Saturday, February 13, 2021

Biodiversity protects bee communities from disease

UNIVERSITY OF MICHIGAN

Research News

A new analysis of thousands of native and nonnative Michigan bees shows that the most diverse bee communities have the lowest levels of three common viral pathogens.

University of Michigan researchers netted and trapped more than 4,000 bees from 60 species. The bees were collected at winter squash farms across Michigan, where both managed honeybee colonies and wild native bees pollinate the squash flowers.

All but one species--Apis mellifera, the common European honeybee--are native bees. The number of bee species found at each farm ranged from seven to 49.

Consistently, lower virus levels were strongly linked to greater species richness among the local bee communities. The study was published online Feb. 11 in the journal Ecology.

"This result is exciting because it suggests that promoting diverse bee communities may be a win-win strategy to simultaneously reduce viral infections in managed honeybee colonies while helping to maintain native bee biodiversity," said study lead author Michelle Fearon, a postdoctoral researcher in the University of Michigan Department of Ecology and Evolutionary Biology.

"In light of recent global pollinator population declines that are due in part to the spread of pathogens, these results offer hope that conservation efforts could also broadly benefit pollinator health," said Fearon, who conducted the study for her doctoral dissertation. She is now pursuing a follow-up study that explores how natural areas keep pollinator communities healthy.

The Ecology study is the first to show that high levels of biodiversity within bee communities can help dilute the harmful effects of viral pathogens. Support for this "dilution effect" has been reported in other host­--pathogen systems--such as tick-borne Lyme disease--but this is the first time it's been seen with pollinator viruses. The idea of a dilution effect remains controversial among ecologists, however.

Fearon and her colleagues collected 4,349 bees at 14 Michigan winter squash farms over two summers. Michigan winter squashes include acorn squash, butternut squash, spaghetti squash and pumpkins.

Honeybees were found at all of the sites, and a diverse array of native bees were also present in the squash fields and along field edges. In fact, native pollinators were much more common visitors to the squash flowers than honeybees at most locations.

Four types of bees--the European honeybee, the eastern bumblebee (Bombus impatiens), the squash bee (Eucera pruinosa) and several species of sweat bee (genus Lasioglossum)--were the most consistently abundant species among the bee communities that were sampled.

Those four groups were tested for the presence of three viruses that commonly infect managed honeybee colonies: deformed wing virus, black queen cell virus and sacbrood virus.

These pathogens contribute to high rates of colony loss among honeybees, and there are no widely available treatments that beekeepers can use to control them. Previous studies suggested that native bees are less commonly infected and may be less likely to transmit the pathogens to other bees.

The viruses spread as bees move from flower to flower, gathering pollen and nectar and pollinating the plants in the process. Consumption of virus-contaminated pollen is believed to be a primary mode of transmission.

For each of the four target bee groups in the U-M study, researchers found that lower viral prevalence was strongly linked to greater biodiversity of the local bee community: the more bee species present, the lower the percentage of bees infected.

Species-rich communities included many native bee species, which apparently helped to dilute the impact of the pathogens.

"Native bees likely reduce the viral prevalence in pollinator communities because they are poorer viral hosts than honeybees. This means that some native bees don't get as sick as honeybees and are less likely to spread the virus to other bees," said study co-author Elizabeth Tibbetts, a professor in the U-M Department of Ecology and Evolutionary Biology who was Fearon's dissertation adviser.

"So, bees from pollinator communities with lots of species are less likely to get sick because they are sharing flowers with many bee species that are less likely to spread the virus, while bees from communities dominated by honeybees are more likely to share flowers with honeybees that are good at spreading the virus," Tibbetts said.

Bees are indispensable pollinators, supporting both agricultural productivity and the diversity of flowering plants worldwide. In recent decades, both native bees and managed honeybee colonies have seen population declines blamed on multiple interacting factors including habitat loss, parasites and disease, and pesticide use.

"We found encouraging evidence that pollinator conservation efforts can broadly benefit the health of both managed honeybee colonies and native bees," Fearon said. "This management strategy could be especially crucial in agricultural areas where crop flowers are visited by both honeybees and native bees--places that may be hot spots for viral transmission among bee species."

###

Funding for the work was provided by the National Science Foundation, the North American Pollinator Protection Campaign, the Pollinator Partnership, The Garden Club of America, U-M's Rackham Graduate School, and the U-M Department of Ecology and Evolutionary Biology.

Study abstract: Pollinator community species richness dilutes prevalence of multiple viruses within multiple host species (https://doi.org/10.1002/ecy.3305)

Michelle Fearon
Elizabeth Tibbetts

Increasing hurricane intensity around Bermuda linked to rising ocean temperatures

UNIVERSITY OF SOUTHAMPTON

Research News

New research shows that hurricane maximum wind speeds in the subtropical Atlantic around Bermuda have more than doubled on average over the last 60 years due to rising ocean temperatures in the region.

