Friday, March 31, 2023

This Bug Could Kill Most Americans in The Coming Crisis



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Abraham Lincoln was born on February 12, 1809, the second child of Thomas Lincoln and Nancy Hanks Lincoln, in a log cabin on Sinking Spring Farm near Hodgenville, Kentucky.[2] He was a descendant of Samuel Lincoln, an Englishman who migrated from Hingham, Norfolk, to its namesake, Hingham, Massachusetts, in 1638. The family then migrated west, passing through New Jersey, Pennsylvania, and Virginia.[3] Lincoln was also a descendant of the Harrison family of Virginia; his paternal grandfather and namesake, Captain Abraham Lincoln and wife Bathsheba (née Herring) moved the family from Virginia to Jefferson County, Kentucky.[b] The captain was killed in an Indian raid in 1786.[5] His children, including eight-year-old Thomas, Abraham's father, witnessed the attack.[6][c] Thomas then worked at odd jobs in Kentucky and Tennessee before the family settled in Hardin County, Kentucky, in the early 1800s.[6] The heritage of Lincoln's mother Nancy remains unclear, but it is widely assumed that she was the daughter of Lucy Hanks.[8] Thomas and Nancy married on June 12, 1806, in Washington County, and moved to Elizabethtown, Kentucky.[9] They had three children: Sarah, Abraham, and Thomas, who died as an infant.[10] Thomas Lincoln bought or leased farms in Kentucky before losing all but 200 acres (81 ha) of his land in court disputes over property titles.[11] In 1816, the family moved to Indiana where the land surveys and titles were more reliable.[12] Indiana was a "free" (non-slaveholding) territory, and they settled in an "unbroken forest"[13] in Hurricane Township, Perry County, Indiana.[14][d] In 1860, Lincoln noted that the family's move to Indiana was "partly on account of slavery", but mainly due to land title difficulties.[16] The farm site where Lincoln grew up in Spencer County, Indiana In Kentucky and Indiana, Thomas worked as a farmer, ca




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Appointments of members of the public to the Assay Commission by the president are known to have been made as early as 1841;[51] the final ones were made in 1976.[35] Many early commissioners were chosen for their scientific or intellectual attainments. Such qualifications were not required of later public appointees, who included such prominent figures as Ellin Berlin, wife of songwriter Irving Berlin.[30] The first women to be appointed to the Assay Commission were Mrs. Kellogg Fairbanks of Chicago and Mrs. B.B. Munford of Richmond, Virginia, both in 1920.[52] The recordholder for service as a commissioner is Herbert Gray Torrey, 36 times an assay commissioner between 1874 and 1910 (missing only 1879) by virtue of his office as assayer of the New York Assay Office. The recordholder as a presidential appointee is Dr. James Lewis Howe, head of the Department of Chemistry at Washington and Lee University, 18 times an assay commissioner, serving in 1907 and then each year from 1910 to 1926.[53] An employee of the National Bureau of Standards was included in the presidential appointments each year;[3] he brought with him the weights used in the assay, which were checked by the agency in advance.[43] Although no future president served as an assay commissioner,[a] Comptroller of the Currency Charles G. Dawes was a commissioner in 1899 and 1900; he was Vice President of the United States from 1925 to 1929.[53][54] Among those appointed was coin collector and Congressman William A. Ashbrook, 14 times an assay commissioner between 1908 and 1934.[53] Ashbrook's presence on the 1934 Assay Commission has led to speculation that he might have used his position as an assay commissioner (he left Congress in 1921) to secure one or more 1933 Saint-Gaudens double eagles, almost all of which were melted due to the end of gold coinage for circulation. Assay commissioners were traditionally allowed to purchase coins from the pyx that were not assayed, and numismatic historian Roger Burdette speculates that Ashbrook, generally well-treated by th


