups had changed their economic model, living from agriculture and livestock, in this settlement located in an insular environment, the exploitation of the marine environment continued to be of great importance. 

The study forms part of four research projects coordinated from the Universitat Autònoma de Barcelona (PID 2020-115715 GB-I00) and the University of Cadiz (FEDER-UCA18-106917 and CEIJ-015 [2018-2019]) in Spain, and the Max Planck Institute in Germany.

 

García-Escárzaga, A.; Cantillo, J.J.; Milano, S.; Arniz-Mateos, R.; Gutiérrez-Zugasti, I.; González-Ortegón, E.; Corona, J.M.; Colonese, A.C.; Ramos-Muñoz, J.; Vijande-Vila, E. 2024. Marine resource exploitation and human settlement patterns during the Neolithic in SW Europe: Stable oxygen isotope analyses (δ18O) on Phorcus lineatus (da Costa, 1778) from Campo de Hockey (Cádiz, Spain), Archaeological and Anthropological Science. DOI: http://doi.org/10.1007/s12520-024-01939-0

 

 

Altermagnetism experimentally demonstrated


Researchers at Mainz University have been able to visualize the third class of magnetism, called altermagnetism, in action


Peer-Reviewed Publication

JOHANNES GUTENBERG UNIVERSITAET MAINZ

electron spin direction 

IMAGE: 

THE DIRECTION OF AN ELECTRON SPIN IS DETERMINED BY THE DIRECTION OF MOTION OF ELECTRONS.

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CREDIT: ILL./©: HANS-JOACHIM ELMERS / JGU




Ferromagnetism and antiferromagnetism have long been known to scientists as two classes of magnetic order of materials. Back in 2019, researchers at Johannes Gutenberg University Mainz (JGU) postulated a third class of magnetism, called altermagnetism. This altermagnetism has been the subject of heated debate among experts ever since, with some expressing doubts about its existence. Recently, a team of experimental researchers led by Professor Hans-Joachim Elmers at JGU was able to measure for the first time at DESY (Deutsches Elektronen-Synchrotron) an effect that is considered to be a signature of altermagnetism, thus providing evidence for the existence of this third type of magnetism. The research results were published in Science Advances.

Altermagnetism – a new magnetic phase

While ferromagnets, which we all know from refrigerator magnets, have all their magnetic moments aligned in the same direction, antiferromagnets have alternating magnetic moments. Thus, at the macroscopic level, the magnetic moments of antiferromagnets cancel each other out, so there is no external magnetic field – which would cause refrigerator magnets made of this material to simply fall off the refrigerator door. The magnetic moments in altermagnets differ in the way they are oriented. "Altermagnets combine the advantages of ferromagnets and antiferromagnets. Their neighboring magnetic moments are always antiparallel to each other, as in antiferromagnets, so there is no macroscopic magnetic effect, but, at the same time, they exhibit a spin-polarized current – just like ferromagnets," explained Professor Hans-Joachim Elmers, head of the Magnetism group at JGU's Institute of Physics.

Moving in the same direction with uniform spin

Electric currents usually generate magnetic fields. However, if one considers an altermagnet as a whole, integrating the spin polarization in the electronic bands in all directions, it becomes apparent that the magnetic field must be zero despite the spin-polarized current. If, on the other hand, attention is restricted to those electrons that move in a particular direction, the conclusion is that they must have a uniform spin. "This alignment phenomenon has nothing to do with spatial arrangements or where the electrons are located, but only with the direction of the electron velocity," Elmers added. Since velocity (v) times mass (M) equals momentum (P), physicists use the term "momentum space" in this context. This effect was predicted in the past by theoretical groups at JGU led by Professor Jairo Sinova and Dr. Libor Å mejkal.

Proof obtained using momentum electron microscopy

"Our team was the first to experimentally verify the effect," said Elmers. The researchers used a specially adapted momentum microscope. For their experiment, the team exposed a thin layer of ruthenium dioxide to X-rays. The resulting excitation of the electrons was sufficient for their emission from the ruthenium dioxide layer and their detection. Based on the velocity distribution, the researchers were able to determine the velocity of the electrons in the ruthenium dioxide. And using circularly polarized X-rays, they were even able to infer the spin directions.

