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14 pages, 1167 KB  
Article
Conservation Status and Red List Assessment of the Genus Verbascum (Scrophulariaceae) in the Arabian Peninsula
by Ali Mohammed Alzahrani, Joana Magos Brehm and Nigel Maxted
Diversity 2026, 18(7), 389; https://doi.org/10.3390/d18070389 (registering DOI) - 25 Jun 2026
Abstract
The aims of this study were to determine the geographical range and habitats of the Verbascum species in the Arabian Peninsula and to assess their conservation status at national, regional, and global levels by using the International Union for Conservation of Nature (IUCN) [...] Read more.
The aims of this study were to determine the geographical range and habitats of the Verbascum species in the Arabian Peninsula and to assess their conservation status at national, regional, and global levels by using the International Union for Conservation of Nature (IUCN) Red List categories and criteria. Verbascum is represented by 16 species with four varieties in the area of the study, and most of these species are endemic to Saudi Arabia, Yemen, Oman, and the United Arab Emirates (UAE). This study is based on an ecogeographic survey, which was conducted using herbaria collections, literature sources, and fieldwork. The findings showed that the genus is distributed in three main regions in the Arabian Peninsula, which include northern Saudi Arabia, the Asir and Yemen highlands, and the Hajar mountains in Oman and the UAE. In addition, most species of Verbascum in the region are at high risk of extinction. Nine taxa are threatened, four of which are assessed as Critically Endangered, four as Endangered, and one as Vulnerable. Furthermore, four species are assessed as Near Threatened, while another five species are assessed as of Least Concern. Threats to the Verbascum species in the region are overgrazing, suburban and agricultural expansion, climate change, invasive species, recreational activities, tourism, war, and civil unrest, leading to human intrusion and disturbances. Some important strategies for conserving and managing Verbascum species on the Arabian Peninsula are recommended here. Full article
(This article belongs to the Section Biodiversity Conservation)
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38 pages, 3338 KB  
Article
From Vulnerability to Resilience: Passive Design Strategies for Optimizing Building Envelope Heat Exchange to Reduce Cooling Loads in a Warming World
by Tao Ning, Junxue Zhang, Hairuo Wang and Ge Song
Buildings 2026, 16(13), 2513; https://doi.org/10.3390/buildings16132513 (registering DOI) - 24 Jun 2026
Abstract
Traditional air conditioning consumes substantial electricity, exacerbates the urban heat island effect, and creates a maladaptive feedback loop, necessitating a shift toward passive-first net-zero pathways. This study takes a typical six-story residential building in Nanjing’s hot summer and cold winter climate zone as [...] Read more.
Traditional air conditioning consumes substantial electricity, exacerbates the urban heat island effect, and creates a maladaptive feedback loop, necessitating a shift toward passive-first net-zero pathways. This study takes a typical six-story residential building in Nanjing’s hot summer and cold winter climate zone as a case study. Using EnergyPlus hourly simulations, three progressive passive strategy packages are designed to quantify the impact of building envelope heat exchange on cooling loads, grid stress, and heat resilience. Package A includes external shading and natural ventilation. Package B adds reflective coating and a green roof. Package C further adds night ventilation precooling and high-performance windows. The results show that Package C achieves a 62.5% reduction in peak cooling load and a 63.0% reduction in seasonal cooling load. Daytime peak inward heat gain decreases from 68 W/m2 to 22 W/m2, while nighttime outward heat dissipation increases from 12 W/m2 to 38 W/m2. Under an extreme heat day of 41.2 °C with no active cooling, indoor peak temperature drops from 36.8 °C to 29.4 °C, and heat risk hours decrease by 73.6%. Peak-hour power demand is reduced by 70.4%, with a systemic leverage factor of 1.08. Innovations include achieving over 60% load reduction using only mature passive strategies, introducing the systemic leverage factor to quantify urban heat island mitigation benefits, and establishing a vulnerability-to-resilience transformation framework. The passive-first pathway validates building envelope as the first line of defense for net-zero futures. However, the findings are based on a typical six-story residential building in Nanjing and require validation through field measurements or broader application across different climate zones and building typologies before generalization. Full article
22 pages, 3635 KB  
Article
Assessment of Treatment Technologies and Research on Governance Models for Acid Mine Drainage from Closed Coal Mines in Karst Regions
by Chong Li, Yanan Jiao, Xiaoying Zhao, Bin Yang and Bo Bai
Water 2026, 18(13), 1546; https://doi.org/10.3390/w18131546 (registering DOI) - 24 Jun 2026
Abstract
Acid mine drainage (AMD) pollution from closed coal mines in karst regions represents a major environmental challenge in the global mining industry. The complexity of hydrogeological conditions in such regions leads to significant challenges in both predictability and controllability of pollution. Taking the [...] Read more.
