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Tag: University of California

  • E. Dale Abel Receives Endocrine Society Lifetime Achievement Award

    E. Dale Abel Receives Endocrine Society Lifetime Achievement Award

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    Newswise — E. Dale Abel, MD, PhD, chair of the Department of Medicine at the David Geffen School of Medicine at UCLA and executive medical director of the UCLA Health Department of Medicine has received the Endocrine Society Fred Conrad Koch Lifetime Achievement Award. The award, the group’s highest honor, recognizes individuals who have made exceptional contributions to the field of endocrinology through their lifetime.

    Dr. Abel’s pioneering work on glucose transport and mitochondrial metabolism in the heart guided his research interest in molecular mechanisms responsible for cardiovascular complications of diabetes. His laboratory has provided important insights into the contribution of mitochondrial dysfunction and aberrant insulin signaling to heart failure risk in diabetes.

    Dr. Abel’s research on cardiovascular complications of obesity and insulin resistance has garnered recognition and continuous support from the National Institutes of Health (NIH) for over two decades. Among the honors he has received for scholarship, scientific and academic achievement, Dr. Abel is an elected member of the National Academy of Medicine, the National Academy of Sciences, the Association of American Physicians and the American Society for Clinical Investigation.

    In addition, Dr. Abel has been recognized for a longstanding commitment to mentoring the next generation of endocrine researchers and biomedical scientists. He has served as the program chair for the annual Network of Minority Investigators workshop sponsored by the National Institute of Diabetes and Digestive and Kidney Disorders to increase the success of minority biomedical researchers.  Since 2012, he has been a principal investigator for the Endocrine Society’s FLARE program, which has successfully increased the pipeline of underrepresented groups into productive careers in endocrinology and diabetes research.

    “I am humbled to be the recipient of the highest award from the Endocrine Society, the world’s largest professional association of endocrinologists,” said Dr. Abel. “The Endocrine Society has been my professional home for nearly 30 years. During this time, I have benefitted immensely through the Society, from mentorship to numerous opportunities for professional development within the field. As such it has been easy to give back and provide mentorship to emerging leaders in the field. My accomplishments as an endocrine investigator reflects the efforts of many trainees with whom I have been privileged to work over the past three decades and generosity of mentors and collaborators. I hope that our work, will ultimately impact the lives of many patients with diabetes.”

    Abel has held several leadership positions at the Endocrine Society including Past President. He is currently a Deputy Editor for the peer-reviewed journal Endocrine Reviews. Before joining the David Geffen School of Medicine at UCLA, he served as the Chair and Executive Officer of the Department of Internal Medicine and Professor of Medicine, Biochemistry and Biomedical Engineering at the University of Iowa in Iowa City, Iowa. Since 2012, he has been a principal investigator for the Endocrine Society’s Future Leaders Advancing Research in Endocrinology (FLARE) program, which has helped individuals from underrepresented groups establish successful careers in endocrinology and diabetes research.

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    University of California, Los Angeles (UCLA), Health Sciences

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  • The expanded Child Tax Credit led to improved health and nutrition among adults

    The expanded Child Tax Credit led to improved health and nutrition among adults

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    Newswise — Monthly cash payments to eligible families under the temporary pandemic-era expansion of the federal Child Tax Credit led to better adult health and food security, new UCLA-led research suggests.

    The policy, which expired at the end of 2021, has not been renewed due to concerns among legislators over the credit being overly generous, particularly to lower-income families with limited tax liability, and the lack of an associated work requirement. The findings, to be published June 24 in JAMA Health Forum, could inform the debate over the policy’s future, said Dr. Jordan Rook, a fellow in the National Clinician Scholars Program at UCLA and the study’s lead author.

    “Cash transfer programs like the 2021 Child Tax Credit expansion may be powerful tools in improving the health, wellbeing, and nutrition of families,” said Rook, who is also a general surgery resident at the David Geffen School of Medicine at UCLA.  “Evidence like this can help guide the public, the media, and politicians as they advocate for and debate the policy’s future.

    Currently about one in six U.S. families with children lives in poverty, leading to poorer health and shorter life expectancy, according to the research team.

    Prior to the pandemic, the Child Tax Credit provided up to $2,000 per child ages 16 or younger for families with eligible incomes. Under the pandemic-era American Rescue Plan signed into law on March 11, 2021, the credit increased to $3,600 per child ages five or younger, and $3,000 per child ages 6 to 17. Families were eligible to receive half of this amount in the form of monthly checks, which each month were worth between $250 to $300 per child. The credit was fully refundable, meaning that all low-income families with children were eligible to receive the entire credit, regardless of their work status or income.

    These monthly payments reduced poverty by 40% in households with children, according to the researchers. But the policy, a temporary measure to assist families during the pandemic, expired on December 31, 2021.

    The researchers used data taken from about 39,500 respondents to the National Health Interview Survey from January 2019 to December 2021. They found that prior to initiation of the monthly payments, 60% of credit-eligible adults reported excellent or very good health and 88% reported having food security– that is, access to sufficient food to meet normal dietary needs. Among ineligible adults, 55% said they had excellent or very good health and 89% reported food security.

    They then used a study design known as a “difference-in-differences” technique to compare changes in health and food security between credit-eligible families and credit-ineligible families to estimate the impact of the Child Tax Credit monthly payments. Based on this technique, they estimate that following the start of the payments, eligible adults were 3 percentage points more likely to report excellent or very good health and 1.9 percentage points more likely to report food security than ineligible adults.

    “Assuming the conservative estimate of one adult per household, this represents improved health for 1.08 million adults, and newfound food security for 684,000 households,” Rook said. “These changes potentially represent important gains in health and nutrition for hundreds of thousands of US families because of this pandemic-era policy.”

    The study has some limitations, among them the possibility that job losses and expansions to other social programs such as unemployment and SNAP during the pandemic might have affected the findings.

    Additional study authors are Dr. Cecile Yama, Dr. Adam Schickedanz, Dr. Steven Lee, and Lauren Wisk of UCLA; and Dr. Alec Feuerbach of SUNY Downstate /Kings County.

    The study was funded by the VA Office of Academic Affiliations and the Los Angeles County Department of Health Services, both through the National Clinician Scholars Program Fellowship; the National Institute of Diabetes and Digestive and Kidney Diseases (K01 DK116932 and R03 DK132439); the Eunice Kennedy Shriver National Institute of Child Health and Human Development (K23HD099308); and the Health Resources and Services Administration of the U.S. Department of Health and Human Services (UA6MC32492, the Life Course Intervention Research Network). The contents do not represent the views of the U.S. Department of Veterans Affairs or the United States Government.

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    University of California, Los Angeles (UCLA), Health Sciences

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  • UCLA Health seeks applicants for next TechQuity Accelerator to support startups with solutions for health inequity

    UCLA Health seeks applicants for next TechQuity Accelerator to support startups with solutions for health inequity

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    Newswise — UCLA Health is now accepting applications for a new cohort of innovators to be part of its TechQuity Accelerator for 2023, an initiative that supports startups and other fledgling companies with technologies that can improve health equity among underserved and vulnerable patient populations.

    Launched in 2022 in response to COVID-19’s disproportionate impact on minority communities, the TechQuity Accelerator strives to strengthen health security by targeting four overall areas: prevention, diagnosis, treatment and community impact.

    “Following last year’s highly successful inaugural program, we are excited to launch a new accelerator to support early-stage companies driven by a commitment to develop inclusive technologies and boost health equity within diverse populations,” said Jennifer McCaney, executive director of UCLA Biodesign and associate director of the UCLA Clinical and Translational Science Institute. “We look forward to receiving applications from across our region’s robust tech ecosystem.”

    UCLA Health operates the TechQuity Accelerator in partnership with UCLA Biodesign and BioscienceLA, with a laser focus on supporting teams that feature innovative concepts and a mission to improve long-term community health resilience. The four-month program provides selected startups with personalized mentorship, access to clinical expertise and product-development support, culminating in a final pitch showcase with UCLA Health leaders and community stakeholders.

    Selected accelerator companies are paired with student interns subsidized by BioscienceLA through its BioFutures Internship Program. This collaboration also represents a shared commitment with UCLA Health and UCLA Biodesign to build a diverse life science workforce by providing career-building opportunities for people from historically underrepresented backgrounds.

    For 2023, the initiative seeks companies that have developed solutions to overcome any of the following barriers to more equitable health outcomes:

    Healthcare Access – The pandemic strained an existing health system fraught with challenges for people with cultural, geographic or financial limitations to access care and services. Prospective applicants may have innovations in these areas:

    • Telemedicine
    • Wearables, remote monitoring devices
    • Online pharmacies
    • Direct-to-consumer healthcare delivery
    • Encrypted mobile communication software
    • Medical translation and transcription
    • Gender-affirming care

    Environmental Justice – Traditionally, underserved communities are mostly likely to suffer the health, financial and political consequences caused by global climate change. Prospective applicants might have solutions for:

    • Removing, reducing or preventing pollution in vulnerable communities
    • Improving access to healthy food options
    • Leveraging community leaders to ensure equitable environmental and land-use decisions
    • Safe housing and recreational facilities
    • Expanding social service programs

    Mental Health and Youth Wellbeing – Limited resources are available for low-income residents and adolescent patients to ensure their long-term care and access to mental health professionals. Potential areas of focus include:

    • Pediatric healthcare delivery in collaboration with schools
    • Broadening medication access for substance-abuse patients
    • Teletherapy
    • Self-care mobile applications
    • Platforms to better identify resources, including mental health experts and treatment centers

    For more information or to apply, visit the UCLA Health TechQuity Accelerator website.

