It’s possible that I shall make an ass of myself. But in that case one can always get out of it with a little dialectic. I have, of course, so worded my proposition as to be right either way (K.Marx, Letter to F.Engels on the Indian Mutiny)
Monday, May 11, 2026
PHYTOLOGY
Research shows soil temperature modulated millet agriculture in Neolithic East Asia
Millet has been an important crop in East Asia for much of the Holocene, a period beginning about 11,700 years ago. To better understand how environmental conditions may have shaped the development of millet agriculture, researchers from the Institute of Earth Environment of the Chinese Academy of Sciences, and their collaborators in and aboard China investigated loess deposits from the Chinese Loess Plateau (CLP).
The study, which was published in PNAS on May 4, suggests that fluctuations in growing-season soil temperature played an important role in modulating the development and geographic spread of millet agriculture in East Asia. The researchers found that mid-Holocene soil cooling from about 7,500 to 6,000 years ago likely reduced thermally suitable zones for millet cultivation, contributing to a southward displacement of farming and a delayed large-scale agricultural expansion until subsequent soil temperature recovery after around 6,000 years ago.
To conduct the research, the scientists analyzed loess deposits from the Longgugou (LGG) section of the CLP. They combined 14 radiocarbon and 18 optically stimulated luminescence dates to develop a high‑resolution chronology spanning approximately 12,300 to 2,800 years ago. Based on this chronology, they performed biomarker analyses on 114 samples to reconstruct growing-season soil temperature and vegetation conditions. By integrating these proxy reconstructions with archaeological datasets and transient climate simulations, the researchers explored how Holocene soil temperature variations may have influenced the spatiotemporal evolution of millet agriculture in Neolithic East Asia.
The results indicate that between approximately 12,300 and 7,500 years ago, soil temperatures were relatively high, accompanied by comparatively low moisture and sparse vegetation. From 7,500 to 6,000 years ago, soil temperatures progressively declined under wetter conditions with denser vegetation. After 6,000 years ago, soil temperatures rapidly recovered and then remained relatively stable for millennia, while moisture and vegetation cover decreased.
By comparing these climate and vegetation reconstructions with archeological evidence for millet agriculture, the researchers suggest that, between 8,000 and 7,500 years ago, relatively warmer soils may have supported early millet cultivation Yanshan-Liaoning region, where communities may have faced greater subsistence pressure. In the CLP and lower-latitude regions, millet use appears to have remained limited and likely co-existed with hunting, gathering, and other subsistence practices.
In contrast, from 7,500 to 6,000 years ago, cooler soils, wetter conditions, and denser vegetation may have narrowed reliable cultivation space, particularly near the lower thermal thresholds for frost-sensitive millets. These conditions likely contributed to a southward shift of millet farming toward the CLP and surrounding regions. From 6,000 to 4,000 years ago, recovering and more stable soil temperatures, along with reduced vegetation cover, and advances in cultivation practices, might have facilitated millet expansion and broader late Neolithic development.
This study provides a high-resolution Holocene growing-season soil temperature record from a core region of early millet agriculture in East Asia and highlights soil temperature as an underappreciated climatic constraint on millet agricultural development. The findings suggest that large-amplitude soil temperature fluctuations helped modulate the geographic distribution and developmental trajectory of early millet farming, offering refined insights into climate-society interactions during the Neolithic period in East Asia.
This soil bacterium is recognised by the plant, which, following the release of a signal that spreads throughout all its organs, strengthens its defences against attack by pathogens. Bacillus produces a molecule called surfactin, capable of interacting with root cells (bottom right). More specifically, surfactin binds preferentially to certain lipids in the plant cell membrane (glucosylceramides). This interaction alters the physical properties of the membrane, leading to the opening of mechanosensitive ion channels (top right) and triggering the immune response.
Credit: Created in BioRender. Deleu, M. (2026) https://BioRender.com/qddoip5
A study led by researchers at the University of Liège reveals the mechanism by which surfactin, a molecule produced by beneficial soil bacteria, activates plants’ immune defences. This mechanism, distinct from the classical paradigm of immune recognition, relies on direct interaction with the plant cell membrane. This discovery opens up prospects for the development of next-generation biopesticides.
Plants are not defenceless against pathogens. Certain soil bacteria, far from being mere inhabitants of the roots, send chemical signals to plants that prepare them to resist pathogens. An international research consortium, led by researchers from Gembloux Agro-Bio Tech, has just elucidated the molecular mechanism behind this immunisation. This study shows that surfactin, a cyclic lipopeptide produced by bacteria of the genus Bacillus, acts not via a protein receptor, but by interacting directly with the lipids in the plant cell membrane. "Plants have sophisticated defence mechanisms against disease," explains Marc Ongena, researcher at the TERRA Research Centre. Among these, immunity induced by beneficial soil microorganisms is attracting growing interest, both in fundamental and applied research. We already knew that certain rhizosphere bacteria, particularly those of the genus Bacillus, produce cyclic lipopeptides capable of stimulating plant defences. But how these molecules were recognised by plant cells remained poorly understood until now."
