Thursday, May 22, 2025

 

Uncovering the shield: gene duplication behind antifungal resistance in Madurella fahalii


Research reveals how an extra gene allows a specific mycetoma-causing fungus to neutralize medication




Chiba University

Key differences in protein structure that result in antifungal resistance 

image: 

Models of the proteins produced by Madurella fahalii: CYP51A (A and C) and CYP51A2 (B and D). In each panel, itraconazole and heme are illustrated in a stick representation in the upper and lower parts, respectively. (A) and (B) represent the overall structure of CYP51 proteins. In (C) and (D), the active centers of (A) and (B) were enlarged with their protein backbones made translucent, respectively.

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Credit: Associate Professor Takashi Yaguchi from Chiba University, Japan




Mycetoma is a chronic and progressively debilitating disease that affects thousands of people living in tropical and subtropical regions, particularly those in low-resource settings. Characterized by painful swelling, skin nodules, and pus-discharging sinuses, the condition primarily affects individuals who come into frequent contact with soil, such as agricultural and manual workers. Despite its serious health and socioeconomic consequences, mycetoma has been largely overlooked by global medical research, resulting in limited diagnostic tools and few effective treatment options.

 

To treat the fungal form of mycetoma, known as eumycetoma, physicians have relied on itraconazole—an antifungal medication that targets a key fungal enzyme. However, cases caused by Madurella fahalii, a lesser-known fungal species, have repeatedly shown resistance to this drug, leaving patients with few alternatives. Until recently, the reasons behind this resistance remained poorly understood.

 

In an effort to address this knowledge gap, a research team led by Associate Professor Takashi Yaguchi from the Medical Mycology Research Center, Chiba University, investigated the molecular mechanisms behind itraconazole resistance in M. fahalii. In their latest study, published on March 27, 2025, in PLOS Neglected Tropical Diseases, the researchers used advanced genetic and biomolecular chemistry tools to uncover why this well-established treatment fails against M. fahalii but not other Madurella species. Other members of the research team included Dr. Isato Yoshioka from the Medical Mycology Research Center, Chiba University, Prof. Ahmed Hassan Fahal from Mycetoma Research Center, University of Khartoum, Prof. Satoshi Kaneko from the School of Tropical Medicine and Global Health, Nagasaki University, and Assistant Professor Wei Cao from the Research Institute for Science and Engineering, Waseda University.

 

Using genome sequencing and genetic engineering techniques, the researchers identified that, unlike its treatable cousin M. mycetomatisM. fahalii possesses an additional gene encoding the enzyme cytochrome P450 14-α sterol demethylase (CYP51). This second copy of the M. fahalii-specific gene (Mfcyp51A2), which encodes the specific target of itraconazole, has key functional and structural differences compared to the gene common with M. mycetomatis (Mfcyp51A1), effectively neutralizing the drug’s impact.

 

The team confirmed their discovery through multiple approaches. They demonstrated that both copies of the gene become more active when the fungus is exposed to itraconazole, with the unique Mfcyp51A2 gene showing particularly strong activation—a typical defensive response. When the researchers transplanted these genes into yeast cells for further testing, cells carrying the Mfcyp51A2 gene were markedly less susceptible to itraconazole compared to those with the standard gene version.

 

Additionally, computer simulations revealed that while itraconazole can bind to both versions of the enzyme, its interaction with the variant encoded by Mfcyp51A2 is weaker, explaining why the drug becomes less effective against M. fahalii infections. “This study represents the first report on the physiological characteristics of Madurella species using genetic engineering techniques,” remarks Dr. Yaguchi, “These findings highlight the potential of molecular techniques in uncovering drug resistance mechanisms in neglected fungal pathogens.”

 

Overall, this work marks an important step forward in addressing a severe disease that primarily affects impoverished communities. By understanding how drug resistance develops at the molecular level, scientists can now work on targeted approaches to overcome it, bringing hope to thousands of patients worldwide who have limited access to specialized healthcare. “Our findings will hopefully pave the way for more effective treatment strategies for eumycetoma caused by M. fahalii in the future,” concludes Dr. Yaguchi, expressing optimism.

 

As mycetoma continues to pose challenges in regions with limited medical infrastructure, studies like this demonstrate the role of basic science in addressing real-world health problems. By exploring the genetic basis of treatment resistance, researchers are building the foundation for targeted, effective therapies that could benefit thousands worldwide.

