AP Biology For TEA
AP Biology For TEA
AP Biology For TEA
Biology
for AP® Courses
Textbook
PREFACE
This instructional material is provided through a Texas Education Agency (TEA) initiative to provide high-quality, open-
source instructional materials to districts free of charge. Funds were allocated for the open-source instructional materials by
the 84th Texas Legislature (2015) which directed the agency to set aside $5,000,000 from the state instructional materials
fund in each fiscal year of the biennium for state-developed, open-source instructional materials. They specified that
the request should prioritize advanced secondary courses supporting the study of science, technology, engineering, and
mathematics.
Through a request for proposal (RFP) process, the agency called for materials in the following sets of courses:
High school math courses identified in Texas Administrative Code (TAC), Title 19, Chapter 111
(http://ritter.tea.state.tx.us/rules/tac/chapter111/index.html (http://ritter.tea.state.tx.us/rules/tac/chapter111/
index.html) )
High school science courses identified in 19 TAC, Chapter 112 (http://ritter.tea.state.tx.us/rules/tac/chapter112/
index.html (http://ritter.tea.state.tx.us/rules/tac/chapter112/index.html) )
High school technology applications courses identified in 19 TAC, Chapter 126 (http://ritter.tea.state.tx.us/rules/tac/
chapter126/index.html (http://ritter.tea.state.tx.us/rules/tac/chapter126/index.html) )
Career and technical education (CTE) courses identified in 19 TAC, Chapter 130, Subchapter O
(http://ritter.tea.state.tx.us/rules/tac/chapter130/ch130o.html (http://ritter.tea.state.tx.us/rules/tac/chapter130/
ch130o.html) )
The RFP resulted in the award of two contracts for open-source materials, one to OpenStax (Rice University) and one to
Study Edge (University of Florida).
OpenStax created materials for seven courses:
Statistics
Advanced Placement Macroeconomics
Advanced Placement Microeconomics
Advanced Placement Physics 1
Advanced Placement Physics 2
Physics
Advanced Placement Biology
Each set of materials created by OpenStax is organized into units and chapters and, like a traditional textbook, can be used
as the entire syllabus for each course. They can also be accessed in smaller chunks for more focused use with a single
student or an entire class. All materials are available free of charge through the Texas Gateway.
Qualified and experienced Texas faculty were involved throughout the development process, and the textbooks were
reviewed extensively to ensure effectiveness and usability in each course. Reviewers considered each resource’s clarity,
accuracy, student support, assessment rigor and appropriateness, alignment to TEKS, and overall quality. Their invaluable
suggestions provided the basis for continually improved material and helped to certify that the books are ready for use.
The writers and reviewers also considered common course issues, effective teaching strategies, and student engagement to
provide instructors and students with useful, supportive content as well as drive effective learning experiences.
AP® Connections
Every section of the textbook—over 200 total—begins with a “Connection for AP® Courses.” Written by Julianne Zedalis,
Preface 3
the College Board’s AP® Biology Curriculum Committee Co-Chair, these valuable overviews provide the meaningful
support for students and instructors.
Each Connection highlights the key concepts of the section in the context of the AP® Biology Curriculum Framework
and explains their importance in brief, engaging language.
The explanations build upon the knowledge gained in previous sections, reinforcing the most significant concepts and
alerting students to the basis of upcoming material. This helps students build a more comprehensive understanding and
helps instructors reference prior explanations.
Direct references to the relevant sections of the AP® Curriculum Framework are first explained and then outlined in
table format, emphasizing their importance and continually emphasizing the overall design of the course. Students and
teachers using these reference tables can easily see their progression through, and coverage of, the required curriculum.
Scientific Practices
The AP® Biology Science Practices are presented to students through several active experiences.
Science Practice Connections for AP® Courses provide a context and suggested activity linking biology concepts with the
relevant Science Practices. Students are often asked to build representations, undertake brief research, or answer critical
thinking questions.
The Science Practice Questions, designed and authored by John Eggebrecht and Julianne Zedalis, present a complex
scenario or data set and ask students a series of multiple-choice and open-ended questions based on a complex scenario or
data set. These robust activities hone students’ scientific thinking skills and prepare them for similar questions on the AP®
Examination.
test the revised AP Curriculum Framework, working with other high school AP teachers and college faculty, as well as the
National Science Foundation. She was later selected to chair the College Board’s Curriculum Development and Assessment
Committee.
Contributing Authors
Connie Rye, East Mississippi Community College
Robert Wise, University of Wisconsin, Oshkosh
Vladimir Jurukovski, Suffolk County Community College
Jean DeSaix, University of North Carolina at Chapel Hill
Jung Choi, Georgia Institute of Technology
Yael Avissar, Rhode Island College
Core Reviewers
Monica Amyett, Azle High School
Monica Amyett has taught high school science for over sixteen years, eleven of which have been at Azle High School. She
has also taught at Bethesda Christian School, San Diego State University, San Jose State University, and UNLV. She has
served as a reviewer for the College Board's AP Engineering curriculum, and is pursuing a doctorate at Texas Christian
University.
Disclaimer
This textbook may include links to news organizations or other websites that, in addition to the targeted article, also
contain articles on a variety of topics, such as politics, medicine, entertainment, or religion. Examples include Wall
Street Journal, USA Today, and Science Daily. The sites are reputable and are widely used in educational settings.
The direct references and suggested readings are valuable to the educational goals of the course material. However,
some instructors, students, and parents/guardians may find such additional content objectionable; use of the
materials is at the discretion of the instructor or district.
Chapter 1 | The Study of Life 5
Figure 1.1 This NASA image is a composite of several satellite-based views of Earth. To make this whole-Earth image,
NASA scientists combine observations of different parts of the planet. (credit: NASA/GSFC/NOAA/USGS)
Chapter Outline
1.1: The Science of Biology
1.2: Themes and Concepts of Biology
Introduction
Viewed from space, Earth offers no clues about the diversity of life it harbors. The first forms of life on Earth are thought to
be microorganisms that existed for billions of years in the ocean before plants and animals appeared. The mammals, birds,
and flowers that we see in modern times are mostly recent species, originating 130 to 200 million years ago. In fact, only in
the last 200,000 years have humans started looking like we do today.
Organisms evolve in response to each other. One of the best examples is disease-causing organisms, which have to adapt
to overcome the defenses of the organisms they infect. One such organism that has evolved to specialize in infection in
humans is Plasmodium, the organism that causes malaria. Biologists use the process of science to learn about the world and
the organisms living in it. For example, people have suspected for quite some time that people with blood type O are less
likely to die from severe malaria. Now, a team of scientists have been able to explain why. By examining data from several
experiments, and by using both inductive and deductive reasoning, the scientists concluded that A and B type blood reacts
with a protein excreted by Plasmodium. This reaction causes severe illness. However, type O blood does not react with
the protein. You can read more (http://openstaxcollege.org/l/32plasmodium) about the response of type A and B blood
groups to infection by Plasmodium.
Biological systems utilize free energy and molecular building blocks to grow, to
Big Idea 2
reproduce, and to maintain dynamic homeostasis.
Enduring
Growth, reproduction and maintenance of living systems require free energy and matter.
Understanding 2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
6.4 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models
Learning 2.3 The student is able to predict how changes in free energy availability affect
Objectives organisms, populations and ecosystems.
What is biology? In simple terms, biology is the study of living organisms and their interactions with one another and their
environments. This is a very broad definition because the scope of biology is vast. Biologists may study anything from
the microscopic or submicroscopic view of a cell to ecosystems and the whole living planet (Figure 1.2). Listening to the
daily news, you will quickly realize how many aspects of biology are discussed every day. For example, recent news topics
include Escherichia coli (Figure 1.3) outbreaks in spinach and Salmonella contamination in peanut butter. On a global
scale, many researchers are committed to finding ways to protect the planet, solve environmental issues, and reduce the
effects of climate change. All of these diverse endeavors are related to different facets of the discipline of biology.
Chapter 1 | The Study of Life 7
(a) (b)
Figure 1.2 (a) Formerly called blue-green algae, these cyanobacteria, shown here at 300x magnification under a light
microscope, are some of Earth’s oldest life forms. (b) These stromatolites along the shores of Lake Thetis in Western
Australia are ancient structures formed by the layering of cyanobacteria in shallow waters. (credit a: modification of
work by NASA; credit b: modification of work by Ruth Ellison; scale-bar data from Matt Russell)
Figure 1.3 Escherichia coli (E. coli) bacteria, seen in this scanning electron micrograph, are normal residents of our
digestive tract that aid in the absorption of vitamin K and other nutrients. However, virulent strains are sometimes
responsible for disease outbreaks. (credit: Eric Erbe, digital colorization by Christopher Pooley, both of USDA, ARS,
EMU)
Natural Sciences
What would you expect to see in a museum of natural sciences? Frogs? Plants? Dinosaur skeletons? Exhibits about how the
brain functions? A planetarium? Gems and minerals? Or maybe all of the above? Science includes such diverse fields as
astronomy, biology, computer sciences, geology, logic, physics, chemistry, and mathematics (Figure 1.4). However, those
fields of science related to the physical world and its phenomena and processes are considered natural sciences. Thus, a
museum of natural sciences might contain any of the items listed above.
Figure 1.4 The diversity of scientific fields includes astronomy, biology, computer science, geology, logic, physics,
chemistry, mathematics, and many other fields. (credit: Image Editor/Flickr)
There is no complete agreement when it comes to defining what the natural sciences include, however. For some experts,
the natural sciences are astronomy, biology, chemistry, earth science, and physics. Other scholars choose to divide natural
sciences into life sciences, which study living things and include biology, and physical sciences, which study nonliving
matter and include astronomy, geology, physics, and chemistry. Some disciplines such as biophysics and biochemistry build
on both life and physical sciences and are interdisciplinary. Natural sciences are sometimes referred to as hard science
because they rely on the use of quantitative data; social sciences that study society and human behavior are more likely to
use qualitative assessments to drive investigations and findings.
Not surprisingly, the natural science of biology has many branches or subdisciplines. Cell biologists study cell structure
and function, while biologists who study anatomy investigate the structure of an entire organism. Those biologists studying
physiology, however, focus on the internal functioning of an organism. Some areas of biology focus on only particular types
of living things. For example, botanists explore plants, while zoologists specialize in animals.
Scientific Reasoning
One thing is common to all forms of science: an ultimate goal to know. Curiosity and inquiry are the driving forces for the
development of science. Scientists seek to understand the world and the way it operates. To do this, they use two methods
of logical thinking: inductive reasoning and deductive reasoning.
Inductive reasoning is a form of logical thinking that uses related observations to arrive at a general conclusion. This
type of reasoning is common in descriptive science. A life scientist such as a biologist makes observations and records
them. These data can be qualitative or quantitative, and the raw data can be supplemented with drawings, pictures, photos,
or videos. From many observations, the scientist can infer conclusions called inductions based on evidence. Inductive
reasoning involves formulating generalizations inferred from careful observation and the analysis of a large amount of data.
Brain studies provide an example. In this type of research, many live brains are observed while people are doing a specific
Chapter 1 | The Study of Life 9
activity, such as viewing images of food. The part of the brain that lights up during this activity is then predicted to be the
part controlling the response to the selected stimulus, in this case, images of food. The lighting up of the various areas of
the brain is caused by excess absorption of radioactive sugar derivatives by active areas of the brain. The resultant increase
in radioactivity is observed by a scanner. Then, researchers can stimulate that part of the brain to see if similar responses
result.
Deductive reasoning or deduction is the type of logic used in hypothesis-based science. In deductive reason, the pattern
of thinking moves in the opposite direction as compared to inductive reasoning. Deductive reasoning is a form of logical
thinking that uses a general principle or law to forecast specific results. From those general principles, a scientist can
extrapolate and predict the specific results that would be valid as long as the general principles are valid. Studies in climate
change can illustrate this type of reasoning. For example, scientists may predict that if the climate becomes warmer in a
particular region, then the distribution of plants and animals should change. These predictions have been made and tested,
and many such changes have been found, such as the modification of arable areas for agriculture, with change based on
temperature averages.
Both types of logical thinking are related to the two main pathways of scientific study: descriptive science and hypothesis-
based science. Descriptive (or discovery) science, which is usually inductive, aims to observe, explore, and discover, while
hypothesis-based science, which is usually deductive, begins with a specific question or problem and a potential answer or
solution that can be tested. The boundary between these two forms of study is often blurred, and most scientific endeavors
combine both approaches. The fuzzy boundary becomes apparent when thinking about how easily observation can lead to
specific questions. For example, a gentleman in the 1940s observed that the burr seeds that stuck to his clothes and his dog’s
fur had a tiny hook structure. On closer inspection, he discovered that the burrs’ gripping device was more reliable than a
zipper. He eventually developed a company and produced the hook-and-loop fastener often used on lace-less sneakers and
athletic braces. Descriptive science and hypothesis-based science are in continuous dialogue.
Scientific Methods
Biologists study the living world by posing questions about it and seeking science-based responses. This approach is
common to other sciences as well and is often referred to as scientific methods. Scientific methods were used even in ancient
times, but they were first documented by England’s Sir Francis Bacon (1561–1626) (Figure 1.5), who set up inductive
methods for scientific inquiry. Scientific methods are not exclusively used by biologists but can be applied to almost all
fields of study as a logical, rational problem-solving method.
Figure 1.5 Sir Francis Bacon (1561–1626) is credited with being the first to define scientific methods. (credit: Paul van
Somer)
Scientific methods typically start with an observation and apply with an observation (often a problem to be solved) that
leads to a question. Let’s think about a simple problem that starts with an observation and apply scientific methods to solve
the problem. One Monday morning, a student arrives at class and quickly discovers that the classroom is too warm. That
10 Chapter 1 | The Study of Life
is an observation that also describes a problem: The classroom is too warm. The student then asks a question: Why is the
classroom so warm?
Proposing a Hypothesis
Recall that a hypothesis is a suggested explanation that can be tested. To solve a problem, several hypotheses may be
proposed. For example, one hypothesis might be, The classroom is warm because no one turned on the air conditioning.
But there could be other responses to the question, and therefore other hypotheses may be proposed. A second hypothesis
might be, The classroom is warm because there is a power failure, and so the air conditioning doesn’t work.
Once a hypothesis has been selected, the student can make a prediction. A prediction is similar to a hypothesis but it
typically has the format If . . . then . . . . For example, the prediction for the first hypothesis might be: If the student turns on
the air conditioning, then the classroom will no longer be too warm.
Testing a Hypothesis
A valid hypothesis must be testable. It should also be falsifiable, meaning that it can be disproven by experimental results.
Importantly, science does not claim to prove anything because scientific understandings are always subject to modification
with further information. This step—openness to disproving ideas—is what distinguishes sciences from non-sciences.
The presence of the supernatural, for instance, is neither testable nor falsifiable. To test a hypothesis, a researcher will
conduct one or more experiments designed to eliminate one or more of the hypotheses. Each experiment will have one
or more variables and one or more controls. A variable is any part of the experiment that can vary or change during the
experiment. The control group contains every feature of the experimental group except it is not given the manipulation
that is hypothesized about. Therefore, if the results of the experimental group differ from the control group, the difference
must be due to the hypothesized manipulation, rather than some outside factor. Look for the variables and controls in
the examples that follow. To test the first hypothesis, the student would find out if the air conditioning is on. If the air
conditioning is turned on but does not work, there should be another reason, and this hypothesis should be rejected. To
test the second hypothesis, the student could check if the lights in the classroom are functional. If so, there is no power
failure and this hypothesis should be rejected. Each hypothesis should be tested by carrying out appropriate experiments.
Be aware that rejecting one hypothesis does not determine whether or not the other hypotheses can be accepted; it simply
eliminates one hypothesis that is not valid (see Figure 1.6). Using scientific methods, the hypotheses that are inconsistent
with experimental data are rejected.
While this warm classroom example is based on observational results, other hypotheses and experiments might have clearer
controls. For instance, a student might attend class on Monday and realize she had difficulty concentrating on the lecture.
One observation to explain this occurrence might be, When I eat breakfast before class, I am better able to pay attention.
The student could then design an experiment with a control to test this hypothesis.
In hypothesis-based science, specific results are predicted from a general premise. This type of reasoning is called deductive
reasoning: Deduction proceeds from the general to the particular. But the reverse of the process is also possible: Sometimes,
scientists reach a general conclusion from a number of specific observations. This type of reasoning is called inductive
reasoning, and it proceeds from the particular to the general. Inductive and deductive reasoning are often used in tandem to
advance scientific knowledge (see Figure 1.6).
Think About It
Almost all plants use water, carbon dioxide, and energy from the sun to make sugars. Think about what would happen
to plants that don’t have sunlight as an energy source or sufficient water. What would happen to organisms that depend
on those plants for their own survival?
Make a prediction about what would happen to the organisms living in a rain forest if 50 percent of its trees were
destroyed. How would you test your prediction?
Chapter 1 | The Study of Life 11
Figure 1.6 Scientific methods consist of a series of well-defined steps. If a hypothesis is not supported by
experimental data, a new hypothesis can be proposed.
In the example below, scientific methods are used to solve an everyday problem. Order the steps (numbered items)
with the process of solving the everyday problem (lettered items).
Scientific
Everyday process
methods
1 Observation A There is something wrong with the electrical outlet.
If something is wrong with the outlet, my coffeemaker also won’t work when
2 Question B
plugged into it.
3 Hypothesis (answer) C My toaster doesn’t toast my bread.
4 Prediction D I plug my coffeemaker into the outlet.
5 Experiment E My coffeemaker works.
12 Chapter 1 | The Study of Life
Scientific
Everyday process
methods
6 Result F What is preventing my toaster from working?
Table 1.1
Based on the results of the experiment, is the hypothesis correct? If it is incorrect, propose some alternative hypotheses.
a. The original hypothesis is correct. There is something wrong with the electrical outlet and therefore the
toaster doesn’t work.
b. The original hypothesis is incorrect. Alternative hypothesis includes that toaster wasn’t turned on.
c. The original hypothesis is correct. The coffeemaker and the toaster do not work when plugged into the outlet.
d. The original hypothesis is incorrect. Alternative hypothesis includes that both coffeemaker and toaster were
broken.
Chapter 1 | The Study of Life 13
Figure 1.7 Scientists use two types of reasoning, inductive and deductive reasoning, to advance scientific
knowledge. As is the case in this example, the conclusion from inductive reasoning can often become the premise
for inductive reasoning.
Scientific methods may seem too rigid and structured. It is important to keep in mind that, although scientists often follow
this sequence, there is flexibility. Sometimes an experiment leads to conclusions that favor a change in approach; often,
an experiment brings entirely new scientific questions to the puzzle. Many times, science does not operate in a linear
fashion; instead, scientists continually draw inferences and make generalizations, finding patterns as their research proceeds.
Scientific reasoning is more complex than scientific methods alone suggest. Notice, too, that scientific methods can be
applied to solving problems that aren’t necessarily scientific in nature.
14 Chapter 1 | The Study of Life
Figure 1.8 After Hurricane Ike struck the Gulf Coast in 2008, the U.S. Fish and Wildlife Service rescued this brown
pelican. Thanks to applied science, scientists knew how to rehabilitate the bird. (credit: FEMA)
Some individuals may perceive applied science as useful and basic science as useless. A question these people might pose
to a scientist advocating knowledge acquisition would be, What for? A careful look at the history of science, however,
reveals that basic knowledge has resulted in many remarkable applications of great value. Many scientists think that a basic
understanding of science is necessary before an application is developed; therefore, applied science relies on the results
generated through basic science. Other scientists think that it is time to move on from basic science and instead to find
solutions to actual problems. Both approaches are valid. It is true that there are problems that demand immediate attention;
however, few solutions would be found without the help of the wide knowledge foundation generated through basic science.
One example of how basic and applied science can work together to solve practical problems occurred after the discovery of
DNA structure led to an understanding of the molecular mechanisms governing DNA replication. Strands of DNA, unique
in every human, are found in our cells, where they provide the instructions necessary for life. During DNA replication,
DNA makes new copies of itself, shortly before a cell divides. Understanding the mechanisms of DNA replication enabled
scientists to develop laboratory techniques that are now used to identify genetic diseases. Without basic science, it is
unlikely that applied science would exist.