The researchers focused on surfactin - one of these lipopeptides - and its interaction with Arabidopsis thaliana, a model plant commonly used in plant biology. Using a transdisciplinary approach combining cell biology, biochemistry and biophysics, they demonstrated that surfactin binds to sphingolipids - and more specifically to glucosylceramide - present in the root cell membrane. “This interaction causes a slight remodelling of the membrane, increasing its tension, which activates mechanosensitive ion channels,” explains Magali Deleu. This triggers a signalling cascade that spreads from the roots to the leaves and prepares the plant to better resist pathogens, including the fungus Botrytis cinerea, which causes grey mould.
This mechanism differs from the classical paradigm of plant innate immunity, in which the recognition of foreign molecules usually involves membrane protein receptors. Here, it is the physical modification of the membrane itself – rather than a lock-and-key interaction with a receptor protein – that acts as the triggering signal. This finding sheds new light on how plants can perceive their microbial environment and distinguish between beneficial bacteria and true pathogens.
In practical terms, this research forms part of efforts to develop a new generation of biopesticides. By understanding precisely how these bacteria or their molecules activate plant immunity, it becomes possible to envisage more targeted and effective crop protection strategies, partially replacing chemical inputs. These results thus provide a solid scientific basis for guiding the rational development of bio-based products for use in sustainable agriculture.
This study illustrates the value of interdisciplinary basic research in shedding light on concrete agronomic challenges. By deciphering the chemical dialogue between soil bacteria and host plants at the molecular level, the teams at the University of Liège and their partners are opening up new avenues for better exploiting the natural alliances that exist between microorganisms and plants, to the benefit of an agriculture less dependent on synthetic products.
When scientists think about how plants will respond to climate change, they often look north. As temperatures rise, many species are expected to shift their ranges toward cooler regions with a loss of populations in warmer habitats. But new research from the University of Virginia, published in the journal Evolution Letters, suggests the story may be more complicated and more hopeful.
The University of Virginia’s Commonwealth Professor of Biology Laura Galloway and postdoctoral research associate Antoine Perrier are studying what they call “rear-edge” populations, those found at the warmest edges of their geographic ranges. These populations, often descended from groups that survived the last ice age, have endured thousands of years of climate change.
“Because these populations have been there since the last glaciation, they’ve gone through warming in the past,” Galloway said. “We can use them as models for what we might expect in response to future warming.”
Their recent work on a native wildflower brings together multiple lines of evidence, including genomics, greenhouse experiments and field studies, to test how these populations evolved and what that might mean for the future.
Rethinking Vulnerability at the Warm Edge
Conventional ecological models predict that populations at the warm edge of a species’ range will be the first to disappear as temperatures rise. But Perrier and Galloway found something different.
“We often think that populations at the warmer edge are the ones that will go extinct,” Perrier said. “But it turns out there’s a lot that we don’t know about these populations.”
One possibility is that they harbor high genetic diversity, a legacy of their age and persistence since the last ice age, and therefore may be a resource for adapting to future change. Another is that as small, isolated populations, they might show signs of genetic drift, a process that reduces diversity and can make populations more fragile. A third possibility is that these populations have undergone local adaptation, evolving traits that allow them to thrive in conditions warmer than typical for the species.
The answer, in this case, was clear.
“We found patterns of local adaptation throughout the range,” Perrier said. “But what was very interesting is that in the deep south only the populations coming from very similar environments were able to actually grow and reproduce.”
In other words, southern populations have evolved specific traits that allow them to survive and reproduce in warmer climates. Northern populations transplanted into those same conditions failed to flower at all.
A Surprising Forecast for Climate Change
The findings challenge a central assumption about how species will respond to warming. Instead of southern populations disappearing first, the researchers’ data suggest that they are likely to persist, while populations in the middle of the range may struggle.
Many plant species use cold to cue reproduction, “As winters get warmer, populations are expected to experience a loss in reproduction,” Perrier said. “But this was not the case for the rear edge.”
Southern populations may be less affected by continued warming because they have already evolved to reproduce without relying on cold winter cues. By contrast, populations in regions like the mid-Atlantic could face new challenges.
“It’s almost the opposite of what we expect,” Galloway said, noting that both far-northern and far-southern populations may prove more resilient than those in between.
The work also points to practical applications. Traits that allow southern populations to thrive in warmer climates could potentially be introduced into more vulnerable populations through conservation strategies such as assisted gene flow.
Natural Laboratories for the Future
Beyond its immediate findings, the research highlights the value of studying long-term evolutionary history. Rear-edge populations, the researchers argue, act as “natural laboratories” for understanding how species respond to environmental change.
For Perrier, the work underscores both the urgency and the opportunity of climate research.
“We don’t often think of these populations as being the ones that might be the best adapted to future conditions,” he said. “But they could actually persist and change how we think about species responses to climate change.”
When an asteroid as big as Mount Everest struck Earth 66 million years ago, it wiped out all non-avian dinosaurs and roughly a third of life on the planet. But many plants survived the devastation.
In a new study publishing May 8 in the Cell Press journal Cell, researchers reveal that the accidental duplications of genomes—a natural phenomenon—might have helped many flowering plants survive some of the most extreme environmental upheavals in Earth’s history. This strategy could help plants adapt to the rapid climate changes unfolding today.
“Whole-genome duplication is often seen as an evolutionary dead end in stable environments,” says author Yves Van de Peer of Ghent University in Belgium. “But in harsh situations, it can provide unexpected advantages.”
Most organisms carry two sets of chromosomes, one from each parent. But in flowering plants, many species carry additional sets as a result of random whole-genome duplication. For example, most cultivated bananas have three sets of chromosomes while wheat plants can have as many as six, a condition known as polyploidy.