Acid mine drainage (AMD) pollution from closed coal mines in karst regions represents a major environmental challenge in the global mining industry. The complexity of hydrogeological conditions in such regions leads to significant challenges in both predictability and controllability of pollution. Taking the Yudong River Basin in Guizhou Province, Southwest China, as the study area, and based on six years (2017–2023) of systematic remediation practices and monitoring data, this study systematically evaluates the effectiveness and applicable conditions of three types of treatment technologies: centralized treatment stations, source control combined with end-of-pipe treatment, and water-sealing ecological plugging. On this basis, governance models applicable to karst regions are distilled. The results show that after six years of remediation, the number of pollution points in the Yudong River Basin decreased from 27 to 12. At the outflow section, the total Fe reduction rate reached 88.3%, the total Mn reduction rate reached 62.3%, and the proportion of contaminated river length was reduced by 78.5%. Each of the three technologies has its own applicable conditions. Centralized treatment stations, characterized by mature technology but high operational costs, are suitable for emergency transition periods. Source control combined with end-of-pipe treatment addresses both symptoms and root causes, making it applicable to complex pollution points. Water-sealing ecological plugging, although cost-controllable, carries a risk of secondary pollution in karst-developed areas. The failure of water-sealing ecological plugging technology is mainly attributed to two mechanisms: bypass flow through karst conduits and overflow induced by water level rise. Based on the six-year remediation practice, this study proposes a source control model for karst conduits centered on the core concepts of “filling, isolating, plugging, intercepting, draining, and controlling”. The implementation process consists of four stages: detailed investigation, graded optimization, stepwise implementation, and long-term monitoring. The core innovation lies in the cross-disciplinary application of coal mine water control techniques to environmental remediation, achieving a shift from passive end-of-pipe treatment to active source control. This model can provide theoretical reference and practical guidance for karst mining areas in Southwest China and other regions with similar geological conditions. Full article
(This article belongs to the Section Water Quality and Contamination)
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24 pages, 1626 KB  
Review
Recent Advances in the Alkali-Activated Stabilization of Zinc Mine Tailings
by Maria Alice Piovesan, Giovani Jordi Bruschi, William Mateus Kubiaki Levandoski, Fernando Fante and Eduardo Pavan Korf
Constr. Mater. 2026, 6(4), 39; https://doi.org/10.3390/constrmater6040039 (registering DOI) - 24 Jun 2026
Abstract
Zinc processing generates large volumes of tailings enriched with potentially toxic elements such as zinc, lead, arsenic, and antimony, creating environmental challenges. Conventional disposal in tailings dams is associated with land occupation, contamination risks, and geotechnical concerns, reinforcing the need for more sustainable [...] Read more.
Zinc processing generates large volumes of tailings enriched with potentially toxic elements such as zinc, lead, arsenic, and antimony, creating environmental challenges. Conventional disposal in tailings dams is associated with land occupation, contamination risks, and geotechnical concerns, reinforcing the need for more sustainable management strategies. This study presents a bibliometric and semi-systematic review of alkali-activated binders for the stabilization and solidification of zinc mine tailings, based on nine studies published between 2019 and 2026. The results indicate that this is a recent and expanding research field, with a marked concentration of studies in China. Current research mainly focuses on the links between microstructure, heavy metal immobilization, and mechanical performance. Alkali-activated systems, commonly based on blast furnace slag, fly ash, and coal gangue, can produce dense matrices with compressive strengths of up to 100.77 MPa and high immobilization efficiency. Their performance is largely governed by the type of reaction products formed, particularly calcium silicate hydrate, calcium aluminosilicate hydrate, and sodium aluminosilicate hydrate gels, which control microstructural development and stabilization mechanisms such as encapsulation, structural incorporation, and secondary phase formation. Overall, the reviewed studies suggest that alkali-activated binders have potential as alternative binders to Portland cement for the management and valorization of zinc mine tailings. Full article
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21 pages, 1460 KB  
Review
Role of Supraspinal Neuroinflammation in Chronic Pain After Experimental Spinal Cord Injury—A Systematic Review
by Telma Ferreira, Célia Duarte Cruz and José Tiago Costa-Pereira
Int. J. Mol. Sci. 2026, 27(13), 5711; https://doi.org/10.3390/ijms27135711 (registering DOI) - 24 Jun 2026
Abstract
Spinal cord injury (SCI) is a major cause of long-term disability and is frequently accompanied by chronic pain, substantially reducing quality of life. Although spinal neuroinflammation is a recognized contributor to neuropathic pain, the role of supraspinal neuroinflammation remains less well defined. This [...] Read more.