 

 

About Associate Professor Takashi Yaguchi from Chiba University

Dr. Takashi Yaguchi is an Associate Professor at the Medical Mycology Research Center of Chiba University. He specializes in the collection, preservation, identification, and characterization of fungi that are pathogenic to humans. He has published over 300 papers on these topics. He is also a member of several academic societies, including the Mycological Society of America, the Japanese Society for Medical Mycology, and the Mycological Society of Japan.

 

Understanding the divide: a deep dive into healthcare in Mongolia



Researchers outline the strengths and weaknesses of Mongolia’s healthcare system in rural and urban areas, noting strategies to improve quality and access



Sophia University

Towards a Better Healthcare System in Mongolia 

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Owing to its unique geographical features and historical circumstances, Mongolia’s healthcare system differs greatly between its main urban centers and its remote rural areas. Researchers analyzed the strengths and weaknesses of current healthcare provisioning in Mongolia, proposing several strategies to improve delivery. 

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Credit: Associate Professor Yae Yoshino from Sophia University, Japan





Mongolia, the world’s second-largest landlocked country, presents a unique healthcare landscape owing to its distinctive geography and historical influences. Nearly half of its population is concentrated in the capital city of Ulaanbaatar, and the remainder is scattered across vast semi-desert areas known as the Gobi Desert. Because of this, Mongolia faces significant challenges in delivering equitable healthcare. On top of this geographical divide, the lingering impact of Soviet and Chinese healthcare models has created a system of stark contrasts—modern facilities abound in larger urban centers, while limited resources are common in remote areas, where travel distances to healthcare can exceed 95 km over rough terrain.

 

In a recent paper published in the Journal of Global Health on March 14, 2025, a research team led by Associate Professor Yae Yoshino from Sophia University, Japan, examined these and other unique features of the Mongolian healthcare system. Their comprehensive analysis goes over how Mongolia’s unique geographical, cultural, and historical circumstances have shaped its healthcare delivery system, reviewing its core strengths and weaknesses and offering practical recommendations to improve healthcare access across the country.

 

Despite the above-mentioned challenges, the researchers identified several strengths in Mongolia’s approach to healthcare. The country maintains a relatively young and strong population thanks to early retirement policies, particularly for women with four or more children. Mongolia also provides universal healthcare coverage with free access to primary care for all citizens through a semashko-style centralized system established during the Soviet era. Moreover, traditional Mongolian medicine, which has been influenced by Indian, Chinese, and Tibetan traditional medicine, remains deeply embedded in cultural practices and serves as a primary healthcare resource in remote areas, offering treatments that are both culturally appropriate and easily accessible. At the national university, specialists in traditional medicine are trained and hold national qualifications.

 

However, in many remote areas, healthcare delivery often faces substantial obstacles. “The shortage of healthcare providers in rural areas is a significant concern,” notes Dr. Yoshino. “The limited workforce strains the system and hampers the ability to offer timely and comprehensive medical services in rural communities.” In some remote areas like Altanshiree, fewer than ten healthcare professionals serve entire communities, often traveling directly to patients living in traditional yurts across challenging terrain.

 

The researchers also highlight structural issues within the healthcare profession itself. Since 2010, there has been a slight increase in the number of faculty members who have completed master's and doctoral programs at overseas graduate schools and are now teaching. However, more than 90% of the faculty members at nursing universities are doctors. “Nurses in Mongolia are still largely viewed as assistants to doctors and are unable to act independently in patient and perinatal care without a doctor’s orders. In remote areas, healthcare is often provided by mid-level professionals known as assistant doctors, who serve roles between those of doctors and nurses. Reaching care can be challenging—residents sometimes travel by horse, motorcycle, or on foot for more than half a day to access the nearest clinic,” explains Dr. Yoshino. This hierarchical structure undermines the potential contributions of these professionals, especially in rural areas where they could significantly expand access to healthcare.

 

Disease prevention is another significant challenge. The leading causes of death in Mongolia include respiratory, digestive, genitourinary, and circulatory system diseases, yet preventive screenings for conditions like hypertension, diabetes, and colon cancer are not routinely included in national health guidelines. Unfortunately, cultural dietary practices, including salty milk tea, sweet desserts, and heavy meat consumption, contribute to this problem.