Whole-genome duplication occurs relatively frequently in plants, and it can be costly. Larger genomes require more nutrients to maintain, increase the risk of acquiring harmful mutations, and affect fertility. For these reasons, only a small fraction of duplicated genomes are retained and passed down through generations in the wild.
On the other hand, genome duplications can increase genetic variations, and genes can evolve new functions. These changes may help organisms better tolerate stress such as heat or drought.
To understand why some duplicated genomes persist, Van de Peer and his team analyzed the genomes of 470 species of flowering plants, constructing one of the largest datasets of its kind. They looked for blocks of genes that appear in almost identical pairs—a marker of past whole-genome duplication events. Then, they compared the data with information from 44 plant fossils to estimate when these duplications occurred.
Their analysis revealed a striking pattern. The researchers found that the genes that persist over time tend to originate from whole-genome duplications during major periods of environmental upheaval. These include the asteroid-triggered mass extinction 66 million years ago, several periods of global cooling when ecosystems collapsed, and the Paleocene-Eocene Thermal Maximum (PETM) about 56 million years ago—a period of rapid global warming.
The findings help explain a long-standing puzzle of why polyploidy is common, but only a few persevere in plant genomes over millions of years. Under these extreme conditions, polyploid plants might have gained an edge. Traits that are normally disadvantageous, such as maintaining a larger and more complex genome, can become beneficial, say the researchers.
The study also offers some clues about how plants may respond to climate change today. During the PETM, global temperatures rose by about 5 to 9°C (9 to 14°F) over roughly 100,000 years, a change comparable to the warming happening today.
“While the current climate is warming at a much faster rate, what we see from the past suggests that polyploidy may help plants cope with these stressful conditions,” Van de Peer says.
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This work was supported by Research Foundation–Flanders, the European Research Council, and Ghent University.
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Photosynthesis is one of the most complex processes in nature. However, plants use only a fraction of the available light spectrum and are highly sensitive to environmental stressors such as changing light intensities, heat and drought. As climate change intensifies these stresses, safeguarding crop productivity is becoming an increasingly urgent challenge. To better understand the process of photosynthesis and at the same time identify starting points for improving it, researchers led by LMU biologist Dario Leister study model organisms such as the cyanobacterium Synechocystis.
In a study now published in Nature Communications, the scientists stressed Synechocystis by subjecting it to fluctuations in light intensity. “These kinds of conditions, in which high and low light intensities alternate at intervals ranging from one to several minutes, disrupt the process of photosynthesis and damage the photosystems,” explains Leister, who is Chair of Plant Molecular Biology at the Faculty of Biology in Martinsried. To find out how the blue-green algae can adapt to these unfavorable light conditions, the team recreated an accelerated evolutionary process in the laboratory.
Over time, this approach produced Synechocystis strains capable of tolerating light fluctuations that would normally be lethal. Genetic analysis of these adapted strains revealed mutations that influence the activity and relative quantity of biomolecules that are vital for photosynthesis. These include the protein-pigment complexes photosystem I and II and the light-harvesting antenna complexes. These evolutionary adaptations enhanced the resilience of Synechocystis to extreme variations in light intensity.
Plants growing in agricultural fields face similar challenges. Outdoor light conditions change constantly due to cloud cover, shading, and weather fluctuations, forcing crops to continuously adjust their photosynthetic machinery. “Photosynthesis works most efficiently at fairly low light intensity, whereas excessive light reduces efficiency. When the light levels change too quickly, the regulatory mechanisms cannot respond fast enough, which reduces efficiency and so also reduces the yield,” explains Dario Leister.
The findings from Synechocystis may provide new strategies for improving the ability of crops to cope with fluctuating light conditions. “The next step is to transfer the approach we used in our current study to eukaryotic algae because they are evolutionary closer to crop plants.” The biologist hopes that this will allow him to move step by step from relatively simple single-celled organisms toward applications in crops.
The study is part of the “PhotoRedesign: Redesigning the Photosynthetic Light Reactions” project, which has been funded by an ERC Synergy Grant from the European Union. In this research project, scientists from LMU are exploring new approaches for improving plant photosynthesis, using single-cell organisms like Synechocystis as model organisms because of their short generation times and the ease with which they can be genetically manipulated.
Ultimately, the goal is to produce crops that can utilize a broader range of light wavelengths. “To achieve this, it is important that optimized plants are also more robust and better able to cope with the additional absorbed light energy,” says Leister. The current study is providing new potential starting points for intervening in the complex photosynthetic apparatus of crops: “Our improved Synechocystis substrains contain point mutations that can also be transferred to related organisms using gene editing. With current legislative developments in the EU, such modifications may no longer be classified as transgenic in the future. Moreover, this strategy more closely resembles natural evolutionary processes than approaches based on overexpressing individual genes, which is a method often used by other researchers.”
Plants evolved distinct functions for two forms of a fundamental signaling molecule. These create redundancy and more robustness. Arabidopsis thaliana (mouse ear cress) plants at different developmental stages, photographed at the Plant Facility of the Institute of Science and Technology Austria (ISTA)
The molecule cAMP, which plays essential roles in mammalian cells, is less well understood in plants. In a new Science Advancespaper, researchers from the Institute of Science and Technology Austria (ISTA) and international collaborators demonstrate that plants use two forms of cAMP in parallel to regulate normal cellular processes and respond to stress, while maintaining crosstalk between them. That crosstalk provides redundancy, so that if one fails, the other can compensate, allowing plants to respond more robustly to a wider range of environmental factors. Ultimately, the findings could help improve crop resilience and productivity in a rapidly changing climate.