     

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    University of California, Los Angeles (UCLA), Health Sciences

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  • UC Irvine scientists create long-lasting, cobalt-free, lithium-ion batteries

    UC Irvine scientists create long-lasting, cobalt-free, lithium-ion batteries

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    Newswise — Irvine, Calif., June 14, 2023 – In a discovery that could reduce or even eliminate the use of cobalt – which is often mined using child labor – in the batteries that power electric cars and other products, scientists at the University of California, Irvine have developed a long-lasting alternative made with nickel.

    “Nickel doesn’t have child labor issues,” said Huolin Xin, the UCI professor of physics & astronomy whose team devised the method, which could usher in a new, less controversial generation of lithium-ion batteries. Until now, nickel wasn’t a practical substitute because large amounts of it were required to create lithium batteries, he said. And the metal’s cost keeps climbing.

    To become an economically viable alternative to cobalt, nickel-based batteries needed to use as little nickel as possible.

    “We’re the first group to start going in a low-nickel direction,” said Xin, whose team published its findings in the journal Nature Energy. “In a previous study by my group, we came up with a novel solution to fully eliminate cobalt. But that formulation still relied on a lot of nickel.”

    To solve that problem, Xin’s team spent three years devising a process called “complex concentrated doping” that enabled the scientists to alter the key chemical formula in lithium-ion batteries as easily as one might adjust seasonings in a recipe.

    The doping process, Xin explained, eliminates the need for cobalt in commercial components critical for lithium-ion battery functioning and replaces it with nickel.

    “Doping also increases the efficiency of nickel,” said Xin, which means EV batteries now require less nickel to work – something that will help make the metal a more attractive alternative to cobalt-based batteries.

    Xin said he thinks the new nickel chemistry will quickly start transforming the lithium-ion battery industry. Already, he said, electric vehicle companies are planning to take his team’s published results and replicate them.

    “EV makers are very excited about low-nickel batteries, and a lot of EV companies want to validate this technique,” Xin said. “They want to do safety tests.”

    About the University of California, Irvine: Founded in 1965, UCI is a member of the prestigious Association of American Universities and is ranked among the nation’s top 10 public universities by U.S. News & World Report. The campus has produced five Nobel laureates and is known for its academic achievement, premier research, innovation and anteater mascot. Led by Chancellor Howard Gillman, UCI has more than 36,000 students and offers 224 degree programs. It’s located in one of the world’s safest and most economically vibrant communities and is Orange County’s second-largest employer, contributing $7 billion annually to the local economy and $8 billion statewide. For more on UCI, visit www.uci.edu.

    Media access: Radio programs/stations may, for a fee, use an on-campus ISDN line to interview UCI faculty and experts, subject to availability and university approval. For more UCI news, visit news.uci.edu. Additional resources for journalists may be found at communications.uci.edu/for-journalists.

    NOTE TO EDITORS: PHOTO AVAILABLE AT
    https://news.uci.edu/2023/06/14/uc-irvine-scientists-create-long-lasting-cobalt-free-lithium-ion-batteries/

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  • Striking Faculty and Grad Students Secured Big Pay Raises This Academic Year

    Striking Faculty and Grad Students Secured Big Pay Raises This Academic Year

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    Higher-ed unions had their most active academic year in recent memory. A series of strikes led to changes that graduate students and faculty members touted as big wins: better wages, more benefits, and improved working conditions.

    The work stoppages, which often lasted weeks, disrupted campuses. Many graduate students and faculty weren’t teaching their classes; in some cases, final exams and grades were delayed. Things got so bad in New Jersey, for instance, that the governor felt the need to step in and mediate between the state’s flagship public university and its faculty union in hopes of staving off a court battle.

    The conflicts stemmed from a convergence of trends in higher education and the broader U.S. economy. Among them are colleges’ growing reliance on contingent faculty and a cutthroat academic job market, as well as soaring living costs and a burgeoning labor movement.

    Here’s a rundown of six institutions where strikes this past year resulted in pay raises for graduate students and faculty members.

    University of California

    A standoff across the University of California system went on for six weeks, from early November to late December. The UC strike of 48,000 graduate students, postdocs, and researchers, the largest in higher-ed history, proved influential — and prompted even more union activity on campuses this spring.

    After a 40-day work stoppage, the unions secured base pay increases ranging from 55 to 80 percent for academic employees and 25 to 80 percent for graduate-student researchers. For example, for a first-year teaching assistant, the minimum annual salary will increase to $36,000 from $25,000 by 2024. However, some student workers have argued that the cost of living near many UC campuses remains significantly higher than those minimums.

    “Our members stood up to show the university that academic workers are vital to UC’s success,” said Ray Curry, then-president of the United Auto Workers, which represents the grad students and postdocs, in a statement. “They deserve nothing less than a contract that reflects the important role they play and the reality of working in cities with extremely high costs of living.”

    The New School

    Shortly after UC graduate students and postdocs walked off the job, so did part-time faculty at The New School, a private liberal-arts university in New York City. About 90 percent of the institution’s faculty are adjuncts or lecturers.

    New School faculty said their wages hadn’t kept up with inflation for years. Classes came to a standstill. Students occupied the university center. Parents threatened a lawsuit over the disruptions.

    The union reached a five-year deal three weeks later with the university. In the first year, some of the lowest-paid adjuncts will see their pay go up by about a third.

    For a faculty member teaching studio or lab courses that add up to 90 contact hours — a measure of time spent in the classroom with students — minimum pay will increase to nearly $13,000, from about $8,600, by fall 2026. Instructors will also be paid for their out-of-classroom work; the stipend will start at $400 per course and rise to $800.

    University of Illinois at Chicago

    In January, faculty at the University of Illinois at Chicago fought for increased wages and more job security. After a six-day strike, the contract was ratified.

    The minimum salary for nontenured faculty increased to $60,000 from $51,000; for tenured faculty, the minimum salary rose to $71,500 from $60,000. Union members also received a one-time bonus of $2,500 to adjust for inflation.

    Faculty also lobbied for increased mental-health support and free psychological testing for students. As a result of bargaining, the university has promised to create a strategic plan focused on mental health.

    Eastern Illinois University

    After the University of Illinois at Chicago’s strike came a work stoppage at Eastern Illinois University. Unions at five of the state’s public colleges went on strike this academic year.

    The Eastern Illinois union is made up of around 450 workers, including professors and academic advisors. Students picketed alongside instructors in solidarity.

    After a six-day strike, faculty received a 15-percent raise in pay over four years and, for the first time, paid parental leave.

    Temple University

    At Temple University, in Philadelphia, a bitter fight dragged on for six weeks. It started with a walkout in late January by the Temple University Graduate Students’ Association, which represents about 750 student workers and research assistants.

    After a week of disruption, the university said it would take away tuition and health-care benefits from the striking students. By mid-March, the sides came to an agreement.

    The new four-year contract standardized pay across fields and will increase graduate students’ minimum salary to $27,000, from the current range of $19,292 to $20,840, by the fall of 2025. The university also agreed to improve parental and bereavement leave, and to start a committee to review student workloads.

    Rutgers University

    Roughly 9,000 instructors at Rutgers went on strike in mid-April for the first time in the university’s history. Gov. Phil Murphy, a Democrat, was so concerned about how the strike could affect the university’s nearly 70,000 students that he called both sides to the state capital for a “productive dialogue.” The strike ended after five days.

    Adjunct professors came away with a 43-percent raise. Graduate students saw their pay go up by more than a third. They were also guaranteed five years of funding.

    “In important ways — especially in confronting precarity and poverty wages in higher education — we have set a new standard,” the union said in a statement.

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    Emma Hall and Zachary Schermele

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  • UCLA-led research suggests no difference in health outcomes, care costs for patients treated by traditional MDs or osteopaths

    UCLA-led research suggests no difference in health outcomes, care costs for patients treated by traditional MDs or osteopaths

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    Newswise — New UCLA-led research suggests that patient mortality rates, readmissions, length of stay, and health care spending were virtually identical for elderly hospitalized patients who were treated by physicians with Doctor of Medicine (MD) or Doctor of Osteopathic Medicine (DO) degrees.

    While both traditional, or allopathic, medical schools and osteopathic medical schools provide the same rigorous health education, osteopathic training adds a more holistic, hands-on component involving manipulation of the musculoskeletal system – for instance, the use of stretching and massage to reduce pain or improve mobility.

    “These findings offer reassurance to patients by demonstrating that they can expect high-quality care regardless of whether their physicians received their training from allopathic or osteopathic medical schools,” said senior author Dr. Yusuke Tsugawa, associate professor of medicine in the division of general internal medicine and health services research at the David Geffen School of Medicine at UCLA and associate professor of health policy and management at the UCLA Fielding School of Public Health.