Spinal cord injury (SCI) is a major cause of long-term disability and is frequently accompanied by chronic pain, substantially reducing quality of life. Although spinal neuroinflammation is a recognized contributor to neuropathic pain, the role of supraspinal neuroinflammation remains less well defined. This systematic review critically evaluated experimental evidence linking SCI-induced supraspinal neuroinflammation with pain-related behaviors in animal models. A systematic literature search in PubMed, Web of Science Core Collection, and Scopus identified studies published over the last 20 years using rodent SCI models that assessed both supraspinal neuroinflammatory markers and pain-related behaviors. After screening, nine studies met the predefined criteria. The analyzed studies suggested that SCI is associated with supraspinal neuroinflammatory alterations, including increased microglial and astrocytic activation and upregulation of pro-inflammatory cytokines and chemokine-related pathways, in several brain regions. In intervention studies, reduced neuroinflammation was accompanied by improvement in mechanical or thermal pain-related behaviors. However, considerable methodological heterogeneity and moderate to high risk of bias were observed. Current evidence suggests an association between supraspinal neuroinflammatory alterations and chronic pain-related behaviors after SCI, but the limited number of studies and methodological variability restrict firm conclusions. Further well-designed experimental studies are needed to clarify underlying mechanisms. Full article
(This article belongs to the Section Molecular Neurobiology)
27 pages, 2131 KB  
Article
Stage-Dependent Behavioral Patterns in MOOC Dropout: An Explainable Learning Analytics Study
by Xinyu Xiang, Jiayue Song, Shukai Duan, Lidan Wang and Jia Yan
Educ. Sci. 2026, 16(7), 999; https://doi.org/10.3390/educsci16070999 (registering DOI) - 24 Jun 2026
Abstract
The high dropout rate in massive open online courses (MOOCs) continues to limit their potential in promoting inclusive and sustainable learning. Although many prediction models have been used to identify potential dropouts, most studies view dropout as a static classification problem and fail [...] Read more.
The high dropout rate in massive open online courses (MOOCs) continues to limit their potential in promoting inclusive and sustainable learning. Although many prediction models have been used to identify potential dropouts, most studies view dropout as a static classification problem and fail to clearly reveal the dynamic trajectory of learner participation over time. Therefore, this study introduces a phased analysis perspective, treating MOOC dropout as a process that continuously evolves at different stages. On the basis of the KDDCUP2015 dataset, we constructed behavioral characteristics at three time points: the first week, the third week, and the fifth week. By combining robust feature analysis and interpretable models, we systematically examined the changing patterns of dropout modes. The results revealed significant differences across the different stages. In the early stage of the course, dropout was related mainly to the unstable interaction behaviors of learners, such as restricted access to resources and irregular participation rhythms. In the middle and late stages, task-oriented behaviors, especially those related to video-based learning activities, gradually became key factors. Notably, high-frequency video participation does not always reduce the risk of dropout; when video activity is high but the overall interaction rate is low, it is more likely to indicate an increase in the risk of dropout. These results indicate that the combination of behaviors is more crucial than mere activity levels. By revealing the changing characteristics of behaviors at different stages, this study helps support the design of more practical early warning methods. Full article
(This article belongs to the Special Issue AI in Higher Education: Advancing Research, Teaching, and Learning)
23 pages, 7410 KB  
Article
Car-Following Behavior Preferences and Influencing Factors on Long Steep Downhill Sections Under Active Prevention and Control Strategies
by Tingquan He, Yibo Dai, Zhongbin Luo, Shanfeng Lu and Sen Luan
Future Transp. 2026, 6(4), 135; https://doi.org/10.3390/futuretransp6040135 (registering DOI) - 24 Jun 2026
Abstract
To mitigate driving risks from brake failure on long and steep downhill sections, this study designs three deployment schemes for radar–video fusion devices: a baseline scenario with no coverage, a scenario with partial coverage in high-risk areas, and a scenario with full coverage. [...] Read more.
