Monday, March 03, 2025

 

New biosensor can detect airborne bird flu in under 5 minutes





Washington University in St. Louis
biosensor 

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(Clockwise) Co-authors Joseph Puthuserry, Yuezhi August Li, Joshin Kumar, Shu-Wen You and Professor Rajan Chakrabarty stand alongside the integrated H5N1 sampling-sensing unit that they developed.

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Credit: (Photo: Courtesy AIR lab.)




By Leah Shaffer

As highly pathogenic H5N1 avian influenza continues to spread in the U.S., posing serious threats to dairy and poultry farms, both farmers and public health experts need better ways to monitor for infections, in real time, to mitigate and respond to outbreaks. Thanks to research from Washington University in St. Louis, which was published in a special issue of ACS Sensors on “breath sensing,” virus trackers have a way to monitor aerosol particles of H5N1.

To create their bird flu sensor, researchers in the lab of Rajan Chakrabarty, professor of energy, environmental, and chemical engineering in WashU's McKelvey School of Engineering, worked with electrochemical capacitive biosensors to improve the speed and sensitivity of virus and bacteria detection.

Their work is crucially timed as the avian virus has taken a dangerous turn over the past year to being transmitted via airborne particles to mammals, including humans. The virus has been proven deadly in cats, and there has been at least one case of a human death from H5N1.

“This biosensor is the first of its kind,” said Chakrabarty, speaking of the technology used to detect airborne virus and bacteria particles. Scientists have previously had to use slower detection methods with polymerase chain reaction DNA tools.

Chakrabarty noted that conventional test methods can take more than 10 hours, “too long to stop an outbreak.”

The new biosensor works within five minutes, preserving the sample of the microbes for further analysis and providing a range of the pathogen concentration levels detected on a farm. This allows for immediate action, said Chakrabarty.

Time is of the essence when preventing a viral outbreak. When the lab started working on this research, H5N1 was only transmissible through contact with infected birds.

 “As this paper evolved, so did the virus; it mutated,” said Chakrabarty.

The United States tracks animal health and the pathogen outbreaks on farms via the USDA Animal and Plant Health Inspection Service (APHIS), which last reported that in the past 30 days, there have been at least 35 new dairy cattle cases of H5N1 in four states, mostly in California.

“The strains are very different this time,” said Chakrabarty.

If farmers suspect illness, they can send the animal to state agriculture department labs for testing. However, it’s a slow process that can be further delayed due to the backlog of cases as H5N1 overtakes poultry and dairy farms. Mitigation options include biosecurity measures like quarantining animals, sanitizing facilities and equipment, and protective controls to limit animal exposure, including mass culling. The USDA also recently issued a conditional license for an avian flu vaccine, which could provide further relief to poultry farmers eager to lower egg prices.

Chakrabarty is ready to introduce this biosensor to the world and notes that it’s been built to be portable and affordable for mass production.

How it works

The integrated pathogen sampling-sensing unit is about the size of a desktop printer and can be placed where farms vent exhaust from chickens or cattle housing. The unit is an interdisciplinary engineering marvel consisting of a “wet cyclone bioaerosol sampler” that was originally developed for sampling SARS-CoV-2 aerosols. The pathogen-laden air enters the sampler at very high velocities and is mixed with the fluid that lines the walls of the sampler to create a surface vortex, thereby trapping the virus aerosols. The unit has an automated pumping system that sends the sampled fluid every five minutes to the biosensor for seamless virus detection.

Chakrabarty’s senior staff scientist Meng Wu, along with graduate student Joshin Kumar, undertook the laborious task of optimizing the surface of the electrochemical biosensor to increase its sensitivity and stability for detection of the virus in trace amounts (less than 100 viral RNA copies per cubic meter of air).

The biosensor uses “capture probes” called aptamers, which are single strands of DNA that bind to virus proteins, flagging them. The team’s big challenge was finding a way to get these aptamers to work with the 2-millimeter surface of a bare carbon electrode in detecting the pathogens.

After months of trial and error, the team figured out the right recipe for modifying the carbon surface using a combination of graphene oxide and Prussian blue nanocrystals to increase the biosensor's sensitivity and stability. The final step involved tying the modified electrode surface to the aptamer via crosslinker glutaraldehyde, which Xu and Kumar said is the “secret sauce” for functionalizing the surface of a bare carbon electrode to detect H5N1.

They added that one big advantage of the team’s detection technique is that it is nondestructive. After testing for the presence of a virus, the sample could be stored for further analysis by conventional techniques such as PCR.