Hurricanes intensify by extracting energy from the warm ocean surface via air-sea heat fluxes, so a warmer ocean can lead to more intense hurricanes.

Improving predictions of wind speeds from hurricanes will help determine the right level of response in advance of the storm and potentially limit the resulting damage in Bermuda.

Between 1955 and 2019 mean hurricane intensity near Bermuda, measured by the maximum wind speed, increased from 35 to 73mph - equivalent to over 6mph per decade. At the same time sea surface and sub surface temperatures in the region increase by upto 1.1°C, providing the additional energy for hurricanes to intensify.

The study, published in Environmental Research Letters, also develops a predictor for the intensity of hurricanes moving through the Bermuda area using the average upper ocean temperature in the top 50m layer.

Samantha Hallam, the lead author of this paper from the University of Southampton and the National Oceanography Centre (NOC), said , "The approach we used could provide a better way to predict Bermuda storm intensity than current theory or operational methods alone. It could also be use elsewhere in the subtropical Atlantic where there is a shallow mixed layer depth, typically north of twenty five degrees north.

"We used hurricane potential intensity theory, locally-based weather balloon soundings, surface and upper ocean observations of conditions in and around hurricanes passing within 100km of Bermuda over the last 65 years (including direct hits and 'near-miss' storms)."

Mark Guishard, co-author and Director of the Bermuda Weather Service said "the research demonstrates the greater relevance of upper ocean heat versus sea surface temperatures alone in the prediction of hurricane intensity. Preliminary testing with the recent passage of Hurricane Paulette shows promising results that this technique could be further developed into an additional operational tool for forecasters locally."

These findings are the result of a statistical analysis on hurricane paths within 100km of Bermuda, between 1955 and 2019. The research used surface and subsurface ocean temperature observations from the Bermuda Atlantic Times Series (BATS) Hydrostation S programme, managed by the Bermuda Institute of Ocean Sciences.

###

This research was funded by the Natural Environmental Research Council (NERC) and Bermuda Institute of Ocean Sciences, and involved a collaboration between the University of Southampton, the National Oceanography Centre, the Bermuda Institute of Ocean Sciences and the Met Office.

Here comes the new generation of climate models: the future of rainfall in the Alps

CMCC FOUNDATION - EURO-MEDITERRANEAN CENTER ON CLIMATE CHANGE

Research News

Less intense mean daily precipitation, more intense and localised extreme events. This is what the future climate scenarios indicate for the Eastern Alps, according to the study "Evaluation and Expected Changes of Summer Precipitation at Convection Permitting Scale with COSMO-CLM over Alpine Space", published by the CMCC Foundation in the journal Atmosphere. The research is conducted in the context of the European project H2020 EUCP (European Climate Prediction system) and contributes to the work of the international scientific community for the development of climate models that can support decision makers in a proper assessment of extreme events and their evolution considering climate change, with the ultimate goal of limiting its negative impacts on societies and economies.

Climate change adaptation plans and measures existing worldwide are based on future scenarios made available to decision-makers by the world of research. These scenarios currently provide a good representation of extreme events at daily scale, but still have limited predictive capabilities at sub-daily time scale. For some sectors, such as infrastructure, there is insufficient with which to develop adequate climate change adaptation policies: very intense and rapid rainfall, concentrated in small areas and in a few hours, can have strong impacts on infrastructure, causing the overflow of water bodies and flooding, undermining systems and revealing the inability of sewerage to handle large flows of water. Some extreme events can last for a few hours and affect very small areas (in the order of a few kilometres). The need to understand such phenomena is even greater in some specific geographical contexts, such as the Alpine area, where extreme rainfall events - typical of the summer season - can have serious consequences.

"In recent decades there has been an ongoing debate among climatologists about the added value of very high-resolution climate simulations, representing the next generation of the regional climate-models'" explains Paola Mercogliano, director of the REMHI (Regional Models and geo-Hydrological Impacts) division at the CMCC Foundation. "These climate simulations, which are run with regional models at a very high spatial and temporal resolution, have a high computational cost and require significant investments in terms of research time. Given the high costs, the scientific community is questioning whether this is the right way to go to better support climate change adaptation policies. Our study demonstrates the added value of this direction and confirms that it is worth investing in it, especially in areas with complex orography or where uncertainty is still wide, such as the Alps. With these new generation models, we can not only observe what happens at very high resolutions in terms of mean daily precipitation, but we can also make statistical analyses on a sub-daily basis, looking at different hours of the same day. These models will also be able to provide information on the effects of climate change on hourly precipitation: results that would have been unthinkable just two or three years ago."