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were those designated by statute.[36] The 1979 meeting, attended by the government-employed commission members and Mint Director Stella Hackel Sims, was held eight days late on February 22 due to schedule conflicts.[34] In June 1979, Carter's Presidential Reorganization Project recommended the abolition of the Assay Commission and two other small agencies. The report estimated that having an Assay Commission cost the federal government about $20,000 and that the work was done better by vending machine manufacturers to avoid having their machines jam.[37] In August, columnist Jack Anderson deemed the commission an example of wasteful spending in Washington, characterizing its activities, "more than a decade ago, the government stopped putting either gold or silver in its coins—but the commission continues to hold its annual luncheon meeting. Solemnly, the commissioners measure the amounts of nonprecious metals in U.S. coins, and strike a medal to commemorate their activities. This useless exercise costs the taxpayers about $20,000 a year."[38] As coin collector and columnist Gary Palmer put it in 1979, "who really cares if the weight of a cupro-nickel quarter is off by a grain or two?"[39] On March 14, 1980, Carter approved legislation abolishing the Assay Commission, as well as the other two agencies, as recommended by his Reorganization Project. The President wrote in a signing statement that with the end of gold and silver coinage, the need for the commission had diminished.[40] Numismatic leaders objected to the ending of the commission, considering the expense small and the tradition worth keeping, although they concurred the commission "had become an anachronism".[41] At the time of it



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In 1864, Quay was elected to the state House of Representatives for Beaver and Washington counties, he was re-elected in 1865 and 1866.[27] In 1866, he became the leader of the Republican majority in the House and the chairman of the Ways and Means Committee. Rarely participating in debate, he sought efficiency, causing the appropriations bills to be brought forward early in the session, rather than late, as was customary.[28][29] In 1867, the legislature was to elect a United States Senator, since senators before 1913 were chosen by legislators, not the people. Curtin sought the seat, as did former senator and U.S. Secretary of War Simon Cameron. As well as supporting Curtin, Quay wanted to be Speaker of the Pennsylvania House, but Curtin's senatorial rivals believed that granting Quay the powers of the speakership would lead to the election of Curtin. Thus, they combined to defeat him. Cameron gained the party legislative caucus's nomination for senator, and Quay healed relations by moving to make the nomination unanimous. Cameron was thereafter elected by the full legislature.[30][31] Senator Cameron took full control of the state Republican Party over the next years, as Curtin lost power, especially when he was appointed Minister to Russia by President Ulysses S. Grant in 1869, leading to his extended absence from the state, and rising Republicans had to choose between alliance with Cameron or political oblivion. Quay chose the former. Nevertheless, not wanting to be seen as a traitor to Curtin, Quay's change of loyalty was so gradual it was not until 1872 that it was complete.[32][33] Quay did not seek re-election to the legislature in 1867, instead returning to his hometown and founding a weekly newspaper, the Beaver Radical, which began publication in January 1868. Quay, the editor, declared it to be Republican in outlook but not devoted to any faction. Circulation grew rapidly, and by 1872, the Radical claimed to be the most-distributed weekly in western Pennsylvania. The Radical opposed President Andrew Johnson, but decried the Tenure of Office Act, that Johnson was impeached for violating, as plainly unconstitutional. The Radical also urged Northern states to support African Americans by giving full force to the Fifteenth Amendment's promise of universal male suffrage.[34][35] According to Frank Bernard Evans in his thesis on Pennsylvania politics of the 1870s, Quay made the Radical to be among "the best-known and




