- Jun 2024
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
(2.1) Summary
In this paper, the authors model motor adaptation as a Bayesian process that combines visual uncertainty about the error feedback, uncertainty about proprioceptive sense of hand position, and uncertainty of predicted (=planned) hand movement with a learning and retention rate as used in state space models. The model is built with results from several experiments presented in the paper and is compared with the PReMo model (Tsay, Kim et al., 2022) as well as a cue combination model (Wei & Körding, 2009). The model and experiments demonstrate the role of visual uncertainty about error feedback in implicit adaptation.
In the introduction, the authors notice that implicit adaptation (as measured in error-clamp based paradigms) does not saturate at larger perturbations, but decreases again (e.g. Moorehead et al., 2017 shows no adaptation at 135{degree sign} and 175{degree sign} perturbations). They hypothesized that visual uncertainty about cursor position increases with larger perturbations since the cursor is further from the fixated target. This could decrease importance assigned to visual feedback which could explain lower asymptotes.
The authors characterize visual uncertainty for 3 rotation sizes in a first experiment, and while this experiment could be improved, it is probably sufficient for the current purposes. Then the authors present a second experiment where adaptation to 7 clamped errors are tested in different groups of participants. The models' visual uncertainty is set using a linear fit to the results from experiment 1, and the remaining 4 parameters are then fit to this second data set. The 4 parameters are 1) proprioceptive uncertainty, 2) uncertainty about the predicted hand position, 3) a learning rate and 4) a retention rate. The authors' Perceptual Error Adaptation model ("PEA") predicts asymptotic levels of implicit adaptation much better than both the PReMo model (Tsay, Kim et al., 2022), which predicts saturated asymptotes, or a causal inference model (Wei & Körding, 2007) which predicts no adaptation for larger rotations. In a third experiment, the authors test their model's predictions about proprioceptive recalibration, but unfortunately compare their data with an unsuitable other data set (Tsay et al. 2020, instead of Tsay et al. 2021). Finally, the authors conduct a fourth experiment where they put their model to the test. They measure implicit adaptation with increased visual uncertainty, by adding blur to the cursor, and the results are again better in line with their model (predicting overall lower adaptation), than with the PReMo model (predicting equal saturation but at larger perturbations) or a causal inference model (predicting equal peak adaptation, but shifted to larger rotations). In particular the model fits for experiment 2 and the results from experiment 4 show that the core idea of the model has merit: increased visual uncertainty about errors dampens implicit adaptation.
(2.2) Strengths
In this study the authors propose a Perceptual Error Adaptation model ("PEA") and the work combines various ideas from the field of cue combination, Bayesian methods and new data sets, collected in four experiments using various techniques that test very different components of the model. The central component of visual uncertainty is assessed in a first experiment. The model uses 4 other parameters to explain implicit adaptation. These parameters are: 1) a learning and 2) a retention rate, as used in popular state space models and the uncertainty (variance) of 3) predicted and 4) proprioceptive hand position. In particular, the authors observe that asymptotes for implicit learning do not saturate, as claimed before, but decrease again when rotations are very large and that this may have to do with visual uncertainty (e.g. Tsay et al., 2021, J Neurophysiol 125, 12-22). The final experiment confirms predictions of the fitted model about what happens when visual uncertainty is increased (overall decrease of adaptation). By incorporating visual uncertainty depending on retinal eccentricity, the predictions of the PEA model for very large perturbations are notably different from, and better than, the predictions of the two other models it is compared to. That is, the paper provides strong support for the idea that visual uncertainty of errors matters for implicit adaptation.
(2.3) Weaknesses
Although the authors don't say this, the "concave" function that shows that adaptation does not saturate for larger rotations has been shown before, including in papers cited in this manuscript.
The first experiment, measuring visual uncertainty for several rotation sizes in error-clamped paradigms has several shortcomings, but these might not be so large as to invalidate the model or the findings in the rest of the manuscript. There are two main issues we highlight here. First, the data is not presented in units that allow comparison with vision science literature. Second, the 1 second delay between movement endpoint and disappearance of the cursor, and the presentation of the reference marker, may have led to substantial degradation of the visual memory of the cursor endpoint. That is, the experiment could be overestimating the visual uncertainty during implicit adaptation.
The paper's third experiment relies to a large degree on reproducing patterns found in one particular paper, where the reported hand positions - as a measure of proprioceptive sense of hand position - are given and plotted relative to an ever present visual target, rather than relative to the actual hand position. That is, 1) since participants actively move to a visual target, the reported hand positions do not reflect proprioception, but mostly the remembered position of the target participants were trying to move to, and 2) if the reports are converted to a difference between the real and reported hand position (rather than the difference between the target and the report), those would be on the order of ~20{degree sign} which is roughly two times larger than any previously reported proprioceptive recalibration, and an order of magnitude larger than what the authors themselves find (1-2{degree sign}) and what their model predicts. Experiment 3 is perhaps not crucial to the paper, but it nicely provides support for the idea that proprioceptive recalibration can occur with error-clamped feedback.
Perhaps the largest caveat to the study is that it assumes that people do not look at the only error feedback available to them (and can explicitly suppress learning from it). This was probably true in the experiments used in the manuscript, but unlikely to be the case in most of the cited literature. Ignoring errors and suppressing adaptation would also be a disastrous strategy to use in the real world, such that our brains may not be very good at this. So the question remains to what degree - if any - the ideas behind the model generalize to experiments without fixation control, and more importantly, to real life situations.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary
In this manuscript, Weng et al. identify the neuron specific transcriptome that impacts age dependent cognitive decline. The authors design a pipeline to profile neurons from wild type and long-lived insulin receptor/IGF-1 mutants using timepoints when memory functions are declining. They discover signatures unique to neurons which validates their approach. The authors identify that genes related to neuronal identity are lost with age in wild type worms. For example, old neurons reduce the expression of genes linked to synaptic function and neuropeptide signaling and increase the expression of chromatin regulators, insulin peptides and glycoproteins. Depletion of selected genes which are upregulated in old neurons (utx-1, ins-19 and nmgp-1) leads to improved short memory function. This indicates that some genes that increase with age have detrimental effects on learning and memory. The pipeline is then used to test neuronal profiles of long-lived insulin/IGF-1 daf-2 mutants. Genes related to stress response pathways are upregulated in long lived daf-2 mutants (e.g. dod-24, F08H9.4) and those genes are required for improved neuron function.
Strengths
The manuscript is well written, and the experiments are well described. The authors take great care to explain their reasoning for performing experiments in a specific way and guide the reader through the interpretation of the results, which makes this manuscript an enjoyable and interesting read. The authors discover novel regulators of learning and memory using neuron-specific transcriptomic analysis in aged animals, which underlines the importance of cell specific deep sequencing. The timepoints of the transcriptomic profiling are elegantly chosen, as they coincide with the loss of memory and can be used to specifically reveal gene expression profiles related to neuron function. The authors discuss on the dod-24 example how powerful this approach is. In daf-2 mutants whole-body dod-24 expression differs from neuron specific profiles, which underlines the importance of precise cell specific approaches. This dataset provides a very useful resource for the C. elegans and aging community as it complements existing datasets with additional time points and neuron specific deep profiling.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, Schweibenz et al., identify the transcriptional coactivator, Taiman (Tai), as a factor that determines the fitness level of epithelial cells by regulating Wingless (Wg), which is an important determinant of cellular fitness. Taiman determines cellular fitness level by regulating levels of cell-surface glypican Dally-like protein (Dlp), which regulates extracellular Wingless (Wg) distribution. Thus, by affecting levels of Wg via glypican regulation, Tai participates in determining cellular fitness, and cells with low Tai levels are eliminated as they are deprived of adequate Wg levels.
Strengths:
(1) The authors make a strong case for the effect of tai on Dlp and Wg levels in experiments where a relatively large group of cells have reduced tai levels.<br /> (2) The claim that tai-low clones are competitively eliminated is supported by experiments that show cell death in them, and their elimination at different time points.<br /> (3) The manuscript is well written.
Weaknesses:
(1) The study has relatively weak evidence for the mechanism of cell competition mediated by Dlp and Wg.
(2) More evidence is required to support the claim that dlp transcription or endocytosis is affected in tai clones.
Other comments:
(1) The authors put the study in the context of cell competition, and the first figure indeed is convincing in this regard. However, most of the rest of the study is not in the clonal context, and mainly relies on RNAi KD of tai in the posterior compartment, which is a relatively large group of cells. I understand why the authors chose a different approach to investigate the role of tai in cell competition. However because ubiquitous loss of tai results in smaller organs, it is important to determine to what extent reducing levels of tai in the entire posterior compartment compares with clonal elimination i.e. cell competition. This is important in order to determine to what extent the paradigm of Tai-mediated regulation of Dlp levels and by extension, Wg availability, can be extended as a general mechanism underlying competitive elimination of tai-low clones. If the authors want to make a case for mechanisms involved in the competitive elimination of tai clones, then they need to show that the KD of tai in the posterior compartment shows hallmarks of cell competition. Is there cell death along the A/P boundary? Or is the compartment smaller because those cells are growing slower? Are the levels of Myc/DIAP1, proteins required for fitness, affected in en>tai RNAi cells?
2) The authors do not have direct/strong evidence of changes in dlp mRNA levels or intracellular trafficking. To back these claims, the authors should look for dlp mRNA levels and provide more evidence for Dlp endocytosis like an antibody uptake assay or at the very least, a higher resolution image analysis showing a change in the number of intracellular Dlp positive punctae. Also, do the authors think that loss of tai increases Dlp endocytosis, making it less available on the cell surface for maintaining adequate extracellular Wg levels?
3) The data shown in the last figure is at odds with the model (I think) the authors are trying to establish: When cells have lower Tai levels, this reduces Dlp levels (S2) presumably either by reducing dlp transcription and/or increasing (?) Dlp endocytosis. This in turn reduces Wg (availability) in cells away from source cells (Figure 6). The reduced Wg availability makes them less fit, targeting them for competitive elimination. But in tai clones, I do not see any change in cell-surface Dlp (9B) (I would have expected them to be down based on the proposed model). The authors also see more total Dlp (9A) (which is at odds with S2 assuming data in S2 were done under permeabilizing conditions.).
As a side note, because Dlp is GPI-anchored, the authors should consider the possibility that the 'total' Dlp staining observed in 9A may not be actually total Dlp (and possibly mostly intracellular Dlp, since the permeabilizing membranes with detergent will cause some (most?) Dlp molecules to be lost, and how this might be affecting the interpretation of the data. I think one way to address this would be to process the permeabilized and non-permeabilized samples simultaneously and then image them at the same settings and compare what membrane staining in these two conditions looks like. If membrane staining in the permeabilized condition is decreased compared to non-permeabilized conditions, and the signal intensity of Dlp in permeabilized conditions remains high, then the authors will have evidence to support increased endocytosis in tai clones. Of course, these data will still need to be reconciled with what is shown in S2.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The hippocampal CA3 region is generally considered to be the primary site of initiation of sharp wave ripples-highly synchronous population events involved in learning and memory although the precise mechanism remains elusive. A recent study revealed that CA3 comprises two distinct pyramidal cell populations: thorny cells that receive mossy fiber input from the dentate gyrus, and athorny cells that do not. That study also showed that it is athorny cells in particular that play a key role in sharp wave initiation. In the present work, Sammons, Masserini, and colleagues expand on this by examining the connectivity probabilities among and between thorny and athorny cells. First, using whole-cell patch clamp recordings, they find an asymmetrical connectivity pattern, with athorny cells receiving the most synaptic connections from both athorny and thorny cells, and thorny cells receiving fewer. They then demonstrate in spiking neural network simulations how this asymmetrical connectivity may underlie the preferential role of athorny cells in sharp wave initiation.
Strengths:
The authors provide independent validation of some of the findings by Hunt et al. (2018) concerning the distinction between thorny and athorny pyramidal cells in CA3 and advance our understanding of their differential integration in CA3 microcircuits. The properties of excitatory connections among and between thorny and athorny cells described by the authors will be key in understanding CA3 functions including, but not limited to, sharp wave initiation.
As stated in the paper, the modeling results lend support to the idea that the increased excitatory connectivity towards athorny cells plays a key role in causing them to fire before thorny cells in sharp waves. More generally, the model adds to an expanding pool of models of sharp wave ripples which should prove useful in guiding and interpreting experimental research.
Weaknesses:
The mechanism by which athorny cells initiate sharp waves in the model is somewhat confusingly described. As far as I understood, random fluctuations in the activities of A and B neurons provide windows of opportunity for pyramidal cells to fire if they have additionally recovered from adaptive currents. Thorny and athorny pyramidal cells are then set in a winner-takes-all competition which is quickly won by the athorny cells. The main thesis of the paper seems to be that athorny cells win this competition because they receive more inputs both from themselves and from thorny cells, hence, the connectivity "underlies the sequential activation". However, it is also stated that athorny cells activate first due to their lower rheobase and steeper f-I curve, and it is also indicated in the methods that athorny (but not thorny) cells fire in bursts. It seems that it is primarily these features that make them fire first, something which apparently happens even when the A to A connectivity is set to 0-albeit with a very small lag. Perhaps the authors could further clarify the differential role of single cell and network parameters in determining the sequential activation of athorny and thorny cells. Is the role of asymmetric excitatory connectivity only to enhance the initial intrinsic advantage of athorny cells? If so, could this advantage also be enhanced in other ways?
Although a clear effort has been made to constrain the model with biological data, too many degrees of freedom remain that allow the modeler to make arbitrary decisions. This is not a problem in itself, but perhaps the authors could explain more of their reasoning and expand upon the differences between their modeling choices and those of others. For example, what are the conceptual or practical advantages of using adaptation in pyramidal neurons as opposed to short-term synaptic plasticity as in the model by Hunt et al.? Relatedly, what experimental observations could validate or falsify the proposed mechanisms?
In the data by Hunt et al., thorny cells have a higher baseline (non-SPW) firing rate, and it is claimed that it is actually stochastic correlations in their firing that are amplified by athorny cells to initiate sharp waves. However, in the current model, the firing of both types of pyramidal cells outside of ripples appears to be essentially zero. Can the model handle more realistic firing rates as described by Hunt et al., or as produced by e.g., walking around an environment tiled with place cells, or would that trigger SPWs continuously?
-
-
-
Reviewer #3 (Public Review):
Summary:
Lichtinger et al. have used an extensive set of molecular dynamics (MD) simulations to study the conformational dynamics and transport cycle of an important member of the proton-coupled oligopeptide transporters (POTs), namely SLC15A2 or PepT2. This protein is one of the most well-studied mammalian POT transporters that provides a good model with enough insight and structural information to be studied computationally using advanced enhanced sampling methods employed in this work. The authors have used microsecond-level MD simulations, constant-PH MD, and alchemical binding free energy calculations along with cell-based transport assay measurements; however, the most important part of this work is the use of enhanced sampling techniques to study the conformational dynamics of PepT2 under different conditions.
The study attempts to identify links between conformational dynamics and chemical events such as proton binding, ligand-protein interactions, and intramolecular interactions. The ultimate goal is of course to understand the proton-coupled peptide and drug transport by PepT2 and homologous transporters in the solute carrier family.
Some of the key results include (1) Protonation of H87 and D342 initiate the occluded (Occ) to the outward-facing (OF) state transition; (2) In the OF state, through engaging R57, substrate entry increases the pKa value of E56 and thermodynamically facilitates the movement of protons further down; (3) E622 is not only essential for peptide recognition but also its protonation facilitates substrate release and contributes to the intracellular gate opening. In addition, cell-based transport assays show that mutation of residues such as H87 and<br /> D342 significantly decrease transport activity as expected from simulations.
Strengths:
(1) This is an extensive MD based study of PepT2, which is beyond the typical MD studies both in terms of the sheer volume of simulations as well as the advanced methodology used. The authors have not limited themselves to one approach and have appropriately combined equilibrium MD with alchemical free energy calculations, constant-pH MD and geometry-based free energy calculations. Each of these 4 methods provides a unique insight regarding the transport mechanism of PepT2.
(2) The authors have not limited themselves to computational work and has performed experiments as well. The cell-based transport assays clearly establish the importance of the residues that have been identified as significant contributors to the transport mechanism using simulations.
(3) The conclusions made based on the simulations are mostly convincing and provide useful information regarding the proton pathway and the role of important residues in proton binding, protein-ligand interaction, and conformational changes.
Weaknesses:
There are inherent limitations with the methodology used such as the MEMENTO and constant pH MD that have been briefly noted in the manuscript.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, Wang et al. have demonstrated that TMC7, a testis-enriched multipass transmembrane protein, is essential for male reproduction in mice. Tmc7 KO male mice are sterile due to reduced sperm count and abnormal sperm morphology. TMC7 co-localizes with GM130, a cis-Golgi marker, in round spermatids. The absence of TMC7 results in reduced levels of Golgi proteins, elevated abundance of ER stress markers, as well as changes of Ca2+ and pH levels in the KO testis. However, further confirmation is required because the analyses were performed with whole testis samples in spite of the differences in the germ cell composition in WT and KO testis. In addition, the causal relationships between the reported anomalies await thorough interrogation
Strengths:
By using PD21 testes, the revised assays have consolidated that depletion of TMC7 leads to a reduced level of Ca2+ and an elevated level of ROS in the male germ cells. The immunohistochemistry analyses have clearly indicated the reduced abundance of GM130, P115, and GRASP65 in the knockout testis.
Weaknesses:
The Discussion section contains sentences reiterating the Introduction and Results of this manuscript (e.g., Lines 79-85 and 231-236; Lines 175-179 and 259-263). Those read repetitive and can be removed.
Future studies are required to decipher how TMC7 stabilizes Golgi structure, coordinates vesicle transport, and maintains the germ cell homeostasis.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The superfamily I 3'-5' DNA helicase Srs2 is well known for its role as an anti-recombinase, stripping Rad51 from ssDNA, as well as an anti-crossover factor, dissociating extended D-loops and favoring non-crossover outcome during recombination. In addition, Srs2 plays a key role in ribonucleotide excision repair. Besides DNA repair defects, srs2 mutants also show a reduced recovery after DNA damage that is related to its role in downregulating the DNA damage signaling or checkpoint response. Recent work from the Zhao laboratory (PMID: 33602817) identified a role of Srs2 in downregulating the DNA damage signaling response by removing RPA from ssDNA. This manuscript reports further mechanistic insights into the signaling downregulation function of Srs2.
Using the genetic interaction with mutations in RPA1, mainly rfa1-zm2, the authors test a panel of mutations in Srs2 that affect CDK sites (srs2-7AV), potential Mec1 sites (srs2-2SA), known sumoylation sites (srs2-3KR), Rad51 binding (delta 875-902), PCNA interaction (delta 1159-1163), and SUMO interaction (srs2-SIMmut). All mutants were generated by genomic replacement and the expression level of the mutant proteins was found to be unchanged. This alleviates some concern about the use of deletion mutants compared to point mutations. The double mutant analysis identified that PCNA interaction and SUMO sites were required for the Srs2 checkpoint dampening function, at least in the context of the rfa1-zm2 mutant. There was no effect of these mutants in a RFA1 wild-type background. This latter result is likely explained by the activity of the parallel pathway of checkpoint dampening mediated by Slx4, and genetic data with an Slx4 point mutation affecting Rtt107 interaction and checkpoint downregulation support this notion. Further analysis of Srs2 sumoylation showed that Srs2 sumoylation depended on PCNA interaction, suggesting sequential events of Srs2 recruitment by PCNA and subsequent sumoylation. Kinetic analysis showed that sumoylation peaks after maximal Mec1 induction by DNA damage (using the Top1 poison camptothecin (CPT)) and depended on Mec1. These data are consistent with a model that Mec1 hyperactivation is ultimately leading to signaling downregulation by Srs2 through Srs2 sumoylation. Mec1-S1964 phosphorylation, a marker for Mec1 hyperactivation and a site found to be needed for checkpoint downregulation after DSB induction did not appear to be involved in checkpoint downregulation after CPT damage. The data are in support of the model that Mec1 hyperactivation when targeted to RPA-covered ssDNA by its Ddc2 (human ATRIP) targeting factor, favors Srs2 sumoylation after Srs2 recruitment to PCNA to disrupt the RPA-Ddc2-Mec1 signaling complex. Presumably, this allows gap filling and disappearance of long-lived ssDNA as the initiator of checkpoint signaling, although the study does not extend to this step.
Strengths
(1) The manuscript focuses on the novel function of Srs2 to downregulate the DNA damage signaling response and provide new mechanistic insights.
(2) The conclusions that PCNA interaction and ensuing Srs2-sumoylation are involved in checkpoint downregulation are well supported by the data.
Weaknesses
(1) Additional mutants of interest could have been tested, such as the recently reported Pin mutant, srs2-Y775A (PMID: 38065943), and the Rad51 interaction point mutant, srs2-F891A (PMID: 31142613).
(2) The use of deletion mutants for PCNA and RAD51 interaction is inferior to using specific point mutants, as done for the SUMO interaction and the sites for post-translational modifications.
(3) Figure 4D and Figure 5A report data with standard deviations, which is unusual for n=2. Maybe the individual data points could be plotted with a color for each independent experiment to allow the reader to evaluate the reproducibility of the results.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors elucidated the role of USP8 in the endocytic pathway. Using C. elegans epithelial cells as a model, they observed that when USP8 function is lost, the cells have a decreased number and size in lysosomes. Since USP8 was already known to be a protein linked to ESCRT components, they looked into what role USP8 might play in connecting lysosomes and multivesicular bodies (MVB). They observed fewer ESCRT-associated vesicles but an increased number of "abnormal" enlarged vesicles when USP8 function was lost. Then they observed that the abnormally enlarged vesicles, marked by the PI3P biosensor YFP-2xFYVE, are bigger but in the same number in USP8 (-) compared to wild-type animals, suggesting homotypic fusion. They confirmed this result by knocking down USP8 in a human cell line, and they observed enlarged vesicles marked by YFP-2xFYVE as well. They finally propose that USP8 dissociates Rabx-5 from early endosomes facilitating endosome maturation.
Strengths:
The authors have created significant, multifaceted tools for investigating systems involved in endosome dynamics control in both worm and human cells, which will help many members of the cell biology community. The study discovered an intriguing relationship between USP8 and the Rab5 guanine nucleotide exchange factor Rabx5, expanding USP8's targets and modes of action. The results provide significant contributions to our knowledge of how endosomal maturation works.
Weaknesses:
The rationales could have been stated clearer to help the readers.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript reveals an important mechanism of KCNQ1/IKs channel gating such that the open state of the pore is unstable and undergoes intermittent closed and open conformations. PUFA enhances the maximum open probability of IKs by binding to a crevice adjacent to the pore and stabilize the open conformation. This mechanism is supported by convincing single channel recordings that show empty and open channel traces and the ratio of such traces is affected by PUFA. In addition, mutations of the pore residues alter PUFA effects, convincingly supporting that PUFA alters the interactions among these pore residues.
Strengths:
The data are of high quality and the description is clear.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Mimura et al describe the discovery of the orphan transporter SLC35G1 as a citrate transporter in the small intestine. Using a combination of cellular transport assays, they show that SLC35G1 can mediate citrate transport in small intestinal cell lines. Furthermore, they investigate its expression and localization in both human tissue and cell lines. Limited evidence exists to date on both SLC35G1 and citrate uptake in the small intestine, therefore this study is an important contribution to both fields. However, the main claims by the authors are only partially supported by experimental evidence.
Strengths:
The authors convincingly show that SLC35G1 mediates uptake of citrate which is dependent on pH and chloride concentration. Putting their initial findings in a physiological context, they present human tissue expression data of SLC35G. Their Transwell assay indicates that SLC35G1 is a citrate exporter at the basolateral membrane.
Weaknesses:
Further confirmation and clarification are required to claim that the SLC indeed exports citrate at the basolateral membrane as concluded by the authors. Most experiments measure citrate uptake, but the authors state that SLC35G1 is an exporter, mostly based on the lack of uptake at physiological conditions faced at the basolateral side. The Transwell assay in Figure 1L is the only evidence that it indeed is an exporter. However, in this experiment, the applied chloride concentration was not according to the proposed model (120mM at the basolateral side). The Transwell assay, or a similar assay measuring export instead of import, should be carried out in knockdown cells to prove that the export indeed occurs through SLC35G1 and not through an indirect effect. Related to the mentioned chloride sensitivity, it is unclear how the proposed model works if the SLC faces high chloride conditions under physiological conditions though it is inhibited by chloride.
-
-
www.researchsquare.com www.researchsquare.com
-
Reviewer #3 (Public Review):
Summary:
Overall, this is an interesting series of experiments which have identified a putative inhibitor of the Plasmodium M1 alanyl aminopeptidases, PfA-M1 and PvA-M1. The weaknesses include the lack of additional analysis of additional targets identified in the chemoproteomic approaches.
Strengths:
The main strengths include the synthesis of MIPS2673 which is selectively active against the enzyme and in whole cell assay.
Weaknesses:
The authors have addressed the previously identified weaknesses and have now provided additional data and explanations. They have modified their conclusions to indicate the limitations of their work.
Tags
Annotators
URL
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study profiled the single-cell transcriptome of human spermatogenesis and provided many potential molecular markers for developing testicular puncture-specific marker kits for NOA patients.
Strengths:
Perform single-cell RNA sequencing (scRNA-seq) and single-cell assay for transposase-accessible chromatin sequencing (scATAC-seq) on testicular tissues from two OA patients and three NOA patients.
Weaknesses:
Most results are analytical and lack specific experiments to support these analytical results and hypotheses.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript by Beardslee and Schmitz reports discoveries made from a genetic screen to identify C-terminal degrons that cause the efficient depletion of a potent toxin, which allowed for a deep assessment of amino acid patterns that promote protein turnover.
Strengths:
The key findings are that SsrA-like C termini are a dominant class of efficient degrons and that ClpP (X/A) mediates the turnover in most cases. Moreover, the data provides insight into the importance of residues situated farther into the degron and reveals aspects of the ClpX engagement and processivity process. The manuscript is clearly written and there is ample supporting data for the conclusions drawn. The figures are also informative.
Weaknesses:
There are only a few minor suggestions on data interpretation.
(1) Page 6: It is stated that "We plated cells on media containing 0 - 1% arabinose inducer, and observed that stronger induction of untagged VapC indeed correlates with smaller colony size; ... We conclude that VapC levels have a titratable effect on growth rate."
In E. coli with intact arabinose import/response systems, sub-saturating levels of arabinose do not generally lower the induction level of the PBAD promoter in each cell; rather, a sub-population of cells becomes induced [PMID: 9223333]. The bulk observation is a reduced expression level, and, in this case, slowed growth, but it seems more likely that the slow growth observed is from the induced cohort dying off as the cultures and colonies develop.
(2) Page 8: "At 6-hours post-induction,..."
Because these experiments were enrichments from initial pools of clones, the number of cell divisions is more informative than the hours of outgrowth or culture densities at harvest. It would be helpful if the authors could indicate, or at least estimate, the number of cell divisions. this could then be included in the results or methods section.
(3) Page 12: "It is possible that these sequences compromise VapC folding and solubility, or mimic inhibitory interactions made by hydrophobic segments of the VapB antitoxin that block VapC activity (43, 59)."
Later in the manuscript, Lon is presented as a minor player in the overall story, but Lon prefers hydrophobic degrons. Could that hydrophobic class be Lon substrates? (Possibly presented as an additional mechanism here or in the discussion of this class of tags.)
(4) Page 13: "Arg in the 2nd position was also associated with proteolysis, yet Arg is virtually absent from proteobacterial ssrA sequences."
The nucleic acid changes required for evolutionary drift from the predominant amino acid codons at this position in proteobacteria to Arg may require moving through several codons that notably impair the performance of the degron. Such a constraint may also be responsible, in part, for the observed conservation.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
I very much enjoyed reading Lingxiu Xu et al.'s paper "Temporally controlled nervous system-to-gut signaling bidirectionally regulates longevity in C. elegans," where they investigate the mechanisms by which motor neurons regulate lifespan in C. elegans worms. In this paper, they first discover that interfering with synaptic release in cholinergic motor neurons affects lifespan. Using mutants and gene knockdowns they show that these effects are due to the neurotransmitter acetylcholine. They show that the effects of these motor neurons on lifespan are opposite, depending on timed genetic interventions promoting synaptic release. If these interventions occur during development, the lifespan is shortened, but if they occur starting on day 7 of adulthood, then lifespan is lengthened. They then show that the transcription factor daf-16 is required for the former effect, while the transcription factor hsf-1 is required for the latter one. In addition, these early and late effects, they find, required the acetylcholine receptors acr-6 and gar-3, respectively, and intestinal expression of these genes rescues the respective phenotypes. Interestingly, tagging the endogenous acr-6 and gar-3 genes with mCherry, they find that the ACR-6 and GAR-3 proteins are expressed in the intestine, ACR-6 during development, and GAR-3 during adulthood. Based on these findings they propose a model where acetylcholine from motor neurons regulates lifespan by modulating different receptors expressed at different times. These receptors, in turn, affect lifespan in opposing ways via different transcription factors.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors presented a data-centric ML approach for virtual ligand screening. They used BRAF as an example to demonstrate the predictive power of their approach.
Strengths:
The performance of predictive models in this study is superior (nearly perfect) with respect to exiting methods.
Weaknesses:
I feel the training and testing datasets may not be rigorously constructed. If that is the case, the results would be significantly affected.
I have 3 major comments:
(1) The authors identified ~4100 BRAF actives, then randomly selected 3600 BRAF actives to be part of the training dataset with the remaining 500 actives becoming a part of the hold-out test set. The problem is that, the authors did not evaluate the chemical similarity between the 3600 actives in the training, and the 500 actives in the testing set. If some of them were similar, the testing results would be very good but partially due to information leakage. The authors should carefully examine the chemical similarity between any pairs of their training and testing datasets, before any conclusion is made.
(2) The authors tried to explore the role of dataset size in the performance, in particular, what would happen when the number of actives are reduced. However the minimal number of actives used is 500 while the number of inactives ranges from 500 to 3600. This is quite different from real applications where the number of expected actives in the screening library would be at most 1-2% of the whole database. The authors should further reduced the number of actives (e.g. 125, 25, 5, 1), and evaluate their model's performance.
(3) The authors chose BRAF as example in this study. BRAF is a well studied drug target with thousands of known actives. In real applications, the target may only have a handful of known actives. The authors should try to apply their approach, to a couple other targets that have less known actives than BRAF, to evaluate their method's transferability.
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
Bloomington Drosophila Stock Center
DOI: 10.1038/s41467-023-42626-3
Resource: Bloomington Drosophila Stock Center (RRID:SCR_006457)
Curator: @maulamb
SciCrunch record: RRID:SCR_006457
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The study presents strong evidence for allosteric activation of plant receptor kinases, which enhances our understanding of the non-catalytic mechanisms employed by this large family of receptors.
Plant receptor kinases (RKs) play a critical role in transducing extracellular signals. The activation of RKs involves homo- or heterodimerization of the RKs, and it is believed that mutual phosphorylation of their intracellular kinase domains initiates downstream signaling. However, this model faces a challenge in cases where the kinase domain exhibits pseudokinase characteristics. In their recent study, Mühlenbeck et al. reveal the non-catalytic activation mechanisms of the EFR-BAK1 complex in plant receptor kinase signaling. Specifically, they aimed to determine that the EFR kinase domain activates BAK1 not through its kinase activity, but rather by utilizing a "conformational toggle" mechanism to enter an active-like state, enabling allosteric trans-activation of BAK1. The study sought to elucidate the structural elements and mutations of EFR that affect this conformational switch, as well as explore the implications for immune signaling in plants. To investigate the activation mechanisms of the EFR-BAK1 complex, the research team employed a combination of mutational analysis, structural studies, and hydrogen-deuterium exchange mass spectrometry (HDX-MS) analysis. For instance, through HDX-MS analysis, Mühlenbeck et al. discovered that the EFR (Y836F) mutation impairs the accessibility of the active-like conformation. On the other hand, they identified the EFR (F761H) mutation as a potent intragenic suppressor capable of stabilizing the active-like conformation, highlighting the pivotal role of allosteric regulation in BAK1 kinase activation. The data obtained from this methodology strengthens their major conclusion. Moreover, the researchers propose that the allosteric activation mechanism may extend beyond the EFR-BAK1 complex, as it may also be partially conserved in the Arabidopsis LRR-RK XIIa kinases. This suggests a broader role for non-catalytic mechanisms in plant RK signaling.
The allosteric activation mechanism was demonstrated for receptor tyrosine kinases (RTKs) many years ago. A similar mechanism has been suggested for the activation of plant RKs, but experimental evidence for this conclusion is lacking. Data in this study represent a significant advancement in our understanding of non-catalytic mechanisms in plant RK signaling. By shedding light on the allosteric regulation of BAK1, the study provides a new paradigm for future research in this area.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors report a new version of the iSuRe-Cre approach, which was originally developed by Rui Benedito's group in Spain (https://doi.org/10.1038/s41467-019-10239-4). Shi et al claim that their approach shows reduced leakiness compared to the iSuRe-Cre line. Shi et al elaborate strongly about the leakiness of iSuRe-Cre mice, although leakiness is rather minor according to the original publication and the senior author of the study wrote in a review a few years ago that there is no leakiness (https://doi.org/10.1016/j.jbc.2021.100509). Furthermore, a new R26-roxCre-tdT mouse line was established after extensive testing, which enables efficient expression of the Cre recombinase after activation of the Dre recombinase.
Strengths:
The authors carefully evaluated the efficiency and leakiness of the new strains and demonstrated the applicability by marking peri-central hepatocytes in an intersectional genetics approach, amongst others. I can only find very few weaknesses in the paper, which represents the result of an enormous effort. Carefully conducted technical studies have considerable value. However, I would have preferred to see a study, which uses the wonderful new tools to address a major biological question, rather than a primarily technical report, which describes the ongoing efforts to further improve Cre and Dre recombinase-mediated recombination.
Weaknesses:
Very high levels of Cre expression may cause toxic effects as previously reported for the hearts of Myh6-Cre mice. Thus, it seems sensible to test for unspecific toxic effects, which may be done by bulk RNA-seq analysis, cell viability, and cell proliferation assays. It should also be analyzed whether the combination of R26-roxCre-tdT with the Tnni3-Dre allele causes cardiac dysfunction, although such dysfunctions should be apparent from potential changes in gene expression.
The R26-GFP or R26-tdT reporters, Alb-roxCre1-tdT, Cdh5-roxCre4-tdT, Alb-roxCre7-GFP, and Cdh5-roxCre10-GFP demonstrate no leakiness without Dre-rox recombination (Figure S1-S2). Is there any leakiness when the inducible DreER allele is introduced but no tamoxifen treatment is applied? This should be documented. The same also applies to loxCre mice.
The enhanced efficiency of loxCre and roxCre systems holds promise for reducing the necessary tamoxifen dosage, potentially reducing toxicity and side effects. In Figure 6, the author demonstrates an enhanced recombination efficiency of loxCre mice, which makes it possible to achieve efficient deletion of Ctnnb1 with a single dose of tamoxifen, whereas a conventional driver (Alb-CreER) requires five dosages. It would be very helpful to include a dose-response curve for determining the minimum dosage required in Alb-CreER; R26-loxCre-tdT; Ctnnb1flox/flox mice for efficient recombination.
In the liver panel of Figure 4F, tdT signals do not seem to colocalize with the VE-cad signals, which is odd. Is there any compelling explanation?
The authors claim that "virtually all tdT+ endothelial cells simultaneously expressed YFP/mCFP" (right panel of Figure 5D). Well, it seems that the abundance of tdT is much lower compared to YFP/mCFP. If the recombination of R26-Confetti was mainly triggered by R26-loxCre-tdT, the expression of tdT and YFP/mCFP should be comparable. This should be clarified.
In several cases, the authors seem to have mixed up "R26-roxCre-tdT" with "R26-loxCre-tdT". There are errors in #251 and #256. Furthermore, in the passage from line #278 to #301. In the lines #297 and #300 it should probably read "Alb-CreER; R26-loxCre-tdT;Ctnnb1flox/flox"" rather than "Alb-CreER;R26-tdT2;Ctnnb1flox/flox".
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript looks at the single-cell spike signatures taken from in vivo cerebellar nuclear neurons from awake mice suffering from 3 distinct diseases and uses a sophisticated classifier model to predict disease based on a number of different parameters about the spiking patterns, rather than just one or two. Single read-outs of spike firing patterns did not show significant differences between all 4 groups meaning that you need to analyze multiple parameters of the spike trains to get this information. The results are really satisfying and intriguing, with some diseases separating very well, and others having more overlap. It also represents a significant advancement for the rigor and creativity used for analyzing cerebellar output spike patterns. I really like this paper, it's a clever idea and has been done very well.
The authors examine multiple distinct forms of different diseases, including different types of ataxia, dystonia, and tremor. While some of the interpretation of this work remains unclear to this reviewer (in particular Fig. 2, with ataxia models), I applaud the rigor, and sharing complex data that is not always straightforward to understand.
Strengths:
The work is technically impressive and the analysis pushes the envelope of how cerebellar dysfunction is classified, which makes it an important paper for the field.<br /> It's well written. The approach it is taking is clever. The analysis is thorough, and the authors examine a wide array of different disease models, which is time-consuming, costly, and very challenging to do. It's a very strong manuscript.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors investigated that learning processes relied on distinct reward or punishment outcomes in probabilistic instrumental learning tasks were involved in functional interactions of two different cortico-cortical gamma-band modulations, suggesting that learning signals like reward or punishment prediction errors can be processed by two dominated interactions, such as areas lOFC-vmPFC and areas aINS-dlPFC, and later on integrated together in support of switching conditions between reward and punishment learning. By performing the well-known analyses of mutual information, interaction information, and transfer entropy, the conclusion was accomplished by identifying directional task information flow between redundancy-dominated and synergy-dominated interactions. Also, this integral concept provided a unifying view to explain how functional distributed reward and/or punishment information were segregated and integrated across cortical areas.
Strengths:
The dataset used in this manuscript may come from previously published works (Gueguen et al., 2021) or from the same grant project due to the methods. Previous works have shown strong evidence about why gamma-band activities and those 4 areas are important. For further analyses, the current manuscript moved the ideas forward to examine how reward/punishment information transfer between recorded areas corresponding to the task conditions. The standard measurements such mutual information, interaction information, and transfer entropy showed time-series activities in the millisecond level and allowed us to learn the directional information flow during a certain window. In addition, the diagram in Figure 6 summarized the results and proposed an integral concept with functional heterogeneities in cortical areas. These findings in this manuscript will support the ideas from human fMRI studies and add a new insight to electrophysiological studies with the non-human primates.
Comments on revised version:
Thank you authors for all efforts to answer questions from previous comments. I appreciated that authors clarified the terminology and added a paragraph to discuss the current limitations of functional connectivity and anatomical connections. This provided clear and fair explanations to readers who are not familiar with methods in systems neuroscience.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
There is a growing body of literature on the clustering of co-active synapses in adult mice, which has important implications for understanding dendritic integration and sensory processing more broadly. However, it has been unclear when this spatial organization of co-active synapses arises during development. In this manuscript, Leighton et al. investigate the emergence of spatially organized, co-active synapses on pyramidal dendrites in the mouse visual cortex before eye opening. They find that some dendrite segments contain highly active synapses that are co-active with their neighbors as early as postnatal day (P) 8-10, and that these domains of co-active synapses increase their coverage of the dendritic arbor by P12-13. Interestingly, Leighton et al. demonstrate that synapses co-active with their neighbors are more likely to increase their activity across a single recording session, compared to synapses that are not co-active with their neighbors, suggesting local plasticity driven by coincident activity before eye opening.
The current manuscript includes some replication of earlier results from the same research group (Winnubst et al., 2015), including the presence of clustered, co-active synapses in the visual cortex of mouse pups, and the finding that synapses co-active with their neighbors show an increase in transmission frequency during a recording session. The main novelty in the current study compared to Winnubst et al. (2015) is the inclusion of younger animals (P8-13 in the current study compared to P10-15 in Winnubst et al., 2015). The current manuscript is the first demonstration that active synapses are clustered on specific dendrite segments as early as P8-10 in the mouse visual cortex, and the first to show the progression in active synapse distribution along the dendrite during the 2nd postnatal week. These results from visual cortex may help inform our understanding of sensory development more broadly.
Strengths:
The authors ask a novel question about the emergence of synaptic spatial organization, and they use well-chosen techniques that directly address their questions despite the challenging nature of these techniques. To capture both structural and functional information from dendrites simultaneously, the authors performed whole-cell voltage clamp to record synaptic currents arriving at the soma while imaging calcium influx at individual synaptic sites on dendrites. The simultaneous voltage clamp and calcium imaging allowed the authors to isolate individual synaptic inputs without their occlusion by widespread calcium influx from back-propagating action potentials. Achieving in vivo dendrite imaging in live mice that are as young as P8 is challenging, and the resulting data provides a unique view of synaptic activity along individual dendrites in the visual cortex at an early stage in development that is otherwise difficult to assess.<br /> The authors provide convincing evidence that synapses are more likely to be co-active with their neighbors compared to synapses located farther away (Fig. 6F-H), and that synapses co-active with their neighbors increase their transmission frequency during a recording session (Fig. 7C). These findings are particularly interesting given that the recordings occur before eye opening, suggesting a relationship between co-activity and local synaptic plasticity even before the onset of detailed visual input. These results replicate previously published findings from P10-15 pups (Winnubst et al., 2015), increasing confidence in the reproducibility of the data.<br /> The authors also provide novel data documenting for the first time spatially organized, co-active synapses in pups as young as P8. Comparing the younger (P8-10) and older (P12-13) pups, provides insight into how clusters of co-active synapses might emerge during development.
Weaknesses:
The P8-10 vs P12-13 age comparisons are the primary novel finding in this manuscript, and it is therefore critical to avoid systematic age differences in the methods and analysis whenever possible. In their rebuttal and revised manuscript the authors have acceptably addressed prior concerns regarding this important point, as well as most of the other methodological issues raised.<br /> One point addressed in the rebuttal, but not corrected in the manuscript relates to the reliable localization of cells to visual cortex.
-
-
-
Reviewer #3 (Public Review):
Summary:
In this article, the authors combine a well-established choice-response time (RT) model (the Linear Ballistic Accumulator) with a CNN model of visual processing to model image-based decisions (referred to as the Visual Accumulator Model - VAM). While this is not the first effort to combine these modeling frameworks, it uses this combination of approaches uniquely. Specifically, the authors attempt to better understand the structure of human information representations by fitting this model to behavioral (choice-RT) data from a classic flanker task. This objective is made possible by using a very large (by psychological modeling standards) industry data set to jointly fit both components of this VAM model to individual-level data. Using this approach, they illustrate (among other results) (1) how the interaction between target and flanker representations influence the presence and strength of congruency effects, (2) how the structure of representations changes (distributed versus more localized) with depth in the CNN model component, and (3) how different model training paradigms change the nature of information representations. This work contributes to the ML literature by demonstrating the value of training models with richer behavioral data. It also contributes to cognitive science by demonstrating how ML approaches can be integrated into cognitive modeling. Finally, it contributes to the literature on conflict modeling by illustrating how information representations may lead to some of the classic effects observed in this area of research.
Strengths:
(1) The data set used for this analysis is unique and is made publicly available as part of this article. Specifically, they have access to data for 75 participants with >25,000 trials per participant. This scale of data/individual is unusual and is the foundation on which this research rests.
(2) This is the first time, to my knowledge, that a model combining a CNN with a choice-RT model has been jointly fit to choice-RT data at the level of individual people. This type of model combination has been used before but in a more restricted context. This joint fitting, and in particular, learning a CNN through the choice-RT modeling framework, allows the authors to probe the structure of human information representations learned directly from behavioral data.
(3) The analysis approaches used in this article are state-of-the-art. The training of these models is straightforward given the data available. The interesting part of this article (opinion of course) is the way in which they probe what CNN has learned once trained. I find their analysis of how distractor and target information interfere with each other particularly compelling as well as their demonstration that training on behavioral data changes the structure of information representations when compared to training models on standard task-optimized data.
Weaknesses:
(1) Just as the data in this article is a major strength, it is also a weakness. This type of modeling would be difficult, if not impossible to do with standard laboratory data. I don't know what the data floor would be, but collecting tens of thousands of decisions for a single person is impractical in most contexts. Thus this type of work may live in the realm of industry. I do want to re-iterate that the data for this study was made publicly available though!
2) While this article uses choice-RT data it doesn't fully leverage the richness of the RT data itself. As the authors point out, this modeling framework, the LBA component in particular, does not account for some of the more nuanced but well-established RT effects in this data. This is not a big concern given the already nice contributions of this article and it leads to an opportunity for ongoing investigation.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Pyruvate kinase M2 (PKM2) is a rate-limiting enzyme in glycolysis and its translocation to the nucleus in astrocytes in various nervous system pathologies has been associated with a metabolic switch to glycolysis which is a sign of reactive astrogliosis. The authors investigated whether this occurs in experimental autoimmune encephalomyelitis (EAA), an animal model of multiple sclerosis (MS). They show that in EAA, PKM2 is ubiquitinated by TRIM21 and transferred to the nucleus in astrocytes. Inhibition of TRIM21-PKM2 axis efficiently blocks reactive gliosis and partially alleviates symptoms of EAA. Authors conclude that this axis can be a potential new therapeutic target in the treatment of MS.
Strengths:
The study is well-designed, controls are appropriate and a comprehensive battery of experiments has been successfully performed. Results of in vitro assays, single-cell RNA sequencing, immunoprecipitation, RNA interference, molecular docking, and in vivo modeling etc. complement and support each other.
Weaknesses:
Though EAA is a valid model of MS, a proposed new therapeutic strategy based on this study needs to have support from human studies.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This is a proposal for a new theory for the geometry of insect eyes. The novel cost-benefit function combines the cost of the optical portion with the photoreceptor portion of the eye. These quantities are put on the same footing using a specific (normalized) volume measure, plus an energy factor for the photoreceptor compartment. An optimal information transmission rate then specifies each parameter and resource allocation ratio for a variable total cost. The elegant treatment allows for comparison across a wide range of species and eye types. Simple eyes are found to be several times more efficient across a range of eye parameters than neural superposition eyes. Some trends in eye parameters can be explained by optimal allocation of resources between the optics and photoreceptors compartments of the eye.
Strengths:
Data from a variety of species roughly align with rough trends in the cost analysis, e.g. as a function of expanding the length of the photoreceptor compartment.
New data could be added to the framework once collected, and many species can be compared.
Eyes of different shapes are compared.
Weaknesses:
Detailed quantitative conclusions are not possible given the approximations and simplifying assumptions in the models and poor accounting for trends in the data across eye types.
-
-
osf.io osf.io
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, Mehrhof and Nord study a large dataset of participants collected online (n=958 after exclusions) who performed a simple effort-based choice task. They report that the level of effort and reward influence choices in a way that is expected from prior work. They then relate choice preferences to neuropsychiatric syndromes and, in a smaller sample (n<200), to people's circadian preferences, i.e., whether they are a morning-preferring or evening-preferring chronotype. They find relationships between the choice bias (a model parameter capturing the likelihood to accept effort-reward challenges, like an intercept) and anhedonia and apathy, as well as chronotype. People with higher anhedonia and apathy and an evening chronotype are less likely to accept challenges (more negative choice bias). People with an evening chronotype are also more reward sensitive and more likely to accept challenges in the evening, compared to the morning.
Strengths:
This is an interesting and well-written manuscript which replicates some known results and introduces a new consideration related to potential chronotype relationships which have not been explored before. It uses a large sample size and includes analyses related to transdiagnostic as well as diagnostic criteria. I have some suggestions for improvements.
Weaknesses:
(1) The novel findings in this manuscript are those pertaining to transdiagnostic and circadian phenotypes. The authors report two separate but "overlapping" effects: individuals high on anhedonia/apathy are less willing to accept offers in the task, and similarly, individuals tested off their chronotype are less willing to accept offers in the task. The authors claim that the latter has implications for studying the former. In other words, because individuals high on anhedonia/apathy predominantly have a late chronotype (but might be tested early in the day), they might accept less offers, which could spuriously look like a link between anhedonia/apathy and choices but might in fact be an effect of the interaction between chronotype and time-of-testing. The authors therefore argue that chronotype needs to be accounted for when studying links between depression and effort tasks.<br /> The authors argue that, if X is associated with Y and Z is associated with Y, X and Z might confound each other. That is possible, but not necessarily true. It would need to be tested explicitly by having X (anhedonia/apathy) and Z (chronotype) in the same regression model. Does the effect of anhedonia/apathy on choices disappear when accounting for chronotype (and time-of-testing)? Similarly, when adding the interaction between anhedonia/apathy, chronotype, and time-of-testing, within the subsample of people tested off their chronotype, is there a residual effect of anhedonia/apathy on choices or not?<br /> If the effect of anhedonia/apathy disappeared (or got weaker) while accounting for chronotype, this result would suggest that chronotype mediates the effect of anhedonia/apathy on effort choices. However, I am not sure it renders the direct effect of anhedonia/apathy on choices entirely spurious. Late chronotype might be a feature (induced by other symptoms) of depression (such as fatigue and insomnia), and the association between anhedonia/apathy and effort choices might be a true and meaningful one. For example, if the effect of anhedonia/apathy on effort choices was mediated by altered connectivity of the dorsal ACC, we would not say that ACC connectivity renders the link between depression and effort choices "spurious", but we would speak of a mechanism that explains this effect. The authors should discuss in a more nuanced way what a significant mediation by the chronotype/time-of-testing congruency means for interpreting effects of depression in computational psychiatry.