To mitigate driving risks from brake failure on long and steep downhill sections, this study designs three deployment schemes for radar–video fusion devices: a baseline scenario with no coverage, a scenario with partial coverage in high-risk areas, and a scenario with full coverage. Corresponding information service strategies are delivered via Human–Machine Interfaces (HMIs), forming an integrated active prevention and control framework from risk perception to preventive action. Driving simulation experiments focusing on the car-following process were conducted to collect vehicle operational data and extract characteristic indicators based on the Wiedemann model. A Generalized Linear Mixed Model was employed to comprehensively examine the effects of HMIs on car-following behavior to identify the optimal active prevention strategy. Results show that drivers exhibit greater caution under the partial coverage scheme, with time headway increasing by 47.63% compared to the scheme with no radar–video fusion devices to ensure safety. Under full coverage conditions, drivers can obtain real-time information about the leading vehicle’s status and the distance between the two vehicles in key risk sections. Drivers choose to follow the leading vehicle, balancing both safety in car-following and efficiency on long and steep downhill sections. As the level of accompanying services improves, drivers engage in self-regulation to avoid rear-end collisions. Particularly under the scheme with full coverage of radar–video fusion devices, the standing distance significantly increases by 219.37% compared to the partial coverage condition. Drivers demonstrate optimal vehicle control capabilities. Furthermore, there is an interaction effect between the accompanying service strategy and drivers’ attributes on car-following behaviors. Under different schemes, more experienced drivers exhibit a certain degree of aggressiveness, providing a basis for the targeted design of information services for different types of drivers. The findings support the deployment and application of risk perception and prevention devices on long and steep downhill sections, which can effectively enhance the comprehensive safety of such special roads in the connected vehicle environment. Full article
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15 pages, 328 KB  
Article
Serum 25-Hydroxyvitamin D Deficiency Is Independently Associated with Cognitive Impairment, Depressive Symptoms, and Functional Dependency in Hospitalised Older Adults: A Cross-Sectional Study from Central Romania
by Valer Donca, Lucretia Avram, Tudor Cosma, Daniela Rus, Andrada Nemes, Andrei Balan, Adela Serban, Rodica Ungur and Dana Crisan
Nutrients 2026, 18(13), 2066; https://doi.org/10.3390/nu18132066 (registering DOI) - 24 Jun 2026
Abstract
Background: Vitamin D deficiency is highly prevalent in older adults and has been increasingly recognised as a potential contributor to cognitive decline, depressive symptomatology, and functional impairment. However, the clinical significance of specific 25-hydroxyvitamin D thresholds in relation to this multidomain geriatric [...] Read more.