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The first attempt at European settlement in what is now Delaware occurred in 1631 near Lewes;[5] the incipient colony was destroyed by Native Americans of the Lenape and Nanticoke tribes.[6] The Swedes tried in 1638 with two ships, the Kalmar Nyckel and the Fogel Grip, an expedition commanded by Peter Minuit, famed for his purchase of Manhattan Island but later dismissed by the Dutch. They settled at the present site of Wilmington. The colony of New Sweden, established to profit from the fur trade, was on land claimed by the Dutch in New Jersey and the English in Maryland; the conflict over the next years was primarily with the latter. Intermittent warfare ended with the arrival of an overwhelming Dutch fleet in 1655. In 1664, though, the English conquered New Netherland, the Dutch possessions in the Middle Atlantic states, and in 1682, Delaware was granted to William Penn, the new proprietor of Pennsylvania.[5] Delaware became one of the original Thirteen Colonies, and, in 1787, was the first state to ratify the Constitution.[7] Until 1954, the entire mintage of each commemorative coin issues issue was sold by the government at face value to a group named by Congress in authorizing legislation, who then tried to sell the coins at a profit to the public. The new pieces then entered the secondary market, and in early 1936 all earlier commemoratives sold at a premium to their issue prices. The apparent easy profits to be made by purchasing and holding commemoratives attracted many to the coin collecting hobby, where they sought to purchase the new issues. The growing market for such pieces led to many commemorative coin proposals in Congress, to mark anniversaries and benefit (it was hoped) worthy causes.[8] Unlike other commemoratives of the time, the reason for minting the Delaware half doll












Thursday, March 30, 2023

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lanning the research, including finding the number of replicates of the study, using the following information: preliminary estimates regarding the size of treatment effects, alternative hypotheses, and the estimated experimental variability. Consideration of the selection of experimental subjects and the ethics of research is necessary. Statisticians recommend that experiments compare (at least) one new treatment with a standard treatment or control, to allow an unbiased estimate of the difference in treatment effects. Design of experiments, using blocking to reduce the influence of confounding variables, and randomized assignment of treatments to subjects to allow unbiased estimates of treatment effects and experimental error. At this stage, the experimenters and statisticians write the experimental protocol that will guide the performance of the experiment and which specifies the primary analysis of the experimental data. Performing the experiment following the experimental protocol and analyzing the data following the experimental protocol. Further examining the data set in secondary analyses, to suggest new hypotheses for future study. Documenting and presenting the results of the study. Experiments on human behavior have special concerns. The famous Hawthorne study examined changes to the working environment at the Hawthorne plant of the Western Electric Company. The researchers were interested in determining whether increased illumination would increase the productivity of the assembly line workers. The researchers first measured the productivity in the plant, then modified the illumination in an area of the plant and checked if the changes in illumination affected productivity. It turned out that productivity indeed improved (under the experimental conditions). However, the study is heavily criticized today for errors in experimental procedures, specifically for the lack of a control group and blindness. The Hawthorne effect refers to finding that an outcome (in this case







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hen full census data cannot be collected, statisticians collect sample data by developing specific experiment designs and survey samples. Statistics itself also provides tools for prediction and forecasting through statistical models. To use a sample as a guide to an entire population, it is important that it truly represents the overall population. Representative sampling assures that inferences and conclusions can safely extend from the sample to the population as a whole. A major problem lies in determining the extent that the sample chosen is actually representative. Statistics offers methods to estimate and correct for any bias within the sample and data collection procedures. There are also methods of experimental design that can lessen these issues at the outset of a study, strengthening its capability to discern truths about the population. Sampling theory is part of the mathematical discipline of probability theory. Probability is used in mathematical statistics to study the sampling distributions of sample statistics and, more generally, the properties of statistical procedures. The use of any statistical method is valid when the system or population under consideration satisfies the assumptions of the method. The difference in point of view between classic probability theory and sampling theory is, roughly, that probability theory starts from the given parameters of a total population to deduce probabilities that pertain to samples. Statistical inference, however, moves in the opposite direction—inductively inferring from samples to the parameters of a larger or total population. Experimental and observational studies A common goal for a statistical research project is to investigate causality, and in particular to draw a conclusion on the effect of changes in the values of predictors or independent variables on dependent variables. There are two major types of causal statistical studies: experimental studies and observational studies. In both types of studies, the effect of differences o