(2) It seems that all key results relate to the choice bias in the model (as opposed to reward or effort sensitivity). It would therefore be helpful to understand what fundamental process the choice bias is really capturing in this task. This is not discussed, and the direction of effects is not discussed either, but potentially quite important. It seems that the choice bias captures how many effortful reward challenges are accepted overall which maybe captures general motivation or task engagement. Maybe it is then quite expected that this could be linked with questionnaires measuring general motivation/pleasure/task engagement. Formally, the choice bias is the constant term or intercept in the model for p(accept), but the authors never comment on what its sign means. If I'm not mistaken, people with higher anhedonia but also higher apathy are less likely to accept challenges and thus engage in the task (more negative choice bias). I could not find any discussion or even mention of what these results mean. This similarly pertains to the results on chronotype. In general, "choice bias" may not be the most intuitive term and the authors may want to consider renaming it. Also, given the sign of what the choice bias means could be flipped with a simple sign flip in the model equation (i.e., equating to accepting more vs accepting less offers), it would be helpful to show some basic plots to illustrate the identified differences (e.g., plotting the % accepted for people in the upper and lower tertile for the SHAPS score etc).
(3) None of the key effects relate to effort or reward sensitivity which is somewhat surprising given the previous literature and also means that it is hard to know if choice bias results would be equally found in tasks without any effort component. (The only analysis related to effort sensitivity is exploratory and in a subsample of N=56 per group looking at people meeting criteria for MDD vs matched controls.) Were stimuli constructed such that effort and reward sensitivity could be separated (i.e., are uncorrelated/orthogonal)? Maybe it would be worth looking at the % accepted in the largest or two largest effort value bins in an exploratory analysis. It seems the lowest and 2nd lowest effort level generally lead to accepting the challenge pretty much all the time, so including those effort levels might not be sensitive to individual difference analyses?
(4) The abstract and discussion seem overstated (implications for the school system and statements on circadian rhythms which were not measured here). They should be toned down to reflect conclusions supported by the data.
Tags
Annotators
URL
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors provide compelling evidence for the causal role of the subthalamic nucleus (STN) in perceptual decision-making. By recording from a large number of STN neurons and using microstimulation, they demonstrate the STN's involvement in setting decision bounds, scaling evidence accumulation, and modulating non-decision time.
Strengths:
The study tested three hypotheses about the STN's function and identified distinct STN subpopulations whose activity patterns support predictions from previous computational models. The experiments are well-designed, the analyses are rigorous, and the results significantly advance our understanding of the STN's multi-faceted role in decision formation.
Weaknesses:
While the study provides valuable insights into the STN's role in decision-making, there are a few areas that could be improved. First, the interpretation of the neural subpopulations' activity patterns in relation to the computational models should be clarified, as the observed patterns may not directly correspond to the specific signals predicted by the models. Second, the authors could consider using a supervised learning method to more explicitly model the pattern correlations between the three profiles. Third, a neural population model could be employed to better understand how the STN population jointly contributes to decision-making dynamics. Finally, the added value of the microstimulation experiments should be more directly addressed in the Results section, as the changes in firing patterns compared to the original patterns are not clearly evident.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Understanding the central neural circuits regulating body temperature is critical for improving health outcomes in many disease conditions and in combating heat stress in an ever-warming environment. The authors present important and detailed new data that characterizes a specific population of POA neurons with a relationship to thermoregulation. The new insights provided in this manuscript are exactly what is needed to assemble a neural network model of the central thermoregulatory circuitry that will contribute significantly to our understanding of regulating the critical homeostatic variable of body temperature. These experiments were conducted with the expertise of an investigator with career-long experience in intracellular recordings from POA neurons. They were interpreted conservatively in the appropriate context of current literature.
The Introduction begins with "Homeotherms, including mammals, maintain core body temperature (CBT) within a narrow range", but this ignores the frequent hypothermic episodes of torpor that mice undergo triggered by cold exposure. Although the author does mention torpor briefly in the Discussion, since these experiments were carried out exclusively in mice, greater consideration (albeit speculative) of the potential for a role of MPO Nts neurons in torpor initiation or recovery is warranted. This is especially the case since some 'torpor neurons' have been characterized as PACAP-expressing and a population of PACAP neurons represent the target of MPO Nts neurons.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, Yip and colleagues incorporated the pipette cleaning technique into their existing dual-patch robotic system, "the PatcherBot", to allow sequential patching of more cells for synaptic connection detection in living brain slices. During dual-patching, instead of retracting all two electrodes after each recording attempt, the system cleaned just one of the electrodes and reused it to obtain another recording while maintaining the other. With one new patch clamp recording attempt, new connections can be probed. By placing one pipette in front of the other in this way, one can "walk" across the tissue, termed "patch-walking." This application could allow for probing additional neurons to test the connectivity using the same pipette in the same preparation.
Strengths:
Compared to regular dual-patch recordings, this new approach could allow for probing more possible connections in brain slices with dual-patch recordings, thus having the potential to improve the efficiency of identifying synaptic connections
Weaknesses:
While this new approach offers the potential to increase efficiency, it has several limitations that could curtail its widespread use.
Loss of Morphological Information: Unlike traditional multi-patch recording, this approach likely loses all detailed morphology of each recorded neuron. This loss is significant because morphology can be crucial for cell type verification and understanding connectivity patterns by morphological cell type.
Spatial Restrictions: The robotic system appears primarily suited to probing connections between neurons with greater spatial separation (~100µm ISD). This means it may not reliably detect connections between neurons in close proximity, a potential drawback given that the connectivity is much higher between spatially close neurons. This limitation could help explain the low connectivity rate (5%) reported in the study.
Limited Applicability: While the approach might be valuable in specific research contexts, its overall applicability seems limited. It's important to consider scenarios where the trade-off between efficiency and specific questions that are asked.
Scalability Challenges: Scaling this method beyond a two-pipette setup may be difficult. Additional pipettes would introduce significant technical and logistical complexities.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors set out to devise a system for the neural and behavioral study of socially cooperative behaviors in nonhuman primates (common marmosets). They describe instrumentation to allow for a "cooperative pulling" paradigm, the training process, and how both behavioral and neural data can be collected and analyzed. This is a valuable approach to an important topic, as the marmoset stands as a great platform to study primate social cognition. Given that the goals of such a methods paper are to (a) describe the approach and instrumentation, (b) show the feasibility of use, and (c) quantitatively compare to related approaches, the work is easily able to meet those criteria. My specific feedback on both strengths and weaknesses is therefore relatively limited in scope and depth.
Strengths:
The device is well-described, and the authors should be commended for their efforts in both designing this system but also in "writing it up" so that others can benefit from their R&D.
The device appears to generate more repetitions of key behavior than other approaches used in prior work (with other species).
The device allows for quantitative control and adjustment to control behavior.
The approach also supports the integration of markerless behavioral analysis as well as neurophysiological data.
Weaknesses:
A few ambiguities in the descriptions are flagged below in the "Recommendations for authors".
The system is well-suited to marmosets, but it is less clear whether it could be generalized for use in other species (in which similar behaviors have been studied with far less elegant approaches). If the system could impact work in other species, the scope of impact would be significantly increased, and would also allow for more direct cross-species comparisons. Regardless, the future work that this system will allow in the marmoset will itself be novel, unique, and likely to support major insights into primate social cognition.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, Koh, Stratiievska, and their colleagues investigate the mechanism by which TRPV1 channels are delivered to the plasma membrane following the activation of receptor tyrosine kinases, specifically focusing on the NGF receptor. They demonstrate that the activation of the NGF receptor's PI3K pathway alone is sufficient to increase the levels of TRPV1 at the plasma membrane.
Strengths:
The authors employ cutting-edge optogenetic, imaging, and chemical-biology techniques to achieve their research goals. They ingeniously use optogenetics to selectively activate the PI3K pathway without affecting other NGF pathways. Additionally, they develop a novel, membrane-impermeable fluorescent probe for labeling cell-surface proteins through click-chemistry.
Comment on revised version:
We commend the authors on the significant improvements made to the manuscript. They have adequately addressed our comments. Notably, the new control experiments shown in Figure 4E and Figure 5 Fig. Supp 1 convincingly demonstrate the specificity of the NGF and 650 nm light stimuli, respectively. The addition of quantitative analyses strengthens the findings significantly. Furthermore, the manuscript is now presented in a much linear manner, enhancing its clarity and impact.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript of Nick and colleagues addresses the intriguing question of how brain connectivity evolves during reward-based motor learning. The concept of quantifying connectivity through changes in extraction and contraction across lower-dimensional manifolds is both novel and interesting and the presented results are clear and well-presented. Overall, the manuscript is a valuable addition to the field.
Strengths:
This manuscript is written in a clear and comprehensible way. It introduces a rather novel technique of assessing connectivity across lower-dimensional manifold which has hitherto not been applied in this way to the question of reward-based motor learning. Thus, this presents a unique viewpoint on understanding how the brain changes with motor learning. I particularly enjoyed the combination of connectivity-based, followed by further scrutiny of seed-based connectivity analyses, thus providing a more comprehensive viewpoint. Now it also has added a more comprehensive report on the behavioural changes of learning, and the added statistical quantification, which is useful.
Weaknesses:
The main weakness of the manuscript is the lack of direct connection between the reported neural changes and behavioural learning. Namely, most of the results could also be explained by changes in attention allocation during the session, or changes in movement speed (independent of learning). The authors acknowledge some of these potential confounds and argue that factors like attention are important for learning. While this is true, it is nonetheless very limiting if one cannot ascertain whether the observed effects are due to attention (independent of learning) or attention allocated in the pursuit of learning. The only direct analysis linking behavioural changes to neural changes is based on individual differences in learning performance, where the DAN-A shows the opposite trend than group level effects, which they interpret as differences given the used higher-resolution parcellation. However, it could be that these learning effects are indeed much smaller and subtler compared to more dominant group-level attention effects during the task. The lack of a control condition in the task limits the interpretability of results as learning-related.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript of Nick and colleagues addresses the intriguing question of how brain connectivity evolves during reward-based motor learning. The concept of quantifying connectivity through changes in extraction and contraction across lower-dimensional manifolds is both novel and interesting and the presented results are clear and well-presented. Overall, the manuscript is a valuable addition to the field. The evidence supporting the presented findings is strong, though at times lacking rigorous statistical quantification. Nevertheless, there are several issues that require attention and clarification.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Drosophila melanogaster of North America overwinters in a state of reproductive diapause. The authors aimed to measure 'successful' D. melanogaster reproductive diapause and reveal loci that impact this quantitative trait. In practice, the authors quantified the number of eggs produced by a female after she exited 35 days of diapause. The authors claim that genes involved with olfaction in part contribute to some of the variation in this trait.
Strengths:
The work used the power platform of the fly DRGP/GWAS. The work tried to verify some of the candidate loci with targeted gene manipulations.
Weaknesses:
Some context is needed. Previous work from 2001 established that D. melanogaster reproductive diapause in the laboratory suspends adult aging but reduces post-diapause fecundity. The work from 2001 showed the extent fecundity is reduced is proportional to diapause duration. As well, the 2001 data showed short diapause periods used in the current submission reduce fecundity only in the first days following diapause termination; after this time fecundity is greater in the post-diapause females than in the non-diapause controls.
In this context, the submission fails to offer a meaningful concept for what constitutes 'successful diapause'. There is no biological rationale or relationship to the known patterns of post-diapause fecundity. The phenotype is biologically ambiguous.
I have a serious concern about the antenna-removal design. These flies were placed on cool/short days two weeks after surgery. Adults at this time will not enter diapause, which must be induced soon after eclosion. Two-week-old adults will respond to cool temperatures by 'slowing down', but they will continue to age on a time scale of day-degrees. This is why the control group shows age-dependent mortality, which would not be seen in truly diapaused adults. Loss of antennae increases the age-dependent mortality of these cold adults, but this result does not reflect an impact on diapause.
• Appraisal of whether the authors achieved their aims, and whether the results support their conclusions.
The work falls well short of its aim because the concept of 'successful diapause' is not biologically established. The paper studies post-diapause fecundity, and we don't know what that means. The loci identified in this analysis segregate for a minimally constructed phenotype. The results and conclusions are orthogonal.
• The likely impact of the work on the field, and the utility of the methods and data to the community.
The work will have little likely impact. Its phenotype and operational methods are weakly developed. It lacks insight based on the primary literature on post-diapause. The community of insect diapause investigators are not likely to use the data or conclusions to understand beneficial or pest insects, or the impact of a changing climate on how they over-winter.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The role of neural variability in various cognitive functions is one of the focal contentions in systems and computational neuroscience. In this study, the authors used a large-scale cohort dataset to investigate the relationship between neural variability measured by fMRI and several factors, including stimulus complexity, GABA levels, aging, and visual performance. Such investigations are valuable because neural variability, as an important topic, is by far mostly studied within animal neurophysiology. There is little evidence in humans. Also, the conclusions are built on a large-scale cohort dataset that includes multi-model data. Such a dataset per se is a big advantage. Pharmacological manipulations and MRS acquisitions are rare in this line of research. Overall, I think this study is well-designed, and the manuscript reads well. I listed my comments below and hope my suggestions can further improve the paper.
Strength:<br /> (1) The study design is astonishingly rich. The authors used task-based fMRI, MRS technique, population contrast (aging vs. control), and psychophysical testing. I appreciate the motivation and efforts for collecting such a rich dataset.<br /> (2) The MRS part is good. I am not an expert in MRS so cannot comment on MRS data acquisition and analyses. But I think linking neural variability to GABA in humans is in general a good idea. There has been a long interest in the cause of neural variability, and inhibition of local neural circuits has been hypothesized as one of the key factors.<br /> (3) The pharmacological manipulation is particularly interesting as it provides at least evidence for the causal effects of GABA and deltaSDBOLD. I think this is quite novel.
Weakness:<br /> (1) I am concerned about the definition of neural variability. In electrophysiological studies, neural variability can be defined as Poisson-like spike count variability. In the fMRI world, however, there is no consensus on what neural variability is. There are at least three definitions. One is the variability (e.g., std) of the voxel response time series as used here and in the resting fMRI world. The second is to regress out the stimulus-evoked activation and only calculate the std of residuals (e.g., background variability). The third is to calculate variability of trial-by-trial variability of beta estimates of general linear modeling. It currently remains unclear the relations between these three types of variability with other factors. It also remains unclear the links between neuronal variability and voxel variability. I don't think the computational principles discovered in neuronal variability also apply to voxel responses. I hope the authors can acknowledge their differences and discuss their differences.<br /> (2) If I understand it correctly, the positive relationship between stimulus complexity and voxel variability has been found in the author's previous work. Thus, the claims in the abstract in lines 14-15, and section 1 in results are exaggerated. The results simply replicate the findings in the previous work. This should be clearly stated.<br /> (3) It is difficult for me to comprehend the U-shaped account of baseline GABA and shift in deltaSDBOLD. If deltaSDBOLD per se is good, as evidenced by the positive relationship between brainscore and visual sensitivity as shown in Fig. 5b and the discussion in lines 432-440, why the brain should decrease deltaSDBOLD ?? or did I miss something? I understand that "average is good, outliers are bad". But a more detailed theory is needed to account for such effects.<br /> (4) Related to the 3rd question, can you should the relationship between the shift of deltaSDBOLD (i.e., the delta of deltaSDBOLD) and visual performance?<br /> (5) Are the dataset openly available ?? I didn't find the data availability statement.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This is an interesting and carefully carried out theoretical analysis of potential explanations for hexadirectional modulation of neural population activity that has been reported in the human entorhinal cortex and some other cortical regions. The previously reported hexadirectional modulation is of considerable interest as it has been proposed to be a proxy for the activation of grid cell networks. However, the extent to which this proposal is consistent with the known firing properties of grids hasn't received the attention it perhaps deserves. By comparing the predictions of three different models this study imposes constraints on possible mechanisms and generates predictions that can be tested through future experimentation.
Overall, while the conclusions of the study are convincing, I think the usefulness to the field would be increased if null hypotheses were more carefully considered and if the authors' new metric for hexadirectional modulation (H) could be directly contrasted with previously used metrics. For example, if the effect sizes for hexadirectional modulation in the previous fMRI and EEG data could be more directly compared with those of the models here, then this could help in establishing the extent to which the experimental hexadirectional modulation stands out from path hexasymmetry and how close it comes to the striking modulation observed with the conjunctive models. It could also be helpful to consider scenarios in which hexadirectional modulation is independent of grid firing, for example perhaps with appropriate coordination of head direction cell firing.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this manuscript, Notartomaso, Antenucci et al. use two different light-sensitive metabotropic glutamate receptor negative allosteric modulators (NAMs) to determine how mGlu5 receptor signaling in distinct brain regions of mice influences mechanical sensitivity in chronic constriction injury (CCI) model of neuropathic pain. This is an extension of their previous work using photocaged mGlu5 negative allosteric modulators and incorporates a systemically active NAM that can be locally photoswitched off and on with violet and green light, respectively. The authors found that NAM signaling in the thalamus and prefrontal cortical regions consistently reduced mechanical hypersensitivity. However, they observed divergent effects on these measures in the basolateral amygdala. The authors attempted to solve the discrepancy in behavioral measurements between mGlu5 signaling in the basolateral amygdala by determining how NAMs modulate synaptic transmission or in vivo firing and found that these effects were projection-dependent.
Strengths:
This study demonstrates the importance of local signaling by mGlu5 receptors across multiple pain-processing circuits in the brain, and the use of optical activation and inactivation strategies is very intriguing.
Weaknesses:
One major limitation is the lack of sham surgery groups and vehicle/light-only controls in behavior and physiology experiments, though the authors did test mechanical sensitivity in the contralateral paw. The reliance on a single behavioral measure in these groups is also problematic. Many of these brain regions are known to influence distinct aspects of somatosensory processing or other behaviors entirely, which may be interpreted as hypersensitivity (e.g. fear or anxiety-like behaviors in the basolateral amygdala). Details on the light intensities used is also absent, and it is important to test whether violet light had any unintended effects on these cells/mice.
While the effort to provide some mechanistic understanding using slice physiology and in vivo recordings is appreciated, they ignore any effects that these NAMs have directly on the excitability of the recorded output neuron. In the models, mGlu5 is proposed to exist on some upstream inhibitory (mPFC) or excitatory (BLA) projection, but no evidence of a direct effect on these synaptic inputs was observed. Given the widespread distribution of mGlu5 in these brain regions, the proposed model seems unlikely. Perhaps CCI induces changes in functional coupling of mGlu5 in different cell types, and this could be revealed with appropriate control experiments.
Overall the broad profiling taken here across multiple brain regions lacks controls and some cohesion, making it challenging to conclude how mGlu5 signaling is acutely impacting these circuits and/or specific cell types.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The authors of this study aimed to enhance the prognostic assessment of endometrial cancer (EC) by identifying and validating a set of serum tumor markers (CA125, CEA, and AFP) that could reliably predict progression-free survival (PFS) and overall survival (OS) in patients. By employing a robust methodology that included the use of LASSO Cox regression analysis to construct a predictive model, the study sought to provide a more nuanced tool for clinical decision-making in the management of EC.
Major Strengths:
Methodological Rigor: The study's use of advanced statistical methods to analyze a large dataset of EC patients stands out. The inclusion of a validation cohort enhances the credibility of the prognostic model developed.<br /> Clinical Relevance: The identification of CA125, CEA, and AFP as independent prognostic factors and the creation of a risk score based on these markers offer valuable tools for clinicians. The predictive accuracy of this model could significantly impact patient management and treatment planning.<br /> Weaknesses:
Generalizability: The study is based on a cohort from a single institution, which may limit the applicability of the findings across different populations and healthcare settings.<br /> Loss to Follow-Up: As acknowledged by the authors, the loss to follow-up of some patients introduces a potential source of bias, possibly affecting the study's conclusions.<br /> Achievement of Aims and Support for Conclusions:
The study successfully achieves its aim of developing a prognostic model for EC that integrates serum levels of CA125, CEA, and AFP. The evidence presented supports the authors' conclusions that this model is a robust tool for predicting patient outcomes, evidenced by its performance in both the training and validation cohorts.
Impact and Utility:
This work is poised to make a significant contribution to the field of gynecological oncology, particularly in the management of endometrial cancer. The study's findings provide a practical approach to stratifying patients based on their risk, which could be instrumental in tailoring individualized treatment plans. Moreover, the model's ability to predict PFS and OS with considerable accuracy offers a promising avenue for further research and application in clinical settings.
Additional Context:
Understanding the role of tumor markers in cancer prognosis is a rapidly evolving area of oncology research. This study's focus on combining multiple serum markers into a comprehensive risk score model represents a significant step forward in the quest for more personalized cancer care. Future studies could expand on this work by exploring the integration of such markers with other clinical and molecular data to further refine prognostic models.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this study, Roumelioti et al demonstrate the role of miR-221/222 in synovial fibroblasts (SFs) in inflammatory arthritis, applying a plethora of methods in three transgenic mouse models (huTNFtg, TgColVI-miR-221/222, huTNFtg;TgColVI-miR-221/222). miR-221/222 is upregulated in SFs, upon stimulation with TNF, both in early and established disease, while its gene is activated, as shown by scATAC-seq data. Using RNA sequencing and KEGG pathway analysis, authors showed that overexpression of miR-221 and miR-222 exacerbates arthritis, mainly due to SFs proliferation, driven by cell cycling inhibition and extracellular matrix remodeling. Although the authors suggest the potential utility of miR-221/222 targeting in inflammatory arthritis treatment, this was only examined through miR-221/222 -/- mice generation and not by direct silencing of miR-221/222 by administering a miR-221/222 antagonist.
-
-
-
Reviewer #3 (Public Review):
The main goal of this study was to test how and why the intake of two important macronutrients ‒protein and carbon‒ often changes with ontogeny and body size. To do this, authors examined protein and carbon intake in a locusts lab population, across each instar and adult stages. Then, authors examined how the optimal balance of carbon and protein intake in a wild locusts population corresponded to that observed in the laboratory population. Results of these experiments showed that with ontogenic growth, locust decreased protein while increasing carbohydrate intake. Authors concluded that such decrease in the protein: carbohydrate intake may result from reductions in specific growth rates (growth within each instar). The protein: carbohydrate intake in the lab population appeared to be consistent with that observed in a wild locust population. Finally, authors combined their data with that from the literature to examine how protein intake scales with body mass throughout development, within and across different species.
Strengths:<br /> To determine how locusts balance protein: carbohydrate intake, authors applied the Geometric Framework (GF) of nutrition, which is a powerful approach for studying effects of nutrition and understanding the rules of compromise associated with balancing dietary unbalances.
Captivity can change behavior and physiology of most organisms, making it difficult to establish the relevance of laboratory experiments to what happens in the real world. A strength of this paper is that it compares behavior/physiology of lab vs. wild locusts. Finally, this study takes a step further by proposing a new scaling rule based on this study's results and data from the literature on various species.
Weaknesses:<br /> Although the paper has strengths, there seems to be several methodological issues that obscure the interpretation/conclusions presented in the manuscript.<br /> It appears that authors are not actually estimating "Intake Targets", as stated throughout the manuscript. According to the geometric framework, the intake target (IT) is estimated as the point in the nutritional landscape under which performance/fitness is optimized. The geometric framework also predicts that animals can reach their intake targets by feeding selectivity when given a choice of diets that differ in nutrient amounts, which is what authors did here. However, because the relationship between fitness/performance with diet was not established, in the choice experiments authors seem to be assuming (but not testing) that locusts are reaching their intake target.
You estimated a mass-specific protein intake for each instar. It is not clear why mass-specific intake and not just intake of protein was used for analysis. While mass (or size) of an individual may influence food consumption, it seems like authors calculated mass-specific consumption using each instar's final mass, which would make mass a result of protein consumption (and not the opposite). Importantly, the comparison between mass-specific protein consumption and specific growth rate may be problematic, as both variables seem to be estimated using final mass.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript by Marshall et al. investigates the role mGluR5 in modulating the coactivity of d1 spiny projection neurons (dSPN) in the dorsolateral striatum through calcium imaging and pharmacological i.p. injections or targeted deletion of mGluR5 in dSPNs. They show a bidirectional modulation by negative and positive allosteric modulators respectively (mainly at rest) on dSPN coactivity, the increase in coactivity by the negative modulator showed qualitative similar effects on coactivity as the deletion of mGluR5 in dSPNs.
Strengths:
Overall the study is well written and easy to read, with the data supporting (most of the time) the conclusion. It brings a new perspective on the role of mGluR5 in the modulation of dSPNs coactivity and its correlation with movement.
Weaknesses:
Some of the experiments would strengthen the solidness of the study providing further information and verifying the claims of the main text with the statistics on the figure legends.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The development of an automated Barnes maze allows for more naturalistic and uninterrupted behavior, facilitating the study of spatial learning and memory, as well as the analysis of the brain's neural networks during behavior when combined with neurophysiological techniques. The system's design has been thoughtfully considered, encompassing numerous intricate details. These details include the incorporation of flexible options for selecting start, goal, and proximal landmark positions, the inclusion of a rotating platform to prevent the accumulation of olfactory cues, and careful attention given to atomization, taking into account specific considerations such as the rotation of the maze without causing wire shortage or breakage. When combined with neurophysiological manipulations or recordings, the system provides a powerful tool for studying spatial navigation system.
The behavioral experiment protocols, along with the analysis of animal behavior, are conducted with care, and the development of behavioral modeling to capture the animal's search strategy is thoughtfully executed. It is intriguing to observe how the integration of these innovative stochastic models can elucidate the evolution of mice's search strategy within a variant of the Barnes maze.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The goal of the current manuscript is to investigate how changes in transporter substrate specificity emerge in response to a novel selective pressure. The authors investigate the APC family of amino acid transporters, a large family with many related transporters that together cover the spectrum of amino acid uptake in yeast.
The authors use a clever approach for their experimental evolutions. By deleting 10 amino acid uptake transporters in yeast, they develop a strain that relies on amino acid import by introduced APC transporters under nitrogen limiting conditions. They can thus evolve transporters towards transport of new substrates if no other nitrogen source is available. The main takeaway from the paper is that it is relatively easy for the spectrum of substrates in a particular transporter of this family to shift, as a number of single mutants are identified that modulate substrate specificity. In general, transporters evolved towards gain-of-function mutations (better or new activities) also confer transport promiscuity, expanding the range of amino acids transported.
The data in the paper support the conclusions, and the outcomes (evolution towards promiscuity) agree with the literature available for soluble enzymes. The authors do a good job in the discussion of relating the lessons of the current study to natural evolution.
-
-
-
Reviewer #3 (Public Review):
Summary:
Liu et al. focus on a mathematical method to quantify active hematopoietic precursors in mice using Confetti reporter mice combined with Cre-lox technology. The paper explores the hematopoietic dynamics in various scenarios, including homeostasis, myeloablation with 5-fluorouracil, Fanconi anemia (FA), and post-transplant environments. The key findings and strengths of the paper include (1) precursor quantification: The study develops a method based on the binomial distribution of fluorescent protein expression to estimate precursor numbers. This method is validated across a wide dynamic range, proving more reliable than previous approaches that suffered from limited range and high variance outside this range; (2) dynamic response analysis: The paper examines how hematopoietic precursors respond to myeloablation and transplantation; (3) application in disease models: The method is applied to the FA mouse model, revealing that these mice maintain normal precursor numbers under steady-state conditions and post-transplantation, which challenges some assumptions about FA pathology. Despite the normal precursor count, a diminished repopulation capability suggests other factors at play, possibly related to cell proliferation or other cellular dysfunctions. In addition, the FA mouse model showed a reduction in active lymphoid precursors post-transplantation, contributing to decreased repopulation capacity as the mice aged. The authors are aware of the limitation of the assumption of uniform expansion. The paper assumes a uniform expansion from active precursor to progenies for quantifying precursor numbers. This assumption may not hold in all biological scenarios, especially in disease states where hematopoietic dynamics can be significantly altered. If non-uniformity is high, this could affect the accuracy of the quantification. Overall, the study underscores the importance of precise quantification of hematopoietic precursors in understanding both normal and pathological states in hematopoiesis, presenting a robust tool that could significantly enhance research in hematopoietic disorders and therapy development. The following concerns should be addressed.
Major Points:
• The authors have shown a wide range of seeded cells (1 to 1e5) (Figure 1D) that follow the linear binomial rule. As the standard deviation converges eventually with more seeded cells, the authors need to address this limitation by seeding the number of cells at which the assumption fails.<br /> • Line 276: This suggests myelopoiesis is preferred when very few precursors are available after irradiation-mediated injury. Did the authors see more myeloid progenitors at 1 month post-transplantation with low precursor number? The authors need to show this data in a supplement.
Minor Points:
• Please cite a reference for line 40: a rare case where a single HSPC clone supports hematopoiesis.<br /> • Line 262-263: "This discrepancy may reflect uneven seeding of precursors to the BM throughout the body after transplantation and the fact that we only sampled a part of the BM (femur, tibia, and pelvis)." Consider citing this paper (https://doi.org/10.1016/j.cell.2023.09.019) that explores the HSPCs migration across different bones.<br /> • Lines 299 and 304. Misspellings of RFP.<br /> • The title is misleading as the paper's main focus is the precursor number estimator using the binomial nature of fluorescent tagging. Using a single-copy cassette of Confetti mice cannot be used to measure clonality.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript presents a series of experiments aimed at investigating orientation to polarized lunar skylight in a nocturnal ant, the first report of its kind that I am aware of.
Strengths:
The study was conducted carefully and is clearly explained here.
Weaknesses:
I have only a few comments and suggestions, that I hope will make the manuscript clearer and easier to understand.
Time compensation or periodic snapshots
In the introduction, the authors compare their discovery with that in dung beetles, which have only been observed to use lunar skylight to hold their course, not to travel to a specific location as the ants must. It is not entirely clear from the discussion whether the authors are suggesting that the ants navigate home by using a time-compensated lunar compass, or that they update their polarization compass with reference to other cues as the pattern of lunar skylight gradually shifts over the course of the night - though in the discussion they appear to lean towards the latter without addressing the former. Any clues in this direction might help us understand how ants adapted to navigate using solar skylight polarization might adapt use to lunar skylight polarization and account for its different schedule. I would guess that the waxing and waning moon data can be interpreted to this effect.
Effects of moon fullness and phase on precision
As well as the noted effect on shift magnitudes, the distributions of exit headings and reorientations also appear to differ in their precision (i.e., mean vector length) across moon phases, with somewhat shorter vectors for smaller fractions of the moon illuminated. Although these distributions are a composite of the two distributions of angles subtracted from one another to obtain these turn angles, the precision of the resulting distribution should be proportional to the original distributions. It would be interesting to know whether these differences result from poorer overall orientation precision, or more variability in reorientation, on quarter moon and crescent moon nights, and to what extent this might be attributed to sky brightness or degree of polarization.
N.B. The Watson-Williams tests for difference in mean angle are also sensitive to differences in sample variance. This can be ruled out with another variety of the test, also proposed by Watson and Williams, to check for unequal variances, for which the F statistic is = (n2-1)*(n1-R1) / (n1-1)*(n2-R2) or its inverse, whichever is >1.
-
-
-
Reviewer #3 (Public Review):
Summary:
This study aims to demonstrate that cortical feedback is not necessary to signal behavioral outcome to shell neurons of the inferior colliculus during a sound detection task. The demonstration is achieved in a very clear manner by the observation of the activity of cortico-recepient neurons in animals which have received lesions of the auditory cortex. The experiment shows that neither behavior performance nor neuronal responses are significantly impacted by cortical lesions except for the case of partial lesions which seem to have a disruptive effect on behavioral outcome signaling.
Strengths:
The demonstration of the main conclusions is based on state-of-the-art, carefully controlled methods and is highly convincing. There is an in depth discussion of the different effects of auditory cortical lesions on sound detection behavior.
Weaknesses:
The description of feedback signals could be more detailed although it is difficult to achieve good temporal resolution with the calcium imaging technique necessary for targeting cortico-recipient neurons.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Ribbon synapses are complex molecular assemblies responsible for synaptic vesicle trafficking in sensory cells of the eye and the inner ear. The Ca2+-dependent exocytosis occurs at the active zone (AZ), however, the molecular mechanisms orchestrating the structure and function of the AZs of ribbon synapses are not well understood. To advance in the understanding of those mechanisms, the authors present a novel and interesting experimental strategy pursuing the reconstitution of a minimal active zone of a ribbon synapse within a synapse-naïve cell line: HEK293 cells. The authors have used stably transfected HEK293 cells that express voltage-gated Ca2+ channels subunits (constitutive -CaV beta3 and CaV alpha2 beta1- and inducible CaV1.3 alpha1). They have expressed in those cells several proteins of the ribbon synapse active zone: (1) RIBEYE, (2) a modified version of Bassoon that binds to the plasma membrane through artificial palmitoylation (Palm-Bassoon) and (3) RIM-binding protein 2 (RBP2) to induce the formation of a minimal active zone that they called SyRibbons. The formation of such structures is convincing, however, the evidence of such structures having an impact enhancing Ca2+-currents, as the authors claim, is rather weak in the present version of the study.
Strengths of the study:
(1) The study is carefully carried out using a remarkable combination of (1) superresolution microscopy, to analyze the formation and subcellular distribution of molecular assemblies and (2) functional assessment of voltage-gated Ca2+ channels using patch-clamp recording of Ca2+-currents and fluorometry to correlate Ca2+ influx with the molecular assemblies formed by AZ proteins. The results are of high quality and are in general accompanied of required control experiments.<br /> (2) The method opens new opportunities to further investigate the minimal and basic properties of AZ proteins that are difficult to study using in vivo systems. The cells that operate through ribbon synapses (e.g. photoreceptors and hair cells) are particularly difficult to manipulate, so setting up and validating the use of a heterologous system more suitable for molecular manipulations is highly valuable.<br /> (3) The structures formed by RIBEYE and Palm-Bassoon in HEK293 cells identified by STED nanoscopy are strikingly similar to the AZs of ribbon synapses found in rat inner hair cells (Figure 2).
Weaknesses of the study:
(1) The results obtained in a heterologous system (HEK293 cells) need to be interpreted with caution. They will importantly speed the generation of models and hypothesis that will, however, require in vivo validation.<br /> (2) The authors analyzed the distribution of RIBEYE clusters in different membrane compartments and correctly conclude that RIBEYE clusters are not trapped in any of those compartments, but it is soluble instead. The authors, however, did not carry out a similar analysis for Palm-Bassoon. It is therefore unknown if Palm-Bassoon binds to other membrane compartments besides the plasma membrane. That could occur because in non-neuronal cells GAP43 has been described to be in internal membrane compartments. This should be investigated to document the existence of ectopic internal Synribbons beyond the plasma membrane because it might have implications for interpreting functional data in case Ca2+-channels become part of those internal Synribbons.<br /> (3) The co-expression of RBP2 and Palm-Bassoon induces a rather minor but significant increase in Ca2+-currents (Figure 5). Such an increase does not occur upon expression of (1) Palm-Bassoon alone, (2) RBP2 alone or (3) RIBEYE alone (Figure 5). Intriguingly, the concomitant expression of Palm-Bassoon, RBP2 and RIBEYE does not translate into an increase of Ca2+-currents either (Figure 7).<br /> (4) The authors claim that Ca2+-imaging reveals increased CA2+-signal intensity at synthetic ribbon-type AZs. That claim is a subject of concern because the increase is rather small and it does not correlate with an increase in Ca2+-currents.
-
-
link.springer.com link.springer.com
-
www.wistar.org)
DOI: 10.1007/978-3-030-19898-5_1
Resource: SCR_012840
Curator: @bandrow
SciCrunch record: RRID:SCR_012840
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors address a very important issue of going beyond a single-copy model obtained by the two principal experimental methods of structural biology, macromolecular crystallography and cryo electron microscopy (cryo-EM). Such multiconformer model is based on the fact that experimental data from both these methods represent a space- and time-average of a huge number of the molecules in a sample, or even in several samples, and that the respective distributions can be multimodal. Differently from structure prediction methods, this approach is strongly based on accurate high-resolution experimental information and requires validated single-copy high-quality models as input. In overall, the results support the authors' conclusions.
In fact, the method addresses two problems which could be considered separately:
- an automation of construction of multiple conformations when they can be identified visually;<br /> - a determination of multiple conformations when their visual identification is difficult or impossible.
The former is a known problem, when missing alternative conformations may cost a few percent in R-factors. While these conformations are relatively easy to detect and build manually, the current procedure may save significant time being quite efficient, as the test results show. It is an indisputably useful tool for such a goal. The second problem is important from the physical point of view and has been considered first thirty years ago by Burling & Brünger. The manuscript does not specify clearly how much the current tool addresses the second case. To model such maps, the authors introduced errors in structure factors, however, being independent, as in this work, such errors, even quite high, may leave the maps reasonably well interpretable. Obviously, it is impossible to model all kinds of errors and this modeling of noise is appreciated but it would helpful for understanding if the manuscript shows, for example, the worst map when the procedure was successful.
The new procedure deals with a second-order variation in the R-factors, of about 1% or less, like placing riding hydrogen atoms, modeling density deformation or variation of the bulk solvent. In such situations, it is hard to justify model improvement. Keeping Rfree values or their marginal decreasing can be considered as a sign that the model does not overfit data but hardly as a strong argument in favor of the model.
In general, global targets are less appropriate for this kind of problems and local characteristics may be better indicators. Improvement of the model geometry is a good choice. Indeed, yet Cruickshank (1956) showed that averaged density images may lead to a shortening of covalent bonds when interpreting such maps by a single model. However, a total absence of geometric outliers is not necessarily required for the structures solved at a high resolution where diffraction data should have a more freedom to place the atoms where the experiments "see" them.
The key local characteristic for multicomformer models is a closeness of the model map to the experimental one. Actually, the procedure uses a kind of such measure, the Bayesian information criteria (BIC). Unfortunately, the manuscript does not describe how sharply it identifies the best model and how much it changes between the initial and final models; in general, there is no feeling about its values. The Q-score (page 17) can be an appropriate tool for the first problem where the multiple conformations and individual atomic images are clearly separated and not for the second problem where the contributions from neighboring conformations and atoms are merged. In addition to BIC or to even more conventional global target functions such as LS or map correlation, the extreme values of the local difference maps may help to validate, or not, the model.
This described method with the results presented is a strong argument for a need in experimental data and information they contain, differently from a pure structure prediction. This tool is important to produce user-unbiased multiconformer models rapidly and automatically. At the same time, absence of strong density-based validation components may limit its impact.
Strengths:<br /> Addressing an important problem and automatisation of model construction for alternative conformations using high-resolution experimental data.
Weaknesses:<br /> An insufficient validation of the models when no discrete alternative conformations visible and insufficiency of local real-space validation indicators.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Long-lived PCs are maintained in a CXCR4-dependent manner.
Strengths:
The reporter mice for fate-mapping can clearly distinguish long-lived PCs from total PCs and greatly contribute to the identification of long-lived PCs.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this ambitious paper, the authors develop an unparalleled community resource of insect genome regulatory annotations spanning five insect orders. They employ their previously-developed SCRMshaw method for computational cross-species enhancer prediction, drawing on available training datasets of validated enhancer sequence and expression from Drosophila melanogaster, which had been previously shown to perform well across select holometabolous insects (representing 160-345MY divergence). In this work, they expand regulatory sequence annotation to 33 insect genomes spanning Holometabola and Hemiptera, which is even more distantly related to the fly model. They perform multiple downstream analyses of sets of predicted enhancers to assess the true-positive rate of predictions; the independent comparisons of real predictions with simulated predictions and with chromatin accessibility data, as well as the functional validation through reporter gene analysis, strengthen their conclusions that their annotation pipeline achieves a high true-positive rate and can be used across long divergence times to computationally annotate regulatory genome regions, an ability that has been previously inaccessible for non-model insects and now is possible across the many newly-sequenced insect scaffold-level genomes.
Strengths:
This work fills a large gap in current methods and resources for predicting regulatory regions of the genome, a task that has long lagged behind that of coding region prediction and analysis.
Despite technical constraints in working outside of well-developed model insect systems, the authors creatively draw on existing resources to scaffold a pipeline and independently assess the likelihood of prediction validity.
The established database will be a welcome community resource in its current state, and even more so as the authors continue to expand their annotations to more insect genomes as they indicate. Their available analysis pipeline itself will be useful to the community as well for research groups that may want to undertake their own regulatory genome annotation.
Weaknesses:
The rates of predicted true positive enhancer identification vary widely across the genomes included here based on the simulations and comparison to datasets of accessible chromatin in a manner that doesn't map neatly onto phylogenetic distance. At this point, it is unclear why these patterns may arise, although this may become more clear as regulatory annotation is undertaken for more genomes.
Functional assessment of predicted enhancers was performed through reporter gene assays primarily in Drosophila melanogaster imaginal discs, a system amenable to transgenics. Unfortunately, this mode of canonical imaginal disc development is only representative of a subset of all holometabolous insects; therefore, it is difficult to interpret reporter gene expression in a fly imaginal disc as evidence of a true positive enhancer that would be active in its native species whose adult appendages develop differently through the larval stage (for example, Coleopteran and Lepidopteran legs). However, the reporter gene assays from other tissues do offer strong evidence of true positive enhancer detection, and constraints on transgenic experiments in other systems mean that this approach is the best available.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this very important study by Dantzer et al., 'Emerging role of oncogenic b-catenin in exosome biogenesis as a driver of immune escape in hepatocellular carcinoma' the authors define a role for oncogenic b-catenin on exosome biology and explore the link between reduce exosome secretion and tumor immune cell evasion. Using transcriptional and proteomic analysis of hepatocellular carcinoma cells with either oncogenic or wildtype b-catenin the authors find that oncogenic b-catenin negatively regulates exosome biogenesis.
The authors can provide compelling evidence that oncogenic b-catenin in different hepatocellular carcinoma cells negatively regulates exosome biogenesis and secretion, by downregulation of, amongst others, SDC4 and RAB27A, two proteins involved in exosome biogenesis. The authors corroborate these results by inducing b-catenin activation using CHIR99021 in a hepatocarcinoma cell line with non-oncogenic bCatenin (Huh7 cells). The authors can further demonstrate convincingly that reduction in exosome release by hepatocarcinoma spheroids leads to a reduction in immune cell infiltration into the tumor spheroid.
Strengths:
This is a very important and well-conceived study, that appeals to a readership beyond the field of hepatocarcinoma. The authors demonstrate a compelling link between oncogenic bCatenin and exosome biogenesis. Their results are convincing and with well-designed control experiments. The authors included various complementary lines of investigation to verify their findings.
Weaknesses:
One limitation of this study is that the mechanistic relationship of exosome release and how they affect immune cells remains to be elucidated. In this context, the authors conclusions rest on the assumption that hepatocarcinoma immune evasion is based exclusively on the reduced number of exosomes. However, the authors do not analyze exosome composition between exosomes of wildtype and oncogenic background, which could be different.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
By conducting QM/MM free energy simulations, the authors aimed to characterize the mechanism and transition state for the phosphoryl transfer in adenylate kinase. The qualitative reliability of the QM/MM results has been supported by several interesting experimental kinetic studies. However, the interpretation of the QM/MM results is not well supported by the current calculations.
Strengths:
The QM/MM free energy simulations have been carefully conducted. The accuracy of the semi-empirical QM/MM results was further supported by DFT/MM calculations, as well as qualitatively by several experimental studies.
Weaknesses:
(1) One key issue is the definition of the transition state ensemble. The authors appear to define this by simply considering structures that lie within a given free energy range from the barrier. However, this is not the rigorous definition of transition state ensemble, which should be defined in terms of committor distribution. This is not simply an issue of semantics, since only a rigorous definition allows a fair comparison between different cases - such as the transition state in an enzyme vs in solution, or with and without the metal ion. For a chemical reaction in a complex environment, it is also possible that many other variables (in addition to the breaking and forming P-O bonds) should be considered when one measures the diversity in the conformational ensemble.
In the revised ms, the authors included committor analysis. However, the discussion of the result is very brief. In particular, if we use the common definition of the transition state ensemble (TSE) as those featuring the committor around 0.5, the reaction coordinate of the TSE would span a much narrower range than those listed in Table 1. This point should be carefully addressed.
(2) While the experimental observation that the activation entropy differs significantly with and without the Ca2+ ion is interesting, it is difficult to connect this result with the "wide" transition state ensemble observed in the QM/MM simulations so far. Even without considering the definition of the transition state ensemble mentioned above, it is unlikely that a broader range of P-O distances would explain the substantial difference in the activation entropy measured in the experiment. Since the difference is sufficiently large, it should be possible to compute the value by repeating the free energy simulations at different temperatures, which would lead to a much more direct evaluation of the QM/MM model/result and the interpretation.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript presents an intriguing explanation for why grid cell firing fields do {\em not} lie on a lattice whose axes aligned to the walls of a square arena. This observation, by itself, merits the manuscript's dissemination to the journals audience.
The presentation is quirky (but keep the quirkiness!).
But let me recast the problem presented by the authors as one of combinatorics. Given repeating, spatially separated firing fields across cells, one obtains temporal sequences of grid cells firing. Label these cells by integers from $[n]$. Any two cells firing in succession should uniquely identify one of six directions (from the hexagonal lattice) in which the agent is currently moving.
Now, take the symmetric group $\Sigma$ of cyclic permutations on $n$ elements.<br /> We ask whether there are cyclic permutations of $[n]$ such that
So, for instance, $(4,2,3,1)$ would not be counted as a valid permutation of $(1,2,3,4)$, as $(2,3)$ and $(1,4)$ are adjacent.
Furthermore, given $[n]$, are there two distinct cyclic permutations such that {\em no} adjacencies are preserved when considering any pair of permutations (among the triple of the original ordered sequence and the two permutations)? In other words, if we consider the permutation required to take the first permutation into the second, that permutation should not preserve any adjacencies.
{\bf Key question}: is there any difference between the solution to the combinatorics problem sketched above and the result in the manuscript? Specifically, the text argues that for $n=7$ there is only {\em one} solution.
Ideally, one would strive to obtain a closed-form solution for the number of such permutations as a function of $n$.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This manuscript examines the impact of congenital visual deprivation on the excitatory/inhibitory (E/I) ratio in the visual cortex using Magnetic Resonance Spectroscopy (MRS) and electroencephalography (EEG) in individuals whose sight was restored. Ten individuals with reversed congenital cataracts were compared to age-matched, normally sighted controls, assessing the cortical E/I balance and its interrelationship to visual acuity. The study reveals that the Glx/GABA ratio in the visual cortex and the intercept and aperiodic signal are significantly altered in those with a history of early visual deprivation, suggesting persistent neurophysiological changes despite visual restoration.
My expertise is in EEG (particularly in the decomposition of periodic and aperiodic activity) and statistical methods. I have several major concerns in terms of methodological and statistical approaches along with the (over)interpretation of the results. These major concerns are detailed below.
(1) Variability in visual deprivation:
- The document states a large variability in the duration of visual deprivation (probably also the age at restoration), with significant implications for the sensitivity period's impact on visual circuit development. The variability and its potential effects on the outcomes need thorough exploration and discussion.
(2) Sample size:
- The small sample size is a major concern as it may not provide sufficient power to detect subtle effects and/or overestimate significant effects, which then tend not to generalize to new data. One of the biggest drivers of the replication crisis in neuroscience.
- The main problem with the correlation analyses between MRS and EEG measures is that the sample size is simply too small to conduct such an analysis. Moreover, it is unclear from the methods section that this analysis was only conducted in the patient group (which the reviewer assumed from the plots), and not explained why this was done only in the patient group. I would highly recommend removing these correlation analyses.
(3) Statistical concerns:
- The statistical analyses, particularly the correlations drawn from a small sample, may not provide reliable estimates (see https://www.sciencedirect.com/science/article/pii/S0092656613000858, which clearly describes this problem).
- Statistical analyses for the MRS: The authors should consider some additional permutation statistics, which are more suitable for small sample sizes. The current statistical model (2x2) design ANOVA is not ideal for such small sample sizes. Moreover, it is unclear why the condition (EO & EC) was chosen as a predictor and not the brain region (visual & frontal) or neurochemicals. Finally, the authors did not provide any information on the alpha level nor any information on correction for multiple comparisons (in the methods section). Finally, even if the groups are matched w.r.t. age, the time between surgery and measurement, the duration of visual deprivation, (and sex?), these should be included as covariates as it has been shown that these are highly related to the measurements of interest (especially for the EEG measurements) and the age range of the current study is large.
- EEG statistical analyses: The same critique as for the MRS statistical analyses applies to the EEG analysis. In addition: was the 2x3 ANOVA conducted for EO and EC independently? This seems to be inconsistent with the approach in the MRS analyses, in which the authors chose EO & EC as predictors in their 2x2 ANOVA.
- Figure 4: The authors report a p-value of >0.999 with a correlation coefficient of -0.42 with a sample size of 10 subjects. This can't be correct (it should be around: p = 0.22). All statistical analyses should be checked.
- Figure 2c. Eyes closed condition: The highest score of the *Glx/GABA ratio seems to be ~3.6. In subplot 2a, there seem to be 3 subjects that show a Glx/GABA ratio score > 3.6. How can this be explained? There is also a discrepancy for the eyes-closed condition.
(4) Interpretation of aperiodic signal:
- Several recent papers demonstrated that the aperiodic signal measured in EEG or ECoG is related to various important aspects such as age, skull thickness, electrode impedance, as well as cognition. Thus, currently, very little is known about the underlying effects which influence the aperiodic intercept and slope. The entire interpretation of the aperiodic slope as a proxy for E/I is based on a computational model and simulation (as described in the Gao et al. paper).
- Especially the aperiodic intercept is a very sensitive measure to many influences (e.g. skull thickness, electrode impedance...). As crucial results (correlation aperiodic intercept and MRS measures) are facing this problem, this needs to be reevaluated. It is safer to make statements on the aperiodic slope than intercept. In theory, some of the potentially confounding measures are available to the authors (e.g. skull thickness can be computed from T1w images; electrode impedances are usually acquired alongside the EEG data) and could be therefore controlled.