Another example of the link between basic and applied research is the Human Genome Project, a study in which each
human chromosome was analyzed and mapped to determine the precise sequence of DNA subunits and the exact location
of each gene. (The gene is the basic unit of heredity; an individual’s complete collection of genes is his or her genome.)
Other less complex organisms have also been studied as part of this project in order to gain a better understanding of human
chromosomes. The Human Genome Project (Figure 1.9) relied on basic research carried out with simple organisms and,
later, with the human genome. An important end goal eventually became using the data for applied research, seeking cures
and early diagnoses for genetically related diseases.
Chapter 1 | The Study of Life 15
Figure 1.9 The Human Genome Project was a 13-year collaborative effort among researchers working in several
different fields of science. The project, which sequenced the entire human genome, was completed in 2003. (credit:
the U.S. Department of Energy Genome Programs http://genomics.energy.gov)
While research efforts in both basic science and applied science are usually carefully planned, it is important to note that
some discoveries are made by serendipity, that is, by means of a fortunate accident or a lucky surprise. Penicillin was
discovered when biologist Alexander Fleming accidentally left a petri dish of Staphylococcus bacteria open. An unwanted
mold grew on the dish, killing the bacteria. The mold turned out to be Penicillium, and a new antibiotic was discovered.
Even in the highly organized world of science, luck—when combined with an observant, curious mind—can lead to
unexpected breakthroughs.
and techniques used by the researchers to gather data. The description should be thorough enough to allow another
researcher to repeat the experiment and obtain similar results, but it does not have to be verbose. This section will also
include information on how measurements were made and what types of calculations and statistical analyses were used to
examine raw data. Although the materials and methods section gives an accurate description of the experiments, it does not
discuss them.
Some journals require a results section followed by a discussion section, but it is more common to combine both. If the
journal does not allow the combination of both sections, the results section simply narrates the findings without any further
interpretation. The results are presented by means of tables or graphs, but no duplicate information should be presented.
In the discussion section, the researcher will interpret the results, describe how variables may be related, and attempt to
explain the observations. It is indispensable to conduct an extensive literature search to put the results in the context of
previously published scientific research. Therefore, proper citations are included in this section as well.
Finally, the conclusion section summarizes the importance of the experimental findings. While the scientific paper almost
certainly answered one or more scientific questions that were stated, any good research should lead to more questions.
Therefore, a well-done scientific paper leaves doors open for the researcher and others to continue and expand on the
findings.
Review articles do not follow the IMRaD format because they do not present original scientific findings, or primary
literature; instead, they summarize and comment on findings that were published as primary literature and typically include
extensive reference sections.
Section Summary
Biology is the science that studies living organisms and their interactions with one another and their environments. Science
attempts to describe and understand the nature of the universe in whole or in part by rational means. Science has many
fields; those fields related to the physical world and its phenomena are considered natural sciences.
Science can be basic or applied. The main goal of basic science is to expand knowledge without any expectation of short-
term practical application of that knowledge. The primary goal of applied research, however, is to solve practical problems.
Two types of logical reasoning are used in science. Inductive reasoning uses particular results to produce general scientific
principles. Deductive reasoning is a form of logical thinking that predicts results by applying general principles. The
common thread throughout scientific research is the use of scientific methods, a step-based process that consist of making
observations, defining a problem, posing hypotheses, testing these hypotheses, and drawing one or more conclusions.
The testing uses proper controls. Scientists present their results in peer-reviewed scientific papers published in scientific
journals. A scientific research paper consists of several well-defined sections: introduction, materials and methods, results,
and, finally, a concluding discussion. Review papers summarize the research done in a particular field over a period of time.
The redesigned AP® Biology course also emphasizes the investigative practices that students should master. Scientific
inquiry usually uses a series of steps to gain new knowledge. Scientific methods with an observation and follows with
a hypothesis to explain the observation; then experiments are conducted to test the hypothesis, gather results, and draw
conclusions from data. The AP® program has identified seven major categories of Science Practices, which can be described
by short phrases: using representations and models to communicate information and solve problems; using mathematics
appropriately; engaging in questioning; planning and implementing data collection strategies; analyzing and evaluating
data; justifying scientific explanations; and connecting concepts. A Learning Objective merges content with one or more of
the seven Science Practices.
The information presented and the examples highlighted in this section support concepts and Learning Objectives outlined
in Big Idea 1 of the AP® Biology Curriculum. The Learning Objectives listed in the Curriculum Framework provide a
transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® Exam questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.14 The student is able to pose scientific questions that correctly identify essential
Objective properties of share, core life processes that provide insights into the history of life on Earth.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.18 The student is able to evaluate evidence provided by a data set in conjunction with a
Objective phylogenetic tree or simply cladogram to determine evolutionary history and speciation.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
1 Scientific Methods and Measurements
2 Introduction to Microscopy
Biology is the science that studies life, but what exactly is life? This may sound like a silly question with an obvious
response, but it is not always easy to define life. For example, a branch of biology called virology studies viruses, which
exhibit some of the characteristics of living entities but lack others. It turns out that although viruses can attack living
organisms, cause diseases, and even reproduce, they do not meet the criteria that biologists use to define life. Consequently,
virologists are not biologists, strictly speaking. Similarly, some biologists study the early molecular evolution that gave rise
to life; since the events that preceded life are not biological events, these scientists are also excluded from biology in the
strict sense of the term.
From its earliest beginnings, biology has wrestled with three questions: What are the shared properties that make something
alive? And once we know something is alive, how do we find meaningful levels of organization in its structure? And,
finally, when faced with the remarkable diversity of life, how do we organize the different kinds of organisms so that we
can better understand them? As new organisms are discovered consisting of cells, tissues, organs, and organ systems every
day, biologists continue to seek answers to these and other questions.
Properties of Life
All living organisms share several key characteristics or functions: order, sensitivity or response to the environment,
reproduction, growth and development, regulation, homeostasis, and energy processing. When viewed together, these nine
characteristics serve to define life.
18 Chapter 1 | The Study of Life
Order
Organisms are highly organized, coordinated structures that consist of one or more cells. Even very simple, single-celled
organisms are remarkably complex. Inside each cell, atoms make up molecules, which in turn make up cell organelles and
other cellular inclusions. In multicellular organisms (Figure 1.10), similar cells form tissues. Tissues, in turn, collaborate to
create organs (body structures with a distinct function). Organs work together to form organ systems.
Figure 1.10 A toad represents a highly organized structure consisting of cells, tissues, organs, and organ systems.
(credit: Ivengo/Wikimedia Commons)
Figure 1.11 The leaves of this sensitive plant (Mimosa pudica) will instantly droop and fold when touched. After a few
minutes, the plant returns to normal. (credit: Alex Lomas)
Organisms respond to diverse stimuli. For example, plants can bend toward a source of light, climb on fences and walls, or
respond to touch (Figure 1.11). Even tiny bacteria can move toward or away from chemicals (a process called chemotaxis)
or light (phototaxis). Movement toward a stimulus is considered a positive response, while movement away from a stimulus
is considered a negative response.
Chapter 1 | The Study of Life 19
Which example most clearly shows a way that humans can respond directly to a change in the environment?
b. We walk by putting our front leg forward and pushing off with our back leg.
Reproduction
Single-celled organisms reproduce by first duplicating their DNA, and then dividing it equally as the cell prepares to divide
to form two new cells. Multicellular organisms often produce specialized reproductive germline cells that will form new
individuals. When reproduction occurs, genes containing DNA are passed along to an organism’s offspring. These genes
ensure that the offspring will belong to the same species and will have similar characteristics, such as size and shape.
Growth and Development
Organisms grow and develop following specific instructions coded for by their genes. These genes provide instructions that
will direct cellular growth and development, ensuring that a species’ young (Figure 1.12) will grow up to exhibit many of
the same characteristics as its parents.
Figure 1.12 Although no two look alike, these kittens have inherited genes from both parents and share many of the
same characteristics. (credit: Rocky Mountain Feline Rescue)
Regulation
Even the smallest organisms are complex and require multiple regulatory mechanisms to coordinate internal functions,
respond to stimuli, and cope with environmental stresses. Two examples of internal functions regulated in an organism are
nutrient transport and blood flow. Organs (groups of tissues working together) perform specific functions, such as carrying
oxygen throughout the body, removing wastes, delivering nutrients to every cell, and cooling the body.
Homeostasis
In order to function properly, cells need to have appropriate conditions such as proper temperature, pH, and appropriate
concentration of diverse chemicals. These conditions may, however, change from one moment to the next. Organisms
are able to maintain internal conditions within a narrow range almost constantly, despite environmental changes, through
homeostasis (literally, steady state) the ability of an organism to maintain constant internal conditions. For example, an
20 Chapter 1 | The Study of Life
organism needs to regulate body temperature through a process known as thermoregulation. Organisms that live in cold
climates, such as the polar bear (Figure 1.13), have body structures that help them withstand low temperatures and conserve
body heat. Structures that aid in this type of insulation include fur, feathers, blubber, and fat. In hot climates, organisms
have methods (such as perspiration in humans or panting in dogs) that help them to shed excess body heat.
Figure 1.13 Polar bears (Ursus maritimus) and other mammals living in ice-covered regions maintain their body
temperature by generating heat and reducing heat loss through thick fur and a dense layer of fat under their skin.
(credit: longhorndave/Flickr)
Energy Processing
All organisms use a source of energy for their metabolic activities. Some organisms capture energy from the sun and convert
it into chemical energy in food; others use chemical energy in molecules they take in as food (Figure 1.14).
Figure 1.14 The California condor (Gymnogyps californianus) uses chemical energy derived from food to power flight.
California condors are an endangered species; this bird has a wing tag that helps biologists identify the individual.
(credit: Pacific Southwest Region U.S. Fish and Wildlife Service)
Chapter 1 | The Study of Life 21
Activity
Select an ecosystem of your choice, such as a tropical rainforest, desert, or coral reef, and create a
representation to show how several organisms found in the ecosystem interact with each other and the
environment. Then, using similarities and differences among the organisms make a hypothesis about their
relatedness.
Consider the levels of organization of the biological world and create a diagram to place these items in order
from the smallest level of organization to the most encompassing: skin cell, planet Earth, elephant, tropical
rainforest, water molecule, liver, wolf pack, and oxygen atom. Justify the reason why you placed the items
in the hierarchy that you did.
Think About It
Homeostasis—the ability to stay the same–is a feature shared by all living organisms. You go for a long walk
on a hot day. Describe how homeostasis keeps your body healthy even though you are sweating profusely.
Then describe an example of an adaptation that evolved in a desert plant or animal that allows them to
survive in extreme temperatures.
Figure 1.15 All molecules, including this DNA molecule, are composed of atoms. (credit: brian0918/Wikimedia
Commons)
Watch this video (http://openstaxcollege.org/l/rotating_DNA) that animates the three-dimensional structure of the
DNA molecule shown in Figure 1.15.
The word helix means spiral. What does this tell you about the structure of DNA, which is a double helix macromolecule?
a. The nucleotides of the two strands bond together with spiral bonds.
c. DNA is a double helix because it has two spiral strands held together like a spiral staircase.
Some cells contain aggregates of macromolecules surrounded by membranes; these are called organelles. Organelles are
small structures that exist within cells. Examples of organelles include mitochondria and chloroplasts, which carry out
Chapter 1 | The Study of Life 23
indispensable functions: mitochondria produce energy to power the cell, while chloroplasts enable green plants to utilize
the energy in sunlight to make sugars. All living things are made of cells; the cell itself is the smallest fundamental unit of
structure and function in living organisms. This requirement is why viruses are not considered living: they are not made of
cells. To make new viruses, they have to invade and hijack the reproductive mechanism of a living cell; only then can they
obtain the materials they need to reproduce. Some organisms consist of a single cell and others are multicellular. Cells are
classified as prokaryotic or eukaryotic. Prokaryotes are single-celled or colonial organisms that do not have membrane-
bound nuclei; in contrast, the cells of eukaryotes do have membrane-bound organelles and a membrane-bound nucleus.
In larger organisms, cells combine to make tissues, which are groups of similar cells carrying out similar or related
functions. Organs are collections of tissues grouped together performing a common function. Organs are present not only
in animals but also in plants. An organ system is a higher level of organization that consists of functionally related organs.
Mammals have many organ systems. For instance, the circulatory system transports blood through the body and to and from
the lungs; it includes organs such as the heart and blood vessels. Organisms are individual living entities. For example,
each tree in a forest is an organism. Single-celled prokaryotes and single-celled eukaryotes are also considered organisms
and are typically referred to as microorganisms.
All the individuals of a species living within a specific area are collectively called a population. For example, a forest may
include many pine trees. All of these pine trees represent the population of pine trees in this forest. Different populations
may live in the same specific area. For example, the forest with the pine trees includes populations of flowering plants and
also insects and microbial populations. A community is the sum of populations inhabiting a particular area. For instance,
all of the trees, flowers, insects, and other populations in a forest form the forest’s community. The forest itself is an
ecosystem. An ecosystem consists of all the living things in a particular area together with the abiotic, non-living parts
of that environment such as nitrogen in the soil or rain water. At the highest level of organization (see Figure 1.15), the
biosphere is the collection of all ecosystems, and it represents the zones of life on earth. It includes land, water, and even
the atmosphere to a certain extent.
24 Chapter 1 | The Study of Life
Figure 1.16 The biological levels of organization of living things are shown. From a single organelle to the entire
biosphere, living organisms are parts of a highly structured hierarchy. (credit organelles: modification of work by
Umberto Salvagnin; credit cells: modification of work by Bruce Wetzel, Harry Schaefer/ National Cancer Institute;
credit tissues: modification of work by Kilbad; Fama Clamosa; Mikael Häggström; credit organs: modification
of work by Mariana Ruiz Villareal; credit organisms: modification of work by Crystal/Flickr; credit ecosystems:
Chapter 1 | The Study of Life 25
modification of work by US Fish and Wildlife Service Headquarters; credit biosphere: modification of work by
NASA)
Figure 1.17 This phylogenetic tree was constructed by microbiologist Carl Woese using data obtained from
sequencing ribosomal RNA genes. The tree shows the separation of living organisms into three domains: Bacteria,
Archaea, and Eukarya. Bacteria and Archaea are prokaryotes, single-celled organisms lacking intracellular organelles.
(credit: Eric Gaba; NASA Astrobiology Institute)
26 Chapter 1 | The Study of Life
Figure 1.18 These images represent different domains. The (a) bacteria in this micrograph belong to Domain
Bacteria, while the (b) extremophiles (not visible) living in this hot vent belong to Domain Archaea. Both the
(c) sunflower and (d) lion are part of Domain Eukarya. (credit a: modification of work by Drew March; credit b:
modification of work by Steve Jurvetson; credit c: modification of work by Michael Arrighi; credit d: modification of
work by Leszek Leszcynski)
Chapter 1 | The Study of Life 27
Phylogenetic trees can represent traits that are derived or lost due to evolution. One example is the
absence of legs in some sea mammals. For example, Cetaceans are marine mammals that include toothed
whales, such as dolphins and killer whales, and baleen whales, such as humpback whales. Cetaceans are
descended from even-toed ungulates and share a common ancestry with the hippopotamus, cow, sheep,
camel, and pig.
Based on this phylogenetic tree, which of the following animal is the most closely related to a horse?
Figure 1.19
a. an armadillo
b. a camel
c. a bat
d. a cat
as well as the way they are regulated. Microbiology, the study of microorganisms, is the study of the structure and function
of organisms that cannot be seen with the naked eye. It is quite a broad branch itself, and depending on the subject of study,
there are also microbial physiologists, ecologists, and geneticists, among others.
Forensic science is the application of science to answer questions related to the law. Biologists as well
as chemists and biochemists can be forensic scientists. Forensic scientists provide scientific evidence for
use in courts, and their job involves examining trace materials associated with crimes. Interest in forensic
science has increased in the last few years, possibly because of popular television shows that feature
forensic scientists on the job. Also, the development of molecular techniques and the establishment of DNA
databases have expanded the types of work that forensic scientists can do. Their work involves analyzing
samples such as hair, blood, and other body fluids and also processing DNA (Figure 1.20) found in many
different environments and materials. Forensic scientists also analyze other biological evidence left at crime
scenes, such as insect larvae or pollen grains. Students who want to pursue careers in forensic science will
most likely be required to take chemistry and biology courses as well as some intensive math courses.
Figure 1.20 This forensic scientist works in a DNA extraction room at the U.S. Army Criminal Investigation
Laboratory at Fort Gillem, GA. (credit: United States Army CID Command Public Affairs)
Another field of biological study, neurobiology, studies the biology of the nervous system. Although it is considered
a branch of biology, it is also recognized as an interdisciplinary field of study known as neuroscience. Because of its
interdisciplinary nature, this subdiscipline studies different functions of the nervous system using molecular, cellular,
developmental, medical, and computational approaches.
Paleontology, another branch of biology, uses fossils to study life’s history (Figure 1.21). Zoology and botany are the
study of animals and plants, respectively. Biologists can also specialize as biotechnologists, ecologists, or physiologists, to
name just a few areas. This is just a small sample of the many fields that biologists can pursue.
30 Chapter 1 | The Study of Life
Figure 1.21 Researchers work on excavating dinosaur fossils at a site in Castellón, Spain. (credit: Mario Modesto)
Biology is the culmination of the achievements of the natural sciences from their inception to today. Excitingly, it is the
cradle of emerging sciences, such as the biology of brain activity, genetic engineering of custom organisms, and the biology
of evolution that uses the laboratory tools of molecular biology to retrace the earliest stages of life on earth. A scan of
news headlines—whether reporting on immunizations, a newly discovered species, sports doping, or a genetically-modified
food—demonstrates the ways biology is active in and important to our everyday world.
Section Summary
Biology is the science of life. All living organisms share several key properties such as order, sensitivity or response
to stimuli, reproduction, growth and development, regulation, homeostasis, and energy processing. Living things are
highly organized parts of a hierarchy that includes atoms, molecules, organelles, cells, tissues, organs, and organ systems.
Organisms, in turn, are grouped as populations, communities, ecosystems, and the biosphere. The great diversity of life
today evolved from less-diverse ancestral organisms over billions of years. A diagram called a phylogenetic tree can be
used to show evolutionary relationships among organisms.
Biology is very broad and includes many branches and subdisciplines. Examples include molecular biology, microbiology,
neurobiology, zoology, and botany, among others.
Chapter 1 | The Study of Life 31
KEY TERMS
abstract opening section of a scientific paper that summarizes the research and conclusions
basic science science that seeks to expand knowledge and understanding regardless of the short-term application of that
knowledge
biology the study of living organisms and their interactions with one another and their environments
conclusion section of a scientific paper that summarizes the importance of the experimental findings
control part of an experiment that does not change during the experiment
deductive reasoning form of logical thinking that uses a general inclusive statement to forecast specific results
descriptive science (also, discovery science) form of science that aims to observe, explore, and investigate
discussion section of a scientific paper in which the author interprets experimental results, describes how variables may
be related, and attempts to explain the phenomenon in question
ecosystem all the living things in a particular area together with the abiotic, nonliving parts of that environment
eukaryote organism with cells that have nuclei and membrane-bound organelles
evolution process of gradual change during which new species arise from older species and some species become extinct
hypothesis-based science form of science that begins with a specific question and potential testable answers
inductive reasoning form of logical thinking that uses related observations to arrive at a general conclusion
introduction opening section of a scientific paper, which provides background information about what was known in the
field prior to the research reported in the paper
life science field of science, such as biology, that studies living things
materials and methods section of a scientific paper that includes a complete description of the substances, methods,
and techniques used by the researchers to gather data
molecular biology study of biological processes and their regulation at the molecular level, including interactions among
32 Chapter 1 | The Study of Life
molecule chemical structure consisting of at least two atoms held together by one or more chemical bonds
natural science field of science that is related to the physical world and its phenomena and processes
organ system level of organization that consists of functionally related interacting organs
organelle small structures that exist within cells and carry out cellular functions
peer-reviewed manuscript scientific paper that is reviewed by a scientist’s colleagues who are experts in the field of
study
phylogenetic tree diagram showing the evolutionary relationships among various biological species based on
similarities and differences in genetic or physical traits or both; in essence, a hypothesis concerning evolutionary
connections
physical science field of science, such as geology, astronomy, physics, and chemistry, that studies nonliving matter
plagiarism using other people’s work or ideas without proper citation, creating the false impression that those are the
author’s original ideas
prokaryote single-celled organism that lacks organelles and does not have nuclei surrounded by a nuclear membrane
results section of a scientific paper in which the author narrates the experimental findings and presents relevant figures,
pictures, diagrams, graphs, and tables, without any further interpretation
review article paper that summarizes and comments on findings that were published as primary literature
science knowledge that covers general truths or the operation of general laws, especially when acquired and tested by
scientific methods
scientific methods research methods with defined steps that include observation, formulation of a hypothesis, testing,
and confirming or falsifying the hypothesis
CHAPTER SUMMARY
1.1 The Science of Biology
Biology is the science that studies living organisms and their interactions with one another and their environments. Science
attempts to describe and understand the nature of the universe in whole or in part by rational means. Science has many
fields; those fields related to the physical world and its phenomena are considered natural sciences.