Background: Vitamin D deficiency is highly prevalent in older adults and has been increasingly recognised as a potential contributor to cognitive decline, depressive symptomatology, and functional impairment. However, the clinical significance of specific 25-hydroxyvitamin D thresholds in relation to this multidomain geriatric phenotype remains incompletely characterised. Methods: We conducted a cross-sectional study of 1438 consecutive patients aged 65 years or older admitted for comprehensive geriatric assessment at a tertiary centre in Cluj-Napoca, Romania, between January 2023 and November 2025. Serum 25-hydroxyvitamin D [25(OH)D] was categorised as deficient (<20 ng/mL), insufficient (20–30 ng/mL), or sufficient (≥30 ng/mL). Cognitive function was assessed using the Montreal Cognitive Assessment (MoCA) and Mini-Mental State Examination (MMSE), depressive symptoms using the Geriatric Depression Scale (GDS-30 and GDS-SF), and functional status using Activities of Daily Living (ADL) and Instrumental Activities of Daily Living (IADL). Multivariable linear regression analyses were adjusted for age, body mass index, serum albumin, and estimated glomerular filtration rate (eGFR). Results: Suboptimal vitamin D status was highly prevalent in this geriatric cohort, with 43.3% of participants meeting criteria for frank deficiency (<20 ng/mL). Lower 25(OH)D concentrations were significantly associated with worse cognitive performance, greater depressive symptom burden, and higher functional dependency. Serum 25(OH)D correlated positively with MoCA and MMSE scores and inversely with ADL, IADL, and GDS scores. In adjusted models, vitamin D remained independently associated with MoCA, IADL, and GDS. Stratified analyses suggested that the main clinical deterioration occurred below 20 ng/mL, while the 20–30 ng/mL range behaved as an intermediate phenotype closer to sufficiency than to frank deficiency. Conclusions: In this large cohort of hospitalised older adults, serum 25(OH)D deficiency below 20 ng/mL was independently associated with poorer cognition, more depressive symptoms, and greater functional impairment. These findings support routine vitamin D assessment in geriatric practice and suggest that the <20 ng/mL threshold identifies a clinically relevant high-risk phenotype. Full article
(This article belongs to the Section Micronutrients and Human Health)
36 pages, 35985 KB  
Review
Mild Interfacial Catalysis for Sustainable Water Remediation: Active-Site Regulation, Non-Radical Oxidation, and Ecological Compatibility
by Zieryeke Niyazihan, Cong Huang, Yongbing Huang, Junpeng Guo and Xingtao Xu
Chemistry 2026, 8(7), 88; https://doi.org/10.3390/chemistry8070088 (registering DOI) - 24 Jun 2026
Abstract
Sustainable water remediation requires catalytic strategies that remove contaminants efficiently while reducing chemical input, byproduct formation, and ecological disturbance. Conventional radical-dominated advanced oxidation processes can rapidly degrade pollutants, but their reliance on high oxidant dosages and freely diffusing reactive oxygen species often causes [...] Read more.
Sustainable water remediation requires catalytic strategies that remove contaminants efficiently while reducing chemical input, byproduct formation, and ecological disturbance. Conventional radical-dominated advanced oxidation processes can rapidly degrade pollutants, but their reliance on high oxidant dosages and freely diffusing reactive oxygen species often causes matrix quenching, non-selective oxidation, low oxidant utilization, and potential ecological risks. Mild interfacial catalysis provides a materials-chemistry strategy to regulate oxidative intensity and direct contaminant transformation under environmentally relevant conditions. In this review, mild catalysts are defined by pathway-selective, interfacially confined, and environmentally compatible oxidation rather than by low dosage alone. Representative non-radical or low-intensity pathways, including singlet oxygen generation, surface-mediated electron transfer, high-valent metal–oxo species, and direct oxidative transfer processes, are discussed in relation to active-site structure, oxidant utilization, matrix tolerance, and byproduct control. We further summarize how coordination environments, defect chemistry, heteroatom configurations, nanoconfinement, and immobilized interfaces regulate reactive-species formation and interfacial charge transfer. Key material platforms, including single-atom catalysts, heteroatom-doped carbons, defect-engineered oxides, catalytic membranes, hydrogels, and floating or immobilized composites, are evaluated from mechanistic and application-oriented perspectives. Finally, catalyst regeneration, cost, microbial community responses, algae–bacteria balance, ecotoxicity, and long-term safety are discussed to guide sustainable aquatic ecosystem restoration. Full article
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21 pages, 1154 KB  
Article
Acute and Chronic Toxicity of Ketoprofen Active Pharmaceutical Ingredient and Commercial Formulations to the Freshwater Photosynthetic Species Microcystis novacekii and Chlorella vulgaris
by Gabriel Souza-Silva, Maria I. G. A. Silva, Anna C. B. Miranda, Mariângela Domingos Alcântara, Cléssius R. Souza and Micheline Rosa Silveira
Int. J. Environ. Res. Public Health 2026, 23(7), 829; https://doi.org/10.3390/ijerph23070829 (registering DOI) - 24 Jun 2026
Abstract
Ketoprofen (KET) is a non-steroidal anti-inflammatory drug frequently detected in surface waters and effluents, with the potential to impact trophic base organisms. This study evaluated the toxicity of KET, in its active pharmaceutical ingredient (API) form and in four commercial formulations (KET-1, KET-2, [...] Read more.