Plants can’t escape danger. To cope with stresses such as heat, freezing, flooding, drought, or infection, they rely on biological mechanisms evolved over millions of years.
Different life forms face unique environmental challenges, driving them to evolve distinct biological processes. Although animals, plants, and microbes share many molecular mechanisms, insights from animal models often don’t apply directly to other kingdoms.
Cyclic adenosine monophosphate, also known as cAMP, is a fundamental signaling molecule known to play essential roles in both animal and plant cells. However, although its production and role in mammalian cells are well understood, its functions in plants remain largely unknown.
Now, ISTA alum Mingyue Li and professor Jiří Friml at the Institute of Science and Technology Austria (ISTA) have teamed up with scientists in Germany, Saudi Arabia, the Czech Republic, and the United States to shed light on cAMP in the plant model Arabidopsis thaliana, commonly known as mouse ear cress or thale cress.
Twin molecules with distinct but partially overlapping properties
In animal systems, the main form of cAMP, called 3’,5’-cAMP, is involved in the transfer of signals between nerve cells, hormone signaling, and the regulation of metabolic functions. This predominant form of cAMP is derived from the cell’s energy currency, ATP. However, cAMP has a ‘twin’ form: a molecule with the same chemical formula but different atomic bonds. Concretely, the phosphate group is attached to the adenosine molecule at a different location. This other form, called 2’,3’-cAMP, is associated with RNA degradation and stress response. Its levels are tightly controlled in mammalian cells because excessive amounts can be toxic.
Li, Friml, and their colleagues now show that, while both forms of cAMP exist in plants, the levels of 2’,3’-cAMP—the ‘other’ form of the molecule—are over 60 times higher than those of 3’,5’-cAMP, the main form found in animals.
Using a battery of molecular and cell biology techniques, the team demonstrates that the two forms of cAMP exhibit largely distinct functions in plant metabolism as well as in protein and gene regulation. While 3’,5’-cAMP appears to fine-tune responses related to growth, maintenance, nutrient status, and normal cell function, 2’,3’-cAMP triggers much broader effects in plants, including specialized metabolic pathways and broad stress responses. However, they also show that these functions partially overlap, suggesting that plants may have evolved distinct ways to adapt to environmental challenges.
Cross-talking signaling pathways
Maintaining two parallel but interconnected cAMP pathways could help plants fine-tune cellular regulation and distinguish among different external stimuli, including stress factors. Crosstalk between the pathways provides redundancy, so that if one fails, the other can compensate, allowing plants to respond more robustly to a wider range of environmental factors.
Ultimately, understanding how plants regulate stress and routine cellular functions could help boost crop productivity and enhance resilience to climate change.
Plants evolved distinct functions for two forms of a fundamental signaling molecule. These create redundancy and more robustness. Arabidopsis thaliana (mouse ear cress) plants at different developmental stages, photographed at the Plant Facility of the Institute of Science and Technology Austria (ISTA)
Arabidopsis thaliana plants at the Institute of Science and Technology Austria (ISTA).
Plants evolved distinct functions for two forms of a fundamental signaling molecule. Seedlings growing in the pink room at the Plant Facility of ISTA
Arabidopsis thaliana plants in pink room at the Institute of Science and Technology Austria (ISTA).
Faster breeding brings climate-adapted, high-yielding, robust varieties to the fields more quickly. These varieties have greater tolerance to drought or heat, for example. This increases yield reliability and reduces resource use. Haploids, which are plants with only a single set of chromosomes, are an important tool in breeding. By doubling their chromosomes (‘double haploids’), haploids can be used to quickly produce fully homozygous lines within one generation. This accelerate the development of new varieties.
When the centromere protein CENH3 is degraded in a plant’s egg cell, paternal haploid offspring are frequently produced. Using the model plant Arabidopsis thaliana, the research team generated up to 57 per cent of these haploids in the corresponding offspring. The first author of the study, Dr. Saravanakumar Somasundaram, explains that „removing CENH3 from the egg cell efficiently produces paternal haploids, essentially disabling maternal chromosomes. The method is modular, uses the plant’s natural processes, and could be applied to crops.“
Initially, the scientists added a small tag to CENH3 to enable enzymatic degradation. The cellular ‘rubbish collection’ system then removes the CENH3 protein before fertilisation. Consequently, CENH3 is absent from the egg cell, yet remains present in the pollen. "A specific egg cell promoter ensures that the elimination affects only the embryo, not the nutritive tissue. And this increases the germination capacity of haploid seeds,” explains Dr. Saravanakumar Somasundaram.
“The aim is essentially to ‘switch off’ CENH3 in the egg cell, pollinate the plant with normal pollen, and produce haploid seeds,” says Prof. Dr. Andreas Houben, head of the ‘Chromosome Structure and Function’ research group. “Our method produces non-transgenic haploids following cross-pollination, thereby accelerating the development of inbred lines. This significantly reduces breeding time, cutting the process down from several years to a single season.”