    The study will be published May 30 in the peer-reviewed Annals of Internal Medicine.

    Both types of physicians are licensed to practice medicine in every state. Currently about 90% of practicing physicians hold MD degrees and 10% have DO degrees. But the latter group is rapidly growing due to an increasing number of osteopathic medical schools, with their numbers having swelled by 72% between 2010 and 2020 compared with a 16% increase in MDs during the same period, and their ranks are expected to continue expanding.

    In addition, osteopathic physicians are more likely than their MD counterparts to serve patients in rural and underserved areas.

    The researchers relied on four data sources: a 20% sample of Medicare fee-for-service beneficiaries, amounting to about 329,500 people aged 65 years and older who were hospitalized between Jan. 1, 2016 and Dec. 31 2019; Medicare Data on Provider Practice and Specialty; a comprehensive physician database assembled by Doximity, and the American Hospital Association’s annual survey on hospital characteristics. Of the patients, 77% were treated by MDs and 23% were treated by DOs.

    The researchers found that patient mortality rates were 9.4% among MDs vs. 9.5% among DOs, patient readmission rates were 15.7% vs. 15.6% respectively, healthcare spending was $1004 vs. $1003, and lengths of stay were 4.5 days for both.

    The results are similar because both types of medical schools deliver rigorous, standardized medical education and comply with comparable accreditation standards, including four-year curriculums mixing science and clinical rotations, Tsugawa said.

    The study does have some limitations, the researchers write, primarily the fact that they focused on elderly Medicare beneficiaries who were hospitalized with medical conditions, so the results may not apply to other population groups. In addition, they limited outcomes to specific measures of care quality and resource use, so these findings may not generalize to other outcomes.

    But the findings “should be reassuring for policymakers, medical educators, and patients because they suggest that any differences between allopathic and osteopathic medical schools, either in terms of educational approach or students who enroll, are not associated with differences in quality or costs of care, at least in the inpatient setting,” the researchers write.

    Additional study authors are Dr. Atsushi Miyawaki of UCLA and the University of Tokyo; Dr. Anupam Jena of Harvard University, Massachusetts General Hospital and the National Bureau of Economic Research; and Dr. Nate Gross of Doximity.

    The study was funded by the National Institutes of Health’s National Institute on Aging (R01AG068633) and the Social Science Research Council.

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    University of California, Los Angeles (UCLA), Health Sciences

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  • Gene editing, new DNA repair methods found

    Gene editing, new DNA repair methods found

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    Newswise — (Santa Barbara, Calif.) — Gene editing is a powerful method for both research and therapy. Since the advent of the Nobel Prize-winning CRISPR/Cas9 technology, a quick and accurate tool for genome editing discovered in 2012, scientists have been working to explore its capabilities and boost its performance. 

    Researchers in UC Santa Barbara biologist Chris Richardson’s lab have added to that growing toolbox, with a method that increases the efficiency of CRISPR/Cas9 editing without the use of viral material to deliver the genetic template used to edit the target genetic sequence. According to their new paper published in the journal Nature Biotechnology, their method stimulates homology-directed repair (a step in the gene editing process) by approximately threefold “without increasing mutation frequencies or altering end-joining repair outcomes.”

    “We’ve found a chemical modification that improves non-viral gene editing and also discovered an intriguing new type of DNA repair,” Richardson said.

    Find, Cut and Paste

    The CRISPR/Cas9 method works by capitalizing on a defense technique employed by bacteria against viral attackers. To do this, the bacteria snip a piece of the invading virus’s genetic material, and incorporate it into their own in order to recognize it later. Should the bacteria get reinfected, they can target the now-familiar genetic sequences for destruction.

    In gene editing, this process uses the enzyme Cas9 as molecular “scissors” to snip sequences it recognizes, guided by the CRISPR system. This cut is also an opportunity to replace the severed genes with similar (homologous) but improved ones, utilizing the cell’s natural repair mechanisms. If successful, the cell should have modified expressions and functions thereafter.

    To deliver the repair template DNA to the nucleus of the cell where its genetic material lives, oftentimes viruses are used. While they are effective, the researchers say, viral workflows “are expensive, difficult to scale and potentially toxic to cells.”

    Nonviral templates are potentially less expensive and more scalable, although researchers still must overcome efficiency and toxicity barriers. In their study, the Richardson Lab found that introducing interstrand crosslinks into the workflow increased homology directed repair dramatically.

    “Every workflow that we have put this approach into has worked better by roughly threefold,” Richardson said.

    Interstrand crosslinks are lesions that keep the double strands of a DNA helix tethered to each other, making them unable to replicate. Cancer chemotherapies use this mechanism to interrupt tumor growth and kill cancer cells. Added to a homology directed repair template, however, these crosslinks were found to stimulate the cell’s natural repair mechanisms and increase the likelihood of editing success.

    “Basically, what we’ve done is taken this template DNA and damaged it,” Richardson said. “We’ve in fact damaged it in the most severe way I can think of. And the cell doesn’t say, ‘Hey this is junk; let me throw it away.’ What the cell actually says is, ‘Hey this looks great; let me stick it into my genome.’” The result is a highly efficient and minimally error-prone nonviral system of gene editing.

    Their discovery, like many breakthroughs in science, was actually something of a happy accident. While working to purify proteins to study DNA repair, graduate student researcher and lead author Hannah Ghasemi noted unanticipated changes to the outcomes of their experiments.

    “We were introducing these chemical modifications to the DNA templates in order to be able to pull them out of the cells and see what proteins were bound to them, and I was just checking to see if this modification had somehow affected the editing in any capacity,” she said. “I was expecting to either see no change or that it actually might have negatively affected the editing.”

    What she found instead was a positive effect, up to three times the editing activity of the uncrosslinked controls. Furthermore, the team found that even with the increase in edits — and therefore the chances for errors — there was no increase in mutation frequency. They are still investigating the specific mechanisms leading to this result, but they have ideas.

    “What we think happens is that the cell detects and tries to repair the damaged DNA that we’ve added this crosslink to,” Richardson said. “And in doing so, it delays the cell past a checkpoint where it would normally stop this recombination process. And so by prolonging the amount of time that it takes the cell to do this recombination, it makes it more likely that the edits will go to completion.” Studying this new process could also lead to a better understanding about how cells detect editing reagents and how they “decide” to accept them or not, he said.

    This method will find the most use in ex-vivo gene editing applications, according to the team, that is, in the realm of disease research and preclinical work.

    “We can more effectively knock down genes and insert things into genomes to study systems outside of the human body in a lab setting,” Ghasemi said. This development allows them to more efficiently build disease models and test hypotheses about how diseases work, which could lead to better clinical and therapeutic approaches.

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  • Coal Trains Polluting San Francisco Bay Air

    Coal Trains Polluting San Francisco Bay Air

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    Newswise — As per a study conducted by the University of California, Davis in Richmond, California, coal trains and terminal operations are found to be major contributors of fine particulate matter (PM2.5) pollution to urban areas. It has been observed that they contribute more significantly to this pollution as compared to other freight or passenger trains.

    According to a study published in the journal Air Quality, Atmosphere & Health, it is the first research conducted in a U.S. urban area that examined particulate pollution caused by coal trains. The study is also the first of its kind to utilize artificial intelligence technologies to verify that the air pollution detected has originated from coal.

    The study revealed that coal-carrying trains passing through an area contribute an average of 8 micrograms per cubic meter of air (ug/m3) to the existing ambient PM2.5 pollution. This amount is 2 to 3 ug/m3 more than the pollution contributed by freight trains. Furthermore, even empty coal cars were found to add about 2 ug/m3 of coal dust traces to the air. In certain wind conditions, the concentrations of PM2.5 reached up to 25 ug/m3.

    Environmental justice concerns

    The authors of the study recently released a comprehensive report to the California Air Resources Board. The report includes additional measurements of coal and petroleum coke emissions (a byproduct of oil refining), which show that the storage and handling of these materials at shipping terminals and train holding yards also contribute to the emission of PM2.5. Furthermore, the report demonstrated that this particulate matter pollution from coal and petroleum coke reaches residential communities, thereby impacting public health.

    As per the study conducted by the University of California, Davis in Richmond, California, coal trains and terminal operations contribute a substantial quantity of fine particulate matter (PM2.5) pollution to urban areas. The study suggests that their contribution to this pollution is more significant than other types of freight or passenger trains.

    According to a research paper published in the journal Air Quality, Atmosphere & Health, it is the first-ever study of coal train particulate pollution conducted in a U.S. urban area. The study is also the first to leverage artificial intelligence technologies to verify that the detected source of air pollution is from coal.

    The study revealed that passing trains carrying coal contribute an average of 8 micrograms per cubic meter of air (ug/m3) to ambient PM2.5 pollution. This amount is 2 to 3 ug/m3 more than the pollution caused by freight trains. Interestingly, even empty coal cars were found to add around 2 ug/m3 of coal dust traces to the air. Under certain wind conditions, these concentrations of PM2.5 reached up to 25 ug/m3.