The integrated pathogen sampling-sensing unit works automatically—a person doesn’t need to have expertise in biochemistry to use it. It is made with affordable and easy-to-mass-produce materials. The biosensor can provide concentration ranges of H5N1 in the air and alert operators to disease spikes in real time. Xu said knowledge of the levels can be used as a general indicator of “threat” in a facility and let operators know if the pathogen balance has tipped into dangerous levels.

That ability to offer a range of virus concentration is another “first” for sensor technology.

Most importantly, it can potentially scale up to find many other dangerous pathogens all in one device.

“This biosensor is specific to H5N1, but it can be adapted to detect other strains of influenza virus (e.g., H1N1) and SARS-CoV-2 as well as bacteria (E. Coli and pseudomonas) in the aerosol phase,” said Chakrabarty “We have demonstrated these capabilities of our biosensor and reported the findings in the paper.”

The team is working to commercialize the biosensor. Varro Life Sciences, a St. Louis biotech company, has consulted with the research team during the biosensor's design stages to facilitate its possible commercialization in the future.

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Kumar J, Xu M, Li YA, You SW, Doherty BM, Gardiner WD, Cirrito JR, Yuede CM, Benegal A, Vahey MD, Joshi A, Seehra K, Boon ACM, Huang YY, Puthussery JV, Chakrabarty R. Capacitive Biosensor for Rapid Detection of Avian (H5N1) Influenza and E. coli in Aerosols. ACS Sensors, online Feb. 21. DOI: https://pubs.acs.org/doi/10.1021/acssensors.4c03087

 

Funding for this research was provided by Flu Lab.

 

SwRI, U-Michigan engineers create more effective burner to reduce methane emissions



Study shows burner eliminates significant amounts of methane encountered during oil production



Southwest Research Institute

Methane Flare Burner 

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Researchers at Southwest Research Institute and the University of Michigan developed and tested an advanced methane flare burner using additive manufacturing and machine learning. A new study found that the new design eliminated 98% of methane vented during oil production.

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Credit: Southwest Research Institute




SAN ANTONIO — March 3, 2025 —Researchers at Southwest Research Institute (SwRI) and the University of Michigan (U-M) have published a new study showing an advanced new methane flare burner, created with additive manufacturing and machine learning, eliminates 98% of methane vented during oil production. The burner was designed by U-M engineering researchers and tested at SwRI.

Oil producers can generate methane during oil production and typically use flare stacks to burn off this gas. However, wind blowing across conventional open flame burners reduces their effectiveness, releasing 40% or more of methane into the atmosphere. Over 100 years, methane has 28 times greater global warming potential than carbon dioxide and is 84 times more potent on a 20-year timescale. Flaring reduces overall global warming potential, but ineffective flaring dampens this strategy.

SwRI collaborated with U-M engineers to leverage machine learning, computational fluid dynamics and additive manufacturing to create and test a burner with high methane destruction efficiency and combustion stability at the challenging conditions present in the field.

“We tested the burner at an indoor facility at SwRI, where we could control the crosswind and measure burner efficiency under different conditions,” said SwRI Principal Engineer Alex Schluneker, one of the paper’s co-authors. “Even the slightest amount of crosswind significantly reduced the effectiveness of most burners. We found that the structure and motions of the fins inside the burner were essential for maintaining efficiency. The U-M team engineered it to significantly improve performance.”

The burner has a complex nozzle base that splits the flow of methane in three different directions. The impeller design guides the gas toward the flame. This novel design allows for the even mixing of oxygen and methane and provides time for the combustion to occur before crosswinds can affect it. This design is key to the burner’s efficiency.

“A good ratio of oxygen to methane is key to combustion,” said SwRI Senior Research Engineer Justin Long. “The surrounding air needs to be captured and incorporated to mix with the methane, but too much can dilute it. U-M researchers conducted a lot of computational fluid dynamics work to find a design with an optimal air-methane balance, even when subjected to high-crosswind conditions.”

SwRI and U-M teams are continuing to collaborate on creating and testing new burner designs, aiming to create an even more efficient and cost-effective prototype in 2025.

The project is supported by the U.S. Department of Energy’s Advanced Research Projects Agency–Energy (ARPA—E) Reducing Emissions of Methane Every Day of the Year (REMEDY) program. It is one of several projects funded to support the U.S. Methane Emissions Reduction Action Plan, announced at the 2021 United Nations Climate Change Conference (COP26). The plan seeks to reduce methane emissions and promote American innovation, developing new technologies to achieve climate goals.

The information, data, or work presented herein was funded in part by the Advanced Research Projects Agency-Energy (ARPA-E), U.S. Department of Energy, under Award Number DE-AR0001534. The views and opinions of authors expressed herein do not necessarily state or reflect those of the United States Government or any agency thereof.