Adequate boron (B) supply is essential for optimal growth and yield formation in rapeseed (Brassica napus L.). With boron-deficient soils affecting croplands worldwide, developing varieties with enhanced boron-use efficiency represents a sustainable strategy to safeguard productivity. Central to this effort is the identification of genes that regulate boron homeostasis.
In a study published in The Crop Journal on 9 April 2026, a research team led by Dr. Sheliang Wang at Huazhong Agricultural University reports the discovery and comprehensive characterization of BnaC3.BOR1, a pivotal boron transporter gene in B. napus.
"Our findings advance our mechanistic understanding of low-boron adaptation in B. napus and provide a high-value genetic target for marker-assisted breeding and the development of boron-efficient rapeseed cultivars," notes Wang.
The team found that BnaC3.BOR1 is highly expressed in root stele cells, stems, and floral organs. Notably, the gene shows spatially asymmetric expression within the stem, with significantly higher transcript levels on the side adjacent to the petiole. "This heterogeneous expression pattern strongly suggests that BnaC3.BOR1 plays a precise role in regulating boron distribution and tissue-level homeostasis," says Dan Zou, co-first author of the study.
To confirm the gene's transport function, the researchers heterologously expressed BnaC3.BOR1 in yeast, resulting in markedly elevated intracellular boron concentrations. They further demonstrated in vivo transport activity through functional complementation assays: expression of BnaC3.BOR1 fully restored wild-type growth phenotypes in Arabidopsis bor1 mutants under boron-limiting conditions.
The team then validated the gene's physiological role in planta using a CRISPR/Cas9-mediated gene editing system. "We found that null mutants exhibited heightened sensitivity to boron deprivation, manifesting as stunted root elongation, reduced shoot biomass, and substantially diminished boron accumulation in shoots," adds Zou. "When grown in low-boron soils, mutant plants developed severe morphological defects—including epidermal cracking at the stem base near petiole attachment sites, aberrant vascular development, and localized boron depletion in compromised stem tissues." Notably, during reproduction, impaired floral organ development and critically low boron concentrations led to significant yield loss.
"Our findings not only confirmed that BnaC3.BOR1 expression in roots and flowers reflects the functional conservation of boron transporter genes across species, but also resolved a long-standing question: which gene controls stem cracking caused by boron-deficiency stress," says co-first author Dr. Ling Liu.
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Contact the author:
Sheliang Wang
Email address: sheliangwang2017@mail.hzau.edu.cn
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In greenhouse tests, biochar made at a lower pyrolysis temperature of 300 °C and added at 2% by weight promoted larger leaf area, higher biomass, longer roots, and more root tips, all without causing phytotoxic effects. By contrast, a 5% application rate raised soil electrical conductivity and disturbed nutrient balance, which suppressed plant performance.
Poultry production generates huge volumes of litter, creating both a nutrient resource and an environmental management problem. In regions such as the Delmarva Peninsula, where poultry farming is highly concentrated, repeated land application of raw poultry litter can lead to phosphorus buildup, nutrient runoff, and water-quality risks. Converting poultry litter into biochar through pyrolysis has emerged as a promising alternative because it can stabilize nutrients, improve soil properties, and support circular agriculture. Yet the agronomic value of poultry litter biochar is not fixed: it depends strongly on pyrolysis temperature, feedstock composition, and application rate. Concerns also remain about salinity, nutrient imbalance, and possible phytotoxicity, making it necessary to identify conditions under which this waste-derived amendment is both safe and effective for crop growth.
A study (DOI:10.48130/bchax-0026-0009) published in Biochar X on 20 March 2026 by Dong Hee Kang’s team, Morgan State University, suggests that properly engineered poultry litter biochar could become a practical tool for recycling livestock waste, improving soil quality, and supporting more sustainable crop production in poultry-intensive agricultural regions.
To test how production conditions shape agricultural performance, the researchers produced six poultry litter biochars using two pyrolysis temperatures, 300 and 500 °C, and three feedstock compositions: no bedding, 10% pine shavings, and 10% rice hulls. These materials were then incorporated into a sandy loam soil collected from Maryland’s Delmarva Peninsula at two rates, 2% and 5% by weight. Radish was selected as the indicator crop because of its sensitivity to soil physical and chemical conditions. The team conducted both seed germination tests and six-week greenhouse pot experiments, while also measuring soil pH, electrical conductivity, nutrient availability, leaf area, biomass, chlorophyll-related indices, root length, and root tip number. The results showed a clear pattern. Seed germination remained high across all treatments, indicating that none of the tested biochars caused acute toxicity during early establishment. However, plant growth responses diverged sharply after emergence. Biochar produced at 300 °C supported better leaf growth and biomass than biochar produced at 500 °C, likely because lower-temperature material retained more plant-available nutrients and reactive surface groups. Application rate proved even more important. At 2%, the amendment improved soil fertility while keeping electrical conductivity within a range suitable for radish, which translated into stronger leaves and more developed root systems. At 5%, however, the soil became more saline, with much higher nitrogen, phosphorus, and potassium levels. That excess nutrient loading, combined with osmotic stress and cation antagonism, reduced root biomass, shortened total root length, and limited root tip formation despite the greater nutrient supply. The addition of bedding materials further improved outcomes by lowering sodium concentrations and increasing the potassium-to-sodium ratio, helping plants better tolerate salt-related stress. Overall, the optimal treatment was biochar produced at 300 °C, especially with bedding material, and applied at no more than 2%.