    Environmental justice concerns

    The authors of the study have recently submitted a complete report to the California Air Resources Board. The report includes additional measurements of coal and petroleum coke emissions (a byproduct of oil refining). It clearly shows that the storage and handling of these materials at shipping terminals and train holding yards also release PM2.5 emissions, and that this pollution travels to residential communities. This suggests that the adverse effects of coal-related pollution are not just limited to the areas near coal mines or power plants but also extend to urban areas where coal transport and storage occur.

    In addition to providing more measurements of coal and petroleum coke emissions, the report also discusses the health and environmental justice implications of coal-related pollution for residents living in Richmond and nearby Oakland. This is particularly relevant as a proposal for a coal terminal is currently under discussion in Oakland. The report suggests that such a proposal would have significant negative impacts on the air quality and health of the surrounding communities.

    The study involved placing a monitor along train tracks in Richmond, a city located in the San Francisco Bay Area, between May 2022 and October 2022. Richmond is home to a racially diverse population of approximately 115,000 people, with high rates of asthma and heart disease. The study also involved monitoring in other locations over the past two years.

    The authors found that coal transport, storage and handling significantly increase community exposure to ambient PM2.5.

    According to Spada, the lead author of the study, the scale of the project motivated the team to experiment with computer-learning techniques. As a result, they developed a state-of-the-art system that allowed for the classification of several thousand trains observed during the study with a high degree of confidence. This included various types of trains, such as passenger, freight, and both unloaded and full coal cars. The success of this approach highlights the potential of artificial intelligence in environmental research.

    The researchers noted that an unforeseen benefit of using computer-learning techniques to classify train types based on their pollution emissions was that this technology can also be applied to help identify the sources and levels of pollution in other air pollution concerns. For instance, the same approach could be used to analyze emissions from refinery flaring, construction dust, and activities such as unloading and loading at shipyards. This demonstrates the potential for this technology to be used in a broader range of environmental research and monitoring efforts.

    No safe level

    The World Health Organization and the U.S. Environmental Protection Agency have stated that there is no known safe level of PM2.5 pollution. A recent study on the global burden of disease estimates that fine particulate matter pollution is a contributing factor in 6.7 million deaths worldwide each year.

    The authors noted that the negative effects of air pollution are disproportionately experienced by vulnerable populations, such as infants, children, the elderly, people of color, those with low incomes, and those with underlying health conditions.

    According to the scientists, the study did not measure ultrafine or coarse particles (PM10), which are also produced along with PM2.5. This suggests that the study probably underestimates the true health risks posed by passing coal trains.

    The study was funded by the California Air Resources Board Community Air Monitoring Grant Program.

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    University of California, Davis

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  • Suffering from allergies already? Blame climate change.

    Suffering from allergies already? Blame climate change.

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    Reports indicate that pollen patterns, magnitude and flowering timing are changing with the earth’s temperature rise

    Human-caused climate change is exacerbating pollen seasons, asthma and even wildfires in certain areas around the nation. In the past three decades across the U.S., pollen seasons have not only started sooner and lasted longer but also increased in pollen concentrations. This trajectory showcases that its more than just a seasonal nuisance now. Allergies to airborne pollen are tied to respiratory health and will impact a very similar vulnerable population that suffered during the COVID-19 pandemic.

    For expert commentary on allergies and asthma that have been categorized as a health outcome linked to climate change, Andrea De Vizcaya Ruiz, PhD, associate professor and Shahir Masri, ScD, associate specialist, both with the environmental and occupational health department at UC Irvine Program in Public Health, are available for interviews.

    More pollen circulating in our air longer is contributing to the onset and aggravation of allergies (rhinitis, eye irritation, headaches, cough, post-nasal drip). Coupled with indoor air pollution and climate change, our communities are experiencing unprecedented exposure to harmful air pollutants. The evidence is alarming and is imperative we take action to adopt effective and evidence-based regulations, spread awareness on lifestyle changes, and work together to clean our air.

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  • All time high temperatures are causing more injury deaths

    All time high temperatures are causing more injury deaths

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    Newswise — UCI Public Health’s Tim Bruckner, PhD, a professor of health, society, and behavior joined a research team to analyze death certificate data during the Pacific Northwest heat wave and discovered the association of higher injury death rates. Injury deaths are categorized as drownings, traffic accidents, assaults, and suicides exceeded expectations as a result of the unprecedented heat wave. 

    They found that in June of 2021, injury deaths exceeded predictions by 21 deaths and by July of that time, death exceeded predictions by 93. These results coincide with additional evidence-based research that injury death rates vary by season in the U.S. confirming that temperature can notably influence injury death rates. 

    Findings are published in the American Journal of Public Health.

    Even though the Pacific Northwest Heat Wave was a 1-in-1000-years event, it can happen again as climate change effects worsen. We need to create better public health interventions and awareness in order to manage the impact that rising temperatures can have on alcohol consumption, driving behaviors, levels of anger and despair, and increased swimming activities. Older adults, agricultural workers, and others undertaking strenuous physical activity in uncooled spaces are disproportionately at risk to the effects of heat.

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  • Stripped to the bone

    Stripped to the bone

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    Natural disasters can devastate a region, abruptly killing the species that form an ecosystem’s structure. But how this transpires can influence recovery. While fires scorch the landscape to the ground, a heatwave leaves an army of wooden staves in its wake. Storm surges and coral bleaching do something similar underwater.

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  • Can food banks better promote nutrition and health?

    Can food banks better promote nutrition and health?

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    Newswise — An estimated 53 million people in the U.S. turned to food banks and community programs for help putting food on the table in 2021. In recent decades, food banks have adopted policies and practices to make sure people not only have access to food but also healthy and nutritious food. 

    But until now, food banks have had few ways to evaluate those initiatives. 

    University of California, Davis, Assistant Professor of Cooperative Extension Cassandra Nguyen led a team of researchers to develop the Food Bank Health and Nutrition Assessment to address that concern. Their findings were published in the journal Public Health Nutrition.

    “This tool will allow food banks to reflect on their current practices and determine whether they can adopt additional strategies to promote nutrition and health. It also serves as a benchmark, which they can use to track their progress over time,” said Nguyen, with the UC Davis Department of Nutrition.

    Nutrition policy is more than what’s on the shelf

    Food banks face some common challenges in promoting nutrition, health and equity. While food banks could assess the nutritional quality of their inventory, Nguyen said promoting nutrition requires more than knowing the types of food on the shelf.

    “Food banks can have nutrition policies that outline where they source food and which foods they prioritize when funding is available. They can also ensure that food pantry clients are either represented on advisory boards or are able to provide feedback about foods they would like to receive,” Nguyen said.

    Additionally, food banks can take steps to make sure nutrition education materials and information about federal assistance programs for health and nutrition are available in languages spoken by recipients. 

    Partnerships with outside organizations and local farmers can also increase the variety and availability of nutritious foods. Food banks with diverse connections may also adapt better to unexpected spikes in need, such as during the COVID-19 pandemic. 

    The Food Bank Health and Nutrition Assessment was designed to evaluate these and additional objectives so food banks can identify areas of success as well as potential strategies they hadn’t considered before. 

    Importance of data

    “By having data from this assessment to show that some practices to promote nutrition and health may be difficult to implement, several food banks can raise their voices to advocate for policy changes,” Nguyen said. 

    Food banks with Feeding America and the Midwest Food Bank in four Midwestern states participated in the initial development of the Food Bank Health and Nutrition Assessment. In this small initial sample, most food banks asked food recipients about their preferences or whether diet-related diseases (for example, diabetes) were common, but few had current or former charitable food recipients on advisory boards. 

    The assessment is available for free through Feeding America, the largest nonprofit organization supporting the charitable food system, and online through the University of Illinois Extension. Food bank staff and partnering community-based professionals such as extension staff can use the assessment to improve promotion of nutrition and health.

    Other authors include Caitlin Kownacki, Veronica Skaradzinski, Kaitlyn Streitmatter, Stephanie Acevedo and Jennifer McCaffrey with the University of Illinois at Urbana-Champaign; Stephen D. Ericson with Feeding Illinois; and Jessica E. Hager with Feeding America.

    Funding for the research was supported by the Supplemental Nutrition Assistance Program-Education, or SNAP-Ed, in Illinois.

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  • Celebrity sightings have a built-in contradiction

    Celebrity sightings have a built-in contradiction

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    Newswise — RIVERSIDE, Calif. — Their popularity makes celebrities easy to spot. Strangers, however, can also get mistaken for celebrities, resulting in cases of false “celebrity sightings.” In attempting to explain the contradiction, a University of California, Riverside, study reports that celebrity faces are remembered more precisely but less accurately.

    Precision, in this context, refers to how memories for a particular face resemble each other over repeated memory retrievals, which can be likened to the clustering of arrows on a target in archery. Accuracy measures how remembered faces resemble newly encountered faces — or the deviation from the target in archery.

    “What our findings say is that people might accept errors by misidentifying someone as a celebrity in the interest of securing a ‘celebrity sighting,’” said Weiwei Zhang, an associate professor of psychology, who led the study that appears in the journal Psychonomic Bulletin & Review. “Our study explains why people are good and bad at spotting celebrities and highlights the importance of assessing both memory imprecision and bias in memory performance.”