For their momentum microscope, the researchers changed the focal plane that is normally used for observation in standard electron microscopes. Instead of a magnified image of the surface of the ruthenium oxide film, their detector showed a representation of momentum space. "Differing momentums appear at different positions on the detector. Put more simply, the different directions in which the electrons move in a layer are represented by corresponding dots on the detector," said Elmers.

Altermagnetism may also be relevant to spintronics. This would involve using the magnetic moment of electrons instead of their charge in dynamic random access memory. As a result, storage capacity could be significantly increased. "Our results could be the solution to what is a major challenge in the field of spintronics," suggested Elmers. "Exploiting the potential of altermagnets would make it easier to read stored information based on the spin polarization in the electronic bands."

 

Publications:
O. Fedchenko et al., Observation of time-reversal symmetry breaking in the band structure of altermagnetic RuO2, Science Advances, 31 January 2024,
DOI: 10.1126/sciadv.adj4883
https://www.science.org/doi/10.1126/sciadv.adj4883
 
L. Å mejkal, J. Sinova, T. Jungwirth, Emerging Research Landscape of Altermagnetism, Physical Review X, 8 December 2022,
DOI: 10.1103/PhysRevX.12.040501
https://journals.aps.org/prx/abstract/10.1103/PhysRevX.12.040501 

 

Related links:
https://www.blogs.uni-mainz.de/komet335-eng/ – Magnetism group at the JGU Institute of Physics

 

Which countries are most likely to make the deep sustainability turn?


Peer-Reviewed Publication

ESTONIAN RESEARCH COUNCIL





A new study has shed light on the transformative potential of countries in achieving sustainable development. The research, conducted by a team of researchers at the University of Tartu, challenges conventional wisdom by suggesting that a country's ability to enact transformative change is not solely determined by its wealth or environmental impact.

The current interlinked and escalating socio-ecological crises have necessitated a deep sustainability turn, requiring the rethinking of many currently taken-for-granted assumptions, norms, and practices related to the natural environment, science, and technology. This challenge raises the question of where a shift of such magnitude is more likely to occur.

Drawing on the recent Deep Transitions framework, the authors employ a multi-dimension and multi-domain approach to construct a theory-based composite indicator. The index combines data on attitudes towards the natural environment, beliefs about science and technology, institutional quality, environmental regulations, material input, energy supply, land use, vehicle density, scientific publications, and patenting.

Top five countries for deep sustainability turn

Contrary to many established sustainability and welfare metrics, the results from 63 countries show that the top-performing group cross-cuts the Global North/South divide, with Sweden emerging as the overall best performer and Kuwait as the worst performer. The study also highlights five countries—Spain, Brazil, Slovenia, Peru, and Nicaragua—that exhibit high relative potential for transformation in all measured dimensions. The findings also reveal stark differences in the countries’ willingness to enact a deep sustainability turn that is relatively independent from their GDP. For example, some countries with current high environmental impact are characterized by supportive public attitudes and high-performing institutions to change this situation. In contrast, many countries currently having a low environmental impact also strongly prioritize economic growth over environmental protect, thus signalling that their situation might deteriorate in the future.

"This paper provides a new method for measuring and understanding transformative potential of countries," states Anna-Kati Pahker, the leading author of the study. "Based on the results, we propose that the ability of a country to enact transformative change is not solely determined by its wealth nor environmental impact. Instead, countries with a balance between supporting public attitudes, institutional capacity, and current practices were more successful." The authors further emphasize the need for policymakers to reconsider how societies think about, regulate, and develop science and technology.

The findings of this study offer valuable insights into the potential for deep sustainability transitions across the globe. The authors encourage the integration of this index with other relevant metrics, such as adaptation readiness or indicators for transformative niches, to provide a more comprehensive overview of transformative potential. By understanding the factors that contribute to successful transformative change, policymakers can make informed decisions to drive sustainable development.

The research paper "Measuring Transformative Potential: A Multi-Dimensional Approach" was published in Elsevier journal Technological Forecasting and Social Change