Chapter 1 | The Study of Life 33
Science can be basic or applied. The main goal of basic science is to expand knowledge without any expectation of short-
term practical application of that knowledge. The primary goal of applied research, however, is to solve practical
problems.
Two types of logical reasoning are used in science. Inductive reasoning uses particular results to produce general scientific
principles. Deductive reasoning is a form of logical thinking that predicts results by applying general principles. The
common thread throughout scientific research is the use of scientific methods, a step-based process that consist of making
observations, defining a problem, posing hypotheses, testing these hypotheses, and drawing one or more conclusions. The
testing uses proper controls. Scientists present their results in peer-reviewed scientific papers published in scientific
journals. A scientific research paper consists of several well-defined sections: introduction, materials and methods, results,
and, finally, a concluding discussion. Review papers summarize the research done in a particular field over a period of
time.
Biology is the science of life. All living organisms share several key properties such as order, sensitivity or response to
stimuli, reproduction, growth and development, regulation, homeostasis, and energy processing. Living things are highly
organized parts of a hierarchy that includes atoms, molecules, organelles, cells, tissues, organs, and organ systems.
Organisms, in turn, are grouped as populations, communities, ecosystems, and the biosphere. The great diversity of life
today evolved from less-diverse ancestral organisms over billions of years. A diagram called a phylogenetic tree can be
used to show evolutionary relationships among organisms.
Biology is very broad and includes many branches and subdisciplines. Examples include molecular biology, microbiology,
neurobiology, zoology, and botany, among others.
REVIEW QUESTIONS
1. What is a suggested and testable explanation for an event called?
a. discovery
b. hypothesis
c. scientific methods
d. theory
2. Which of the following sciences is not considered a natural science?
a. astronomy
b. biology
c. computer science
d. physics
3. What is the name for the formal process through which scientific research is checked for originality, significance, and
quality before being accepted into the scientific literature?
a. publication
b. public speaking
c. peer review
d. scientific methods
4. What are two topics that are likely to be studied by biologists and two areas of scientific study that would fall outside
the realm of biology?
34 Chapter 1 | The Study of Life
a. diseases affecting humans, pollution affecting species habitat, calculating surface area of rectangular ground,
functioning of planetary orbitals
b. calculating surface area of rectangular ground, functioning of planetary orbitals, formation of metamorphic
rocks, galaxy formation and evolution
c. plant responses to external stimuli, functioning of planetary orbitals, formation of metamorphic rocks, galaxy
formation and evolution
d. plant responses to external stimuli, study of the shape and motion of physical objects, formation of metamorphic
rocks, galaxy formation and evolution
5. Which of the following is an example of deductive reasoning?
a. Most swimming animals use fins; therefore, fins are an adaptation to swimming.
b. Mitochondria are inherited from the mother; therefore, maternally inherited traits are encoded by mitochondrial
DNA
c. Small animals lose more heat than larger animals. One would not expect to find wild mice in the North and
South Poles.
d. Water conservation is a major requirement to survive in the desert. Long leaves increase loss of water by
evaporation. Therefore, desert plants should have smaller leaves.
6. Why are viruses not considered living?
a. Viruses are not made of cells.
b. Viruses do not have genetic material.
c. Viruses have DNA and RNA.
d. Viruses are obligate parasites and require a host.
7. The presence of a membrane-enclosed nucleus is a characteristic of what?
a. bacteria
b. eukaryotic cells
c. all living organisms
d. prokaryotic cells
8. What is a group of individuals of the same species living in the same area called?
a. a community
b. an ecosystem
c. a family
d. a population
9. Which of the following sequences represents the hierarchy of biological organization from the most inclusive to the
least complex level?
a. biosphere, ecosystem, community, population, organism
b. organelle, tissue, biosphere, ecosystem, population
c. organism, organ, tissue, organelle, molecule
d. organism, community, biosphere, molecule, tissue, organ
10. Where in a phylogenetic tree would you expect to find the organism that had evolved most recently?
a. at the base
b. at the nodes
c. at the branch tips
d. within the branches
11. What is a characteristic that is not present in all living things?
Chapter 1 | The Study of Life 35
a. Astrology is a natural science as it indirectly influences human affairs and the natural world.
b. Astronomy is a natural science as it deals with observations and prediction of events in the sky, which is based
on the laws of physics.
c. Astrology is a natural science as it deals with observations and prediction of events in the sky, influences human
affairs and the natural world.
d. Astrology is a natural science as it deals with the study of asteroids and comets, which is based on the laws of
natural sciences.
Figure 1.22
a. 1
b. 2
c. 3
d. 4
20. In the diagram shown, which is the most recent common ancestor of 1 and 3?
Chapter 1 | The Study of Life 37
Figure 1.23
a. A
b. B
c. C
d. D
21. The French scientist Jacques Monod famously said, “Anything found to be true of E. coli must also be true of
elephants.” How is this statement based on the notion that living organisms share a common ancestor?
a. E. coli is a eukaryote and share similarities with most of the living organisms.
b. E. coli is a prokaryote. The various metabolic processes and core functions in E. coli share homology with
higher organisms.
c. E. coli contains a nucleus and membrane bound cell organelles that are shared by all the living organisms.
d. E. coli is a prokaryote and reproduces through binary fission which is common to most of the living organisms.
22. Birds have been reclassified as reptiles. What is one line of evidence that has led to this reclassification?
a. Archeopteryx is the connecting link between birds and reptiles which shows that birds and reptiles are related.
b. Birds have scales, so they have the same origin as that of reptiles.
c. Birds and reptiles have the same circulatory and excretory systems and both are egg laying animals.
d. Birds and reptiles have similar anatomical and morphological features.
38 Chapter 1 | The Study of Life
Chapter 2 | The Chemical Foundation of Life 39
2 | THE CHEMICAL
FOUNDATION OF LIFE
Figure 2.1 Atoms are the building blocks of molecules found in the universe—air, soil, water, rocks . . . and also
the cells of all living organisms. In this model of an organic molecule, the atoms of carbon (black), hydrogen (white),
nitrogen (blue), oxygen (red), and sulfur (yellow) are shown in proportional atomic size. The silver rods indicate
chemical bonds. (credit: modification of work by Christian Guthier)
Chapter Outline
2.1: Atoms, Isotopes, Ions, and Molecules: The Building Blocks
2.2: Water
2.3: Carbon
Introduction
All matter, including living things, is made up of various combinations of elements. Some of the most abundant elements
in living organisms include carbon, hydrogen, nitrogen, oxygen, sulfur, and phosphorus. These elements form the major
biological molecules—nucleic acids, proteins, carbohydrates, and lipids—that are the fundamental components of living
matter. Biologists study these important molecules to understand their unique structures which determine their specialized
functions.
All biological processes follow the laws of physics and chemistry. Therefore, in order to understand how biological systems
work, it is important to understand the underlying physics and chemistry. For example, the flow of blood within the
circulatory system follows the laws of physics regulating the modes of fluid flow. Chemical laws dictate the breakdown of
large, complex food molecules into smaller molecules as well as their conversion to energy stored in adenosine triphosphate
(ATP). Polar molecules, the formation of hydrogen bonds, and the resulting properties of water are key to understanding
living processes. Recognizing the properties of acids and bases is important to understand various biological processes such
as digestion. Therefore, the fundamentals of physics and chemistry are the foundation for gaining insight into biological
processes.
An example of how understanding of chemical processes can give insight to a biological process is recent research on
seasonal affective disorder (SAD). This form of depression affects up to 10 percent of the population in the fall and winter.
Symptoms include a tendency to overeat, oversleep, lack of energy, and difficulty concentrating on tasks. Now scientists
40 Chapter 2 | The Chemical Foundation of Life
have found out that not only may SAD be caused by a deficiency in vitamin D, but that it is more common in individuals
with darker skin pigmentation. You can read more about it here (http://openstaxcollege.org/l/32vitdsad) .
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
2.8 The student is able to justify the selection of data regarding the types of molecules that
Learning
an animal, plant, or bacterium will take up as necessary building blocks and excrete as
Objective
waste products.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.12]
• [APLO 2.9]
Chapter 2 | The Chemical Foundation of Life 41
• [APLO 2.42]
• [APLO 2.22]
At its most fundamental level, life is made up of matter. Matter is any substance that occupies space and has mass.
Elements are unique forms of matter with specific chemical and physical properties that cannot be broken down into smaller
substances by ordinary chemical reactions. There are 118 elements, but only 92 occur naturally. The remaining elements are
synthesized in laboratories and are unstable.
Each element is designated by its chemical symbol, which is a single capital letter or, when the first letter is already taken
by another element, a combination of two letters. Some elements follow the English term for the element, such as C for
carbon and Ca for calcium. Other elements’ chemical symbols derive from their Latin names; for example, the symbol for
sodium is Na, referring to natrium, the Latin word for sodium.
The four elements common to all living organisms are oxygen (O), carbon (C), hydrogen (H), and nitrogen (N). In the non-
living world, elements are found in different proportions, and some elements common to living organisms are relatively rare
on the earth as a whole, as shown in Table 2.1. For example, the atmosphere is rich in nitrogen and oxygen but contains
little carbon and hydrogen, while the earth’s crust, although it contains oxygen and a small amount of hydrogen, has little
nitrogen and carbon. In spite of their differences in abundance, all elements and the chemical reactions between them obey
the same chemical and physical laws regardless of whether they are a part of the living or non-living world.
Table 2.1
Figure 2.2 Elements, such as helium, depicted here, are made up of atoms. Atoms are made up of protons and
neutrons located within the nucleus, with electrons in orbitals surrounding the nucleus.
Protons and neutrons have approximately the same mass, about 1.67 × 10-24 grams. Scientists arbitrarily define this amount
of mass as one atomic mass unit (amu) or one Dalton, as shown in Table 2.2. Although similar in mass, protons and
neutrons differ in their electric charge. A proton is positively charged whereas a neutron is uncharged. Therefore, the
number of neutrons in an atom contributes significantly to its mass, but not to its charge. Electrons are much smaller in
mass than protons, weighing only 9.11 × 10-28 grams, or about 1/1800 of an atomic mass unit. Hence, they do not contribute
much to an element’s overall atomic mass. Therefore, when considering atomic mass, it is customary to ignore the mass of
any electrons and calculate the atom’s mass based on the number of protons and neutrons alone. Although not significant
contributors to mass, electrons do contribute greatly to the atom’s charge, as each electron has a negative charge equal to
the positive charge of a proton. In uncharged, neutral atoms, the number of electrons orbiting the nucleus is equal to the
number of protons inside the nucleus. In these atoms, the positive and negative charges cancel each other out, leading to an
atom with no net charge.
Accounting for the sizes of protons, neutrons, and electrons, most of the volume of an atom—greater than 99 percent—is, in
fact, empty space. With all this empty space, one might ask why so-called solid objects do not just pass through one another.
The reason they do not is that the electrons that surround all atoms are negatively charged and negative charges repel each
other.
Table 2.2
Figure 2.3 Carbon has an atomic number of six, and two stable isotopes with mass numbers of twelve and
thirteen, respectively. Its atomic mass is 12.11.
Isotopes
Isotopes are different forms of an element that have the same number of protons but a different number of neutrons.
Some elements—such as carbon, potassium, and uranium—have naturally occurring isotopes. Carbon-12 contains six
protons, six neutrons, and six electrons; therefore, it has a mass number of 12 (six protons and six neutrons). Carbon-14
contains six protons, eight neutrons, and six electrons; its atomic mass is 14 (six protons and eight neutrons). These two
alternate forms of carbon are isotopes. Some isotopes may emit neutrons, protons, and electrons, and attain a more stable
atomic configuration (lower level of potential energy); these are radioactive isotopes, or radioisotopes. Radioactive decay
(carbon-14 losing neutrons to eventually become carbon-12) describes the energy loss that occurs when an unstable atom’s
nucleus releases radiation.
44 Chapter 2 | The Chemical Foundation of Life
Carbon Dating
Carbon is normally present in the atmosphere in the form of gaseous compounds like carbon dioxide and
methane. Carbon-14 (14C) is a naturally occurring radioisotope that is created in the atmosphere from
atmospheric 14N (nitrogen) by the addition of a neutron and the loss of a proton because of cosmic rays.
This is a continuous process, so more 14C is always being created. As a living organism incorporates 14C
initially as carbon dioxide fixed in the process of photosynthesis, the relative amount of 14C in its body is
equal to the concentration of 14C in the atmosphere. When an organism dies, it is no longer ingesting 14C,
so the ratio between 14C and 12C will decline as 14C decays gradually to 14N by a process called beta
decay—the emission of electrons or positrons. This decay gives off energy in a slow process.
After approximately 5,730 years, half of the starting concentration of 14C will have been converted back to
14
N. The time it takes for half of the original concentration of an isotope to decay back to its more stable
form is called its half-life. Because the half-life of 14C is long, it is used to date formerly living objects such
as old bones or wood. Comparing the ratio of the 14C concentration found in an object to the amount of 14C
detected in the atmosphere, the amount of the isotope that has not yet decayed can be determined. On the
basis of this amount, the age of the material, such as the pygmy mammoth shown in Figure 2.4, can be
calculated with accuracy if it is not much older than about 50,000 years. Other elements have isotopes with
different half lives. For example, 40K (potassium-40) has a half-life of 1.25 billion years, and 235U (Uranium
235) has a half-life of about 700 million years. Through the use of radiometric dating, scientists can study
the age of fossils or other remains of extinct organisms to understand how organisms have evolved from
earlier species.
Figure 2.4 The age of carbon-containing remains less than about 50,000 years old, such as this pygmy mammoth,
can be determined using carbon dating. (credit: Bill Faulkner, NPS)
Based on carbon dating, scientists estimate this pygmy mammoth died 11,000 years ago. How would the ratio of
14 12 14 12
C to C in a living elephant compare to the C to C ratio found in the mammoth?
a. The ratio would be the same in the elephant and the mammoth.
b. The ratio would be lower in the elephant than the mammoth.
c. The ratio would be higher in the elephant than the mammoth.
d. The ratio would depend on the diet of each animal.
Chapter 2 | The Chemical Foundation of Life 45
To learn more about atoms, isotopes, and how to tell one isotope from another, visit this site (http://openstaxcollege.org/
l/atoms_isotopes) and run the simulation.
K-41 is one of the naturally occurring isotopes of potassium. Use the periodic table to explain how the structure of K-41
differs from the normal K atom.
Figure 2.5 The periodic table shows the atomic mass and atomic number of each element. The atomic number
appears above the symbol for the element and the approximate atomic mass appears below it.
The periodic table groups elements according to chemical properties. The differences in chemical reactivity between the
elements are based on the number and spatial distribution of an atom’s electrons. Atoms that chemically react and bond
to each other form molecules. Molecules are simply two or more atoms chemically bonded together. Logically, when two
atoms chemically bond to form a molecule, their electrons, which form the outermost region of each atom, come together
first as the atoms form a chemical bond.
Figure 2.6 The Bohr model was developed by Niels Bohr in 1913. In this model, electrons exist within principal shells.
An electron normally exists in the lowest energy shell available, which is the one closest to the nucleus. Energy from
a photon of light can bump it up to a higher energy shell, but this situation is unstable, and the electron quickly decays
back to the ground state. In the process, a photon of light is released.
Electrons fill orbitals in a consistent order: They first fill the orbitals closest to the nucleus, then they continue to fill orbitals
of increasing energy further from the nucleus. If there are multiple orbitals of equal energy, they will be filled with one
electron in each energy level before a second electron is added. The electrons of the outermost energy level determine the
energetic stability of the atom and its tendency to form chemical bonds with other atoms to form molecules.
Under standard conditions, atoms fill the inner shells first, often resulting in a variable number of electrons in the outermost
shell. The innermost shell has a maximum of two electrons but the next two electron shells can each have a maximum of
eight electrons. This is known as the octet rule, which states, with the exception of the innermost shell, that atoms are
more stable energetically when they have eight electrons in their valence shell, the outermost electron shell. Examples of
some neutral atoms and their electron configurations are shown in this figure. Notice that in this Figure 2.7, helium has
a complete outer electron shell, with two electrons filling its first and only shell. Similarly, neon has a complete outer 2n
shell containing eight electrons. In contrast, chlorine and sodium have seven and one in their outer shells, respectively, but
theoretically they would be more energetically stable if they followed the octet rule and had eight.
48 Chapter 2 | The Chemical Foundation of Life
Figure 2.7 Bohr diagrams indicate how many electrons fill each principal shell. Group 18 elements (helium,
neon, and argon are shown) have a full outer, or valence, shell. A full valence shell is the most stable electron
configuration. Elements in other groups have partially filled valence shells and gain or lose electrons to achieve a
stable electron configuration.
Figure 2.8
An atom may give, take, or share electrons with another atom to achieve a full valence shell, the most stable electron
configuration. Looking at this figure, how many electrons do elements in group 1 need to lose in order to achieve a
Chapter 2 | The Chemical Foundation of Life 49
stable electron configuration? How many electrons do elements in groups 14 and 17 need to gain to achieve a stable
configuration?
a. Elements of group 1 need to lose one electron, elements of group 14 need to gain 4 electrons, and elements
of group 17 need to gain 1 electron.
b. Elements of group 1 need to lose 4 electrons while elements of group 14 and 17 need to gain 1 electron each.
c. Elements of group 1 need to lose 2 electrons, elements of group 14 need to gain 4 electrons and elements of
group 17 need to gain 1 electron.
d. Elements of group 1 need to gain 1 electron while, elements of group 14 need to lose 4 electrons and elements
of group 17 need to lose 1 electron.
Understanding that the organization of the periodic table is based on the total number of protons (and electrons) helps us
know how electrons are distributed among the outer shell. The periodic table is arranged in columns and rows based on the
number of electrons and where these electrons are located. Take a closer look at the some of the elements in the table’s far
right column in the periodic table. The group 18 atoms helium (He), neon (Ne), and argon (Ar) all have filled outer electron
shells, making it unnecessary for them to share electrons with other atoms to attain stability; they are highly stable as single
atoms. Their non-reactivity has resulted in their being named the inert gases (or noble gases). Compare this to the group
1 elements in the left-hand column. These elements, including hydrogen (H), lithium (Li), and sodium (Na), all have one
electron in their outermost shells. That means that they can achieve a stable configuration and a filled outer shell by donating
or sharing one electron with another atom or a molecule such as water. Hydrogen will donate or share its electron to achieve
this configuration, while lithium and sodium will donate their electron to become stable. As a result of losing a negatively
charged electron, they become positively charged ions. Group 17 elements, including fluorine and chlorine, have seven
electrons in their outmost shells, so they tend to fill this shell with an electron from other atoms or molecules, making them
negatively charged ions. Group 14 elements, of which carbon is the most important to living systems, have four electrons
in their outer shell allowing them to make several covalent bonds (discussed below) with other atoms. Thus, the columns
of the periodic table represent the potential shared state of these elements’ outer electron shells that is responsible for their
similar chemical characteristics.
Electron Orbitals
Although useful to explain the reactivity and chemical bonding of certain elements, the Bohr model of the atom does
not accurately reflect how electrons are spatially distributed surrounding the nucleus. They do not circle the nucleus like
the earth orbits the sun, but are found in electron orbitals. These relatively complex shapes result from the fact that
electrons behave not just like particles, but also like waves. Mathematical equations from quantum mechanics known as
wave functions can predict within a certain level of probability where an electron might be at any given time. The area
where an electron is most likely to be found is called its orbital.