 

To address these issues, the paper outlines multiple practical recommendations. The authors argue that Mongolia could strengthen its ‘third neighbor policy,’ which promotes relationships beyond Russia and China, to build healthcare partnerships with countries like the USA and Japan. These collaborations could improve healthcare education and workforce capacity, and encourage the implementation of WHO guidelines on disease prevention.

 

Technology represents another area with potential for improvement, as online platforms could help connect urban expertise to remote locations through telemedicine. Expanding the professional roles and autonomy of nurses and midwives would also help optimize Mongolia’s scarce healthcare resources in such places. Meanwhile, integrating health screenings into community and religious events could make preventive care more accessible and culturally relevant. “These strategies could lead to a more robust, accessible, and culturally sensitive healthcare system, improving the well-being of individuals and communities across Mongolia,” concludes Dr. Yoshino.

 

Overall, the research team emphasizes that by acknowledging Mongolia’s unique challenges while building on its existing strengths, the country can develop a healthcare model that effectively serves all citizens.

 

Reference

Title of original paper: 

The strength and weakness of Mongolian healthcare: From nomadic Gobi to Ulaanbaatar

Journal: 

Journal of Global Health

DOI:

10.7189/jogh.15.03015

Authors:

Wei-Ti Chen1, Otgonchimeg Mangal2, Khulan Munkhbaatar3, Enkhtuya Vankhuu4, Rachel HA Arbing1, Yae Yoshino5, and 2024 Sophia University Global Health Practicum Team

Affiliations:

1School of Nursing, University of California, 2Dornogovi Medical School, Mongolian National University of Medical Sciences, 3Sho-ei Kai, Social Welfare Corporation,4International School of Mongolian Medicine, Mongolian National University of Medical Sciences,Department of Nursing, Faculty of Human Sciences, Sophia University

 

About Sophia University

Established as a private Jesuit-affiliated university in 1913, Sophia University is one of the most prestigious universities located in the heart of Tokyo, Japan. Imparting education through 29 departments in 9 faculties and 25 majors in 10 graduate schools, Sophia hosts more than 13,000 students from around the world.

 

Conceived with the spirit of “For Others, With Others,” Sophia University truly values internationality and neighborliness, and believes in education and research that goes beyond national, linguistic, and academic boundaries. Sophia emphasizes the need for multidisciplinary and fusion research to find solutions for the most pressing global issues, like climate change, poverty, conflict, and violence. Over the course of the last century, Sophia has made dedicated efforts to hone future-ready graduates who can contribute their talents and learnings for the benefit of others, and pave the way for a sustainable future while “Bringing the World Together.”

Website: https://www.sophia.ac.jp/eng/

 

About Associate Professor Yae Yoshino from Sophia University

Yae Yoshino is an Associate Professor at the Faculty of Human Sciences, Department of Nursing of Sophia University. She obtained a Ph.D. degree in Medical Sciences from Kitasato University and MSc. PH and DPHTM degrees from the London School of Hygiene and Tropical Medicine. Her research focuses on human resource development for maternal and child health in developing countries, as well as the creation of a database of early childhood development situations in foreign countries and in Japan. She has published over 14 research papers on these topics and received numerous awards for her contributions, especially in Mongolia.

 

Ox-eye daisy, bellis and yarrow: Flower strips with at least two sown species provide 70 percent more natural enemies of pests





University of Copenhagen - Faculty of Science





They may look good in the landscape, but are they, in fact, useful? This is a subject of frequent debate. In recent years, flower strips along fields and ditches have become popular both in Denmark and abroad. One of the purposes of the strips is to attract more predatory insects that can naturally control pests in the fields, rather than relying on pesticides. The EU aims to reduce pesticide use by 50 percent by 2030.

A meta-analysis from the University of Copenhagen shows that flower strips are effective. At least if they have two or more flower species. The analysis has reviewed a large number of studies that have measured the effects of flower strips on the abundance of natural enemies. And the overall picture is clear.

“Our study confirms that diversity pays off. The more species in the flower strip, the more natural enemies in the field,” says senior author of the study, Associate Professor Lene Sigsgaard from the Department of Plant and Environmental Sciences.