To access the Industrial & Chemical Engineering Research paper, “An Experimental Study of the Effects of Waste-Gas Composition and Crosswind on Non-assisted Flares Using a Novel Indoor Testing Approach,” visit https://pubs.acs.org/doi/10.1021/acs.iecr.4c04067.

For more information, visit https://www.swri.org/markets/energy-environment/oil-gas/flow-measurement-services/metering-research-facility or https://www.swri.org/industries/fire-testing.

 

Dental implants still functional after forty years





University of Gothenburg

Barkarmo and Kowar 

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Sargon Barkarmo and Jan Kowar, Sahlgrenska Academy at the University of Gothenburg.

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Credit: Photo by Elin Lindström




Dental implants used to replace single teeth continue to function well after several decades, according to a study from the University of Gothenburg, Sweden. After nearly forty years, all examined implants were still in place and fully functional. 

The study is the longest follow-up study of single dental implants in the world and is based on a follow-up of a small group of patients who received single implants to replace missing teeth between 1982 and 1985.

The implants are a result of research conducted by Professor Per-Ingvar BrÃ¥nemark at the University of Gothenburg. His discovery of how bone integrates with titanium implants has enabled millions of patients to replace lost teeth with a reliable and long-lasting solution. 

Stable implants 

Of the 16 patients who received implants during the study period, 13 participated in the follow-up, conducted at the BrÃ¥nemark Clinic, Public Dental Service Västra Götaland. These 13 patients had a total of 18 implants. 

"It is impressive that the single implants function so well after such a long time. Even though the study included a small number of patients, the results show that the implants remain in place and that the bone loss around them is virtually unchanged after forty years. This confirms that the foundation BrÃ¥nemark established still holds," says Sargon Barkarmo, prosthodontist and senior lecturer at the University of Gothenburg. 

A dental implant is an artificial tooth root made of titanium that is surgically placed into the jawbone, where it integrates and becomes stable. A crown is then attached to the implant, providing both functionality and aesthetics. 

The crowns placed on the implants had a shorter lifespan than the implants themselves. At the forty-year follow-up, only about 60 percent of the original crowns remained, with many having been replaced one or more times. 

"The study shows that the crowns were mostly replaced for aesthetic reasons rather than technical failures. In the future, implant treatments could be further improved with the development of new crown materials," says Jan Kowar,  prosthodontist and senior lecturer at the University of Gothenburg, and co-author of the study. 

Implants and healing 

The researchers point out that older implant systems, which have been shown to be highly effective, are unfortunately no longer available on the market. This is due to the continuous introduction of new systems that quickly replace older ones, despite their proven long-term success. 

The study concludes that implants placed using well-planned surgical techniques and given sufficient healing time have an excellent long-term prognosis. Sargon Barkarmo again: 

"Today, methods that accelerate treatment and healing are commonly used. These approaches also need long-term follow-ups and careful evaluation to ensure equally good results over time," he says. 

The study results have been published in the scientific journal Clinical Implant Dentistry and Related Research.

 

Electric vehicles and urban living: New study explores interconnected choices



Higher Education Press
Trade-off between FVs and EVs. 

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Trade-off between FVs and EVs.

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Credit: Chao Shu et al.





A recent study published in the journal Engineering delves into how individuals’ decisions regarding electric vehicle (EV) purchases and residential locations interact, and what impacts these have on urban development. Conducted by researchers from Beijing Jiaotong University and University College London, the study uses an agent-based microeconomic model to analyze these complex relationships in a two-dimensional monocentric city.

Vehicle electrification is a crucial strategy for cutting carbon emissions in road transport. As EVs gain popularity, understanding the factors influencing their adoption and the resulting effects on urban structure becomes essential. The study notes that while EVs have a higher upfront cost compared to fuel vehicles (FVs), their operational costs are lower. For example, in 2022, fuel-economy battery EVs in the US consumed less electricity per 100 kilometers than FVs consumed gasoline, with electricity being more cost-effective.

The researchers developed a spatial equilibrium model to account for the interactions between urban density, vehicle age, and vehicle type. They considered a monocentric city where all residents work in the central business district (CBD). Households make decisions on residential location and vehicle type based on factors such as commuting costs, housing affordability, and utility maximization.

The simulation results show some interesting trends. The proportion of EVs in the city peaks at over 50% by the end of the first vehicle-scrappage period. However, this increase in EV adoption is accompanied by a more than 40% rise in commuting distance and time compared to a scenario with only FVs. Also, households with EVs tend to live farther from the city center. This is because the lower operational costs of EVs make long-distance commuting more affordable.