Recall that the Bohr model depicts an atom’s electron shell configuration. Within each electron shell are subshells, and
each subshell has a specified number of orbitals containing electrons. While it is impossible to calculate exactly where an
electron is located, scientists know that it is most probably located within its orbital path. Subshells are designated by the
letter s, p, d, and f. The s subshell is spherical in shape and has one orbital. Principal shell 1n has only a single s orbital,
which can hold two electrons. Principal shell 2n has one s and one p subshell, and can hold a total of eight electrons. The
p subshell has three dumbbell-shaped orbitals, as illustrated in Figure 2.9. Subshells d and f have more complex shapes
and contain five and seven orbitals, respectively. These are not shown in the illustration. Principal shell 3n has s, p, and d
subshells and can hold 18 electrons. Principal shell 4n has s, p, d and f orbitals and can hold 32 electrons. Moving away
from the nucleus, the number of electrons and orbitals found in the energy levels increases. Progressing from one atom to
the next in the periodic table, the electron structure can be worked out by fitting an extra electron into the next available
orbital.
50 Chapter 2 | The Chemical Foundation of Life
Figure 2.9 The s subshells are shaped like spheres. Both the 1n and 2n principal shells have an s orbital, but the size
of the sphere is larger in the 2n orbital. Each sphere is a single orbital. p subshells are made up of three dumbbell-
shaped orbitals. Principal shell 2n has a p subshell, but shell 1 does not.
The closest orbital to the nucleus, called the 1s orbital, can hold up to two electrons. This orbital is equivalent to the
innermost electron shell of the Bohr model of the atom. It is called the 1s orbital because it is spherical around the nucleus.
The 1s orbital is the closest orbital to the nucleus, and it is always filled first, before any other orbital can be filled.
Hydrogen has one electron; therefore, it has only one spot within the 1s orbital occupied. This is designated as 1s1, where
the superscripted 1 refers to the one electron within the 1s orbital. Helium has two electrons; therefore, it can completely
fill the 1s orbital with its two electrons. This is designated as 1s2, referring to the two electrons of helium in the 1s orbital.
On the periodic table Figure 2.5, hydrogen and helium are the only two elements in the first row (period); this is because
they only have electrons in their first shell, the 1s orbital. Hydrogen and helium are the only two elements that have the 1s
and no other electron orbitals in the electrically neutral state.
The second electron shell may contain eight electrons. This shell contains another spherical s orbital and three dumbbell
shaped p orbitals, each of which can hold two electrons, as shown in Figure 2.9. After the 1s orbital is filled, the second
electron shell is filled, first filling its 2s orbital and then its three p orbitals. When filling the p orbitals, each takes a single
electron; once each p orbital has an electron, a second may be added. Lithium (Li) contains three electrons that occupy
the first and second shells. Two electrons fill the 1s orbital, and the third electron then fills the 2s orbital. Its electron
configuration is 1s22s1. Neon (Ne), on the other hand, has a total of ten electrons: Two are in its innermost 1s orbital
and eight fill its second shell (two each in the 2s and three p orbitals); thus, it is an inert gas and energetically stable as
a single atom that will rarely form a chemical bond with other atoms. Larger elements have additional orbitals, making
up the third electron shell. While the concepts of electron shells and orbitals are closely related, orbitals provide a more
accurate depiction of the electron configuration of an atom because the orbital model specifies the different shapes and
special orientations of all the places that electrons may occupy.
Chapter 2 | The Chemical Foundation of Life 51
Watch this visual animation (http://openstaxcollege.org/l/orbitals) to see the spatial arrangement of the p and s orbitals.
Use the periodic table to describe what a Bohr model of Fluorine (F) would look like and explain why the Bohr model is
not an accurate representation of the electron orbitals in fluorine.
a. A Bohr model would have 2 electron rings, and a Bohr model would not give information about atomic mass.
b. A Bohr model would have one electron ring, and a Bohr model would not show the sub-shells of first ring.
c. A Bohr model would have 2 electron rings, and a Bohr model would not show the sub-shell of second ring.
d. A Bohr model would have one electron ring, and a Bohr model would not give information about number of
electron in each ring.
Activity
Create diagrams to show the placement of protons, neutrons, and electrons in an atom of carbon-12 and
carbon-14, respectably. Based on their subatomic difference(s), determine which element is an organism
more likely to use to synthesize glucose (C6H12O6) and give a reason for your choice.
Figure 2.10 Two or more atoms may bond with each other to form a molecule. When two hydrogens and an oxygen
share electrons via covalent bonds, a water molecule is formed.
Chemical reactions occur when two or more atoms bond together to form molecules or when bonded atoms are broken
apart. The substances used in the beginning of a chemical reaction are called the reactants (usually found on the left side of
a chemical equation), and the substances found at the end of the reaction are known as the products (usually found on the
right side of a chemical equation). An arrow is typically drawn between the reactants and products to indicate the direction
of the chemical reaction; this direction is not always a one-way street. For the creation of the water molecule shown above,
the chemical equation would be
2H + O → H 2 O.
An example of a simple chemical reaction is the breaking down of hydrogen peroxide molecules, each of which consists
of two hydrogen atoms bonded to two oxygen atoms (H2O2). The reactant hydrogen peroxide is broken down into water,
containing one oxygen atom bound to two hydrogen atoms (H2O), and oxygen, which consists of two bonded oxygen atoms
(O2). In the equation below, the reaction includes two hydrogen peroxide molecules and two water molecules. This is an
example of a balanced chemical equation, wherein the number of atoms of each element is the same on each side of the
equation. According to the law of conservation of matter, the number of atoms before and after a chemical reaction should
be equal, such that no atoms are, under normal circumstances, created or destroyed.
2H 2 O 2 (hydrogen peroxide) → 2H 2 O (water) + O 2 (oxygen)
Even though all of the reactants and products of this reaction are molecules (each atom remains bonded to at least one other
atom), in this reaction only hydrogen peroxide and water are representatives of compounds: They contain atoms of more
than one type of element. Molecular oxygen, on the other hand, as shown in Figure 2.11, consists of two doubly bonded
oxygen atoms and is not classified as a compound but as a mononuclear molecule.
Figure 2.11 The oxygen atoms in an O2 molecule are joined by a double bond.
Some chemical reactions, such as the one shown above, can proceed in one direction until the reactants are all used up.
The equations that describe these reactions contain a unidirectional arrow and are irreversible. Reversible reactions are
those that can go in either direction. In reversible reactions, reactants are turned into products, but when the concentration of
product goes beyond a certain threshold (characteristic of the particular reaction), some of these products will be converted
back into reactants; at this point, the designations of products and reactants are reversed. This back and forth continues until
a certain relative balance between reactants and products occurs—a state called equilibrium. These situations of reversible
reactions are often denoted by a chemical equation with a double headed arrow pointing towards both the reactants and
products.
For example, in human blood, excess hydrogen ions (H+) bind to bicarbonate ions (HCO3-) forming an equilibrium state
Chapter 2 | The Chemical Foundation of Life 53
with carbonic acid (H2CO3). If carbonic acid were added to this system, some of it would be converted to bicarbonate and
hydrogen ions.
HCO − + H+ — H 2 CO 3
In biological reactions, however, equilibrium is rarely obtained because the concentrations of the reactants or products or
both are constantly changing, often with a product of one reaction being a reactant for another. To return to the example of
excess hydrogen ions in the blood, the formation of carbonic acid will be the major direction of the reaction. However, the
carbonic acid can also leave the body as carbon dioxide gas (via exhalation) instead of being converted back to bicarbonate
ion, thus driving the reaction to the right by the chemical law known as law of mass action. These reactions are important
for maintaining the homeostasis of our blood.
HCO − + H+ — H 2 CO 3 ↔ CO 2 + H 2 O
Figure 2.12 In the formation of an ionic compound, metals lose electrons and nonmetals gain electrons to achieve an
octet.
Ionic bonds are formed between ions with opposite charges. For instance, positively charged sodium ions and negatively
charged chloride ions bond together to make crystals of sodium chloride, or table salt, creating a crystalline molecule with
zero net charge.
Certain salts are referred to in physiology as electrolytes (including sodium, potassium, and calcium), ions necessary for
nerve impulse conduction, muscle contractions and water balance. Many sports drinks and dietary supplements provide
these ions to replace those lost from the body via sweating during exercise.
the atmosphere. Molecular nitrogen consists of two nitrogen atoms triple bonded to each other and, as with all molecules,
the sharing of these three pairs of electrons between the two nitrogen atoms allows for the filling of their outer electron
shells, making the molecule more stable than the individual nitrogen atoms. This strong triple bond makes it difficult for
living systems to break apart this nitrogen in order to use it as constituents of proteins and DNA.
The formation of water molecules provides an example of covalent bonding. The hydrogen and oxygen atoms that combine
to form water molecules are bound together by covalent bonds, as shown in Figure 2.10. The electron from the hydrogen
splits its time between the incomplete outer shell of the hydrogen atoms and the incomplete outer shell of the oxygen atoms.
To completely fill the outer shell of oxygen, which has six electrons in its outer shell but which would be more stable with
eight, two electrons (one from each hydrogen atom) are needed: Hence the well-known formula H2O. The electrons are
shared between the two elements to fill the outer shell of each, making both elements more stable.
View this short video (http://openstaxcollege.org/l/ionic_covalent) to see an animation of ionic and covalent bonding.
What makes ionic bonds different from covalent bonds?
a. Ionic bond involves the transfer of electrons whereas covalent bond involves the sharing of electrons.
b. Ionic bond involves the van der Waals force of interaction whereas covalent bond involves the sharing of
electrons.
c. Ionic bond involves the sharing of electrons whereas a covalent bond involves the transfer of electrons.
d. An ionic bond involves the transfer of electrons whereas a covalent bond involves the van der Waals force
of interaction.
a stable outer shell of eight electrons. Carbon and hydrogen do not have the same electronegativity but are similar; thus,
nonpolar bonds form. The hydrogen atoms each need one electron for their outermost shell, which is filled when it contains
two electrons. These elements share the electrons equally among the carbons and the hydrogen atoms, creating a nonpolar
covalent molecule.
Figure 2.13 Whether a molecule is polar or nonpolar depends both on bond type and molecular shape. Both water and
carbon dioxide have polar covalent bonds, but carbon dioxide is linear, so the partial charges on the molecule cancel
each other out.
Pharmaceutical chemists are responsible for the development of new drugs and trying to determine the
mode of action of both old and new drugs. They are involved in every step of the drug development process.
Drugs can be found in the natural environment or can be synthesized in the laboratory. In many cases,
potential drugs found in nature are changed chemically in the laboratory to make them safer and more
effective, and sometimes synthetic versions of drugs substitute for the version found in nature.
After the initial discovery or synthesis of a drug, the chemist then develops the drug, perhaps chemically
altering it, testing it to see if the drug is toxic, and then designing methods for efficient large-scale production.
Then, the process of getting the drug approved for human use begins. In the United States, drug approval is
handled by the Food and Drug Administration (FDA) and involves a series of large-scale experiments using
human subjects to make sure the drug is not harmful and effectively treats the condition it aims to treat. This
process often takes several years and requires the participation of physicians and scientists, in addition to
chemists, to complete testing and gain approval.
An example of a drug that was originally discovered in a living organism is Paclitaxel, an anti-cancer drug.
This drug was discovered in the bark of the pacific yew tree. Another example is aspirin, originally isolated
from willow tree bark. Finding drugs often means testing hundreds of samples of plants, fungi, and other
forms of life to see if any biologically active compounds are found within them. Sometimes, traditional
medicine can give modern medicine clues to where an active compound can be found. For example, the
use of willow bark to make medicine has been known for thousands of years, dating back to ancient Egypt.
It was not until the late 1800s, however, that the aspirin molecule, known as acetylsalicylic acid, was purified
and marketed for human use.
Occasionally, drugs developed for one use are found to have unforeseen effects that allow these drugs to
be used in other, unrelated ways. For example, the drug minoxidil was originally developed to treat high
blood pressure. When tested on humans, it was noticed that individuals taking the drug would grow new
hair. Eventually the drug was marketed to men and women with baldness to restore lost hair.
The career of the pharmaceutical chemist may involve detective work, experimentation, and drug
development, all with the goal of making human beings healthier.
Chapter 2 | The Chemical Foundation of Life 57
Figure 2.14
The shape of hair proteins is maintained by a combination of hydrogen bonds and covalent, disulfide bonds. Heat is
sufficient to break the hydrogen bonds, but harsh chemicals are required to break the disulfide bonds. Why is it harder
to break the disulfide bonds than the hydrogen bonds?
a. Covalent bonds are stronger than hydrogen bonds.
b. There are many more disulfide bonds than hydrogen bonds.
c. Covalent bonds are stronger than disulfide bonds.
d. Covalent bonds are less elastic than hydrogen bonds.
Section Summary
Matter is anything that occupies space and has mass. It is made up of elements. All of the 92 elements that occur naturally
have unique qualities that allow them to combine in various ways to create molecules, which in turn combine to form cells,
tissues, organ systems, and organisms. Atoms, which consist of protons, neutrons, and electrons, are the smallest units of
an element that retain all of the properties of that element. Electrons can be transferred, shared, or cause charge disparities
between atoms to create bonds, including ionic, covalent, and hydrogen bonds, as well as van der Waals interactions.
58 Chapter 2 | The Chemical Foundation of Life
2.2 | Water
In this section, you will investigate the following questions:
• How does the molecular structure of water result in unique properties of water that are critical to maintaining life?
• What are the role of acids, bases, and buffers in dynamic homeostasis?
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
2.8 The student is able to justify the selection of data regarding the types of molecules that
Learning
an animal, plant, or bacterium will take up as necessary building blocks and excrete as
Objective
waste products.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.8]
• [APLO 2.23]
Chapter 2 | The Chemical Foundation of Life 59
Why do scientists spend time looking for water on other planets? Why is water so important? It is because water is essential
to life as we know it. Water is one of the more abundant molecules and the one most critical to life on Earth. Approximately
60–70 percent of the human body is made up of water. Without it, life as we know it simply would not exist.
The polarity of the water molecule and its resulting hydrogen bonding make water a unique substance with special
properties that are intimately tied to the processes of life. Life originally evolved in a watery environment, and most of an
organism’s cellular chemistry and metabolism occur inside the watery contents of the cell’s cytoplasm. Special properties
of water are its high heat capacity and heat of vaporization, its ability to dissolve polar molecules, its cohesive and adhesive
properties, and its dissociation into ions that leads to the generation of pH. Understanding these characteristics of water
helps to elucidate its importance in maintaining life.
Water’s Polarity
One of water’s important properties is that it is composed of polar molecules: The hydrogen and oxygen within water
molecules (H2O) form polar covalent bonds. While there is no net charge to a water molecule, the polarity of water creates
a slightly positive charge on hydrogen and a slightly negative charge on oxygen, contributing to water’s properties of
attraction. Water’s charges are generated because oxygen is more electronegative than hydrogen, making it more likely that
a shared electron would be found near the oxygen nucleus than the hydrogen nucleus, thus generating the partial negative
charge near the oxygen.
As a result of water’s polarity, each water molecule attracts other water molecules because of the opposite charges between
water molecules, forming hydrogen bonds. Water also attracts or is attracted to other polar molecules and ions. A polar
substance that interacts readily with or dissolves in water is referred to as hydrophilic (hydro- = water; -philic = loving).
In contrast, non-polar molecules such as oils and fats do not interact well with water, as shown in Figure 2.15 and separate
from it rather than dissolve in it, as we see in salad dressings containing oil and vinegar (an acidic water solution). These
nonpolar compounds are called hydrophobic (hydro- = water; -phobic = fearing).
Figure 2.15 Oil and water do not mix. As this macro image of oil and water shows, oil does not dissolve in water but
forms droplets instead. This is due to it being a nonpolar compound. (credit: Gautam Dogra).
Water’s lower density in its solid form is due to the way hydrogen bonds are oriented as it freezes: The water molecules are
pushed farther apart compared to liquid water. With most other liquids, solidification when the temperature drops includes
the lowering of kinetic energy between molecules, allowing them to pack even more tightly than in liquid form and giving
the solid a greater density than the liquid.
The lower density of ice, illustrated and pictured in Figure 2.16, an anomaly, causes it to float at the surface of liquid water,
such as in an iceberg or in the ice cubes in a glass of ice water. In lakes and ponds, ice will form on the surface of the
water creating an insulating barrier that protects the animals and plant life in the pond from freezing. Without this layer
of insulating ice, plants and animals living in the pond would freeze in the solid block of ice and could not survive. The
detrimental effect of freezing on living organisms is caused by the expansion of ice relative to liquid water. The ice crystals
that form upon freezing rupture the delicate membranes essential for the function of living cells, irreversibly damaging
them. Cells can only survive freezing if the water in them is temporarily replaced by another liquid like glycerol.
Figure 2.16 Hydrogen bonding makes ice less dense than liquid water. The (a) lattice structure of ice makes it less
dense than the freely flowing molecules of liquid water, enabling it to (b) float on water. (credit a: modification of work
by Jane Whitney, image created using Visual Molecular Dynamics (VMD) software; credit b: modification of work by
Carlos Ponte)
Click here (http://openstaxcollege.org/l/ice_lattice2) to see a 3-D animation of the structure of an ice lattice. (credit:
Jane Whitney. Image created using Visual Molecular Dynamics VMD software.)
Identify the red and white balls in the model and explain how arrangement of the molecules supports the fact that ice
floats on water.
a. Red and white balls represent oxygen and hydrogen, respectively; loose arrangement of molecules results in
low density of ice.
b. Red and white balls represent oxygen and hydrogen, respectively; tightly packed arrangement of molecules
results in a low density of ice.
c. Red and white balls represent hydrogen and oxygen, respectively; loose arrangement of molecules results in
low density of ice.
d. Red and white balls represent oxygen and hydrogen, respectively; tightly packed arrangement of molecules
results in high density of ice.
Chapter 2 | The Chemical Foundation of Life 61
Figure 2.17 When table salt (NaCl) is mixed in water, spheres of hydration are formed around the ions.
out by gravity. When a small scrap of paper is placed onto the droplet of water, the paper floats on top of the water droplet
even though paper is denser (heavier) than the water. Cohesion and surface tension keep the hydrogen bonds of water
molecules intact and support the item floating on the top. It’s even possible to float a needle on top of a glass of water if it
is placed gently without breaking the surface tension, as shown in Figure 2.18.
Figure 2.18 The weight of the needle is pulling the surface downward; at the same time, the surface tension is pulling
it up, suspending it on the surface of the water and keeping it from sinking. Notice the indentation in the water around
the needle. (credit: Cory Zanker)
These cohesive forces are related to water’s property of adhesion, or the attraction between water molecules and other
molecules. This attraction is sometimes stronger than water’s cohesive forces, especially when the water is exposed to
charged surfaces such as those found on the inside of thin glass tubes known as capillary tubes. Adhesion is observed when
water climbs up the tube placed in a glass of water: Notice that the water appears to be higher on the sides of the tube than
in the middle. This is because the water molecules are attracted to the charged glass walls of the capillary more than they are
to each other and therefore adhere to it. This type of adhesion is called capillary action, and is illustrated in Figure 2.19.
Figure 2.19 Capillary action in a glass tube is caused by the adhesive forces exerted by the internal surface of
the glass exceeding the cohesive forces between the water molecules themselves. (credit: modification of work by
Pearson-Scott Foresman, donated to the Wikimedia Foundation)
Why are cohesive and adhesive forces important for life? Cohesive and adhesive forces are important for the transport of
water from the roots to the leaves in plants. These forces create a pull on the water column. This pull results from the
tendency of water molecules being evaporated on the surface of the plant to stay connected to water molecules below them,
and so they are pulled along. Plants use this natural phenomenon to help transport water from their roots to their leaves.
Without these properties of water, plants would be unable to receive the water and the dissolved minerals they require. In
Chapter 2 | The Chemical Foundation of Life 63
another example, insects such as the water strider, shown in Figure 2.20, use the surface tension of water to stay afloat on
the surface layer of water and even mate there.