Overall, the results suggest that flower strips with just two different species increase the number of natural enemies by an average of 70 percent.

“Having high species diversity is clearly beneficial. If you only have one flower species, the difference is not significant. However, with just two species, there are 70 percent more natural enemies as if there were no flowers. And the abundance of natural enemies increases by 4.1 percent for each new flower species you add,” says Nika Jachowicz, lead author of the study and Industrial PhD fellow at the Department of Plant and Environmental Sciences. The study is part of Nika Jachowicz's recently completed PhD.

The likely explanation is that multi-species flower strips can feed natural enemies throughout the growing season because they flower at different times. In addition, the flowers most favoured by which beneficial insects vary.

“You can be lucky that one flower species performs well, but if you have only one species, it all depends on how it grows and whether it suits the beneficial insects in that field. It's more vulnerable. More flower species provide greater certainty of success and support a broader range of beneficials,” Lene Sigsgaard says.

More ladybirds and hoverflies

The meta-analysis demonstrates that flower strips primarily attract natural enemies that prey on plants, such as ladybirds, flower bugs, soldier beetles, hoverflies and green lacewings. This group of natural enemies eat aphids, thrips, spider mites as well as eggs and larvae of various pests. 

However, it's not just the number of species in the strip that matters; it's also important to choose flower species with the right characteristics:

“Flowers such as yarrow, ox-eye daisy, bellis and various umbelliferous flowers are suitable for flower strips because they have open flowers with easy access to pollen and nectar, which is an advantage for predatory insects, parasitic wasps and solitary bees,” Nika Jachowicz says.

Pollen and nectar serve as food supplements, allowing natural enemies to survive in the absence of prey.

Lene Sigsgaard also recommends that farmers choose seed mixes with perennial native species such as yarrow and ox-eye daisy:

“Native species are those that, through evolution, have the best impact on the insects that live in Denmark. And if they are perennial species, you can have flower strips that last for many years if you look after them properly. Beneficial insects can overwinter here and build up their populations, benefiting biodiversity and plant production. In this way, you also strengthen the economic argument for having flower strips.”

Making it easier to receive funding

EU policy aims to reduce the need for pesticide spraying by promoting robust plant production with as high a level of self-defence as possible, that is, providing the best possible conditions for natural enemies and pollinators to be present in the fields. And this is where flower strips play a role.

Flower strips are one method for promoting ecological balance and reducing pesticide use. They can’t stand alone, but the great thing about them is that they can be easily combined with other preventive measures, such as crop rotation and biological control. And it doesn't harm that perennial flower strips contribute to biodiversity in the open countryside,” Lene Sigsgaard says.

In Europe, national subsidy schemes for flower strips have been in place since the 1990s. But, according to the researchers, strips could be even more widespread if it becomes easier for farmers to apply for subsidies to plant them:

“We hear from farmers that it's difficult to obtain subsidies for flower strips, partly because the rules regarding when to sow and mow them are complex. There are several boxes to tick that may not quite align with the purpose of attracting more natural enemies. So we encourage the authorities to make it easier to get funding for flower strips,” Nika Jachowicz ends.

 

 

ABOUT THE REVIEW

  • In the meta-analysis, the researchers reviewed 24 studies comprising 382 trials measuring the abundance of beneficial insects in flower strips.
  • The meta-analysis has been published in the scientific journal Agriculture, Ecosystems and Environment.

 

FLOWER STRIPS IN A DISTURBED SYSTEM

The meta-analysis is the first to exclusively examine the effect of flower strips in fields with annual crops.

“Other studies have shown many success stories with perennial crops, but there is a significant difference between how flower strips work in such a system and in a system that is disturbed every year by ploughing and machine traffic. Fields with annual crops present more challenging and complex conditions for flower strips. But here too, there is a clear effect of flower strips,” Nika Jachowicz says.

Study: Climate change may make it harder to reduce smog in some regions



Ground-level ozone in North America and Western Europe may become less sensitive to cutting NOx emissions. The opposite may occur in northeast Asia.



Massachusetts Institute of Technology





CAMBRIDGE, MA – Global warming will likely hinder our future ability to control ground-level ozone, a harmful air pollutant that is a primary component of smog, according to a new MIT study.