Taken together, the study shows that poultry litter biochar is not simply beneficial or harmful on its own; its value depends on how it is made and how much is applied. The work offers practical guidance for transforming poultry waste into a safer and more effective soil amendment, while also highlighting the need for future field-scale studies on long-term nutrient dynamics, microbial interactions, and repeated applications under real farming conditions.
This research was supported and funded by the National Science Foundation's Excellence in Research Program, Division of Chemical, Bioengineering, Environmental and Transport Systems (CBET), Directorate for Engineering (ENG), grant under award number 2200616.
Biochar X is an open access, online-only journal aims to transcend traditional disciplinary boundaries by providing a multidisciplinary platform for the exchange of cutting-edge research in both fundamental and applied aspects of biochar. The journal is dedicated to supporting the global biochar research community by offering an innovative, efficient, and professional outlet for sharing new findings and perspectives. Its core focus lies in the discovery of novel insights and the development of emerging applications in the rapidly growing field of biochar science.
The effect of poultry litter biochar generated at different pyrolysis conditions on radish germination and growth
Cost-effectiveness of the START hospital addiction consultation service for opioid use disorder treatment
JAMA Network Open
About The Study:
In this trial-based economic evaluation, Substance Use Treatment and Recovery Team (START; a hospital-based addiction consultation service) was a cost-effective approach for addressing opioid use disorder (OUD) in the inpatient setting by increasing the initiation of medication for OUD and linkage to OUD-focused care after discharge.
Corresponding Author: To contact the corresponding author, Adeyemi Okunogbe, MBChB, PhD, email yemiokunogbe@gmail.com.
Editor’s Note: Please see the article for additional information, including other authors, author contributions and affiliations, conflict of interest and financial disclosures, and funding and support.
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Toxic mercury exposure might harm the body’s metabolism, study finds
University of Bristol
Exposure to one of the most toxic forms of mercury (methylmercury) may also disrupt the body’s metabolic health, according to the findings of a new international study. The research, involvingUniversity of Bristolscientists and published in Chemical Research in Toxicology, found the element may have wider health effects than previously known.
Methylmercury can accumulate in water environments and enter the food chain. Human exposure is of particular concern in communities affected by contaminated rivers, industrial pollution, artisanal gold mining and environmental disasters. Mercury pollution is usually associated with damage to the brain and nervous system. This new study suggests that methylmercury may also disrupt the body’s metabolic health, affecting the liver, fat tissue biology and cardiovascular disease risk in vulnerable populations.
The study is a collaboration of researchers with expertise in toxicology, tissue biology, metabolism, computational modelling and advanced image analysis, from the University of Bristol (UK), the Federal University of Ceará, Brazil, and the University of California, USA.
The team looked at a protein called apolipoprotein E (ApoE), which helps the body transport fats and cholesterol around the bloodstream. ApoE also plays a role in inflammation, liver health and heart disease risk. The study aimed to find out whether differences in this protein could make some people more vulnerable to the harmful effects of methylmercury.
The team wanted to find out whether a person’s ApoE type affects how their body responds to mercury exposure. Using computer modelling, the researchers explored how methylmercury might interact with different human ApoE forms. Their results suggested that two forms, ApoE2 and ApoE3, may bind more strongly to methylmercury, while another form, ApoE4, did not show stable binding.
The team then sought to explore whether differences in ApoE biology influence how individuals respond to mercury exposure. To explore this further, researchers used animal models (mice) that do not produce ApoE and are commonly used to study problems with blood fats and heart disease risk.
When these models were exposed to methylmercury, they experienced more negative health effects than expected. These effects included higher levels of cholesterol and blood fats, signs of liver damage, increased stress on cells, and alterations in body fat. Overall, the findings suggest that when ApoE is not working properly, the body may be less able to cope with mercury exposure, making the body more vulnerable to the harmful effects of mercury.
The team then studied mice lacking ApoE. When methylmercury exposure was combined with ApoE deficiency, the animals showed stronger signs of metabolic disruption, including higher cholesterol and triglycerides, increased markers of liver injury, oxidative stress and changes in white fat tissue.
Dr Augusto Coppi, Senior Lecturer in Veterinary Anatomy at the University of Bristol and co-lead of the study, said: “Mercury pollution is usually viewed through the lens of neurotoxicity, but our findings suggest that its impact may reach much further. Our study indicates that methylmercury can interact with key biological systems involved in cholesterol handling, liver health and fat tissue function.
“In simple terms, the findings suggest a possible double hit: methylmercury exposure on one side and pre-existing vulnerability in lipid metabolism on the other. Together, these factors may place greater stress on organs and tissues involved in metabolic and cardiovascular health.
“Bristol’s expertise in 3D quantitative image analysis is enabling the team to examine tissue architecture in far greater detail — moving beyond whether organs simply look abnormal to measuring how methylmercury exposure and ApoE-related vulnerability may alter metabolically important tissues. This ongoing work will support deeper tissue-level interpretation and help clarify the study’s potential translational relevance for public health.”
The authors emphasize that the study should not cause alarm about normal dietary choices, but it does highlight the need to understand how pollution, genetics, nutrition and metabolic health may interact.
The findings are especially relevant for future research into people already at higher risk of metabolic or cardiovascular disease, including those with high cholesterol, liver stress or ApoE-related vulnerability. They may also help guide future nutritional or public health strategies for populations exposed to high levels of mercury contamination.