    The study tested 52 college students’ memory for morphed faces that looked like the celebrities Anne Hathaway, Brad Pitt, Zendaya Coleman, or George Clooney. The goal was to assess whether and how prior familiarity with celebrities affects participants’ memory performance. 

    The researchers collected a total of eight face stimuli: those of Hathaway, Pitt, Coleman, and Clooney, and four non-celebrity faces. Participants were first briefly presented with a photo of a celebrity or non-celebrity. After a short interval, they were presented with a test face and asked if it was the same face as the studied face (test faces were the same half the time and altered the rest of the time). For instance, if the first photo was 100% celebrity, the test face could be altered to 78% celebrity 50% of the time, Zhang said. The same procedure was followed when participants were first shown photos of non-celebrities.

    “We found that familiarity with celebrities led to sharpened and more precise memories for celebrities as compared to non-celebrities,” he said. “But it also led to impaired memory accuracy, where celebrity lookalikes or morphed faces were misremembered as celebrities.”

    According to Zhang, the findings can help explain a tradeoff in human behavior. 

    “Familiarity with celebrities in our study is key for the variance-bias tradeoff in face recognition for celebrities,” he said. “We don’t seem to do this for anyone else.”

    Bias and variance are prediction errors. The total error is the sum of these two error terms, resulting in a trade-off between the two. In machine learning, bias is the difference between the average prediction and the correct value. Variance is a measure of the spread of data points. The variance-bias tradeoff, as its name suggests, is the tradeoff between variance and bias. Finding a good balance between these prediction errors helps minimize the total error. 

    Zhang explained that human cognition appears to work like machine learning; where cognition is concerned, variance, which is the opposite of precision, and bias, which is the opposite of accuracy, would need to trade off each other to maximize the opportunity to process and represent information. 

    “The conventional wisdom is that we want our memory to be super accurate and precise,” he said. “But such a rigid memory would not be able to accommodate the variance seen in natural stimuli. For instance, with different lighting conditions, makeup, dresses, and hairstyle, a person’s look can vary greatly. Our memories have to be noisy and vague enough — high variance — to support face recognition with all the variance we find in looks. However, when our memory is vague, face recognition can fail from time to time, which is not optimal in celebrity sightings, given that we don’t want to miss encounters with celebrities. So as a solution, we introduce recognition biases in the mix. We start identifying strangers or celebrity lookalikes as celebrities as an overcorrection for vague memories.”

    Zhang is unsure if the findings have applications beyond faces — to objects and places, for example.

    “It is at least theoretically possible that the variance-bias trade off may be extended to objects and places of importance to individuals,” he said. “We think our findings may be related to déjà vu experiences in that we may have inaccurate but subjectively strong memories.”

    Next, the research team plans to conduct research to assess how memory accuracy and precision interact with each other and how these two aspects of memories are encoded in the brain.

    Zhang was joined in the study by Bo‐Yeong Won and Hyung‐Bum Park. Won is now an assistant professor of psychology at California State University Chico. Park is now a postdoctoral fellow at the University of Chicago. 

    The study was funded by the National Institute of Mental Health, the lead federal agency for research on mental disorders.

    The research paper is titled “Familiarity enhances mnemonic precision but impairs mnemonic accuracy in visual working memory.”

    The University of California, Riverside is a doctoral research university, a living laboratory for groundbreaking exploration of issues critical to Inland Southern California, the state and communities around the world. Reflecting California’s diverse culture, UCR’s enrollment is more than 26,000 students. The campus opened a medical school in 2013 and has reached the heart of the Coachella Valley by way of the UCR Palm Desert Center. The campus has an annual impact of more than $2.7 billion on the U.S. economy. To learn more, visit www.ucr.edu.

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  • Shrinking age distribution of spawning salmon raises climate resilience concerns

    Shrinking age distribution of spawning salmon raises climate resilience concerns

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    Newswise — By returning to spawn in the Sacramento River at different ages, Chinook salmon lessen the potential impact of a bad year and increase the stability of their population in the face of climate variability, according to a new study by scientists at UC Santa Cruz and NOAA Fisheries.

    Unfortunately, spawning Chinook salmon are increasingly younger and concentrated within fewer age groups, with the oldest age classes of spawners rarely seen in recent years. The new study, published February 27 in the Canadian Journal of Fisheries and Aquatic Sciences, suggests changes in hatchery practices and fishery management could help restore the age structure of the salmon population and make it more resilient to climate change.

    The researchers focused on Sacramento River fall-run Chinook salmon, which contribute heavily to the salmon fisheries of California and southern Oregon. This population is particularly susceptible to the effects of increasingly severe drought conditions driven by climate change.

    “As we get more variable climate conditions, with greater extremes of rainfall and drought, we are going to see more ‘boom-and-bust’ population dynamics unless we start to restore the age structure of the population, which can spread out the effects of good and bad years across time,” said senior author Eric Palkovacs, professor of ecology and evolutionary biology and director of the Fisheries Collaborative Program at UC Santa Cruz.

    If most of the salmon return to spawn at the same age, one bad year could be devastating for the overall population. Spreading the risk over multiple years is an example of what ecologists call the “portfolio effect,” like a financial portfolio that spreads risk over multiple investments.

    First author Paul Carvalho, a postdoctoral fellow with the Fisheries Collaborative Program, explained that juvenile salmon are especially vulnerable to the effects of drought as they migrate to the ocean from freshwater rivers and streams.

    “We focused on the impacts of drought on the survival of juvenile salmon, but drought conditions can also increase mortality of returning adult salmon as they migrate upstream to spawn,” he said.

    Carvalho developed a life cycle model of the Sacramento River fall-run Chinook salmon population to simulate the effects of different drought scenarios and other variables on the population. The model was grounded in data from field studies, such as research by NOAA Fisheries scientists that quantified the relationship between river flows and survival rates of juvenile salmon.

    The model allowed the researchers to assess the effects of different mechanisms that can affect the age structure of the population. A century ago, most of the spawning salmon returning to the Sacramento River watershed were four years old, and some were as old as six years. Today, however, six-year-old fish are rarely observed and most of the spawners are three years old.

    “Historically, you would have seen huge salmon coming back at older ages, but over the past century they’ve gotten smaller and younger,” Palkovacs said. “The dominant age class is now 3 years, and there are very few even at age 5, so there’s been a big shift in the age structure.”

    Decreased size and age at maturity is a classic pattern of fisheries-induced evolution. A high mortality rate for older fish selects for fish that mature at earlier ages, because a fish that dies before it can spawn doesn’t pass on its genes. But fishing pressure is not the only factor driving changes in the age structure of the salmon population. Hatchery practices can also inadvertently select for earlier maturation.

    “It’s pretty clear that current hatchery practices are resulting in very homogeneous populations returning at age three,” Palkovacs said. “Rather than producing a uniform product, it would be better to increase the diversity of the age structure by selecting older, larger fish and making sure you get as many of them into the spawning population as possible.”

    Carvalho noted that improving the age structure of the population by selecting for fish that spend more years at sea (delayed maturation) would be most effective in combination with reduced harvest rates.

    “Because the fish remain in the ocean longer, they are exposed to the fishery and other causes of mortality for a longer period, so that reduces the number returning to spawn if you don’t reduce fishing pressure on those older age classes,” he said.

    Overall, the results show that maintaining or increasing the age structure through reduced mortality and delayed maturation improves the stability of the salmon population, buffering against the adverse effects of drought and making the population more resilient in an increasingly variable climate.

    “Regardless of the mechanism, whether it’s reduced mortality or delayed maturation that’s driving it, increasing the diversity of the age structure will increase the stability of the population,” Carvalho said.

    In addition to Carvalho and Palkovacs, the coauthors of the paper include William Satterthwaite, Michael O’Farrell, and Cameron Speir at the NOAA Southwest Fisheries Science Center. This work was supported by the Cooperative Institute for Marine, Earth, and Atmospheric Systems (CIMEAS) and the NOAA Quantitative Ecology and Socioeconomics Training (QUEST) Program.

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  • UCLA Health tip sheet: Pesticides & Parkinson’s symptoms; Gender-affirming hormones improve mental health; Body composition & cardiovascular disease

    UCLA Health tip sheet: Pesticides & Parkinson’s symptoms; Gender-affirming hormones improve mental health; Body composition & cardiovascular disease

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    UCLA Health Tip Sheet Feb. 21, 2023

    Below is a brief roundup of news and story ideas from the experts at UCLA Health. For more information on these stories or for help on other stories, please contact us at [email protected].

    Body composition, not BMI, may signal risk for cardiovascular disease  Body mass index has long been a measure of a person’s risk of developing cardiovascular disease, but body composition and its role in the disease have not been well studied. In a new study, UCLA researchers predicted higher fat mass would be linked to higher levels of coronary artery calcification (CAC) — a marker of subclinical cardiovascular disease – and higher fat-free mass would be linked to lower levels of CAC. Using computed tomography scans and bioelectrical impedance analysis to study CAC and body composition in 3,129 non‐Hispanic Whites, Blacks, Hispanics, and Chinese patients, the researchers unexpectedly found that higher fat-free mass and, to a lesser extent, higher fat mass were linked to high levels of CAC. The researchers cautioned that bioelectrical impedance analysis could not identify the quality of fat or fat-free mass. Given these findings, the researchers say measuring body composition rather than using BMI to assess obesity may be a better approach to evaluating cardiovascular disease risk. Read the study published Feb. 8, 2023 in the Journal of the American Heart Association.