The results could help scientists and policymakers develop more effective strategies for improving both air quality and human health. Ground-level ozone causes a host of detrimental health impacts, from asthma to heart disease, and contributes to thousands of premature deaths each year.

The researchers’ modeling approach reveals that, as the Earth warms due to climate change, ground-level ozone will become less sensitive to reductions in nitrogen oxide emissions in eastern North America and Western Europe. In other words, it will take greater nitrogen oxide emission reductions to get the same air quality benefits.

However, the study also shows that the opposite would be true in northeast Asia, where cutting emissions would have a greater impact on reducing ground-level ozone in the future.  

The researchers combined a climate model that simulates meteorological factors, such as temperature and wind speeds, with a chemical transport model that estimates the movement and composition of chemicals in the atmosphere.

By generating a range of possible future outcomes, the researchers’ ensemble approach better captures inherent climate variability, allowing them to paint a fuller picture than many previous studies.

“Future air quality planning should consider how climate change affects the chemistry of air pollution. We may need steeper cuts in nitrogen oxide emissions to achieve the same air quality goals,” says Emmie Le Roy, a graduate student in the MIT Department of Earth, Atmospheric and Planetary Sciences (EAPS) and lead author of a paper on this study.

Her co-authors include Anthony Y.H. Wong, a postdoc in the MIT Center for Sustainability Science and Strategy; Sebastian D. Eastham, principal research scientist in the MIT Center for Sustainability Science and Strategy; Arlene Fiore, the Peter H. Stone and Paola Malanotte Stone Professor of EAPS; and senior author Noelle Selin, a professor in the Institute for Data, Systems, and Society (IDSS) and EAPS. The research appears today in Environmental Science and Technology.

 

Controlling ozone

Ground-level ozone differs from the stratospheric ozone layer that protects the Earth from harmful UV radiation. It is a respiratory irritant that is harmful to the health of humans, animals, and plants.

Controlling ground-level ozone is particularly challenging because it is a secondary pollutant, formed in the atmosphere by complex reactions involving nitrogen oxides and volatile organic compounds in the presence of sunlight.

“That is why you tend to have higher ozone days when it is warm and sunny,” Le Roy explains.

Regulators typically try to reduce ground-level ozone by cutting nitrogen oxide emissions from industrial processes. But it is difficult to predict the effects of those policies because ground-level ozone interacts with nitrogen oxide and volatile organic compounds in nonlinear ways.

Depending on the chemical environment, reducing nitrogen oxide emissions could cause ground-level ozone to increase instead.

“Past research has focused on the role of emissions in forming ozone, but the influence of meteorology is a really important part of Emmie’s work,” Selin says.

To conduct their study, the researchers combined a global atmospheric chemistry model with a climate model that simulate future meteorology.

They used the climate model to generate meteorological inputs for each future year in their study, simulating factors such as likely temperature and wind speeds, in a way that captures the inherent variability of a region’s climate.

Then they fed those inputs to the atmospheric chemistry model, which calculates how the chemical composition of the atmosphere would change because of meteorology and emissions.

The researchers focused on Eastern North America, Western Europe, and Northeast China, since those regions have historically high levels of the precursor chemicals that form ozone and well-established monitoring networks to provide data.

They chose to model two future scenarios, one with high warming and one with low warming, over a 16-year period between 2080 and 2095. They compared them to a historical scenario capturing 2000 to 2015 to see the effects of a 10 percent reduction in nitrogen oxide emissions.

 

Capturing climate variability

“The biggest challenge is that the climate naturally varies from year to year. So, if you want to isolate the effects of climate change, you need to simulate enough years to see past that natural variability,” Le Roy says.

They could overcome that challenge due to recent advances in atmospheric chemistry modeling and by taking advantage of parallel computing to simulate multiple years at the same time. They simulated five 16-year realizations, resulting in 80 model years for each scenario.

The researchers found that eastern North America and Western Europe are especially sensitive to increases in nitrogen oxide emissions from the soil, which are natural emissions driven by increases in temperature.

Due to that sensitivity, as the Earth warms and more nitrogen oxide from soil enters the atmosphere, reducing nitrogen oxide emissions from human activities will have less of an impact on ground-level ozone.

“This shows how important it is to improve our representation of the biosphere in these models to better understand how climate change may impact air quality,” Le Roy says.