Professor Reinaldo B. Oriá, corresponding and co-lead author from the Federal University of Ceará, said: “This work reflects the value of long-standing international collaboration. By combining expertise across countries and disciplines, we were able to ask not only whether methylmercury is toxic, but who may be more vulnerable and how future interventions might reduce that risk.”
This was a preclinical study using a high-dose methylmercury exposure model. The findings should not be directly extrapolated to everyday low-level exposure in the general population. Further studies, including research in human populations, are needed.
This work combined molecular modeling techniques and experimental biology to study the selective interactions of apolipoprotein E (ApoE) isoforms with methylmercury (MeHg). The authors used in silico methods, including semi-empirical calculations, Density Functional Theory (DFT), and topological analyses, as well as Quantum Atom-in-Molecule Theory (QTAIM) and Non-covalent Interactions (NCI) to demonstrate that ApoE isoforms exhibit distinct interaction patterns with MeHg that may affect health outcomes in highly exposed individuals.
Further information
Ends
Notes to editors
For further information or to arrange an interview with Dr Augusto Coppi, please contact Joanne Fryer [Mon to Weds], email joanne.fryer@bristol.ac.uk or Caroline Clancy-Cottle [Weds to Fri], email caroline.clancy@bristol.ac.uk in the University of Bristol News and Content Team.
Issued by the Research News and Content team at the University of Bristol
‘In silico ApoE isoform interactions with methylmercury (MeHg) and in vivo MeHg intoxication effects on epididymal white fat tissue and liver function in young ApoE knockout mice’
Article Publication Date
5-May-2026
Feeling regret? Your feelings may mellow as you age
Age and the passage of time shape how we feel about our past decisions, study finds
Older adults report fewer recent regrets than younger adults, finds research published by the American Psychological Association. In addition, although older and younger adults report a similar number of long-term regrets, older adults experience less anger and frustration when they think about those mistakes and missed chances. The research highlights how both age and time shape our emotional responses to past decisions.
“Regrets are incredibly common. Almost all of us experience big regrets in our personal and professional lives – from marrying the wrong person to never finishing college,” says lead author Julia Nolte, PhD, of Tilburg University in the Netherlands. “The good news is that for many of us, the experience of regret seems to become less negative with age.”
The research was published in the journal Emotion.
In the study, the researchers surveyed 90 U.S. adults ages 21 to 89, asking them to list up to five recent regrets (from the past year) and five long-term regrets. Then, the researchers asked participants to focus on their most significant long-term regret and most significant recent regret, describing and rating those in detail. Participants rated the regrets on factors such as how long ago they occurred, what emotions they evoked and how controllable they felt – how much they felt they could to do manage the regret, either by changing their decision or by changing how they felt about it. Participants also described how they were coping with these regrets and how they might handle similar situations in the future.
The researchers found that older adults reported fewer and less emotionally intense recent regrets. They also found that older adults also tended to regret “missed chances” – times when they failed to act – more often than they regretted taking a wrong action.
More work is needed to understand exactly why aging changes the experience of regrets or whether the differences may reflect generational shifts rather than age differences, according to Nolte. Further research could also explore whether regret fulfills the same psychological purpose for younger and older adults, she says.
“It is assumed that regret helps us make better choices moving forward,” Nolte says. “But older adults may derive other benefits from regret, such as a chance to reflect or look for meaning.”
CONTACT: Julia Nolte, PhD, can be reached at j.nolte@tilburguniversity.edu
Journal
Emotion
Method of Research
Survey
Subject of Research
People
Article Title
Adult Age Differences in the Response to and Regulation of Recent Versus Long-term Regrets
Article Publication Date
7-May-2026
New study: Women are 60 percent more likely to be injured in car accidents than men
A study by TU Graz, financed by the Austrian Road Safety Fund (VSF), shows that women have a 60 per cent higher injury risk in car accidents compared to men. This is especially true for female passengers and older women
Cars have become increasingly safe over the past few decades. However, not all groups of people benefit equally from this. Researchers at the Institute of Vehicle Safety at Graz University of Technology (TU Graz) have now analysed Austrian accident data for the years 2012 to 2024 and reconstructed individual accidents in detail. The results of the study show that when two occupants of different sex are in the vehicle, women are significantly more likely to suffer injuries than men. In concrete terms, their risk of injury is greater by a factor of 1.6.
Same speed, more serious consequences
Women suffer noticeably more severe injuries than male occupants even at lower collision speeds. The risk of being seriously injured or killed is more than twice as high for them in these cases. “Our analyses show that women are injured disproportionately more often, especially in the chest, spine, arms and legs,” says the project coordinator, Corina Klug from the Institute of Vehicle Safety at TU Graz. The higher injury risk for women is particularly evident in the 50+ age group.
In the study, real accidents were reconstructed and simulated with virtual human models in different sitting positions. This made it possible to objectively compare the stresses that affect the female and male body. In addition to the significantly higher risk of injury for women, the study shows that the seating position on the passenger side has a massive influence on the risk of injury. This applies to both women and men, but women are more likely to ride in the passenger seat than men. “We’ve all seen a passenger seat positioned far back or even reclined. However, airbags and seat belts are not designed for such non-standard positions,” explains Corina Klug. The good news is that consumer protection (Euro NCAP) has already taken up this issue and has been carrying out tests on both dummies and human models in different seat positions since the beginning of the year.