Figure 2.20 Water’s cohesive and adhesive properties allow this water strider (Gerris sp.) to stay afloat. (credit: Tim
Vickers)
Activity
During a process called transpiration, water evaporates through a plant’s leaves. Water in the ground travels
up from the roots to the leaves. Based on water’s molecular properties, create a visual representation (e.g.,
diagrams or models) with annotations to explain how water travels up a 300-ft. California redwood tree.
What other unique properties of water are attributed to its molecular structure, and how are these properties
important to life?
Litmus or pH paper, filter paper that has been treated with a natural water-soluble dye so it can be used as a pH indicator,
to test how much acid (acidity) or base (alkalinity) exists in a solution. You might have even used some to test whether the
water in a swimming pool is properly treated. In both cases, the pH test measures the concentration of hydrogen ions in a
given solution.
Hydrogen ions are spontaneously generated in pure water by the dissociation (ionization) of a small percentage of water
molecules into equal numbers of hydrogen (H+) ions and hydroxide (OH-) ions. While the hydroxide ions are kept in
solution by their hydrogen bonding with other water molecules, the hydrogen ions, consisting of naked protons, are
immediately attracted to un-ionized water molecules, forming hydronium ions (H30+). Still, by convention, scientists refer
to hydrogen ions and their concentration as if they were free in this state in liquid water.
The concentration of hydrogen ions dissociating from pure water is 1 × 10-7 moles H+ ions per liter of water. Moles (mol)
are a way to express the amount of a substance (which can be atoms, molecules, ions, etc.), with one mole being equal to
6.02 x 1023 particles of the substance. Therefore, one mole of water is equal to 6.02 x 1023 water molecules. The pH is
calculated as the negative of the base 10 logarithm of this concentration. The log10 of 1 × 10-7 is -7.0, and the negative of
this number (indicated by the “p” of “pH”) yields a pH of 7.0, which is also known as neutral pH. The pH inside of human
cells and blood are examples of two areas of the body where near-neutral pH is maintained.
Non-neutral pH readings result from dissolving acids or bases in water. Using the negative logarithm to generate positive
integers, high concentrations of hydrogen ions yield a low pH number, whereas low levels of hydrogen ions result in a high
pH. An acid is a substance that increases the concentration of hydrogen ions (H+) in a solution, usually by having one of
its hydrogen atoms dissociate. A base provides either hydroxide ions (OH–) or other negatively charged ions that combine
with hydrogen ions, reducing their concentration in the solution and thereby raising the pH. In cases where the base releases
64 Chapter 2 | The Chemical Foundation of Life
hydroxide ions, these ions bind to free hydrogen ions, generating new water molecules.
The stronger the acid, the more readily it donates H+. For example, hydrochloric acid (HCl) completely dissociates into
hydrogen and chloride ions and is highly acidic, whereas the acids in tomato juice or vinegar do not completely dissociate
and are considered weak acids. Conversely, strong bases are those substances that readily donate OH– or take up hydrogen
ions. Sodium hydroxide (NaOH) and many household cleaners are highly alkaline and give up OH– rapidly when placed
in water, thereby raising the pH. An example of a weak basic solution is seawater, which has a pH near 8, close enough to
neutral pH that marine organisms adapted to this saline environment are able to thrive in it.
The pH scale is, as previously mentioned, an inverse logarithm and ranges from 0 to 14 (Figure 2.21). Anything below 7
(ranging from 0 to 6.9) is acidic, and anything above 7 (from 7.1 to 14) is alkaline. Extremes in pH in either direction from
7 are usually considered inhospitable to life. The pH inside cells (6.8) and the pH in the blood (7.4) are both very close to
neutral. However, the environment in the stomach is highly acidic, with a pH of 1 to 2. So how do the cells of the stomach
survive in such an acidic environment? How do they homeostatically maintain the near neutral pH inside them? The answer
is that they cannot do it and are constantly dying. New stomach cells are constantly produced to replace dead ones, which
are digested by the stomach acids. It is estimated that the lining of the human stomach is completely replaced every seven
to ten days.
Figure 2.21 The pH scale measures the concentration of hydrogen ions (H+) in a solution. (credit: modification of work
by Edward Stevens)
Chapter 2 | The Chemical Foundation of Life 65
Watch this video (http://openstaxcollege.org/l/pH_scale) for a straightforward explanation of pH and its logarithmic
scale.
One of the risks for people with diabetes is diabetic ketoacidosis, a build-up of acid in the blood stream. Explain why
this is dangerous to humans.
c. Diabetic ketoacidosis keeps pH level of blood constant which disrupts biological processes.
So how can organisms whose bodies require a near-neutral pH ingest acidic and basic substances, a human drinking orange
juice, for example, and survive? Buffers are the key. Buffers readily absorb excess H+ or OH–, keeping the pH of the body
carefully maintained in the narrow range required for survival. Maintaining a constant blood pH is critical to a person’s
well-being. The buffer maintaining the pH of human blood involves carbonic acid (H2CO3), bicarbonate ion (HCO3–), and
carbon dioxide (CO2). When bicarbonate ions combine with free hydrogen ions and become carbonic acid, hydrogen ions
are removed, moderating pH changes. Similarly, as shown in Figure 2.22, excess carbonic acid can be converted to carbon
dioxide gas and exhaled through the lungs. This prevents too many free hydrogen ions from building up in the blood and
dangerously reducing the blood’s pH. Likewise, if too much OH– is introduced into the system, carbonic acid will combine
with it to create bicarbonate, lowering the pH. Without this buffer system, the body’s pH would fluctuate enough to put
survival in jeopardy.
Figure 2.22 This diagram shows the body’s buffering of blood pH levels. The blue arrows show the process of raising
pH as more CO2 is made. The purple arrows indicate the reverse process: The lowering of pH as more bicarbonate is
created.
Other examples of buffers are antacids used to combat excess stomach acid. Many of these over-the-counter medications
work in the same way as blood buffers, usually with at least one ion capable of absorbing hydrogen and moderating pH,
bringing relief to those that suffer heartburn after eating. The unique properties of water that contribute to this capacity to
balance pH—as well as water’s other characteristics—are essential to sustaining life on Earth.
66 Chapter 2 | The Chemical Foundation of Life
To learn more about water. Visit the U.S. Geological Survey Water Science for Schools (http://openstaxcollege.org/l/
all_about_water) All About Water! website.
Water takes up 333 million cubic miles on Earth, yet access to drinking water is a critical issue for many communities
around the world. Explain why this is so.
b. Only four percent of the total water on earth is freshwater, which is found only in glaciers.
c. Only four percent of the total water on earth is freshwater, out of which 68 percent is found in glaciers.
d. Drinking water is only obtained by desalination treatments of salt water found on earth.
Chapter 2 | The Chemical Foundation of Life 67
Acid Rain
Figure 2.23 When rain water is too acidic, it can greatly damage living organisms, such as this forest in the Czech
Republic.
Limestone is a naturally occurring mineral rich in calcium carbonate ( CaCO 3 ). In water, calcium carbonate dissolves
to form carbonate (CO 3 2 − ) , a weak base that acts as a buffer. Which would you expect to be more affected by acid
rain, an environment rich in limestone or an environment poor in limestone?
a. The presence of limestone would not make a difference.
b. An environment rich in limestone would be more affected by acid rain.
c. An environment poor in limestone would be more affected by acid rain.
d. The impact would depend on the type of vegetation present.
Section Summary
Water has many properties that are critical to maintaining life. It is a polar molecule, allowing for the formation of hydrogen
bonds. Hydrogen bonds allow ions and other polar molecules to dissolve in water. Therefore, water is an excellent solvent.
The hydrogen bonds between water molecules cause the water to have a high heat capacity, meaning it takes a lot of added
heat to raise its temperature. As the temperature rises, the hydrogen bonds between water continually break and form anew.
This allows for the overall temperature to remain stable, although energy is added to the system. Water also exhibits a high
heat of vaporization, which is key to how organisms cool themselves by the evaporation of sweat. Water’s cohesive forces
allow for the property of surface tension, whereas its adhesive properties are seen as water rises inside capillary tubes. The
pH value is a measure of hydrogen ion concentration in a solution and is one of many chemical characteristics that is highly
regulated in living organisms through homeostasis. Acids and bases can change pH values, but buffers tend to moderate the
changes they cause. These properties of water are intimately connected to the biochemical and physical processes performed
by living organisms, and life would be very different if these properties were altered, if it could exist at all.
68 Chapter 2 | The Chemical Foundation of Life
2.3 | Carbon
In this section, you will investigate the following questions:
• Why is carbon important for life?
• How do functional groups determine the properties of biological molecules?
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
2.8 The student is able to justify the selection of data regarding the types of molecules that
Learning
an animal, plant, or bacterium will take up as necessary building blocks and excrete as
Objective
waste products.
Cells are made of many complex molecules called macromolecules, such as proteins, nucleic acids (RNA and DNA),
carbohydrates, and lipids. The macromolecules are a subset of organic molecules, any carbon-containing liquid, solid, or
gas that are especially important for life. The fundamental component for all of these macromolecules is carbon. The carbon
atom has unique properties that allow it to form covalent bonds to as many as four different atoms, making this versatile
element ideal to serve as the basic structural component, or backbone, of the macromolecules.
Individual carbon atoms have an incomplete outermost electron shell. With an atomic number of 6 (six electrons and six
protons), the first two electrons fill the inner shell, leaving four in the second shell. Therefore, carbon atoms can form up
to four covalent bonds with other atoms to satisfy the octet rule. The methane molecule provides an example: It has the
chemical formula CH4. Each of its four hydrogen atoms forms a single covalent bond with the carbon atom by sharing a
pair of electrons. This results in a filled outermost shell.
Chapter 2 | The Chemical Foundation of Life 69
Hydrocarbons
Hydrocarbons are organic molecules consisting entirely of carbon and hydrogen, such as methane (CH4) described above.
We often use hydrocarbons in our daily lives as fuels—like the propane in a gas grill or the butane in a lighter. The many
covalent bonds between the atoms in hydrocarbons store a great amount of energy, which is released when these molecules
are burned (oxidized). Methane, an excellent fuel, is the simplest hydrocarbon molecule, with a central carbon atom bonded
to four different hydrogen atoms, as illustrated in Figure 2.24. The geometry of the methane molecule, where the atoms
reside in three dimensions, is determined by the shape of its electron orbitals. The carbons and the four hydrogen atoms
form a shape known as a tetrahedron, with four triangular faces; for this reason, methane is described as having tetrahedral
geometry.
Figure 2.24 Methane has a tetrahedral geometry, with each of the four hydrogen atoms spaced 109.5° apart.
As the backbone of the large molecules of living things, hydrocarbons may exist as linear carbon chains, carbon rings, or
combinations of both. Furthermore, individual carbon-to-carbon bonds may be single, double, or triple covalent bonds, and
each type of bond affects the geometry of the molecule in a specific way. This three-dimensional shape or conformation of
the large molecules of life (macromolecules) is critical to how they function.
Hydrocarbon Chains
Hydrocarbon chains are formed by successive bonds between carbon atoms and may be branched or unbranched.
Furthermore, the overall geometry of the molecule is altered by the different geometries of single, double, and triple
covalent bonds, illustrated in Figure 2.25. The hydrocarbons ethane, ethene, and ethyne serve as examples of how different
carbon-to-carbon bonds affect the geometry of the molecule. The names of all three molecules start with the prefix “eth-,”
which is the prefix for two carbon hydrocarbons. The suffixes “-ane,” “-ene,” and “-yne” refer to the presence of single,
double, or triple carbon-carbon bonds, respectively. Thus, propane, propene, and propyne follow the same pattern with three
carbon molecules, butane, butane, and butyne for four carbon molecules, and so on. Double and triple bonds change the
geometry of the molecule: Single bonds allow rotation along the axis of the bond, whereas double bonds lead to a planar
configuration and triple bonds to a linear one. These geometries have a significant impact on the shape a particular molecule
can assume.
Figure 2.25 When carbon forms single bonds with other atoms, the shape is tetrahedral. When two carbon atoms form
a double bond, the shape is planar, or flat. Single bonds, like those found in ethane, are able to rotate. Double bonds,
like those found in ethene cannot rotate, so the atoms on either side are locked in place.
Hydrocarbon Rings
So far, the hydrocarbons we have discussed have been aliphatic hydrocarbons, which consist of linear chains of carbon
atoms. Another type of hydrocarbon, aromatic hydrocarbons, consists of closed rings of carbon atoms. Ring structures
70 Chapter 2 | The Chemical Foundation of Life
are found in hydrocarbons, sometimes with the presence of double bonds, which can be seen by comparing the structure of
cyclohexane to benzene in Figure 2.26. Examples of biological molecules that incorporate the benzene ring include some
amino acids and cholesterol and its derivatives, including the hormones estrogen and testosterone. The benzene ring is also
found in the herbicide 2,4-D. Benzene is a natural component of crude oil and has been classified as a carcinogen. Some
hydrocarbons have both aliphatic and aromatic portions; beta-carotene is an example of such a hydrocarbon.
Figure 2.26 Carbon can form five-and six membered rings. Single or double bonds may connect the carbons in the
ring, and nitrogen may be substituted for carbon.
Isomers
The three-dimensional placement of atoms and chemical bonds within organic molecules is central to understanding their
chemistry. Molecules that share the same chemical formula but differ in the placement (structure) of their atoms and/or
chemical bonds are known as isomers. Structural isomers (like butane and isobutene shown in Figure 2.27a) differ in
the placement of their covalent bonds: Both molecules have four carbons and ten hydrogens (C4H10), but the different
arrangement of the atoms within the molecules leads to differences in their chemical properties. For example, due to their
different chemical properties, butane is suited for use as a fuel for torches, whereas isobutene is suited for use as a refrigerant
and a propellant in spray cans.
Geometric isomers, on the other hand, have similar placements of their covalent bonds but differ in how these bonds are
made to the surrounding atoms, especially in carbon-to-carbon double bonds. In the simple molecule butene (C4H8), the
two methyl groups (CH3) can be on either side of the double covalent bond central to the molecule, as illustrated in Figure
2.27b. When the carbons are bound on the same side of the double bond, this is the cis configuration; if they are on opposite
sides of the double bond, it is a trans configuration. In the trans configuration, the carbons form a more or less linear
structure, whereas the carbons in the cis configuration make a bend, change in direction, of the carbon backbone.
Chapter 2 | The Chemical Foundation of Life 71
Figure 2.27 Molecules that have the same number and type of atoms arranged differently are called isomers.
(a) Structural isomers have a different covalent arrangement of atoms. (b) Geometric isomers have a different
arrangement of atoms around a double bond. (c) Enantiomers are mirror images of each other.
In triglycerides (fats and oils), long carbon chains known as fatty acids may contain double bonds, which can be in either
the cis or trans configuration, illustrated in Figure 2.28. Fats with at least one double bond between carbon atoms are
unsaturated fats. When some of these bonds are in the cis configuration, the resulting bend in the carbon backbone of the
chain means that triglyceride molecules cannot pack tightly, so they remain liquid (oil) at room temperature. On the other
72 Chapter 2 | The Chemical Foundation of Life
hand, triglycerides with trans double bonds, popularly called trans fats, have relatively linear fatty acids that are able to
pack tightly together at room temperature and form solid fats. In the human diet, trans fats are linked to an increased risk
of cardiovascular disease, so many food manufacturers have reduced or eliminated their use in recent years. In contrast
to unsaturated fats, triglycerides without double bonds between carbon atoms are called saturated fats, meaning that they
contain all the hydrogen atoms available. Saturated fats are a solid at room temperature and usually of animal origin.
Figure 2.28 These space-filling models show a cis (oleic acid) and a trans (eliadic acid) fatty acid. Notice the bend in
the molecule cause by the cis configuration.
Enantiomers
Enantiomers are molecules that share the same chemical structure and chemical bonds but differ in the three-dimensional
placement of atoms so that they are mirror images. As shown in Figure 2.29, an amino acid alanine example, the two
structures are non-superimposable. In nature, only the L-forms of amino acids are used to make proteins. Some D forms of
amino acids are seen in the cell walls of bacteria, but never in their proteins. Similarly, the D-form of glucose is the main
product of photosynthesis and the L-form of the molecule is rarely seen in nature.
Figure 2.29 D-alanine and L-alanine are examples of enantiomers or mirror images. Only the L-forms of amino acids
are used to make proteins.
Functional Groups
Functional groups are groups of atoms that occur within molecules and confer specific chemical properties to those
molecules. They are found along the carbon backbone of macromolecules. This carbon backbone is formed by chains and/
or rings of carbon atoms with the occasional substitution of an element such as nitrogen or oxygen. Molecules with other
elements in their carbon backbone are substituted hydrocarbons.
The functional groups in a macromolecule are usually attached to the carbon backbone at one or several different places
along its chain and/or ring structure. Each of the four types of macromolecules—proteins, lipids, carbohydrates, and nucleic
acids—has its own characteristic set of functional groups that contributes greatly to its differing chemical properties and its
function in living organisms.
Chapter 2 | The Chemical Foundation of Life 73
A functional group can participate in specific chemical reactions. Some of the important functional groups in biological
molecules are shown in Figure 2.30; they include: hydroxyl, methyl, carbonyl, carboxyl, amino, phosphate, and sulfhydryl.
These groups play an important role in the formation of molecules like DNA, proteins, carbohydrates, and lipids. Functional
groups are usually classified as hydrophobic or hydrophilic depending on their charge or polarity characteristics. An
example of a hydrophobic group is the non-polar methane molecule. Among the hydrophilic functional groups is the
carboxyl group found in amino acids, some amino acid side chains, and the fatty acids that form triglycerides and
phospholipids. This carboxyl group ionizes to release hydrogen ions (H+) from the COOH group resulting in the negatively
charged COO- group; this contributes to the hydrophilic nature of whatever molecule it is found on. Other functional groups,
such as the carbonyl group, have a partially negatively charged oxygen atom that may form hydrogen bonds with water
molecules, again making the molecule more hydrophilic.
Figure 2.30 The functional groups shown here are found in many different biological molecules.
Hydrogen bonds between functional groups, within the same molecule or between different molecules, are important to the
function of many macromolecules and help them to fold properly into and maintain the appropriate shape for functioning.
Hydrogen bonds are also involved in various recognition processes, such as DNA complementary base pairing and the
binding of an enzyme to its substrate, as illustrated in Figure 2.31.
74 Chapter 2 | The Chemical Foundation of Life
Figure 2.31 Hydrogen bonds connect two strands of DNA together to create the double-helix structure.
Activity
Carbon forms the backbone of important biological molecules. Create a mini-poster of a simple food chain
that shows how carbon enters and exits each organism on the chain. Based on the food chain you created,
make a prediction regarding the impact of human activity on the supply of carbon in the food chain.
Section Summary
The unique properties of carbon make it a central part of biological molecules. Carbon binds to oxygen, hydrogen, and
nitrogen covalently to form the many molecules important for cellular function. Carbon has four electrons in its outermost
shell and can form four bonds. Carbon and hydrogen can form hydrocarbon chains or rings. Functional groups are groups
of atoms that confer specific properties to hydrocarbon, or substituted hydrocarbon, chains or rings that define their overall
chemical characteristics and function.