- The authors wrote: "Higher frequencies (such as 20-40 Hz) have been predominantly associated with local circuit activity and feedforward signaling (Bastos et al., 2018; Van Kerkoerle et al., 2014); the increased 20-40 Hz slope may therefore signal increased spontaneous spiking activity in local networks. We speculate that the steeper slope of the aperiodic activity for the lower frequency range (1-20 Hz) in CC individuals reflects the concomitant increase in inhibition." The authors confuse the interpretation of periodic and aperiodic signals. This section refers to the interpretation of the periodic signal (higher frequencies). This interpretation can not simply be translated to the aperiodic signal (slope).
- The authors further wrote: We used the slope of the aperiodic (1/f) component of the EEG spectrum as an estimate of E/I ratio (Gao et al., 2017; Medel et al., 2020; Muthukumaraswamy & Liley, 2018). This is a highly speculative interpretation with very little empirical evidence. These papers were conducted with ECoG data (mostly in animals) and mostly under anesthesia. Thus, these studies only allow an indirect interpretation by what the 1/f slope in EEG measurements is actually influenced.
(5) Problems with EEG preprocessing and analysis:
- It seems that the authors did not identify bad channels nor address the line noise issue (even a problem if a low pass filter of below-the-line noise was applied).
- What was the percentage of segments that needed to be rejected due to the 120μV criteria? This should be reported specifically for EO & EC and controls and patients.
- The authors downsampled the data to 60Hz to "to match the stimulation rate". What is the intention of this? Because the subsequent spectral analyses are conflated by this choice (see Nyquist theorem).
- "Subsequently, baseline removal was conducted by subtracting the mean activity across the length of an epoch from every data point." The actual baseline time segment should be specified.
- "We excluded the alpha range (8-14 Hz) for this fit to avoid biasing the results due to documented differences in alpha activity between CC and SC individuals (Bottari et al., 2016; Ossandón et al., 2023; Pant et al., 2023)." This does not really make sense, as the FOOOF algorithm first fits the 1/f slope, for which the alpha activity is not relevant.
- The model fits of the 1/f fitting for EO, EC, and both participant groups should be reported.
(6) Validity of GABA measurements and results:
- According the a newer study by the authors of the Gannet toolbox (https://analyticalsciencejournals.onlinelibrary.wiley.com/doi/abs/10.1002/nbm.5076), the reliability and reproducibility of the gamma-aminobutyric acid (GABA) measurement can vary significantly depending on acquisition and modeling parameter. Thus, did the author address these challenges? Furthermore, the authors wrote: "We confirmed the within-subject stability of metabolite quantification by testing a subset of the sighted controls (n=6) 2-4 weeks apart. Looking at the supplementary Figure 5 (which would be rather plotted as ICC or Blant-Altman plots), the within-subject stability compared to between-subject variability seems not to be great. Furthermore, I don't think such a small sample size qualifies for a rigorous assessment of stability.
- "Why might an enhanced inhibitory drive, as indicated by the lower Glx/GABA ratio" Is this interpretation really warranted, as the results of the group differences in the Glx/GABA ratio seem to be rather driven by a decreased Glx concentration in CC rather than an increased GABA (see Figure 2).
- Glx concentration predicted the aperiodic intercept in CC individuals' visual cortices during ambient and flickering visual stimulation. Why specifically investigate the Glx concentration, when the paper is about E/I ratio?
(7) Interpretation of the correlation between MRS measurements and EEG aperiodic signal:
- The authors wrote: "The intercept of the aperiodic activity was highly correlated with the Glx concentration during rest with eyes open and during flickering stimulation (also see Supplementary Material S11). Based on the assumption that the aperiodic intercept reflects broadband firing (Manning et al., 2009; Winawer et al., 2013), this suggests that the Glx concentration might be related to broadband firing in CC individuals during active and passive visual stimulation." These results should not be interpreted (or with very caution) for several reasons (see also problem with influences on aperiodic intercept and small sample size). This is a result of the exploratory analyses of correlating every EEG parameter with every MRS parameter. This requires well-powered replication before any interpretation can be provided. Furthermore and importantly: why should this be specifically only in CC patients, but not in the SC control group?
(8) Language and presentation:
- The manuscript requires language improvements and correction of numerous typos. Over-simplifications and unclear statements are present, which could mislead or confuse readers (see also interpretation of aperiodic signal).
- The authors state that "Together, the present results provide strong evidence for experience-dependent development of the E/I ratio in the human visual cortex, with consequences for behavior." The results of the study do not provide any strong evidence, because of the small sample size and exploratory analyses approach and not accounting for possible confounding factors.
- "Our results imply a change in neurotransmitter concentrations as a consequence of *restoring* vision following congenital blindness." This is a speculative statement to infer a causal relationship on cross-sectional data.
- In the limitation section, the authors wrote: "The sample size of the present study is relatively high for the rare population , but undoubtedly, overall, rather small." This sentence should be rewritten, as the study is plein underpowered. The further justification "We nevertheless think that our results are valid. Our findings neurochemically (Glx andGABA+ concentration), and anatomically (visual cortex) specific. The MRS parameters varied with parameters of the aperiodic EEG activity and visual acuity. The group differences for the EEG assessments corresponded to those of a larger sample of CC individuals (n=38) (Ossandón et al., 2023), and effects of chronological age were as expected from the literature." These statements do not provide any validation or justification of small samples. Furthermore, the current data set is a subset of an earlier published paper by the same authors "The EEG data sets reported here were part of data published earlier (Ossandón et al., 2023; Pant et al., 2023)." Thus, the statement "The group differences for the EEG assessments corresponded to those of a larger sample of CC individuals (n=38) " is a circular argument and should be avoided.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Using a compressed sensing-based approach applied previously by the author's group, the authors conducted an initial screen for neurons that when optogenetically down-regulated, influenced learned pathogen avoidance consisting of two component behaviors, exit from the bacterial lawn and lawn re-entry. Authors found that 4 classes of neurons AVK, SIA, AIY, and MI were inferred over a wide range of sparsity parameters, thereby indicating the importance of lawn re-entry. They found six classes of neurons required for lawn exit. The authors then went on to further analyze the neurons for the re-entry behavior, and conducted calcium imaging of those neurons in the freely behaving animals. They found that the activities of AIY and SIA neurons decreased after the animals that had been exposed to the pathogenic bacteria tried to re-enter the bacterial lawn. They also found that when those neurons of the animals that had not been exposed to pathogenic bacteria were downregulated by optogenetics, those operated animals increased the latency of the re-entry, which is a similar behavioral modification to that of the animals that had been exposed to the pathogen. Conversely, those neurons of the animals that were exposed to pathogenic bacteria were up-regulated by optogenetics, those animals showed a shortened latency of the re-entry, which is similar to the behavior observed in the animals not exposed to pathogen.
Strengths:
This is overall a very nice piece of work. Most importantly, an initial screening of neurons was conducted by a compressed sensing-based approach previously applied by the same group. It is also worth emphasizing that this compressed analysis is applicable when the behavior of interest involves a small number of neurons, as the authors pointed out in the Introduction Session. Therefore, the readers should keep in mind that the validation and significance of this work heavily depend on the justification of scarcity parameters that the authors chose. Nevertheless, this work is well justified because neurons identified by the initial screening were thoroughly analyzed by various methods including calcium imaging and optogenetic manipulation of neuronal activities and behavioral analyses using an animal-tracking system.
Weaknesses:
My only concern is that the authors should be more careful about describing their "compressed sensing-based approach". Authors often cite their previous Nature Methods paper, but should explain more because this method is critical for this manuscript. Also, this analysis is based on the hypothesis that only a small number of neurons are responsible for a given behavior. Authors should explain more about how to determine scarcity parameters, for example.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Coatl et al. investigated the mechanisms of synaptic plasticity of two important hippocampal synapses, the excitatory afferents from lateral and medial perforant pathways (LPP and MPP, respectively) of the entorhinal cortex (EC) connecting to granule cells of the hippocampal dentate gyrus (DG). They find that these two different EC-DG synaptic connections in mice show a presynaptically expressed form of long-term depression (LTD) requiring postsynaptic calcium, eCB synthesis, CB1R activation, astrocyte activity, and metabotropic glutamate receptor activation. Interestingly, LTD at MPP-GC synapses requires ionotropic NMDAR activation whereas LTD at LPP-GC synapse is NMDAR independent. Thus, they discovered two novel forms of t-LTD that require astrocytes at EC-GC synapses. Although plasticity of EC-DG granule cell (GC) synapses has been studied using classical protocols, These are the first analysis of the synaptic plasticity induced by spike timing dependent protocols at these synapses. Interestingly, the data also indicate that t-LTD at each type of synapse require different group I mGluRs, with LPP-GC synapses dependent on mGluR5 and MPP-GC t-LTD requiring mGluR1.
The authors performed a detailed analysis of the coefficient of variation of the EPSP slopes, miniature responses and different approaches (failure rate, PPRs, CV, and mEPSP frequency and amplitude analysis) they demonstrate a decrease in the probability of neurotransmitter release and a presynaptic locus for these two forms of LTD at both types of synapses. By using elegant electrophysiological experiments and taking advantage of the conditional dominant-negative (dn) SNARE mice in which doxycycline administration blocks exocytosis and impairs vesicle release by astrocytes, they demonstrate that both LTD forms require the release of gliotransmitters from astrocytes. These data add in an interesting way to the ongoing discussion on whether LTD induced by STDP participates in refining synapses potentially weakening excitatory synapses under the control of different astrocytic networks. The conclusions of this paper are mostly well supported by data, but some aspects the results must be clarified and extended.
(1) It should be clarified whether present results are obtained with or without the functional inhibitory synapse activation. It is not clear if GABAergic synapses are blocked or not. If GABAergic synapses are not blocked authors must discuss whether the LTD of the EPSPs is due to a decrease in glutamatergic receptor activation or an increase in GABAergic receptor activation. Moreover, it should be recommended to analyze not only the EPSPs but also the EPSCs to address whether the decrease in synaptic transmission is caused by a decrease in the input resistance or by a decrease in the space constant (lambda).<br /> (2) Authors show that Thapsigargin loaded in the postsynaptic neuron prevents the induction of LTD at both synapses. Analyzing the effects of blocking postsynaptic IP3Rs (Heparin in the patch pipette) and Ryanodine receptors (Ruthenium red in the patch pipette) is recommended for a deeper analysis of the mechanism implicated in the induction of this novel forms of LTD in the hippocampus.<br /> (3) Authors nicely demonstrate that CB1R activation is required in these forms of LTD by blocking CB1Rs with AM251, however an interesting unanswered question is whether CB1R activation is sufficient to induce this synaptic plasticity. This reviewer suggests studying whether applying puffs of the CB1R agonist, WIN 55,212-2, could induce these forms of LTD.<br /> (4) Finally, adding a last figure with a cartoon summarizing the proposed model of action in these novel forms of LTD would add a positive value and would help the reading of the manuscript, especially in those aspects related with the discussion of the results.
The extension of these results would improve the manuscript which provides interesting results showing two novel forms of presynaptic t-LTD in the brain synapses with different action mechanisms probably implicated in the different aspects of information processing.
-
-
Local file Local file
-
I was seventeen that year and, being the youngest at the tableand the least likely to be listened to, I had developed the habit of smugglingas much information into the fewest possible words
Couple things: Elio ties the transition between immature to mature as the acceptance of a elongated, convoluted, and contradictory identity that cannot be condensed into words. Elio also displays this immaturity through one key behaviour: His "smuggling"of as much information into the fewest possible words, indicating his desire to condense his identity. Thirdly, in the next line, what that gives him in terms of appearance, he is unconfident and that juxtaposes him with Oliver
-
No name added, no jest to smooth out the ruffled leave-taking,nothing. His one-word send-off: brisk, bold, and blunted—take your pick,he couldn’t be bothered which.
Can this characterise Oliver as someone who doesn't believe in the constructed identities of individuals, seeing as he says to all, "Later!" without naming? Or characterise him as someone who has no respect for societal obligations and is simply true to himself in such way?
-
-
www.researchsquare.com www.researchsquare.comHome1
-
Reviewer #3 (Public Review):
Summary:
Right-sided colorectal Cancer (CRC) is very different from left-sided CRC. Therefore it is important to model this cancer in mice and find new molecular targets. A broad set of data exists on FAK (Focal Adhesion Kinase) being important in colorectal cancer. However, this has focussed on APC mutant CRC which tends to be left-sided. BRAF mutation is common in right-sided CRC (and is rarely mutated with APC). Therefore the authors have tested whether FAK is important in this context. The authors show that FAK deletion surprisingly accelerates BRAF mutant CRC. Tumours arise in the proximal colon (which recapitulates BRAF mutant right-sided CRC). There are low for Lgr5 and high for foetal programmes. Mechanistically they suggest a pathway from FAK to NEDD4 to Lgr4 may underpin this phenotype.
Strengths:
Strong genetic data from FAK revealed that there is an acceleration of tumourigenesis and mice now develop proximal colon tumours and can be viewed as a good model of right-sided CRC.<br /> The expression data between humans and mice is strong.
Weaknesses:
The functional mechanism of how FAK loss promotes tumourigenesis is still quite correlative. An alternative hypothesis is that it drives inflammation in the proximal colon that drives tumourigenesis.
We still did not know the functional role for LGR4 (loss leads to a loss of paneth cells in homeostasis) so I'm not sure you can hypothesise a stem cell role.
Tags
Annotators
URL
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript by Wang et al. investigates the effects of B. velezensis HBXN2020 in alleviating S. Typhimurium-induced mouse colitis. The results showed that B. velezensis HBXN2020 could alleviate bacterial colitis by enhancing intestinal homeostasis (decreasing harmful bacteria and enhancing the abundance of Lactobacillus and Akkermansia) and gut barrier integrity and reducing inflammation.
Strengths:
B. velezensis HBXN2020 is a novel species of Bacillus that can produce a great variety of secondary metabolites and exhibit high antibacterial activity against several pathogens. B. velezensis HBXN2020 is able to form endospores and has strong anti-stress capabilities. B. velezensis HBXN2020 has a synergistic effect with other beneficial microorganisms, which can improve intestinal homeostasis.
Weaknesses:
Few studies about the clinical application of Bacillus velezensis. Thus, more studies are still needed to explore the effectiveness of Bacillus velezensis before clinical application.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors examined the effects of glutamate release from PMv LepR neurons in the regulation of puberty and reproduction in female mice.
Strengths:
Multiple genetic mouse models were utilized to either manipulate PMv LepR neuron activities or to delete glutamate vesicle transporters from LepR neurons. The authors have been quite rigorous in validating these models and exploring potential contaminations. Most of the data presented are solid and convincing and support the conclusion.
Comments on revised version:
The authors have addressed most of my comments.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript by Pooja Popli and co-authors tested the importance of Atg14 in the female reproductive tract by conditionally deleting Atg14 using PrCre and also Foxj1cre. The authors showed that loss of Atg14 leads to infertility due to the retention of embryos within the oviduct. The authors further concluded that the retention of embryos within the oviduct is due to pyroptosis in oviduct cells leading to defective cellular integrity. The manuscript has some interesting findings, however there are also areas that could be improved.
Strengths:
The importance of Atg14 and autophagy in the female reproductive tract is incompletely understood. The manuscript also provides partial evidence about a new mechanism linking Atg14 to pyropotosis.
Weaknesses:
(1) It is not clear why the loss of Atg14 selectively induces Pyroptosis within oviduct cells but not in other cellular compartments. The authors should demonstrate that these events are not happening in uterine cells.
(2) The manuscript never showed any effect on the autophagy upon loss of Atg14. Is there any effect on autophagy upon Atg14 loss? If so does that contribute to the observation?
(3) It is not clear what the authors meant by cellular plasticity and integrity. There is no evidence provided in that aspect that the plasticity of oviduct cells is lost. Similarly, more experimental evidence is necessary for the conclusion about cellular integrity.
(4) The mitochondrial phenotype shown in Figure 3 didn't appear as severe as it is described in the results section. The analyses should be more thorough. They should include multiple frames (in supplemental information) showing mitochondrial morphology in multiple cells. The authors should also test that aspect in uterine cells. The authors should measure Feret's diagram. Difference in membrane potential etc. for a definitive conclusion.
(5) The comment that the loss of Atg14 and pyroptosis leads to the narrowing of the lumen in the oviduct should be experimentally shown.
(6) The manuscript never showed the proper mechanism through which Atg14 loss induces pyroptosis. The authors should link the mechanism.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Buck et al., set out to characterize small DNA tumor viruses through the generation and analysis of ~100,000 public sequencing datasets from the SRA and other databases. Using a variety of powerful bioinformatic methods including alignment-based searches, statistical modelling, and structure-aware detection, the authors successfully classify novel protein sequences which support the occurrence of evolutionary gene transfer between DNA virus families. The authors propose a naming scheme to better capture viral diversity and uncover novel chimeric viruses, those containing genes from multiple established virus families. Additional analysis using the generated dataset was performed to search for DNA and RNA viruses of interest, demonstrating the utility of generated datasets for exploratory screens. The assembled sequencing datasets are publicly available, providing invaluable resources for current and future investigations within this subfield.
Strengths:
The scope of data analysis (100,000+ SRA records and additional libraries) is substantial, and the authors have contributed to further insight into the modularity of previously uncharacterized viral genomes, through computationally demanding advanced bioinformatics analyses in addition to extensive manual inspection.
The publicly available resources generated as a result of these analyses provide useful data for further experiments to inspect viral diversity and modularity. Other scanning experiments and further investigation of biologically relevant viruses using these contigs may uncover, for example, animal reservoirs or novel recombinant viruses of significance.
Novel instances of genomic modularity provide excellent starting points for understanding virus evolutionary pathways and gene transfer events.
Weaknesses:
Overall, the methods section of this paper requires more detail.
The inclusion criteria for which "SRA" datasets were or were not utilized within this study are poorly defined. This means the comprehensiveness of the study for a given search space of the SRA is not defined, and the results are ultimately not reproducible, or expandable. For example, are all vertebrate RNA-seq samples processed? Or just aquatic vertebrate RNA-seq? Were samples randomly sampled from a more comprehensive data set? What is the make-up of the search space and how much was DNA-seq or RNA-seq? This section should be expanded and explicit accounting provided for how dataset selection was performed. This would provide additional confidence in the results and conclusions, as well as allow for future analysis to be conducted.
Hallmark virus genes require further clarification, as it is unclear what genes are utilized as bait, or in the initial search process. The reported "Hallmark gene sets" are not described in a systematic way. What is the sensitivity and specificity of these gene sets? Was there a validation of the performance characteristics (ROC) for this gene set with different tools? How is this expected to be utilized? Which kinds of viruses are excluded/missed? Are viroids included?
For the Tailtomavirus, additional information is needed for sufficient confidence. Was this "chimeric" genomic arrangement detected in a single library? This raises a greater issue of how technical artifacts, which may appear as chimeric assemblies, are ruled out in the workflow. If two viral genomes share a k-mer of length greater than the assembly k, the graph may become merged. Are there read pairs that span all regions of the genome? Is there evidence for multiple homologous viruses with synteny between them that supports the combination of these genes as an evolving genome, or is this an anomalous observation? Read alignments should be included and Bandage graph visualization for all cases of chimeric assemblies and active steps to disprove the baseline hypotheses that these are technical artifacts of genome assembly.
Justification for exclusion of endogenized sequences is not included and must be described, as small DNA tumor viruses may endogenize into the host genome as part of their life cycle. How is such an integration resolved from an evolutionary "endogenization"? What's the biological justification for this step?
Additional supporting information, clear presentation, and context are needed to strengthen results and conclusions.
Basic reporting of global statistics, such as the total number of viruses found per family, should be included in the main text to better support the scope of the results. How many viruses (per family) were previously known, and therefore what is the magnitude of the expansion performed here?
Additional parameters and information should be included in bioinformatic tool outputs to provide greater clarity and interpretation of results. For example, reporting the "BLASTp E-val", as for the PolB homology (BLASTp 6E-12) is not informative, and does not tell the reader this is (we assume) an expectancy value. For each such case please report, the top database hit accession, percent identity, query coverage, and E-value. Otherwise, a judgment cannot be adequately made regarding the quality of evidence for homology. Similarly, for HHpred what does the number represent - confidence, identity, or coverage?
Some findings described in the Results section may require revision. Several of the Nidoviruses (Nidovirus takifugu, Nidovirus hypomesus, Nidovirus ambystoma, etc...) have been previously described by three groups, first by Edgar et al., (https://www.nature.com/articles/s41586-021-04332-2), then Miller et al., (https://academic.oup.com/ve/article/7/2/veab050/6290018) and then Lauber et al., (https://journals.plos.org/plospathogens/article?id=10.1371/journal.ppat.1012163). This is now the 4th description of the same set of viruses. These sequences are in GenBank (https://www.ncbi.nlm.nih.gov/nuccore/OV442424.1), although it is unclear why they're not returned as BLAST hits. Miller also described the Togavirus co-segment previously.
It is also uncertain what is being described with HelPol/maldviruses which was not previously described in distantly similar relatives. How many were described in the previous literature and how many are described by this work?
Co-phylogenies should be used to convey gene transfer and flow clearly to support the conclusions made in the text.
Statements such as, "The group encompasses a surprising degree of genomic diversity...", should be supported by additional information to strengthen conclusions (e.g., what the expected diversity is). What is the measurement for genomic diversity here, and why is this surprising? There is overall a lack of quantification to support the conclusions made throughout the paper.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript the authors begin with the interesting phenotype of sub-inhibitory concentrations of the aminoglycoside tobramycin proving toxic to a knockout of the tRNA-guanine transglycosylase (Tgt) of the important human pathogen, Vibrio cholerae. Tgt is important for incorporating queuosine (Q) in place of guanosine at the wobble position of GUN codons. The authors go on to define a mechanism of action where environmental stressors control expression of tgt to control translational decoding of particularly tyrosine codons, skewing the balance from TAC towards TAT decoding in the absence of the enzyme. The authors use advanced proteomics and ribosome profiling to reveal that the loss of tgt results in increased translation of proteins like RsxA and a cohort of DNA repair factors, whose genes harbor an excess of TAT codons in many cases. These findings are bolstered by a series of molecular reporters, mass spectrometry, and tRNA overexpression strains to provide support for a model where Tgt serves as a molecular pivot point to reprogram translational output in response to stress.
Strengths:
The manuscript has many strengths. The authors use a variety of strains, assays, and advanced techniques to discover a mechanism of action for Tgt in mediating tolerance to sub-inhibitory concentrations of tobramycin. They observe a clear phenotype for a tRNA modification in facilitating reprogramming of the translational response, and the manuscript certainly has value in defining how microbes tolerate antibiotics.
Weaknesses:
The conclusions of the manuscript are mostly very well-supported by the data, but in some places control experiments or peripheral findings cloud precise conclusions. Some additional clarification, discussion, or even experimental extension could be useful in strengthening these areas.
(1) The authors have created and used a variety of relevant molecular tools. In some cases, using these tools in additional assays as controls would be helpful. For example, testing for compensation of the observed phenotypes by overexpression of the Tyrosine tRNA(GUA) in Figure 2A with the 6xTAT strain, Figure 5C with the rxsA-GFP fusion, and/or Figure 7B with UV stress would provide additional information of the ability of tRNA overexpression to compensate for the defect in these situations.<br /> (2) The authors present a clear story with a reprogramming towards TAT codons in the knockout strain, particularly regarding tobramycin treatment. The control experiments often hint at other codons also contributing to the observed phenotypes (e.g., His or Asp), yet these effects are mostly ignored in the discussion. It would be helpful to discuss these findings at a minimum in the discussion section, or possibly experimentally address the role of His or Asp by overexpression of these tRNAs together with Tyrosine tRNA(GUA) in an experiment like that of Figure 1I to see if a more "wild type" phenotype would present. In fact, the synergy of Tyr, His, and/or Asp codons likely helps to explain the effects observed with the DNA repair genes in later experiments.<br /> (3) Regarding Figure 6D, the APB northern blot feels like an afterthought. It was loaded with different amounts of RNA as input and some samples are repeated three times, but Δcrp only once. Collectively, it makes this experiment very difficult to assess.
Minor Points:<br /> (4) Fig S2B, do the authors have a hypothesis why the Asp and Phe tRNAs lead to a growth decrease in the untreated samples? It appears like Phe(GAA) partially compensates for the defect.<br /> (5) Lines 655 to 660 seem more appropriate as speculation in the discussion rather than as a conclusion in the results, where no direct experiments are performed. The authors might take advantage of the "Ideas and Speculation" section that eLife allows.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This paper presents bees with varying levels of experience with a choice task where bees have to choose to pull either a connected or unconnected string, each attached to a yellow flower containing sugar water. Bees without experience of string pulling did not choose the connected string above chance (experiment 1), but with experience of horizontal string pulling (as in the right-hand panel of Figure 4) bees did choose the connected string above chance (experiments 2-3), even when the string colour changed between training and test (experiments 4-5). Bees that were not provided with perceptual-motor feedback (i.e they could not observe that each pull of the string moved the flower) during training still learned to string pull and then chose the connected string option above chance (experiment 6). Bees with normal experience of string pulling then failed to discriminate between connected and unconnected strings when the strings were coiled or looped, rather than presented straight (experiments 7-8).
Weaknesses:
The authors have only provided video of some of the conditions where the bees succeeded. In general, I think a video explaining each condition and then showing a clip of a typical performance would make it much easier to follow the study designs for scholars. Videos of the conditions bees failed at would be highly useful in order to compare different hypotheses for how the bees are solving this problem. I also think it is highly important to code the videos for switching behaviours. When solving the connected vs unconnected string tasks, when bees were observed pulling the unconnected string, did they quickly switch to the other string? Or did they continue to pull the wrong string? This would help discriminate the use of perceptual-motor feedback from other hypotheses.
The experiments are also not described well, for my below comments I have assumed that different groups of bees were tested for experiments 1-8, and that experiment 6 was run as described in line 331, where bees were given string-pulling training without perceptual feedback rather than how it is described in Figure 4B, which describes bees as receiving string pulling training with feedback.
The authors suggest the bees' performance is best explained by what they term 'image matching'. However, experiment 6 does not seem to support this without assuming retroactive image matching after the problem is solved. The logic of experiment 6 is described as "This was to ensure that the bees could not see the familiar "lollipop shape" while pulling strings....If the bees prefer to pull the connected strings, this would indicate that bees memorize the arrangement of strings-connected flowers in this task." I disagree with this second sentence, removing perceptual feedback during training would prevent bees memorising the lollipop shape, because, while solving the task, they don't actually see a string connected to a yellow flower, due to the black barrier. At the end of the task, the string is now behind the bee, so unless the bee is turning around and encoding this object retrospectively as the image to match, it seems hard to imagine how the bee learns the lollipop shape.
Despite this, the authors go on to describe image matching as one of their main findings. For this claim, I would suggest the authors run another experiment, identical to experiment 6 but with a black panel behind the bee, such that the string the bee pulls behind itself disappears from view. There is now no image to match at any point from the bee's perspective so it should now fail the connectivity task.
Strengths:
Despite these issues, this is a fascinating dataset. Experiments 1 and 2 show that the bees are not learning to discriminate between connected and unconnected stimuli rapidly in the first trials of the test. Instead, it is clear that experience in string pulling is needed to discriminate between connected and unconnected strings. What aspect of this experience is important? Experiment 6 suggests it is not image matching (when no image is provided during problem-solving, but only afterward, bees still attend to string connectivity) and casts doubt on perceptual-motor feedback (unless from the bee's perspective, they do actually get feedback that pulling the string moves the flower, video is needed here). Experiments 7 and 8 rule out means-end understanding because if the bees are capable of imagining the effect of their actions on the string and then planning out their actions (as hypotheses such as insight, means-end understanding and string connectivity suggest), they should solve these tasks.
If the authors can compare the bees' performance in a more detailed way to other species, and run the experiment suggested, this will be a highly exciting paper
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study established a single-cell RNA sequencing atlas of pipefish embryos. The results obtained identified unique gene expression patterns for pipefish-specific characteristics, such as fgf22 in the tip of the palatoquadrate and Meckel's cartilage, broadly informing the genetic mechanisms underlying morphological novelty in teleost fishes. The data obtained are unique and novel, potentially important in understanding fish diversity. Thus, I would enthusiastically support this manuscript if the authors improve it to generate stronger and more convincing conclusions than the current forms.
Weaknesses:
Regarding the expression of sfrp1a and bmp4 dorsal to the elongating ethmoid plate and surrounding the ceratohyal: are their expression patterns spatially extended or broader compared to the pipefish ancestor? Is there a much closer species available to compare gene expression patterns with pipefish? Did the authors consider using other species closely related to pipefish for ISH? Sfrp1a and bmp4 may be expressed in the same regions of much more closely related species without face elongation. I understand that embryos of such species are not always accessible, but it is also hard to argue responsible genes for a specific phenotype by only comparing gene expression patterns between distantly related species (e.g., pipefish vs. zebrafish). Due to the same reason, I would not directly compare/argue gene expression patterns between pipefish and mice, although I should admit that mice gene expression patterns are sometimes helpful to make a hypothesis of fish evolution. Alternatively, can the authors conduct ISH in other species of pipefish? If the expression patterns of sfrp1a and bmp4 are common among fishes with face elongation, the conclusion would become more solid. If these embryos are not available, is it possible to reduce the amount of Wnt and BMP signal using Crispr/Cas, MO, or chemical inhibitor? I do think that there are several ways to test the Wnt and/or BMP hypothesis in face elongation.
-
-
www.lionsroar.com www.lionsroar.com
-
three marks of existence
for - Buddhist teachings - 3 marks of existence - birth and death
Buddhist teachings - 3 marks of existence - The 3 marks of existence - there is no unchanging self - it is characterized by impermanence and suffering - whatever comes into being must pass away - also describe that we ourselves as human INTERbeCOMings, are aspects of reality - that come into being - and must pass away
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
RRID:ZFIN_ZDB-GENO-140423-3
DOI: 10.7554/eLife.89516
Resource: (ZFIN Cat# ZDB-GENO-140423-3,RRID:ZFIN_ZDB-GENO-140423-3)
Curator: @scibot
SciCrunch record: RRID:ZFIN_ZDB-GENO-140423-3
-
- May 2024
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, the authors analyzed data from 99 individuals with implanted electrodes who were performing a word-list recall task. Because the task involves successively encoding and then recalling 25 lists in a row, they were able to measure the similarity in neural responses for items within the same list as well as items across different lists, allowing them to test hypotheses about the impact of between-list boundaries on neural responses. They find that, in addition to slow drift in responses across items within a list and changes across lists, there is boundary-related structure in the medial parietal lobe such that early items in each list show similarity (for recalled items) and late items in each list show similarity (for not recalled items).
Strengths:
The dataset used in this paper is substantially larger than most iEEG datasets, allowing for the detection of nuanced differences between item positions and for analyses of individual differences in boundary-related responses. There are excellent visualizations of the similarity structure between items for each region, and this work connects to a growing literature on the role of event boundaries in structuring neural responses.
Weaknesses:
(1) The visualization in Fig 1B claims that the prediction of the temporal context model is that nearby items in the presented sequence should have similar representations; that is, nearby items within a list should be similar, and the end of a list should look similar to the beginning of the next list. First, it's unclear to me if this is exactly what TCM would predict for this dataset, since lists are separated by ~60 seconds of distractor and retrieval tasks, rather than simply by a brief event boundary. Second, the authors do not actually test this model of continuous similarity across lists. After examining smooth drift in the within-list analysis (Fig 2), the across-list analyses (Figs 3-5) use a model with a "list distance" regressor that predicts discrete changes between lists. The authors state that it is not possible to replace this list distance regressor with an item distance regressor (which would be a straight line in Fig 3D rather than stair-steps) because this would be too collinear with the boundary proximity regressor, but I do not understand why these regressors would be collinear at all (since the boundary proximity regressor does not systematically increase or decrease across items).
(2) There is no theoretical or quantitative justification for the specific forms of the boundary proximity models, For initial items, a model of e^(1-d) is used (with d being serial position), but it is not stated how the falloff scale of this model was selected (as opposed to e.g. e^((1-d)/2)). For final items, a different linear model of d/#items is used, which seems to have a somewhat different interpretation, since it changes at a constant rate across all items rather than only modeling items near the final boundary. Confusingly, the schematic in Fig 1B shows symmetric effects at initial and final boundaries, despite two different models being used and the authors' assertion in their response that they do not believe these processes are symmetric.
(3) It is unclear to me whether the authors believe that the observed similarity after boundaries is due to an active process in which "the medial parietal lobe uses drift-resets" to reinstate a boundary-related context, or that this similarity is simply because "the context for the first item may be the boundary itself", and therefore this effect would emerge naturally from a temporal context model that incorporates the full task structure as the "items."
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors food-deprived male and female mice and observed a much stronger reduction of leptin levels, energy consumption in the visual cortex, and visual coding performance in males than females. This indicates a sex-specific strategy for the regulation of the energy budget in the face of low food availability.
Strengths:
This study extends a previous study demonstrating the effect of food deprivation on visual processing in males, by providing a set of clear experimental results, demonstrating the sex-specific difference. It also provides hypotheses about the strategy used by females to reduce energy budget based on the literature.
Weaknesses:
The authors do not provide evidence that females are not impacted by visually guided behaviors contrary to what was shown in males in the previous study.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Te Rietmolen et al., investigated the selectivity of cortical responses to speech and music stimuli using neurosurgical stereo EEG in humans. The authors address two basic questions: 1. Are speech and music responses localized in the brain or distributed; 2. Are these responses selective and domain specific or rather domain general and shared. To investigate this, the study proposes a nomenclature of shared responses (speech and music responses are not significantly different), domain selective (one domain is significant from baseline and the other is not), domain preferred (both are significant from baseline but one is larger than the other and significantly different from each other). The authors employ this framework using neural responses across the spectrum (rather than focusing on high gamma), providing evidence for a low level of selectivity across spectral signatures. To investigate the nature of the underlying representations they use encoding models to predict neural responses (low and high frequency) given a feature space of the stimulus envelope or peak rate (by time delay) and find stronger encoding for both in the low frequency neural responses. The top encoding electrodes are used as seeds for a pair-wise connectivity (coherence) in order to repeat the shared/selective/preferred analysis across the spectra, suggesting low selectivity. Spectral power and connectivity are also analyzed on the level of regional patient population to rule out (and depict) any effects driven by a select few patients. Across analyses the authors consistently show a paucity of domain selective responses and when evident these selective responses were not represented across the entire cortical region. The authors argue that speech and music mostly rely on shared neural resources.
Strengths:
I found this manuscript to be rigorous providing compelling and clear evidence towards shared neural signatures for speech and music. The use of intracranial recordings provides an important spatial and temporal resolution that lends itself to the power, connectivity and encoding analyses. The statistics and methods employed are rigorous and reliable, estimated based on permutation approaches and cross-validation/regularization was employed and reported properly. The analysis of measures across the entire spectra in both power, coherence and encoding models provides a comprehensive view of responses that no doubt will benefit the community as an invaluable resource. Analysis on the level of patient population (feasible with their high N) per region also supports the generalizability of the conclusions across a relatively large cohort of patients. Last but not least, I believe the framework of selective, preferred, and shared is a welcome lens through which to investigate cortical function.
Weaknesses:
I did not find methodological weaknesses in the current version of the manuscript. I do believe that it is important to highlight that the data is limited to passively listening to naturalistic speech and music. The speech and music stimuli are not completely controlled with varying key acoustic features (inherent to the different domains). Overall, I found the differences in stimulus and lack of attentional controls (passive listening) to be minor weaknesses that would not dramatically change the results or conclusions.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this article, Gao et. al. uses single-molecule FRET (smFRET) and position-specific labelling of RNA (PLOR) to dissect the folding and behavioral ligand sensing of the Guanidine-IV riboswitch in the presence and absence of the ligand guanidine and the cation Mg2+. Results provided valuable information on the mechanistic aspects of the riboswitch, including the confirmation on the kissing loop present in the structure as essential for folding and riboswitch activity. Co-transcriptional investigations of the system provided key information on the ligand-sensing behavior and ligand-binding window of the riboswitch. A plausible folding model of the Guanidine-IV riboswitch was proposed as a final result. The evidence presented here sheds additional light into the mode of action of transcriptional riboswitches.
Strengths:
The investigations were very thorough, providing data that supports the conclusions. The use of smFRET and PLOR to investigate RNA folding has been shown to be a valuable tool to the understand of folding and behavior properties of these structured RNA molecules. The co-transcriptional analysis brought important information on how the riboswitch works, including the ligand-sensing and the binding window that promotes the structural switch. The fact that investigations were done with the aptamer domain, aptamer domain + terminator/anti-terminator region, and the full length riboswitch were essential to inform how each domain contributes to the final structural state if in the presence of the ligand and Mg2+.
Weaknesses:
The system has its own flaws when comparing to physiological conditions. The RNA polymerase used (the study uses T7 RNA polymerase) is different from the bacterial RNA polymerase, not only on complexity, but also in transcriptional speed, that can direct interfere with folding and ligand-sensing. Additionally, rNTPs concentrations were much lower than physiological concentrations during transcription, likely causing a change in the polymerase transcriptional speed. These important aspects and how they could interfere with results are important to be addressed to the broad audience. Another point of consideration to be aware is that the bulky fluorophores attached to the nucleotides can interfere with folding to some extent.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Weng and colleagues investigated the association between attention-related connectivity and substance use. They conducted a study with a sizable sample of over 1,000 participants, collecting longitudinal data at ages 14, 19, and 23. Their findings indicate that behaviors and brain connectivity linked to sustained attention at age 14 forecasted subsequent increases in cigarette and cannabis use from ages 14 to 23. However, early substance use did not predict future attention levels or attention-related connectivity strength.
Strengths:
The study's primary strength lies in its large sample size and longitudinal design spanning three time-points. A robust predictive analysis was employed, demonstrating that diminished sustained attention behavior and connectivity strength predict substance use, while early substance use does not forecast future attention-related behavior or connectivity strength.
Weaknesses:
It's questionable whether the prediction approach (i.e., CPM), even when combined with longitudinal data, can establish causality. I recommend removing the term 'consequence' in the abstract and replacing it with 'predict'. Additionally, the paper could benefit from enhanced rigor through additional analyses, such as testing various thresholds and conducting lagged effect analyses with covariate regression.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript by Kyusang Yoo et al. "Muscle-resident mesenchymal progenitors sense and repair peripheral nerve injury via the GDNF-BDNF axis" investigates the role and mechanisms of fibro-adipogenic progenitors (FAPs), that are muscle-resident mesenchymal progenitors, in the maturation and maintenance of the neuromuscular system. There is earlier evidence that absence of FAPs or its functional decline with age cause smaller regenerated myofibers. Role of FAPs on peripheral nerve regeneration is very poorly studied. This study has translational importance because traumatic injury to the peripheral nerve can cause lifelong paralysis of the injured limb.
This manuscript provides data indicating that GDNF-BDNF axis plays an important role in peripheral nerve regeneration and function.
Strengths:
Because the role of FAPs on peripheral nerve regeneration is very poorly studied this investigation is a major step towards understanding the mechanism on the role of FAPs. They use scRNA-seq, animal models, and cKO mice that is also important. This study has translational importance because traumatic injury to the peripheral nerve can cause lifelong paralysis of the injured limb.<br /> This is an interesting and original study focusing on the role of FAPs and indicating that GDNF-BDNF axis plays an important role in peripheral nerve regeneration and function.
Weaknesses:
In Fig. 1 and 2 authors provide data on scRNA seq and this is important information reporting the finding of RET and GFRa1 transcripts in the subpopulation of FAP cells. However, authors provide no data on the expression of RET and GFRa1 proteins in FAP cells.<br /> Another problem is the lack of information showing that GDNF secreted by Schwann cells can activate RET and its down-stream signaling in FAP cells.<br /> There is no direct experimental proof that GDNF activating GFRa1-RET signaling triggers BDNF upregulation In FAP cells.<br /> The data that GDNF signaling is inducing the synthesis and secretion of BDNF is also not conclusive.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors have tested for and demonstrated a physical (i.e., sensory nerves to the brain) connection between tumors and parts of the brain. This can explain why there is an increase in depressive disorders in HNSCC patients. While connections such as this have been suspected, this is a novel demonstration pointing to sensory neurons that is accompanied by a remarkable amount of complementary data.
Strengths:
There is substantial evidence provided for the hypotheses tested. The data are largely quite convincing.
Weaknesses:
The authors mention in their Discussion the need for additional experiments. Could they also include / comment on the potential impact on the anti-tumor immune system in their model?
Minor:
The authors mention the importance of inflammation contributing to pain in cancer but do not clearly highlight how this may play a role in their model. Can this be clarified?
The tumor model apparently requires isoflurane injection prior to tumor growth measurements. This is different from most other transplantable types of tumors used in the literature. Was this treatment also given to control (i.e., non-tumor) mice at the same time points? If not, can the authors comment on the impact of isoflurane (if any) in their model?
The authors emphasize in several places that this is a male mouse model. They mention this as a limitation in the Discussion. Was there an original reason why they only tested male mice?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This valuable study shows that shorter episodes (2 minutes duration) of energy depletion, as it occurs in ischemia, could lead to long-lasting dysregulation of synaptic transmission with presynaptic alterations of glutamate release at the CA3-CA1 synapses. A longer duration of chemical ischemia (5 minutes) permanently suppresses synaptic transmission. By using electrophysiological approaches, including field and patch clamp recordings, combined with imaging studies, the authors demonstrated that 2 minutes of chemical ischemia leads to a prolonged potentiation of synaptic activity with a long-lasting increase of glutamate release from presynaptic terminals. This was observed as an increase in iGluSnFR fluorescence, a sensor for glutamate expressed selectively on hippocampal astrocytes by viral injection. The increase in iGluSnFR fluorescence upon 2-minute chemical ischemia could not be ascribed to an altered glutamate uptake, which is unaffected by both 2-minute and 5-minute chemical ischemia. The presynaptic increase in glutamate release upon short episodes of chemical ischemia is confirmed by a reduced inhibitory effect of the competitive antagonist gamma-D-glutamylglycine on AMPA receptor-mediated postsynaptic responses. Fiber volley durations in field recording are prolonged in slices exposed to 2 min chemical ischemia. The authors interpret this data as an indication that the increase in glutamate release could be ascribed to a prolongation of the presynaptic action potential possibly due to inactivation of voltage-dependent K+ channels. However, more direct evidence is needed to support this hypothesis fully. This research highlights an important mechanism by which altered ionic homeostasis underlying metabolic failure can impact on neuronal activity. Moreover, it also showed a different vulnerability of mechanisms involved in glutamatergic transmission with a marked resilience of glutamate uptake to chemical ischemia.
Strengths:
(1) The authors use a variety of experimental techniques ranging from electrophysiology to imaging to study the contribution of several mechanisms underlying the effect of chemical ischemia on synaptic transmission.
(2) The experiments are appropriately designed and clearly described in the figures and in the text.
(3) The controls are appropriate.
Weaknesses:
- The data on fiber volley duration should be supported by more direct measurements to prove that chemical ischemia increases presynaptic Ca2+ influx due to a presynaptic broadening of action potentials. Given the influence that positioning of the stimulating and recording electrode can have on the fiber volley properties, I found this data insufficient to support the assumption of a relationship between increased iGluSnFR fluorescence, action potential broadening, and increased presynaptic Ca2+ levels.
- The results are obtained in an ex-vivo preparation, it would be interesting to assess if they could be replicated in vivo models of cerebral ischemia.
Impact:
This study provides a more comprehensive view of the long-term effects of energy depletion during short episodes of experimental ischemia leading to the notion that not only post-synaptic changes, as reported by others, but also presynaptic changes are responsible for long-lasting modification of synaptic transmission. Interestingly, the direction of synaptic changes is bidirectional and dependent on the duration of chemical ischemia, indicating that different mechanisms involved in synaptic transmission are differently affected by energy depletion.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript by Tie et al. provides a quantitative assessment of intra-Golgi transport of diverse cargos. Quantitative approaches using fluorescence microscopy of RUSH synchronized cargos, namely GLIM and measurement of Golgi residence time, previously developed by the author's team (publications from 20216 to 2022), are being used here.
Most of the results have been already published by the same team in 2016, 2017, 2020 and 2021. In this manuscript, very few new data have been added. The authors have put together measurements of intra-Golgi transport kinetics and Golgi residence time of many cargos. The quantitative results are supported by a large number of Golgi mini-stacks/cells analyzed. They are discussed with regard to the intra-Golgi transport models being debated in the field, namely the cisternal maturation/progression model and the stable compartments model. However, over the past decades, the cisternal progression model has been mostly accepted thanks to many experimental data.
The authors show that different cargos have distinct intra-Golgi transport kinetics and that the Golgi residence time of glycosyltransferases is high. From this and the experiment using brefeldinA, the authors suggest that the rim progression model, adapted from the stable compartments model, fits with their experimental data.
Strengths:
The major strength of this manuscript is to put together many quantitative results that the authors previously obtained and to discuss them to give food for thought about the intra-Golgi transport mechanism.<br /> The analysis by fluorescence microscopy of intra-Golgi transport is tough and is a tour de force of the authors even if their approach show limitations, which are clearly stated. Their work is remarkable in regards to the numbers of Golgi markers and secretory cargos which have been analyzed.
Weaknesses:
As previously mentioned, most of the data provided here were already published and thus accessible for the community. Is there is a need to publish them again?<br /> The authors' discussion about the intra-Golgi transport model is rather simplistic. In the introduction, there is no mention of the most recent models, namely the rapid partitioning and the rim progression models. To my opinion, the tubular connections between cisternae and the diffusion/biochemical properties of cargos are not enough taken into account to interpret the results. Indeed, tubular connections and biochemical properties of the cargos may affect their transit through the Golgi and the kinetics with which they reach the TGN for Golgi exit.<br /> Nocodazole is being used to form Golgi mini-stacks, which are necessary to allow intra-Golgi measurement. The use of nocodazole might affect cellular homeostasis but this is clearly stated by the authors and is acceptable as we need to perturb the system to conduct this analysis. However, the manual selection of the Golgi mini-stack being analyzed raises a major concern. As far as I understood, the authors select the mini-stacks where the cargo and the Golgi reference markers are clearly detectable and separated, which might introduce a bias in the analysis.<br /> The terms 'Golgi residence time ' is being used but it corresponds to the residence time in the trans-cisterna only as the cargo has been accumulated in the trans-Golgi thanks to a 20{degree sign}C block. The kinetics of disappearance of the protein of interest is then monitored after 20{degree sign}C to 37{degree sign}C switch.<br /> Another concern also lies in the differences that would be introduced by different expression levels of the cargo on the kinetics of their intra-Golgi transport and of their packaging into post-Golgi carriers.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study employs an optogenetics approach aimed at activating oncogene (KRASG12V) expression in a single somatic cell, with a focus on following the progression of activated cell to examine tumourigenesis probabilities under altered tissue environments. The research explores the role of stemness factors (VENTX/NANOG/OCT4) in facilitating oncogenic RAS (KRASG12V)-driven malignant transformations. Although the evidence provided are incomplete, the authors propose an important mechanism whereby reactivation of re-programming factors correlates with the increased likelihood of a mutant cell undergoing malignant transformation.
Strengths:
· Innovative Use of Optogenetics: The application of optogenetics for precise activation of KRAS in a single cell is valuable to the field of cancer biology, offering an opportunity to uncover insight into cellular responses to oncogenic mutations.<br /> · Important Observations: The findings concerning stemness factors' role in promoting oncogenic transformation are important, contributing data to the field of cancer biology.
Weaknesses:
Lack of Methodological Clarity: The manuscript lacks detailed descriptions of methodologies, making it difficult to fully evaluate the experimental design and reproducibility, rendering incomplete evidence to support the conclusion. Improving methodological transparency and data presentation will crucially strengthen the paper's contributions to understanding the complex processes of tumourigenesis.<br /> Sub-optimal Data Presentation and Quality:
The resolution of images throughout the manuscript are too low. Images presented in Figure 2 and Figure 4 are of very low resolution. It is very hard to distinguish individual cells and in which tissue they might reside.<br /> Lack of quantitative data and control condition data obtained from images of higher magnification limits the ability to robustly support the conclusions.