“Women are not little men”
It is clear that there is a need to catch up with regard to the safety of women in vehicles. For decades, the 50th percentile man – the statistical “average man” – was defined as the global benchmark for safety. This male reference figure is deeply rooted in the historically evolved vehicle approval procedure and still shapes the test methods today. Models that correspond to the average male body are primarily used for the vehicle approval procedure. Even the so-called “female” dummy is merely a scaled-down version of the male model and also corresponds to a very small woman – 95 per cent of women are taller and heavier than this reference point. This also applies to the improved dummies whose use is currently being discussed. Specific anatomical characteristics of average women – such as pelvic width, chest circumference and shoulder geometry – are currently not realistically represented by any dummy for frontal or side crashes. Currently, there are only dummies of the average woman for rear-end collisions; these were developed as part of EU projects. But, they are not yet in use.
The biomechanical differences therefore remain largely unconsidered methodologically, which limits the transferability of the test results to the actual injury risk of women. “Women are not little men. And models of very small, petite women are often unable to represent what we observe in the accidents,” Corina Klug summarises.
Clear recommendations: intelligent safety systems, more realistic tests
TU Graz derives clear recommendations from the study. Safety systems such as seat belts and airbags must become more intelligent. So-called adaptive belt-force limiters limit how strongly a belt restrains people in the event of a collision and automatically adapt these forces to the severity of the accident, the occupants’ physique and sitting position. In order for such systems to be available in more vehicles, they must also be evaluated in consumer protection and ideally in vehicle approval procedures. More realistic tests are also needed. Future approval procedures should stipulate different body shapes and more realistic seating positions. “Virtual, biomechanically realistic human models are a key component here. We can use computer simulations to significantly expand the historically male-centred and rigid test procedures,” says Corina Klug. The virtual models are able to not only simulate a wide variety of body shapes, but also enable different seating positions in the vehicle to be analysed without additional tests in the crash laboratory.
Positioning belts correctly
An often underestimated factor is the position of the belt on the body and the friction between the person in the car and the seat or belt. Thick winter jackets or blankets impair the transmission of force, which means that the body can slip under the belt in the event of an impact. This so-called ‘submarining’ can lead to serious internal injuries, as the belt does not act on the stable pelvic bone but in the region of the vulnerable soft tissue. “In addition to design measures to ensure that safe seating positions are also comfortable seating positions, more information is needed on the correct seat adjustment and belt position,” emphasises Corina Klug. “It is important not to sit too far back, to straighten the backrest and to position the belt so that the lap belt lies on the pelvic bone and the shoulder belt runs over the collarbone. This is the best way for the restraint systems to fulfil their function and, in the case of an accident, to slow the person down as gently as possible.”
LMU researchers evaluate host-response test for tuberculosis in high-risk household contacts in Africa
Household contacts of people with tuberculosis (TB) have a high risk of getting TB themselves, at around 2 percent. It is currently difficult to detect TB in its early stages, or predict who will go on to have TB, and therefore preventive treatment is not widely used. Most contacts are asymptomatic and current approaches rely mainly on symptom-based screening and sputum testing, which often miss early or hidden disease. As a result, many infections are only identified once the disease has progressed.
A study published in The Lancet Infectious Diseases by LMU scientists Professor Katharina Kranzer, Dr Norbert Heinrich, and colleagues within the ERASE-TB consortium explores a different approach: host-response assays. The researchers assessed whether a blood-based 3-gene host-response test can detect active tuberculosis and help predict future disease. Unlike standard tests that detect the bacteria directly, these assays measure the body’s immune response, which may allow earlier identification of infection and people at higher risk of disease.
Large-scale study in African households
In a large prospective study funded by the European and Developing Countries Clinical Trials Partnership (EDCTP2), the team evaluated the Cepheid Xpert MTB Host Response (MTB-HR) blood test in more than 2,000 household contacts in Tanzania, Zimbabwe, and Mozambique. Participants aged 10 years and older were followed for up to two years with regular clinical, imaging, and laboratory assessments. At each visit, a finger-prick blood sample was analysed using the GeneXpert platform.
The MTB-HR assay showed good accuracy for detecting active tuberculosis and was able to distinguish well between individuals with and without disease. Its ability to predict future disease was moderate, performing best shortly before disease onset but less precise when predicting TB onset longer in the future. The test’s positive predictive value for incident was higher than that of currently used immunological tests, although overall it did not meet WHO criteria as a stand-alone screening or predictive tool.
Improving the effectiveness of tuberculosis prevention
The findings suggest that immune-based tests may help both to detect active tuberculosis and to identify people who are at risk of developing the disease in the future. The researchers highlight that household contacts are often asymptomatic at the time of screening, despite potential infection. Current standard tests have limited ability to predict who will progress to active disease.
Overall, the study provides important evidence that host-response assays could contribute to more targeted screening and prevention strategies, potentially reducing unnecessary preventive treatment and improving the efficiency of tuberculosis control efforts. At the same time, the researchers underscore the importance of assessing such tools in the real-world settings where they are intended to be used.
Diagnostic and prognostic accuracy of the Mycobacterium tuberculosis host response 3-gene cartridge among tuberculosis household contacts in Mozambique, Tanzania, and Zimbabwe: a prospective, longitudinal, diagnostic and prognostic accuracy cohort study