Ketoprofen (KET) is a non-steroidal anti-inflammatory drug frequently detected in surface waters and effluents, with the potential to impact trophic base organisms. This study evaluated the toxicity of KET, in its active pharmaceutical ingredient (API) form and in four commercial formulations (KET-1, KET-2, KET-3, and KET-4), on two freshwater species: the cyanobacterium Microcystis novacekii and the microalga Chlorella vulgaris. Cell growth assays, performed under acute (4 days) and chronic (14 days) conditions, showed that the API KET was the most toxic compound, especially for M. novacekii, with a chronic EC50 of 1.35 mg/L. The commercial formulations presented distinct toxicity profiles, suggesting the influence of excipients and synergistic or antagonistic interactions. For C. vulgaris, low acute toxicity was observed, with increased chronic effects at high concentrations and possible hormetic response at low doses. Risk quotient (RQ) calculations, based on environmental concentrations of KET, indicated low risk in surface and drinking water, but high risk in untreated hospital and wastewater treatment plant effluents, especially for M. novacekii. The results show that the complete formulation, exposure time, and target species are critical factors in the ecotoxicological risk assessment of pharmaceuticals in freshwater environments. Full article
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12 pages, 1566 KB  
Article
Development and Validation of a Rapid Titer Assay for the Oncolytic Virus oHSV2 Expressing a PD-L1/CD3 Bispecific Antibody
by Shengjie Zhang, Qingrui Song, Runyang Wang, Rui Chen, Han Hu, Binlei Liu and Yang Wang
Viruses 2026, 18(7), 694; https://doi.org/10.3390/v18070694 (registering DOI) - 24 Jun 2026
Abstract
Oncolytic viruses represent a promising class of anticancer therapeutics, and rapid, accurate quantification of viral titers is critical for ensuring both efficacy and safety during clinical development. Conventional viral titering methods, such as 50% cell culture infectious dose (CCID50), are time-consuming [...] Read more.
Oncolytic viruses represent a promising class of anticancer therapeutics, and rapid, accurate quantification of viral titers is critical for ensuring both efficacy and safety during clinical development. Conventional viral titering methods, such as 50% cell culture infectious dose (CCID50), are time-consuming and limited in sensitivity, thereby restricting their application in real-time clinical monitoring. This study aimed to develop and validate a rapid titer assay for oHSV2-PD-L1/CD3-BsAb, an oncolytic herpes simplex virus expressing a PD-L1/CD3 bispecific antibody, to support preclinical and clinical monitoring. A dual-reporter cell system was established using Vero-PD-L1-GFP (Vero cells expressing PD-L1 and GFP) cells as target cells and Jurkat-NFAT-Fluc (Jurkat cells expressing NFAT and Fluc) cells as effector cells. Viral infection activates the NFAT signaling pathway, driving Fluc expression, thereby enabling rapid quantification of infectious virus. The assay was evaluated for specificity, limit of detection (LOD), and lower limit of quantification (LLOQ), and compared with the conventional CCID50 method. Its applicability was further assessed using clinical simulation samples, including PBMCs and swabs. The rapid titer assay accurately quantified virus at 103 CCID50/mL after 8 h of incubation, consistent with CCID50 results, while extending the incubation to 18 h improved the LLOQ to 102.5 CCID50/mL, demonstrating enhanced sensitivity. The assay exhibited high reproducibility and stability in both PBMC and swab samples, enabling reliable quantification of low-titer virus in complex biological matrices. Compared with CCID50, the method substantially reduced assay time (from 3–5 days to 8–18 h) while improving sensitivity and specificity. The developed rapid titer assay for oHSV2-PD-L1/CD3-BsAb provides a sensitive and specific platform for viral quantification. It offers a valuable tool for oncolytic virus development, production quality control, and clinical monitoring, facilitating efficient safety evaluation and risk management in ongoing and future clinical applications. Full article
(This article belongs to the Section Human Virology and Viral Diseases)
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30 pages, 6708 KB  
Article
Dynamics and Experimental Validation of a UAV-Borne Flexible Net for Intercepting Low, Slow, and Small Targets
by Kunlin Han, Yiming Liu, Ziming Xiong, Jiafeng Hu, Hao Lu, Minqian Sun and Tongxin Zhang
Drones 2026, 10(7), 478; https://doi.org/10.3390/drones10070478 (registering DOI) - 23 Jun 2026
Abstract
The escalating security risks associated with unauthorized unmanned aerial vehicles (UAVs) in advancing smart cities necessitate the development of robust active countermeasures. This work presents a novel approach centered on a UAV-borne flexible net system and provides a rigorous investigation into its complex [...] Read more.