Here are some details:<br /> · Tissue specificity of the cells express KRASG12V oncogene: In this study, the ubiquitin promoter was used to drive oncogenic KRASG12V expression. Despite this, the authors claim to activate KRAS in a single brain cell based on their localized photo-activation strategy. However, upon reviewing the methods section, the description was provided that 'Localized uncaging was performed by illumination for 7 minutes on a Nikon Ti microscope equipped with a light source peaking at 405 nm, Figure 1. The size of the uncaging region was controlled by an iris that defines a circular illumination with a diameter of approximately 80 μm.' It is surprising that an epi-fluorescent microscope with an illumination diameter of around 80μm can induce activation in a single brain cell beneath skin tissue. Additionally, given that the half-life for mTFP maturation is around 60 minutes, it is likely that more cells from a variety of different lineages could be activated, but the fluorescence would not be visible until more than 1-hour post-illumination. Authors might want to provide more evidence to support their claim on the single cell KRAS activation.<br /> · Stability of cCYC: The manuscript does not provide information on the half-life and stability of cCYC. Understanding these properties is crucial for evaluating the system's reliability and the likelihood of leakiness, which could significantly influence the study's outcomes.<br /> · Metastatic Dissemination claim: Typically, metastatic cancer cells migrate to and proliferate within specific niches that are conducive to outgrowth, such as the caudal hematopoietic tissue (CHT) or liver. In figure 3 A, an image showing the presence of mTFP expressing cells in both the head and tail regions of the larva, with additional positive dots located at the fin fold. This is interpreted as "metastasis" by the authors. However, the absence of a supportive cellular compartment within the fin-fold tissue makes the presence of mTFP-positive metastatic cells there particularly puzzling. This distribution raises concerns about the spatial specificity of the optogenetic activation protocol.<br /> The unexpected locations of these signals suggest potential ectopic activation of the KRAS oncogene, which could be occurring alongside or instead of targeted activation. This issue is critical as it could affect the interpretation of whether the observed mTFP signal expansion over time is due to actual cell proliferation and infiltration, or merely a result of ectopic RAS transgene activation.<br /> · Image Resolution Concerns: The cells depicted in Figure 3C β, which appear to be near the surface of the yolk sac and not within the digestive system as suggested in the MS, underscore the necessity for higher-resolution imaging. Without clearer images, it is challenging to ascertain the exact locations and states of these cells, thus complicating the assessment of experimental results.<br /> · The cell transplantation experiment is lacking protocol details: The manuscript does not adequately describe the experimental protocols used for cell transplantation, particularly concerning the origin and selection of cells used for injection into individual larvae. This omission makes it difficult to evaluate the reliability and reproducibility of the results. Such as the source of transplanted cells:<br /> • If the cells are derived from hyperplastic growths in larvae where RAS and VX (presumably VENTX) were locally activated, the manuscript fails to mention any use of fluorescence-activated cell sorting (FACS) to enrich mTFP-positive cells. Such a method would be crucial for ensuring the specificity of the cells being studied and the validity of the results.<br /> • If the cells are obtained from whole larvae with induced RAS + VX expression, it is notable and somewhat surprising that the larvae survived up to six days post-induction (6dpi) before cells were harvested for transplantation. This survival rate and the subsequent ability to obtain single cell suspensions raise questions about the heterogeneity of the RAS + VX expressing cells that transplanted.<br /> · Unclear Experimental Conditions in Figure S3B: The images in Figure S3B lack crucial details about the experimental conditions. It is not specified whether the activation of KRAS was targeted to specific cells or involved whole-body exposure. This information is essential for interpreting the scope and implications of the results accurately.<br /> · Contrasting Data in Figure S3C compared to literature: The graph in Figure S3C indicates that KRAS or KRAS + DEX induction did not result in any form of hyperplastic growth. This observation starkly contrasts with previous literature where oncogenic KRAS expression in zebrafish led to significant hyper-proliferation and abnormal growth, as evidenced by studies such as those published in and Neoplasia (2018), DOI: 10.1016/j.neo.2018.10.002; Molecular Cancer (2015), DOI: 10.1186/s12943-015-0288-2; Disease Models & Mechanisms (2014) DOI: 10.1242/dmm.007831. The lack of expected hyperplasia raises questions about the experimental setup or the specific conditions under which KRAS was expressed. The authors should provide detailed descriptions of the conditions under which the experiments were conducted in Figure S3B and clarifying the reasons for the discrepancies observed in Figure S3C are crucial. The authors should discuss potential reasons for the deviation from previous reports.
Further comments:
Throughout the study, KRAS-activated cell expansion and metastasis are two key phenotypes discussed that Ventx is promoting. However, the authors did not perform any experiments to directly show that KRAS+ cells proliferate only in Ventx-activated conditions. The authors also did not show any morphological features or time-lapse videos demonstrating that KRAS+ cells are motile, even though zebrafish is an excellent model for in vivo live imaging. This seems to be a missed opportunity for providing convincing evidence to support the authors' conclusions.
There were minimal experimental details provided for the qPCR data presented in the supplementary figures S5 and S6, therefore, it is hard to evaluate result obtained.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript Menon, Adhikari, and Mondal analyze explicit solvent molecular dynamics (MD) computer simulations of the intrinsically disordered protein (IDP) alpha-synuclein in the presence and absence of a small molecule ligand, Fasudil, previously demonstrated to bind alpha-synuclein by NMR spectroscopy without inducing folding into more ordered structures. In order to provide insight into the binding mechanism of Fasudil the authors analyze an unbiased 1500us MD simulation of alpha-synuclein in the presence of Fasudil previously reported by Robustelli et.al. (Journal of the American Chemical Society, 144(6), pp.2501-2510). The authors compare this simulation to a very different set of apo simulations: 23 separate1-4us simulations of alpha-synuclein seeded from different apo conformations taken from another previously reported by Robustelli et. al. (PNAS, 115 (21), E4758-E4766), for a total of ~62us.
To analyze the conformational space of alpha-synuclein - the authors employ a variational auto-encoder (VAE) to reduce the dimensionality of Ca-Ca pairwise distances to 2 dimensions, and use the latent space projection of the VAE to build Markov state Models. The authors utilize k-means clustering to cluster the sampled states of alpha-synuclein in each condition into 180 microstates on the VAE latent space. They then coarse grain these 180 microstates into a 3-macrostate model for apo alpha-synuclein and a 6-macrostate model for alpha-synuclein in the presence of fasudil using the PCCA+ course graining method. Few details are provided to explain the hyperparameters used for PCCA+ coarse graining and the rationale for selecting the final number of macrostates.
The authors analyze the properties of each of the alpha-synuclein macrostates from their final MSMs - examining intramolecular contacts, secondary structure propensities, and in the case of alpha-synuclein:Fasudil holo simulations - the contact probabilities between Fasudil and alpha-synuclein residues.
The authors utilize an additional variational autoencoder (a denoising convolutional VAE) to compare denoised contact maps of each macrostate, and project onto an additional latent space. The authors conclude that their apo and holo simulations are sampling distinct regions of the conformational space of alpha-synuclein projected on the denoising convolutional VAE latent space.
Finally, the authors calculate water entropy and protein conformational entropy for each microstate. To facilitate water entropy calculations - the author's take a single structure from each macrostate - and ran a 20ps simulation at a finer timestep (4 femtoseconds) using a previously published method (DoSPT), which computes thermodynamic properties of water from MD simulations using autocorrelation functions of water velocities. The authors report that water entropy calculated from these individual 20ps simulations is very similar.
For each macrostate the authors compute protein conformational entropy using a previously published Maximum Information Spanning tree approach based on torsion angle distributions - and observe that the estimated protein conformational entropy is substantially more negative for the macrostates of the holo ensemble.
The authors calculate mean first passage times from their Markov state models and report a strong correlation between the protein conformational entropy of each state and the mean first passage time from each state to the highest populated state.
As the authors observe the conformational entropy estimated from macrostates of the holo alpha-synuclein:Fasudil is greater than those estimated from macrostates of the apo holo alpha-synuclein macrostates - they suggest that the driving force of Fasudil binding is an increase in the conformational entropy of alpha-synuclein. No consideration/quantification of the enthalpy of alpha-synuclein Fasudil binding is presented.
Strengths:
The author's utilize MD simulations run with an appropriate force field for IDPs (a99SB-disp and a99SB-disp water (Robustelli et. al, PNAS, 115 (21), E4758-E4766) - which has previously been used to perform MD simulations of alpha-synuclein that have been validated with extensive NMR data.
The contact probability between Fasudil and each alpha-synuclein residue observed in the previously performed 1500us MD simulation of alpha-synuclein in the presence of Fasudil (Robustelli et. al., Journal of the American Chemical Society, 144(6), pp.2501-2510) was previously found to be in good agreement with experimental NMR chemical shift perturbations upon Fasudil binding - suggesting that this simulation is a reasonable choice for understanding IDP:small molecule interactions.
Weaknesses:
Major Weakness 1: Simulations of apo alpha-synuclein and holo simulations of alpha-synuclein and fasudil are not comparable.
The most robust way to determine how presence of Fasudil affects the conformational ensemble of alpha-synuclein conclusions is to run apo and holo simulations of the same length from the same starting structures using the same simulation parameters.
The 23 1-4 us independent simulations of apo alpha-synuclein and the long unbiased 1500us alpha-synuclein in the presence of fasudil are not directly comparable. The starting structures of simulations used to build a Markov state model to describe apo alpha-synuclein were taken from a previously reported 73us MD simulation of alpha-synuclein run with the a99SB-disp force field and water model) with 100mM NaCl, (Robustelli et. al, PNAS, 115 (21), E4758-E4766). As the holo simulation of alpha-synuclein and Fasudil was run in 50mM NaCl, snapshots from the original apo alpha-synuclein simulation were resolvated with 50mM NaCl - and new simulations were run.
No justification is offered for how starting structures were selected. We have no sense of the conformational variability of the starting structures selected and no sense of how these conformations compare to the alpha-synuclein conformations sampled in the holo simulation in terms of standard structural descriptors such as tertiary contacts, secondary structure, radius of gyration (Rg), solvent exposed surface area etc. (we only see a comparison of projections on an uninterpretable non-linear latent-space and average contact maps). Additionally, 1-4 us is a relatively short timescale for a simulation of a 140 residue IDP- and one is unlikely to see substantial evolution for many structural properties of interest (ie. secondary structure, radius of gyration, tertiary contacts) in simulations this short. Without any information about the conformational space sample in the 23 apo simulations (aside from a projection on an uninterpretable latent space)- we have no way to determine if we observe transitions between distinct states in these short simulations, and therefore if it is possible the construct a meaningful MSM from these simulations.
If the structures used for apo simulations are on average more compact or contain more tertiary contacts - then it is unsurprising that in short independent simulations they sample a smaller region of conformational space. Similarly, if the starting structures have similar dimensions - but we only observe extremely local sampling around starting structures in apo simulations in the short simulation times - it would also not be surprising that we sample a smaller amount of conformational space. By only presenting comparisons of conformational states on an uninformative VAE latent space - it is not possible for a reader to ask simple questions about how the conformational ensembles compare.
It is noted that the authors attempt to address questions about sampling by building an MSM of single contiguous 60us portion of the holo simulation of alpha-synuclein and Fasudil - noting that:
"the MSM built using lesser data (and same amount of data as in water) also indicated the presence of six states of alphaS in presence of fasudil, as was observed in the MSM of the full trajectory. Together, this exercise invalidates the sampling argument and suggests that the increase in the number of metastable macrostates of alphaS in fasudil solution relative to that in water is a direct outcome of the interaction of alphaS with the small molecule."
However, the authors present no data to support this assertion - and readers have no sense of how the conformational space sampled in this portion of the trajectory compares to the conformational space sampled in the independent apo simulations or the full holo simulation. As the analyzed 60us portion of the holo trajectory may have no overlap with conformational space sampled in the independent apo simulations - it is unclear if this control provides any information. There is no quantification of the conformational entropy of the 6 states obtained from this portion of the holo trajectory or the full conformational space sampled. No information is presented to determine if we observe similar states in the shorter portion of the holo trajectory. Furthermore - as the authors provide almost no justification for the criteria used to select of the final number of macrostates for any of the MSMs reported in this work- and the number of macrostates is effectively a free parameter in the PCCA+ method, arriving at an MSM with 6 macrostates does not convey any information about the conformational entropy of alpha-synuclein in the presence or absence of ligands. Indeed - the implied timescale plot for 60us holo MSM (Figure S2) - shows that at least 10 processes are resolved in the 120 microstate model - and there is no information to provided explaining/justifying how a final 6-macrostate model was determined. The authors also do not project the conformations sampled in this sub- trajectory onto the latent space of the final VAE.
One certainly expects that an MSM built with 1/20th of the simulation data should have substantial differences from an MSM built from the full trajectory - so failing additional information and hyperparameter justification - one wonders if the emergence of a 6-state model could be the direct result of hardcoded VAE and MSM construction hyperparameter choices.
Required Controls For Supporting the Conclusions of the Study: The authors should initiate apo and holo simulations from the same starting structures - using the same simulation software and parameters. This could be done by adding a Fasudil ligand to the apo structures - or by removing the Fasudil ligand from a subset of holo structures. This would enable them to make apples-to-apples comparisons about the effect of Fasudil on alpha-synuclein conformational space.
Failing to add direct apples-to-apples comparisons, which would be required to truly support the studies conclusions, the authors should at least compare the conformational space sampled in the independent apo simulations and holo simulations using standard interpretable IDP order parameters (ie. Rg, end-to-end distance, secondary structure order parameters) and/or principal components from PCA or tICA obtained from the holo simulation. The authors should quantify the number of transitions observed between conformational states in their apo simulations. The authors could also perform more appropriate holo controls, without additional calculations, by taking batches of a similar number of short 1-4us segments of simulations used to compute the apo MSMs and examining how the parameters/macrostates of the holo MSMs vary with the input with random selections.
Major Weakness 2: There is little justification of how the hyperparameters MSMs were selected. It is unclear if the results of the study depend on arbitrary hyperparameter selections such as the final number of macrostates in each model.
It is unclear what criteria were used to determine the appropriate number of microstates and macrostates for each MSM. Most importantly - as all analyses of water entropy and conformational entropy are restricted to the final macrostates - the criteria used to select the final number of macrostates with the PCCA+ are extremely important to the results of the conclusions of the study. From examining the ITS plots in Figure 3 - it seems both MSMs show the same number of resolved processes (at least 11) - suggesting that a 10-state model could be apropraite for both systems. If one were to simply select a large number of macrostates for the 20x longer holo simulation - do these states converge to the same conformational entropy as the states seen in the short apo simulations? Is there some MSM quality metric used to determine what number of macrostates is more appropriate?
Required Controls For Supporting the Conclusions of the Study: The authors should specify the criteria used to determine the appropriate number of microstates and macrostates for their MSMs and present controls that demonstrate that the conformational entropies calculated for their final states are not simply a function of the ratio of the number macrostates chosen to represent very disparate amounts of conformational sampling.
Major Weakness 3: The use of variational autoencoders (VAEs) obscures insights into the underlying conformational ensembles of apo and holo alpha-synuclein rather than providing new ones.
No rationale is offered for the selection of the VAE architecture or hyperparameters used to reduce the dimensionality of alpha-synuclein conformational space.
It is not clear the VAEs employed in this study are providing any new insight into the conformational ensembles and binding mechanisms of Fasudil to alpha-synuclein, or if the underlying latent space of the VAEs are more informative or kinetically meaningful than standard linear dimensionality reduction techniques like PCA and tICA. The initial VAE is used to reduce the dimensionality of alpha-synuclein conformational ensembles to 2 degrees of freedom - but it is unclear if this projection is structurally or kinetically meaningful. It is not clear why the authors choice to use a 2-dimeinsional projection instead of a higher number of dimensions to build their MSMs. Can they produce a more kinetically and structurally meaningful model using a higher dimensional VAE latent space?
Additionally - it is not clear what insights are provided by the Denoising Convolutional Variational Autoencoder. The authors appear to be noising-and-denoising the contact maps of each macrostate, and then projecting the denoised values onto a new latent space - and commenting that they are different. Does this provide additional insight that looking at the contact maps in Figures 4&5 does not? Is this more informative than examining the distribution of the Radii of gyration or the secondary structure propensities of each ensemble? It is not clear what insight this analysis adds to the manuscript.
Suggested controls to improve the study: The authors should project interpretable IDP structural descriptors (ie. secondary structure, radius of gyration, secondary structure content, # of intramolecular contacts, # of intermolecular contacts between alpha-synuclein and Fasudil ) onto this latent space to illustrate if any of these properties are meaningful separated by the VAE projection. The authors should compare these projections, and MSMs built from these projections, to projections and MSMs built from projections using standard linear dimensionality projection techniques like PCA and tICA.
Major Weakness 4: The MSMs produced in this study have large discrepancies with MSMs previously produced on the same dataset by the same authors that are not discussed.
Previously - two of the authors of this manuscript (Menon and Mondal) authored a preprint titled "Small molecule modulates α-synuclein conformation and its oligomerization via Entropy Expansion" (https://www.biorxiv.org/content/10.1101/2022.10.20.513005v1.full) that analyzed the same 1500us holo simulation of alpha-synuclein binding Fasudil. In this study - they utilized the variational approach to Markov processes (VAMP) to build an MSM using a 1D order parameter as input (the radius of gyration), first discretizing the conformational space into 300 microstates before similarly building a 6 macrostate model. From examining the contact maps and secondary structure propensities of the holo MSMs from the current study and the previous study- some of the macrostates appear similar, however there appear to be orders of magnitude differences in the timescales of conformational transitions between the two models. The timescales of conformational transitions in the previous MSM are on the order of 10s of microseconds, while the timescales of transitions in this manuscript are 100s-1000s microseconds. In the previous manuscript, a 3 state MSM is built from an apo α-synuclein obtained from a continuous 73ms unbiased MD simulation of alpha-synuclein run at a different salt concentration (100mM) and an additional 33 ms of shorter simulations. The apo MSM from the previous study similarly reports very fast timescales of transitions between apo states (on the order ~1ms) - while the MSM reported in the current study (Figure 9) are on the order of 10s-100s of microseconds).
These discrepancies raise further concerns that the properties of the MSMs built on these systems are extremely sensitive to the chosen projection methods and MSM modeling choices and hyperparameters, and that neither model may be an accurate description of the true underlying dynamics
Suggestions to improve the study: The authors should discuss the discrepancies with the MSMs reported in their previous studies.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript by Chang, Quinodoz and Brangwynne describes the results of live cell imaging of fluorescently labeled Alu element genomic sites in combination with H2B-GFP marked chromatin in human cancer cells. The study includes dCas9 based genomic engineering for Suntag enhanced Alu element labeling. The motion of Alu elements and chromatin was analyzed in real time at 500 ms intervals over 1 min at high resolution. Advanced image analysis algorithms were developed.
The main objective of the study is to understand how motion of euchromatin or active chromatin relates to chromatin density. Alu elements, which are spread throughout the genome are used as a proxy for euchromatin or also A compartments. The study finds that Alu-rich chromatin is more mobile than Alu poor one and that actinomycin but not flavopyridol or alpha amanitin cause some decrease in the determined mobility. The authors emphasize the heterogeneity of motion, Alu clustering and chromatin density underscoring the complexity of the problem.
Although the topic is important and the imaging well performed, the study lacks depth and does not provide any truly new insights into our understanding of the link between genome activity and mobility nor diffusive behavior of the chromatin fiber in situ. Although the approach to record context dependent dynamics based on segmentation of pixels of varying intensity is elegant, the analysis of the trajectories requires further explanation and justification to be able to interpret the results. Important information on the biology of the engineered cell lines is lacking. Presented results are not discussed with respect to existing literature and knowledge.
Major concerns:<br /> - Are Alu elements a good proxy for A compartments? What consequences do massive dCas9 tags have on the genome and the engineered cells? How does the bulky dCas9-Suntag label impact mobility and transcription of Alu elements themselves? How many off target sites are potentially labeled?
(1) The authors should state the size of the dCas9-Suntag construct and perform FRAP analysis to compare the tag's behavior to the one of H2B-GFP<br /> (2) dCas9 locally unwinds DNA and is strongly bound to its target sequence impeding polymerase progression.<br /> (3) The authors need to check if DNA breaks are induced. An immunofluorescence using a gH2AX antibody is a minimum in all conditions tested. DNA breaks largely affect chromatin mobility which is a topic of major debate (see PMC5769766, PMID33061931).<br /> (4) The authors need to confirm that in dCas/sgAlu cells Alu elements are still transcribed similarly to wt cells (transcriptome or at least some qPCR).<br /> (5) Please compare H2B-GFP mobility of sgAlu tagged and untagged cells.<br /> (6) Figure 1D shows significant background in the Cut&run sgAlu line compared to H3K4me3 line. Are these off target sites? Was the H3K4me3 Cut&run performed in the engineered cell line? Did the authors test another guide RNA? Non-specific binding could also contribute to the observed heterogeneity in the measured dynamics.<br /> (7) Figure 3G shows that H2B MSND at tau=5s is high for high H2B density independently of Alu density questioning the value of using Alu sg tagging as a proxy for euchromatin.
- What are the physical principles of the measured motion? What is the rationale for the MSND analyses deployed in this study?<br /> (1) Please provide the equation used for MSND (seems to be different from the standard MSD one).<br /> (2) Figure 3: all MSD curves have a slope suggesting an alpha exponent significantly smaller than 0.5 reminiscent of subdiffusion (example panels A and E compare thick line to slope of the triangle bottom right). Please explain. Is it gaussian noise? Confinement? This was seen before for faster acquisition rates, but still requires explanation and interpretation.<br /> (3) What is the rationale for choosing the value at τ =5 s? Figure 3 panel E shows large variations in the MSND at all time points, curves do not start at the same lag time.<br /> (4) Figure S5 shows that for Alu elements, alpha is close to 0.5 at τ =<1 s but lower for larger tau, the relationship to intensity is inverse as well. Please explain.<br /> (5) It would be important to show the D values of your estimations. Plots for MSD curves in non log scale are important to be presented to show if there are different diffusion regimes (such as in Figure 4).<br /> (6) It is mentioned that the "Our measurements of total chromatin dynamics at lag time τ = 5 s are typically on the order of 10-2 μm2 (Figure 3 A, B), in agreement with past studies (Shaban et al., 2020; Zidovska et al., 2013)". This is inaccurate as both cited studies were performed at different time lags 0.2 sec. Change in time lag is supposed to show different diffusion behaviour. For consistency, the comparison should be done at the same time lag and the same number of analyzed video frames.<br /> (7) The study applies the MSND analysis for different time lags starting from 0.5 s to 11 s for videos of 60 s. Change in the number of data points affects the accuracy to calculate the diffusion coefficient. What is the impact of this uncertainty on the results and conclusions?
- Inhibition of polymerase 2 activity increases mobility as was shown before.<br /> (1) Figure 4: change in motion following alpha amanitin and Flavopiridol treatments recapitulate results from the Maeshima group (Nagashima 2019). Data shown for actinomycin treated cells appear extreme. A huge drop in H2B MSND (panel B and D). Please ensure that the cells are still alive after 4-6h exposure to ActD. ActD also affects cytoskeleton and replication, so different conclusion may be drawn if cells are still alive.<br /> (2) Treatment effects could also be enhanced should dCas9/ sgAlu induce massive DNA damage (see above). Check H2B-GFP motion in cells (both treated and not) not labeled with sgAlu.
- Positioning with respect to the literature:<br /> (1) The introduction, first paragraph is oversimplified, please review the literature citing work performed by many groups in the field using H2B-GFP, telomere or single site labeling in the past 10 years. Give details on the cell type used (mouse or human normal or cancer cells, amplified signals or single genes, same cell or cells at different stages of development, methodologies from whole genome to single particle tracking etc.).<br /> (2) The manuscript claims to introduce a novel mapping of the spatiotemporal dynamics of the A compartment in living cells. However, the authors did not discuss other previous approaches that were developed for the same purpose. The dynamic motion of active transcription chromatin domains/A compartment over the whole nucleus was investigated in different studies that used Mintbody labeling, please check PMCID: PMC7926250, PMCID: PMC8647360, PMID: 27534817, PMCID: PMC8491620<br /> (3) PIV applies a relatively large interrogation window size of micrometers to estimate the displacement vectors. Dynamic changes within the set window can include both A and B compartments, where the contribution of genomic processes to local chromatin motion, typically taking place at the nanometer scale, is missed. The Hi-D method ( PMCID: PMC7168861) introduced an Optical Flow approach to overcome this limitation of PIV (PMCID: PMC6061878 ). Could the authors test if Hi-D method to analyze the movies recorded in this study confirms their conclusions?
Heterogeneity of chromatin dynamics independent of chromatin density was shown by previous studies such as PMCID: PMC7775763 , and PMCID: PMC7168861 . Could the authors discuss their findings in the context of these studies?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The research by Qianqian Ju et al. found that the knockdown of TAK1 promoted ESCC migration and invasion, whereas overexpression of TAK1 resulted in the opposite outcome. These in vitro findings could be recapitulated in a xenograft metastasis mouse model.
Mechanistically, TAK1 phosphorylates PLCE1 S1060 in the cells, decreasing PLCE1 enzyme activity and repressing PIP2 hydrolysis. As a result, reducing DAG and inositol IP3, thereby suppressing signal transduction of PKC/GSK 3β/β Catenin. Consequently, cancer metastasis-related genes were impeded by TAK1.
Overall, this study offers some intriguing observations. Providing a potential druggable target for developing agents for dealing with ESCC.
The strengths of this research are:
(1) The research always uses different experimental approaches to address one question. The experiments are largely convincing and appear to be well executed.<br /> (2) The phenotypes were observed from different angles: at the mouse model, cellular level, and molecular level.<br /> (3) The molecular mechanism was down to a single amino acid modification on PLCE1.
The weaknesses part of this research are:
(1) Most of the phenotypes are only observed in the ECA-109 cell line. Whether TAK1-PLCE1 S1060 is a common pathway in other ESCC cells or just specific to the ECA-109 cell line is unclear. Using more cell lines to see whether this is a common mechanism of ESCC metastasis would greatly amplify the impact of this finding.<br /> (2) Most of the experiments were done in protein overexpression conditions, with the protein level increasing hundreds of folds in the cell, producing an artificial environment that would sometimes generate false positive results.<br /> (3) Whether TAK1 can directly phosphorylate PLCE1 S1060 needs more tests, especially the in vitro biochemical evidence.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, the authors used a Drosophila model to show that exposure to repetitive mild TBI causes neurodegenerative conditions that emerge late in life and disproportionately affect females. In addition to well-known age-dependent impact, the authors identified Sex Peptide (SP) signaling as a key factor in female susceptibility to post-injury brain deficits.
Strengths:
The authors have presented a compelling set of results showing that female Sex Peptide signaling adversely affects late-life neurodegeneration after early-life exposure to repetitive mild head injury in Drosophila. They have (1) compared the phenotypes of adult male and female flies sustaining TBI at different ages, and the phenotypes of virgin females and mated females, (2) compared the phenotypes of eliminating SP signaling in mating females and introducing SP-signaling into virgin females, (3) compared transcriptomic changes of different groups in response to TBI. The results are generally consistent and robust.
Weaknesses:
The authors have made their claims largely based on assaying climbing index and vacuole formation as the only indicators of late-life neurodegeneration after TBI. However, these phenotypes are not really specific to TBI-related neurodegeneration, and the significance and mechanisms of especially vacuole formation are not clear. The authors should perform additional analyses on TBI-related neurodegeneration in flies, which have been shown before (Genetics. 2015 Oct; 201(2): 377-402). Furthermore, it is also really surprising to see so few DEGs even in wild-type males and mated females, and to see that none of the DEGs overlapped among groups or are even related to the SP-signaling. This raises questions about the validity of the RNA-seq analysis. It is critical to independently verify their RNA-sequencing results and to add some more molecular evidence to support their conclusion. Finally, it is unknown what the implication of female fly mating and its associated Sex Peptide signaling would be to mammalians or humans, and what are the mechanisms underlying the sexual dimorphism.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript uses high-content imaging and advanced image-analysis tools to monitor the infection of epithelial cells by Shigella. They perform some analysis on the state of the cells (through measurements of DNA and protein synthesis), and then they focus on differential recruitment of Sept7 to the bacteria. They link this recruitment with the activity of the bacterial T3SS, which is a very interesting discovery. Overall, I found numerous exciting elements in this manuscript, and I have a couple of reservations. Please see below for more details on my reservations. Nevertheless, I think that these issues can be addressed by the authors, and doing so will help to make it a convincing and interesting piece for the community working on intracellular pathogens. The authors should also carefully re-edit their manuscript to avoid overselling their data (see below for issues I see there). I would consider taking out the first figure and starting with Figure 3 (Figure 2 could be re-organized in the later parts)- that could help to make the flow of the manuscript better.
Strengths:
The high-content analysis including the innovative analytical workflows are very promising and could be used by a large number of scientists working on intracellular bacteria.
The finding that Septins (through SEPT7) are differentially regulated through actively secreting bacteria is very exciting and can steer novel research directions.
Weaknesses:
The manuscript makes a connection between two research lines (1: Shigella infection and DNA/protein synthesis, 2: regulation of septins around invading Shigella) that are not fully developed - this makes it sometimes difficult to understand the take-home messages of the authors.
It is not clear whether the analysis that was done on projected images actually reflects the phenotypes of the original 3D data. This issue needs to be carefully addressed.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors synthesized a compound which can inhibit ELF3 and MED23 interaction which leads to inhibition of HER2 expression in gastric cancer.
Strengths:
Enough evidence shows the potency of compound 10 in inhibiting ELF3 and MED23 interaction.
Weaknesses:
Compound 10 potency as PPI inhibitor has been shown in only one cell line NCI-N87.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Genetic manipulation of Leishmania has some challenges, including some limitations in the DNA repair strategies that are present in the organism and the absence of RNA interference in many species. The senior author has contributed significantly to expanding the available routes towards Leishmania genetic manipulation by developing and adapting CRISPR-Cas9 tools to allow gene manipulation via DNA double-strand break repair and, more recently, base modification. This work seeks to improve on some limitations in the tools previously described for the latter approach of base modification leading to base change.
The work in the paper is meticulously described, with solid evidence for most of the improvements that are claimed: Figure1 clearly describes reduced impairment in the growth of parasites expressing sgRNAs via changes in promoters; Figures 2 and 3 compellingly document the usefulness of using AsCas12a for integration after transformation; and Figures 1 and 4 demonstrate the capacity of the combined modifications to efficiently edit a gene in three different Leishmania species. There is little doubt these new tools will be adopted by the Leishmania community, adding to the growing arsenal of approaches for genetic manipulation.
There are two weaknesses the authors may wish to address, one smaller and one larger.
(1) The main advance claimed here is in this section title: 'Integration of CBE sgRNA expression cassettes via AsCas12a ultra-introduced DSBs increase editing rates', with the evidence for this presented in Figure 4. It is hard work in the submission to discern what direct evidence there is for editing rates being improved relative to earlier, Cas9-based approaches. Did they directly compare the editing by the new and old approach? If not, can they more clearly explain how they are able to make this claim, either by adding text or a new figure? A side-by-side comparison would emphasise the advance of the new approach more clearly.
(2) The ultimate, stated goal of this work is (abstract) to 'enable a variety of loss-of-function screens', as the older approach had some limitations. This goal is not tested for the new tools that have been developed here; the experiment in Figure 5 merely shows that they can, not unexpectedly, make a gene mutant, which was already possible with available tools. Thus, to what extent is this paper describing a step forward? Why have the authors not run an experiment - even the same one that was described previously in Engstler and Beneke (2023) - to show that the new approach improves on previous tools in such a screen, either in scale or accuracy?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The goal of this study is to understand how, unlike other mammals, kangaroos are able to increase hopping speed without a concomitant increase in metabolic cost. They use a biomechancial analysis of kangaroo hopping data across a range of speeds to investigate how posture, effective mechanical advantage, and tendon stress vary with speed and mass. The main finding is that a change in posture leads to increasing effective mechanical advantage with speed, which ultimately increases tendon elastic energy storage and returns via greater tendon strain. Thus kangaroos may be able to conserve energy with increasing speed by flexing more, which increases tendon strain.
Strengths:
The approach and effort invested into collecting this valuable dataset of kangaroo locomotion is impressive. The dataset alone is a valuable contribution.
Weaknesses:
Despite these strengths, I have concerns regarding the strength of the results and the overall clarity of the paper and methods used (which likely influences how convincingly the main results come across).
(1) The paper seems to hinge on the finding that EMA decreases with increasing speed and that this contributes significantly to greater tendon strain estimated with increasing speed. It is very difficult to be convinced by this result for a number of reasons:<br /> • It appears that kangaroos hopped at their preferred speed. Thus the variability observed is across individuals not within. Is this large enough of a range (either within or across subjects) to make conclusions about the effect of speed, without results being susceptible to differences between subjects? In the literature cited, what was the range of speeds measured, and was it within or between subjects?<br /> • Assuming that there is a compelling relationship between EMA and velocity, how reasonable is it to extrapolate to the conclusion that this increases tendon strain and ultimately saves metabolic cost? They correlate EMA with tendon strain, but this would still not suggest a causal relationship (incidentally the p-value for the correlation is not reported). Tendon strain could be increasing with ground reaction force, independent of EMA. Even if there is a correlation between strain and EMA, is it not a mathematical necessity in their model that all else being equal, tendon stress will increase as ema decreases? I may be missing something, but nonetheless, it would be helpful for the authors to clarify the strength of the evidence supporting their conclusions.<br /> • The statistical approach is not well-described. It is not clear what the form of the statistical model used was and whether the analysis treated each trial individually or grouped trials by the kangaroo. There is also no mention of how many trials per kangaroo, or the range of speeds (or masses) tested. Related to this, there is no mention of how different speeds were obtained. It seems that kangaroos hopped at a self-selected pace, thus it appears that not much variation was observed. I appreciate the difficulty of conducting these experiments in a controlled manner, but this doesn't exempt the authors from providing the details of their approach.<br /> • Some figures (Figure 2 for example) present means for one of three speeds, yet the speeds are not reported (except in the legend) nor how these bins were determined, nor how many trials or kangaroos fit in each bin. A similar comment applies to the mass categories. It would be more convincing if the authors plotted the main metrics vs. speed to illustrate the significant trends they are reporting.
(2) The significance of the effects of mass is not clear. The introduction and abstract suggest that the paper is focused on the effect of speed, yet the effects of mass are reported throughout as well, without a clear understanding of the significance. This weakness is further exaggerated by the fact that the details of the subject masses are not reported.
(3) The paper needs to be significantly re-written to better incorporate the methods into the results section. Since the results come before the methods, some of the methods must necessarily be described such that the study can be understood at some level without turning to the dedicated methods section. As written, it is very difficult to understand the basis of the approach, analysis, and metrics without turning to the methods.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This is an interesting paper investigating fMRI changes during sensory (visual, tactile) stimulation and absence seizures in the GAERS model. The results are potentially important for the field and do suggest that sensory stimulation may not activate brain regions normally during absence seizures. However the findings are limited by substantial methodological issues that do not enable fMRI signals related to absence seizures to be fully disentangled from fMRI signals related to the sensory stimuli.
Strengths:
Investigating fMRI brain responses to sensory stimuli during absence seizures in an animal model is a novel approach with potential to yield important insights.
Use of an awake, habituated model is a valid and potentially powerful approach.
The major difficulty with interpreting the results of this study is that the duration of the visual and tactile stimuli were 6 seconds, which is very close to the mean seizure duration per Table 1. Therefore the HRF model looking at fMRI responses to visual or auditory stimuli occurring during seizures was simultaneously weighting both seizure activity and the sensory (visual or auditory) stimuli over the same time intervals on average. The resulting maps and time courses claiming to show fMRI changes from visual or auditory stimulation during seizures will therefore in reality contain some mix of both sensory stimulation-related signals and seizure-related signals. The main claim that the sensory stimuli do not elicit the same activations during seizures as they do in the interictal period may still be true. However the attempts to localize these differences in space or time will be contaminated by the seizure related signals.
In their repeated responses to this comment the authors have stated that some seizures had longer than average duration, and that they have attempted to model the effects of both seizures and sensory stimulation. However these factors do not mitigate the concern because the mean duration of seizures and sensory stimulation remain nearly identical, and the models used therefore will not be able to effectively separate signals related to seizures and related to sensory stimulation. Hemodynamic models can never in reality represent underlying signals in an orthogonal manner, and are only indirectly related to neural activity.
The only way to truly address the important weakness of this study would be to repeat the experiments using stimulus durations that do not match mean seizure duration, e.g. with much shorter duration stimuli.
The authors have clarified and improved the figure images and their description in the text based on previous specific comments. However, the main weakness in the results remains as summarized above.
Minor comments:
Aside from the concerns listed as weaknesses above which were not addressed, most of the more minor comments were addressed by the authors in the resubmissions. However, the comment made twice previously regarding Figure 6-figure supplement 1 was not addressed. It remains impossible to see any firing rate changes elicited by sensory stimuli during the ictal period in parts E and F of the figure vs. parts B and C (interictal), due to the very different scales used. The seizure signals should be removed or accounted for by the model so that any possible sensory stimulus-related signals could be seen, and/or displayed on the same scale as firing rates without seizures. The authors have simply restated their opinion that it is better to include the SWD dynamics in these figures parts, however this makes the figure wholly unconvincing. It is also concerning that part D (ictal), which is in fact shown on the same scale as part A (interictal), actually shows larger firing rates for both excitatory and inhibitory neurons in visual cortex for sensory stimulation during seizures. This contradicts the claims in the rest of the paper that neural activity and fMRI signals are smaller or are even decreased in visual cortex with sensory stimulation during seizures compared to the interictal period.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript reports an experiment that compared groups of rats acquisition and performance of a Pavlovian bi-conditional discrimination, in which the presence of one cue, A, signals that the presentation of one CS, X, will be followed by a reinforcer and a second CS, Y, will be nonreinforced. Periods of cue A alternated with periods of cue B, which signaled the opposite relationship, cue X is nonreinforced and cue Y is reinforced. This is a conditional discrimination problem in which the rats learned to approach the food cup in the presence of each CS conditional on the presence of the third background cue. The comparison groups consisted of the same conditional discrimination with the exception that each CS was paired with a different reinforcer. This makes the problem easier to solve as the background is now priming a differential outcome. A third group received simple discrimination training of X reinforced and Y nonreinforced in cues A and B, and the final group were trained with X and Y reinforced on half the trials (no discrimination). The results were clear that the latter two discrimination learning procedures resulted in rapid learning in comparison to the first. Rats required about 3 times as many 4-session blocks to acquire the bi-conditional discrimination than the other two discrimination groups. Within the biconditional discrimination group, female and male rats spent the same amount of time in the food cup during the rewarded CS, but females spent more time in the food cup during CS- than males. The authors interpret this as a deficit in discrimination performance in females on this task and use a measure that exaggerates the difference in CS+ and CS_ responding (a discrimination ratio) to support their point. When tested after acute restraint stress, the male rats spent less time in the food cup during the reinforced CS in comparison to the female rats, but did not lose discrimination performance entirely. The was also some evidence of more fos positive cells in the orbitofrontal cortex in females. Overall, I think the authors were successful in documenting performance on the biconditional discrimination task, showing that it is more difficult to perform than other discriminations is valuable and consistent with the proposal that accurate performance requires encoding of conditional information (which the authors refer to as "context"). There is evidence that female rats spend more time in the food cup during CS-, but this I hesitate to agree that this is an important sex difference. There is no cost to spending more time in the food cup during CS- and they spend much less time there than during CS+. Males and females also did not differ in their CS+ responding, suggesting similar levels of learning, A number of factors could contribute to more food cup time in CS-, such as smaller body size and more locomotor activity. The number of food cup entries during CS+ and CS- was not reported here. Nevertheless, I think the manuscript will make a useful contribution to the field and hopefully lead readers to follow up on these types of tasks. One area for development would be to test the associative properties of the cues controlling the conditional discrimination, can they be shown to have the properties of Pavlovian occasion setting stimuli? Such work would strengthen the justification/rationale for using the term "context" and "occasion setter" to refer to these stimuli in this task in the way the authors do in this paper.
Strengths:
Nicely designed and conducted experiment.<br /> Documents performance difference by sex.
Weaknesses:
Overstatement of sex differences.<br /> Inconsistent, confusing, and possibly misleading use of terms to describe/imply the underlying processes contributing to performance.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This work examined efference copy related to eye movements in healthy adults who have high autistic traits. Efference copies allow the brain to make predictions about sensory outcomes of self-generated actions, and thus serve important roles in motor planning and maintaining visual stability. Consequently, disrupted efference copies have been posited as a potential mechanism underlying motor and sensory symptoms in psychopathology such as Autism Spectrum Disorder (ASD), but so far very few studies have directly investigated this theory. Therefore, this study makes an important contribution as an attempt to fill in this knowledge gap. The authors conducted two eye-tracking experiments examining the accuracy of motor planning and visual perception following a saccade, and found that participants with high autistic traits exhibited worse task performance (i.e., less accurate second saccade and biased perception of object displacement), consistent with their hypothesis of less impact of efference copies on motor and visual updating. Moreover, the motor and visual biases are positively correlated, indicative of a common underlying mechanism. These findings are promising and can have important implications for clinical intervention, if they can be replicated in a clinical sample.
Strengths:
The authors utilized well-established and rigorously designed experiments and sound analytic methods. This enables easy translations between similar work in non-human primates and humans and readily points to potential candidates for underlying neural circuits that could be further examined in follow-up studies (e.g., superior colliculus, frontal eye fields, mediodorsal thalamus). The finding of no association between initial saccade accuracy and level of autistic trait in both experiments also serves as an important control analysis and increases one's confidence in the conclusion that the observed differences in task performance were indeed due to disrupted efference copies, not confounding factors such as basic visual/motor deficits or issues with working memory. The strong correlation between the observed motor and visual biases further strengthens the claim that the findings from both experiments may be explained by the same underlying mechanism - disrupted efference copies. Lastly, the authors also presented a thoughtful and detailed mechanistic theory of how efference copy impairment may lead to ASD symptomatology, which can serve as a nice framework for more research into the role of efference copies in ASD.
Weaknesses:
Although the paper has a lot of strengths, the main weakness of the paper is that a direct link with sensory/motor symptoms cannot be established. As the authors have discussed, the most likely symptoms resulting from disrupted efference copies would be sensory overload and motor inflexibility. The measure used to quantify the level of autistic traits, Autistic Quotient (AQ), does not capture any sensory or motor characteristics of the Autism spectrum. Therefore, it is unknown whether those scored high on AQ in this study experienced high, or even any, sensory or motor difficulties. In other words, more evidence is needed to demonstrate a direct link between disrupted efference copies and sensory/motor symptoms in ASD.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, Manley and Vaziri designed and built a Fourier light-field microscope (fLFM) inspired by previous implementations but improved and exclusively from commercially available components so others can more easily reproduce the design. They combined this with the design of novel algorithms to efficiently extract whole-brain activity from larval zebrafish brains.
This new microscope was applied to the question of the origin of behavioral variability. In an assay in which larval zebrafish are exposed to visual dots of various sizes, the fish respond by turning left or right or not responding at all. Neural activity was decomposed into an activity that encodes the stimulus reliably across trials, a 'noise' mode that varies across trials, and a mode that predicts tail movements. A series of analyses showed that trial-to-trial variability was largely orthogonal to activity patterns that encoded the stimulus and that these noise modes were related to the larvae's behavior.
To identify the origins of behavioral variability, classifiers were fit to the neural data to predict whether the larvae turned left or right or did not respond. A set of neurons that were highly distributed across the brain could be used to classify and predict behavior. These neurons could also predict spontaneous behavior that was not induced by stimuli above chance levels. The work concludes with findings on the distributed nature of single-trial decision-making and behavioral variability.
Strengths:
The design of the new fLFM microscope is a significant advance in light-field and computational microscopy, and the open-source design and software are promising to bring this technology into the hands of many neuroscientists.
The study addresses a series of important questions in systems neuroscience related to sensory coding, trial-to-trial variability in sensory responses, and trial-to-trial variability in behavior. The study combines microscopy, behavior, dynamics, and analysis and produces a well-integrated analysis of brain dynamics for visual processing and behavior. The analyses are generally thoughtful and of high quality. This study also produces many follow-up questions and opportunities, such as using the methods to look at individual brain regions more carefully, applying multiple stimuli, investigating finer tail movements and how these are encoded in the brain, and the connectivity that gives rise to the observed activity. Answering questions about variability in neural activity in the entire brain and its relationship to behavior is important to neuroscience and this study has done that to an interesting and rigorous degree.
Points of improvement and weaknesses:
The results on noise modes may be a bit less surprising than they are portrayed. The orthogonality between neural activity patterns encoding the sensory stimulus and the noise modes should be interpreted within the confounds of orthogonality in high-dimensional spaces. In higher dimensional spaces, it becomes more likely that two random vectors are almost orthogonal. Since the neural activity measurements performed in this study are quite high dimensional, a more explicit discussion is warranted about the small chance that the modes are not almost orthogonal.
The conclusion that sparsely distributed sets of neurons produce behavioral variability needs more investigation because the way the results are shown could lead to some misinterpretations. The prediction of behavior from classifiers applied to neural activity is interesting, but the results are insufficiently presented for two reasons.
(1) The neurons that contribute to the classifiers (Figures 4H and J) form a sufficient set of neurons that predict behavior, but this does not mean that neurons outside of that set cannot be used to predict behavior. Lasso regularization was used to create the classifiers and this induces sparsity. This means that if many neurons predict behavior but they do so similarly, the classifier may select only a few of them. This is not a problem in itself but it means that the distributions of neurons across the brain (Figures 4H and J) may appear sparser and more distributed than the full set of neurons that contribute to producing the behavior. This ought to be discussed better to avoid misinterpretation of the brain distribution results, and an alternative analysis that avoids the confound could help clarify.
(2) The distribution of neurons is shown in an overly coarse manner in only a flattened brain seen from the top, and the brain is divided into four coarse regions (telencephalon, tectum, cerebellum, hindbrain). This makes it difficult to assess where the neurons are and whether those four coarse divisions are representative or whether the neurons are in other non-labeled deeper regions. For these two reasons, some of the statements about the distribution of neurons across the brain would benefit from a more thorough investigation.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Taking advantage of the existence in fish of two genes coding for estrogen synthase, the enzyme aromatase, one mostly expressed in the brain (Cyp19a1b) and the other mostly found in the gonads (Cyp19a1a), this study investigates the role of neuro-estrogens in the control of sexual and aggressive behavior in teleost fish. The constitutive deletion of Cyp19a1b reduced brain estrogen content by 87% in males and about 50% in females. It led to reduced sexual and aggressive behavior in males and reduced sexual behavior in females. These effects are reversed by adult treatment with estradiol thus indicating that they are activational in nature. The deletion of Cyp19a1b is associated with a reduced expression of the genes coding for the two androgen receptors, ara, and arb, in brain regions involved in the regulation of social behavior. The analysis of the gene expression and behavior of mutants of estrogen receptors indicates that these effects are likely mediated by the activation of the esr1 and esr2a isoforms. These results provide valuable insight into the role of neuro-estrogens in social behavior in the most abundant vertebrate taxa. While estrogens are involved in the organization of the brain and behavior of some birds and rodents, neuro-estrogens appear to play an activational role in fish through a facilitatory action of androgen signaling.
Strengths:
- Evaluation of the role of brain "specific" Cyp19a1 in male teleost fish, which as a taxa are more abundant and yet proportionally less studied than the most common birds and rodents. Therefore, evaluating the generalizability of results from higher vertebrates is important. This approach also offers great potential to study the role of brain estrogen production in females, an understudied question in all taxa.
- Results obtained from multiple mutant lines converge to show that estrogen signaling drives aspects of male sexual behavior.
- The comparative discussion of the age-dependent abundance of brain aromatase in fish vs mammals and its role in organization vs activation is important beyond the study of the targeted species.
Weaknesses:
- The new transgenic lines are under-characterized. There is no evaluation of the mRNA and protein products of Cyp19a1b and ESR2a.
- The stereotypic sequence of sexual behavior is poorly described, in particular, the part played by the two sexual partners, such that the conclusions are not easily understandable, notably with regards to the distinction between motivation and performance. The behavior of females is only assessed from the perspective of the male, which raises questions about the interpretation of the reduced behavior of the males.<br /> At no point do the authors seem to consider that a reduced behavior of one sex could result from a reduced sensory perception from this sex or a reduced attractivity or sensory communication from the other sex.
- Aspects of the methods are not detailed enough to allow proper evaluation of their quality or replication of the data.
- It seems very dangerous to use the response to a mutant abnormal behavior (ESR2-KO females) as a test, given that it is not clear what is the cause of the disrupted behavior.
- Most experiments are weakly powered (low sample size) and analyzed by multiple T-tests while 2 way ANOVA could have been used in several instances. No mention of T or F values, or degrees of freedom.
- The variability of the mRNA content for the same target gene between experiments (genotype comparison vs E2 treatment comparison) raises questions about the reproducibility of the data (apparent disappearance of genotype effect).
- The discussion confuses the effects of estrogens on sexual differentiation (developmental programming = permanent) and activation (= reversible activation of brain circuits in adulthood) of the brain and behavior. Whether sex differences in the circuits underlying social behaviors exist is not clear.
Conclusions :
Overall, the claims regarding the activational role of neuro-estrogens on male sexual behavior are supported by converging evidence from multiple mutant lines. The role of neuroestrogens on gene expression in the brain is mostly solid too. The data for females are comparatively weaker. Conclusions regarding sexual differentiation should be considered carefully.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This study explores the use of an adenine base editing strategy to knock down PTBP1 in astrocytes and neurons of a Parkinson's disease mouse model, as a potential AAV-BE therapy. The results indicate that editing Ptbp1 in neurons, but not astrocytes, leads to the formation of tyrosine hydroxylase (TH)+ cells, rescuing some motor symptoms.
Several aspects of the manuscript stand out positively. Firstly, the clarity of the presentation. The authors communicate their ideas and findings in a clear and understandable manner, making it easier for readers to follow.
The Materials and methods section is well-elaborated, providing sufficient detail for reproducibility.
The logical flow of the manuscript makes sense, with each section building upon the previous one coherently.
The ABE strategy employed by the authors appears sound, and the manuscript presents a coherent and well-supported argument.
Positively, some of the data in this study effectively counteracts previous work in line with more recent publications, demonstrating the authors' ability to contribute to the ongoing conversation in the field.
However, while the in vitro data yields promising results, it may have been overly optimistic to assume that the efficiencies observed in dividing cells will directly translate to in vivo conditions. This consideration is important given the added complexities of vector optimization, different cell types targeted in vitro versus in vivo, as well as unknown intrinsic limitations of the base editing technology.
In addition, certain aspects of the manuscript would benefit from a more in-depth and comprehensive discussion rather than being only briefly touched upon. Such a discussion would enhance the relevance of the obtained results and provide the foundation for improvement when using similar approaches.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Zhang et al. explored strategies for aligning electrophysiological recordings from high-density laminar electrode arrays (Neuropixels) with the pattern of lamination across cortical depth in macaque primary visual cortex (V1), with the goal of improving the spatial resolution of layer identification based on electrophysiological signals alone. The authors compare the current commonly used standard in the field - current source density (CSD) analysis - with a new set of measures largely derived from action potential (AP) frequency band signals. Individual AP band measures provide distinct cues about different landmarks or potential laminar boundaries, and together they are used to subdivide the spatial extent of array recordings into discrete layers, including the very thin layer 4A, a level of resolution unavailable when relying on CSD analysis alone for laminar identification. The authors compare the widths of the resulting subdivisions with previously reported anatomical measurements as evidence that layers have been accurately identified. This is a bit circular, given that they also use these anatomical measurements as guidelines limiting the boundary assignments; however, the strategy is overall sensible and the electrophysiological signatures used to identify layers are generally convincing. Furthermore, by varying the pattern of visual stimulation to target chromatically sensitive inputs known to be partially segregated by layer in V1, they show localized response patterns that lend confidence to their identification of particular sublayers.