    Bariatric surgery reduces risks of hospitalization for heart failure Bariatric surgery has been found to reverse the ill effects of diabetes and may be protective against obesity-related cancers. Because obesity rates are on the rise across the globe, UCLA researchers set out to study other health benefits weight loss surgeries confer, in particular the link between the procedures and acute heart failure hospitalizations. After analyzing data from the Nationwide Readmissions Database from 2016 to 2019, the researchers found bariatric surgery was associated with lower odds of being hospitalized with acute heart failure. Among patients hospitalized with acute heart failure, prior bariatric surgery was associated with lower risks of death, prolonged ventilation, and acute renal failure. Beyond the health benefits, those who had undergone surgery stayed one fewer day in the hospital and incurred about $1,200 less in hospital costs compared to age matched cohorts. Read the study in Surgery for Obesity and Related Diseases. 

    Pesticides may also worsen Parkinson’s symptoms: While researchers have consistently found an association between pesticide exposure and higher risk of developing Parkinson’s disease, there has been little study of whether such exposure can accelerate the course of the disease. In a new study of 53 pesticides associated with Parkinson’s onset, researchers led by UCLA assistant professor of neurology Kimberly Paul, PhD, identified 10 pesticides that are associated with faster progression of motor and non-motor symptoms. Furthermore, exposure to six of those pesticides was associated with worsening of multiple endpoints researchers measured. Two pesticides, copper sulfate (pentahydrate) and MCPA (dimethylamine salt), were associated with all three endpoints measured: motor function, cognitive function, and depressive symptoms. Read the study in the journal Science of the Total Environment.

    Repurposing an old drug for a rare disease: A drug used to treat epilepsy, retigabine, may help manage episodic attacks of paralysis in patients with the rare inherited muscle disease Hypokalemic Periodic Paralysis (HypoPP), according to a new study that tested retigabine in genetically engineered mice. There’s a strong need to identify new HypoPP treatments since existing ones only improve symptoms in about half of patients and have considerable side effects. HypoPP is often marked by reduced potassium levels in the blood during episodes of muscle weakness. While it was known that retigabine affects a potassium channel that plays an important role in the heart and brain, the channel wasn’t previously known to exist in skeletal muscle. However, the new study led by Dr. Stephen C. Cannon, chair of the physiology department at the UCLA David Geffen School of Medicine, found that retigabine helps stabilize the membrane potential of skeletal muscle, thereby protecting against attacks of muscle weakness. Read the study, published online Jan. 30, in the journal Brain.

    Women treated with thrombectomy for pulmonary embolism fare worse A new study led by UCLA researchers analyzed the different outcomes in men and women with a pulmonary embolism who are treated by a percutaneous pulmonary artery thrombectomy- a procedure in which a catheter is placed in a patient’s lung to dissolve or remove a blood clot. After analysis of a national cohort of US patients from an inpatient claims-based database, researchers reported that women had higher rates of procedural bleeding, vascular complications, and needed more blood transfusions compared to men. They also found that women had higher in-hospital death rates and were more likely to go a nursing home or an assisted living facility instead of returning home after discharge. Given these disparities in outcomes, study authors are calling for more sex-based research. Read the study in the January 1, 2023 issue of CHEST. 

    A new clue about Parkinson’s progression The transmission of misfolded proteins in the brain is a key mechanism for the progression of various neurodegenerative diseases including Parkinson’s disease and Alzheimer’s disease. Chao Peng, PhD, an assistant professor of neurology, found a novel mechanism that regulates the transmission of one of these pathological proteins, misfolded alpha-synuclein, which leads to disease progression in Parkinson’s. This mechanism is the discovery that many modifications that a cell makes in these proteins alter their ability for transmission in the brain and disease progression. This discovery not only provides critical insights into disease mechanism but also facilitates the development of novel therapy for neurodegenerative diseases. Read the study, published Jan. 23, in Nature Neuroscience.

    Urban heat islands, redlining and kidney stones The persistent rise in kidney stone prevalence in recent decades has prompted much speculation as to the causes. There has been some discussion about the effect of heat on nephrolithiasis. A review of recent data suggests that heat may play a role in stone formation on a large scale and among African-Americans in particular. A new UCLA-led study led by Dr. Kymora B. Scotland states that African-Americans are the race/ancestry group with faster rates of increasing incidence and prevalence of kidney stones. Researchers also found that urban heat islands in the United States have resulted in part from the effects of redlining, a practice of systematic segregation and racism in housing that led to the development of neighborhoods with substantial disparities in environmental conditions. Dr. Scotland and her team hypothesize that the increased temperatures experienced by residents in redlined communities, many of whom are African American may contribute to the 150% increase in the prevalence of kidney stones in African Americans in recent decades. Read the study in the January 1, 2023 issue of Current Opinion in Nephrology and Hypertension.

    Gender-affirming hormones tied to mental health for transgender youth Transgender and nonbinary teens who receive gender-affirming hormones experience improvement in body satisfaction, life satisfaction and less depression and anxiety than before treatment. These findings are according to newly-published research by a four-site prospective, observational study and co-authored by Marco A. Hidalgo, PhD. Dr. Hidalgo is a clinical psychologist and Associate Clinical Professor of Medicine at the David Geffen School of Medicine at UCLA. Read the study published January 19, 2023 in the New England Journal of Medicine.

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  • Receptor location matters for psychedelic drug effects

    Receptor location matters for psychedelic drug effects

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    Newswise — Location, location, location is the key for psychedelic drugs that could treat mental illness by rapidly rebuilding connections between nerve cells. In a paper published Feb. 17 in Science, researchers at the University of California, Davis show that engaging serotonin 2A receptors inside neurons promotes growth of new connections but engaging the same receptor on the surface of nerve cells does not. 

    The findings will help guide efforts to discover new drugs for depression, PTSD and other disorders, said senior author David E. Olson, associate professor of chemistry, biochemistry and molecular medicine and director of the Institute for Psychedelics and Neurotherapeutics at UC Davis. 

    Drugs such as LSD, MDMA and psilocybin show great promise for treating a wide range of mental disorders that are characterized by a loss of neural connections. In laboratory studies, a single dose of these drugs can cause rapid growth of new dendrites – branches – from nerve cells, and formation of new spines on those dendrites. 

    Olson calls this group of drugs “psychoplastogens” because of their ability to regrow and remodel connections in the brain. 

    Earlier work from Olson’s and other labs showed that psychedelic drugs work by engaging the serotonin 2A receptor (5-HT2AR). But other drugs that engage the same receptor, including serotonin, do not have the same growth effects. 

    Maxemiliano Vargas, a graduate student in Olson’s lab, Olson and colleagues experimented with chemically tweaking drugs and using transporters to make it easier or harder for compounds to slip across cell membranes. Serotonin itself is polar, meaning it dissolves well in water but does not easily cross the lipid membranes that surround cells. The psychedelics, on the other hand, are much less polar and can easily enter the interior of a cell. 

    They found that the growth-promoting ability of compounds was correlated with the ability to cross cell membranes. 

    Drug receptors are usually thought of as being on the cell membrane, facing out. But the researchers found that in nerve cells, serotonin 2A receptors were concentrated inside cells, mostly around a structure called the Golgi body, with some receptors on the cell surface. Other types of signaling receptors in the same class were on the surface. 

    The results show that there is a location bias in how these drugs work, Olson said. Engaging the serotonin 2A receptor when it is inside a cell produces a different effect from triggering it when it is on the outside. 

    “It gives us deeper mechanistic insight into how the receptor promotes plasticity, and allows us to design better drugs,” Olson said. 

    Additional authors on the paper include: from UC Davis, Lee Dunlap, Chunyang Dong, Samuel Carter, Robert Tombari, Lin Tian, John Gray, Shekib Jami, Seona Patel, Lindsay Cameron and Hannah Saeger; Joseph Hennessey and John McCorvy from the Medical College of Wisconsin, Milwaukee. The work was supported by grants from the National Institutes of Health and the Camille and Henry Dreyfus Foundation, and by a sponsored research agreement with Delix Therapeutics. 

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  • Discovery could lead to new fungicides to protect rice crops

    Discovery could lead to new fungicides to protect rice crops

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    Newswise — A fungus that plagues rice crops worldwide gains entry to plant cells in a way that leaves it vulnerable to simple chemical blockers, a discovery that could lead to new fungicides to reduce the substantial annual losses of rice and other valuable cereals.

    Each year, blast disease, caused by the fungal pathogen Magnaporthe oryzae, attacks and kills plants that represent between 10% and 35% of the global rice crop, depending on weather conditions.

    University of California, Berkeley, biochemists led by Michael Marletta, professor of chemistry and of molecular and cell biology, discovered that the fungus secretes an enzyme that punches holes in the tough outer layer of rice leaves. Once inside, the fungus rapidly grows and inevitably kills the plant.