The study shows a better representation of precipitation frequency and intensity in very high-resolution simulations ('convection permitting') than in lower resolution simulations, especially at sub-daily scale.

"In agreement with existing literature, our preliminary results for the Alpine area in the summer season show a decrease in mean daily precipitation, especially at high altitudes, and localised intensifications of extreme events along the Eastern Alps. It will rain less frequently but more intensely, both on a daily and hourly time scale. Given the increased intensity of these events, it is clear that understanding the distribution of rainfall at hourly scale can bring great added value in our support for decision-makers," explains Marianna Adinolfi, CMCC researcher and lead author of the paper.

Next generation climate models are developed and applied by the CMCC Foundation in several international projects and contexts. Some examples include the study of urban heatwaves and the evolution of rainfall extremes in support of adaptation policies on an urban scale: all contexts that will benefit from having simulations on hourly scales.

Furthermore, to support adaptation policies, the CMCC created products such as the Climate Scenarios for Italy, which allows visualising in maps the expected climate until the end of the century using high-resolution climate models, and climate services such as Dataclime, which provides customized climate analysis on multiple temporal and spatial scales.

This study was carried out within the Horizon 2020 research project EUCP - European Climate Prediction system, in which the CMCC Foundation participates. The project aims to support the scientific community in the development of high-quality climate data and projections on a European scale to be provided to policy makers, stakeholders and planners to address the challenges and opportunities brought by climate change.

###

More information:

Adinolfi, M.; Raffa, M.; Reder, A.; Mercogliano, P. Evaluation and Expected Changes of Summer Precipitation at Convection Permitting Scale with COSMO-CLM over Alpine Space. Atmosphere 2021, 12, 54. https://doi.org/10.3390/atmos12010054

 

Producing more sustainable hydrogen with composite polymer dots

UPPSALA UNIVERSITY

Research News

Hydrogen for energy use can be extracted in an environmentally friendly way from water and sunlight, using photocatalytic composite polymer nanoparticles developed by researchers at Uppsala University. In laboratory tests, these "polymer dots" showed promising performance and stability alike. The study has been published in the Journal of the American Chemical Society.

How we are to meet future demand for sustainable energy is a much-debated question. One feasible way to go is hydrogen, which can be produced from renewable resources: water and solar energy. But the process requires what are known as photocatalysts. Traditionally, these have been made of metal-based materials that are often toxic. Instead, a research group headed by Haining Tian at Uppsala University's Ångström Laboratory is working to develop nano-sized organic photocatalysts - "polymer dots" - designed to be both environmentally friendly and cost-effective.

Since polymer dots (Pdots) are so tiny, they are evenly distributed in water. Compared with traditional photocatalysts, this provides a larger reaction surface, which means that more light can be stored in the form of hydrogen gas. The research group has now developed a Pdot containing three components. In tests, the particle has shown very good catalytic performance and stability.

"Combining several components that absorb light at different wavelengths is the easiest way to create a system in which all the visible surfaces capture light. But getting these components to work well together in a photocatalytic system is challenging," says Haining Tian, Associate Professor (Docent) of Physical Chemistry at Uppsala University.

To investigate how well the various components work together, Tian and his colleagues used spectroscopic techniques in which the Pdot was exposed to light for a certain length of time. They were thus able to follow how photochemical intermediates were created and, under illumination, disappeared.

"It's exciting to see that both ultrafast energy transfer and electron transfer take place in one particle, and that this helps the system to make use of the light and separate the charge for the catalytic process," says the study's lead author Aijie Liu, a postdoctoral researcher at the Department of Chemistry - Ångström Laboratory.

The researchers have succeeded in optimising the system of triple-component polymer dots so that it catalyses the conversion of solar energy into hydrogen with a 7% efficiency rate at 600 nanometres (nm). This is significantly better than the 0.3% at 600 nm obtained by the group when they were working on Pdots consisting of only one component. One problem has previously been that the photocatalysts degrade prematurely, but now the researchers were unable to discern any distinct degradation even after 120 hours' testing.

###

Aijie Liu et al. (2020), Panchromatic Ternary Polymer Dots Involving Sub-Picosecond Energy and Charge Transfer for Efficient and Stable Photocatalytic Hydrogen Evolution, Journal of the American Chemical Society. DOI: 10.1021/jacs.0c12654

POSTMODERN ALCHEMY

Flowers of St. John's Wort serve as green catalyst

TECHNISCHE UNIVERSITÄT DRESDEN

Research News

IMAGE

IMAGE: THE FLOWERS OF ST. JOHN'S WORT (HYPERICUM PERFORATUM) HAVE NOT ONLY HEALING BUT ALSO CATALYTIC EFFECTS. view more 

CREDIT: JULIA NAUMANN

Since ancient times, St. John's Wort has been used as a medicinal herb covering a wide range of applications such as the treatment of burns, skin injuries, neuralgia, fibrosis, sciatica and depression. Due to its high medicinal potential, the plant known in technical terminology as Hypericum perforatum even became "Medicinal Plant of the Year" in 2015. Now, scientists at TU Dresden have shown that there is much more to the herb than its healing properties.