The authors compellingly demonstrate the insufficiency of CSD analysis for precisely identifying fine laminar structure, and in some cases its limited accuracy at identifying coarse structure. CSD analysis produced inconsistent results across array penetrations and across visual stimulus conditions and was not improved in spatial resolution by sampling at high density with Neuropixels probes. Instead, in order to generate a typical, informative pattern of current sources and sinks across layers, the LFP signals from the Neuropixels arrays required spatial smoothing or subsampling to approximately match the coarser (50-100 µm) spacing of other laminar arrays. Even with smoothing, the resulting CSDs in some cases predicted laminar boundaries that were inconsistent with boundaries estimated using other measures and/or unlikely given the typical sizes of individual layers in macaque V1. This point alone provides an important insight for others seeking to link their own laminar array recordings to cortical layers.
They next offer a set of measures based on analysis of AP band signals. These measures include analyses of the density, average signal spread, and spike waveforms of single- and multi-units identified through spike sorting, as well as analyses of AP band power spectra and local coherence profiles across recording depth. The power spectrum measures in particular yield compact peaks at particular depths, albeit with some variation across penetrations, whereas the waveform measures most convincingly identified the layer 6-white matter transition. In general, some of the new measures yield inconsistent patterns across penetrations, and some of the authors' explanations of these analyses draw intriguing but rather speculative connections to properties of anatomy and/or responsivity. However, taken as a group, the set of AP band analyses appear sufficient to determine the layer 6-white matter transition with precision and to delineate intermediate transition points likely to correspond to actual layer boundaries.
Strengths:
The authors convincingly demonstrate the potential to resolve putative laminar boundaries using only electrophysiological recordings from Neuropixels arrays. This is particularly useful given that histological information is often unavailable for chronic recordings. They make a clear case that CSD analysis is insufficient to resolve the lamination pattern with the desired precision and offer a thoughtful set of alternative analyses, along with an order in which to consider multiple cues in order to facilitate others' adoption of the strategy. The widths of the resulting layers bear a sensible resemblance to the expected widths identified by prior anatomical measurements, and at least in some cases there are satisfying signatures of chromatic visual sensitivity and latency differences across layers that are predicted by the known connectivity of the corresponding layers. Thus, the proposed analytical toolkit appears to work well for macaque V1 and has strong potential to generalize to use in other cortical regions, though area-targeted selection of stimuli may be required.
Weaknesses:
The waveform measures, and in particular the unit density distribution, are likely to be sensitive to the criteria used for spike sorting, which differ widely among experimenters/groups, and this may limit the usefulness of this particular measure for others in the community. The analysis of detected unit density yields fluctuations across cortical depth which the authors attribute to variations in neural density across layers; however, these patterns seemed particularly variable across penetrations and did not consistently yield peaks at depths that should have high neuronal density, such as layer 2. Therefore, this measure has limited interpretability.
More generally, although the sizes of identified layers comport with typical sizes identified anatomically, a more powerful confirmation would be a direct per-penetration comparison with histologically identified boundaries. Ultimately, the absence of this type of independent confirmation limits the strength of their claim that veridical laminar boundaries can be identified from electrophysiological signals alone.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Yu et al harness the capabilities of mesoscopic 2P imaging to record simultaneously from populations of neurons in several visual cortical areas and measure their correlated variability. They first divide neurons into 65 classes depending on their tuning to moving gratings. They found the pairs of neurons of the same tuning class show higher noise correlations (NCs) both within and across cortical areas. Based on these observations and a model they conclude that visual information is broadcast across areas through multiple, discrete channels with little mixing across them.
NCs can reflect indirect or direct connectivity, or shared afferents between pairs of neurons, potentially providing insight on network organization. While NCs have been comprehensively studied in neuron pairs of the same area, the structure of these correlations across areas is much less known. Thus, the manuscripts present novel insights into the correlation structure of visual responses across multiple areas.
Strengths:
The study uses state-of-the art mesoscopic two-photon imaging.
The measurements of shared variability across multiple areas are novel.
The results are mostly well presented and many thorough controls for some metrics are included.
Weaknesses:
I have concerns that the observed large intra-class/group NCs might not reflect connectivity but shared behaviorally driven multiplicative gain modulations of sensory-evoked responses. In this case, the NC structure might not be due to the presence of discrete, multiple channels broadcasting visual information as concluded. I also find that the claim of multiple discrete broadcasting channels needs more support before discarding the alternative hypothesis that a continuum of tuning similarity explains the large NCs observed in groups of neurons.
Specifically:
Major concerns:
(1) Multiplicative gain modulation underlying correlated noise between similarly tuned neurons
(1a) The conclusion that visual information is broadcasted in discrete channels across visual areas relies on interpreting NC as reflecting, direct or indirect connectivity between pairs, or common inputs. However, a large fraction of the activity in the mouse visual system is known to reflect spontaneous and instructed movements, including locomotion and face movements, among others. Running activity and face movements are some of the largest contributors to visual cortex activity and exert a multiplicative gain on sensory-evoked responses (Niell et al, Stringer et al, among others). Thus, trial-by-fluctuations of behavioral state would result in gain modulations that, due to their multiplicative nature, would result in more shared variability in cotuned neurons, as multiplication affects neurons that are responding to the stimulus over those that are not responding ( see Lin et al, Neuron 2015 for a similar point).
As behavioral modulations are not considered, this confound affects most of the conclusions of the manuscript, as it would result in larger NCs the more similar the tuning of the neurons is, independently of any connectivity feature. It seems that this alternative hypothesis can explain most of the results without the need for discrete broadcasting channels or any particular network architecture and should be addressed to support its main claims.
(1b) In Figure 5 the observations are interpreted as evidence for NCs reflecting features of the network architecture, as NCs measured using gratings predicted NC to naturalistic videos. However, it seems from Figure 5 A that signal correlations (SCs) from gratings had non-zero correlations with SCs during naturalistic videos (is this the case?). Thus, neurons that are cotuned to gratings might also tend to be coactivated during the presentation of videos. In this case, they are also expected to be susceptible to shared behaviorally driven fluctuations, independently of any circuit architecture as explained before. This alternative interpretation should be addressed before concluding that these measurements reflect connectivity features.
(2) Discrete vs continuous communication channels
(2a) One of the author's main claims is that the mouse cortical network consists of discrete communication channels. This discreteness is based on an unbiased clustering approach to the tuning of neurons, followed by a manual grouping into six categories in relation to the stimulus space. I believe there are several problems with this claim. First, this clustering approach is inherently trying to group neurons and discretise neural populations. To make the claim that there are 'discrete communication channels' the null hypothesis should be a continuous model. An explicit test in favor of a discrete model is lacking, i.e. are the results better explained using discrete groups vs. when considering only tuning similarity? Second, the fact that 65 classes are recovered (out of 72 conditions) and that manual clustering is necessary to arrive at the six categories is far from convincing that we need to think about categorically different subsets of neurons. That we should think of discrete communication channels is especially surprising in this context as the relevant stimulus parameter axes seem inherently continuous: spatial and temporal frequency. It is hard to motivate the biological need for a discretely organized cortical network to process these continuous input spaces.
(2b) Consequently, I feel the support for discrete vs continuous selective communication is rather inconclusive. It seems that following the author's claims, it would be important to establish if neurons belong to the same groups, rather than tuning similarity is a defining feature for showing large NCs.
Finally, as stated in point 1, the larger NCs observed within groups than across groups might be due to the multiplicative gain of state modulations, due to the larger tuning similarity of the neurons within a class or group.
Tags
Annotators
URL
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Cells and tissues are viscoelastic materials. However, metabolic processes that underly survival, growth and migration render the cell as an active matter at non-equilibrium. These two facts contribute to the difficulty of probing mechanical properties especially with sub-cellular resolution. However, the concept that the mechanical phenotype can be indicative of normal physiology necessitates approaches of defining the cellular phenotype. Here, Muenker et al evokes a powerful argument for mapping intracellular mechanics using optical tweezer- active microrheology. They present a suite of parameters towards a definition of a mechanical fingerprint. This is a compelling idea. There are some concerns as detailed below
Strengths:
These are technically challenging experiments and the authors provide systematic approaches to probe a system at non-equilibrium.
Weaknesses:
The importance of the mechanical fingerprint is diluted due to some missing controls needed for biological relevance.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this manuscript by Kroll and colleagues, the authors describe combining behavioral pharmacology with sleep profiling to predict disease and potential treatment pathways at play in AD. AD is used here as a case study, but the approaches detailed can be used for other genetic screens related to normal or pathological states for which sleep/arousal is relevant. The data are for the most part convincing, although generally the phenotypes are relatively small and there are no major new mechanistic insights. Nonetheless, the approaches are certainly of broad interest and the data are comprehensive and detailed.
A notable weakness is the introduction, which overly generalizes numerous concepts and fails to provide the necessary background to set the stage for the data.
Major points
(1) The authors should spend more time explaining what they see as the meaning of the large number of behavioral parameters assayed and specifically what they tell readers about the biology of the animal. Many are hard to understand--e.g. a "slope" parameter.
(2) Because in the end the authors did not screen that many lines, it would increase confidence in the phenotypes to provide more validation of KO specificity. Some suggestions include:<br /> a. The authors cite a psen1 and psen2 germline mutant lines. Can these be tested in the FramebyFrame R analysis? Do they phenocopy F0 KO larvae?<br /> b. psen2KO is one of the larger centerpieces of the paper. The authors should present more compelling evidence that animals are truly functionally null. Without this, how do we interpret their phenotypes?<br /> c. Related to the above, for cd2AP and sorl1 KO, some of the effect sizes seem to be driven by one clutch and not the other. In other words, great clutch-to-clutch variability. Should the authors increase the number of clutches assayed?
(3) The authors make the point that most of the AD risk genes are expressed in fish during development. Is there public data to comment on whether the genes of interest are expressed in mature/old fish as well? Just because the genes are expressed early does not at all mean that early-life dysfunction is related to future AD (though this could be the case, of course). Genes with exclusive developmental expression would be strong candidates for such an early-life role, however. I presume the case is made because sleep studies are mainly done in juvenile fish, but I think it is really a pretty minor point and such a strong claim does not even need to be made.
(4) A common quandary with defining sleep behaviorally is how to rectify sleep and activity changes that influence one another. With psen2 KOs, the authors describe reduced activity and increased sleep during the day. But how do we know if the reduced activity drives increased behavioral quiescence that is incorrectly defined as sleep? In instances where sleep is increased but activity during periods during wake are normal or elevated, this is not an issue. But here, the animals might very well be unhealthy, and less active, so naturally they stop moving more for prolonged periods, but the main conclusion is not sleep per se. This is an area where more experiments should be added if the authors do not wish to change/temper the conclusions they draw. Are psen2 KOs responsive to startling stimuli like controls when awake? Do they respond normally when quiescent? Great care must be taken in all models using inactivity as a proxy for sleep, and it can harm the field when there is no acknowledgment that overall health/activity changes could be a confound. Particularly worrisome is the betamethasone data in Figure 6, where activity and sleep are once again coordinately modified by the drug.
(5) The conclusions for the serotonin section are overstated. Behavioural pharmacology purports to predict a signaling pathway disrupted with sorl1 KO. But is it not just possible that the drug acts in parallel to the true disrupted pathway in these fish? There is no direct evidence for serotonin dysfunction - that conclusion is based on response to the drug. Moreover, it is just 1 drug - is the same phenotype present with another SSRI? Likewise, language should be toned down in the discussion, as this hypothesis is not "confirmed" by the results (consider "supported"). The lack of measured serotonin differences further raises concern that this is not the true pathway. This is another major point that deserves further experimental evidence, because without it, the entire approach (behavioral pharm screen) seems more shaky as a way to identify mechanisms. There are any number of testable hypotheses to pursue such as a) Using transient transgenesis to visualize 5HT neuron morphology (is development perturbed: cell number, neurite morphology, synapse formation); b) Using transgenic Ca reporters to assay 5HT neuron activity.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This study from the Flores group aims at understanding neuronal circuit changes during adolescence which is an ill-defined, transitional period involving dramatic changes in behavior and anatomy. They focus on DA innervation of the prefrontal cortex, and their interaction with the guidance cue Netrin-1. They propose DA axons in the PFC increase in the postnatal period, and their density is reduced in a Netrin 1 knockdown, suggesting that Netrin abets the development of this mesocortical pathway. In such mice impulsivity gauged by a go-no-go task is reduced. They then provide some evidence that Unc5c is developmentally regulated in DA axons. Finally they use an interesting hamster model, to study the effect of light hours on mesocortical innervation, and make some interesting observations about the timing of innervation and Unc5c expression, and the fact that females housed in winter day length conditions display an accelerated innervation of the prefrontal cortex.
Comments on the revision. Several points were addressed; some remain to be addressed.
4. It's not clear to me that TH doesn't stain noradrenergic axons in the PFC. See Islam and Blaess, 2021, and references therein.
6. The Netrin knockdown data provided is from a previous study/samples.
8. While the authors make the argument that the behavior is linked to DA, they still haven't formally tested it, in my opinion.
13. Fig 3, UNc 5c levels are not yet quantified. Furthermore, I agree with the previous reviewer that Unc5C knockdown would corroborate key aspects of the model.
New - Developmental trajectory of prefrontal TH-positive axons from early adolescence to adulthood is similar in male and female rats, (Willing Juraska et al., 2017). This needs discussion.
Editors note:<br /> should you choose to revise your manuscript, please include degrees of freedom in your statistical reporting.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors investigate the extent to which the responses of different layers of a vision model (VGG-11) can be linked to the cascade of responses (namely, type-I, type-II, and N400) in the human brain when reading words. To achieve maximal consistency, they add noisy-activations to VGG and finetune it on a character recognition task. In this setup, they observe various similarities between the behavior of VGG and the brain when when presented with various transformations of the words (added noise, font modification, etc).
Strengths:
- The paper is well-written and well-presented.
- The topic studied is interesting.
- The fact that the response of the CNN on unseen experimental contrasts such as adding noise correlated with previous results on the brain is compelling.
Weaknesses:
- The paper is rather qualitative in nature. In particular, the authors show that some resemblance exists between the behavior of some layers and some parts of the brain, but it is hard to quantitively understand how strong the resemblances are in each layer, and the exact impact of experimental settings such as the frequency balancing (which seems to only have a very moderate effect according to Figure 5).
- The experiments only consider a rather outdated vision model (VGG).
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Lin et al., performed a scRNA-seq-based study of tea roots, as an example, to elucidate the biosynthesis and regulatory processes for theanine, a root-specific secondary metabolite, and established the first map of tea roots comprised of 8 cell clusters. Their findings contribute to deepening our understanding of the regulation of the synthesis of important flavor substances in tea plant roots. They have presented some innovative ideas.
It is notable that the authors - based on single-cell analysis results - proposed that TFs and target genes are not necessarily always highly expressed in the same cells. Many of the important TFs they previously identified, along with their target genes (CsTSI or CsAlaDC), were not found in the same cell cluster. Therefore, they proposed a model in which the theanine biosynthesis pathway occurs via multicellular compartmentation and does not require high co-expression levels of transcription factors and their target genes within the same cell cluster. Since it is not known whether the theanine content is absolutely high in the cell cluster 1 containing a high CsAlaDC expression level (due to the lack of cell cluster theanine content determination, which may be a current technical challenge), it is difficult to determine whether this non-coexpressing cell cluster 1 is a precise regulatory mechanism for inhibiting theanine content in plants. In fact, there are actually a small number of cells where TFs and CsAlaDC are simultaneously highly expressed, but the quantity is insufficient to form a separate cluster. However, these few cells may be sufficient to meet the current demands for theanine synthesis. This possibility may better align with some previous experiments and validation results in this study. Moreover, I feel that under normal conditions, plants may not mobilize a large number of cells to synthesize a particular substance. Perhaps, cell cluster 1 is actually a type of cell that inhibits the synthesis of theanine, aiming to prevent excessive theanine production? I do not oppose the model proposed by the author, but I feel there is a possibility as I mentioned. If it seems reasonable, the author may consider adding it to an appropriate position in the discussion.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The aim of the study was to map, a) whether different tissues exhibit different metabolic profiles (this is known already), what differences are found between female and male mice and how the profiles changes with age. In particular, the study recorded the activity of respirasomes, i.e. the concerted activity of mitochondrial respiratory complex chains consisting of CI+CIII2+CIV, CII+CIII2+CIV or CIV alone.
The strength is certainly the atlas of oxidative metabolism in the whole mouse body, the inclusion of the two different sexes and the comparison between young and old mice. The measurement was performed on frozen tissue, which is possible as already shown (Acin-Perez et al, EMBO J, 2020).
Weakness:
The assay reveals the maximum capacity of enzyme activity, which is an artificial situation and may differ from in vivo respiration, as the authors themselves discuss. The material used was a very crude preparation of cells containing mitochondria and other cytosolic compounds and organelles. Thus, the conditions are not well defined and the respiratory chain activity was certainly uncoupled from ATP synthesis. Preparation of more pure mitochondria and testing for coupling would allow evaluation of additional parameters: P/O ratios, feedback mechanism, basal respiration, and ATP-coupled respiration, which reflect in vivo conditions much better. The discussion is rather descriptive and cautious and could lead to some speculations about what could cause the differences in respiration and also what consequences these could have, or what certain changes imply.
Nevertheless, this study is an important step towards this kind of analysis.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study by Jiang et al. aims to establish the streptozotocin (STZ)-induced type 1 diabetes mellitus (T1DM) mouse model in vivo and the STZ-induced pancreatic β cell MIN6 cell model in vitro to explore the protective effects of Eugenol (EUG) on T1DM. The authors tried to elucidate the potential mechanism by which EUG inhibits the NRF2-mediated anti-oxidative stress pathway. Overall, this study is well executed with solid data, offering an intriguing report from animal studies for a potential new treatment strategy for T1DM.
Strengths:
The in vivo efficacy study is comprehensive and solid. Given that STZ-induced T1DM is a devastating and harsh model, the in vivo efficacy of this compound is really impressive.
Weaknesses:
The Mechanism is linked with the anti-oxidant property of the compound, which is common for many natural compounds, such as flavonoids and polyphenol. However, rarely, this kind of compound has been successfully developed into therapeutics in clinical usage. Indeed, if that is the case, Vitamin C or Vitamin E could be used here as the positive control.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, the authors utilize biophysical modeling to investigate differences in free energies and nucleosomal configuration probability density of CpG islands and nonmethylated regions in the genome. Toward this goal, they develop and apply the cgNA+ coarse-grained model, an extension of their prior molecular modeling framework.
Strengths:
The study utilizes biophysical modeling to gain mechanistic insight into nucleosomal occupancy differences in CpG and nonmethylated regions in the genome.
Weaknesses:
Although the overall study is interesting, the manuscripts need more clarity in places. Moreover, the rationale and conclusion for some of the analyses are not well described.
-
-
www.medrxiv.org www.medrxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript from Zhang et al. utilizes a multi-omics approach to analyze lung adenocarcinoma cases in female never smokers from the Xuanwei area (XWLC cohort) compared with cases associated with smoking or other endogenous factors to identify mutational signatures and proteome changes in lung cancers associated with air pollution. Mutational signature analysis revealed a mutation hotspot, EGFR-G719X, potentially associated with BaP exposure, in 20% of the XWLC cohort. This correlated with predicted MAPK pathway activations and worse outcomes relative to other EGFR mutations. Multi-omics clustering, including RNA-seq, proteomics, and phosphoproteomics identified 4 clusters with the XWLC cohort, with additional feature analysis pathway activation, genetic differences, and radiomic features to investigate clinical diagnostic and therapeutic strategy potential for each subgroup. The study, which nicely combines multi-modal omics, presents potentially important findings, that could inform clinicians with enhanced diagnosis and therapeutic strategies for more personalized or targeted treatments in lung adenocarcinoma associated with air pollution. The authors successfully identify four distinct clusters with the XWLC cohort, with distinct diagnostic characteristics and potential targets. However, many validating experiments must be performed, and data supporting BaP exposure linkage to XWLC subtypes is suggestive but incomplete to conclusively support this claim. Thus, while the manuscript presents important findings with the potential for significant clinical impact, the data presented are incomplete in supporting some of the claims and would benefit from validation experiments.
Strengths:
Integration of omics data from multimodalities is a tremendous strength of the manuscript, allowing for cross-modal comparison/validation of results, functional pathway analysis, and a wealth of data to identify clinically relevant case clusters at the transcriptomic, translational, and post-translational levels. The inclusion of phosphoproteomics is an additional strength, as many pathways are functional and therefore biologically relevant actions center around activation of proteins and effectors via kinase and phosphatase activity without necessarily altering the expression of the genes or proteins.
Clustering analysis provides clinically relevant information with strong therapeutic potential both from a diagnostic and treatment perspective. This is bolstered by the individual microbiota, radiographic, wound healing, outcomes, and other functional analyses to further characterize these distinct subtypes.
Visually the figures are well-designed and presented and for the most part easy to follow. Summary figures/histograms of proteogenomic data, and specifically highlighted genes/proteins are well presented.
Molecular dynamics simulations and 3D binding analysis are nice additions.
While I don't necessarily agree with the authors' interpretation of the microbiota data, the experiment and results are very interesting, and clustering information can be gleaned from this data.
Weaknesses:
Statistical methods for assessing significance may not always be appropriate.
Necessary validating experiments are lacking for some of the major conclusions of the paper.
Many of the conclusions are based on correlative or suggestive results, and the data is not always substantive to support them.
Experimental design is not always appropriate, sometimes lacking necessary controls or large disparity in sample sizes.
Conclusions are sometimes overstated without validating measures, such as in BaP exposure association with the identified hotspot, kinase activation analysis, or the EMT function.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript by Goyal et al reports substrate-bound and substrate-free structures of a tripartite ATP-independent periplasmic (TRAP) transporter from a previously uncharacterized homolog, F. nucleatum. This is one of the most mechanistically fascinating transporter families, by means of its QM domain (the domain reported in his manuscript) operating as a monomeric 'elevator', and its P domain functioning as a substrate-binding 'operator' that is required to deliver the substrate to the QM domain; together, this is termed an 'elevator with an operator' mechanism. Remarkably, previous structures had not demonstrated the substrate Neu5Ac bound. In addition, they confirm the previously reported Na+ binding sites and report a new metal binding site in the transporter, which seems to be mechanistically relevant. Finally, they mutate the substrate binding site and use proteoliposomal uptake assays to show the mechanistic relevance of the proposed substrate binding residues.
The structures are of good quality, the functional data is robust, the text is well-written, and the authors are appropriately careful with their interpretations. Determination of a substrate-bound structure is an important achievement and fills an important gap in the 'elevator with an operator' mechanism. Nevertheless, I have concerns with the data presentation, which in its current state does not intuitively demonstrate the discussed findings. Furthermore, the structural analysis appears limited, and even slight improvements in data processing and resulting resolution would greatly improve the authors' claims. I have several suggestions to hopefully improve the clarity and quality of the manuscript.
-
-
link.springer.com link.springer.com
-
Antibody Registry
DOI: 10.1007/978-3-031-44907-9_3
Resource: Antibody Registry (RRID:SCR_006397)
Curator: @bandrow
SciCrunch record: RRID:SCR_006397
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
#35785
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: (BDSC Cat# 35785,RRID:BDSC_35785)
Curator: @maulamb
SciCrunch record: RRID:BDSC_35785
-
#8442
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: (BDSC Cat# 8442,RRID:BDSC_8442)
Curator: @maulamb
SciCrunch record: RRID:BDSC_8442
-
#458
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: (BDSC Cat# 458,RRID:BDSC_458)
Curator: @maulamb
SciCrunch record: RRID:BDSC_458
-
#42753
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: BDSC_42753
Curator: @maulamb
SciCrunch record: RRID:BDSC_42753
-
#51360
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: BDSC_51360
Curator: @maulamb
SciCrunch record: RRID:BDSC_51360
-
#33634
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: BDSC_33634
Curator: @maulamb
SciCrunch record: RRID:BDSC_33634
-
#79212
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: BDSC_79212
Curator: @maulamb
SciCrunch record: RRID:BDSC_79212
-
#34345
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: RRID:BDSC_34345
Curator: @maulamb
SciCrunch record: RRID:BDSC_34345
-
#79211
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: BDSC_79211
Curator: @maulamb
SciCrunch record: RRID:BDSC_79211
-
Bloomington Stock Center
DOI: 10.21203/rs.3.rs-3526342/v1
Resource: Bloomington Drosophila Stock Center (RRID:SCR_006457)
Curator: @maulamb
SciCrunch record: RRID:SCR_006457
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Wu et al. present cryo-EM structures of the potassium channel Kv1.2 in open, C-type inactivated, toxin-blocked and presumably sodium-bound states at 3.2 Å, 2.5 Å, 2.8 Å, and 2.9 Å. The work builds on a large body of structural work on Kv1.2 and related voltage-gated potassium channels. The manuscript presents a plethora of structural work, and the authors are commended on the breadth of the studies. The structural studies are well-executed. Although the findings are mostly confirmatory, they do add to the body of work on this and related channels. Notably, the authors present structures of DTx-bound Kv1.2 and of Kv1.2 in a low concentration of potassium (which may contain sodium ions bound within the selectivity filter). These two structures add considerable new information. The DTx structure has been markedly improved in the revised version and the authors arrive at well-founded conclusions regarding its mechanism of block. Regarding the Na+ structure, the authors claim that the structure with sodium has "zero" potassium - I caution them to make this claim. It is likely that some K+ persists in their sample and that some of the density in the "zero potassium" structure may be due to K+ rather than Na+. This can be clarified by revisions to the text and discussion. I do not think that any additional experiments are needed. Overall, the manuscript is well-written, a nice addition to the field, and a crowning achievement for the Sigworth lab.
Most of this reviewer's initial comments have been addressed in the revised manuscript. Some comments remain that could be addressed by revisions of the text.
Specific comments on the revised version:<br /> Quotations indicate text in the manuscript.<br /> (1) "While the VSD helices in Kv1.2s and the inactivated Kv1.2s-W17'F superimpose very well at the top (including the S4-S5 interface described above), there is a general twist of the helix bundle that yields an overall rotation of about 3o at the bottom of the VSD."
Comment: This seemed a bit confusing. I assume the authors aligned the complete structures - the differences they indicate seem to be slight VSD repositioning relative to the pore rather than differences between the VSD conformations themselves. The authors may wish to clarify. As they point out in the subsequent paragraph, the VSDs are known to be loosely associated with the pore.
(2) Comment: The modeling of DTx into the density is a major improvement in the revision. Figure 3 displays some interactions between the toxin and Kv1.2 - additional side views of the toxin and the channel might allow the reader to appreciate the interactions more fully. The overall fit of the toxin structure into the density is somewhat difficult to assess from the figure. (The authors might consider using ChimeraX to display density and model in this figure.)
(3) "We obtained the structure of Kv1.2s in a zero K+ solution, with all potassium replaced with sodium, and were surprised to find that it is little changed from the K+ bound structure, with an essentially identical selectivity filter conformation (Figure 4B and Figure 4-figure supplement 1)."
Comment: It should be noted in the manuscript that K+ and Na+ ions cannot be distinguished by the cryo-EM studies - the densities are indistinguishable. The authors are inferring that the observed density corresponds to Na+ because the protein was exchanged from K+ into Na+ on a gel filtration (SEC) column. It is likely that a small amount of K+ remains in the protein sample following SEC. I caution the authors to claim that there is zero K+ in solution without measuring the K+ content of the protein sample. Additionally, it should be considered that K+ may be present in the blotting paper used for cryo-EM grid preparation (our laboratory has noted, for example, a substantial amount of Ca2+ in blotting paper). The affinity of Kv1.2 for K+ has not been determined, to my knowledge - the authors note in the Discussion that the Shaker channel has "tight" binding for K+. It seems possible that some portion of the density in the selectivity filter could be due to residual K+. This caveat should be clearly stated in the main text and discussion. More extensive exchange into Na+, such as performing the entire protein purification in NaCl, or by dialysis (as performed for obtaining the structure of KcsA in low K+ by Y. Zhou et al. & Mackinnon 2001), would provide more convincing removal of K+, but I suspect that the Kv1.2 protein would not have sufficient biochemical stability without K+ to endure this treatment. One might argue that reduced biochemical stability in NaCl could be an indication that there was a meaningful amount of K+ in the final sample used for cryo-EM (or in the particles that were selected to yield the final high-resolution structure).
(4) Referring to the structure obtained in NaCl: "The ion occupancy is also similar, and we presume that Kv1.2 is a conducting channel in sodium solution."
Comment: Stating that "Kv1.2 is a conducting channel in sodium solution" and implying that conduction of Na+ is achieved by an analogous distribution of ion binding sites as observed for K+ are strong statements to make - and not justified by the experiments provided. Electrophysiology would be required to demonstrate that the channel conducts sodium in the absence of K+. More complete ionic exchange, better control of the ionic conditions (Na+ vs K+), and affinity measurements for K+ would be needed to determine the distribution of Na+ in the filter (as mentioned above). At minimum, the authors should revise and clarify what the intended meaning of the statement "we presume that Kv1.2 is a conducting channel in sodium solution". As mentioned above, it seems possible/likely that a portion of the density in the filter may be due to K+.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this manuscript, the authors explored the interaction between the pattern recognition receptor MDA5 and 5'ppp-RNA in the Miiuy croaker. They found that MDA5 can serve as a substitute for RIG-I in detecting 5'ppp-RNA of Siniperca cheilinus rhabdovirus (SCRV) when RIG-I is absent in Miiuy croaker. Furthermore, they observed MDA5's recognition of 5'ppp-RNA in chickens (Gallus gallus), a species lacking RIG-I. Additionally, the authors documented that MDA5's functionality can be compromised by m6A-mediated methylation and degradation of MDA5 mRNA, orchestrated by the METTL3/14-YTHDF2/3 regulatory network in Miiuy croaker during SCRV infection. This impairment compromises the innate antiviral immunity of fish, facilitating SCRV's immune evasion. These findings offer valuable insights into the adaptation and functional diversity of innate antiviral mechanisms in vertebrates.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Dong et al. described a deep learning-based framework of antimicrobial (AMP) generator and regressor to design and rank de novo antimicrobial peptides (AMPs). For generated AMPs, they predicted their minimum inhibitory concentration (MIC) using a model that combines the Morgan fingerprint, contact map, and ESM language model. For their selected AMPs based on predicted MIC, they also use a combination of antiviral peptide (AVP) prediction models to select AMPs with potential antiviral activity. They experimentally validated 3 candidates for antimicrobial activity against S. aureus, A. baumannii, E. coli, and P. aeruginosa, and their toxicity on mouse blood and three human cell lines. The authors select their most promising AMP (P076) for in vivo experiments in A. baumannii-infected mice. They finally test the antiviral activity of their 3 AMPs against viruses.
Strengths:
-The development of de novo antimicrobial peptides (AMPs) with the novelty of being bifunctional (antimicrobial and antiviral activity).
-Novel, combined approach to AMP activity prediction from their amino acid sequence.
Weaknesses:
-I missed justification on why training AMPs without information of their antiviral activity would generate AMPs that could also have antiviral activity with such high frequency (32 out of 104).
-The justification for AMP predictor advantages over previous tools lacks rationale, comparison with previous tools (e.g., with the very successful AMP prediction approach described by Ma et al. 10.1038/s41587-022-01226-0), and proper referencing.
-Experimental validation of three de novo AMPs is a very low number compared to recent similar studies.
-I have concerns regarding the in vivo experiments including i) the short period of reported survival compared to recent studies (0.1038/s41587-022-01226-0, 10.1016/j.chom.2023.07.001, 0.1038/s41551-022-00991-2) and ii) although in Figure 2 f and g statistics have been provided, log scale y-axis would provide a better comparative representation of different conditions.
-I had difficulty reading the story because of the use of acronyms without referring to their full name for the first time, and incomplete annotation in figures and captions.
-
-
-
Reviewer #3 (Public Review):
The manuscript Kroon et al. described two algorithms, which when combined achieve high throughput automation of "martinizing" protein structures with selected protonation states and post-translational modifications. After the revisions provided by the authors, I recommend minor revision.
The authors have addressed most of my concerns provided previously. Specifically, showcasing the capability of coarse-graining other types of molecules (Figure 7) is a useful addition, especially for the booming field of therapeutic macrocycles.
My only additional concern is that to justify Martinize2 and Vermouth as a "high-throughput" method, the speed of these tools needs to be addressed in some form in the manuscript as a guideline to users.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The authors address the process of community evolution under collective-level selection for a prescribed community composition. They mostly consider communities composed of two types that reproduce at different rates, and that can mutate one into the other. Due to such differences in 'fitness' and to the absence of density dependence, within-collective selection is expected to always favour the fastest grower, but the collective-level selection can oppose this tendency, to a certain extent at least. By approximating the stochastic within-generation dynamics and solving it analytically, the authors show that not only high frequencies of fast growers can be reproducibly achieved, aligned with their fitness advantage. Small target frequencies can also be maintained, provided that the initial proportion of fast growers is sufficiently small. In this regime, similar to the 'stochastic corrector' model, variation upon which selection acts is maintained by a combination of demographic stochasticity and of sampling at reproduction. These two regions of achievable target compositions are separated by a gap, encompassing intermediate frequencies that are only achievable when the bottleneck size is small enough or the number of communities is (disproportionately) larger.
A similar conclusion, that stochastic fluctuations can maintain the system over evolutionary time far from the prevalence of the faster-growing type, is then confirmed by analyzing a three-species community, suggesting that the qualitative conclusions of this study are generalizable to more complex communities.
I expect that these results will be of broad interest to the community of researchers who strive to improve community-level selection, but are often limited to numerical explorations, with prohibitive costs for a full characterization of the parameter space of such embedded populations. The realization that not all target collective functions can be as easily achieved and that they should be adapted to the initial conditions and the selection protocol is also a sobering message for designing concrete applications.
A major strength of this work is that the qualitative behaviour of the system is captured by an analytically solvable approximation so that the extent of the 'forbidden region' can be directly and generically related to the parameters of the selection protocol.
I however found the description of the results too succinct and I think that more could be done to unpack the mathematical results in a way that is understandable to a broader audience. Moreover, the phenomenon the authors characterize is of purely ecological nature. Here, mutations of the growth rate are, in my understanding, neither necessary (non-trivial equilibria can be maintained also when \mu =0) nor sufficient (community-level selection is necessary to keep the system far from the absorbing state) for the phenomenon described. Calling this dynamics community evolution reflects a widespread ambiguity, and is not ascribable just to this work. I find that here the authors have the opportunity to make their message clearer by focusing on the case where the 'mutation' rate \mu vanishes (Equations 39 & 40 of the SI) - which is more easily interpretable, at least in some limits - while they may leave the more general equations 3 & 4 in the SI. Combined with an analysis of the deterministic equations, that capture the possibility of maintaining high frequencies of fast growers, the authors could elucidate the dynamics that are induced by the presence of a second level of selection, and speculate on what would be the result of real open-ended evolution (not encompassed by the simple 'switch mutations' generally considered in evolutionary game theory), for instance discussing the invasibility (or not) of mutant types with slightly different growth rates.
The single most important model hypothesis that I would have liked to be discussed further is that the two types do not interact. Species interactions are not only essential to achieve inheritance of composition in the course of evolution but are generally expected to play a key role even on ecological time scales. I hope the authors plan to look at this in future work.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study reports on a novel NAD+ and Zn2+-independent protein lysine deacetylase (KDAC) in Aeromonas hydrophila, termed AhCobQ (AHA_1389). This protein is annotated as a CobQ/CobB/MinD/ParA family protein and does not show similarity with known NAD+-dependent or Zn2+-dependent KDACs. The authors show that AhCobQ has NAD+ and Zn2+-independent deacetylase activity with acetylated BSA by western blot and MS analyses. They also provide evidence that the 195-245 aa region of AhCobQ is responsible for the deacetylase activity, which is conserved in some marine prokaryotes and has no similarity with eukaryotic proteins. They identified target proteins of AhCobQ deacetylase by proteomic analysis and verified the deacetylase activity using site-specific acetyllysine-incorporated target proteins. Finally, they show that AhCobQ activates isocitrate dehydrogenase by deacetylation at K388.
Strengths:
The finding of a new type of KDAC has a valuable impact on the field of protein acetylation. The characters (NAD+ and Zn2+-independent deacetylase activity in an unknown domain) shown in this study are very unexpected.
Weaknesses:
(1) As the characters of AhCobQ are very unexpected, to convince readers, MSMS data would be needed to exactly detect deacetylation at the target site in deacetylase activity assays. The authors show the MSMS data in assays with acetylated BSA, but other assays only rely on western blot.
(2) They prepared site-specific Kac proteins and used them in deacetylase activity assays. The incorporation of acetyllysine at the target site needs to be confirmed by MSMS and shown as supplementary data.
(3) The authors imply that the 195-245 aa region of AhCobQ may represent a new domain responsible for deacetylase activity. The feature of the region would be of interest but is not sufficiently described in Figure 5. The amino acid sequence alignments with representative proteins with conserved residues would be informative. It would be also informative if the modeled structure predicted by AlphaFold is shown and the structural similarity with known deacetylases is discussed.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Although this work represents a massive screening effort to find new drugs targeting P. vivax hypnozoites, the authors should balance their statement that they identified targetable epigenetic pathways in hypnozoites.
• They should emphasize the potential role of the host cell in the presentation of the results and the discussion, as it is known that other pathogens modify the epigenome of the host cell (i.e. toxoplasma, HIV) to prevent cell division. Also, hydrazinophtalazines target multiple pathways (notably modulation of calcium flux) and have been shown to inhibit DNA-methyl transferase 1 which is lacking in Plasmodium.
• In a drug repurposing approach, the parasite target might also be different than the human target.
• The authors state that host-cell apoptotic pathways are downregulated in P. vivax infected cells (p. 5 line 162). Maybe the HDAC inhibitors and DNA-methyltransferase inhibitors are reactivating these pathways, leading to parasite death, rather than targeting parasites directly.
It would make the interpretation of the results easier if the authors used EC50 in µM rather than pEC50 in tables and main text. It is easy to calculate when it is a single-digit number but more complicated with multiple digits.
Authors mention hypnozoite-specific effects but in most cases, compounds are as potent on hypnozoite and schizonts. They should rather use "liver stage specific" to refer to increased activity against hypnozoites and schizonts compared to the host cell. The same comment applies to line 351 when referring to MMV019721. Following the same idea, it is a bit far-fetched to call MMV019721 "specific" when the highest concentration tested for cytotoxicity is less than twice the EC50 obtained against hypnozoites and schizonts.
Page 5 lines 187-189, the authors state "...hydrazinophtalazines were inactive when tested against P. berghei liver schizonts and P. falciparum asexual blood stages, suggesting that hypnozoite quiescence may be biologically distinct from developing schizonts". The data provided in Figure 1B show that these hydrazinophtalazines are as potent in P. vivax schizonts than in P. vivax hypnozoites, so the distinct activity seems to be Plasmodium species specific and/or host-cell specific (primary human hepatocytes rather than cell lines for P. berghei) rather than hypnozoite vs schizont specific.
Why choose to focus on cadralazine if abandoned due to side effects? Also, why test the pharmacokinetics in monkeys? As it was a marketed drug, were no data available in humans?
In the counterscreen mentioned on page 6, the authors should mention that the activity of poziotinib in P. berghei and P. cynomolgi is equivalent to cell toxicity, so likely not due to parasite specificity.
To improve the clarity and flow of the manuscript, could the authors make a recapitulative table/figure for all the data obtained for poziotinib and hydrazinophtalazines in the different assays (8-days vs 12-days) and laboratory settings rather than separate tables in main and supplementary figures. Maybe also reorder the results section notably moving the 12-day assay before the DNA methylation part.
The isobologram plot shows an additive effect rather than a synergistic effect between cadralazine and 5-azacytidine, please modify the paragraph title accordingly. Please put the same axis scale for both fractional EC50 in the isobologram graph (Figure 2A).
Concerning the immunofluorescence detection of 5mC and 5hmC, the authors should be careful with their conclusions. The Hoechst signal of the parasites is indistinguishable because of the high signal given by the hepatocyte nuclei. The signal obtained with the anti-5hmC in hepatocyte nuclei is higher than with the anti-5mC, thus if a low signal is obtained in hypnozoites and schizonts, it might be difficult to dissociate from the background. In blood stages (Figure S18), the best to obtain a good signal is to lyse the red blood cell using saponin, before fixation and HCl treatment.
To conclude that 5mC marks are the predominate DNA methylation mark in both P. falciparum and P. vivax, authors should also mention that they compare different stages of the life cycle, that might have different methylation levels.
Also, the authors conclude that "[...] 5mC is present at low level in P. vivax and P. cynomolgi sporozoites and could control liver stage development and hypnozoite quiescence". Based on the data shown here, nothing, except presence the of 5mC marks, supports that DNA methylation could be implicated in liver stage development or hypnozoite quiescence.
How many DNA-methyltransferase inhibitors were present in the epigenetic library? Out of those, none were identified as hits, maybe the hydrazinophtalazines effect is not linked to DNMT inhibition but another target pathway of these molecules like calcium transport?
The authors state (line 344): "These results corroborate our hypothesis that epigenetic pathways regulate hypnozoites". This conclusion should be changed to "[...] that epigenetic pathways are involved in P. vivax liver stage survival" because:<br /> • The epigenetic inhibitors described here are as active on hypnozoite than liver schizonts.<br /> • Again, we cannot rule out that the host cell plays a role in this effect and that the compound may not act directly on the parasite.
The same comment applies to the quote in lines 394 to 396. There is no proof in the results presented here that DNA methylation plays any role in the effect of hydrazinophtalazines in the anti-plasmodial activity obtained in the assay.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Distant metastasis is the major cause of death in patients with breast cancer. In this manuscript, Liu et al. show that RGS10 deficiency elicits distant metastasis via epithelial-mesenchymal transition in breast cancer. As a prognostic indicator of breast cancer, RGS10 regulates the progress of breast cancer and affects tumor phenotypes such as epithelial-mesenchymal transformation, invasion, and migration. The conclusions of this paper are mostly well supported by data.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, Bosch and colleagues describe an unexpected function of Flamingo, a core component of the planar cell polarity pathway, in cell competition in the Drosophila wing and eye disc. While Flamingo depletion has no impact on tumour growth (upon induction of Ras and depletion of Scribble throughout the eye disc), and no impact when depleted in WT cells, it specifically tunes down winner clone expansion in various genetic contexts, including the overexpression of Myc, the combination of Scribble depletion with activation of Ras in clones or the early clonal depletion of Scribble in eye disc. Flamingo depletion reduces the proliferation rate and increases the rate of apoptosis in the winner clones, hence reducing their competitiveness up to forcing their full elimination (hence becoming now "loser"). This function of Flamingo in cell competition is specific to Flamingo as it cannot be recapitulated with other components of the PCP pathway, and does not rely on the interaction of Flamingo in trans, nor on the presence of its cadherin domain. Thus, this function is likely to rely on a non-canonical function of Flamingo which may rely on downstream GPCR signaling.
This unexpected function of Flamingo is by itself very interesting. In the framework of cell competition, these results are also important as they describe, to my knowledge, one of the only genetic conditions that specifically affect the winner cells without any impact when depleted in the loser cells. Moreover, Flamingo does not just suppress the competitive advantage of winner clones, but even turns them into putative losers. This specificity, while not clearly understood at this stage, opens a lot of exciting mechanistic questions, but also a very interesting long-term avenue for therapeutic purposes as targeting Flamingo should then affect very specifically the putative winner/oncogenic clones without any impact in WT cells.
The data and the demonstration are very clean and compelling, with all the appropriate controls, proper quantification, and backed-up by observations in various tissues and genetic backgrounds. I don't see any weakness in the demonstration and all the points raised and claimed by the authors are all very well substantiated by the data. As such, I don't have any suggestions to reinforce the demonstration.
While not necessary for the demonstration, documenting the subcellular localisation and levels of Flamingo in these different competition scenarios may have been relevant and provided some hints on the putative mechanism (specifically by comparing its localisation in winner and loser cells).
Also, on a more interpretative note, the absence of the impact of Flamingo depletion on JNK activation does not exclude some interesting genetic interactions. JNK output can be very contextual (for instance depending on Hippo pathway status), and it would be interesting in the future to check if Flamingo depletion could somehow alter the effect of JNK in the winner cells and promote downstream activation of apoptosis (which might normally be suppressed). It would be interesting to check if Flamingo depletion could have an impact in other contexts involving JNK activation or upon mild activation of JNK in clones.
Strengths:
- A clean and compelling demonstration of the function of Flamingo in winner cells during cell competition.
- One of the rare genetic conditions that affects very specifically winner cells without any impact on losers, and then can completely switch the outcome of competition (which opens an interesting therapeutic perspective in the long term)
Weaknesses:
- The mechanistic understanding obviously remains quite limited at this stage especially since the signaling does not go through the PCP pathway.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The current manuscript investigates the effect of 2-oxoglutarate and the Glk1 protein as modulators of the enzymatic reactivity of glutamine synthetase. To do this, the authors rely on mass photometry, specific activity measurements, and single-particle cryo-EM data.
From the results obtained, the authors convey that glutamine synthetase from Methanosarcina mazei exists in a non-active monomeric/dimeric form under low concentrations of 2-oxoglutarate, and its oligomerization into a dodecameric complex is triggered by higher concentration of 2-oxoglutarate, also resulting in the enhancement of the enzyme activity.
Strengths:
Glutamine synthetase is a crucial enzyme in all domains of life. The dodecameric fold of GS is recurrent amongst prokaryotic and archaea organisms, while the enzyme activity can be regulated in distinct ways. This is a very interesting work combining protein biochemistry with structural biology.
The role of 2-OG is here highlighted as a crucial effector for enzyme oligomerization and full reactivity.
Weaknesses:
Various opportunities to enhance the current state-of-the-art were missed. In particular, omissions of the ligand-bound state of GnK1 leave unexplained the lack of its interaction with GS (in contradiction with previous results from the authors). A finer dissection of the effect and role of 2-oxoglurate are missing and important questions remain unanswered (e.g. are dimers relevant during early stages of the interaction or why previous GS dodecameric structures do not show 2-oxoglutarate).
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:<br /> In human patients with Huntington's disease (HD), caused by a CAG repeat expansion mutation, the number of uninterrupted CAG repeats at the genomic level influences age-at-onset of clinical signs independent of the number of polyglutamine repeats at the protein level. In most patients, the CAG repeat terminates with a CAA-CAG doublet. However, CAG repeat variants exist that either do not have that doublet or have two doublets. These variants consequently differ in their number of uninterrupted CAG repeats, while the number of glutamine repeats is the same as both CAA and CAG codes for glutamine. The authors first confirm that a shorter uninterrupted CAG repeat number in human HD patients is associated with developing the first clinical signs of HD later. They predict that introducing a further CAA-CAG doublet will result in years of delay of clinical onset. Based on this observation, the authors tested the hypothesis that turning CAG to CAA within a CAG repeat sequence using base editing techniques will benefit HD biology. They show that, indeed, in HD cell models (HEK293 cells expressing 16/17 CAG repeats; a single human stem cell line carrying a CAG repeat expansion in the fully penetrant range with 42 CAG repeats), their base editing strategies do induce the desired CAG-CAA conversion. The efficiency of conversion differed depending on the strategy used. In stem cells, delivery posed a problem, so to test allele specificity, the authors then used a HEK 293 cell line with 51 CAG repeats on the expanded allele. Conversion occurred in both alleles with huntingtin protein and mRNA levels; transcriptomics data was unchanged. In knock-in mice carrying 110 CAG repeats, however, base editing did not work as well for different, mainly technical, reasons.
Strengths:<br /> The authors use state-of-the-art methods and carefully and thoroughly designed experiments. The data support the conclusions drawn. This work is a very valuable translation from the insight gained from large GWAS studies into HD pathogenesis. It rightly emphasises the potential this has as a causal treatment in HD, while the authors also acknowledge important limitations.
Weaknesses:<br /> They could dedicate a little more to discussing several of the mentioned challenges. The reader will better understand where base editing is in HD currently and what needs to be done before it can be considered a treatment option. For instance,
-It is important to clarify what can be gained by examining again the relationship between uninterrupted CAG repeat length and age-at-onset. Could the authors clarify why they do this and what it adds to their already published GWAS findings? What is the n of datasets?<br /> -What do they think an ideal conversion rate would be, and how that could be achieved?<br /> -Is there a dose-effect relationship for base editing, and would it be realistic to achieve the ideal conversion rate in target cells, given the difficulties described by the authors in differentiated neurons from stem cells?<br /> - The liver is a good tool for in-vivo experiments examining repeat instability in mouse models. However, the authors could comment on why they did not examine the brain.<br /> - Is there a limit to judging the effects of base editing on somatic instability with longer repeats, given the difficulties in measuring long CAG repeat expansions?<br /> - Given the methodological challenges for assessing HTT fragments, are there other ways to measure the downstream effects of base editing rather than extrapolate what it will likely be?<br /> - Sequencing errors could mask low-level, but biologically still relevant, off-target effects (such as gRNA-dependent and gRNA-independent DNA, Off-targets, RNA off-targets, bystander editing). How likely is that?<br /> - How worried are the authors about immune responses following base editing? How could this be assessed?