The escalating security risks associated with unauthorized unmanned aerial vehicles (UAVs) in advancing smart cities necessitate the development of robust active countermeasures. This work presents a novel approach centered on a UAV-borne flexible net system and provides a rigorous investigation into its complex nonlinear dynamics. This study establishes a lumped-mass, semi-spring–damper dynamic model of the flexible capture net, characterizing its key dynamic properties, including deployment performance, aerodynamic attitude, and the high-impact phenomena of collision and entanglement with the target UAV. To verify the reliability of the proposed method, numerical simulations are combined with field tests for systematic validation. Comparative analysis reveals excellent quantitative agreement, with over 80% conformity in the net’s spatial configuration between simulated and experimental results. This paper illuminates the fundamental principles governing energy dissipation and transient tension dynamics pre- and post-capture. This study provides preliminary evidence for the feasibility of the proposed method and identifies key directions for future investigation. The findings offer guidance for the design and optimization of future systems intended to neutralize low, slow, and small (LSS) aerial threats. Full article
17 pages, 11164 KB  
Article
pIgR Stem Zone-Targeted Nanobodies as Apical-to-Basolateral Carriers for Inhaled Biologic Delivery Across Mucosal Barriers
by Aidong Qiu, Ruiyuan Wang, Yangyingjie Bai, Bowen Zhang, Xinyu He, Jiani Xie and Jianghai Liu
Antibodies 2026, 15(4), 53; https://doi.org/10.3390/antib15040053 (registering DOI) - 23 Jun 2026
Abstract
Background: The mucosal barrier presents a significant challenge for non-invasive delivery of macromolecular therapeutics, often requiring administration with poor bioavailability and increased toxicity risks. The polymeric immunoglobulin receptor (pIgR) contains an extracellular secretory component (SC) for immunoglobulin binding and a membrane-anchored stem domain [...] Read more.
Background: The mucosal barrier presents a significant challenge for non-invasive delivery of macromolecular therapeutics, often requiring administration with poor bioavailability and increased toxicity risks. The polymeric immunoglobulin receptor (pIgR) contains an extracellular secretory component (SC) for immunoglobulin binding and a membrane-anchored stem domain capable of apical-to-basolateral transcytosis. We hypothesized that targeting the stem domain could enable active drug transport across mucosal barriers. Methods: Using phage display, we identified four high-affinity nanobodies against human and murine pIgR. Two lead candidates (3LTHMP-4 and 3LTHMP-5) demonstrated efficient apical-to-basolateral transport in vitro (Transwell assays) and in vivo (fluorescence imaging). Engineered bispecific antibodies fusing these nanobodies with anti-IL-5 mAb reslizumab were administered via inhalation in a murine asthma model at one-tenth the intraperitoneal reslizumab dose. Resluts: The bispecific antibodies showed significant therapeutic efficacy, while reslizumab alone at equivalent concentrations failed to demonstrate efficacy. Hydrogen–Deuterium Exchange Mass Spectrometry (HDX-MS) revealed that both 3LTHMP-4 and 3LTHMP-5 specifically bind to the pIgR stem domain (residues 578–612), a region distinct from the dimeric IgA binding site. Conclusions: These findings suggest that stem domain-specific binding may facilitate transport across the mucosal barrier while preserving native receptor physiology, offering a potential strategy for effective transmucosal delivery of biologics. Full article
(This article belongs to the Section Antibody Discovery and Engineering)
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23 pages, 2326 KB  
Review
Water–Energy–Food Nexus and Hydrosocial Conflicts in Peruvian Mining–Agriculture Basins: An Integrative Review with Water Footprint Evidence
by Araujo Reyes Luis-Donato, Percy Cesar Estrada-Ayre, Percy Eduardo Basualdo-Garcia, Anthony Enriquez-Ochoa, Syntia Porras-Sarmiento, Miriam Liz Palacios-Mucha and Russbelt Yaulilahua-Huacho
Water 2026, 18(13), 1532; https://doi.org/10.3390/w18131532 (registering DOI) - 23 Jun 2026
Abstract
Water scarcity in Peru is increasingly shaped by competing sectoral demands, particularly between large-scale mining and agriculture. Both sectors rely heavily on limited freshwater resources in arid coastal and Andean basins, generating complex trade-offs between economic productivity, environmental sustainability, and social equity. This [...] Read more.