To this end, two interdisciplinary groups from biology and inorganic chemistry have joined forces and thus achieved astonishing results.

Originally, the research groups led by botanist Prof. Stefan Wanke and chemist Prof. Jan. J. Weigand wanted to synthesize graphene-like 2D structures from natural products in the joint project funded by the Sächsische Aufbaubank (SAB; HyperiPhen project 100315829 in TG70 Bioleben). For this purpose, hypericin, a compound of St. John's Wort, served as a template and starting material. In the course of the investigations, it turned out that hypericin efficiently catalyzes photochemical reactions. Prof. Weigand then came up with the idea of using the dried flowers of St. John's Wort, from which hypericin can be obtained by extraction, as a green and sustainable alternative to common catalysts.

"The chemistry of natural substances and especially the background of botany were completely new to us. The exciting results that came out of it are all the more gratifying. The interdisciplinary project shows how important it is in science to think outside the "box,"" says Prof. Weigand, commenting on the success of the collaboration.

The team is thus following a current trend in modern synthetic chemistry to include sustainable aspects. The search for sustainable, renewable and environmentally friendly photoredox catalysts is proving to be extremely challenging. The results now obtained are all the more promising. The plant compound hypericin, a secondary metabolite from St. John's Wort, is used as the active compound in chemical reactions without the need for prior chemical processing. The Dresden scientists have successfully applied for a German patent for this newly developed method (DE 10 2019 215 871).

Also Prof. Wanke is amazed at the success of the collaboration: "Although the research project started with a good idea, bringing it to life was not entirely trivial, as the two working groups first had to "get to know" each other. Our research fields and methods used were far apart. But soon the first unusually exciting results emerged. Everyone involved learned a lot. We would like to continue the research, but the funding is still missing."

###

Original publication:

Jun-jie Wang, Kai Schwedtmann, Kun Liu, Stephen Schulz, Jan Haberstroh, Gerrit Schaper, Anja Wenke, Julia Naumann, Torsten Wenke, Stefan Wanke and Jan J. Weigand. Flowers of the plant genus Hypericum as versatile photoredox catalysts. Green Chem., 2021,23, 881-888.

ANIMAL EXPERIMENTATION

Going the distance--insights into how cancer cells spread

KANAZAWA UNIVERSITY

Research News

IMAGE

IMAGE: SCHEMATIC DRAWING OF POLYCLONAL METASTASIS. METASTATIC CELLS GENERATE METASTATIC NICHE BY ACTIVATION OF HEPATIC STELLATE CELLS (HSCS). NON-METASTATIC CELLS CAN SURVIVE AND PROLIFERATE WITH THE PRESENCE OF SUCH METASTATIC NICHE,... view more 

CREDIT: KANAZAWA UNIVERSITY

Most tumors consist of a heterogenous mix of cells. Genetic mutations found only in some of these cells are known to aid with the spread and progression of cancer. However, oncologists often find that when tumors metastasize to distant organs, they retain this heterogenous nature--a phenomenon termed "polyclonal metastasis". The mechanism by which non-metastatic cells accompany the metastatic cells is ambiguous. Now, Masanobu Oshima and his research team have used mouse models to explain how non-metastatic cells begin their long commute.

The team has previously developed various cancerous mutants of mice and analyzed them closely to reveal which cancer cells inherently spread and which do not. It was found that cells with four mutations, colloquially termed AKTP, were the most fatal. When these cells were transplanted into the spleens of mice, they migrated to and formed colonies in the livers within 3 days. In contrast, cells with two mutations, AK and AP, could not traverse this distance. To replicate polyclonal metastasis, AP cells were then co-transplanted with AKTP cells, and voila, both cell types indeed moved into the livers. Instead, when AP cells were injected into the blood (without prior exposure to the AKTP cells) they could not metastasize. Certain processes seemed to be at play when the cells were incubated together.