Chapter 2 | The Chemical Foundation of Life 75
KEY TERMS
acid molecule that donates hydrogen ions and increases the concentration of hydrogen ions in a solution
anion negative ion that is formed by an atom gaining one or more electrons
atom the smallest unit of matter that retains all of the chemical properties of an element
atomic mass calculated mean of the mass number for an element’s isotopes
balanced chemical equation statement of a chemical reaction with the number of each type of atom equalized for both
the products and reactants
base molecule that donates hydroxide ions or otherwise binds excess hydrogen ions and decreases the concentration of
hydrogen ions in a solution
buffer substance that prevents a change in pH by absorbing or releasing hydrogen or hydroxide ions
calorie amount of heat required to change the temperature of one gram of water by one degree Celsius
capillary action occurs because water molecules are attracted to charges on the inner surfaces of narrow tubular
structures such as glass tubes, drawing the water molecules to the sides of the tubes
cation positive ion that is formed by an atom losing one or more electrons
chemical bond interaction between two or more of the same or different atoms that results in the formation of molecules
chemical reactivity the ability to combine and to chemically bond with each other
cohesion intermolecular forces between water molecules caused by the polar nature of water; responsible for surface
tension
compound substance composed of molecules consisting of atoms of at least two different elements
covalent bond type of strong bond formed between two of the same or different elements; forms when electrons are
shared between atoms
dissociation release of an ion from a molecule such that the original molecule now consists of an ion and the charged
remains of the original, such as when water dissociates into H+ and OH-
electrolyte ion necessary for nerve impulse conduction, muscle contractions and water balance
electron negatively charged subatomic particle that resides outside of the nucleus in the electron orbital; lacks functional
mass and has a negative charge of –1 unit
electron configuration arrangement of electrons in an atom’s electron shell (for example, 1s22s22p6)
electron orbital how electrons are spatially distributed surrounding the nucleus; the area where an electron is most likely
to be found
electron transfer movement of electrons from one element to another; important in creation of ionic bonds
electronegativity ability of some elements to attract electrons (often of hydrogen atoms), acquiring partial negative
76 Chapter 2 | The Chemical Foundation of Life
charges in molecules and creating partial positive charges on the hydrogen atoms
element one of 118 unique substances that cannot be broken down into smaller substances; each element has unique
properties and a specified number of protons
enantiomers molecules that share overall structure and bonding patterns, but differ in how the atoms are three
dimensionally placed such that they are mirror images of each other
equilibrium steady state of relative reactant and product concentration in reversible chemical reactions in a closed system
evaporation separation of individual molecules from the surface of a body of water, leaves of a plant, or the skin of an
organism
functional group group of atoms that provides or imparts a specific function to a carbon skeleton
geometric isomer isomer with similar bonding patterns differing in the placement of atoms alongside a double covalent
bond
heat of vaporization of water high amount of energy required for liquid water to turn into water vapor
hydrogen bond weak bond between slightly positively charged hydrogen atoms to slightly negatively charged atoms in
other molecules
hydrophilic describes ions or polar molecules that interact well with other polar molecules such as water
hydrophobic describes uncharged non-polar molecules that do not interact well with polar molecules such as water
inert gas (also, noble gas) element with filled outer electron shell that is unreactive with other atoms
ion atom or chemical group that does not contain equal numbers of protons and electrons
ionic bond chemical bond that forms between ions with opposite charges (cations and anions)
irreversible chemical reaction chemical reaction where reactants proceed uni-directionally to form products
isomers molecules that differ from one another even though they share the same chemical formula
isotope one or more forms of an element that have different numbers of neutrons
law of mass action chemical law stating that the rate of a reaction is proportional to the concentration of the reacting
substances
litmus paper (also, pH paper) filter paper that has been treated with a natural water-soluble dye that changes its color as
the pH of the environment changes so it can be used as a pH indicator
neutron uncharged particle that resides in the nucleus of an atom; has a mass of one amu
nonpolar covalent bond type of covalent bond that forms between atoms when electrons are shared equally between
them
octet rule rule that atoms are most stable when they hold eight electrons in their outermost shells
Chapter 2 | The Chemical Foundation of Life 77
periodic table organizational chart of elements indicating the atomic number and atomic mass of each element; provides
key information about the properties of the elements
pH scale scale ranging from zero to 14 that is inversely proportional to the concentration of hydrogen ions in a solution
polar covalent bond type of covalent bond that forms as a result of unequal sharing of electrons, resulting in the creation
of slightly positive and slightly negative charged regions of the molecule
proton positively charged particle that resides in the nucleus of an atom; has a mass of one amu and a charge of +1
radioisotope isotope that emits radiation composed of subatomic particles to form more stable elements
reversible chemical reaction chemical reaction that functions bi-directionally, where products may turn into reactants
if their concentration is great enough
specific heat capacity the amount of heat one gram of a substance must absorb or lose to change its temperature by one
degree Celsius
sphere of hydration when a polar water molecule surrounds charged or polar molecules thus keeping them dissolved
and in solution
structural isomers molecules that share a chemical formula but differ in the placement of their chemical bonds
substituted hydrocarbon hydrocarbon chain or ring containing an atom of another element in place of one of the
backbone carbons
surface tension tension at the surface of a body of liquid that prevents the molecules from separating; created by the
attractive cohesive forces between the molecules of the liquid
van der Waals interaction very weak interaction between molecules due to temporary charges attracting atoms that are
very close together
CHAPTER SUMMARY
2.1 Atoms, Isotopes, Ions, and Molecules: The Building Blocks
Matter is anything that occupies space and has mass. It is made up of elements. All of the 92 elements that occur naturally
have unique qualities that allow them to combine in various ways to create molecules, which in turn combine to form
cells, tissues, organ systems, and organisms. Atoms, which consist of protons, neutrons, and electrons, are the smallest
units of an element that retain all of the properties of that element. Electrons can be transferred, shared, or cause charge
disparities between atoms to create bonds, including ionic, covalent, and hydrogen bonds, as well as van der Waals
interactions.
2.2 Water
Water has many properties that are critical to maintaining life. It is a polar molecule, allowing for the formation of
hydrogen bonds. Hydrogen bonds allow ions and other polar molecules to dissolve in water. Therefore, water is an
excellent solvent. The hydrogen bonds between water molecules cause the water to have a high heat capacity, meaning it
78 Chapter 2 | The Chemical Foundation of Life
takes a lot of added heat to raise its temperature. As the temperature rises, the hydrogen bonds between water continually
break and form anew. This allows for the overall temperature to remain stable, although energy is added to the system.
Water also exhibits a high heat of vaporization, which is key to how organisms cool themselves by the evaporation of
sweat. Water’s cohesive forces allow for the property of surface tension, whereas its adhesive properties are seen as water
rises inside capillary tubes. The pH value is a measure of hydrogen ion concentration in a solution and is one of many
chemical characteristics that is highly regulated in living organisms through homeostasis. Acids and bases can change pH
values, but buffers tend to moderate the changes they cause. These properties of water are intimately connected to the
biochemical and physical processes performed by living organisms, and life would be very different if these properties
were altered, if it could exist at all.
2.3 Carbon
The unique properties of carbon make it a central part of biological molecules. Carbon binds to oxygen, hydrogen, and
nitrogen covalently to form the many molecules important for cellular function. Carbon has four electrons in its outermost
shell and can form four bonds. Carbon and hydrogen can form hydrocarbon chains or rings. Functional groups are groups
of atoms that confer specific properties to hydrocarbon, or substituted hydrocarbon, chains or rings that define their overall
chemical characteristics and function.
REVIEW QUESTIONS
1. What are atoms that vary in the number of neutrons found in their nuclei called?
a. Ions
b. Isotopes
c. Isobars
d. Neutral atoms
2. Potassium has an atomic number of 19. What is its electron configuration?
a. Shells 1 and 2 are full, and shell 3 has nine electrons.
b. Shells 1, 2 and 3 are full, and shell 4 has three electrons.
c. Shells 1, 2 and 3 are full, and shell 4 has one electron.
d. Shells 1, 2 and 3 are full, and no other electrons are present.
3. Which type of bond exemplifies a weak chemical bond?
a. Covalent bond
b. Hydrogen bond
c. Ionic bond
d. Nonpolar covalent bond
4. Which of the following statements is false?
a. Electrons are unequally shared in polar covalent bonds.
b. Electrons are equally shared in nonpolar covalent bonds.
c. Hydrogen bonds are weak bonds based on electrostatic forces.
d. Ionic bonds are generally stronger than covalent bonds.
5. If xenon has an atomic number of 54 and a mass number of 108, how many neutrons does it have?
a. 27
b. 54
c. 100
d. 108
6. What forms ionic bonds?
Chapter 2 | The Chemical Foundation of Life 79
Figure 2.32
a. In NH2, the nitrogen atom acquires a partial positive charge and the hydrogen atoms acquire a partial negative
charge.
b. In H2O, the hydrogen atoms acquire a partial negative charge, and the oxygen atom acquires a partial positive
charge.
c. In HCL-, the hydrogen atom acquires a partial positive charge, and the chlorine atom acquires a partial negative
charge.
d. In LiF, the lithium atom acquires a negative charge, and the fluorine atom acquires a positive charge.
8. Which of the following statements is not true?
a. Water is polar.
b. Water can stabilize the temperature of nearby air.
c. Water is essential for life.
d. Water is the most abundant molecule in Earth’s atmosphere.
9. Why do hydrogen and oxygen form polar covalent bonds within water molecules?
a. Hydrogen is more electronegative than oxygen, generating a partial negative charge near the hydrogen atom.
b. Hydrogen is more electronegative than oxygen, generating a partial positive charge near the hydrogen atom.
c. Oxygen is more electronegative than hydrogen, generating a partial negative charge near the oxygen atoms.
d. Oxygen is more electronegative than hydrogen, generating a partial positive charge near the oxygen atoms.
10. What happens to the pH of a solution when acids are added?
a. The pH of the solution decreases.
b. The pH of the solution increases.
c. The pH of the solution increases and then decreases.
d. The pH of the solution stays the same.
80 Chapter 2 | The Chemical Foundation of Life
Figure 2.33
a. Group 1 and Group 17
b. Group 1 and Group 14
c. Group 14 and Group 18
d. Group 1 and Group 18
21. Why can some insects walk on water?
a. Insects can walk on water because of its high surface tension.
b. Insects can walk on water because it is a polar solvent.
c. Insects can walk on water because they are less dense than water.
d. Insects can walk on water because they are denser than water.
22. Discuss how buffers help prevent drastic swings in pH.
82 Chapter 2 | The Chemical Foundation of Life
a. Buffers absorb excess hydrogen and hydroxide ions to prevent increases or decrease in pH. An example is the
bicarbonate system in human body.
b. Buffers absorb excess hydrogen ions to prevent increases or decreases in pH. An example is the bicarbonate
system in the human body.
c. Buffers absorb excess hydroxide ions to prevent increases or decreases in pH. An example of that is the
bicarbonate system in the human body.
d. Buffers absorb excess hydrogen and hydroxide ions to prevent increases or decreases in pH. An example of that
is carbonate system in human body.
23. What are three examples of how the characteristics of water are important in maintaining life?
a. First, the lower density of water as a solid versus a liquid allows ice to float, forming an insulating surface layer
for aquatic life. Second, the high specific heat capacity of water insulates aquatic life or bodily fluids from
temperature changes. Third, the high heat of vaporization of water allows animals to cool themselves by
sweating.
b. First, the higher density of water as a solid versus a liquid allows ice to float, forming an insulating surface layer
for aquatic life. Second, the high specific heat capacity of water insulates aquatic life or bodily fluids from
temperature changes. Third, the low heat of vaporization of water allows animals to cool themselves by
sweating.
c. First, the lower density of water as a solid versus a liquid allows ice to float, forming an insulating surface layer
for aquatic life. Second, the low specific heat capacity of water insulates aquatic life or bodily fluids from
temperature changes. Third, the high heat of vaporization of water allows animals to cool themselves by
sweating.
d. First, the lower density of water as a solid versus a liquid allows ice to float, forming an insulating surface layer
for aquatic life. Second, the low specific heat capacity of water insulates aquatic life or bodily fluids from
temperature changes. Third, the low heat of vaporization of water allows animals to cool themselves by
sweating.
24. Describe the pH scale and how it relates to living systems. Give an example of how drastic pH changes are prevented
in living systems.
a. The pH scale ranges from 0 to 14, where anything below 7 is acidic and above 7 is alkaline. The bicarbonate
system in the human body buffers the blood.
b. The pH scale ranges from 0 to 14, where anything below 7 is alkaline and above 7 is acidic. The bicarbonate
system in human body buffers the blood.
c. The pH scale ranges from 0 to 7, where anything below 7 is acidic and above 7 is alkaline. Water in the human
body buffers the blood.
d. pH scale ranges from 0 to 7, where anything below 4 is acidic and above 4 is alkaline. Water in the human body
buffers the blood.
25. What property of carbon makes it essential for organic life?
a. Carbon can form up to four covalent bonds, allowing it to form long chains.
b. Carbon can form more than four covalent bonds, allowing it to form long chains.
c. Carbon can form more than four covalent bonds, but can only form short chains.
d. Carbon can form up to four covalent bonds, but can only form short chains.
26. What property of carboxyl makes carboxyl containing molecules hydrophilic? Which macromolecules contain
carboxyl?
a. Carboxyl groups release H+, making its parent molecule hydrophilic. It is found amino acids and fatty acids.
b. Carboxyl groups absorb H+ ion, making its parent molecule hydrophilic. It is found in phospholipids and
triglycerides.
c. Carboxyl groups release OH−, making its parent molecule hydrophilic. It is found in phospholipids phosphates
and triglycerides.
d. Carboxyl groups release OH−, making its parent molecule hydrophilic. It is found in phospholipids and DNA.
Chapter 2 | The Chemical Foundation of Life 83
Table 2.3
84 Chapter 2 | The Chemical Foundation of Life
Table 2.3
30. At a time when the theory of evolution was controversial (the year following the Scopes Monkey Trial), Macallum
(Physiological Reviews, 2, 1926) made an observation that is still contested by some who do not see the pattern in the data
below showing percentages (g solute /100 g solution) of major biologically important inorganic elements in a variety of
sources.
Table 2.4
A. Using a spreadsheet, or by sharing calculations with your classmates, construct a quantitative model of these data
from these percentages as ratios of mass fractions relative to that of sodium, %X/%Na. Of course, you will not be asked to
use a spreadsheet on the AP Biology Exam. However, the ability to develop a quantitative model through the
transformation of numerical data can be assessed. The question that led Macallum to investigate the elemental composition
of different species and compare these with the composition of seawater follows from the central organizing principle of
Chapter 2 | The Chemical Foundation of Life 85
Figure 2.34
86 Chapter 2 | The Chemical Foundation of Life
Figure 2.35
A. The principle chemical processes of life today have been conserved through evolution from early Earth conditions.
Using this fact, justify the selection of these data shown in the graphs in the construction of a model of ocean
photosynthetic productivity.
Iron and molybdenum are two of 30 elements that are required by the chemical processes supporting life on Earth.
Concentrations of these two and 15 others are shown in the graph at the right. Of these elements, the three most abundant
in cells are also found in seawater in approximately the same concentrations. By increasing the mass of phytoplankton in
the ocean, we may be able to compensate for the increasing concentration of carbon produced by the combustion of gas,
oil, and coal.
B. Select, with justification, the element or elements that, if added in large amounts to the ocean, could boost the growth
of phytoplankton.
C. Before implementing a large-scale geo-engineering effort to avert the effects of climate change due to carbon pollution,
we must test the legitimacy of this solution. Describe a plan for collecting data that could be used to evaluate the effect of
enrichment on phytoplankton productivity.
REFERENCES
2.2 Water
Humphrey W., Dalke, A., & Schulten, K. (1996, Feb.). VMD—visual molecular dynamics. Journal of Molecular
Graphics, 14(1), 33–38. https://doi.org/10.1016/0263-7855(96)00018-5
Chapter 3 | Biological Macromolecules 87
3 | BIOLOGICAL
MACROMOLECULES
Figure 3.1 Foods such as bread, fruit, and cheese are rich sources of biological macromolecules. (credit: modification
of work by Bengt Nyman)
Chapter Outline
3.1: Synthesis of Biological Macromolecules
3.2: Carbohydrates
3.3: Lipids
3.4: Proteins
3.5: Nucleic Acids
Introduction
Food provides the body with the nutrients it needs to survive. Many of these critical nutrients are biological
macromolecules, or large molecules, necessary for and built by living things. For example, the amino acids found in protein
are needed to build healthy bone and muscle. The body uses fat molecules to build new cells, store energy, and for proper
digestion. Carbohydrates are the primary source of the body’s energy. Nucleic acids contain genetic information.
While all living things, including humans, need macromolecules in their daily diet, an imbalance of any one of them can
lead to health problems. For example, eating too much fat can lead to cardiovascular problems, and too much protein can
lead to problems with the kidneys. Some people think that removing whole grains, such as wheat, from one’s diet can be
beneficial. However, scientists have found that to not be true for the majority of people. In fact, just the opposite may be
true, because whole wheat contains more dietary fiber than other types of grains. The full research review can be found here
(http://openstaxcollege.org/l/32wholegrain) .
88 Chapter 3 | Biological Macromolecules
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
The origin of living systems is explained by natural processes.
Understanding 1.D
Essential 1.D.1 There are several hypotheses about the natural origin of life on Earth, each with
Knowledge supporting scientific evidence.
1.2 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models.
1.27 The student is able to describe a scientific hypothesis about the origin of life on
Learning Objective
Earth.
Science Practice 3.3 The student can evaluate scientific questions.
1.28 The student is able to evaluate scientific questions based on hypotheses about
Learning Objective
the origin of life on Earth.
In addition, content from this chapter is addressed in the AP® Biology Laboratory Manual in the following lab(s):
• Macromolecules in Common Food
Dehydration Synthesis
As you’ve learned, biological macromolecules are large molecules, necessary for life, that are built from smaller organic
molecules. There are four major classes of biological macromolecules: carbohydrates, lipids, proteins, and nucleic acids.
Each of these macromolecules is an important cell component and performs a wide array of functions. Combined, these
molecules make up the majority of a cell’s dry mass—recall that water makes up the majority of its complete mass.
Biological macromolecules are organic, meaning they contain carbon. In addition, they may contain hydrogen, oxygen,
nitrogen, and additional minor elements.
Most macromolecules are made from single subunits, or building blocks, called monomers. The monomers combine with
Chapter 3 | Biological Macromolecules 89
each other using covalent bonds to form larger molecules known as polymers. In doing so, monomers release water
molecules as byproducts. This type of reaction is known as dehydration synthesis, which means to put together while
losing water.
Figure 3.2 In the dehydration synthesis reaction depicted above, two molecules of glucose are linked together to form
the disaccharide maltose. In the process, a water molecule is formed.
In a dehydration synthesis reaction (Figure 3.2), the hydrogen of one monomer combines with the hydroxyl group of
another monomer, releasing a molecule of water. At the same time, the monomers share electrons and form covalent bonds.
As additional monomers join, this chain of repeating monomers forms a polymer. Different types of monomers can combine
in many configurations, giving rise to a diverse group of macromolecules. Even one kind of monomer can combine in a
variety of ways to form several different polymers; for example, glucose monomers are the constituents of starch, glycogen,
and cellulose.
Hydrolysis
Polymers are broken down into monomers in a process known as hydrolysis, which means to split with water. Hydrolysis
is a reaction in which a water molecule is used during the breakdown of another compound (Figure 3.3). During these
reactions, the polymer is broken into two components: One part gains a hydrogen atom (H+) and the other gains a hydroxyl
molecule (OH–) from a split water molecule.
Figure 3.3 In the hydrolysis reaction shown here, the disaccharide maltose is broken down to form two glucose
monomers with the addition of a water molecule. Note that this reaction is the reverse of the synthesis reaction shown
in Figure 3.2.
Dehydration and hydrolysis reactions are catalyzed, or sped up, by specific enzymes: Dehydration reactions involve the
formation of new bonds, requiring energy, while hydrolysis reactions break bonds and release energy. These reactions
are similar for most macromolecules, but each monomer and polymer reaction is specific for its class. For example, in
our bodies, food is hydrolyzed, or broken down, into smaller molecules by catalytic enzymes in the digestive system.
This allows for easy absorption of nutrients by cells in the intestine. Each macromolecule is broken down by a specific
enzyme. For instance, carbohydrates are broken down by amylase, sucrase, lactase, or maltase. Proteins are broken down
by the enzymes pepsin and peptidase, and by hydrochloric acid. Lipids are broken down by lipases. Breakdown of these
macromolecules provides energy for cellular activities.
90 Chapter 3 | Biological Macromolecules
Visit this site (http://openstaxcollege.org/l/hydrolysis) to see visual representations of dehydration synthesis and
hydrolysis.
What role do electrons play in dehydration synthesis and hydrolysis?
a. Sharing of electrons between monomers occurs in both dehydration synthesis and hydrolysis.
c. H+ and OH− ions share electrons with the respective monomers in dehydration synthesis.
d. H+ and OH− ions share electrons with the respective monomers in hydrolysis.