-
-
-
Reviewer #3 (Public Review):
Summary:
In the present study, the authors aimed to achieve a better understanding of the mechanisms underlying the attentional blink, that is, a deficit in processing the second of two target stimuli when they appear in rapid succession. Specifically, they used a concurrent detection and identification task in- and outside of the attentional blink and decoupled effects of perceptual sensitivity and response bias using a novel signal detection model. They conclude that the attentional blink selectively impairs perceptual sensitivity but not response bias, and link established EEG markers of the attentional blink to deficits in stimulus detection (N2p, P3) and discrimination (fronto-parietal high-beta coherence), respectively. Taken together, their study suggests distinct mechanisms mediating detection and discrimination deficits in the attentional blink.
Strengths:
Major strengths of the present study include its innovative approach to investigating the mechanisms underlying the attentional blink, an elegant, carefully calibrated experimental paradigm, a novel signal detection model, and multifaceted data analyses using state-of-the-art model comparisons and robust statistical tests. The study appears to have been carefully conducted and the overall conclusions seem warranted given the results. In my opinion, the manuscript is a valuable contribution to the current literature on the attentional blink. Moreover, the novel paradigm and signal detection model are likely to stimulate future research.
Weaknesses:
Weaknesses of the present manuscript mainly concern the negligence of some relevant literature, unclear hypotheses, potentially data-driven analyses, relatively low statistical power, potential flaws in the EEG methods, and the absence of a discussion of limitations. In the following, I will list some major and minor concerns in detail.
Major points
Hypotheses:<br /> I appreciate the multifaceted, in-depth analysis of the given dataset including its high amount of different statistical tests. However, neither the Introduction nor the Methods contain specific statistical hypotheses. Moreover, many of the tests (e.g., correlations) rely on selected results of previous tests. It is unclear how many of the tests were planned a priori, how many more were performed, and how exactly corrections for multiple tests were implemented. Thus, I find it difficult to assess the robustness of the results.
Power:<br /> Some important null findings may result from the rather small sample sizes of N = 24 for behavioral and N = 18 for ERP analyses. For example, the correlation between detection and discrimination d' deficits across participants (r=0.39, p=0.059) (p. 12, l. 263) and the attentional blink effect on the P1 component (p=0.050, no test statistic) (p. 14, 301) could each have been significant with one more participant. In my opinion, such results should not be interpreted as evidence for the absence of effects.
Neural basis of the attentional blink:<br /> The introduction (e.g., p. 4, l. 56-76) and discussion (e.g., p. 19, 427-447) do not incorporate the insights from the highly relevant recent review by Zivony & Lamy (2022), which is only cited once (p. 19, l. 428). Moreover, the sections do not mention some relevant ERP studies of the attentional blink (e.g., Batterink et al., 2012; Craston et al., 2009; Dell'Acqua et al., 2015; Dellert et al., 2022; Eiserbeck et al., 2022; Meijs et al., 2018).
Detection versus discrimination:<br /> Concerning the neural basis of detection versus discrimination (e.g., p. 6, l. 98-110; p. 18, l. 399-412), relevant existing literature (e.g., Broadbent & Broadbent, 1987; Hillis & Brainard, 2007; Koivisto et al., 2017; Straube & Fahle, 2011; Wiens et al., 2023) is not included.
Pooling of lags and lag 1 sparing:<br /> I wonder why the authors chose to include 5 different lags when they later pooled early (100, 300 ms) and late (700, 900 ms) lags, and whether this pooling is justified. This is important because T2 at lag 1 (100 ms) is typically "spared" (high accuracy) while T2 at lag 3 (300 ms) shows the maximum AB (for reviews, see, e.g., Dux & Marois, 2009; Martens & Wyble, 2010). Interestingly, this sparing was not observed here (p. 43, Figure 2). Nevertheless, considering the literature and the research questions at hand, it is questionable whether lag 1 and 3 should be pooled.
Discrimination in the attentional blink<br /> Concerning the claims that previous attentional blink studies conflated detection and discrimination (p. 6, l. 111-114; p. 18, l. 416), there is a recent ERP study (Dellert et al., 2022) in which participants did not perform a discrimination task for the T2 stimuli. Moreover, since the relevance of all stimuli except T1 was uncertain in this study, irrelevant distractors could not be filtered out (cf. p. 19, l. 437). Under these conditions, the attentional blink was still associated with reduced negativities in the N2 range (cf. p. 19, l. 427-437) but not with a reduced P3 (cf. p. 19, l 439-447).
General EEG methods:<br /> While most of the description of the EEG preprocessing and analysis (p. 31/32) is appropriate, it also lacks some important information (see, e.g., Keil et al., 2014). For example, it does not include the length of the segments, the type and proportion of artifacts rejected, the number of trials used for averaging in each condition, specific hypotheses, and the test statistics (in addition to p-values).
EEG filters:<br /> P. 31, l. 728: "The data were (...) bandpass filtered between 0.5 to 18 Hz (...). Next, a bandstop filter from 9-11 Hz was applied to remove the 10 Hz oscillations evoked by the RSVP presentation." These filter settings do not follow common recommendations and could potentially induce filter distortions (e.g., Luck, 2014; Zhang et al., 2024). For example, the 0.5 high-pass filter could distort the slow P3 wave. Mostly, I am concerned about the bandstop filter. Since the authors commendably corrected for RSVP-evoked responses by subtracting T2-absent from T2-present ERPs (p. 31, l. 746), I wonder why the additional filter was necessary, and whether it might have removed relevant peaks in the ERPs of interest.
Coherence analysis:<br /> P. 33, l. 786: "For subsequent, partial correlation analyses of coherence with behavioral metrics and neural distances (...), we focused on a 300 ms time period (0-300 ms following T2 onset) and high-beta frequency band (20-30 Hz) identified by the cluster-based permutation test (Fig. 5A-C)." I wonder whether there were any a priori criteria for the definition and selection of such successive analyses. Given the many factors (frequency bands, hemispheres) in the analyses and the particular shape of the cluster (p. 49, Fig 5C), this focus seems largely data-driven. It remains unclear how many such tests were performed and whether the results (e.g., the resulting weak correlation of r = 0.22 in one frequency band and one hemisphere in one part of a complexly shaped cluster; p. 15, l. 327) can be considered robust.
References<br /> Batterink, L., Karns, C. M., & Neville, H. (2012). Dissociable mechanisms supporting awareness: The P300 and gamma in a linguistic attentional blink task. Cerebral Cortex, 22(12), 2733-2744. https://doi.org/10.1093/cercor/bhr346<br /> Broadbent, D. E., & Broadbent, M. H. P. (1987). From detection to identification: Response to multiple targets in rapid serial visual presentation. Perception & Psychophysics, 42(2), 105-113. https://doi.org/10.3758/BF03210498<br /> Craston, P., Wyble, B., Chennu, S., & Bowman, H. (2009). The attentional blink reveals serial working memory encoding: Evidence from virtual and human event-related potentials. Journal of Cognitive Neuroscience, 21(3), 550-566. https://doi.org/10.1162/jocn.2009.21036<br /> Dell'Acqua, R., Dux, P. E., Wyble, B., Doro, M., Sessa, P., Meconi, F., & Jolicœur, P. (2015). The attentional blink impairs detection and delays encoding of visual information: Evidence from human electrophysiology. Journal of Cognitive Neuroscience, 27(4), 720-735. https://doi.org/10.1162/jocn_a_00752<br /> Dellert, T., Krebs, S., Bruchmann, M., Schindler, S., Peters, A., & Straube, T. (2022). Neural correlates of consciousness in an attentional blink paradigm with uncertain target relevance. NeuroImage, 264C, 119679. https://doi.org/10.1016/j.neuroimage.2022.119679<br /> Dux, P. E., & Marois, R. (2009). The attentional blink: A review of data and theory. Attention, Perception, & Psychophysics, 71(8), 1683-1700. https://doi.org/10.3758/APP.71.8.1683<br /> Hillis, J. M., & Brainard, D. H. (2007). Distinct mechanisms mediate visual detection and identification. Current Biology, 17(19), 1714-1719. https://doi.org/10.1016/j.cub.2007.09.012<br /> Keil, A., Debener, S., Gratton, G., Junghöfer, M., Kappenman, E. S., Luck, S. J., Luu, P., Miller, G. A., & Yee, C. M. (2014). Committee report: Publication guidelines and recommendations for studies using electroencephalography and magnetoencephalography. Psychophysiology, 51(1), 1-21. https://doi.org/10.1111/psyp.12147<br /> Koivisto, M., Grassini, S., Salminen-Vaparanta, N., & Revonsuo, A. (2017). Different electrophysiological correlates of visual awareness for detection and identification. Journal of Cognitive Neuroscience, 29(9), 1621-1631. https://doi.org/10.1162/jocn_a_01149<br /> Luck, S. J. (2014). An introduction to the event-related potential technique. MIT Press.<br /> Martens, S., & Wyble, B. (2010). The attentional blink: Past, present, and future of a blind spot in perceptual awareness. Neuroscience & Biobehavioral Reviews, 34(6), 947-957. https://doi.org/10.1016/j.neubiorev.2009.12.005<br /> Meijs, E. L., Slagter, H. A., de Lange, F. P., & Gaal, S. van. (2018). Dynamic interactions between top-down expectations and conscious awareness. Journal of Neuroscience, 38(9), 2318-2327. https://doi.org/10.1523/JNEUROSCI.1952-17.2017<br /> Straube, S., & Fahle, M. (2011). Visual detection and identification are not the same: Evidence from psychophysics and fMRI. Brain and Cognition, 75(1), 29-38. https://doi.org/10.1016/j.bandc.2010.10.004<br /> Wiens, S., Andersson, A., & Gravenfors, J. (2023). Neural electrophysiological correlates of detection and identification awareness. Cognitive, Affective, & Behavioral Neuroscience. https://doi.org/10.3758/s13415-023-01120-5<br /> Zhang, G., Garrett, D. R., & Luck, S. J. (2024). Optimal filters for ERP research II: Recommended settings for seven common ERP components. Psychophysiology, n/a(n/a), e14530. https://doi.org/10.1111/psyp.14530
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors aimed to improve single-nucleus RNA sequencing (snRNA-seq) to address current limitations and challenges with nuclei and RNA isolation quality. They successfully developed a protocol that enhances RNA preservation and yields high-quality snRNA-seq data from multiple tissues, including a challenging model of adipose tissue. They then applied this method to eWAT and iWAT from mice fed either a normal or high-fat diet, exploring depot-specific cellular dynamics and gene expression changes during obesity. Their analysis included subclustering of SVF cells and revealed that obesity promotes a transition in APCs from an early to a committed state and induces a pro-inflammatory phenotype in immune cells, particularly in eWAT. In addition to SVF cells, they discovered six adipocyte subpopulations characterized by a gradient of unique gene expression signatures. Interestingly, a novel subpopulation, termed Ad6, comprised stressed and dying adipocytes with reduced transcriptional activity, primarily found in eWAT of mice on a high-fat diet. Overall, the methodology is sound, the writing is clear, and the conclusions drawn are supported by the data presented. Further research based on these findings could pave the way for potential novel interventions in obesity and metabolic disorders, or for similar studies in other tissues or conditions.
Strengths:
• The authors developed a robust snRNA-seq technique that preserves the integrity of the nucleus and RNA across various tissue types, overcoming the challenges of existing methods.
• They identified adipocyte subpopulations that follow adaptive or pathological trajectories during obesity.
• The study reveals depot-specific differences in adipose tissues, which could have implications for targeted therapies.
Weaknesses:
• The adipose tissues were collected after 10 weeks of high-fat diet treatment, lacking the intermediate time points for identifying early markers or cell populations during the transition from healthy to pathological adipose tissue.
• The expansion of the Ad6 subpopulation in obese iWAT and gWAT is interesting. The author claims that Ad6 exhibited a substantial increase in eWAT and a moderate rise in iWAT (Figure 4C). However, this adipocyte subpopulation remains the most altered in iWAT upon obesity. Could the authors elaborate on why there is a scarcity of adipocytes with ROS reporter and B2M in obese iWAT?
• While the study provides extensive data on mouse models, the potential translation of these findings to human obesity remains uncertain.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study by Beath et al. investigated the mechanisms by which sperm DNA is excluded from the meiotic spindle after fertilization. Time-lapse imaging revealed that sperm DNA is surrounded by paternal mitochondria and maternal ER that is permeable to proteins. By increasing cytoplasmic streaming using kinesin-13 or katanin RNAi, the authors demonstrated that limiting cytoplasmic streaming in the embryo is an important step that prevents the capture of sperm DNA by the oocyte meiotic spindle. Further experiments showed that the Ataxin-2 protein is required to hold paternal mitochondria together and close to the sperm DNA. Finally, double depletion of kinesin-13 and Ataxin-2 suggested an increased risk of meiotic spindle capture of sperm DNA.
Overall, this is an interesting finding that could provide a new understanding of how meiotic spindle capture of sperm DNA and its accidental expulsion into the polar body is prevented. However, some conceptual gaps need to be addressed and further experiments and improved data analyses would strengthen the paper.
• It would be helpful if the authors could discuss in good detail how they think maternal ER surrounds the sperm DNA and why is it not disrupted following Ataxin disruption.
• Since important phenotypes revealed in RNAi experiments (e.g. kinesin-13 and ataxin-2 double depletion) are not very robust, the authors should consider toning down their conclusions and revising some of their section headings. I appreciate that they are upfront about some limitations, but they do nonetheless make strong concluding sentences.
• The discussion section could be improved further to present the authors' findings in the larger context of current knowledge in the field.
• The authors previously demonstrated that F-actin prevents meiotic spindle capture of sperm DNA in this system. However, the current manuscript does not discuss how the katanin, kinesin-13 and Ataxin-2 mechanisms could work together with previously established functions of F-actin in this process.
• How can the authors exclude off-target effects in their RNAi depletion experiments? Can kinesin-13, katanin, and Ataxin phenotypes be rescued for instance?
• How are the authors able to determine if the paternal genome was actually captured by the spindle? Does lack of movement definitively suggest capture without using a spindle marker?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This study describes the first structure of Gram-positive bacterial AdhE spirosomes that are in a native extended conformation. All the previous structures of AdhE spirosomes obtained come from Gram-negative bacterial species with native compact spirosomes (E. coli, V. cholerae). In E. coli, AdhE spirosomes can be found in two different conformational states, compact and extended, depending on the substrates and cofactors they are bound to.
The high-resolution cryoEM structure of the extended C. thermocellum AdhE spirosomes produced in E. coli in an apo state (without any substrate or cofactors) is compared to the E. coli extended and compact AdhE spirosomes structures previously published. The authors have modeled (in Swiss-Model) the structure of compact C. thermocellum AdhE spirosomes, using E. coli compact AdhE spirosome conformation as a template, and performed molecular dynamics simulations. They have identified a channel in which the toxic reaction intermediate aldehyde could transit from the aldehyde dehydrogenase active site to the alcohol dehydrogenase active site, in an analogous manner to E. coli spirosomes. These findings are in line with the hypothesis that the extended spirosomes could correspond to the active form of the enzyme.
In this work, the authors speculate that the C. thermocellum AdhE spirosomes could switch from the native extended conformation to a compact conformation, in a way that is inverse of E. coli spirosomes. Although attractive, this hypothesis is not supported by the literature. Amazingly, in some Gram-positive bacterial species (S. pneumoniae, S. sanguinis or C. difficile...), AdhE spirosomes are natively extended and have never been observed in a compact conformation. On the opposite, E. coli (and other Gram-negative bacteria) native AdhE spirosomes are compact and are able to switch to an extended conformation in the presence of the cofactors (NAD+, coA, and iron). The data presented as they are now are not convincing to confirm the existence of C. thermocellum AdhE spirosomes in a compact conformation.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The pathomechanism underlying Sjögren's syndrome (SS) remains elusive. The authors have studied if altered calcium signaling might be a factor in SS development in a commonly used mouse model. They provide a thorough and straightforward characterization of the salivary gland fluid secretion, cytoplasmic calcium signaling, mitochondrial morphology, and respiration. A special strength of the study is the spectacular in vivo imaging, very few if any groups could have succeeded with the studies. The authors show that the cytoplasmic calcium signaling is upregulated in the SS model and the Ca2+ regulated Cl- channels are normally localized and function, but still fluid secretion is suppressed. They also find altered localization of the IP3R and speculate about lesser exposure of Cl- channels to high local [Ca2+]. In addition, they describe changes in mitochondrial morphology and function that might also contribute to the attenuated secretory response. Although the exact contribution of calcium and mitochondria to secretory dysfunction remains to be determined, the results seem to be useful for a range of scientists.
Specific points to consider:
(1) Are all the effects of DMXAA mediated through STING? DMXAA has been reported to inhibit NAD(P)H quinone oxidoreductase (NQO1) PMID: 10423172, which might be relevant both for the calcium and mitochondrial phenotypes. I would recommend that the authors either test the dependency of the DMXAA effects on STING or avoid attributing all effects of DMXAA to STING.
(2) "mitochondrial membrane potential (ΔΨm), the driving force of ATP production" the driving force is the electrochemical H+ gradient.
(3) ΔΨm is assessed as decreased in the DMXAA model without a change in TMRE steady state. Higher post-uncoupler fluorescence caused a lesser uncoupler-sensitive pool. This is not a very common observation. Was the autofluorescence of the DMXAA-treated cells higher in the red channel?
(4) The EM study indicated ER structure disruption. Are there any clues to the contribution of this to the augmented agonist/electrical stimulation-induced calcium signaling and decreased fluid secretion?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this paper, Curran et al investigate the role of Ntn, Slit1 and Slit 2 in axon patterning of DRG neurons. The paper uses mouse genetics to perturb each guidance molecule and its corresponding receptor. Cre-based approaches and immunostaining of DRG neurons are used to assess the phenotypes. Overall, the study uses the strength of mouse genetics and imaging to reveal new genetic modifiers of DRG axons. The conclusions of the experiments match the presented results. The paper is an important contribution to the field, as evidence that dorsal funiculus formation is impacted by Ntn and Slit signaling. The paper clearly demonstrates molecules that impact the patterning of the dorsal funiculus formation, which can provide a foundation for future studies on the specific steps in that patterning that require the studied molecules.
Strengths:
The manuscript uses the advantage of mouse genetics to investigate axon patterning of DRG neurons. The work does a great job of assessing individual phenotypes in single and double mutants. This reveals an intriguing cooperative and independent function of Ntn, Slit1 and Slit2 in DRG axon patterning. The sophisticated triple mutant analysis is lauded and provides important insight.
Weaknesses:
Overall, the manuscript is sound in technique and analysis. While not a weakness, the paper provides the foundation for future studies that investigate the specific molecular mechanisms of each step in the patterning of the dorsal funiculus.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript from Amen et al reports the isolation and characterization of human antibodies that recognize proteins expressed at different sexual stages of Plasmodium falciparum. The isolation approach was antigen agnostic and based on the sorting, activation, and screening of memory B cells from a donor whose serum displays high transmission-reducing activity. From this effort, 14 antibodies were produced and further characterized. The antibodies displayed a range of transmission-reducing activities and recognized different Pf sexual stage proteins. However, none of these antibodies had higher TRA than previously described antibodies.
The authors then performed further characterization of antibody B1E11K, which was unique in that it recognized multiple proteins expressed during sexual and asexual stages. Using protein microarrays, B1E11K was shown to recognize glutamate-rich repeats, following an EE-XX-EE pattern. An impressive set of biophysical experiments was performed to extensively characterize the interactions of B1E11K with various repeat motifs and lengths. Ultimately, the authors succeeded in determining a 2.6 A resolution crystal structure of B1E11K bound to a 16AA repeat-containing peptide. Excitingly, the structure revealed that two Fabs bound simultaneously to the peptide and made homotypic antibody-antibody contacts. This had only previously been observed with antibodies directed against CSP repeats.
Overall I found the manuscript to be very well written, although there are some sections that are heavy on field-specific jargon and abbreviations that make reading unnecessarily difficult. For instance, 'SIFA' is never defined. Strengths of the manuscript include the target-agnostic screening approach and the thorough characterization of antibodies. The demonstration that B1E11K is cross-reactive to multiple proteins containing glutamate-rich repeats, and that the antibody recognizes the repeats via homotypic interactions, similar to what has been observed for CSP repeat-directed antibodies, should be of interest to many in the field.
-
-
cellandbioscience.biomedcentral.com cellandbioscience.biomedcentral.com
-
Abcam, ab89780
DOI: 10.1186/s13578-023-00970-3
Resource: (Abcam Cat# ab89780, RRID:AB_2042411)
Curator: @abever99
SciCrunch record: RRID:AB_2042411
-
CST, Cat#78896
DOI: 10.1186/s13578-023-00970-3
Resource: (Cell Signaling Technology Cat# 78896, RRID:AB_2799920)
Curator: @abever99
SciCrunch record: RRID:AB_2799920
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Na-Phatthalung et al observed that transcripts of the zinc transporter Slc30a1 was upregulated in Salmonella-infected murine macrophages and in human primary macrophages therefore they sought to determine if, and how, Slc30a1 could contribute to the control of bacterial pathogens. Using a reporter mouse the authors show that Slc30a1 expression increases in a subset of peritoneal and splenic macrophages of Salmonella-infected animals. Specific deletion of Slc30a1 in LysM+ cells resulted in a significantly higher susceptibility of mice to Salmonella infection which, counter to the authors conclusions, is not explained by the small differences in the bacterial burden observed in vivo and in vitro. Although loss of Slc30a1 resulted in reduced iNOS levels in activated macrophages, the study lacks experiments that mechanistically link loss of NO-mediated bactericidal activity to Salmonella survival in Slc30a1 deficient cells. The additional deletion of Mt1, another zinc binding protein, resulted in even lower nitrite levels of activated macrophages but only modest effects on Salmonella survival. By combining genetic approaches with molecular techniques that measure variables in macrophage activation and the labile zinc pool, Na-Phattalung et al successfully demonstrate that Slc30a1 and metallothionein 1 regulate zinc homeostasis in order to modulate effective immune responses to Salmonella infection. The authors have done a lot of work and the information that Slc30a1 expression in macrophages contributes to control of Salmonella infection in mice is a new finding that will be of interest to the field. Whether the mechanism by which SLC30A1 controls bacterial replication and/or lethality of infection involves nitric oxide production by macrophages remains to be shown.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The results of the deep mutagenesis screen represent a wealth of information on the expression and function of SERT that everyone studying this protein will appreciate. However, as the authors explain, the screen identified mutations that increased APP+ transport but inhibited transport of the cognate substrate, 5-HT. Because of the methods used, 5-HT could not be used as a substrate, somewhat limiting the usefulness of the screen.
However, the authors have taken advantage of this limitation to address the mechanistic features of SERT that discriminate between 5-HT and APP+. From the position of mutations that augment APP+ transport, they have identified the aqueous pathway created in inward facing SERT conformations as a region of importance. Based on the MD simulations, transition to inward facing conformations is facilitated by 5-HT but less so by APP+. The authors conclude, quite reasonably, that mutations interfering with the stability of inward-closed SERT states could overcome the reduced ability of APP+ to open the pathway.
Another reasonable conclusion based on the mutant screen, is that mutations detrimental to surface expression were found in packed hydrophobic regions of the protein, but similar mutations in the permeation pathways were less likely to decrease expression. The authors postulate that this provides an evolutionary advantage by maintaining the structural fold while allowing modification of ion and substrate binding and coupling sites, a reasonable but speculative conclusion.
Not all gain-of-function mutations have to be specific to APP+. The authors point out that Ala173Gly converts SERT to the residue found in NET and DAT at this position. It would have been interesting to know how this mutation and others affect 5-HT transport. Indeed, the lack of any 5-HT transport measurements with the mutants is a glaring weakness of the manuscript.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript by Rubin and Agrawal et al presents a very nice imaging analysis of clonal cell organization in the fetal and late juvenile mouse growth cartilages. The authors have performed a thorough quantification of the orientations of clusters and of clones of cells with respect to the growth axis. They conclude that growth cartilage is not as strictly 'columnar' as has been commonly described, especially at the fetal stage. There is value to having such quantifications in the literature as a reminder that interpretations of phenotypes need to be rooted in the cell biology of the stage at hand, as emphasized by the authors. However, although the approach is comprehensive, aspects of the quantification methods are not described adequately to determine if they are correct for the questions. There are also some inequivalent comparisons to prior literature and an oversight of important published observations showing that some of these conclusions have been known for decades, though not as thoroughly quantitative. There have long been observations that some growth cartilages do not have proliferative columns oriented in the axis of growth and that not all columns of a growth cartilage are perfectly organized; these facts do not negate the observations that columnar organization does exist, as re-confirmed here, and that it correlates with and contributes to rapid growth rates. Each of these points is further elaborated below.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
It has been reported that the sympathetic nervous system (SNS) mediates bone metabolism and nociceptive functions. However, the exact localization and organization of the central SNS circuitry innervating bone and the brain sites have not been mapped and efferent SNS outflow to bone has not yet been characterized yet. Authors used pseudorabies (PRV) viral transneuronal tracing approach to identify central SNS outflow sites that innervate bone. The authors found that the central SNS outflow to bone originates from brain nuclei, sub-nuclei and regions of six brain divisions (midbrain and pons, hypothalamus, hindbrain medulla, forebrain, cerebral cortex, and thalamus). The authors provided compelling evidence for a brain-bone SNS neuroaxis that may regulate bone metabolism and nociceptive functions, which provided a greater understanding of the neural regulation of bone metabolism and would stimulate further research into bone pain and the neural regulation of bone metabolism. Authors may discuss and summarize their results in detail for a better understanding of their findings and enhancing the manuscript's utility for readers.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The manuscript from Barekatain et al. is investigating heterogeneity within the population of insulin vesicles from an insulinoma cell line (INS-1E) in response to glucose stimulation. Prevailing dogma in the beta-cell field suggests that there are distinct pools of mature insulin granules, such as ready-releasable and a reserve pool, which contribute to distinct phases of insulin release in response to glucose stimulation. Whether these pools (and others) are distinct in protein/lipid composition or other aspects is not known, but has been suggested. In this manuscript, the authors use density gradient sedimentation to enrich for insulin vesicles, noting the existence of a number of co-purifying contaminants (ER and mitochondrial markers). Following immunolabeling with synaptotagmin V and fluorescent-conjugated secondary antibodies, insulin vesicles were applied to a microfluidic device and separated by dielectrophoretic and electrokinetic forces following an applied voltage. The equilibrium between these opposing forces was used to physically separate insulin granules. Here some differences were observed in the insulin (Syt V positive) granule populations, when isolated from cells that were either non-stimulated or stimulated with glucose, which has been suggested previously by other studies as noted by the authors; however in the current manuscript, the inclusion of a number of control experiments may provide a better context for what the data reveal about these changes.
The major strength of the paper is in the use of the novel, highly sophisticated methodology to examine physical attributes of insulin granules and thus begin to provide some insight into the existence of distinct insulin granule populations within a beta-cell -these include insulin granules that are maturing, membrane-docked (i.e. readily releasable), in reserve, newly-synthesized, aged, etc. Whether physical differences exist between these various granule pools is not known. In this capacity, the technical abilities of the current manuscript may begin to offer some insight into whether these perceived distinctions are physical.
The major weakness of the manuscript is that the study falls short in terms of linking the biology to the sophisticated changes observed and primarily focuses on differences in response to glucose. Without knowing what the various populations of granules are, it is challenging to understand what the changes in response to glucose mean.
Specific concerns are as follows:
(1) There is confusion on what the DC-iDEP separation between stimulated and stimulated cells reveals. Do these changes reflect maturation state of granules, nascent vs. old granules? Ready-releasable vs. reserve pool? The comments in the text seem to offer all possibilities.
(2) It is unclear what we can infer regarding the physical changes of granules between the stimulated states of the cells. Without an understanding of the magnitude of the effect, it is unclear how biologically significant these changes are. For example, what degree of lipid or protein remodeling would be necessary to give a similar change?
(3) The reliance on a single vesicle marker, Syt V, is concerning given that granule remodeling is the focus.
(4) Additional confirmation that the isolated vesicles are in fact insulin granules would be helpful. As noted, granules were gradient enriched, but did carry contaminants. Note that the microscopy image provided does not provide any real validation for this marker.
Further confirmation that the immune-isolated vesicles are in fact insulin granules should be included. EM with immunogold labeling post-SytV enrichment would be a potential methodology to confirm.
(5) It would be useful to understand if the observed effects are specific to the INS-1E cell line or are a more universal effect of glucose on beta-cells.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study considers how to model distinct host cell states that correspond to different stages of a viral infection: from naïve and susceptible cells to infected cells and a minority of important interferon-secreting cells that are the first line of defense against viral spread. The study first considers the distinct host cell states by analyzing previously published single-cell RNAseq data. Then an agent-based model on a square lattice is used to probe the dependence of the system on various parameters. Finally, a simplified version of the model is explored, and shown to have some similarity with the more complex model, yet lacks the dependence on the interferon range. By exploring these models one gains an intuitive understanding of the system, and the model may be used to generate hypotheses that could be tested experimentally, telling us "when to be surprised" if the biological system deviates from the model predictions.
Strengths:
- Clear presentation of the experimental findings and a clear logical progression from these experimental findings to the modeling.<br /> - The modeling results are easy to understand, revealing interesting behavior and percolation-like features.<br /> - The scaling results presented span several decades and are therefore compelling.<br /> - The results presented suggest several interesting directions for theoretical follow-up work, as well as possible experiments to probe the system (e.g. by stimulating or blocking IFN secretion).
Weaknesses:
- The fixed time-step of the agent-based modeling may introduce biases. I would consider simulating the system with Gillespie dynamics where the reaction rates depend on the ambient system parameters.<br /> - Single-cell RNAseq data requires careful handling or it may generate false leads. The strength of the RNAseq evidence presented is not clear.
Two places where the manuscript could be extended:
- Since the "range" of IFN is an important parameter, it makes sense to consider other lattice geometries other than the square lattice, which is somewhat pathological. Perhaps a hexagonal lattice would generalize better.<br /> - Tissues are typically three-dimensional, not two-dimensional. (Epithelium is an exception). It would be interesting to see how the modeling translates to the three-dimensional case. Percolations transitions are known to be very sensitive to the dimensionality of the system.
Justification of claims and conclusions:
The claims and conclusions are well justified.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this manuscript, Pierre Ferrer and colleagues explore the exciting possibility that, in the male germ line, the composition and function of deeply conserved chromatin remodeling complexes is fine-tuned by the addition of testis-specific actin-related proteins (ARPs). In this regard, the Authors aim to extend previously reported non-canonical (transcriptional) roles of ARPs in somatic cells to the unique developmental context of the germ line. The manuscript is focused on the potential regulatory role in post-meiotic transcription of two ARPs: ACTL7A and ACTL7B (particularly the latter). The canonical function of both testis-specific ARPs in spermatogenesis is well established, as they have been previously shown to be required for the extensive cellular morphogenesis program driving post-meiotic development (spermiogenesis). Disentangling the actual functions of ACTL7A and ACTL7B as transcriptional regulators from their canonical role in the profound morphological reshaping of post-meiotic cells (a process that also deeply impacts nuclear architecture and regulation) represents a key challenge in terms of interpreting the reported findings (see below).
The authors begin by documenting, via fluorescence microscopy, the intranuclear localization of ACTL7B. This ARP is convincingly shown to accumulate in the nucleus of spermatocytes and spermatids. Using a series of elegant reporter-based experiments in a somatic cell line, the authors map the driver of this nuclear accumulation to a potential NLS sequence in the ACTL7B actin-like body domain. Ferrer and colleagues then performed a testicular RNA-seq analysis in ACTL7B KO mice to define the putative role of ACTL7B in male germ cell transcription. They report substantial changes to the testicular transcriptome - particularly the upregulation of several classes of genes - in ACTL7B KO mice. However, wild-type testes were used as controls for this experiment, thus introducing a clear confounding effect to the analysis (ACTL7B KO testes have extensive post-meiotic defects due to the canonical role of ACTL7B in spermatid development). Then, the authors employ cutting-edge AI-driven approaches to predict that both ACTL7A and ACTL7B are likely to bind to four key chromatin remodeling complexes. Although these predictions are based on a robust methodology, they would certainly benefit from experimental validation. Finally, the authors associate the loss of ACTL7B with decreased lysine acetylation and lower levels of the HDAC1 and HDAC3 chromatin remodelers in the nucleus of developing spermatids.
Globally, these data may provide important insight into the unique processes male germ cells employ to sustain their extraordinarily complex transcriptional program. Furthermore, the concept that (comparably younger) testis-specific proteins can be incorporated into ancient chromatin remodeling complexes to modulate their function in the germ line is timely and exciting.
It is my opinion that the manuscript would benefit from additional experimental validation to better support the authors' conclusions. In particular, I believe that addressing two critical points would substantially strengthen the message of the manuscript:
(1) The proposed role of ACTL7B in post-meiotic transcriptional regulation temporally overlaps with the protein's previously reported canonical functions in spermiogenesis (PMID: 36617158 and 37800308). Indeed, the canonical functions of ACTL7B have been shown to have a profound effect at the level of spermatid morphology and to impact nuclear organization. This potentially renders the observed transcriptional deregulation in ACTL7B KO testes an indirect consequence of spermatid morphology defects. I acknowledge that it is experimentally difficult to disentangle the proposed intranuclear roles of ACTL7B from the protein's well-documented cytoplasmic function. Perhaps the generation of a NLS-scrambled ACTL7B variant could offer some insight. In light of the substantial investment this approach would represent, I would suggest, as an alternative, that instead of using wild-type testes as controls for the transcriptome and chromatin localization assays, the authors consider the possibility of using testicular tissue from a mutant with similarly abnormal spermiogenesis but due to transcription-independent defects. This would, in my opinion, offer a more suitable baseline to compare ACTL7B KO testes with.
(2) The manuscript would greatly benefit if experimental validation of the AI-driven predictions were to be provided (in terms of the binding capacity of ACTL7A and ACTL7B to key chromatin remodeling complexes). More so it seems that the authors have the technical expertise / available mass spectrometry data required for this purpose (lines 664-665). Still on this topic, given the predicted interactions of ACTL7A and ACTL7B with the SRCAP, EP400, SMARCA2 and SMARCA4 complexes (Figure 7), it is rather counter-intuitive that the Authors chose for their immunofluorescence assays, in ACTL7B KO testes, to determine the chromatin localization of HDAC1 and HDAC3, rather than that of any of above four complexes.
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
011015
DOI: 10.1186/s41232-024-00336-3
Resource: (MMRRC Cat# 011015-UCD,RRID:MMRRC_011015-UCD)
Curator: @bandrow
SciCrunch record: RRID:MMRRC_011015-UCD
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In Okholm et al., the authors evaluate the functional impact of circHIPK3 in bladder cancer cells. By knocking it down and performing an RNA-seq analysis, the authors found thousand deregulated genes which look unaffected by miRNAs sponging function and that are, instead, enriched for a 11-mer motif. Further investigations showed that the 11-mer motif is shared with the circHIPK3 and able to bind the IGF2BP2 protein. The authors validated the binding of IGF2BP2 and demonstrated that IGF2BP2 KD antagonizes the effect of circHIPK3 KD and leads to the upregulation of genes containing the 11-mer. Among the genes affected by circHIPK3 KD and IGF2BP2 KD, resulting in downregulation and upregulation respectively, the authors found STAT3 gene which also consistently leads to the concomitant upregulation of one of its targets TP53. The authors propose a mechanism of competition between circHIPK3 and IGF2BP2 triggered by IGF2BP2 nucleation, potentially via phase separation.
Strengths:
The number of circRNAs continues to drastically grow however the field lacks detailed molecular investigations. The presented work critically addresses some of the major pitfalls in the field of circRNAs and there has been a careful analysis of aspects frequently poorly investigated. The time-point KD followed by RNA-seq, investigation of miRNAs-sponge function of circHIPK3, identification of 11-mer motif, identification and validation of IGF2BP2, and the analysis of copy number ratio between circHIPK3 and IGF2BP2 in assessing the potential ceRNA mode of action have been extensively explored and, comprehensively convincing.
Weaknesses:
The authors addressed the majority of the weak points raised initially. However the role played by the circHIPK3 in cancer remains elusive and not elucidated in full in this study.
Overall, the presented study surely adds some further knowledge in describing circHIPK3 function, its capability to regulate some downstream genes, and its interaction and competition for IGF2BP2. However, whereas the experimental part sounds technically logical, it remains unclear the overall goal of this study and the achieved final conclusions.
This study is a promising step forward in the comprehension of the functional role of circHIPK3. These data could possibly help to better understand the circHIPK3 role in cancer
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In the present study, the authors examined how dPAG neurons respond to predatory threats and how dPAG and BLA communicate threat signals. The authors employed single-unit recording and optogenetics tools to address these issues in an 'approach food-avoid predator' paradigm. They characterized dPAG and BLA neurons responsive to a looming robot predator and found that dPAG opto-stimulation elicited fleeing and increased BLA activity. Importantly, they found that dPAG stimulation produces activity changes in subpopulations of BLA neurons related to predator detection, thus supporting the idea that dPAG conveys innate fear signals to the amygdala. In addition, injections of anterograde and retrograde tracers into the dPAG and BLA, respectively, along with the examination of c-FOS activity in midline thalamic relay stations, suggest that the paraventricular nucleus of the thalamus (PVT) may serve as a mediator of dPAG to BLA neurotransmission. Of relevance, the study helps to validate an important concept that dPAG mediates primal fear emotion and may engage upstream amygdalar targets to evoke defensive responses. The series of experiments provide a compelling case for supporting their conclusions. The study brings important concepts revealing dynamics of fear-related circuits particularly attractive to a broad audience, from basic scientists interested in neural circuits to psychiatrists.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study examines context-dependent stimulus selection by recording neural activity from several sensory and motor cortical areas along a sensorimotor pathway, including S1, S2, MM, and ALM. Mice are trained to either withhold licking or perform directional licking in response to visual or tactile stimulus. Depending on the task rule, the mice must respond to one stimulus modality while ignoring the other. Neural activity to the same tactile stimulus is modulated by task in all the areas recorded, with significant activity changes in a subset of neurons and population activity occupying distinct activity subspaces. Recordings further reveal a contextual signal in the pre-stimulus baseline activity that differentiates task context. This signal is correlated with subsequent task modulation of neural activity. Comparison across brain areas shows that this contextual signal is stronger in frontal cortical regions than sensory regions. Analyses link this signal to behavior by showing that it tracks the behavioral performance switch during task rule transitions. Silencing activity in frontal cortical regions during the baseline period impairs behavioral performance.
Strengths:
This is a carefully done study with solid results and thorough controls. The authors identify a contextual signal in baseline neural activity that predicts rule-dependent decision-related activity. The comprehensive characterization across a sensorimotor pathway is another strength. Analyses and perturbation experiments link this contextual signal to animals' behavior. The results provide a neural substrate that will surely inspire follow-up mechanistic investigations.
Weaknesses:
None. The authors have further improved the manuscript during the revision with additional analyses.
Impact:
This study reports an important neural signature for context-dependent decision-making that has important implications for mechanisms of context-dependent neural computation in general.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary and overall evaluation:
Human vision is inherently limited so that only a small part of a visual scene can be perceived at a given moment. To address this limitation, the visual system has evolved a number of strategies and mechanisms that work in concert. First, humans move their eyes using saccadic eye movements. This allows us to place the high-resolution region in the center of the eye's retina (the fovea centralis) on objects of interest so that these are sampled with high acuity. Second, salient, conspicuous stimuli that appear abruptly and/or differ strongly from the other stimuli in the scene, seem to automatically attract ("exogenous") attention, so that a large share of the neuronal "resources" for visual processing is devoted to the stimuli, which improves the perception of the stimuli. Third, stimuli that are important for the current task and the current behavioral goals can be prioritized by attention mechanisms ("endogenous" attention), which also secures their allocated share of processing resources and helps them be perceived. It is well-established that eye movements are closely linked to the mechanisms of attention (for a review, see Carrasco, 2011, cited in the manuscript). However, it is still unclear what role voluntary, endogenous attention plays in the control of saccadic eye movements.
The present study used an experimental procedure involving time-pressure for responding, in order to uncover how the control of saccades by exogenous and endogenous attention unfolds over time. The findings of the study indicate that saccade planning was indeed influenced by the locus of endogenous attention, but that this influence was short-lasting and could be overcome quickly. Taken together, the present findings reveal new dynamics between endogenous attention and eye movement control, and lead the way for studying them using experiments under time pressure.
The results provided by the present study advance our understanding of vision, eye movements, and their control by brain mechanisms for attention. In addition, they demonstrate how tasks involving time pressure can be used to study the dynamics of cognitive processes. Therefore, the present study seems highly important not only for vision science, but also for psychology, (cognitive) neuroscience, and related research fields more generally.
Strengths:
The experiments of the study are performed with great care and rigor and the data is analyzed thoroughly and comprehensively. Overall, the results support the authors' conclusions, so I have only minor comments (see below). Taken together, the findings seem important for a wide community of researchers in vision science, psychology, and neuroscience.
Weaknesses (minor points):
(1) In this experimental paradigm, participants must decide where to saccade based on the color of the cue in the visual periphery (they should have made a prosaccade toward a green cue and an antisaccade away from a magenta cue). Thus, irrespective of whether the cue signaled that a prosaccade or an antisaccade was to be made, the identity of the cue was always essential for the task (as the authors explain on p. 5, lines 129-138). Also, the location where the cue appeared was blocked, and thus known to the participants in advance, so that endogenous attention could be directed to the cue at the beginning of a trial (e.g., p. 5, lines 129-132). These aspects of the experimental paradigm differ from the classic prosaccade/antisaccade paradigm (e.g. Antoniades et al., 2013, Vision Research). In the classic paradigm, the identity of the cues does not have to be distinguished to solve the task, since there is only one stimulus that should be looked at (prosaccade) or away from (antisaccade), and whether a prosaccade or antisaccade was required is constant across a block of trials. Thus, in contrast to the present paradigm, in the classic paradigm, the participants do not know where the cue is about to appear, but they know whether to perform a prosaccade or an antisaccade based on the location of the cue.
The present paradigm keeps the location of the cue constant in a block of trials by intention, because this ensures that endogenous attention is allocated to its location and is not overpowered by the exogenous capture of attention that would happen when a single stimulus appeared abruptly in the visual field. Thus, the reason for keeping the location of the cue constant seems convincing. However, I wondered what consequences the constant location would have for the task representations that persist across the task and govern how attention is allocated. In the classic paradigm, there is always a single stimulus that captures attention exogenously (as it appears abruptly). In a prosaccade block, participants can prioritize the visual transient caused by the stimulus, and follow it with a saccade to its coordinates. In an antisaccade block, following the transient with a saccade would always be wrong, so that participants could try to suppress the attention capture by the transient, and base their saccade on the coordinates of the opposite location. Thus, in prosaccade and antisaccade blocks, the task representations controlling how visual transients are processed to perform the task differ. In the present task, prosaccades and antisaccades cannot be distinguished by the visual transients. Thus, such a situation could favor endogenous attention and increase its influence on saccade planning, even though saccade planning under more naturalistic conditions would be dominated by visual transients. I suggest discussing how this (and vice versa the emphasis on visual transients in the classic paradigm) could affect the generality of the presented findings (e.g., how does this relate to the interpretation that saccade plans are obligatorily coupled to endogenous attention? See, Results, p. 10, lines 306-308, see also Deubel & Schneider, 1996, Vision Research).
(2) Discussion (p. 16, lines 472-475): The authors suppose that "It is as if the exogenous response was automatically followed by a motor bias in the opposite direction. Perhaps the oculomotor circuitry is such that an exogenous signal can rapidly trigger a saccade, but if it does not, then the corresponding motor plan is rapidly suppressed regardless of anything else.". I think this interesting point should be discussed in more detail. Could it also be that instead of suppression, other currently active motor plans were enhanced? Would this involve attention? Some attention models assume that attention works by distributing available (neuronal) processing resources (e.g., Desimone & Duncan, 1995, Annual Review of Neuroscience; Bundesen, 1990, Psychological Review; Bundesen et al., 2005, Psychological Review) so that the information receiving the largest share of resources results in perception and is used for action, but this happens without the active suppression of information.
(3) Methods, p. 19, lines 593-596: It is reported that saccades were scored based on their direction. I think more information should be provided to understand which eye movements entered the analysis. Was there a criterion for saccade amplitude? I think it would be very helpful to provide data on the distributions of saccade amplitudes or on their accuracy (e.g. average distance from target) or reliability (e.g. standard deviation of landing points). Also, it is reported that some data was excluded from the analysis, and I suggest reporting how much of the data was excluded. Was the exclusion of the data related to whether participants were "reliable" or "unreliable" performers?
(4) Results, p. 9, lines 262-266: Some data analyses are performed on a subset of participants that met certain performance criteria. The reasons for this data selection seem convincing (e.g. to ensure empirical curves were not flat, line 264). Nevertheless, I suggest to explain and justify this step in more detail. In addition, if not all participants achieved an acceptable performance and data quality, this could also speak to the experimental task and its difficulty. Thus, I suggest discussing the potential implications of this, in particular, how this could affect the studied mechanisms, and whether it could limit the presented findings to a special group within the studied population.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Hall et al. benchmarked different variant calling methods on Nanopore reads of bacterial samples and compared the performance of Nanopore to short reads produced with Illumina sequencing. To establish a common ground for comparison, the authors first generated a variant truth set for each sample and then projected this set to the reference sequence of the sample to obtain a mutated reference. Subsequently, Hall et al. called SNPs and small indels using commonly used deep learning and conventional variant callers and compared the precision and accuracy from reads produced with simplex and duplex Nanopore sequencing to Illumina data. The authors did not investigate large structural variation, which is a major limitation of the current manuscript. It will be very interesting to see a follow-up study covering this much more challenging type of variation.
In their comprehensive comparison of SNPs and small indels, the authors observed superior performance of deep learning over conventional variant callers when Nanopore reads were basecalled with the most accurate (but also computationally very expensive) model, even exceeding Illumina in some cases. Not surprisingly, Nanopore underperformed compared to Illumina when basecalled with the fastest (but computationally much less demanding) method with the lowest accuracy. The authors then investigated the surprisingly higher performance of Nanopore data in some cases and identified lower recall with Illumina short read data, particularly from repetitive regions and regions with high variant density, as the driver. Combining the most accurate Nanopore basecalling method with a deep learning variant caller resulted in low error rates in homopolymer regions, similar to Illumina data. This is remarkable, as homopolymer regions are (or, were) traditionally challenging for Nanopore sequencing.
Lastly, Hall et al. provided useful information on the required Nanopore read depth, which is surprisingly low, and the computational resources for variant calling with deep learning callers. With that, the authors established a new state-of-the-art for Nanopore-only variant, calling on bacterial sequencing data. Most likely these findings will be transferred to other organisms as well or at least provide a proof-of-concept that can be built upon.
As the authors mention multiple times throughout the manuscript, Nanopore can provide sequencing data in nearly real-time and in remote regions, therefore opening up a ton of new possibilities, for example for infectious disease surveillance.
However, the high-performing variant calling method as established in this study requires the computationally very expensive sup and/or duplex Nanopore basecalling, whereas the least computationally demanding method underperforms. Here, the manuscript would greatly benefit from extending the last section on computational requirements, as the authors determine the resources for the variant calling but do not cover the entire picture. This could even be misleading for less experienced researchers who want to perform bacterial sequencing at high performance but with low resources. The authors mention it in the discussion but do not make clear enough that the described computational resources are probably largely insufficient to perform the high-accuracy basecalling required.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The rete ovarii (RO) has long been disregarded as a non-functional structure within the ovary. In their study, Anbarci and colleagues have delineated the markers and developmental dynamics of three distinct regions of the RO - the intraovarian rete (IOR), the extraovarian rete (EOR), and the connecting rete (CR). Notably focusing on the EOR, the authors presented evidence illustrating that the EOR forms a convoluted tubular structure culminating in a dilated tip. Intriguingly, microinjections into this tip revealed luminal flow towards the ovary containing potentially secreted functional proteins. Additionally, the EOR cells exhibit associations with vasculature, macrophages, and neuronal projections, proposing the notion that the RO may play a functional role in ovarian development during critical ovariogenesis stages. By identifying marker genes within the RO, the authors have also suggested that the RO could serve as a potential structure linking the ovary with the neuronal system.
Strengths:
Overall, the reviewer commends the authors for their systematic research on the RO, shedding light on this overlooked structure in developing ovaries. Furthermore, the authors have proposed a series of hypotheses that are both captivating and scientifically significant, with the potential to reshape our understanding of ovarian development through future investigations.
Weaknesses:
There is a lack of conclusive data supporting many conclusions in the manuscript. Therefore, the paper's overall conclusions should be moderated until functional validations are conducted.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors aimed to establish a faster and more efficient method of tracking steps of T-cell extravasation across the blood brain barrier. The authors developed a framework to visualize, recognize and track the movement of different immune cells across primary human and mouse brain microvascular endothelial cells without the need for fluorescence-based imaging. The authors succinctly describe the basic requirements for tracking in the introduction followed by an in-depth account of the execution.
Weaknesses and Strengths:
Materials & methods and results:
(1) The methods section also lacks details of the microfluidic device that the authors talk about in the paper. Under physiological sheer stress, the T-cells detach from the pMBMEC monolayer, and are hence unable to be detected; however, this observation requires an explanation pertaining to the reason of occurrence and potential solutions to circumvent it to ensure physiologically relevant experimental parameters.