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A cyclone pre-warning was issued for the island of Réunion on 4 March.[17] The cyclone pre-warning ended at 6:00 p.m. Réunion Time (14:00 UTC) on 5 March, as Dumazile veered away from the island. Schools and businesses remained closed through 6 March.[26][27][28] All schools reopened on 7 March, with the exception of several in Saint-Paul and Saint-Leu, where roadways were still blocked.[29] Torrential rainfall affected the island, a 24-hour total of 990 mm (39 in) occurring at Grand Îlet. The Volcanic Highway, La Plaine-des-Palmistes, and Cilaos all experienced significant rainfall during the same period.[17][30] Severe damage was inflicted to the road system on Réunion. Roads across the island experienced landslides, flooding, and downed trees.[31] East and westbound traffic traveling across the island was restricted to the Plaines highway, due to other roads flooding.[32] The coastal and mountain highways were closed following the storm.[28] A section of the mountain road was covered in debris after a landslide occurred.[17] Strong waves submerged four lanes of the coastal highway with seawater. Approximately 150 mm (5.9 in) of rain fell on a cliff overlooking the coastal road, prompting an inspection before the road was able to reopen.[33] A large lake developed on the Plaine des Cafres, due to heavy rainfall.[32] Several bridges were either swept away or submerged by floodwaters, and several roads were flooded across Cilaos and Salazie.[34] The ReNovRisk project utilized three seismic stations in the Salazie Basin to measure microseismic data and determine the level of sediment transport down a river.[35] Landslides occurred in two neighborhoods of Brittany, and a wall collapsed in the mountainous region.[36] A landslide in the Piton Cailloux District, Sainte-Marie, isolated around 10 families.[37] High waves along the shore decimated boats in the port of Sainte-Marie. The Roches Noires beach was completely submerged in water.[17] A fence and the northern access to an esplanade at the beach collapsed.[38] Significant portions of sand were washed away from the beach, exposing the foundations of the esplanade.[39] The MNS beach surveillance station and three masts used for signalling sustained damage. As a result, the lifeguard station was closed and rescues were no longer possible





















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Before its full release, a beta version of Proteus was featured in a number of indie game festivals and received coverage from video game journalists. It won the 2011 IndieCade Award for Best Audio,[43] and was shortlisted for the 2012 GameCity Prize, ultimately losing to Journey.[45] Proteus was a finalist for the 2012 Independent Games Festival's Nuovo Award, a prize aimed at abstract and unconventional game development, and received honorable mentions in the Excellence in Audio and Seumas McNally Grand Prize categories.[11][46] The game also won the Most Amazing Indie Game prize at the 2012 A MAZE. Indie Connect Festival and in the same year, was featured in the Museum of Modern Art's "Common Senses" exhibit.[43][44][47] In an article that discussed 2011's exploration games, Jim Rossignol of Rock Paper Shotgun described Proteus as "one of the most charming experiences" he had had in an indie game.[48] An IGN preview found the game to be "delightfully intoxicating", unique, and intriguing, with the author replaying it multiple times.[49] PC Gamer likewise responded positively, drawing particular attention to the game's changing soundtrack and the ways in which it coherently reacts to the player's moveme























Tuesday, March 28, 2023

5 signs of liver damager


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The most common uses for enzyme inhibitors are as drugs to treat disease. Many of these inhibitors target a human enzyme and aim to correct a pathological condition. For instance, aspirin is a widely used drug that acts as a suicide inhibitor of the cyclooxygenase enzyme.[100] This inhibition in turn suppresses the production of proinflammatory prostaglandins and thus aspirin may be used to reduce pain, fever, and inflammation.[100] As of 2017, an estimated 29% of approved drugs are enzyme inhibitors[101] of which approximately one-fifth are kinase inhibitors.[101] A notable class of kinase drug targets is the receptor tyrosine kinases which are essential enzymes that regulate cell growth; their over-activation may result in cancer. Hence kinase inhibitors such as imatinib are frequently used to treat malignancies.[102] Janus kinases are another notable example of drug enzyme targets. Inhibitors of Janus kinases block the production of inflammatory cytokines and hence these inhibitors are used to treat a variety of inflammatory diseases in including arthritis, asthma, and Crohn's disease.[103] An example of the structural similarity of some inhibitors to the substrates of the enzymes they target is seen in the figure comparing the drug methotrexate to folic acid. Folic acid is the oxidised form of the substrate of dihydrofolate reductase, an enzyme that is potently inhibited by methotrexate. Methotrexate blocks the action of dihydrofolate reductase and thereby halts thymidine bio