Chapter 3 | Biological Macromolecules 91
Figure 3.4
Think About It
How does Stanley Miller’s and Harold Urey’s model support the claim that organic precursors present
on early Earth could have assembled into large, complex molecules necessary for life? What chemical
ingredients were present on early Earth?
92 Chapter 3 | Biological Macromolecules
3.2 | Carbohydrates
In this section, you will explore the following questions:
• What is the role of carbohydrates in cells and in the extracellular materials of animals and plants?
• What are the different classifications of carbohydrates?
• How are monosaccharide building blocks assembled into disaccharides and complex polysaccharides?
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
4.1 The student is able to refine representations and models to explain how the
Learning
subcomponents of a biological polymer and their sequence determine the properties of that
Objective
polymer.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
4.2 The student is able to refine representations and models to explain how the
Learning
subcomponents of a biological polymer and their sequence determine the properties of that
Objective
polymer.
Science
6.1 The student can justify claims with evidence.
Practice
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.3 The student is able to use models to predict and justify that changes in the
Objective subcomponents of a biological polymer affect the functionality of the molecules.
Chapter 3 | Biological Macromolecules 93
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 4.15]
• [APLO 2.5]
Molecular Structures
Most people are familiar with carbohydrates, one type of macromolecule, especially when it comes to what we eat. To lose
weight, some individuals adhere to low-carb diets. Athletes, in contrast, often carb-load before important competitions to
ensure that they have enough energy to compete at a high level. Carbohydrates are, in fact, an essential part of our diet;
grains, fruits, and vegetables are all natural sources of carbohydrates. Carbohydrates provide energy to the body, particularly
through glucose, a simple sugar that is a component of starch and an ingredient in many staple foods. Carbohydrates also
have other important functions in humans, animals, and plants.
Carbohydrates can be represented by the stoichiometric formula (CH2O)n, where n is the number of carbons in the
molecule. In other words, the ratio of carbon to hydrogen to oxygen is 1:2:1 in carbohydrate molecules. This formula also
explains the origin of the term carbohydrate: the components are carbon (carbo) and the components of water (hence,
hydrate). Carbohydrates are classified into three subtypes: monosaccharides, disaccharides, and polysaccharides.
Monosaccharides
Monosaccharides (mono- = one; sacchar- = sweet) are simple sugars, the most common of which is glucose. In
monosaccharides, the number of carbons usually ranges from three to seven. Most monosaccharide names end with the
suffix -ose. If the sugar has an aldehyde group—the functional group with the structure R-CHO—it is known as an aldose.
If it has a ketone group—the functional group with the structure RC(=O)R'—it is known as a ketose. Depending on the
number of carbons in the sugar, they also may be known as trioses (three carbons), pentoses (five carbons), and/or hexoses
(six carbons). See Figure 3.5 for an illustration of the monosaccharides.
94 Chapter 3 | Biological Macromolecules
Figure 3.5 Monosaccharides are classified based on the position of their carbonyl group and the number of carbons
in the backbone. Aldoses have a carbonyl group, indicated in green, at the end of the carbon chain, and ketoses have
a carbonyl group in the middle of the carbon chain. Trioses, pentoses, and hexoses have three, five, and six carbon
backbones, respectively.
The chemical formula for glucose is C6H12O6. In humans, glucose is an important source of energy. During cellular
respiration, energy is released from glucose, and that energy is used to help make adenosine triphosphate (ATP). Plants
synthesize glucose using carbon dioxide and water, and glucose in turn is used for energy requirements for the plant. Excess
glucose is often stored as starch that is catabolized—the breakdown of larger molecules by cells—by humans and other
animals that feed on plants.
Two other common monosaccharides are galactose, or milk sugar, which is part of lactose, and fructose, which is found
in sucrose and fruit. Although glucose, galactose, and fructose all have the same chemical formula (C6H12O6), they differ
structurally and chemically, and are known as isomers, because of the different arrangement of functional groups around
the asymmetric carbon. All of these monosaccharides have more than one asymmetric carbon (Figure 3.6).
Chapter 3 | Biological Macromolecules 95
Figure 3.6 Glucose, galactose, and fructose are all hexoses. They are structural isomers, meaning they have the
same chemical formula (C6H12O6), but a different arrangement of atoms.
Glucose, galactose, and fructose are isomeric monosaccharides, or hexoses, meaning they have the same chemical formula
but have slightly different structures. Glucose and galactose are aldoses, and fructose is a ketose.
Monosaccharides can exist as a linear chain or as ring-shaped molecules; in aqueous solutions monosaccharides are usually
found in ring forms (Figure 3.7). Glucose in a ring form can have two different arrangements of the hydroxyl group (OH)
around the anomeric carbon—carbon 1 that becomes asymmetric in the process of ring formation. If the hydroxyl group is
below carbon number 1 in the sugar, it is said to be in the alpha (α) position, and if it is above the plane, it is said to be in
the beta (β) position.
96 Chapter 3 | Biological Macromolecules
Figure 3.7 Five and six carbon monosaccharides exist in equilibrium between linear and ring forms. When the ring
forms, the side chain it closes on is locked into an α or β position. Fructose and ribose also form rings, although they
form five-membered rings as opposed to the six-membered ring of glucose.
Disaccharides
Disaccharides (di- = two) form when two monosaccharides undergo a dehydration reaction, also known as a condensation
reaction or dehydration synthesis. During this process, the hydroxyl group of one monosaccharide combines with the
hydrogen of another monosaccharide, releasing a molecule of water and forming a covalent bond. A covalent bond formed
between a carbohydrate molecule and another molecule—in this case, between two monosaccharides—is known as a
glycosidic bond (Figure 3.8). Glycosidic bonds, also called glycosidic linkages, can be of the alpha or the beta type.
Chapter 3 | Biological Macromolecules 97
Figure 3.8 Sucrose is formed when a monomer of glucose and a monomer of fructose are joined in a dehydration
reaction to form a glycosidic bond. In the process, a water molecule is lost. By convention, the carbon atoms in a
monosaccharide are numbered from the terminal carbon closest to the carbonyl group. In sucrose, a glycosidic linkage
is formed between carbon 1 in glucose and carbon 2 in fructose.
Common disaccharides include lactose, maltose, and sucrose (Figure 3.9). Lactose is a disaccharide consisting of the
monomers glucose and galactose. It is found naturally in milk. Maltose, or malt sugar, is a disaccharide formed by a
dehydration reaction between two glucose molecules. The most common disaccharide is sucrose, or table sugar, which is
composed of the monomers glucose and fructose.
98 Chapter 3 | Biological Macromolecules
Figure 3.9 Common disaccharides include maltose (malt sugar), lactose (milk sugar), and sucrose (table sugar).
Polysaccharides
A long chain of monosaccharides linked by glycosidic bonds is known as a polysaccharide (poly- = many). The chain may
be branched or unbranched, and it may contain different types of monosaccharides. The molecular weight may be 100,000
daltons or more depending on the number of monomers joined. Starch, glycogen, cellulose, and chitin are primary examples
of polysaccharides.
Starch is the stored form of sugars in plants and is made up of a mixture of amylose and amylopectin—both polymers
of glucose. Plants are able to synthesize glucose, and the excess glucose beyond the plant’s immediate energy needs is
stored as starch in different plant parts, including roots and seeds. The starch in the seeds provides food for the embryo
as it germinates and can also act as a source of food for humans and animals. The starch that is consumed by humans is
broken down by enzymes, such as salivary amylases, into smaller molecules, such as maltose and glucose. The cells can
then absorb the glucose.
Starch is made up of glucose monomers that are joined by α 1-4 or α 1-6 glycosidic bonds. The numbers 1-4 and 1-6
refer to the carbon number of the two residues that have joined to form the bond. As illustrated in Figure 3.10, amylose
is starch formed by unbranched chains of glucose monomers (only α 1-4 linkages), whereas amylopectin is a branched
polysaccharide (α 1-6 linkages at the branch points).
Chapter 3 | Biological Macromolecules 99
Figure 3.10 Amylose and amylopectin are two different forms of starch. Amylose is composed of unbranched chains
of glucose monomers connected by α 1-4 glycosidic linkages. Amylopectin is composed of branched chains of glucose
monomers connected by α 1-4 and α 1-6 glycosidic linkages. Because of the way the subunits are joined, the glucose
chains have a helical structure. Glycogen, not shown, is similar in structure to amylopectin but more highly branched.
Glycogen is the storage form of glucose in humans and other vertebrates, and is made up of monomers of glucose. Glycogen
is the animal equivalent of starch and is a highly branched molecule usually stored in liver and muscle cells. Whenever
blood glucose levels decrease, glycogen is broken down to release glucose in a process known as glycogenolysis.
Cellulose is the most abundant natural biopolymer. The cell wall of plants is mostly made of cellulose; cellulose provides
structural support to the cell. Wood and paper are mostly cellulosic in nature. Cellulose is made up of glucose monomers
that are linked by β 1-4 glycosidic bonds (Figure 3.11).
100 Chapter 3 | Biological Macromolecules
Figure 3.11 In cellulose, glucose monomers are linked in unbranched chains by β 1-4 glycosidic linkages. Because of
the way the glucose subunits are joined, every glucose monomer is flipped relative to the next one, resulting in a linear,
fibrous structure.
As shown in Figure 3.11, every other glucose monomer in cellulose is flipped over, and the monomers are packed tightly
as extended long chains. This gives cellulose its rigidity and high tensile strength, which is so important to plant cells.
While the β 1-4 linkage cannot be broken down by human digestive enzymes, herbivores such as cows, koalas, buffalo, and
horses are able, with the help of the specialized flora in their stomach, to digest plant material that is rich in cellulose and
use it as a food source. In these animals, certain species of bacteria and protists reside in the rumen, part of the digestive
system of herbivores, and secrete the enzyme cellulase. The appendix of grazing animals also contains bacteria that digest
cellulose, giving it an important role in the digestive systems of ruminants. Cellulases can break down cellulose into glucose
monomers that can be used as an energy source by the animal. Termites are also able to break down cellulose because of the
presence of other organisms in their bodies that secrete cellulases.
Carbohydrates serve various functions in different animals. Arthropods—insects, crustaceans, and others—have an outer
skeleton, called the exoskeleton, which protects their internal body parts, as seen in Figure 3.12. This exoskeleton is made
of the biological macromolecule chitin, which is a polysaccharide containing nitrogen. It is made of repeating units of N-
acetyl-β-d-glucosamine, a modified sugar. Chitin is also a major component of fungal cell walls; fungi are neither animals
nor plants and form a kingdom of their own in the domain Eukarya.
Figure 3.12 Insects have a hard outer exoskeleton made of chitin, a type of polysaccharide. (credit: Louise Docker)
Chapter 3 | Biological Macromolecules 101
Registered dietitians help plan nutrition programs for individuals in various settings. They often work with
patients in health care facilities, designing nutrition plans to treat and prevent diseases. For example,
dietitians may teach a patient with diabetes how to manage blood sugar levels by eating the correct types
and amounts of carbohydrates. Dietitians may also work in nursing homes, schools, and private practices.
To become a registered dietitian, one needs to earn at least a bachelor’s degree in dietetics, nutrition,
food technology, or a related field. In addition, registered dietitians must complete a supervised internship
program and pass a national exam. Those who pursue careers in dietetics take courses in nutrition,
chemistry, biochemistry, biology, microbiology, and human physiology. Dietitians must become experts in
the chemistry and physiology—biological functions—of food, namely proteins, carbohydrates, and fats.
Benefits of Carbohydrates
Are carbohydrates good for you? People who wish to lose weight are often told that carbohydrates are bad for them and
should be avoided. Some diets completely forbid carbohydrate consumption, claiming that a low-carbohydrate diet helps
people to lose weight faster. However, carbohydrates have been an important part of the human diet for thousands of years;
artifacts from ancient civilizations show the presence of wheat, rice, and corn in our ancestors’ storage areas.
Carbohydrates should be supplemented with proteins, vitamins, and fats to be parts of a well-balanced diet. Calorie-wise,
a gram of carbohydrate provides 4.3 Kcal. For comparison, fats provide 9 Kcal/g, a less desirable ratio. Carbohydrates
contain soluble and insoluble elements; the insoluble part is known as fiber, which is mostly cellulose. Fiber has many
uses, including promoting regular bowel movements by adding bulk, and regulating the rate of consumption of blood
glucose. Fiber also helps to remove excess cholesterol from the body—fiber binds to the cholesterol in the small intestine,
then attaches to the cholesterol and prevents the cholesterol particles from entering the bloodstream, and then cholesterol
exits the body via the feces. In addition, a meal containing whole grains and vegetables gives a feeling of fullness. As an
immediate source of energy, glucose is broken down during the process of cellular respiration, which produces ATP, the
energy currency of the cell. Without the consumption of carbohydrates, the availability of instant energy would be reduced.
Eliminating carbohydrates from the diet is not the best way to lose weight. A low-calorie diet that is rich in whole grains,
fruits, vegetables, and lean meat, together with plenty of exercise and plenty of water, is the more sensible way to lose
weight.
For an additional perspective on carbohydrates, explore Biomolecules: The Carbohydrates through this interactive
animation (http://openstaxcollege.org/l/carbohydrates) .
Fiber is not really a nutrient because it passes through our body undigested. Which of the following statements best
explains why fiber cannot be digested and why it is important to our diet.
a. The enzymes required to digest cellulose are not produced in the human body; undigested fiber adds bulk to
the food, easing bowel movements.
b. The enzymes that digests cellulose cannot bind to the cellulose due to altered active sites; undigested fiber
adds bulk to the food, easing bowel movements.
c. The enzymes required to digest cellulose are not produced in the human body; fiber produces energy for the
metabolism.
Activity
Use a molecular model kit to construct a polysaccharide from several different monosaccharide monomers.
Explain how the structure of the polysaccharide determines its primary function as an energy storage
molecule. Then use your model to describe how changes in structure result in changes in function.
Think About It
• Explain why athletes often carbo-load before a big game or tournament.
• Explain why it is difficult for some animals, including humans, to digest cellulose. Describe a structural
difference between cellulose and starch, which is easily digested by humans. How are cows and other
ruminants able to digest cellulose?
Section Summary
Carbohydrates are a group of macromolecules that are a vital energy source for the cell and provide structural support to
plant cells, fungi, and all of the arthropods that include lobsters, crabs, shrimp, insects, and spiders. Carbohydrates are
classified as monosaccharides, disaccharides, and polysaccharides depending on the number of monomers in the molecule.
Monosaccharides are linked by glycosidic bonds that are formed as a result of dehydration reactions, forming disaccharides
and polysaccharides with the elimination of a water molecule for each bond formed. Glucose, galactose, and fructose are
common monosaccharides, whereas common disaccharides include lactose, maltose, and sucrose. Starch and glycogen,
examples of polysaccharides, are the storage forms of glucose in plants and animals, respectively. The long polysaccharide
chains may be branched or unbranched. Cellulose is an example of an unbranched polysaccharide, whereas amylopectin, a
constituent of starch, is a highly branched molecule. Storage of glucose, in the form of polymers like starch of glycogen,
makes it slightly less accessible for metabolism; however, this prevents it from leaking out of the cell or creating a high
osmotic pressure that could cause excessive water uptake by the cell.
3.3 | Lipids
In this section, you will explore the following questions:
• What are the four major types of lipids?
• What are functions of fats in living organisms?
• What is the difference between saturated and unsaturated fatty acids?
• What is the molecular structure of phospholipids, and what is the role of phospholipids in cells?
• What is the basic structure of a steroid, and what are examples of their functions?
• How does cholesterol help maintain the fluid nature of the plasma membrane of cells?
conformation; unfortunately, trans fats have been shown to contribute to heart disease. Phospholipids are a special type of
lipid associated with cell membranes and typically have a glycerol, or sphingosine, backbone to which two fatty acid chains
and a phosphate-containing group are attached. As a result, phospholipids are considered amphipathic because they have
both hydrophobic and hydrophilic components. In Chapters 4 and 5 we will explore in more detail how the amphipathic
nature of phospholipids in plasma cell membranes helps regulate the passage of substances into and out of the cell. Although
the molecular structures of steroids differ from that of triglycerides and phospholipids, steroids are classified as lipids based
on their hydrophobic properties. Cholesterol is a type of steroid in animal cells’ plasma membrane. Cholesterol is also the
precursor of steroid hormones, such as testosterone.
Information presented and the examples highlighted in the section, support concepts outlined in Big Idea 4 of the
AP® Biology Curriculum Framework. The learning objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 4.1 The student is able to explain the connection between the sequence and the
Objective subcomponents of a biological polymer and its properties.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
4.2 The student is able to refine representations and models to explain how the
Learning
subcomponents of a biological polymer and their sequence determine the properties of that
Objective
polymer.
Science
6.1 The student can justify claims with evidence.
Practice
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.3 The student is able to use models to predict and justify that changes in the
Objective subcomponents of a biological polymer affect the functionality of the molecules.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.9]
• [APLO 2.10]
• [APLO 2.12]
• [APLO 2.13]
• [APLO 2.14]
• [APLO 4.14]
fearing, or insoluble in water. Lipids perform many different functions in a cell. Cells store energy for long-term use in the
form of fats. Lipids also provide insulation from the environment for plants and animals (Figure 3.13). For example, their
water-repellant hydrophobic nature can help keep aquatic birds and mammals dry by forming a protective layer over fur
or feathers. Lipids are also the building blocks of many hormones and an important constituent of all cellular membranes.
Lipids include fats, waxes, phospholipids, and steroids.
Figure 3.13 Hydrophobic lipids in the fur of aquatic mammals, such as this river otter, protect them from the elements.
(credit: Ken Bosma)
A fat molecule consists of two main components: glycerol and fatty acids. Glycerol is an organic compound (alcohol) with
three carbons, five hydrogens, and three hydroxyl (OH) groups. Fatty acids have a long chain of hydrocarbons to which a
carboxyl group is attached, hence the name fatty acid. The number of carbons in the fatty acid may range from four to 36;
most common are those containing 12–18 carbons. In a fat molecule, the fatty acids are attached to each of the three carbons
of the glycerol molecule with an ester bond through an oxygen atom (Figure 3.14).
Chapter 3 | Biological Macromolecules 105
Figure 3.14 Triacylglycerol is formed by the joining of three fatty acids to a glycerol backbone in a dehydration reaction.
Three molecules of water are released in the process.
During this ester bond formation, three water molecules are released. The three fatty acids in the triacylglycerol may be
similar or dissimilar. Fats are also called triacylglycerols or triglycerides because of their chemical structure. Some fatty
acids have common names that specify their origin. For example, palmitic acid, a saturated fatty acid, is derived from the
palm tree. Arachidic acid is derived from Arachis hypogea, the scientific name for groundnuts or peanuts.
Fatty acids may be saturated or unsaturated. In a fatty acid chain, if there are only single bonds between neighboring carbons
in the hydrocarbon chain, the fatty acid is said to be saturated. Saturated fatty acids are saturated with hydrogen; in other
words, the number of hydrogen atoms attached to the carbon skeleton is maximized. Stearic acid is an example of a saturated
fatty acid (Figure 3.15).
When the hydrocarbon chain contains a double bond, the fatty acid is said to be unsaturated. Oleic acid is an example of
an unsaturated fatty acid (Figure 3.16).
Most unsaturated fats are liquid at room temperature and are called oils. If there is one double bond in the molecule,
then it is known as a monounsaturated fat, such as olive oil; if there is more than one double bond, then it is known as a
polyunsaturated fat, such as canola oil.
When a fatty acid has no double bonds, it is known as a saturated fatty acid because no more hydrogen may be added to
the carbon atoms of the chain. A fat may contain similar or different fatty acids attached to glycerol. Long straight fatty
acids with single bonds tend to get packed tightly and are solid at room temperature. Animal fats with stearic acid and
palmitic acid, common in meat, and the fat with butyric acid, common in butter, are examples of saturated fats. Mammals
store fats in specialized cells called adipocytes, where globules of fat occupy most of the cell’s volume. In plants, fat or oil
is stored in many seeds and is used as a source of energy during seedling development. Unsaturated fats or oils are usually
of plant origin and contain cis unsaturated fatty acids. Cis and trans indicate the configuration of the molecule around the
double bond. If hydrogens are present in the same plane, it is referred to as a cis fat; if the hydrogen atoms are on two
different planes, it is referred to as a trans fat. The cis double bond causes a bend or a kink that prevents the fatty acids from
packing tightly, keeping them liquid at room temperature (Figure 3.17). Olive oil, corn oil, canola oil, and cod liver oil are
examples of unsaturated fats. Unsaturated fats help to lower blood cholesterol levels, whereas saturated fats contribute to
plaque formation in the arteries.