Water scarcity in Peru is increasingly shaped by competing sectoral demands, particularly between large-scale mining and agriculture. Both sectors rely heavily on limited freshwater resources in arid coastal and Andean basins, generating complex trade-offs between economic productivity, environmental sustainability, and social equity. This review synthesizes and critically evaluates current knowledge on water footprint (WF) dynamics within mining–agriculture systems, integrating hydrosocial theory, water–energy–food nexus thinking, and sustainability transition frameworks. Mining activities in Peru are characterized by high blue and grey water footprints, associated with intensive extraction processes and contamination risks, while agriculture exhibits diverse water footprints depending on crop type, irrigation efficiency, and climatic conditions. The interaction of these sectors creates hydrosocial conflicts driven by unequal water allocation, environmental degradation, and institutional fragmentation. This paper identifies key drivers of conflict and evaluates emerging pathways for sustainability transitions, including technological innovation, nature-based solutions, and participatory governance mechanisms. An integrative conceptual framework derived from a thematic synthesis of the reviewed literature is proposed. The findings provide actionable insights for policymakers and researchers seeking to reconcile economic development with water sustainability in resource-constrained environments. Full article
(This article belongs to the Special Issue Mine Water Treatment, Utilization and Storage Technology)
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21 pages, 4592 KB  
Systematic Review
Physical Activity, Physical Fitness, and Motor Competence in Children Aged 5–10 Years—A Systematic Review
by Paulino Gomes Rosa, Guilherme Eustáquio Furtado, Miguel Jacinto, Sergio José Ibáñez and João Serrano
Healthcare 2026, 14(13), 1813; https://doi.org/10.3390/healthcare14131813 (registering DOI) - 23 Jun 2026
Abstract
Background: Motor competence (MC), physical activity (PA), and physical fitness (PF) are interrelated components of child development, yet evidence on the MC–PF–PA triad in middle childhood remains inconsistent due to methodological heterogeneity. Objective: To synthesise associations between MC, PF, and PA in children [...] Read more.
Background: Motor competence (MC), physical activity (PA), and physical fitness (PF) are interrelated components of child development, yet evidence on the MC–PF–PA triad in middle childhood remains inconsistent due to methodological heterogeneity. Objective: To synthesise associations between MC, PF, and PA in children aged 5–10 years (2020–2025) and to appraise methodological quality and certainty. Methods: A PRISMA 2020-compliant systematic review (PROSPERO: CRD42024617560) searched six databases (PubMed, Scopus, Web of Science, SportDiscus, SciELO, PsycINFO) from January 2020 to April 2025, updated November 2025. Eligible observational studies in English reported quantitative associations between ≥2 constructs in 5–10-year-olds using validated instruments. Risk of bias was appraised in duplicate with JBI checklists. Quantitative pooling was unfeasible under a pre-specified pooling matrix; associations were synthesised narratively and certainty rated using a GRADE-style framework. Results: Thirteen studies (n = 43–1064; 11 cross-sectional, 2 longitudinal) were included; six were low, five moderate, and two high risk of bias. MC–PA was predominantly positive, especially with objective instruments; MC–PF was consistently positive; PF–PA was less consistent but trended positive longitudinally. Mediation/moderation analyses (k = 3) supported roles for perceived competence, self-efficacy, and PF. Null/negative findings clustered among subjective PA measures and higher risk of bias. GRADE certainty was low-to-moderate. Conclusions: MC, PF, and PA are interconnected in middle childhood, but cross-sectional predominance and instrument heterogeneity preclude causal inference; findings are provisional and should drive longitudinal, methodologically standardised research. Full article
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