Next, AKTP cells within the liver tumors were killed to see how closely that affected the AP cells. The AP cells continued thriving and grew into larger tumors suggesting they did not need the AKTP cells anymore. Thus, at some point in the journey from the spleen to the liver the AP cells turned dangerous. To identify this point, the researchers traced back the chain of events. Within a day after transplantation, AKTP clusters were found in the sinusoid vessel, a major blood vessel supplying the liver. By 14 days, this cluster transformed into a mass termed as a "fibrotic niche". The same mass was observed with a mix of AP and AKTP cells, but not with AP cells alone. What's more, within this mass AKTP cells were activating hepatic stellate cells (HSCs). HSCs are responsible for scarring of liver tissue. Activated HSCs then set up the perfect environment for AP cells to proliferate infinitely. Harboring the AP cells within the fibrotic environment was, therefore, a key step.

"These results indicate that non-metastatic cells can metastasize via the polyclonal metastasis mechanism using the fibrotic niche induced by malignant cells," conclude the researchers. Targeting this fibrotic niche might be a promising strategy to keep the spread of solid tumors in check.

CAPTION

Organoid transplantation experiments. (a) Fluorescence-labeled organoids (top), and liver tissues (macro images) of organoid-transplanted mice under fluorescent microscope (bottom). (b) Liver tissues (macro images) of chimeric organoid-transplanted mice under fluorescent microscope (top), and fluorescent immunohistochemistry of metastatic lesions.

CREDIT

Kanazawa University

Background

Polyclonal metastasis: Solid tumors such as breast and colorectal cancer are famous for spreading notoriously. These tumor cells break off from the point of origin and migrate via the bloodstream into distant organs to set up shop. It is often found that such metastatic tumors are genetically diverse in nature. However, the role of cancer mutations in conferring tumors metastatic is still unclear. Older theories have suggested that genetic alterations are the sole key to turning cells metastatic. However, the study depicted here shows that other mechanisms are also at play.

Hepatic stellate cells (HSCs) and the fibrotic niche: HSCs are specialized cells of the liver responsible for scarring and wound healing mechanisms when activated. Upon activation, (after events such as liver damage) HSCs start proliferating and induce fibrotic tissue within the liver. Thus, their activation by AKTP cells resulted in development of the fibrotic niche, an environment particularly favorable for tumor proliferation.

Scientists identify how harmless gut bacteria "turn bad"

UNIVERSITY OF BATH

Research News

IMAGE

IMAGE: PROFESSOR SAM SHEPPARD FROM THE MILNER CENTRE FOR EVOLUTION AT THE UNIVERSITY OF BATH LED THE STUDY. view more 

CREDIT: UNIVERSITY OF BATH

An international team of scientists has determined how harmless E. coli gut bacteria in chickens can easily pick up the genes required to evolve to cause a life-threatening infection. Their study, published in Nature Communications, warns that such infections not only affect the poultry industry but could also potentially cross over to infect humans.

E. coli is a common bacterium that lives in the intestines of most animals, including humans. It is usually harmless when it stays in the gut, however it can become very dangerous if it invades the bloodstream, causing a systemic infection that can even lead to death.

Avian pathogenic E.coli (APEC) is most common infection in chickens reared for meat or eggs. It can lead to death in up to 20 per cent of cases and causes multi-million pound losses in the poultry industry. The problem is made worse by increasing antibiotic resistance and infections also pose a risk of causing disease in humans.

The team of scientists, led by the Milner Centre for Evolution at the University of Bath, sequenced and analysed the whole genomes of E. coli bacteria found in healthy and infected chickens bred at commercial poultry farms to better understand why and how these normally innocuous bugs can turn deadly.

They found there was no single gene responsible for switching a harmless bacterium into a pathogenic one, but rather that it could be caused by several combinations of a diverse group of genes.

Their results indicate that all bacteria in chicken intestines have the potential to pick up the genes they need to turn into a dangerous infection, through a process called horizontal gene transfer.

Horizontal gene transfer enables bacteria to acquire new genetic material from other bacteria nearby. This can happen by scavenging DNA molecules from dead bacteria; by exchanging strands of DNA by having 'bacterial sex' or by getting infected by viruses which transfer DNA from one bacterium to another.

Professor Sam Sheppard, from the Milner Centre for Evolution at the University of Bath, led the study. He said: "Previously we thought that E. coli became pathogenic by acquiring specific genes from other bugs, often packaged in mobile elements called plasmids.

"But our study compared the genomes of disease-causing and harmless E. coli in chickens and found that they can 'turn bad' simply by picking up genes from their environment.

"Bacteria do this all the time inside the guts of chicken, but most of the time the scavenged genes are detrimental to the bacteria so it becomes an evolutionary dead end.

"However, there are 26 billion chickens worldwide, representing around 70 per cent of all bird biomass on earth.

"That increases the likelihood of bacteria picking up genes that could help the bacteria survive and turn infectious, or even jump species to infect humans."

The study authors stress the need to monitor strains that are most likely to become pathogenic so can treat them before they become dangerous.