    In a paper published this week in the journal Proceedings of the National Academy of Sciences, Marletta and his colleagues describe the structure of the enzyme and how it works to help the fungus invade plants. Because the enzyme is secreted onto the surface of the rice leaf, a simple spray could be effective in destroying the enzyme’s ability to digest the wall of the plant. The scientists are now screening chemicals to find ones that block the enzyme.

    “The estimates are that if you could knock out this fungus, you could feed 60 million more people in the world,” said Marletta, the Choh Hao and Annie Li Chair in the Molecular Biology of Diseases at UC Berkeley. “This enzyme is a unique target. Our hope here is that we’ll screen to find some unique chemicals and spin out a company to develop inhibitors for this enzyme.”

    This target is one of a family of enzymes called polysaccharide monooxygenases (PMO) that Marletta and his UC Berkeley colleagues discovered a little over 10 years ago in another, more widespread fungus, Neurospora. Polysaccharides are sugar polymers that include starch as well as the tough fibers that make plants sturdy, including cellulose and lignin. The PMO enzyme breaks cellulose into smaller pieces, making the polysaccharide susceptible to other enzymes, such as cellulases, and speeding up the breakdown of plant fibers.

    “There is an urgent need for more sustainable control strategies for rice blast disease, particularly in South Asia and sub-Saharan Africa,” said Nicholas Talbot, who is Marletta’s colleague and co-author, a plant disease expert and executive director of The Sainsbury Laboratory in Norwich in the United Kingdom. “Given the importance of the polysaccharide monooxygenase to plant infection, it may be a valuable target for developing new chemistries that could be applied at much lower doses than existing fungicides and with less potential environmental impact. It might also be a target for completely chemical-free approaches, too, such as gene silencing.”

    Marletta and UC Berkeley Ph.D students Will Beeson and Chris Phillips were originally interested in these enzymes because they degrade plant cellulose much more quickly than other previously described enzymes and thus had potential to turn biomass into sugar polymers that can be fermented more readily into biofuels. Fungi use PMOs to provide a source of food.

    He and UC Berkeley colleagues subsequently found hints that some fungal PMOs may do more than merely turn cellulose into food. These PMOs were turned on in the early stages of infection, implying that they’re important in the infection process rather than providing food.

    That’s what Marletta, Talbot and their colleagues found. Led by postdoctoral fellow Alejandra Martinez-D’Alto, the UC Berkeley scientists biochemically characterized this unique PMO, called MoPMO9A, while Talbot and UC Berkeley postdoctoral fellow Xia Yan showed that knocking out the enzyme reduced infection in rice plants.

    Marletta and his UC Berkeley colleagues have found similar PMOs in fungi that attack grapes, tomatoes, lettuce and other major crops, which means the new findings may have broad application against plant fungal diseases.

    “It isn’t just rice that small molecule inhibitors could be used against. They could be widely used against a variety of different crop pathogens,” Marletta said. “I think the future for this, in terms of drug development for plant pathogens, is pretty exciting, which is why we are going to pursue both the fundamental science of it, like we always do, and try to put together pieces to spin it out as a company.”

    Biofuels lead way to attacking fungal pathogen

    Marletta specializes in identifying and studying new and unusual enzymes in human cells. But 10 years ago, when people got excited about biofuels as a way to address climate change, he was awarded a grant from UC Berkeley’s Energy Biosciences Institute to search for enzymes in other life forms that digest plant cellulose faster than the enzymes known at the time. The goal was to turn tough cellulose fibers into short-chain polysaccharides that yeast could ferment into fuel.

    “I said to two of my first-year graduate students, Chris Phillips and Will Beeson, ‘You know, there’s got to be organisms out there that eat cellulose fast,’” Marletta said. “Those are the ones we want to find, because we know the enzymes that eat it slow, and they’re not particularly useful in a biotechnology sense because they’re slow.”

    Phillips and Beeson succeeded in finding fast-acting enzymes in a common fungus, Neurospora, which is among the first fungi to attack dead trees after a fire and does a quick job of digesting wood for nutrients. They isolated the enzyme responsible, the first known PMO, and described how it worked. Since then, Marletta’s students have identified 16,000 varieties of PMO, most in fungi, but some in wood-eating bacteria. To date, these have had some success in speeding the production of biofuels as part of a cocktail of other enzymes, though they haven’t made biofuels competitive with other fuels.

    But Marletta was intrigued by a small subset of these 16,000 varieties that seemed to do more than provide nutrition for fungi. MoPMO9A, in particular, had an amino acid segment that binds to chitin, a polysaccharide that forms the outer coat of fungi, but is not found in rice. And though all PMOs are secreted, MoPMO9A was secreted during the infectious cycle of the fungus.

    Studies subsequently showed that Magnaporthe concentrates MoPMO9A in a pressurized infection cell, called the appressorium, from which it is secreted onto the plant, with one portion of the enzyme binding to the outside of the fungus. The other end of the enzyme has a copper atom embedded in its center. When the fungus slaps the loose end of the enzyme onto the rice leaf, the copper atom catalyzes a reaction with oxygen to break cellulose fibers, helping the fungus breach the leaf surface and invade the entire leaf.

    “We were curious: ‘Hey, why does this enzyme have a chitin-binding domain if it’s supposed to be working on cellulose?’” according to Marletta. “And that’s when we thought, ‘Well, maybe it’s secreted, but it sticks to the fungus. That way, when the fungus is sitting on the plant, it can have between it and the leaf the catalytic domain to punch the hole into the leaf.’”

    That proved to be the case. Marletta and Talbot are now testing other pathogens that produce PMOs to see if they use the same trick to enter and infect leaves. If so — Marletta is confident that they do — it opens avenues to attack them with a spray-on fungicide, as well.

    “The only place you find PMOs like this is in plant pathogens that have to gain access to their host. So, they’re almost certainly going to be working the same way,” Marletta said. “I think the scope of work to develop inhibitors to this particular PMO is going to be well beyond rice, even though that itself is pretty important. We’re going to be able to use them in other important crop plants.”

    Other co-authors of the paper are Alejandra Martinez-D’Alto, Tyler Detomasi, Richard Sayler and William Thomas of UC Berkeley. Marletta is a member of the Berkeley branch of the California Institute for Quantitative Biosciences (QB3). The research was funded by the National Science Foundation (CHE-1904540, MCB-1818283) and the National Institutes of Health (F32-GM143897).

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    University of California, Berkeley

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  • Tobacco and e-cigs may put healthy young people at risk of severe COVID illness, new UCLA research suggests

    Tobacco and e-cigs may put healthy young people at risk of severe COVID illness, new UCLA research suggests

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    EMBARGOED FOR USE UNTIL 5 p.m. PT/8 p.m. ET on Thursday, Feb. 9, 2023

    Newswise — New UCLA research suggests that smoking tobacco and vaping electronic cigarettes may increase healthy young people’s risk for developing severe COVID illness.

    This is among the first studies to find that not only smoking tobacco, but also vaping, may predispose people to increased inflammation and future development of severe COVID-19 and the lingering cardiovascular complications that can occur after initial illness from the virus, said Dr. Theodoros Kelesidis, the study’s lead author.

     “The key message is that smoking is the worst, but vaping is not innocent,” said Kelesidis, associate professor of medicine in the division of infectious diseases at the David Geffen School of Medicine at UCLA. “This has been shown for many lung diseases but not for COVID. It was a quite interesting and novel finding that vaping changed the levels of key proteins that the virus uses to replicate.”

    The study will be published Feb.9 in the peer-reviewed Journal of Molecular Medicine.

    The investigators examined plasma collected before the pandemic from 45 non-smokers, 30 electronic cigarette vapers, and 29 tobacco cigarette smokers, testing it to measure levels of since-identified proteins that SARS-CoV-2, the virus at the heart of the pandemic, needs in order to replicate. These proteins are ACE2, furin, Ang II, Ang 1–7, IL-6R, sCD163, L-selectin. The three latter proteins are collectively regulated in cells by a protein known as ADAM17.

    They found that plasma from healthy young people who smoke tobacco or vape had increased levels of furin, sCD163, and L-selectin compared to non-smokers. These data suggest that there may be increased activity of the proteins furin and ADAM17 in the immune cells as well as surface cells, such as those lining the lungs, in healthy young smokers and vapers.

    “E-cigarette vapers may be at higher risk than non-smokers of developing infections and inflammatory disorders of the lungs,” Kelesidis said.  “Electronic cigarettes are not harmless and should be used for only the shortest time possible in smoking cessation, and not at all by nonsmokers.”

    Limitations include the small size of the study, which suggests the need for research with a larger sample size; the reliance on testing blood plasma rather than tissue samples such as lung cells that are believed to be affected by smoking and vaping, which also warrants deeper research; and a lack of evidence of the role that the ADAM17 proteins may play in severe COVID illness among non-smokers.

    Study co-authors are Madhav Sharma, Sandro Satta, Elizabeth Tran, Rajat Gupta, Dr. Jesus Araujo, and Dr. Holly Middlekauff of UCLA.