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Irreversible inhibitors first form a reversible non-covalent complex with the enzyme (EI or ESI). Subsequently a chemical reaction occurs between the enzyme and inhibitor to produce the covalently modified "dead-end complex" EI* (an irreversible covalent complex). The rate at which EI* is formed is called the inactivation rate or kinact.[16] Since formation of EI may compete with ES, binding of irreversible inhibitors can be prevented by competition either with substrate or with a second, reversible inhibitor. This protection effect is good evidence of a specific reaction of the irreversible inhibitor with the active site. The binding and inactivation steps of this reaction are investigated by incubating the enzyme with inhibitor and assaying the amount of activity remaining over time. The activity will be decreased in a time-dependent manner, usually following exponential decay. Fitting these data to a rate equation gives the rate of inactivation at this concentration of inhibitor. This is done at several different concentrations of inhibitor. If a reversible EI complex is involved the inactivation rate will be saturable and fitting this curve will give kinact and Ki.[62] Another method that is widely used in these analyses is mass spectrometry. Here, accurate measurement of the mass of the unmodified native enzyme and the inactivated enzyme gives the increase in mass caused by reaction with the inhibitor and shows the stoichiometry of the reaction.[63] This is usually done using a MALDI-TOF mass spectrometer.[64] In a complementary technique, peptide mass fingerprinting inv















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Regional survival rates varied greatly because of a variety of factors, such as timing of deportations, the attitude of the local authorities, and the degree of integration of Jewish communities.[133] According to Greek Holocaust survivor Michael Matsas, the decisive factors influencing survival rates were the strength of resistance organizations and the reaction of the Jewish leadership.[134] After the deportation of the Jews of Salonica and the end of the Italian occupation zone, thousands of Jews in other parts of Greece joined the resistance or went into hiding.[119] In many parts of Thessaly, Central Greece (including Athens), and the Peloponnese, Holocaust deaths were relatively low.[135] The activities of the left-wing resistance in Thessaly are credited with the higher survival rate there.[136] Some smaller Jewish communities, including those of Karditsa and Agrinio (around 80 people each), completely escaped to the mountain villages controlled by EAM's Greek People's Liberation Army (ELAS);[137] 55 Jews from Veria were hidden in the nearby village of Sykia for fifteen to seventeen months.[138] At least two thirds of the Jews living in Athens and Larissa before the war survived.[135] Archbishop Damaskinos, the head of the Church of Greece, issued strongly worded protests against the mistreatment of Greek Jews and issued many false baptismal certificates.[139] He was the only leader of a major European church to condemn the Holocaust.[140] The chief of police in Athens, Angelos Evert, saved hundreds of Jews by issuing false papers.[123] The 275 Jews of Zakynthos were entirely spared because the Austrian garrison commander (from the 999th Light Afrika Division) did not execute the deportation order following protests by the local mayor and the Orthodox Christian prelate, who turned over their own names when ordered to submit a list of Jews.[121][141][142] Historian Giorgos Antoniou states that, "the line between selfless and selfish assistance is more often than not hard to distinguish",[143] and robbery of Jews in hiding was "not rare".[144] Unlike in other countries, Greek rabbis encouraged Jews to accept false baptismal certificates.[145] Many Jews in hiding converted to Christianity and did not necessarily return to Judaism after t