Professor Sheppard said: "We were surprised to find that it's not just a single strain that causes APEC, but any strain can potentially acquire the 'monster combination' of genes needed to turn bad."

Strains with the potential to turn pathogenic could be identified using a similar method to that used to detect variant strains of Covid19. After whole genome sequencing, rapid PCR tests can be used to probe for specific genes that could lead to an APEC infection.

Professor Sheppard said: "We identified around 20 genes that are common in pathogenic bugs and if we can look out for these key genes in a flock of birds, that would help farmers target those carriers before they cause a problem."

###

Citizens versus the internet

How can we protect ourselves against manipulation, fake news, and other digital challenges? Tips from a behavioral science perspective




MAX PLANCK INSTITUTE FOR HUMAN DEVELOPMENT

Research News

The Internet has revolutionized our lives - whether in terms of working, finding information or entertainment, connecting with others, or shopping. The online world has made many things easier and opened up previously unimaginable opportunities. At the same time, it presents both individuals and societies with major challenges: The underlying technologies do not necessarily serve users' best interests.

"We're interested in questions such as: How can we create online environments that respect human autonomy and promote truth? And what can people themselves do to avoid being misled and manipulated?", says Anastasia Kozyreva, lead author and researcher at the Center for Adaptive Rationality at the Max Planck Institute for Human Development. The research team began by examining the differences between the online and offline worlds, and identified four major challenges.

  1. User behavior is influenced by manipulative choice architectures. These "dark patterns" steer users toward unintended behaviors; they include advertising that blends into the content or navigation of a page to generate more clicks, or confusing privacy settings that prompt people to share more information than they really want to.
  2. The information presented by AI-powered information architectures is not neutral; it is personalized on the basis of the data collected from users. This means that two people who enter the same term into a search engine will probably be shown different results. That can be helpful if, for example, we want to look up a restaurant and the search engine displays hits in our neighborhood at the top of the list, rather than a restaurant with the same name on the other side of the world. But if we are shown news or political content solely on the basis of our preferences, we risk finding ourselves in a filter bubble where we are no longer exposed to any other opinions.
  3. The research team sees false and misleading information as another challenge for people online. Videos and posts propagating conspiracy theories and unverified rumors can spread rapidly through social media, causing real harm. For example, people may decide not to get vaccinated due to misinformation about vaccines, putting themselves and others at risk.
  4. Distracting online environments constantly seek to attract users' attention - whether by means of push notifications, flashing displays, pop-up ads, or constantly updated content. The aim is to capture and hold users' attention for as long as possible: That is the very basis of Internet platforms' business models. We find ourselves spending far more time on our screens than we intended - with no real benefit and at the cost of our attention for other things.


Taking a behavioral science perspective, the researchers propose specific interventions to address these four challenges. They suggest that "boosting tools" can be used to train new competencies and enable better, more autonomous decisions in the online world.

Self-nudging is one of the cognitive tools that people can use to create "healthier" choice and information environments for themselves. Self-nudging empowers people to set up their digital environment in the way that works best for them. This might involve turning off notifications from apps or rearranging one's smartphone home screen so that only useful apps are displayed: the calendar, camera, and maps, for example, along with meditation and weather apps. Everything that is overly distracting, such as social media and games, is better tucked away in folders. The researchers also recommend that users consciously set time limits on their social media use.

"The digital world is full of traps," says Ralph Hertwig, Director of the Center for Adaptive Rationality at the Max Planck Institute for Human Development. "But we can take steps to avoid falling into them. In the same way as we might hide our chocolate stash at the back of the cupboard and put a bowl of apples on the table, we can turn off notifications from apps that permanently demand our attention. Out of sight is out of mind - whether in real life or in the digital world."

And just as we look right and left before crossing a street, we should make a habit of asking certain questions to evaluate the content we encounter online. Questions such as: What is the origin of the information? Which sources are cited? Can I find similar content on reputable websites? This approach can boost users' competence in evaluating the reliability of online information. But Internet platforms could also help users to assess content - for example, by displaying decision trees that remind users to check the source and the facts before sharing content.

More generally, however, policymakers also need to consider putting in place stronger regulatory measures to ensure that Internet users retain control over the digital environment and their personal data - for example, through default privacy settings. Last but not least, the smart and self-determined use of digital technologies needs to be taught in both school and adult education. The earlier, the better.

The researchers emphasize that none of the interventions they propose can singlehandedly counter online manipulation or prevent the spread of misinformation. "It will take a combination of smart cognitive tools, early media literacy education, and a regulatory framework that limits the power of commercial interests to hijack people's attention to make the online world a more democratic and truthful place," says Stephan Lewandowsky, professor of cognitive psychology at the University of Bristol.