On the other hand, since industrial processes in northeast Asia cause more ozone per unit of nitrogen oxide emitted, cutting emissions there would cause greater reductions in ground-level ozone in future warming scenarios.

“But I wouldn’t say that is a good thing because it means that, overall, there are higher levels of ozone,” Le Roy adds.

Running detailed meteorology simulations, rather than relying on annual average weather data, gave the researchers a more complete picture of the potential effects on human health.

“Average climate isn’t the only thing that matters. One high ozone day, which might be a statistical anomaly, could mean we don’t meet our air quality target and have negative human health impacts that we should care about,” Le Roy says.

In the future, the researchers want to continue exploring the intersection of meteorology and air quality. They also want to expand their modeling approach to consider other climate change factors with high variability, like wildfires or biomass burning.

“We’ve shown that it is important for air quality scientists to consider the full range of climate variability, even if it is hard to do in your models, because it really does affect the answer that you get,” says Selin.

###

This work is funded, in part, by the MIT Praecis Presidential Fellowship, the J.H. and E.V. Wade Fellowship, and the MIT Martin Family Society of Fellows for Sustainability.

 

BU/VA study identifies neural mechanisms that underlie suicidal thoughts, behaviors



“Findings will help facilitate evidence-based interventions that save lives”



Boston University School of Medicine





(Boston)—Implicit Association Tests (IATs) are computerized tests that can be used to assess the subconscious association between different concepts. A form of the IAT, the Suicide Implicit Association Test (S-IAT), can measure people’s associations between the “self” and concepts relating to death/dying/suicide. While S-IAT is one of the few tests that uniquely predicts future suicide risk, there has been limited research investigating brain activation related to the S-IAT.

 

For the first time in a Veteran population, researchers have identified several brain regions that were sensitive to self-death associations. These brain regions are a part of brain networks that are involved in identifying important stimuli in our environment and processing information as it relates to our “self”. The results from this study mark an important step towards characterizing neural mechanisms that contribute to suicidality.

 

“Currently, there is no consensus on what neural mechanisms contribute to suicide risk, so observing brain activation related to the S-IAT could lead to a breakthrough in our understanding the underlying neural mechanisms of suicide risk,” explains corresponding author Audreyana Jagger-Rickels, PhD, assistant professor of psychiatry at Boston University Chobanian & Avedisian School of Medicine.

 

Forty-two post-9/11 Veterans at low risk for suicide completed S-IAT concurrently with functional magnetic resonance imaging (fMRI) – a neuroimaging technique that measures brain activity by detecting changes in blood flow. The S-IAT included a total of 20 target words; five words from each of these four word categories: Death, Life, Me, Not Me.

 

For each trial, one of the 20 target words was presented in the center of the screen. Simultaneously, on the top left and top right of the screen were two choices for categorizing the target word. The participant categorized the target word in the center of the screen into one of the two categories at the top of the screen. In certain trials, participants categorized “death” and “me” words to the same side of the screen. These trials measured implicit self-death associations. To identify brain activation related to self-death associations, the researchers then contrasted a participant making a self-death association compared to the brain activation when someone was not making a self-death association.

 

“The brain circuit that we identified could be a novel treatment target for suicidality. For instance, changing the activity of this brain circuit with techniques like neuro-feedback, brain stimulation, or pharmacotherapies could reduce suicide risk by targeting the brain circuit that underlies this suicide-specific cognition (self-death implicit association),” adds Jagger-Rickels who also is principal investigator in the National Center for PTSD at the VA Boston Healthcare System.
 

According to the researchers, one of the challenges in identifying brain circuits related to suicide is that we are often indirectly relating some brain pattern to a patient's history or reported symptoms related to suicide. While this type of analysis is informative, it does not tell us how the brain activates to initiate or sustain suicidal thoughts and behaviors. As a result, identifying brain circuits related to suicide risk has been limited as we can identify brain regions associated with suicide risk but not how they are contributing to suicide risk. "Using measures like the S-IAT, which measures a suicide-specific cognition, will not only help us identify brain mechanisms that underlie suicidality but also how they contribute to suicidality. In turn, this may also aid in the development of novel treatments targeting the brain mechanisms underlying suicidal thoughts and behaviors."

 

These findings appear online in journal Suicide and Life-Threatening Behavior.