(2) The author describes a method for debris exclusion using UFMTrack that eliminates objects of <30 pixels in size from analysis based on a mean pixel size of 400 for T lymphocytes. However, this mean pixel size appears to stem from in-vitro activated CD8 T cells, which rapidly grow and proliferate upon stimulation. In line with this, activated lymphocytes exhibit increased cytoplasmic area, making them appear less dense or "brighter" by phase microscopy compared to naïve lymphocytes, which are relatively compact and subsequently appear dimmer. Given this, it is not clear whether UFMTrack is sufficiently trained to identify naïve human lymphocytes in circulating blood, nor smaller, murine lymphocytes. Analysis of each lymphocyte subtype in terms of pixel size and intensity would be beneficial to strengthen the claim that UFMTrack can identify each of these populations. Additionally, demonstrating that UFMTrack can correctly characterize the behavior of naïve versus activated lymphocytes isolated from murine and human sources would strengthen the claim that UFMTrack can be broadly applied to study lymphocyte dynamics in diverse models without additional training
(3) Average precision was compared to the analysis of UFMTrack but it is unclear how average precision was calculated. This information should have been included in the methods section
(4) CD4 and CD8 T cells exhibit distinct biology and interaction kinetics driven in part by their MHC molecule affinity and distinct receptor expression profiles. Thus, it is unclear why two distinct mechanisms of endothelial cell activation are needed to see differences between the populations.
(5) The BMECs are barrier tissues but were cultured on µdishes in this study. To study the transmigration of T-cells across the endothelium, the model would have been more relevant on a semi-permeable membrane instead of a closed surface.
(6) Methods are provided for the isolation and expansion of human effector and memory CD4+ T cells. However, there is no mention of specific CD4+ T cell populations used for analysis with UFMTrack, nor a clear breakdown of tracking efficiency for each subpopulation. Further, there is no similar method for the isolation of CD8+ T cell compartments. A clear breakdown of the performance efficiency of UFMTrack with each cell population investigated in this study would provide greater insight into the software's performance with regard to tracking the behavior and movement of distinct immune populations.
(7) The results section is quite extensive and discusses details of establishment of the framework while highlighting both the pros and cons of the different aspects of the process, for example the limitation of the two models, 2D and 2D+T were highlighted well. However, the results section includes details which may be more fitting in the methods section.
(8) A few statements in the results section lacked literary support, which was not provided in the discussion either, such as support for increased variance of T-cell instantaneous speed on stimulated vs non-stimulated pMBMECs. Another example is the enhancement of cytokine stimulation directed T-cell movement on the pMBMECs that the authors observed but failed to relay the physiological relevance of it. The authors don't provide enough references for developments in the field prior to their work which form the basis and need for this technology.
(9) The rationale for use of OT-1 and 2D2-derived murine lymphocytes is unclear here. The OT-1 model has been generated to study antigen-specific CD8+ T cell responses, while the 2D2 model has been generated to recapitulate CD4 T cell-specific myelin oligodendrocyte glycoprotein (MOG) responses.
Figures and text:
(1) There are certain discrepancies and misarrangement of figures and text. For example, discussion of the effect of sheer flow on T cell attachment as part of the introduction in figure 1 and then mentioning it in the text again in the results section as part of figure 4 is repetitive.
(2) Section IV, subsection 1 of the results section, refers to 'data acquisition section above' in line 279, however the said section is part of materials and methods which is provided towards the end of the manuscript.
(3) There are figures in the manuscript that have not been referenced in the results section, for example, figure 3A and B. Figure 1 hasn't been addressed until subsection 7 of materials and methods
(4) A lack of significance but an observed trend of increased variance of T cell instantaneous speed is reported in line 296-298; however, the graph (figure 4G) shows a significant change in instantaneous speed between non-stimulated and TNFα-stimulated systems. This is misleading to the readers.
(5) The authors talk about three beginner experimentors testing the manual T cell tracking process but figure 5 only showcases data from two experimentors without stating the reason for excluding experimentor 1.
Discussion:
(1) While the discussion captures the major takeaways from the paper, it lacks relevant supporting references to relate the observation to physiological conditions and applicability.
(2) The discussion lacks connection to the results since the figures were not referenced while discussing an observed trend
(3) The authors briefly looked into mouse and human BMECs and their individual interaction with T-cells, but don't discuss the differences between the two, if any, that challenged their framework.
(4) Even though though the imaging tool relies on difference in appearance for detection, the authors talk about lack of feasibility in detecting transmigration of BMDMs due to their significantly different appearance. The statement lacks a problem solving approach to discuss how and why this was the case.
Relevance to the field:
Utilizing the framework provided by the authors, the application can be adapted and/or utilized for visualizing a range of different cell types, provided they are different in appearance. However, this would require extensive changes to the script and won't be adaptable in its current form.
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
RRID:CVCL_0063
DOI: 10.1038/s44319-024-00152-3
Resource: (CCLV Cat# CCLV-RIE 1018, RRID:CVCL_0063)
Curator: @AniH
SciCrunch record: RRID:CVCL_0063
-
RRID:IMSR_JAX:002014
DOI: 10.1038/s44319-024-00152-3
Resource: (IMSR Cat# JAX_002014,RRID:IMSR_JAX:002014)
Curator: @AniH
SciCrunch record: RRID:IMSR_JAX:002014
-
RRID:IMSR_JAX:007676
DOI: 10.1038/s44319-024-00152-3
Resource: (IMSR Cat# JAX_007676,RRID:IMSR_JAX:007676)
Curator: @AniH
SciCrunch record: RRID:IMSR_JAX:007676
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
I remain enthusiastic about this study. The manuscript is well-written, logical, and conceptually clear. To my knowledge, no prior modeling study has tackled the question of 'why prepare before executing, why not just execute?' Prior studies have simply assumed, to emulate empirical findings, that preparatory inputs precede execution. They never asked why. The authors show that, when there are constraints on inputs, preparation becomes a natural strategy. In contrast, with no constraint on inputs, there is no need for preparation as one could get anything one liked just via the inputs during movement. For the sake of tractability, the authors use a simple magnitude constraint: the cost function punishes the integral of the squared inputs. Thus, if small inputs before movement can reduce the size of the inputs needed during movement, preparation is a good strategy. This occurs if (and only if) the network has strong dynamics (otherwise feeding it preparatory activity would not produce anything interesting). All of this is sensible and clarifying.
As discussed in the prior round of reviews, the central constraint that the authors use is a mathematically tractable stand-in for a range of plausible (but often trickier to define and evaluate) constraints, such as simplicity of inputs (or inputs being things that other areas could provide). The manuscript now embraces this fact more explicitly, and also gives some results showing that other constraints (such as on the derivative of activity, which is one component of complexity) can have the same effect. The manuscript also now discusses and addresses a modest weakness of the previous manuscript: the preparatory activity in their simulations is often overly complex temporally, lacking the (rough) plateau typically seen for data. Depending on your point of view, this is simply 'window dressing', but from my perspective it was important to know that their approach could yield more realistic-looking preparatory activity. Both these additions (the new constraint, and the more realistic temporal profile of preparatory activity) are added simply as supplementary figures rather than in the main text, and are brought up only in the Discussion. At first this struck me as slightly odd, but in the end I think this is appropriate. These are really Discussion-type issues, and dealing with them there makes sense. The 'different constraints' issue in particular is deep, tricky to explore for technical reasons, and could thus support a small research program. I think it is fair to talk about it thoughtfully (as the Discussion now does) and then just mention some simple results.
My remaining comments largely pertain to some subtle (but to me important) nuances at a few locations in the text. These should be easy for the authors to address, in whatever way they see fit.
Specific comments:
(1) The authors state the following on line 56: "For preparatory processes to avoid triggering premature movement, any pre-movement activity in the motor and dorsal pre-motor (PMd) cortices must carefully exclude those pyramidal tract neurons."<br /> This constraint is overly restrictive. PT neurons absolutely can change their activity during preparation in principle (and appear to do so in practice). The key constraint is looser: those changes should have no net effect on the muscles. E.g., if d is the vector of changes in PT neuron firing rates, and b is the vector of weights, then the constraint is that b'd = 0. d = 0 is one good way of doing this, but only one. Half the d's could go up and half could go down. Or they all go up, but half the b's are negative. Put differently, there is no reason the null space has to be upstream of the PT neurons. It could be partly, or entirely, downstream.<br /> In the end, this doesn't change the point the authors are making. It is still the case that d has to be structured to avoid causing muscle activity, which raises exactly the point the authors care about: why risk this unless preparation brings benefits? However, this point can be made with a more accurate motivation. This matters, because people often think that a null-space is a tricky thing to engineer, when really it is quite natural. With enough neurons, preparing in the null space is quite simple.
(2) Line 167: 'near-autonomous internal dynamics in M1'.<br /> It would be good if such statements, early in the paper, could be modified to reflect the fact that the dynamics observed in M1 may depend on recurrence that is NOT purely internal to M1. A better phrase might be 'near-autonomous dynamics that can be observed in M1'. A similar point applies on line 13. This issue is handled very thoughtfully in the Discussion, starting on line 713. Obviously it is not sensible to also add multiple sentences making the same point early on. However, it is still worth phrasing things carefully, otherwise the reader may have the wrong impression up until the Discussion (i.e. they may think that both the authors, and prior studies, believe that all the relevant dynamics are internal to M1). If possible, it might also be worth adding one sentence, somewhere early, to keep readers from falling into this hole (and then being stuck there till the Discussion digs them out).
(3) The authors make the point, starting on line 815, that transient (but strong) preparatory activity empirically occurs without a delay. They note that their model will do this but only if 'no delay' means 'no external delay'. For their model to prepare, there still needs to be an internal delay between when the first inputs arrive and when movement generating inputs arrive.
This is not only a reasonable assumption, but is something that does indeed occur empirically. This can be seen in Figure 8c of Lara et al. Similarly, Kaufman et al. 2016 noted that "the sudden change in the CIS [the movement triggering event] occurred well after (~150 ms) the visual go cue... (~60 ms latency)" Behavioral experiments have also argued that internal movement-triggering events tend to be quite sluggish relative to the earliest they could be, causing RTs to be longer than they should be (Haith et al. Independence of Movement Preparation and Movement Initiation). Given this empirical support, the authors might wish to add a sentence indicating that the data tend to justify their assumption that the internal delay (separating the earliest response to sensory events from the events that actually cause movement to begin) never shrinks to zero.
While on this topic, the Haith and Krakauer paper mentioned above good to cite because it does ponder the question of whether preparation is really necessary. By showing that they could get RTs to shrink considerably before behavior became inaccurate, they showed that people normally (when not pressured) use more preparation time than they really need. Given Lara et al, we know that preparation does always occur, but Haith and Krakauer were quite right that it can be very brief. This helped -- along with neural results -- change our view of preparation from something more cognitive that had to occur, so something more mechanical that was simply a good network strategy, which is indeed the authors current point. Working a discussion of this into the current paper may or may not make sense, but if there is a place where it is easy to cite, it would be appropriate.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
The data reported here demonstrate that Sema7a defines the local behavior of growing axons in the developing zebrafish lateral line. The analysis is sophisticated and convincingly demonstrates effects on axon growth and synapse architecture. Collectively, the findings point to the idea that the diffusible form of sema7a may influence how axons grow within the neuromast and that the GPI-linked form of sema7a may subsequently impact how synapses form, though additional work is needed to strongly link each form to its' proposed effect on circuit assembly.
Comments on latest version:
The authors comprehensively and appropriately addressed most of the reviewers' concerns. In particular, they added evidence that hair cells express both Sema7A isoforms, showed that membrane bound Sema7A does not have long range effects on guidance, demonstrated how axons behave close to ectopic Sema7A, and analyzed other features of the hair cells that revealed no strong phenotypes. The authors also softened the language in many, but not all places. Overall, I am satisfied with the study as a whole.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In this work, Jarc et al. describe a method to decouple the mechanisms supporting progenitor self-renewal and expansion from feed-forward mechanisms promoting their differentiation.
The authors aimed at expanding pancreatic progenitor (PP) cells, strictly characterized as PDX1+/SOX9+/NKX6.1+ cells, for several rounds. This required finding the best cell culture conditions that allow sustaining PP cell proliferation along cell passages while avoiding their further differentiation. They achieve this by comparing the transcriptome of PP cells that can be expanded for several passages against the transcriptome of unexpanded (just differentiated) PP cells.
The optimized culture conditions enabled the selection of PDX1+/SOX9+/NKX6.1+ PP cells and their consistent, 2000-fold, expansion over ten passages and 40-45 days. Transcriptome analyses confirmed the stabilization of PP identity and the effective suppression of differentiation. These optimized culture conditions consisted in substituting the Vitamin A containing B27 supplement with a B27 formulation devoid of vitamin A (to avoid retinoic acid (RA) signaling from an autocrine feed-forward loop), substituting A38-01 with the ALK5 II inhibitor (ALK5i II) that targets primarily ALK5, supplementation of medium with FGF18 (in addition to FGF2) and the canonical Wnt inhibitor IWR-1, and cell culture on vitronectin-N (VTN-N) as a substrate instead of Matrigel.
The strength of this work relies on a clever approach to identify cell culture modifications that allow expansion of PP cells (once differentiated) while maintaining, if not reinforcing, PP cell identity. Along the work, it is emphasized that PP cell identity is associated to the co-expression of PDX1, SOX9 and NKX6.1. The optimized protocol is unique (among the other datasets used in the comparison shown here) at inducing a strong upregulation of GP2, a unique marker of human fetal pancreas progenitors. Importantly GP2+ enriched hPS cell-derived PP cells are more efficiently differentiating into pancreatic endocrine cells (Aghazadeh et al., 2022; Ameri et al., 2017).
The unlimited expansion of PP cells reported here would allow scaling-up the generation of beta cells, for the cell therapy of diabetes, by eliminating a source of variability derived from the number of differentiation procedures to be carried out when starting at the hPS cell stage each time. The approach presented here would allow selection of the most optimally differentiated PP cell population for subsequent expansion and storage. Among other conditions optimized, the authors report a role for Vitamin A in activating retinoic acid signaling in an autocrine feed-forward loop, and the supplementation with FGF18 to reinforce FGF2 signaling.
This is a relevant topic in the field of research, and some of the cell culture conditions reported here for PP expansion might have important implications in cell therapy approaches. Thus, the approach and results presented in this study could be of interest for researchers working in the field of in vitro pancreatic beta cell differentiation from hPSCs. Table S1 and Table S4 are clearly detailed and extremely instrumental to this aim.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This manuscript extends previous research by this group by relating variation in pupil size to the endpoints of saccades produced by human participants under various conditions including trial-based choices between pairs of spots and search for small items in natural scenes. Based on the premise that pupil size is a reliable proxy of "effort", the authors conclude that less costly saccade targets are preferred. Finding that this preference was influenced by the performance of a non-visual, attention-demanding task, the authors conclude that a common source of effort animates gaze behavior and other cognitive tasks.
Strengths:
Strengths of the manuscript include the novelty of the approach, the clarity of the findings, and the community interest in the problem.
Weaknesses:
Enthusiasm for this manuscript is reduced by the following weaknesses:
(1) A relationship between pupil size and saccade production seems clear based on the authors' previous and current work. What is at issue is the interpretation. The authors test one, preferred hypothesis, and the narrative of the manuscript treats the hypothesis that pupil size is a proxy of effort as beyond dispute or question. The stated elements of their argument seem to go like this:<br /> PROPOSITION 1: Pupil size varies systematically across task conditions, being larger when tasks are more demanding.<br /> PROPOSITION 2: Pupil size is related to the locus coeruleus.<br /> PROPOSITION 3: The locus coeruleus NE system modulates neural activity and interactions.<br /> CONCLUSION: Therefore, pupil size indexes the resource demand or "effort" associated with task conditions.<br /> How the conclusion follows from the propositions is not self-evident. Proposition 3, in particular, fails to establish the link that is supposed to lead to the conclusion.
(2) The authors test one, preferred hypothesis and do not consider plausible alternatives. Is "cost" the only conceivable hypothesis? The hypothesis is framed in very narrow terms. For example, the cholinergic and dopamine systems that have been featured in other researchers' consideration of pupil size modulation are missing here. Thus, because the authors do not rule out plausible alternative hypotheses, the logical structure of this manuscript can be criticized as committing the fallacy of affirming the consequent.
(3) The authors cite particular publications in support of the claim that saccade selection is influenced by an assessment of effort. Given the extensive work by others on this general topic, the skeptic could regard the theoretical perspective of this manuscript as too impoverished. Their work may be enhanced by consideration of other work on this general topic, e.g, (i) Shenhav A, Botvinick MM, Cohen JD. (2013) The expected value of control: an integrative theory of anterior cingulate cortex function. Neuron. 2013 Jul 24;79(2):217-40. (ii) Müller T, Husain M, Apps MAJ. (2022) Preferences for seeking effort or reward information bias the willingness to work. Sci Rep. 2022 Nov 14;12(1):19486. (iii) Bustamante LA, Oshinowo T, Lee JR, Tong E, Burton AR, Shenhav A, Cohen JD, Daw ND. (2023) Effort Foraging Task reveals a positive correlation between individual differences in the cost of cognitive and physical effort in humans. Proc Natl Acad Sci U S A. 2023 Dec 12;120(50):e2221510120.
(4) What is the source of cost in saccade production? What is the currency of that cost? The authors state (page 13), "... oblique saccades require more complex oculomotor programs than horizontal eye movements because more neuronal populations in the superior colliculus (SC) and frontal eye fields (FEF) [76-79], and more muscles are necessary to plan and execute the saccade [76, 80, 81]." This statement raises questions and concerns. First, the basis of the claim that more neurons in FEF and SC are needed for oblique versus cardinal saccades is not established in any of the publications cited. Second, the authors may be referring to the fact that oblique saccades require coordination between pontine and midbrain circuits. This must be clarified. Second, the cost is unlikely to originate in extraocular muscle fatigue because the muscle fibers are so different from skeletal muscles, being fundamentally less fatigable. Third, if net muscle contraction is the cost, then why are upward saccades, which require the eyelid, not more expensive than downward? Thus, just how some saccades are more effortful than others is not clear.
(5) The authors do not consider observations about variation in pupil size that seem to be incompatible with the preferred hypothesis. For example, at least two studies have described systematically larger pupil dilation associated with faster relative to accurate performance in manual and saccade tasks (e.g., Naber M, Murphy P. Pupillometric investigation into the speed-accuracy trade-off in a visuo-motor aiming task. Psychophysiology. 2020 Mar;57(3):e13499; Reppert TR, Heitz RP, Schall JD. Neural mechanisms for executive control of speed-accuracy trade-off. Cell Rep. 2023 Nov 28;42(11):113422). Is the fast relative to the accurate option necessarily more costly?
(6) The authors draw conclusions based on trends across participants, but they should be more transparent about variation that contradicts these trends. In Figures 3 and 4 we see many participants producing behavior unlike most others. Who are they? Why do they look so different? Is it just noise, or do different participants adopt different policies?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this paper, Chikermane et al. leverages a large open dataset of intracranial recordings (sEEG or ECoG) to analyze resting state (eyes closed) oscillatory activity from a variety of human brain areas. The authors identify a dominant proportion of channels in which beta band activity (12-30Hz) is most prominent and subsequently seek to relate this to anatomical connectivity data by using the sEEG/ECoG electrodes as seeds in a large set of MRI data from the human connectome project. This reveals separate regions and white matter tracts for alpha (primarily occipital) and beta (prefrontal cortex and basal ganglia) oscillations. Finally, using a third available dataset of PET imaging, the authors relate the parcellated signals to dopamine signaling as estimated by spatial uptake patterns of dopamine, and reveal a significant correlation between the functional connectivity maps and the dopamine reuptake maps, suggesting a functional relationship between the two.
Strengths:
Overall, I found the paper well justified, focused on an important topic, and interesting. The authors' use of 3 different open datasets was creative and informative, and it significantly adds to our understanding of different oscillatory networks in the human brain, and their more elusive relation with neuromodulator signaling networks by adding to our knowledge of the association between beta oscillations and dopamine signaling. Even my main comments about the lack of a theta network analysis and discussion points are relatively minor, and I believe this paper is valuable and informative.
Weaknesses:
The analyses were adequate, and the authors cleverly leveraged these different datasets to build an interesting story. The main aspect I found missing (in addition to some discussion items, see below) was an examination of the theta network. Theta oscillations have been involved in a number of cognitive processes including spatial navigation and memory, and have been proposed to have different potential originating brain regions, and it would be informative to see how their anatomical networks (e.g. as in Figure 2) look like under the author's analyses.
The authors devote a significant portion of the discussion to relating their findings to a popular hypothesis for the function of beta oscillations, the maintenance of the "status quo", mostly in the context of motor control. As the authors acknowledge, given the static nature of the data and lack of behavior, this interpretation remains largely speculative and I found it a bit too far-reaching given the data shown in the paper. In contrast, I missed a more detailed discussion on the growing literature indicating a role for beta in mood (e.g. in Kirkby et al. 2018), especially given the apparent lack of hippocampal and amygdala involvement in the paper, which was surprising.
Major comment:
• Although the proportion of electrodes with theta-dominant oscillations was lower (~15%) than alpha (~22%) or beta (~57%), it would be very valuable to also see the same analyses the authors carried out in these frequency bands extended to theta oscillations.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript aims to understand the role of GABA-ergic inhibition in the human MT+ region in predicting visuo-spatial intelligence through a combination of behavioral measures, fMRI (for functional connectivity measurement), and MRS (for GABA/glutamate concentration measurement). While this is a commendable goal, it becomes apparent that the authors lack fundamental understanding of vision, intelligence, or the relevant literature. As a result, the execution of the research is less coherent, dampening the enthusiasm of the review.
Strengths:
(1) Comprehensive Approach: The study adopts a multi-level approach, i.e., neurochemical analysis of GABA levels, functional connectivity, and behavioral measures to provide a holistic understanding of the relationship between GABA-ergic inhibition and visuo-spatial intelligence.
(2) Sophisticated Techniques: The use of ultra-high field magnetic resonance spectroscopy (MRS) technology for measuring GABA and glutamate concentrations in the MT+ region is a recent development.
Weaknesses:
Study Design and Hypothesis<br /> (1) The central hypothesis of the manuscript posits that "3D visuo-spatial intelligence (the performance of BDT) might be predicted by the inhibitory and/or excitation mechanisms in MT+ and the integrative functions connecting MT+ with the frontal cortex." However, several issues arise:<br /> 1.1 The Suppression Index depicted in Figure 1a, labeled as the "behavior circle," appears irrelevant to the central hypothesis.<br /> 1.2 The construct of 3D visuo-spatial intelligence, operationalized as the performance in the Block Design task, is inconsistently treated as another behavioral task throughout the manuscript, leading to confusion.<br /> 1.3 The schematics in Figure 1a and Figure 6 appear too high-level to be falsifiable. It is suggested that the authors formulate specific and testable hypotheses and preregister them before data collection.
(2) Central to the hypothesis and design of the manuscript is a misinterpretation of a prior study by Melnick et al. (2013). While the original study identified a strong correlation between WAIS (IQ) and the Suppression Index (SI), the current manuscript erroneously asserts a specific relationship between the block design test (from WAIS) and SI. It should be noted that in the original paper, WAIS comprises Similarities, Vocabulary, Block design, and Matrix reasoning tests in Study 1, while the complete WAIS is used in Study 2. Did the authors conduct other WAIS subtests other than the block design task?
(3) Additionally, there are numerous misleading references and unsubstantiated claims throughout the manuscript. As an example of misleading reference, "the human MT ... a key region in the multiple representations of sensory flows (including optic, tactile, and auditory flows) (Bedny et al., 2010; Ricciardi et al., 2007); this ideally suits it to be a new MD core." The two references in this sentence are claims about plasticity in the congenitally blind with sensory deprivation from birth, which is not really relevant to the proposal that hMT+ is a new MD core in healthy volunteers.<br /> Another example of unsubstantiated claim: the rationale for selecting V1 as the control region is based on the assertion that "it mediates the 2D rather than 3D visual domain (Born & Bradley, 2005)". That's not the point made in the Born & Bradley (2005) paper on MT. It's crucial to note that V1 is where the initial binocular convergence occurs in cortex, i.e., inputs from both the right and left eyes to generate a perception of depth.
Results & Discussion<br /> (1) The missing correlation between SI and BDT is crucial to the rest of the analysis. The authors should discuss whether they replicated the pattern of results from Melnick et al. (2013) despite using only one WAIS subtest.
(2) ROIs: can the authors clarify if the results are based on bilateral MT+/V1 or just those in the left hemisphere? Can the authors plot the MRS scan area in V1? I would be surprised if it's precise to V1 and doesn't spread to V2/3 (which is fine to report as early visual cortex).
(3) Did the authors examine V1 FC with either the frontal regions and/or whole brain, as a control analysis? If not, can the author justify why V1 serves as the control region only in the MRS but not in FC (Figure 4) or the mediation analysis (Figure 5)? That seems a little odd given that control analyses are needed to establish the specificity of the claim to MT+.
(4) It is not clear how to interpret the similarity or difference between panels a and b in Figure 4.
(5) SI is not relevant to the authors' priori hypothesis, but is included in several mediation analyses. Can the authors do model comparisons between the ones in Figure 5c, d, and Figure S6? In other words, is SI necessary in the mediation model? There seem discrepancies between the necessity of SI in Figures 5c/S6 vs. Figure 5d.
(6) The sudden appearance of "efficient information" in Figure 6, referring to the neural efficiency hypothesis, raises concerns. Efficient visual information processing occurs throughout the visual cortex, starting from V1. Thus, it appears somewhat selective to apply the neural efficiency hypothesis to MT+ in this context.
Transparency Issues:<br /> (1) Don't think it's acceptable to make the claim that "All data needed to evaluate the conclusions in the paper are present in the paper and/or the Supplementary information". It is the results or visualizations of data analysis, rather than the raw data themselves, that are presented in the paper/supp info.
(2) No GitHub link has been provided in the manuscript to access the source data, which limits the reproducibility and transparency of the study.
Minor:<br /> "Locates" should be replaced with "located" throughout the paper. For example: "To investigate this issue, this study selects the human MT complex (hMT+), a region located at the occipito-temporal border, which represents multiple sensory flows, as the target brain area."
Use "hMT+" instead of "MT+" to be consistent with the term in the literature.
"Green circle" in Figure 1 should be corrected to match its actual color.
The abbreviation for the Wechsler Adult Intelligence Scale should be "WAIS," not "WASI."
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
-The paper offers a systematic and rigorous description of the layer-and sublayer specific outputs of the somatosensory cortex using a modern toolbox for the analysis of brain connectivity which combines: 1) Layer-specific genetic drivers for conditional viral tracing; 2) whole brain analyses of axon tracts using tissue clearing and imaging; 3) Segmentation and quantification of axons with normalization to the number of transduced neurons; 4) registration of connectivity to a widely used anatomical reference atlas; 5) functional validation of the connectivity using optogenetic approaches in vivo.
Strengths:
- Although the connectivity of the somatosensory cortex is already known, precise data are dispersed in different accounts (papers, online resources,) using different methods. So the present account has the merit of condensing this information in one very precisely documented report. It also brings new insights on the connectivity, such as the precise comparison of layer specific outputs, and of the primary and secondary somatosensory areas. It also shows a topographic organization of the circuits linking the somatosensory and motor cortices. The paper also offers a clear description of the methodology and of a rigorous approach to quantitative anatomy.
Weaknesses:
The weakness relates to the intrinsic limitations of the in toto approaches, that currently lack the precision and resolution allowing to identify single axons, axon branching or synaptic connectivity. These limitations are identified and discussed by the authors.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
In the current paper, Abbasi et al. aimed to characterize and compare the patterns of functional connectivity across frequency bands (1 Hz - 90 Hz) between regions of a speech network derived from an online meta-analysis tool (Neurosynth.org) during speech production and perception. The authors present evidence for complex neural dynamics from which they highlight directional connectivity from the right cerebellum to left superior temporal areas in lower frequency bands (up to beta) and between the same regions in the opposite direction in the (lower) high gamma range (60-90 Hz). Abbasi et al. interpret their findings within the predictive coding framework, with the cerebellum and other "higher-order" (motor) regions transmitting top-down sensory predictions to "lower-order" (sensory) regions in the lower frequencies and prediction errors flowing in the opposite direction (i.e., bottom-up) from those sensory regions in the gamma band. They also report a negative correlation between the strength of this top-down functional connectivity and the alignment of superior temporal regions to the syllable rate of one's speech.
Strengths:
(1) The comprehensive characterization of functional connectivity during speaking and listening to speech may be valuable as a first step toward understanding the neural dynamics involved.
(2) The inclusion of subcortical regions and connectivity profiles up to 90Hz using MEG is interesting and relatively novel.
(3) The analysis pipeline is generally adequate for the exploratory nature of the work.
Weaknesses:
(1) The work is framed as a test of the predictive coding theory as it applies to speech production and perception, but the methodological approach is not suited to this endeavor.
(2) Because of their theoretical framework, the authors readily attribute roles or hierarchy to brain regions (e.g., higher- vs lower-order) and cognitive functions to observed connectivity patterns (e.g., feedforward vs feedback, predictions vs prediction errors) that cannot be determined from the data. Thus, many of the authors' claims are unsupported.
(3) The authors' theoretical stance seems to influence the presentation of the results, which may inadvertently misrepresent the (otherwise perfectly valid; cf. Abbasi et al., 2023) exploratory nature of the study. Thus, results about specific regions are often highlighted in figures (e.g., Figure 2 top row) and text without clear reasons.
(4) Some of the key findings (e.g., connectivity in opposite directions in distinct frequency bands) feature in a previous publication and are, therefore, interesting but not novel.
(5) The quantitative comparison between speech production and perception is interesting but insufficiently motivated.
(6) Details about the Neurosynth meta-analysis and subsequent selection of brain regions for the functional connectivity analyses are incomplete. Moreover, the use of the term 'Speech' in Neurosynth seems inappropriate (i.e., includes irrelevant works, yielding questionable results). The approach of using separate meta-analyses for 'Speech production' and 'Speech perception' taken by Abbasi et al. (2023) seems more principled. This approach would result, for example, in the inclusion of brain areas such as M1 and the BG that are relevant for speech production.
(7) The results involving subcortical regions are central to the paper, but no steps are taken to address the challenges involved in the analysis of subcortical activity using MEG. Additional methodological detail and analyses would be required to make these results more compelling. For example, it would be important to know what the coverage of the MEG system is, what head model was used for the source localization of cerebellar activity, and if specific preprocessing or additional analyses were performed to ensure that the localized subcortical activity (in particular) is valid.
(8) The results and methods are often detailed with important omissions (a speech-brain coupling analysis section is missing) and imprecisions (e.g., re: Figure 5; the Connectivity Analysis section is copy-pasted from their previous work), which makes it difficult to understand what is being examined and how. (It is also not good practice to refer the reader to previous publications for basic methodological details, for example, about the experimental paradigm and key analyses.) Conversely, some methodological details are given, e.g., the acquisition of EMG data, without further explanation of how those data were used in the current paper.
(9) The examination of gamma functional connectivity in the 60 - 90 Hz range could be better motivated. Although some citations involving short-range connectivity in these frequencies are given (e.g., within the visual system), a more compelling argument for looking at this frequency range for longer-range connectivity may be required.
(10) The choice of source localization method (linearly constrained minimum variance) could be explained, particularly given that other methods (e.g. dynamic imaging of coherent sources) were specifically designed and might potentially be a better alternative for the types of analyses performed in the study.
(11) The mGC analysis needs to be more comprehensively detailed for the reader to be able to assess what is being reported and the strength of the evidence. Relatedly, first-level statistics (e.g., via estimation of the noise level) would make the mGC and DAI results more compelling.
(12) Considering the exploratory nature of the study, it is essential for other researchers to continue investigating and validating the results presented in the current manuscript. Thus, it is concerning that data and scripts are not fully and openly available. Data need not be in its raw state to be shared and useful, which circumvents the stated data privacy concerns.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors presented data that linked vitamin B12, S-adenosyl methionine (SAM), and phosphatidylcholine (PC) synthesis to lipid homeostasis in C. elegans. They confirmed mechanisms previously shown by other labs, including the regulation of FAT-7 expression by SBP-1, and the targeting of SEIP-1 by PC levels. The authors also attempted to link the synthesis of phospho-choline by the ASM-3 sphingomyelinase to PC synthesis and lipid homeostasis. However, the relative contribution of phospho-choline by ASM-3 versus the canonical Kennedy pathway was not elucidated. Therefore, the significance of the ASM-3-dependent mechanism to PC synthesis requires further investigation.
Strengths:
The authors used a wide range of biochemical and cell biological methods to measure fatty acid composition, neutral lipid levels, and lipid droplet dynamics in C. elegans. The quality of the data is generally high.
Weaknesses:
Data interpretation and the construction of the working model did not seem to take into account the two well-established pathways for PC synthesis. The Kennedy pathway generates PC from phospho-choline and DAG via a cytidine-based intermediate. The second PC synthesis pathway entails the methylation of PE by PEMT, with the donor methyl groups provided by the vitamin B12-dependent 1-carbon cycle. The authors' model seemed to overlook part of the Kennedy pathway that involves choline kinase (and not ASM-3) as the canonical enzyme that generates phospho-choline. The authors also did not explicitly consider DAG as a precursor of triacylglycerol (TAG), which was directly or indirectly measured as a readout of organismal fat content in the paper. Therefore, alternative models should be entertained. For example, the proposed genetic and dietary effects on lipid homeostasis could stem from the competition for a limiting pool of precursors that were shared by PC and TAG synthesis. PC itself may not have a deterministic role, as depicted by the authors' model. Finally, the claim that "coelomocytes regulate diets-induced lipid homeostasis through asm-3" was not well supported. In the absence of quantitative analysis of phospho-choline in mutants, it was unclear how much ASM-3 contributed to the overall phospho-choline, and ultimately PC level. The proposed inter-tissue regulation of PC synthesis also requires coelomocytes-specific knock-down/depletion of asm-3 for verification.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Prior research on SCC3, a cohesin subunit protein, in yeast and Arabidopsis has underscored its vital role in cell division. This study investigated into the specific functions of SCC3 in rice mitosis and meiosis. In a weakened SCC3 mutant, sister chromatids separating was observed in anaphase I, resulting in 24 univalents and subsequent sterility. The authors meticulously documented SCC3's loading and degradation dynamics on chromosomes, noting its impact on DNA replication. Despite the loss of homologous chromosome pairing and synapsis in the mutant, chromosomes retained double-strand breaks without fragmenting. Consequently, the authors inferred that in the scc3 mutant, DNA repair more frequently relies on sister chromatids as templates compared to the wild type.
Strengths:
The study presents exceptionally well-executed research in the field of rice cytogenetics.
Weaknesses:
While the paper's conclusions are generally well-supported, further substantiation is needed for the claim that SCC3 inhibits template choice for sister chromatids. To bolster this conclusion, I recommend that the authors perform whole-genome sequencing on parental and F1 individuals from two rice variants, subsequently calculating the allele frequencies at heterozygous sites in the F1 individuals. If SCC3 indeed inhibits inter-sister chromatid repair in the wild type, we would anticipate a higher frequency of inter-homologous chromosome repair (i.e., gene conversion). This should be manifested as a bias away from the Mendelian inheritance ratio (50:50) in the offspring of the wild type compared to the offspring of the scc3+/- mutant.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this report, Ravala et al demonstrate that IP4, the soluble head-group of phosphatiylinositol 3,4,5 - trisphosphate (PIP3), is an inhibitor of pREX-1, a guanine nucleotide exchange factor (GEF) for Rac1 and related small G proteins that regulate cell cell migration. This finding is perhaps unexpected since pREX-1 activity is PIP3-dependent. By way of Cryo-EM (revealing the structure of the p-REX-1/IP4 complex at 4.2Å resolution), hydrogen-deuterium mass spectrometry and small angle X-ray scattering, they deduce a mechanism for IP4 activation, and conduct mutagenic and cell-based signaling assays that support it. The major finding is that IP4 stabilizes two interdomain interfaces that block access of the DH domain, which conveys GEF activity towards small G protein substrates. One of these is the interface between the PH domain that binds to IP4 and a 4-helix bundle extension of the IP4 Phosphatase domain and the DEP1 domain. The two interfaces are connected by a long helix that extends from PH to DEP1. Although the structure of fully activated pREX-1 has not been determined, the authors propose a "jackknife" mechanism, similar to that described earlier by Chang et al (2022) (referenced in the author's manuscript) in which binding of IP3 relieves a kink in a helix that links the PH/DH modules and allows the DH-PH-DEP triad to assume an extended conformation in which the DH domain is accessible. While the structure of the activated pREX-1 has not been determined, cysteine mutagenesis that enforces the proposed kink is consistent with this hypothesis. SAXS and HDX-MS experiments suggest that IP4 acts by stiffening the inhibitory interfaces, rather than by reorganizing them. Indeed, the cryo-EM structure of ligand-free pREX-1 shows that interdomain contacts are largely retained in the absence of IP4.
Strengths:
The manuscript thus describes a novel regulatory role for IP4 and is thus of considerable significance to our understanding of regulatory mechanisms that control cell migration, particularly in immune cell populations. Specifically, they show how the inositol polyphosphate IP4 controls the activity of pREX-1, a guanine nucleotide exchange factor that controls the activity of small G proteins Rac and CDC42. In their clearly-written discussion, the authors explain how PIP3, the cell membrane and the Gbeta-gamma subunits of heterotrimeric membranes together localize pREX-1 at the membrane and induce activation. The quality of experimental data is high and both in vitro and cell-based assays of site-directed mutants designed to test the author's hypotheses are confirmatory. The results strongly support the conclusions. The combination of cryo-EM data, that describe the static (if heterogeneous) structures with experiments (small angle x-ray scattering and hydrogen-deuterium exchange-mass spectrometry) that report on dynamics are well employed by the authors
Manuscript revision:
The reviewers noted a number of weaknesses, including error analysis of the HDX data, interpretation of the mutagenesis data, the small fraction of the total number of particles used to generate the EM reconstruction, the novelty of the findings in light of the previous report by Cheng et al, 2022, various details regarding presentation of structural results and questions regarding the interpretation of the inhibition data (Figure 1D). The authors have responded adequately to these critiques. It appears that pREX-1 is a highly dynamic molecule, and considerable heterogeneity among particles might be expected.
While, indeed, the conformation of pREX presented in this report is not novel, the finding that this inactive conformational state is stabilized by IP4 is significant and important. The evidence for this is both structural and biochemical, as indicated by micromolar competition of IP4 with PI3-enriched vesicles resulting in the inhibition of pREX-1 GEF activity.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This study aims to demonstrate that cortical feedback is not necessary to signal behavioral outcome to shell neurons of the inferior colliculus during a sound detection task. The demonstration is achieved in a very clear manner by the observation of the activity of cortico-recepient neurons in animals which have received lesions of the auditory cortex. The experiment shows that neither behavior performance nor neuronal responses are significantly impacted by cortical lesions except for the case of partial lesions which seem to have a disruptive effect on behavioral outcome signaling.
Strengths:
The demonstration of the main conclusions is based on state-of-the-art, carefully controlled methods and is highly convincing. There is an in depth discussion of the different effects of auditory cortical lesions on sound detection behavior.
Weaknesses:
The description of feedback signals could be more detailed although it is difficult to achieve good temporal resolution with the calcium imaging technique necessary for targeting cortico-recipient neurons.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Leveraging zebra fish as a research model, Wang et al identified "cytoneme-like structures" as a mechanism for mediating cell-cell communications among skin epidermal cells. The authors further demonstrated that the "cytoneme-like structures" can mediate Notch signaling, and the "cytoneme-like structures" are influenced by IL17 signaling.
Strengths:
Elegant zebrafish genetics, reporters, and live imaging.
Weaknesses: (minor)<br /> This paper focused on characterizing the "cytoneme-like structures" between different layers and the NOTCH signaling. However, these "cytoneme-like structures" observed in undifferentiated KC (Figure 2B), although at a slightly lower frequency, were not interpreted. In addition, it is unclear if these "cytoneme-like structures" can mediate other signaling pathways than NOTCH.
Overall, this is a solid paper with convincing data reporting the "cytoneme-like structures" in vivo, and with compelling data demonstrating the roles in NOTCH signaling and the regulation by IL17.
These findings provide a foundation for future work exploring the "cytoneme-like structures" in the mammalian system and other epithelial tissue types. This paper also suggests a potential connection between the "cytoneme-like structures" and psoriasis, which needs to be further explored in clinical samples.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, Li et al. identified CAD96CA and FGF1 among 20 receptor tyrosine kinase receptors as mediators of JH signaling. By performing a screen in HaEpi cells with overactivated JH signaling, the authors pinpointed two main RTKs that contribute to the transduction of JH. Using the CRISPR/Cas9 system to generate mutants, the authors confirmed that these RTKs are required for normal JH activation, as precocious pupariation was observed in their absence. Additionally, the authors demonstrated that both CAD96CA and FGF1 exhibit a high affinity for JH, and their activation is necessary for the proper phosphorylation of Tai and Met, transcription factors that promote the transcriptional response. Finally, the authors provided evidence suggesting that the function of CAD96CA and FGF1 as JH receptors is conserved across insects.
Strengths:
The data provided by the authors are convincing and support the main conclusions of the study, providing ample evidence to demonstrate that phosphorylation of the transducers Met and Tai mainly depends on the activity of two RTKs. Additionally, the binding assays conducted by the authors support the function of CAD96CA and FGF1 as membrane receptors of JH. The study's results validate, at least in H. amigera, the predicted existence of membrane receptors for JH.
Weaknesses:
The study has several weaknesses that need to be addressed. Firstly, it is not clear what criteria were used by the authors to discard several other RTKs that were identified as repressors of JH signaling. For example, while NRK and Wsck may not fulfill all the requirements to become JH receptors, other evidence, such as depletion analysis and target gene expression, suggests they are involved in proper JH signaling activation.
Secondly, the expression of the six RTKs, which, when knocked down, were able to revert JH signaling activation, was mainly detected in the last larval stage of H. amigera. However, since JH signaling is active throughout larval development, it is unclear whether these RTKs are completely required for pathway activation or only needed for high activation levels at the last larval stage.<br /> Additionally, the mechanism by which different RTKs exert their functions in a specific manner is not clear. According to the expression profile of the different RTKs, one might expect some redundant role of those receptors. In fact the no reversion of phosphorilation of tai and met upon depletion of Wsck in cells with overactivated JH signalling seems to support this idea.
Nevertheless, and despite the overlapping expression of the different receptors, all RTKs seem to be required for proper pathway activation, even in the case of FGF1 which seems to be only expressed in the midgut. This is an intriguing point unresolved in the study.
Finally, the study does not explain how RTKs with known ligands could also bind JH and contribute to JH signaling activation. in Drosophila, FGF1 is activated by pyramus and thisbe for mesoderm development, while CAD96CA is activated by collagen during wound healing. Now the authors claim that in addition to these ligands, the receptors also bind to JH. However, it is unclear whether these RTKs are activated by JH independently of their known ligands, suggesting a specific binding site for JH, or if they are only induced by JH activation when those ligands are present in a synergistic manner. Alternatively, another explanation could be that the RTK pathways by their known ligands activation may induce certain levels of JH transducer phosphorylation, which, in the presence of JH, contributes to the full pathway activation without JH-RTK binding being necessary.
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
Bloomington Drosophila Stock Center
DOI: 10.21203/rs.3.rs-3592641/v1
Resource: Bloomington Drosophila Stock Center (RRID:SCR_006457)
Curator: @maulamb
SciCrunch record: RRID:SCR_006457
-
#8121
DOI: 10.21203/rs.3.rs-3592641/v1
Resource: (BDSC Cat# 8121,RRID:BDSC_8121)
Curator: @maulamb
SciCrunch record: RRID:BDSC_8121
-
#458
DOI: 10.21203/rs.3.rs-3592641/v1
Resource: (BDSC Cat# 458,RRID:BDSC_458)
Curator: @maulamb
SciCrunch record: RRID:BDSC_458
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The work by Kalita et al. reports regulation of RecB expression by Hfq protein in E.coli cell. RecBCD is an essential complex for DNA repair and chromosome maintenance. The expression level needs to be regulated at low level under regular growth conditions but upregulated upon DNA damage. Through quantitative imaging, the authors demonstrate that recB mRNAs and proteins are expressed at low level under regular conditions. While the mRNA copy number demonstrates high noise level due to stochastic gene expression, the protein level is maintained at a lower noise level compared to expected value. Upon DNA damage, the authors claim that the recB mRNA concentration is decreased, however RecB protein level is compensated by higher translation efficiency. Through analyzing CLASH data on Hfq, they identified two Hfq binding sites on RecB polycistronic mRNA, one of which is localized at the ribosome binding site (RBS). Through measuring RecB mRNA and protein level in the ∆hfq cell, the authors conclude that binding of Hfq to the RBS region of recB mRNA suppresses translation of recB mRNA. This conclusion is further supported by the same measurement in the presence of Hfq sequestrator, the sRNA ChiX, and the deletion of the Hfq binding region on the mRNA.
Strengths:
(1) The manuscript is well-written and easy to understand.<br /> (2) While there are reported cases of Hfq regulating translation of bound mRNAs, its effect on reducing translation noise is relatively new.<br /> (3) The imaging and analysis are carefully performed with necessary controls.
Weaknesses:
The major weaknesses include a lack of mechanistic depth, and part of the conclusions are not fully supported by the data.
(1) Mechanistically, it is still unclear why upon DNA damage, translation level of recB mRNA increases, which makes the story less complete. The authors mention in the Discussion that a moderate (30%) decrease in Hfq protein was observed in previous study, which may explain the loss of translation repression on recB. However, given that this mRNA exists in very low copy number (a few per cell) and that Hfq copy number is on the order of a few hundred to a few thousand, it's unclear how 30% decrease in the protein level should resides a significant change in its regulation of recB mRNA.<br /> (2) Based on the experiment and the model, Hfq regulates translation of recB gene through binding to the RBS of the upstream ptrA gene through translation coupling. In this case, one would expect that the behavior of ptrA gene expression and its response to Hfq regulation would be quite similar to recB. Performing the same measurement on ptrA gene expression in the presence and absence of Hfq would strengthen the conclusion and model.<br /> (3) The authors agree that they cannot exclude the possibility of sRNA being involved in the translation regulation. However, this can be tested by performing the imaging experiments in the presence of Hfq proximal face mutations, which largely disrupt binding of sRNAs.<br /> (4) The data on construct with a long region of Hfq binding site on recB mRNA deleted is less convincing. There is no control to show that removing this sequence region itself has no effect on translation, and the effect is solely due to the lack of Hfq binding. A better experiment would be using a Hfq distal face mutant that is deficient in binding to the ARN motifs.<br /> (5) Ln 249-251: The authors claim that the stability of recB mRNA is not changed in ∆hfq simply based on the steady-state mRNA level. To claim so, the lifetime needs to be measured in the absence of Hfq.<br /> (6) What's the labeling efficiency of Halo-tag? If not 100% labeled, is it considered in the protein number quantification? Is the protein copy number quantification through imaging calibrated by an independent method? Does Halo tag affect the protein translation or degradation?<br /> (7) Upper panel of Fig S8a is redundant as in Fig 5B. Seems that Fig S8d is not described in the text.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Strength:
The development of an automated Barnes maze allows for more naturalistic and uninterrupted behavior, facilitating the study of spatial learning and memory, as well as the analysis of the brain's neural networks during behavior when combined with neurophysiological techniques. The system's design has been thoughtfully considered, encompassing numerous intricate details. These details include the incorporation of flexible options for selecting start, goal, and proximal landmark positions, the inclusion of a rotating platform to prevent the accumulation of olfactory cues, and careful attention given to atomization, taking into account specific considerations such as the rotation of the maze without causing wire shortage or breakage. When combined with neurophysiological manipulations or recordings, the system provides a powerful tool for studying spatial navigation system.<br /> The behavioral experiment protocols, along with the analysis of animal behavior, are conducted with care, and the development of behavioral modeling to capture the animal's search strategy is thoughtfully executed. It is intriguing to observe how the integration of these innovative stochastic models can elucidate the evolution of mice's search strategy within a variant of the Barnes maze.
Comments on revised version:
The authors have addressed all the points I outlined in the previous round of review, resulting in significant improvements to the manuscript. However, I have one remaining comment. Given the updated inter-animal analysis (Supplementary Figure 8), it appears that male and female mice develop strategies differently across days. Male mice seem to progressively increase their employment of spatial strategy across days, at the expense of the random strategy. Conversely, female mice exhibit both spatial and serial strategies at their highest levels on day 2, with minimal changes observed on the subsequent days.<br /> These findings could alter the interpretation of Figure 5 and the corresponding text in the section "Evolution of search strategy across days".<br /> For instance, this statement on page 6 doesn't hold for female mice: "The spatial strategy was increased across days, ... largely at the expense of the random strategy."
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors investigate the hypothesis that neurexins serve a crucial role as regulators of the synaptic strength and timing at the glycinergic synapse between neurons of the medial nucleus of the trapezoid body (MNTB) and the lateral superior olivary complex (LSO). It is worth mentioning that LSO neurons are an integration station of the auditory brainstem circuit displaying high reliability and temporal precision. These features are necessary for computing interaural cues to derive sound source location from comparing the intensities of sounds arriving at the two ears. In this context, the authors' findings build up according to the hypothesis first by displaying that neurexins were expressed in the MNTB at varying levels. They followed this up with deletion of all neurexins in the MNTB through the employment of a triple knock-out (TKO). Using electrophysiological recordings in acute brainstem slices of these TKO mice, they gathered solid evidence for the role of neurexins in synaptic transmission at this glycinergic synapse primarily by ensuring tight coupling of Ca2+ channels and vesicular release sites. Additionally, the authors uncovered a connection between the deletion of neurexins and a higher number of glycinergic synapses of TKO mice, for which they provided evidence in the form of immunostainings and related it to electrophysiological data on spontaneous release. Consequently, this investigation expands our knowledge on the molecular regulation of synaptic transmission at glycinergic synapses, as well as on the auditory processing at the level of the brainstem.