###

The Max Planck Institute for Human Development in Berlin was founded in 1963. It is an interdisciplinary research institution dedicated to the study of human development and education. The Institute belongs to the Max Planck Society for the Advancement of Science, one of the leading organizations for basic research in Eu

Study explores neurocognitive basis of bias against people who look different

Brain responses and attitudes reflect the "anomalous is bad" stereotype, Penn Medicine research shows

UNIVERSITY OF PENNSYLVANIA SCHOOL OF MEDICINE

Research News

PHILADELPHIA--The "scarred villain" is one of the oldest tropes in film and literature, from Scar in "The Lion King" to Star Wars' Darth Vader and the Joker in "The Dark Knight." The trope is likely rooted in a long-evolved human bias against facial anomalies -- atypical features such as growths, swelling, facial paralysis, and scars. A new brain-and-behavior study from researchers in the Perelman School of Medicine at the University of Pennsylvania illuminates this bias on multiple levels.

The researchers, whose findings were published this week in the Annals of the New York Academy of Sciences, used surveys, social simulations, and functional MRI (fMRI) studies to study hundreds of participants' responses and attitudes towards attractive, average, and anomalous faces. The findings clarify how the "anomalous-is-bad" stereotype manifests, and implicate a brain region called the amygdala as one of the likely mediators of this stereotype.

"Understanding the psychology of the 'anomalous-is-bad' stereotype can help, for example, in the design of interventions to educate the public about the social burdens shouldered by people who look different," said lead author Clifford Workman, PhD, a postdoctoral researcher in the Penn Center for Neuroaesthetics. The center is led by Anjan Chatterjee, MD, a professor of Neurology at Penn Medicine, who was senior author of the study.

Bias against people with facial disfigurements has been demonstrated in various prior studies. Researchers broadly assume that this bias reflects ancient adaptive traits which evolved to promote healthy mate selection, for example, and to steer us clear of people who have potentially communicable diseases. Regardless the cause, for many people, their facial anomalies render them unjust targets of discrimination.

In their study, Workman and colleagues investigated how this bias manifests at different levels, from expressed attitudes towards faces, to actual behavior during simulated social interactions, and even down to brain responses when viewing faces.

In one part of the study, the researchers showed a set of faces that were either average-looking, attractive, or anomalous to 403 participants from an online panel, and asked them to rate the depicted people on various measures. The researchers found that, compared to more attractive faces, participants considered anomalous faces less trustworthy, less content, and more anxious, on average. The anomalous faces also made the participants feel less happy. Participants also acknowledged harboring "explicit bias" reflected in negative expectations about people with anomalous faces as a group.

In the other part of the study, Workman and colleagues examined moral attitudes and dispositions, the behavior during simulated social interaction, and fMRI-measured brain responses, for 27 participants who viewed similar sets of faces.

Here again there was some evidence of the anomalous-is-bad habit of thinking, though it was not clear that this translated into mistreatment of people with anomalous faces. For example, in a simulated donation game measuring pro-sociality -- the willingness to be positive and helpful towards another -- the participants were not significantly less pro-social towards anomalous-looking people. However, participants in the highest tier of socioeconomic status, compared to the others, were significantly less pro-social towards anomalous-looking people.

On fMRI scans, brain regions called the amygdala and the fusiform gyri showed significant neural responses specifically to anomalous faces. Activity in a portion of the left amygdala, which correlated with less pro-sociality towards anomalous faces, also seemed related to participants' beliefs about justice in the world and their degree of empathic concern.

"We hypothesize that the left amygdala integrates face perception with moral emotions and social values to guide behavior, such that weaker emotional empathy, and a stronger belief that the world is just, both facilitate dehumanizing people with facial anomalies," Chatterjee said.

Analyzing such responses is inherently challenging, because they involve a mix of subjective perceptions, such as the "visual salience," or relative importance, of a face, and the "emotional arousal" elicited by seeing the face. To inform future research, as part of the study, the team used the fMRI data to clarify which brain regions are associated with these distinct aspects of the experience of seeing faces.

###

Additional co-authors included Stacey Humphries, Franziska Hartung, Geoffrey Aguirre, and Joseph Kable.

The research was supported by the Penn Center for Human Appearance and the National Institute of Dental & Craniofacial Research of the National Institutes of Health (F32DE029407).

Penn Medicine is one of the world's leading academic medical centers, dedicated to the related missions of medical education, biomedical research, and excellence in patient care. Penn Medicine consists of the Raymond and Ruth Perelman School of Medicine at the University of Pennsylvania (founded in 1765 as the nation's first medical school) and the University of Pennsylvania Health System, which together form a $8.6 billion enterprise.