Vehicle age plays a significant role in these decisions. Older vehicles have higher operational costs, and households with older vehicles are more likely to be located closer to the CBD to minimize commuting expenses. The heterogeneity in vehicle age leads to residential segregation, which can cause urban sprawl and congestion.

The study also examines the factors affecting EV adoption. A higher purchase price of EVs reduces their adoption rate, while a decrease in the inconvenience cost (IC) of using EVs, such as improved charging infrastructure, promotes adoption. Higher fuel prices also encourage the switch to EVs. The distribution of public charging piles is another crucial factor. Denser charging infrastructure near the city center can stabilize EV adoption levels and shorten commuting distances for EV users.

Although the study provides valuable insights, it has limitations. It doesn’t fully consider the role of home charging stations, the development of EV technology, and the potential overloading of the electricity system during peak hours. Future research could explore these aspects to better understand the complex relationship between EV adoption and urban development. Overall, this research offers a new perspective on the dynamic interactions between EVs and urban living, which is useful for policymakers and urban planners.

The paper “Exploring Electric Vehicle Purchases and Residential Choices in a Two-Dimensional Monocentric City: An Agent-Based Microeconomic Model,” authored by Chao Shu, Yue Bao, Ziyou Gao, Zaihan Gao. Full text of the open access paper: https://doi.org/10.1016/j.eng.2024.12.001. For more information about the Engineering, follow us on X (https://twitter.com/EngineeringJrnl) & like us on Facebook (https://www.facebook.com/EngineeringJrnl).

 

Proactively exposing ecosystems to mild environmental stressors appears to offer protection, study finds


McGill researchers say their work could have important implications for managing biodiversity in the face of increasing anthropogenic stressors, such as climate change and pollution


McGill University



Mild, proactive exposure to environmental stress can help biological communities resist severe disturbances and maintain genetic diversity, a recent study from McGill University has found.

Led by Professor Rowan Barrett and PhD graduate Charles Xu in McGill’s Department of Biology, the study enhances our understanding of the combined ecological and evolutionary processes that shape how natural communities respond to environmental changes. The findings could have implications for managing biodiversity in the face of increasing anthropogenic stressors, such as climate change and pollution, the researchers said.

The team conducted their study at the Large Experimental Array of Ponds (LEAP) at McGill’s Gault Nature Reserve in Mont-Saint-Hilaire. They exposed the natural microbial communities living in the ponds to mild acidification, followed by a more severe acidification event that mimicked potential environmental stressors in real-world ecosystems.

They found that pre-exposure to stressors had an immunization-like effect: biological communities that had previously been exposed to mild stressors were better able to survive and keep their species diversity when faced with severe stressors, compared to communities that had not previously experienced those stressors.

Species sorting and evolution boost ecosystem resilience

The paper, published in Current Biology, highlights the simultaneous processes of species sorting and evolutionary adaptation in freshwater bacterial communities. Species sorting is an ecological mechanism by which species tend to be more common in the habitats that are appropriate for them. Evolutionary adaptation refers to changes in species’ genetic traits that allow them to better survive or reproduce in their environments.

Through metagenomic analysis, the researchers tracked the evolutionary changes in microbial species within the communities.

The study is one of the first to demonstrate both species sorting and evolutionary adaptation working concurrently within natural communities, underlining the importance of these dual processes in predicting how ecosystems will cope with climate change and other stressors. The more resilient species survived the stress, and over time, they also evolved to become even better at handling it. This combination helped the community stay more stable and diverse, even after a severe stress event.

“This research underscores the need to consider both ecological and evolutionary forces when predicting how natural communities will respond to environmental stress,” said Barrett. “By integrating evolutionary responses into our models, we can make more accurate predictions about biodiversity change and improve our conservation efforts.”

Next steps include further investigations into the long-term evolutionary trajectories of microbial communities and exploration of how different environmental stressors affect genetic adaptation.

 

About the study

Pre-exposure to stress reduces loss of community and genetic diversity following severe environmental disturbance by Charles Xu, Vincent Fugère, Naíla Barbosa da Costa, Beatrix Beisner, Graham Bell, Melania Cristescu, Gregor Fussmann, Andrew Gonzalez, Jesse Shapiro, and Rowan Barrett was published in Current Biology.

This study was supported by funding from the Natural Sciences and Engineering Research Council of Canada, the Fonds de recherche du Quebec – Nature et Technologie, the Canada Research Chairs programme, the Quebec Centre for Biodiversity Science, the Digital Research Alliance of Canada, the Canadian Foundation for Innovation, and the Groupe de recherche interuniversitaire en Limnologie.