    The study was funded by the National Institutes of Health (NIH), the Tobacco-Related Disease Research Program (TRDRP 28IR0065), the University of California Office of the President (R00RG2749 Emergency COVID-19 Research Seed Funding), and by the NIH National Center for Advancing Translational Science (NCATS) UCLA CTSI (L1TR001881).

     

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    University of California, Los Angeles (UCLA), Health Sciences

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  • Reduced krill lead to fewer pregnancies in humpback whales

    Reduced krill lead to fewer pregnancies in humpback whales

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    New collaborative research led by scientists at the University of California, Santa Cruz, shows reduced krill supplies lead to fewer pregnancies in humpback whales—a finding that could have major implications for industrial krill fishing.

    The study, published January 15 in Global Change Biology, is based on eight years of data on humpback whale pregnancies (2013 to 2020) in waters along the Western Antarctic Peninsula, where krill fishing is concentrated.

    Krill availability in the year before a humpback pregnancy is crucial because females need to increase their energy stores to support the upcoming pregnancy. In 2017, after a year in which krill were abundant, 86% of the humpback females sampled were pregnant. But in 2020, following a year in which krill were less plentiful, only 29% of humpback females were pregnant.

    Lead author Logan Pallin, a postdoctoral researcher in the Ocean Sciences Department at UC Santa Cruz, said the study demonstrates for the first time the link between population growth and krill availability in Antarctic whales.

    “This is significant because until now, it was thought that krill were essentially an unlimited food source for whales in the Antarctic,” said Pallin, who earned his Ph.D. in ecology and evolutionary biology at UCSC while working on this study. “Continued warming and increased fishing along the Western Antarctic Peninsula, which continue to reduce krill stocks, will likely impact this humpback whale population and other krill predators in the region.”

    “This information is critical as we can now be proactive about managing how, when, and how much krill is taken from the Antarctic Peninsula,” he added. “In years of poor krill recruitment, we should not compound this by removing krill from critical foraging areas for baleen whales.”

    Coauthor Ari Friedlaender, professor of ocean sciences at UC Santa Cruz, said the Western Antarctic Peninsula is experiencing some of the fastest climatic warming of any region on the planet. Winter air temperatures have risen significantly since the 1950s, and the annual sea ice extent is, on average, 80 days shorter than four decades ago.

    “Krill supplies vary depending on the amount of sea ice because juvenile krill feed on algae growing on sea ice and also rely on the ice for shelter,” Friedlaender said. “In years with less sea ice in the winter, fewer juvenile krill survive to the following year. The impacts of climate change and likely the krill fishery are contributing to a decrease in humpback whale reproductive rates in years with less krill available for whales.”

    Coauthor Chris Johnson, the global lead of the World Wide Fund for Nature’s Protecting Whales & Dolphins Initiative, said this research shows that highly precautionary management measures are needed to protect all Antarctic marine life that depends on krill for its survival, including blue, fin, humpback, minke, and southern right whales, as well as other krill predators such as penguins, seabirds, seals, and fish.

    “Krill are not an inexhaustible resource, and there is a growing overlap between industrial krill fishing and whales feeding at the same time,” Johnson said. “Humpback whales feed in the Antarctic for a handful of months a year to fuel their annual energetic needs for migration that spans thousands of kilometers. We need to tread carefully and protect this unique part of the world, which will benefit whales across their entire range.”

    Pallin and Friedlaender collaborated on this research with coauthors from multiple national and international universities, NGOs, non-profits, and government agencies. This work was supported in part by the National Science Foundation, National Geographic Society, and Marine Mammal Commission.

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    University of California, Santa Cruz

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  • Microscopic dust from desert storms has been hiding the true extent of global warming, study finds

    Microscopic dust from desert storms has been hiding the true extent of global warming, study finds

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    Desert storms that have sent massive plumes of dust across the oceans may have a small but significant effect on global temperatures, scientists say. New research found the microscopic particles circulating through the atmosphere had a “slight overall cooling effect on the planet” that masked just how much the planet has truly warmed over recent decades. 

    The UCLA research, published in Nature Reviews Earth & Environment on Tuesday, found that the amount of atmospheric dust has increased by about 55% since pre-industrial times, with many ups and downs along the way. According to lead study author Jasper Kok, that increase is likely due to changes in global climate, such as wind speeds in some deserts, as well as land-use changes, such as transforming land into agriculture and diverting water for irrigation.

    But the researchers say the impact of that dust has not been adequately factored into studies of global temperature trends. The overall increase in dust, according to Kok, “could have masked up to 8% of the greenhouse warming” that’s taken place since the Industrial Revolution. 

    “By adding the increase in desert dust, which accounts for over half of the atmosphere’s mass of particulate matter, we can increase the accuracy of climate model predictions,” he said in a press release. “This is of tremendous importance because better predictions can inform better decisions of how to mitigate or adapt to climate change.”

    The increase in atmospheric dust largely stems from Asia and North Africa, the study says. It’s estimated that 100 million tons of dust are picked up from Africa’s Sahara Desert, according to NASA’s Earth Observatory, which said that the Sahara is “by far” the largest source of atmospheric dust on the planet. The particles from these plumes serve a complex role. While they are known to trigger respiratory issues, degrade air quality and obscure visibility, they also absorb and reflect light from the sun and are filled with minerals that help feed plants and phytoplankton, according to NASA. 

    And when it comes to its impact on the climate specifically, the researchers found that dust particles only increase the complexity. In some ways, the dust contributes to warming, such as when it darkens snow and ice surfaces. But in others, it counteracts that warming, like when the dust helps reflect sunlight from the Earth and helps the ocean absorb more carbon dioxide, a greenhouse gas that largely contributes to planetary warming. 

    Stuart Evans, an assistant professor at the University of Buffalo who studies atmospheric dust, told CBS News that the study, which he was not involved in, helps provide a “benchmark” for how much change we have seen regarding atmospheric dust and climate change.

    “It provides a starting point for further studies of the human impacts on this piece of the climate system,” he said. 

    screen-shot-2023-01-18-at-9-43-29-am.png
     e, Dust indirect effects on cirrus clouds, separated by the dominant ice crystal formation mechanism in the absence of dust, occurring through dust changing the number and size of ice crystals. f, Dust semi-direct effect (SDE) on low clouds, separated by location of dust relative to clouds, owing to local heating generated by dust absorption. g, Radiative effects of dust deposited on snow and ice through changes in reflectivity and absorption. h, Effect of dust on CO2 drawdown via interactions with ocean biogeochemistry. Dust affects climate through a wide range of mechanisms that alternately cool and warm the climate, making the magnitude and sign of the net radiative effect of dust on climate uncertain. 

    Nature Reviews Earth & Environment


    Overall, the study says “it is more likely that dust cools the climate than warms.” But that information, according to Kok, is lacking from current climate models. His team looked at a dozen climate models, and he told CBS News that “not a single” one came close to capturing the increase they found. 

    “We show desert dust has increased, and most likely slightly counteracted greenhouse warming, which is missing from current climate models,” he said. “The increased dust hasn’t caused a whole lot of cooling — the climate models are still close — but our findings imply that greenhouses gases alone could cause even more climate warming than models currently predict.”

    Evans said he’s seen dust in most models, but that it’s “typically not well-represented.” 

    “Most models don’t capture the long-term trend at all,” he said. “…If you want to use a climate model to predict the future, you’d want to know that it has correctly represented the past. And when it comes to dust, models aren’t there yet.” 

    That doesn’t mean current models are wrong, both researchers said — just that there’s now more information that can improve on our understanding. Evans said it could also help researchers understand more about climate sensitivity, or how sensitive Earth is to a variety of factors in the climate. 

    If the rise in atmospheric dust eventually slows down or begins to decline, “the previously hidden additional warming potential from greenhouse gases could cause somewhat more rapid climate warming than models predict,” a press release from the University of California says. 

    But right now, it’s unclear how the dust levels will change in the future. Kok explained that dust storms are “very complicated” and depend on a variety of factors, including wind speed, precipitation, evaporation and land-use.

    “Although some areas, like the southwestern part of the United States, are predicted to get drier, possibly increasing dust there in the future, other areas like the Sahara desert might actually get wetter, possibly decreasing dust there,” he told CBS News. “So what the future brings in terms of total dustiness is not known and models disagree on this, with some predicting more dust and others less dust.”

    Evans offered a similar assessment, saying “the future of dust is uncertain.”

    “The models can’t agree … and none of them have really distinguished themselves as being the single superior model that you should trust over others,” he said. “…Predicting dust is hard because simulating dust is a very difficult challenge that is still being actively worked on.” 

    But what we do know is that the planet has already warmed by about 2.2 degrees Fahrenheit (1.2 degrees Celsius) since the mid-1800s, with the past eight years, from 2013 to 2022, the hottest in recorded history. And Kok says if the dust had not increased, global temperatures would likely be another 0.1 degrees Fahrenheit higher. 

    As scientists have repeatedly stressed, every fraction of a degree matters when it comes to climate change. 

    “This is valuable in helping us improve our precision with our predictions because it is doing an accounting of a frequently overlooked aspect of the climate system,” Evans said. “I think in terms of action, the only thing anybody needs to know is that greenhouse gases are making the world hotter and the only solution is to reduce their concentration in the atmosphere.” 

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