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Uncompetitive inhibitors bind to ES. Uncompetitive inhibition decreases both Km and Vmax. The inhibitor affects substrate binding by increasing the enzyme's affinity for the substrate (decreasing Km) as well as hampering catalysis (decreases Vmax).[28]: 106  Non-competitive inhibitors have identical affinities for E and ES (Ki = Ki'). Non-competitive inhibition does not change Km (i.e., it does not affect substrate binding) but decreases Vmax (i.e., inhibitor binding hampers catalysis).[28]: 97  Mixed-type inhibitors bind to both E and ES, but their affinities for these two forms of the enzyme are different (Ki ≠ Ki'). Thus, mixed-type inhibitors affect substrate binding (increase or decrease Km) and hamper catalysis in the ES complex (decrease Vmax).[29]: 63–64  When an enzyme has multiple substrates, inhibitors can show different types of inhibition depending on which substrate is considered. This results from the active site containing two different binding sites within the active site, one for each substrate. For example, an inhibitor might compete with substrate A for the first binding site, but be a non-competitive inhibitor with respect to substrate B in the second binding site.[30] Traditionally reversible enzyme inhibitors have been classified as competitive, uncompetitive, or non-competitive, according to their effects on Km and Vmax.[17] These three types of inhibition result respectively from the inhibitor binding only to the enzyme E in the absence of substrate S, to the enzyme–substrate complex ES, or to both. The division of these classes arises from a problem in their derivation and results in the need to use two different binding constants for one binding event.[31] It is further assumed that binding of the inhibitor to the enzyme results in 100% inhibition and fails to consider the possibility of partial inhibition.[31] The common form of the inhibitory term also obscures the relationship between the inhibitor binding to the enzyme and its relationship to any other binding term be it the Michaelis–Menten equatio



















Monday, March 27, 2023

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The commonly used names for kinds of organisms are often ambiguous: "cat" could mean the domestic cat, Felis catus, or the cat family, Felidae. Another problem with common names is that they often vary from place to place, so that puma, cougar, catamount, panther, painter and mountain lion all mean Puma concolor in various parts of America, while "panther" may also mean the jaguar (Panthera onca) of Latin America or the leopard (Panthera pardus) of Africa and Asia. In contrast, the scientific names of species are chosen to be unique and universal; they are in two parts used together: the genus as in Puma, and the specific epithet as in concolor.[106][107] Species description The type specimen (holotype) of Lacerta plica, described by Linnaeus in 1758 Main article: Species description A species is given a taxonomic name when a type specimen is described formally, in a publication that assigns it a unique scientific name. The description typically provides means for identifying the new species, which may not be based solely on morphology[108] (see cryptic species), differentiating it from other previously described and related or confusable species and provides a validly published name (in botany) or an available name (in zoology) when the paper is accepted for publication. The type material is usually held in a permanent repository, often the research collection of a major museum or university, that allows independent verification and the means to compare specimens.[109][110][111] Describers of new species are asked to choose names that, in the w








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There are approximately 48 rear admirals in the Coast Guard who are either in the rank of rear admiral or rear admiral (lower half). Positions held by rear admirals include the commanders of each of the nine Coast Guard Districts, the nine assistant commandants, and the deputies to each of the vice admirals. They are also located at Coast Guard Headquarters, Department of Defense commands, and other Coast Guard commands.[8] The superintendent of the United States Coast Guard Academy is Rear Admiral William G. Kelly.[9] The Coast Guard also utilizes members of the civilian Senior Executive Service (SES) to serve as executives within the organization. There are approximately 18 SES officials in the Coast Guard as of Fiscal Year 2017.[10] Commodore (title) The rank of commodore is no longer used in the Coast Guard. The equivalent rank used today is rear admiral (lower half). The title of commodore is occasionally granted to senior officers (typically of pay grade O-6, which is a captain) who are placed in command of a group or squadron of cutters. It is not a flag rank, but rather a title used to signify command of multiple units afloat. The chief elected officers of the Coast Guard Auxiliary are also referred to as commodores, signifying their senior elected office, rather than a military ran