Strengths:
The authors demonstrate substantial results in support of the hypothesis of a critical role of neurexins for regulating glycinergic transmission in the LSO using various techniques. They provide evidence for the expression of neurexins in the MNTB and consecutively successfully generate and characterize the neurexin TKO. For their study on LSO IPSCs the authors transduced MNTB neurons by co-injection of virus carrying Cre and ChR2 and subsequently optogenetically evoke release of glycine. As a result, they observed a significant reduction in amplitude and significantly slower rise and decay times of the IPSCs of the TKO in comparison with control mice in which MNTB neurons were only transduced with ChR2. Furthermore, they observed an increased paired pulse ratio (PPR) of LSO IPSCs in the TKO mice, indicating lower release probability. Elaborating on the hypothesis that neurexins are essential for the coupling of synaptic vesicles to Ca2+ channels, the authors show lowered Ca2+ sensitivity in the TKO mice. Additionally, they reveal convincing evidence for the connection between the increased frequency of spontaneous IPSC and the higher number of glycinergic synapses of the LSO in the TKO mice, revealed by immunolabeling against the glycinergic presynaptic markers GlyT2 or VGAT.
Weaknesses:
A concern is on novelty as this work on the effects of pan-neurexin deletion in a glycinergic synapse is quite consistent with the authors prior work on glutamatergic synapses (Luo et al., 2020).
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary
In this manuscript, Weng et al. identify the neuron specific transcriptome that impacts age dependent cognitive decline. The authors design a pipeline to profile neurons from wild type and long-lived insulin receptor/IGF-1 mutants using timepoints when memory functions are declining. They discover signatures unique to neurons which validates their approach. The authors identify that genes related to neuronal identity are lost with age in wild type worms. For example, old neurons reduce the expression of genes linked to synaptic function and neuropeptide signaling and increase the expression of chromatin regulators, insulin peptides and glycoproteins. Depletion of selected genes which are upregulated in old neurons (utx-1, ins-19 and nmgp-1) leads to improved short memory function. This indicates that some genes that increase with age have detrimental effects on learning and memory. The pipeline is then used to test neuronal profiles of long-lived insulin/IGF-1 daf-2 mutants. Genes related to stress response pathways are upregulated in long lived daf-2 mutants (e.g. dod-24, F08H9.4) and those genes are required for improved neuron function.
Strengths
The manuscript is well written, and the experiments are well described. The authors take great care to explain their reasoning for performing experiments in a specific way and guide the reader through the interpretation of the results, which makes this manuscript an enjoyable and interesting read. The authors discover novel regulators of learning and memory using neuron-specific transcriptomic analysis in aged animals, which underlines the importance of cell specific deep sequencing. The timepoints of the transcriptomic profiling are elegantly chosen, as they coincide with the loss of memory and can be used to specifically reveal gene expression profiles related to neuron function. The authors discuss on the dod-24 example how powerful this approach is. In daf-2 mutants whole-body dod-24 expression differs from neuron specific profiles, which underlines the importance of precise cell specific approaches. This dataset will provide a very useful resource for the C. elegans and aging community as it complements existing datasets with additional time points and neuron specific deep profiling.
Weakness
This study nicely describes the neuron specific profiles of aged long-lived daf-2 mutants. Selected neuronal genes that were upregulated in daf-2 mutants (e.g. F08H9.4, mtl-1, dod-24, alh-2, C44B7.5) decreased learning/memory when knocked down. However, the knock down of these genes was not specific to neurons. The authors use a neuron-sensitive RNAi strain to address this concern and acknowledge this caveat in the text. While it is likely that selected candidates act only in neurons it is possible that other tissues participate as well.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This is a well prepared manuscript which presented interesting research result.
Strengths:
The omics method produced unbiased results.
Weaknesses:
LPS neutralization is not new method for treating leptospiral infection.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #4 (Public Review):
Summary:
In the present study, Spikol et al. explore the projection patterns and functional characteristics of two distinct and genetically defined populations in the larval zebrafish Nucleus Incertus (NI), expressing the transcription factor gsc2 or the neuropeptide rln3a. To label in vivo these neurons two transgenic lines were generated by CRISPR/Cas9 mediated Knock-in. These genetic tools allowed the analysis of the projection patterns of these neuronal populations showing that the NI neurons expressing gsc2 and rln3a exhibit markedly different projection patterns, targeting separate subregions within the midbrain interpeduncular nucleus (IPN).<br /> Functional imaging and behavioral analysis revealed that while gsc2 neurons respond to electric shock stimuli, rln3a neurons show high spontaneous activity and play a role in regulating locomotor activity.
Strengths:
The paper relies on a series of rigorous experimental approaches including molecular genetic, neuroanatomical, functional and behavioral analysis. The resources generated including the two knock-in transgenic reporter lines will be of great value for the zebrafish neurobiology community as well as inspire further studies of the NI in other model systems.
Weaknesses:
Technical weaknesses present in the first version of the manuscript have largely been addressed in the present revision.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript describes RNAi depletion of isp-1 or spg-7 in the GABAergic neurons of C. elegans leads to: lifespan extension; increased resistance to paraquat oxidative stress and heat stress; decreased brood size and mitotic germ cell numbers in the gonad and increased DNA aggregates in the oocytes; increased mitochondrial membrane potential, ATP levels, mitochondrial mass, mitochondrial DNA copies, mitochondrial DNA polymerase gamma polg-1 levels, and decreased ROS levels. The authors further show that daf-16 is necessary for GABAergic depletion of isp-1 mediated lifespan extension, stress resistance, increased mitochondrial membrane potential, mitochondrial mass and DNA copies, and decreased brood size. Unc-25 for GABA synthesis, unc-31 for neuropeptide secretion, and flp-13 neuropeptide are all in the same pathway of isp-1 RNAi in GABAergic neurons for lifespan extension and stress resistance.
Strengths:
The topic is interesting and relatively novel in terms of GABAergic mitochondrial dysfunction. The data provided support the conclusions well.
Weaknesses:
The mechanistic evidence needs to be improved substantially.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Mou and Ji investigated neuro-computational mechanisms behind observational spatial learning in rats and reported several signs of functional coupling between the ACC and CA1 at the single neuron level. Using multi-site tetrode recording, they found that ACC cells encoding a path on a maze were activated while a rat observed another rat took that path. This activation was also correlated with the activation of CA1 cells encoding the same path and facilitated their replay during sharp-wave ripples (SWRs) before the recording rat ran on the maze by itself. These activity patterns were associated with correct path choice during self-running and were absent in control conditions where the recording rat did not learn the correct choice through observations. Based on these findings, the authors argue that ACC cells capture the critical information during observation to organize hippocampal cell activity for subsequent spatial decisions.
Strengths:
The authors used multiple outcome measures to build a strong case for path-specific spike coordination between ACC and CA1 cells. The analyses were conducted carefully, and proper control measures were used to establish the statistical significance of the detected effects. The authors also demonstrated tight correlations between the spike coordination patterns and the successful use of observed information for future decisions.
Weaknesses:
(1) As evidence for the activation of path information in the ACC during observation, the authors showed positive correlations between firing rates during observation and those during self-running. This argument will be solidified if the authors use a decoding approach to demonstrate the activation of path-selective ACC ensemble activity patterns during observation. This approach will also open the door to uncovering how the activation of ACC path representation is related to the moment-to-moment position of the demonstrator rat and whether it is coupled with the timing of SWRs.
(2) The authors argued that the ACC biases the content of awake replay in CA1 during SWRs in the observation period. The reviewer wonders if a similar bias also occurs during SWRs in the self-run period (i.e., water consumption after the correct choice). This analysis will be helpful in testing if the biased replay occurs due to the need to convert observed information into future choices.
(3) Although the authors demonstrated the necessity of the ACC for the task, it still remains to be determined firing coordination between the ACC and CA1 during observation is necessary for the correct path choice during self-runs. Some discussion on this point, along with future direction, would be beneficial for readers.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In the present work, Deganutti et al. report a structural study on GPCR functional dynamics using a computational approach called supervised molecular dynamics.
Strengths:
The study has the potential to provide novel insight into GPCR functionality. An example is the interaction between loops of GPCR and G proteins, which are not resolved experimentally, or the interaction between D344 and R385 identified during the Gs coupling by GLP-1R. However, validation of the findings, even computationally through for instance in silico mutagenesis study, is advisable.
Weaknesses:
In its current form, the manuscript seems immature and in particular, the described results grasp only the surface of the complex molecular mechanisms underlying GPCR activation. No significant advance of the existing structural data on GPCR and GPCR/G protein coupling is provided. Most of the results are a reproduction of the previously reported structures.
-
-
-
Reviewer #3 (Public Review):
Summary:
The study presented by Leitao et al., represents an important advancement in comprehending the social learning processes of sperm whales across various communicative and socio-cultural contexts. The authors introduce the concept of "vocal style" as an addition to the previously established notion of "vocal repertoire," thereby enhancing our understanding of sperm whale vocal identity.
Strengths:
A key finding of this research is the correlation between the similarity of clan vocal styles for non-ID codas and spatial overlap (while no change occurs for ID codas), suggesting that social learning plays a crucial role in shaping symbolic cultural boundaries among sperm whale populations. This work holds great appeal for researchers interested in animal cultures and communication. It is poised to attract a broad audience, including scholars studying animal communication and social learning processes across diverse species, particularly cetaceans.
Weaknesses:
In terms of terminology, while the authors use the term "saying" to describe whale vocalizations, it may be more conservative to employ terms like "vocalize" or "whale speech" throughout the manuscript. This approach aligns with the distinction between human speech and other forms of animal communication, as outlined in prior research (Hockett, 1960; Cheney & Seyfarth, 1998; Hauser et al., 2002; Pinker & Jackendoff, 2005; Tomasello, 2010).
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This paper describes a new mechanism of clearance of protein aggregates occurring during mitosis.
The authors have observed that animal cells can clear misfolded aggregated proteins at the end of mitosis. The images and data gathered are solid, convincing, and statistically significant. However, there is a lack of insight into the underlying mechanism. They show the involvement of the ER, ATPase-dependent, BiP chaperone, and the requirement of Cdk1 inactivation (a hallmark of mitotic exit) in the process. They also show that the mechanism seems to be independent of the APC/C complex (anaphase-promoting complex). Several points need to be clarified regarding the mechanism that clears the aggregates during mitosis:
• What happens in the cell substructure during mitosis to explain the recruitment of BiP towards the aggregates, which seem to be relocated to the cytoplasm surrounded by the ER membrane.
• How the changes in the cell substructure during mitosis explain the relocation of protein aggregates during mitosis.
• Why BiP seems to be the main player of this mechanism and not the cyto Hsp70 first described to be involved in protein disaggregation.
Strengths:
Experimental data showing clearance of protein aggregates during mitosis is solid, statistically significant, and very interesting.
Weaknesses:
Weak mechanistic insight to explain the process of protein disaggregation, particularly the interconnection between what happens in the cell substructure during mitosis to trigger and drive clearance of protein aggregates.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this manuscript, Boudjerna and Balagé et al. aim to elucidate the spatial origin of centriole amplification and the mechanisms behind the formation of an apical-basal body patch in multiciliated cells (MCCs). To this end, they focused on the role of microtubules and developed new tools for spatiotemporal and high-resolution analysis of different stages of centriole amplification, including the centrosome stages, A-stage, G-stage, and MCC-stage. Among these tools, the MEF-MCC cells grown on micropatterns stands out for its versatility as it is not tissue-specific and does not require epithelial cell-to-cell contact for differentiation. Additionally, the Cen2-GFP; mRuby-Deup1 knock-in mouse model was used to study different stages of centriole amplification in physiological brain MCCs. This model offers an advantage over the previously described Cen2-GFP model by enabling the resolution of early events in centriole amplification through the visualization of Deup1-positive structures and their dynamics. Finally, the authors leveraged powerful imaging techniques, including super-resolution microscopy, the U-ExM, and high-resolution live cell imaging in order to detect and track centriole amplification, elongation, disengagement, and migration.
By combining the MEF-MCC and knock-in mouse model with spatiotemporal imaging in control and nocodazole-treated cells(treated acutely or chronically), the authors define the sequence of events during centriole amplification, revealing the critical roles of microtubules for the first time. Initially, the centrosome-mediated microtubule network forms, organizing a pericentrosomal nest from which procentrioles and deuterosomes emerge. Their findings indicate the importance of microtubules in recruiting and maintaining pericentriolar material clouds that contain DEUP1, PCNT, SAS6, PLK1, PLK4, and tubulins. Following the amplification stage, the procentrioles mature, leading to cells displaying numerous MTOCs, as demonstrated by regrowth experiments. Mature centrioles then disengage from deuterosomes, attach to the nuclear envelope, and migrate to the apical surface facilitated by microtubules.
Strengths:
The manuscript provides new insights into the regulatory function of microtubules in centriole amplification. Addressing the role of microtubules during different stages of centriole amplification required the development of new tools to study brain MCCs, which will be useful in future studies of MCCs. A notable strength of this manuscript is the authors' thorough and quantitative analysis of highly dynamic processes in MCCs. The precision and detail in describing these dynamic events are impressive. This comprehensive analysis advances our understanding of MCC biology.
Weaknesses:
The role of microtubules and other molecular players during different stages of centriole amplification in brain MCCs can be further studied and strengthened using the tools developed in the manuscript. A more quantitative description of some of the analysis performed in the manuscript is required to strengthen the conclusions.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The authors want to prove that there is a redox potential between germline stem cells (GSCs) and somatic cyst stem cells (CySCs) in the Drosophila testis, with ROS being higher in the former compared to the latter. They also want to prove that ROS travels from CySCs to GSCs. Finally, they begin to characterize the phenotypes caused by loss of SOD (which normally lowers ROS levels) in the tj- lineage and how this impacts the germline.
Strengths:
The role of SOD in somatic support cells is an under-explored area.
Weaknesses:
The authors fall short of accomplishing their goals. There are issues with the concept of the paper (ROS gradient between cells that causes a transfer of ROS across membranes for homeostasis), the data, the figures, and the scholarship of the testis. I have discussed each of the points in detail below. These weaknesses negatively impact the conclusions put forward by the authors. In short, their data is not compelling: there is no evidence provided by the authors that ROS diffuses from CySCs to GSCs as most of the claims about stem cells are founded on data about differentiating germ and somatic cells. The somatic SOD depletion phenotype is incompletely characterized and several pathways appear to change in these cells, including reduced Egfr signaling, increased Tor signaling, and increased Hh signaling. None of these results are sufficiently followed up on. And none of them are considered relative to their known roles in the testis. For example, high Hh signaling in CySCs increases their competitiveness with GSCs. Increased Tor signaling in all CySCs does not affect the CySC lineage. Reduced Egfr signaling in CySCs reduces the number of CySCs and reduces/inhibits abscission between GSCs-gonialblasts.
Major issues:
(1) Data<br /> a. Problems proving which mitochondria are associated with which lineage.<br /> b. There is no evidence that ROS diffuses from CySCs into GSCs.<br /> c. The changes in gst-GFP (redox readout) are possibly seen in differentiating germ cells (i.e., spermatogonia) but not in GSCs. This weakens their model that ROS in CySC is transferred to GSCs.<br /> d. Most of the paper examines the effect of SOD depletion (which should increase ROS) on the CySC lineage and GSC lineage. One big caveat is that tj-Gal4 is expressed in hub cells (Fairchild, 2016) so the loss of SOD from hub cells may also contribute to the phenotype. In fact, the niche in Figure 2D looks larger than the niche in the control in Figure 2C, arguing that the expression of Tj in niche cells may be contributing to the phenotype. The authors need to better characterize the niche in tj>SOD-RNAi testes.<br /> e. The tj>SOD-RNAi phenotype is an expansion of the Zfh1+ CySC pool, expansion of the Tj+ Zfh1- cyst cells (both due to increased somatic proliferation) and a non-autonomous disruption of the germline.<br /> f. I am not convinced that MAPK signaling is decreased in tj>SOD-i testes. Not only is this antibody finicky, but the authors don't have any follow-up experiments to see if they can restore SOD-depleted CySCs by expressing an Egfr gain of function. Additionally, reduced Egfr activity causes fewer somatic cells (not more) (Amoyel, 2016) and also inhibits abscission between GSCs and gonialblasts (Lenhart 2015), which causes interconnected cysts of 8- to 16 germ cells with one GSC emanating from the hub.<br /> g. The increase in Hh signaling in SOD-depleted CySCs would increase their competitiveness against GSCs and GSCs would be lost (Amoyel 2014). The authors need to validate that Hh protein expression is indeed increased in SOD-depleted CySCs/cyst cells and which cells are producing this Hh. Normally, only hub cells produce Hh (Michel, 2012; Amoyel 2013) to promote self-renewal in CySCs.<br /> h. The increase in p4E-BP is an indication that Tor signaling is increased, but an increase in Tor in the CySC lineage does not significantly affect the number of CySCs or cyst cells (Chen, 2021). So again I am not sure how increased Tor factors into their phenotype.<br /> i. The over-expression of SOD in CySCs part is incomplete. The authors would need to monitor ROS in these testes. They would also need to examine with tj>SOD affects the size of the hub.
(2) Concept<br /> Why would it be important to have a redox gradient across adjacent cells? The authors mention that ROS can be passed between cells, but it would be helpful for them to provide more details about where this has been documented to occur and what biological functions ROS transfer regulates.
(3) Issues with scholarship of the testis<br /> a. Line 82 - There is no mention of BMPs, which are the only GSC-self-renewal signal. Upd/Jak/STAT is required for adhesion of GSCs to the niche but not self-renewal (Leatherman and Dinardo, 2008, 2010). The author should read a review about the testis. I suggest Greenspan et al 2015. The scholarship of the testis should be improved.<br /> b. Line 82-84 - BMPs are produced by both hub cells and CySCs. BMP signaling in GSCs represses bam. So it is not technically correct to say the CySCs repress bam expression in GSCs.<br /> c. Throughout the figures the authors score Vasa+ cells for GSCs. This is technically not correct. What they are counting is single, Vasa+ cells in contact with the niche. All graphs should be updated with the label "GSCs" on the Y-axis.
(4) Issues with the text<br /> a. Line 1: multi-lineage is not correct. Multi-lineage refers to stem cells that produce multiple types of daughter cells. GSCs produce only one type of offspring and CySCs produce only one type of offspring. So both are uni-lineage. Please change accordingly.<br /> b. Lines 62-75 - Intestinal stem cells have constitutively high ROS (Jaspar lab paper) so low ROS in stem cell cells is not an absolute.<br /> c. Line 79: The term cystic is not used in the Drosophila testis. There are cyst stem cells (CySCs) that produce cyst cells. Please revise.<br /> d. Line 90 - perfectly balanced is an overstatement and should be toned down.<br /> e. Line 98 - division of labour is not supported by the data and should be rephrased.<br /> f. Line 200 - the authors provide no data on BMPs - the GSC self-renewal cue - so they should avoid discussing an absence of self-renewal cues.
(5) Issues with the figures<br /> a. The images are too small to appreciate the location of mitochrondria in GSCs and CySCs.<br /> b. Figure 1<br /> i. cell membranes are not marked, reducing the precision of assigning mitochondria to GSC or CySCs. It would be very helpful if the authors depleted ATP5A from GSCs and showed that the puncta are reduced in these cells and did a similar set of experiments for the tj-Gal4 lineage. It would also be very helpful if the authors expressed membrane markers (like myr-GFP) in the GSC and then in the CySC lineage and then stained with ATP5A. This would pinpoint in which cells ATP5A immunoreactivity is occurring.<br /> ii. The presumed changes in gst-GFP (redox readout) are possibly seen in differentiating germ cells (i.e., spermatogonia) but not in GSC.<br /> iii. Panels F, Q, and S are not explained and currently are irrelevant.<br /> c. Figure 3K - The evidence to support less Ecad in GSCs in tj>SOD-i testes is not compelling as the figure is too small and the insets show changes in Ecad in somatic cells, not GSC.<br /> d. Figure 4:<br /> i. Panel A, B The apparent decline (not quantified) may not contribute to the phenotype.<br /> ii. dpERK is a finicky antibody and the authors are showing a single example of each genotype. This is an important experiment because the authors are going to use it to conclude that MAPK is decreased in the tj>SOD-i samples. However, the authors don't have any positive (dominant-active Egfr) or negative (tj>mapk-i). As is standing the data are not compelling. The graph in F does not convey any useful information.<br /> e. Figure S1D - cannot discern green on black. It is critical for the authors to show monochromes (gray scale) for the readouts that they want to emphasize. I cannot see the green on black in Figure S1D.<br /> f. Figure S4 - there is no quantification of the number of Tj cells in K-N.
(6) Issues with Methods<br /> a. Materials and Methods are not described in sufficient depth - please revise.<br /> b. Note that tj-Gal4 has real-time expression in hub cells and this is not considered by the authors. The ideal genotype for targeting CySCs is tjGal4, Gal80TS, hh-Gal80. Additionally, the authors do not mention whether they are depleting throughout development into adulthood or only in adults. If the latter, then they must have used a temperature shift like growing the flies at 18C and then upshifting to 25C or 29C during adult stages.<br /> c. The authors need to show data points in all of the graphs. Some graphs do this but others do not.<br /> d. The authors state that all data points are from three biological replicates. This is not sufficient for GSC and CySC counts. Most labs count GSCs and CySCs from at least 10 testes of the correct genotype.
-
-
www.medrxiv.org www.medrxiv.org
-
Reviewer #3 (Public Review):
The authors tested a dietary intervention focused on improving meal regularity in this interesting paper. The study, a two-group, single-center, randomized, controlled, single-blind trial, utilized a smartphone application to track participants' meal frequencies and instructed the experimental group to confine their eating to these times for six weeks. The authors concluded that improving meal regularity reduced excess body weight despite food intake not being altered and contributed to overall improvements in well-being.
The concept is interesting, but the need for more rigor is of concern.
A notable limitation is the reliance on self-reported food intake, with the primary outcome being self-reported body weight/BMI, indicating an average weight loss of 2.62 kg. Despite no observed change in caloric intake, the authors assert weight loss among participants.
The trial's reliance on self-reported caloric intake is problematic, as participants tend to underreport intake; for example, in the NEJM paper (DOI: 10.1056/NEJM199212313272701), some participants underreported caloric intake by approximately 50%, rendering such data unreliable and hence misleading. More rigorous methods for assessing food intake are available and should have been utilized. Merely acknowledging the unreliability of self-reported caloric intake is insufficient as it would still leave the reader with the impression that there is no change in food intake when we actually have no idea if food intake was altered. A more robust approach to assessing food intake is imperative. Even if a decrease in caloric intake is observed through rigorous measurement, as I am convinced a more rigorous study would unveil testing this paradigm, this intervention may merely represent another short-term diet among countless others that show that one may lose weight by going on a diet, principally due to heightened dietary awareness.
Furthermore, the assessment of circadian rhythm using the MCTQ, a self-reported measure of chronotype, may not be as reliable as more objective methods like actigraphy.
Given the potential limitations associated with self-reported data in both dietary intake and circadian rhythm assessment, the overall impact of this manuscript is low. Increasing rigor by incorporating more objective and reliable measurement techniques in future studies could strengthen the validity and impact of the findings.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
In this study, the authors have started off using an immortalized human cell line and then gene-edited it to decrease the levels of VEGF1 (in order to influence vascularization), and the levels of Runx2 (to decrease chondro/osteogenesis). They first transplanted these cells with a collagen scaffold. The modified cells showed a decrease in vascularization when VEGF1 was decreased, and suggested an increase in cartilage formation.
In another study, the matrix generated by these cells was subsequently remodeled into a bone marrow organ. When RUNX2 was decreased, the cells did not mineralize in vitro, and their matrices expressed types I and II collagen but not type X collagen in vitro, in comparison with unedited cells. In vivo, the author claims that remodeling of the matrices into bone was somewhat inhibited. Lastly, they utilized matrices generated by RUNX2 edited cells to regenerate chondro-osteal defects. They suggest that the edited cells regenerated cartilage in comparison with unedited cells.
Strengths:
-The notion that inducing changes in the ECM by genetically editing the cells is a novel one, as it has long been thought that ECM composition influences cell activity.
-If successful, it may be possible to make off-the-shelf ECMS to carry out different types of tissue repair.
Weaknesses:
-The authors have not generated histologically identifiable cartilage or bone in their transplants of the cells with a type I scaffold.
-In many cases, they did not generate histologically identifiable cartilage with their cell-free-edited scaffold. They did generate small amounts of bone but this is most likely due to BMPs that were synthesized by the cells and trapped in the matrix.
-There is a great deal of missing detail in the manuscript.
-The in vivo study is underpowered, the results are not well documented pictorially, and are not convincing.
-Given the fact that they have genetically modified cells, they could have done analyses of ECM components to determine what was different between the lines, both at the transcriptome and the protein level. Consequently, the study is purely descriptive and does not provide any mechanistic understanding of what mixture of matrix components and growth factors works best for cartilage or bone. But this presupposes that they actually induced the formation of bona fide cartilage, at least.
-
-
www.ncbi.nlm.nih.gov www.ncbi.nlm.nih.gov
-
SCR_002285
DOI: 10.21203/rs.3.rs-4166090/v1
Resource: Fiji (RRID:SCR_002285)
Curator: @evieth
SciCrunch record: RRID:SCR_002285
-
RRID:s:SCR_003070
DOI: 10.21203/rs.3.rs-4166090/v1
Resource: ImageJ (RRID:SCR_003070)
Curator: @evieth
SciCrunch record: RRID:SCR_003070
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This manuscript describes some biochemical experiments on the crucial virulence factor EsxA (ESAT-6) of Mycobacterium tuberculosis. EsxA is secreted via the ESX-1 secretion system. Although this system is recognized to be crucial for virulence the actual mechanisms employed by the ESX-1 substrates are still mostly unknown. The EsxA substrate is attracting most attention as the central player in virulence, especially phagosomal membrane disruption. EsxA is secreted as a dimer together with EsxB. The authors show that EsxA is also able to form homodimers and even tetramers, albeit at very low pH (below 5). Furthermore addition of a nanobody that specifically binds EsxA is blocking intracellular survival, also if the nanobody is produced in the cytosol of the infected macrophages.
Strengths:
Decent biochemical characterization of EsxA and identification of a new and interesting tool to study the function of EsxA (nanobody). Well written.
Weaknesses:
The findings are not critically evaluated using extra experiments or controls.<br /> For instance, tetrameric EsxA in itself is interesting and could reveal how EsxA works. But one would say that this is a starting point to make small point mutations that specifically affect tetramer formation and then evaluate what the effect is on phagosomal membrane lysis. Also one would like to see experiments to indicate whether these structures can be produced under in vitro conditions, especially because it seems that this mainly happens when the pH is lower than 5, which is not normally happening in phagosomes that are loaded with M. tuberculosis.<br /> Also the fact that the addition of the nanobody, either directly to the bacteria or produced in the cytosol of macrophages is interesting, but again the starting point for further experimentation. As a control one would like to se the effect on an Esx-1 secretion mutant. Furthermore, does cytososlic production or direct addition of the nanobody affect phagosomal escape? What happens if an EsxA mutant is produced that does not bind the nanobody?<br /> Finally, it is a bit strange that the authors use a non-native version of esxA that has not only an additional His-tag but also an additional 12 amino acids, which makes the protein in total almost 20% bigger. Of course these additions do not have to alter the characteristics, but they might. On the other hand they easily discard the natural acetylation of EsxA by mycobacteria itself (proven for M. marinum) as not relevant for the function because it might not happen in (the close homologue) M. tuberculosis.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Mäkelä et al. here investigate genome concentration as a limiting factor on growth. Previous work has identified key roles for transcription (RNA polymerase) and translation (ribosomes) as limiting factors on growth, which enable an exponential increase in cell mass. While a potential limiting role of genome concentration under certain conditions has been explored theoretically, Mäkelä et al. here present direct evidence that when replication is inhibited, genome concentration emerges as a limiting factor.
Strengths:
A major strength of this paper is the diligent and compelling combination of experiment and modeling used to address this core question. The use of origin- and ftsZ-targeted CRISPRi is a very nice approach that enables dissection of the specific effects of limiting genome dosage in the context of a growing cytoplasm. While it might be expected that genome concentration eventually becomes a limiting factor, what is surprising and novel here is that this happens very rapidly, with growth transitioning even for cells within the normal length distribution for E. coli. Fundamentally, it demonstrates the fine balance of bacterial physiology, where the concentration of the genome itself (at least under rapid growth conditions) is no higher than it needs to be.
Weaknesses:
One limitation of the study is that genome concentration is largely treated as a single commodity. While this facilitates their modeling approach, one would expect that the growth phenotypes observed arise due to copy number limitation in a relatively small number of rate-limiting genes. The authors do report shifts in the composition of both the proteome and the transcriptome in response to replication inhibition, but while they report a positional effect of distance from the replication origin (reflecting loss of high-copy, origin-proximal genes), other factors shaping compositional shifts and their functional effects on growth are not extensively explored. This is particularly true for ribosomal RNA itself, which the authors assume to grow proportionately with protein. More generally, understanding which genes exert the greatest copy number-dependent influence on growth may aid both efforts to enhance (biotechnology) and inhibit (infection) bacterial growth.
Overall, this study provides a fundamental contribution to bacterial physiology by illuminating the relationship between DNA, mRNA, and protein in determining growth rate. While coarse-grained, the work invites exciting questions about how the composition of major cellular components is fine-tuned to a cell's needs and which specific gene products mediate this connection. This work has implications not only for biotechnology, as the authors discuss, but potentially also for our understanding of how DNA-targeted antibiotics limit bacterial growth.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Kundu et al. investigated the effects of pre-exposure to a non-pathogenic Leptospira strain in the prevention of severe disease following subsequent infection by a pathogenic strain. They utilized a single or double exposure method to the non-pathogen prior to challenge with a pathogenic strain. They found that prior exposure to a non-pathogen prevented many of the disease manifestations of the pathogen. Bacteria, however, were able to disseminate, colonize the kidneys, and be shed in the urine. This is an important foundational work to describe a novel method of vaccination against leptospirosis. Numerous studies have attempted to use recombinant proteins to vaccinate against leptospirosis, with limited success. The authors provide a new approach that takes advantage of the homology between a non-pathogen and a pathogen to provide heterologous protection. This will provide a new direction in which we can approach creating vaccines against this re-emerging disease.
Strengths:
The major strength of this paper is that it is one of the first studies utilizing a live non-pathogenic strain of Leptospira to immunize against severe disease associated with leptospirosis. They utilize two independent experiments (a single and double vaccination) to define this strategy. This represents a very interesting and novel approach to vaccine development. This is of clear importance to the field.
The authors use a variety of experiments to show the protection imparted by pre-exposure to the non-pathogen. They look at disease manifestations such as death and weight loss. They define the ability of Leptospira to disseminate and colonize the kidney. They show the effects infection has on kidney architecture and a marker of fibrosis. They also begin to define the immune response in both of these exposure methods. This provides evidence of the numerous advantages this vaccination strategy may have. Thus, this study provides an important foundation for future studies utilizing this method to protect against leptospirosis.
Weaknesses:
Although they provide some evidence of the utility of pretreatment with a non-pathogen, there are some areas in which the paper needs to be clarified and expanded.
The authors draw their conclusions based on the data presented. However, they state the graphs only represent one of two independent experiments. Each experiment utilized 3-4 mice per group. In order to be confident in the conclusions, a power analysis needs to be done to show that there is sufficient power with 3-4 mice per group. In addition, it would be important to show both experiments in one graph which would inherently increase the power by doubling the group size, while also providing evidence that this is a reproducible phenotype between experiments. Overall, this weakens the strength of the conclusions drawn and would require additional statistical analysis or additional replicates to provide confidence in these conclusions.
A direct comparison between single and double exposure to the non-pathogen is not able to be determined. The ages of mice infected were different between the single (8 weeks) and double (10 weeks) exposure methods, thus the phenotypes associated with LIC infection are different at these two ages. The authors state that this is expected, but do not provide a reasoning for this drastic difference in phenotypes. It is therefore difficult to compare the two exposure methods, and thus determine if one approach provides advantages over the other. An experiment directly comparing the two exposure methods while infecting mice at the same age would be of great relevance to and strengthen this work.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Alexander et al. reported the gene-regulatory networks underpinning sex determination of murine primordial germ cells (PGCs) through single-nucleus multiomics, offering a detailed chromatin accessibility and gene expression map across three embryonic stages in both male (XY) and female (XX) mice. It highlights how regulatory element accessibility may precede gene expression, pointing to chromatin accessibility as a primer for lineage commitment before differentiation. Sexual dimorphism in these elements and gene expression increases over time, and the study maps transcription factors regulating sexually dimorphic genes in PGCs, identifying sex-specific enrichment in various transcription factors.
Strengths:
The study includes step-wise multiomic analysis with some computational approach to identify candidate TFs regulating XX and XY PGC gene expression, providing a detailed timeline of chromatin accessibility and gene expression during PGC development, which identifies previously unknown PGC subpopulations and offers a multimodal reference atlas of differentiating PGC clusters. Furthermore, the study maps a complex network of transcription factors associated with sex determination in PGCs, adding depth to our understanding of these processes.
Weaknesses:
While the multiomics approach is powerful, it primarily offers correlational insights between chromatin accessibility, gene expression, and transcription factor activity, without direct functional validation of identified regulatory networks.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
The manuscript by Saadat et al., examines the structure and function of the NHL-2 RNA binding domain in miRNA-mediated gene regulation in C. elegans. NHL-2 has previously been shown to function in miRNA and other smRNA pathways in C. elegans but its mechanism of action is unclear. The authors present a crystal structure that revealed candidate RNA binding residues. In vitro binding assays confirmed that these amino acids were required for RNA binding. The authors tested the importance of the RING and NHL domains in NHL-2 by mutating the endogenous gene using CRISPR and analyzing developmental and molecular effects in C. elegans. They concluded that the RNA binding domain of NHL-2 and co-factors, including CGH-1 and IFET-1, are important for the regulation of some miRNA targets in developing C. elegans.
Strengths:
The NHL-2 structural work and in vitro analyses of RNA binding activity are rigorous. The work is important for providing new structural information for an important post-transcriptional regulator.
Weaknesses:
The in vivo studies to better understand the role of NHL and several cofactors require further controls, replicates or better explanations of the methods and analyses in order to support the conclusions. In particular, protein levels of the mutant NHL-2 strains should be analyzed to rule out differences in expression contributing to the results; the reporter strategy would be improved by showing it is dependent on miRNA regulation, including an internal control and adding quantitative data; validation of similar levels of ALG-1 protein in the immunoprecipitation experiments would add confidence for the differences in levels of miRNA targets detected.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This important paper provides the best-to-date characterization of chirping in weakly electric fish using a large number of variables. These include environment (free vs divided fish, with or without clutter), breeding state, gender, intruder vs resident, social status, locomotion state and social and environmental experience, without and with playback experiments. It applies state-of-the-art methods for reducing the dimensionality of the data and finding patterns of correlation between different kinds of variables (factor analysis, K-means). The strength of the evidence, collated from a large number of trials with many controls, leads to the conclusion that the traditionally assumed communication function of chirps may be secondary to its role in environmental assessment and exploration that takes social context into account. Based on their extensive analyses, the authors suggest that chirps are mainly used as probes that help detect beats caused by other fish and as well as objects.
Strengths:
The work is based on completely novel recordings using interaction chambers. The amount of new data and associated analyses is simply staggering, and yet, well organized in presentation. The study further evaluates the electric field strength around a fish (via modelling with the boundary element method) and how its decay parallels the chirp rate, thereby relating the above variables to electric field geometry.
The main conclusions are that the lack of any significant behavioural correlates for chirping, and the lack of temporal patterning in chirp time series, cast doubt on a primary communication goal for most chirps. Rather, the key determinants of chirping are the difference frequency between two interacting conspecifics as well as individual subjects' environmental and social experience. The paper concludes that there is a lack of evidence for stereotyped temporal patterning of chirp time series, as well as of sender-receiver chirp transitions beyond the known increase in chirp frequency during an interaction.
These conclusions by themselves will be very useful to the field. They will also allow scientists working on other "communication" systems to perhaps reconsider and expand the goals of the probes used in those senses. A lot of data are summarized in this paper, with thorough referencing to past work.
The alternative hypotheses that arise from the work are that chirps are mainly used as environmental probes for better beat detection and processing and object localization, and in this sense are self-directed signals. This led to their prediction that environmental complexity ("clutter") should increase chirp rate, which is fact was revealed by their new experiments. The authors also argue that waveform EODs have less power across high spatial frequencies compared to pulse-type fish, with a resulting relatively impoverished power of resolution. Chirping in wave-type fish could temporarily compensate for the lower frequency resolution while still being able to resolve EOD perturbations with a good temporal definition (which pulse-type fish lack due to low pulse rates).
The authors also advance the interesting idea that the sinusoidal frequency modulations caused by chirps are the electric fish's solution to the minute (and undetectable by neural wetware) echo-delays available to it, due to the propagation of electric fields at the speed of light in water. The paper provides a number of experimental avenues to pursue in order to validate the non-communication role of chirps.
Weaknesses:
My main criticism is that the alternative putative role for chirps as probe signals that optimize beat detection could be better developed. The paper could be clearer as to what that means precisely, especially since beating - and therefore detection of some aspects of beating due to the proximity of a conspecific - most often precedes chirping. One meaning the authors suggest, tentatively, is that the chirps could enhance electrosensory responses to the beat, for example by causing beat phase shifts that remediate blind spots in the electric field of view.
A second criticism is that the study links the beat detection to underwater object localization. The paper does not significantly develop that line of thought given their data - the authors tread carefully here given the speculative aspect of this link. It is certainly possible that the image on the fish's body of an object in the environment will be slightly modified by introducing a chirp on the waveform, as this may enhance certain heterogeneities of the object in relation to its environment. The thrust of this argument derives mainly from the notion of Fourier analysis with pulse type fish EOD waveforms (see above, and radar theory more generally), where higher temporal frequencies in the beat waveform induced by the chirp will enable a better spatial resolution of objects. It remains to be seen whether experiments can show this to be significant.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:<br /> Stuchly et al. proposed a single-cell trajectory inference tool, tviblindi, which was built on a sequential implementation of the k-nearest neighbor graph, random walk, persistent homology and clustering, and interactive visualization. The paper was organized around the detailed illustration of the usage and interpretation of results through the human thymus system.
Strengths:<br /> Overall, I found the paper and method to be practical and needed in the field. Especially the in-depth, step-by-step demonstration of the application of tviblindi in numerous T cell development trajectories and how to interpret and validate the findings can be a template for many basic science and disease-related studies. The videos are also very helpful in showcasing how the tool works.
Weaknesses:<br /> I only have a few minor suggestions that hopefully can make the paper easier to follow and the advantage of the method to be more convincing.<br /> (1) The "Computational method for the TI and interrogation - tviblindi" subsection under the Results is a little hard to follow without having a thorough understanding of the tviblindi algorithm procedures. I would suggest that the authors discuss the uniqueness and advantages of the tool after the detailed introduction of the method (moving it after the "Connectome - a fully automated pipeline".<br /> Also, considering it is a computational tool paper, inevitably, readers are curious about how it functions compared to other popular trajectory inference approaches. I did not find any formal discussion until almost the end of the supplementary note (even that is not cited anywhere in the main text). Authors may consider improving the summary of the advantages of tviblindi by incorporating concrete quantitative comparisons with other trajectory tools.<br /> (2) Regarding the discussion in Figure 4 the trajectory goes through the apoptotic stage and reconnects back to the canonical trajectory with counterintuitive directionality, it can be a checkpoint as authors interpret using their expert knowledge, or maybe a false discovery of the tool. Maybe authors can consider running other algorithms on those cells and see which tracks they identify and if the directionality matches with the tviblindi.<br /> (3) The paper mainly focused on mass cytometry data and had a brief discussion on scRNA-seq. Can the tool be applied to multimodality data such as CITE-seq data that have both protein markers and gene expression? Any suggestions if users want to adapt to scATAC-seq or other epigenomic data?
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This work investigates the computational consequences of assemblies containing both excitatory and inhibitory neurons (E/I assembly) in a model with parameters constrained by experimental data from the telencephalic area Dp of zebrafish. The authors show how this precise E/I balance shapes the geometry of neuronal dynamics in comparison to unstructured networks and networks with more global inhibitory balance. Specifically, E/I assemblies lead to the activity being locally restricted onto manifolds - a dynamical structure in between high-dimensional representations in unstructured networks and discrete attractors in networks with global inhibitory balance. Furthermore, E/I assemblies lead to smoother representations of mixtures of stimuli while those stimuli can still be reliably classified, and allow for more robust learning of additional stimuli.
Strengths:
Since experimental studies do suggest that E/I balance is very precise and E/I assemblies exist, it is important to study the consequences of those connectivity structures on network dynamics. The authors convincingly show that E/I assemblies lead to different geometries of stimulus representation compared to unstructured networks and networks with global inhibition. This finding might open the door for future studies for exploring the functional advantage of these locally defined manifolds, and how other network properties allow to shape those manifolds.
The authors also make sure that their spiking model is well-constrained by experimental data from the zebrafish pDp. Both spontaneous and odor stimulus triggered spiking activity is within the range of experimental measurements. But the model is also general enough to be potentially applied to findings in other animal models and brain regions.
Weaknesses:
I find the point about pattern completion a bit confusing. In Fig. 3 the authors argue that only the Scaled I network can lead to pattern completion for morphed inputs since the output correlations are higher than the input correlations. For me, this sounds less like the network can perform pattern completion but it can nonlinearly increase the output correlations. Furthermore, in Suppl. Fig. 3 the authors show that activating half the assembly does lead to pattern completion in the sense that also non-activated assembly cells become highly active and that this pattern completion can be seen for Scaled I, Tuned E+I, and Tuned I networks. These two results seem a bit contradictory to me and require further clarification, and the authors might want to clarify how exactly they define pattern completion.
The authors argue that Tuned E+I networks have several advantages over Scaled I networks. While I agree with the authors that in some cases adding this localized E/I balance is beneficial, I believe that a more rigorous comparison between Tuned E+I networks and Scaled I networks is needed: quantification of variance (Fig. 4G) and angle distributions (Fig. 4H) should also be shown for the Scaled I network. Similarly in Fig. 5, what is the Mahalanobis distance for Scaled I networks and how well can the Scaled I network be classified compared to the Tuned E+I network? I suspect that the Scaled I network will actually be better at classifying odors compared to the E+I network. The authors might want to speculate about the benefit of having networks with both sources of inhibition (local and global) and hence being able to switch between locally defined manifolds and discrete attractor states.
At a few points in the manuscript, the authors use statements without actually providing evidence in terms of a Figure. Often the authors themselves acknowledge this, by adding the term "not shown" to the end of the sentence. I believe it will be helpful to the reader to be provided with figures or panels in support of the statements.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
How is it that animals find learned food locations in their daily life? Do they use landmarks to home in on these learned locations or do they learn a path based on self-motion (turn left, take ten steps forward, turn right, etc.). This study carefully examines this question in a well-designed behavioral apparatus. A key finding is that to support the observed behavior in the hidden food arena, mice appear to not use the distal cues that are present in the environment for performing this task. Removal of such cues did not change the learning rate, for example. In a clever analysis of whether the resulting cognitive map based on self-motion cues could allow a mouse to take a shortcut, it was found that indeed they are. The work nicely shows the evolution of the rodent's learning of the task, and the role of active sensing in the targeted reduction of uncertainty of food location proximal to its expected location.
Strengths:
A convincing demonstration that mice can synthesize a cognitive map for the finding of a static reward using body frame-based cues. This shows that the uncertainty of the final target location is resolved by an active sensing process of probing holes proximal to the expected location. Showing that changing the position of entry into the arena rotates the anticipated location of the reward in a manner consistent with failure to use distal cues.
Weaknesses:
The task is low stakes, and thus the failure to use distal cues at most costs the animal a delay in finding the food; this delay is likely unimportant to the animal. Thus, it is unclear whether this result would generalize to a situation where the animal may be under some time pressure, urgency due to food (or water) restriction, or due to predatory threat. In such cases, the use of distal cues to make locating the reward robust to changing start locations may be more likely to be observed.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #4 (Public Review):
Summary:
Although previous research suggested that noradrenergic glutamatergic signaling could influence respiratory control, the work performed by Chang and colleagues reveals that excitatory (specifically Vglut2) neurons is dynamically and widely expressed throughout the central noradrenergic system, but it is not significantly crucial to change baseline breathing as well the hypercapnia and hypoxia ventilatory responses. The central point that will make a significant change in the field is how NA-glutamate transmission may influence breathing control and the dysfunction of NA neurons in respiratory disorders.
Strengths:
There are several strengths such as the comprehensive analysis of Vglut1, Vglut2, and Vglut3 expression in the central noradrenergic system and the combined measurements of breathing parameters in conscious unrestrained mice.
Other considerations :
These results strongly suggest that glutamate may not be necessary for modulating breathing under normal conditions or even when faced with high levels of carbon dioxide (hypercapnia) or low oxygen levels (hypoxia). This finding is unexpected, considering many studies have underscored glutamate's vital role in respiratory regulation, more so than catecholamines. This leads us to question the significance of catecholamines in controlling respiration. Moreover, if glutamate is not essential for this function, we need to explore its role in other physiological processes such as sympathetic nerve activity (SNA), thermoregulation, and sensory physiology.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
This study described changes in membrane excitability and Na+ and K+ current amplitudes of sympathetic motor neurons in culture. The findings indicate that neurons isolated from aged animals show increased membrane excitability manifested as increased firing rates in response to electrical stimulation and changes in related membrane properties including depolarized resting membrane potential, increased rheobase, and spontaneous firing. By contrast, neuron cultures from young mice show little to no spontaneous firing and relatively low firing rates in response to current injection. These changes in excitability correlate with reductions in the magnitude of KCNQ currents in neurons cultured from aged mice compared to neurons from cultured from young mice. The authors conclude that aging promotes hyperexcitability of sympathetic motor neurons through changes in KCNQ channels.
The electrophysiological cataloging of the neuronal properties is well done, and the experiments are performed using perforated patch recordings which preserves the internal constituents of neurons, providing confidence that the effects seen are not due to washout of regulators from the cells. The main weakness is that this study is a descriptive tabulation of changes in the electrophysiology of neurons in culture, and the effects shown are correlative rather than establishing causality. Pharmacological support is provided indicating that blockade or enhancement of KCNQ reverses the changes in excitability, but the specifics of the effects and relevance to intact preparations are unclear. Additional experiments in slice cultures would provide greater significance on the potential relevance of the findings for intact preparations.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
This is an interesting manuscript that uses state-of-the-art experimental and simulation approaches to quantify motor unit discharge patterns in the human TA and VL. The non-linear profiles of motor unit discharge were calculated and found to have an initial acceleration phase followed by an attenuation phase. Lower threshold motor units had a larger gain of the initial acceleration whereas the higher threshold motor unit had a higher gain in the attenuation phase. These data represent a technical feat and are important for understanding how humans generate and control voluntary force.
Strengths:<br /> The authors used rigorous, state-of-the-art analyses to decompose and validate their motor unit data during a wide range of voluntary efforts.
The analyses are clearly presented, applied, and visualized.
The supplemental data provides important transparency.
Weaknesses:
The number of participants and muscles tested are quite small - particularly given the constraints on yield. It is unclear if this will translate to other motor pools. The justification for TA and VL should be provided.
While an impressive effort was made to identify and track motor units across a range of contractions, it appears that a substantial portion of muscle force was not identified. Though high-intensity contractions are challenging to decompose - the authors are commended for their technical ability to record population motor unit discharge times with recruitment thresholds up to 75% of a participant's maximal voluntary contractions. However previous groups have seen substantial recruitment of motor units above 80% and even 90% maximum activation in the soleus. Given the innervation ratios of higher threshold motor units, if recruitment continued to 100%, the top quartile would likely represent a substantial portion of the traditional fast-fatigable motor units. It would be highly interesting to understand the recruitment and rate coding of the highest threshold motor units, at a minimum I would suggest using terms other than "entire range" or "full spectrum of recruitment thresholds"
The quantification of hysteresis using torque appears to make self-evident the observation that lower threshold motor units demonstrate less hysteresis with respect to torque. If there is motor unit discharge there will be force. I believe this limitation goes beyond the floor effects discussed in the manuscript. Traditionally, individuals have used the discharge of a lower threshold unit as the measure on which to apply hysteresis analyses to infer ion channel function in human spinal motoneurons.
The main findings are not entirely novel. See Monster and Chan 1977 and Kanosue et al 1979.
-
-
www.biorxiv.org www.biorxiv.org
-
Reviewer #3 (Public Review):
Summary:
Rapamycin is a macrolide of immunologic therapeutic importance, proposed as a ligand of mTOR. It is also employed as in essays to probe protein-protein interactions.<br /> The authors serendipitously found that the drug rapamycin and some related compounds, potently activate the cationic channel TRPM8, which is the main mediator of cold sensation in mammals. The authors show that rapamycin might bind to a novel binding site that is different from the binding site for menthol, the prototypical activator of TRPM8. These solid results are important to a wide audience since rapamycin is a widely used drug and is also employed in essays to probe protein-protein interactions, which could be affected by potential specific interactions of rapamycin with other membrane proteins, as illustrated herein.
Strengths:
The authors employ several experimental approaches to convincingly show that rapamycin activates directly the TRPM8 cation channel and not an accessory protein or the surrounding membrane. In general, the electrophysiological, mutational and fluorescence imaging experiments are adequately carried out and cautiously interpreted, presenting a clear picture of the direct interaction with TRPM8. In particular, the authors convincingly show that the interactions of rapamycin with TRPM8 are distinct from interactions of menthol with the same ion channel.
Weaknesses:
The main weakness of the manuscript is the NMR method employed to show that rapamycin binds to TRPM8. The authors developed and deployed a novel signal processing approach based on subtraction of several independent NMR spectra to show that rapamycin binds to the TRPM8 protein and not to the surrounding membrane or other proteins. While interesting and potentially useful, the method is not well developed (several positive controls are missing) and is not presented in a clear manner, such that the quality of data can be assessed and the reliability and pertinence of the subtraction procedure evaluated.
-