The Perelman School of Medicine has been ranked among the top medical schools in the United States for more than 20 years, according to U.S. News & World Report's survey of research-oriented medical schools. The School is consistently among the nation's top recipients of funding from the National Institutes of Health, with $494 million awarded in the 2019 fiscal year.

The University of Pennsylvania Health System's patient care facilities include: the Hospital of the University of Pennsylvania and Penn Presbyterian Medical Center--which are recognized as one of the nation's top "Honor Roll" hospitals by U.S. News & World Report--Chester County Hospital; Lancaster General Health; Penn Medicine Princeton Health; and Pennsylvania Hospital, the nation's first hospital, founded in 1751. Additional facilities and enterprises include Good Shepherd Penn Partners, Penn Medicine at Home, Lancaster Behavioral Health Hospital, and Princeton House Behavioral Health, among others.

Penn Medicine is powered by a talented and dedicated workforce of more than 43,900 people. The organization also has alliances with top community health systems across both Southeastern Pennsylvania and Southern New Jersey, creating more options for patients no matter where they live.

Penn Medicine is committed to improving lives and health through a variety of community-based programs and activities. In fiscal year 2019, Penn Medicine provided more than $583 million to benefit our community.

Limited transmission of Covid-19 from open schools but teachers were affected

UPPSALA UNIVERSITY

Research News

IMAGE

IMAGE: HELENA SVALERYD, PROFESSOR AT DEPARTMENT OF ECONOMICS, UPPSALA UNIVERSITY view more 

CREDIT: MIKAEL WALLERSTEDT

Most countries introduced school closures during the spring of 2020 despite substantial uncertainty regarding the effectiveness in containing SARS-CoV-2. In Sweden, upper-secondary schools moved online while lower-secondary schools remained open. A comparison of parents with children in the final year of lower-secondary and first year of upper-secondary school shows that keeping the former open had limited consequences for the overall transmission of the virus. However, the infection rate doubled among lower-secondary teachers relative to upper-secondary ones. The infection rate among partners of lower-secondary teacher was 30 percent higher than among their upper-secondary counterparts.

On March 18, 2020, Swedish upper-secondary schools moved to online instruction while lower-secondary schools remained open. This facilitates a comparison of infections and disease between groups that are comparable in other regards. In the study, all PCR-confirmed cases of SARS-CoV-2 and all healthcare registered cases of COVID-19 until the summer break are linked to register data on families and teachers in lower and upper-secondary schools.

Since the age of the student is likely to correlate with the severity of symptoms, student infectiousness and various types of risk behaviour, it is crucial to compare parents to children close in age. According to the study, the risk of infection was 17 percent higher among parents whose youngest child studied at the final year of lower-secondary rather than the first year of upper-secondary school. Had lower-secondary schools moved online, the estimates correspond to 500 fewer detected cases among a total of 450 000 lower-secondary parents (4.5 percent of the population). This can be compared to 53 000 PCR-confirmed cases in the total population during until the summer break in mid-June.

When comparing lower to upper-secondary teachers, we find that the risk for both PCR-confirmed infection and healthcare treatment due to COVID-19 doubled by keeping schools open. Among 124 occupations, upper-secondary teachers had a median risk of infection while lower-secondary were the 7th most affected. This comparison excludes healthcare workers who had markedly different access to PCR-testing. By the end of June, 79 out of 39 500 lower-secondary teachers had been hospitalized due to COVID-19, one of whom deceased. According to the study, this number had been down to 46 if lower-secondary schools had closed.

It is well-known that SARS-CoV-2 is transmitted within households. The study finds that the risk of a positive PCR-test was 30 percent higher among partners of lower-secondary teachers than among their upper-secondary counterparts. The estimates for more serious cases of COVID-19 are somewhat lower than for PCR-tests but - just as for parents - these estimates are imprecise.

Closing the schools is a costly measure with potentially long-run detrimental effects for students. The results for parents are in line with theoretical models predicting a limited impact of school closures on the general transmission of SARS-CoV-2. In an international comparison, the precautionary measures undertaken in Swedish schools are best described as mild. Thus, strict measures within open schools cannot explain the relatively minor impact on the overall rate of transmission. The results for teachers suggest that further precautionary measures could be considered.

The study does not analyse the impact of school closures for virus transmission among students. We note, however, that there are few cases of serious illness among the young. In particular, zero deaths from COVID-19 had been recorded among 2-19 year olds in Sweden until mid-summer 2020.

###

Reference: The effects of school closures on SARS-CoV-2 among parents and teachers; Jonas Vlachos, Edvin HertegÃ¥rd, Helena B. Svaleryd; Proceedings of the National Academy of Sciences Mar 2021, 118 (9) e2020834118; DOI: 10.1073/pnas.2020834118