Chapter 3 | Biological Macromolecules 107
Figure 3.17 Saturated fatty acids have hydrocarbon chains connected by single bonds only. Unsaturated fatty acids
have one or more double bonds. Each double bond may be in a cis or trans configuration. In the cis configuration, both
hydrogens are on the same side of the hydrocarbon chain. In the trans configuration, the hydrogens are on opposite
sides. A cis double bond causes a kink in the chain.
Trans Fats
In the food industry, oils are artificially hydrogenated to make them semi-solid and of a consistency desirable for many
processed food products. Simply speaking, hydrogen gas is bubbled through oils to solidify them. During this hydrogenation
process, double bonds of the cis- conformation in the hydrocarbon chain may be converted to double bonds in the trans-
conformation.
Margarine, some types of peanut butter, and shortening are examples of artificially hydrogenated trans fats. Recent studies
have shown that an increase in trans fats in the human diet may lead to an increase in levels of low-density lipoproteins
(LDL), or bad cholesterol, which in turn may lead to plaque deposition in the arteries, resulting in heart disease. Many fast
food restaurants have recently banned the use of trans fats, and food labels are required to display the trans fat content.
Omega Fatty Acids
Essential fatty acids are fatty acids required but not synthesized by the human body. Consequently, they have to be
supplemented through ingestion via the diet. Omega-3 fatty acids, like that shown in Figure 3.18, fall into this category
and are one of only two known for humans—the other being omega-6 fatty acid. These are polyunsaturated fatty acids and
are called omega-3 because the third carbon from the end of the hydrocarbon chain is connected to its neighboring carbon
by a double bond.
108 Chapter 3 | Biological Macromolecules
Figure 3.18 Alpha-linolenic acid is an example of an omega-3 fatty acid. It has three cis double bonds and, as a result,
a curved shape. For clarity, the carbons are not shown. Each singly bonded carbon has two hydrogens associated with
it, also not shown.
The farthest carbon away from the carboxyl group is numbered as the omega (ω) carbon, and if the double bond is
between the third and fourth carbon from that end, it is known as an omega-3 fatty acid. Nutritionally important because
the body does not make them, omega-3 fatty acids include alpha-linoleic acid (ALA), eicosapentaenoic acid (EPA), and
docosahexaenoic acid (DHA), all of which are polyunsaturated. Salmon, trout, and tuna are good sources of omega-3 fatty
acids. Research indicates that omega-3 fatty acids reduce the risk of sudden death from heart attacks, reduce triglycerides in
the blood, lower blood pressure, and prevent thrombosis by inhibiting blood clotting. They also reduce inflammation, and
may help reduce the risk of some cancers in animals.
Like carbohydrates, fats have received a lot of bad publicity. It is true that eating an excess of fried foods and other fatty
foods leads to weight gain. However, fats do have important functions. Many vitamins are fat soluble, and fats serve as a
long-term storage form of fatty acids, which are a source of energy. They also provide insulation for the body. Therefore,
healthy fats in moderate amounts should be consumed on a regular basis.
Think About It
Explain why trans fats have been banned from some restaurants. How are trans fats made, and what effect does a
simple chemical change have on the properties of the lipid?
Waxes
Wax covers the feathers of some aquatic birds and the leaf surfaces of some plants. Because of the hydrophobic nature of
waxes, they prevent water from sticking on the surface (Figure 3.19). Waxes are made up of long fatty acid chains esterified
to long-chain alcohols.
Chapter 3 | Biological Macromolecules 109
Figure 3.19 Waxy coverings on some leaves are made of lipids. (credit: Roger Griffith)
Phospholipids
Phospholipids are major constituents of the plasma membrane, the outermost layer of animal cells. Like fats, they are
composed of fatty acid chains attached to a glycerol or sphingosine backbone. Instead of three fatty acids attached as in
triglycerides, there are two fatty acids forming diacylglycerol, and the third carbon of the glycerol backbone is occupied
by a modified phosphate group (Figure 3.20). A phosphate group alone attached to a diaglycerol does not qualify as a
phospholipid; it is phosphatidate (diacylglycerol 3-phosphate), the precursor of phospholipids. The phosphate group is
modified by an alcohol. Phosphatidylcholine and phosphatidylserine are two important phospholipids that are found in
plasma membranes.
Figure 3.20 A phospholipid is a molecule with two fatty acids and a modified phosphate group attached to a glycerol
backbone. The phosphate may be modified by the addition of charged or polar chemical groups. Two chemical groups
that may modify the phosphate, choline, and serine, are shown here. Both choline and serine attach to the phosphate
group at the position labeled R via the hydroxyl group indicated in green.
A phospholipid is an amphipathic molecule, meaning it has a hydrophobic and a hydrophilic part. The fatty acid chains are
hydrophobic and cannot interact with water, whereas the phosphate-containing group is hydrophilic and interacts with water
(Figure 3.21).
110 Chapter 3 | Biological Macromolecules
Figure 3.21 The phospholipid bilayer is the major component of all cellular membranes. The hydrophilic head groups
of the phospholipids face the aqueous solution. The hydrophobic tails are sequestered in the middle of the bilayer.
The head is the hydrophilic part, and the tail contains the hydrophobic fatty acids. In a membrane, a bilayer of phospholipids
forms the matrix of the structure, the fatty acid tails of phospholipids face inside, away from water, whereas the phosphate
group faces the outside, aqueous side (Figure 3.21).
Phospholipids are responsible for the dynamic nature of the plasma membrane. If a drop of phospholipids is placed in water,
it spontaneously forms a structure known as a micelle, where the hydrophilic phosphate heads face the outside and the fatty
acids face the interior of this structure.
Fats are amphiphilic molecules. In other words, the long hydrocarbon tail is hydrophobic, and the glycerol
part of the molecule is hydrophilic. When in water, fats will arrange themselves into a ball called a micelle
so that the hydrophilic heads are on the outer surface, and the hydrophobic tails are on the inside where
they are protected from the surrounding water.
Figure 3.22
Steroids
Unlike the phospholipids and fats discussed earlier, steroids have a fused ring structure. Although they do not resemble the
other lipids, they are grouped with them because they are also hydrophobic and insoluble in water. All steroids have four
linked carbon rings and several of them, like cholesterol, have a short tail (Figure 3.23). Many steroids also have the –OH
functional group, which puts them in the alcohol classification (sterols).
Chapter 3 | Biological Macromolecules 111
Figure 3.23 Steroids, such as cholesterol and cortisol, are composed of four fused hydrocarbon rings.
Cholesterol is the most common steroid. Cholesterol is mainly synthesized in the liver and is the precursor to many steroid
hormones such as testosterone and estradiol, which are secreted by the gonads and endocrine glands. It is also the precursor
to vitamin D. Cholesterol is also the precursor of bile salts, which help in the emulsification of fats and their subsequent
absorption by cells. Although cholesterol is often spoken of in negative terms by lay people, it is necessary for proper
functioning of the body. It is a component of the plasma membrane of animal cells and is found within the phospholipid
bilayer. Being the outermost structure in animal cells, the plasma membrane is responsible for the transport of materials and
cellular recognition and it is involved in cell-to-cell communication.
For an additional perspective on lipids, explore the interactive animation Biomolecules: The Lipids
(http://openstaxcollege.org/l/lipids) .
What is cholesterol specifically classified as?
a. a lipid
b. a phospholipid
c. a steroid
d. a wax
Section Summary
Lipids are a class of macromolecules that are nonpolar and hydrophobic in nature. Major types include fats and oils, waxes,
112 Chapter 3 | Biological Macromolecules
phospholipids, and steroids. Fats are a stored form of energy and are also known as triacylglycerols or triglycerides. Fats
are made up of fatty acids and either glycerol or sphingosine. Fatty acids may be unsaturated or saturated, depending on
the presence or absence of double bonds in the hydrocarbon chain. If only single bonds are present, they are known as
saturated fatty acids. Unsaturated fatty acids may have one or more double bonds in the hydrocarbon chain. Phospholipids
make up the matrix of membranes. They have a glycerol or sphingosine backbone to which two fatty acid chains and a
phosphate-containing group are attached. Steroids are another class of lipids. Their basic structure has four fused carbon
rings. Cholesterol is a type of steroid and is an important constituent of the plasma membrane, where it helps to maintain
the fluid nature of the membrane. It is also the precursor of steroid hormones, such as testosterone.
3.4 | Proteins
In this section, you will explore the following questions:
• What are functions of proteins in cells and tissues?
• What is the relationship between amino acids and proteins?
• What are the four levels of protein organization?
• What is the relationship between protein shape and function?
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Chapter 3 | Biological Macromolecules 113
Learning 4.1 The student is able to explain the connection between the sequence and the
Objective subcomponents of a biological polymer and its properties.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
4.2 The student is able to refine representations and models to explain how the
Learning
subcomponents of a biological polymer and their sequence determine the properties of that
Objective
polymer.
Science
6.1 The student can justify claims with evidence.
Practice
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.3 The student is able to use models to predict and justify that changes in the
Objective subcomponents of a biological polymer affect the functionality of the molecules.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 1.14]
• [APLO 2.12]
• [APLO 4.1]
• [APLO 4.3]
• [APLO 4.15]
• [APLO 4.22]
Table 3.1
114 Chapter 3 | Biological Macromolecules
Table 3.1
Proteins have different shapes and molecular weights; some proteins are globular in shape, whereas others are fibrous in
nature. For example, hemoglobin is a globular protein, but collagen, found in our skin, is a fibrous protein. Protein shape is
critical to its function, and this shape is maintained by many different types of chemical bonds. Changes in temperature, pH,
and exposure to chemicals may lead to permanent changes in the shape of the protein, leading to loss of function, known as
denaturation. All proteins are made up of different arrangements of the same 20 types of amino acids.
Amino Acids
Amino acids are the monomers that make up proteins. Each amino acid has the same fundamental structure, which consists
of a central carbon atom, also known as the alpha (α) carbon, bonded to an amino group (NH2), a carboxyl group (COOH),
and to a hydrogen atom. Every amino acid also has another atom or group of atoms bonded to the central atom known as
the R group (Figure 3.24).
Figure 3.24 Amino acids have a central asymmetric carbon to which an amino group, a carboxyl group, a hydrogen
atom, and a side chain (R group) are attached.
The name amino acid is derived from the fact that they contain both amino group and carboxyl-acid-group in their basic
structure. As mentioned, there are 20 amino acids present in proteins. Ten of these are considered essential amino acids
in humans because the human body cannot produce them and they are obtained from the diet. For each amino acid, the R
group, or side chain, is different (Figure 3.25).
Chapter 3 | Biological Macromolecules 115
Figure 3.25 There are 20 common amino acids commonly found in proteins, each with a different R group, or
variant group, that determines its chemical nature.
Which categories of amino acids would you expect to find on the surface of a soluble protein, and which would you
expect to find in the interior?
a. Polar and charged amino acids will be found on the surface. Nonpolar amino acids will be found in the
interior.
b. Polar and charged amino acids will be found on the surface. Nonpolar amino acids will be found in the
interior.
c. Nonpolar and charged amino acids will be on the surface while polar amino acids will be deeper within the
protein.
d. Nonpolar and uncharged proteins will be found on the surface as well as in the interior.
The chemical nature of the side chain determines the nature of the amino acid—that is, whether it is acidic, basic, polar, or
nonpolar. For example, the amino acid glycine has a hydrogen atom as the R group. Amino acids such as valine, methionine,
and alanine are nonpolar or hydrophobic in nature, while amino acids such as serine, threonine, and cysteine are polar and
have hydrophilic side chains. The side chains of lysine and arginine are positively charged, and therefore these amino acids
are also known as basic amino acids. Proline has an R group that is linked to the amino group, forming a ring-like structure.
Proline is an exception to the standard structure of an animo acid since its amino group is not separate from the side chain
(Figure 3.25).
116 Chapter 3 | Biological Macromolecules
Amino acids are represented by a single upper case letter or a three-letter abbreviation. For example, valine is known by
the letter V or the three-letter symbol val. Just as some fatty acids are essential to a diet, some amino acids are necessary
as well. They are known as essential amino acids, and in humans they include isoleucine, leucine, and cysteine. Essential
amino acids refer to those necessary for construction of proteins in the body, although not produced by the body; which
amino acids are essential varies from organism to organism.
The sequence and the number of amino acids ultimately determine the protein's shape, size, and function. Each amino acid
is attached to another amino acid by a covalent bond, known as a peptide bond, which is formed by a dehydration reaction.
The carboxyl group of one amino acid and the amino group of the incoming amino acid combine, releasing a molecule of
water. The resulting bond is the peptide bond (Figure 3.26).
Figure 3.26 Peptide bond formation is a dehydration synthesis reaction. The carboxyl group of one amino acid is linked
to the amino group of the incoming amino acid. In the process, a molecule of water is released.
The products formed by such linkages are called peptides. As more amino acids join to this growing chain, the resulting
chain is known as a polypeptide. Each polypeptide has a free amino group at one end. This end is called the N terminal,
or the amino terminal, and the other end has a free carboxyl group, also known as the C or carboxyl terminal. While the
terms polypeptide and protein are sometimes used interchangeably, a polypeptide is technically a polymer of amino acids,
whereas the term protein is used for a polypeptide or polypeptides that have combined together, often have bound non-
peptide prosthetic groups, have a distinct shape, and have a unique function. After protein synthesis (translation), most
proteins are modified. These are known as post-translational modifications. They may undergo cleavage, phosphorylation,
or may require the addition of other chemical groups. Only after these modifications is the protein completely functional.
Click through the steps of protein synthesis in this interactive tutorial (http://openstaxcollege.org/l/protein_synth) .
a. Protein is the body’s preferred source for energy for rapid energy production.
b. Protein is stored in the liver and muscles to supply energy for future use.
c. Protein is required for tissue formation and constitutes hormones and enzymes.
Cytochrome c is an important component of the electron transport chain, a part of cellular respiration, and
it is normally found in the cellular organelle, the mitochondrion. This protein has a heme prosthetic group,
and the central ion of the heme gets alternately reduced and oxidized during electron transfer. Because this
essential protein’s role in producing cellular energy is crucial, it has changed very little over millions of years.
Protein sequencing has shown that there is a considerable amount of cytochrome c amino acid sequence
homology among different species; in other words, evolutionary kinship can be assessed by measuring the
similarities or differences among various species’ DNA or protein sequences.
Scientists have determined that human cytochrome c contains 104 amino acids. For each cytochrome c
molecule from different organisms that has been sequenced to date, 37 of these amino acids appear in the
same position in all samples of cytochrome c. This indicates that there may have been a common ancestor.
On comparing the human and chimpanzee protein sequences, no sequence difference was found. When
human and rhesus monkey sequences were compared, the single difference found was in one amino acid.
In another comparison, human to yeast sequencing shows a difference in the 44th position.
The protein sequence of cytochrome c from chimpanzees and humans is identical. The protein sequence of cytochrome
c from rhesus monkeys differs from the human sequence by one amino acid. What do these comparisons suggest?
a. Rhesus monkeys are more closely related to humans than chimpanzees.
b. Chimpanzees are more closely related to rhesus monkeys than to humans.
c. Humans are related to chimpanzees, but are not related to rhesus monkeys.
d. Chimpanzees are more closely related to humans than rhesus monkeys.
Protein Structure
As discussed earlier, the shape of a protein is critical to its function. For example, an enzyme can bind to a specific substrate
at a site known as the active site. If this active site is altered because of local changes or changes in overall protein structure,
the enzyme may be unable to bind to the substrate. To understand how the protein gets its final shape or conformation, we
need to understand the four levels of protein structure: primary, secondary, tertiary, and quaternary.
Primary Structure
The unique sequence of amino acids in a polypeptide chain is its primary structure. For example, the pancreatic hormone
insulin has two polypeptide chains, A and B, and they are linked together by disulfide bonds. The N terminal amino acid of
the A chain is glycine, whereas the C terminal amino acid is asparagine (Figure 3.27). The sequences of amino acids in the
A and B chains are unique to insulin.
118 Chapter 3 | Biological Macromolecules
Figure 3.27 Bovine serum insulin is a protein hormone made of two peptide chains, A (21 amino acids long) and B (30
amino acids long). In each chain, primary structure is indicated by three-letter abbreviations that represent the names
of the amino acids in the order they are present. The amino acid cysteine (cys) has a sulfhydryl (SH) group as a side
chain. Two sulfhydryl groups can react in the presence of oxygen to form a disulfide (S-S) bond. Two disulfide bonds
connect the A and B chains together, and a third helps the A chain fold into the correct shape. Note that all disulfide
bonds are the same length, but are drawn different sizes for clarity.
The unique sequence for every protein is ultimately determined by the gene encoding the protein. A change in nucleotide
sequence of the gene’s coding region may lead to a different amino acid being added to the growing polypeptide chain,
causing a change in protein structure and function. In sickle cell anemia, the hemoglobin β chain—a small portion of
which is shown in Figure 3.28—has a single amino acid substitution, causing a change in protein structure and function.
Specifically, the amino acid glutamic acid is substituted by valine in the β chain. What is most remarkable to consider is
that a hemoglobin molecule is made up of two alpha chains and two beta chains that each consist of about 150 amino acids.
The molecule, therefore, has about 600 amino acids. The structural difference between a normal hemoglobin molecule and
a sickle cell molecule—which dramatically decreases life expectancy—is a single amino acid of the 600. What is even more
remarkable is that those 600 amino acids are encoded by three nucleotides each, and the mutation is caused by a single base
change, or point mutation, one in 1800 bases.
Figure 3.28 The beta chain of hemoglobin is 147 residues in length, yet a single amino acid substitution leads to
sickle cell anemia. In normal hemoglobin, the amino acid at position seven is glutamate. In sickle cell hemoglobin, this
glutamate is replaced by a valine.
Because of this change of one amino acid in the chain, hemoglobin molecules form long fibers that distort the biconcave,
or disc-shaped, red blood cells and assume a crescent or sickle shape, which clogs arteries (Figure 3.29). This can lead to
myriad serious health problems, such as breathlessness, dizziness, headaches, and abdominal pain for those affected by this
disease.
Chapter 3 | Biological Macromolecules 119
Figure 3.29 In this blood smear, visualized at 535x magnification using bright field microscopy, sickle cells are crescent
shaped, while normal cells are disc-shaped. (credit: modification of work by Ed Uthman; scale-bar data from Matt
Russell)
Secondary Structure
The local folding of the polypeptide in some regions gives rise to the secondary structure of the protein. The most common
are the α-helix and β-pleated sheet structures (Figure 3.30). Both structures are held together by hydrogen bonds. In the
α-helix structure, the hydrogen bonds form between the oxygen atom in the carbonyl group in one amino acid and another
amino acid that is four amino acids farther along the chain.
Figure 3.30 The α-helix and β-pleated sheet are secondary structures of proteins that form because of hydrogen
bonding between carbonyl and amino groups in the peptide backbone. Certain amino acids have a propensity to form
an α-helix, while others have a propensity to form a β-pleated sheet.
Every helical turn in an alpha helix has 3.6 amino acid residues. The R groups, the variant groups, of the polypeptide
protrude out from the α-helix chain. In the β-pleated sheet, the pleats are formed by hydrogen bonding between atoms on
the backbone of the polypeptide chain. The R groups are attached to the carbons and extend above and below the folds of
the pleat. The pleated segments align parallel or antiparallel to each other, and hydrogen bonds form between the partially
positive nitrogen atom in the amino group and the partially negative oxygen atom in the carbonyl group of the peptide
backbone. The α-helix and β-pleated sheet structures are found in most globular and fibrous proteins and they play an
important structural role.
Tertiary Structure
The unique three-dimensional structure of a polypeptide is its tertiary structure (Figure 3.31). This structure is in part
due to chemical interactions at work on the polypeptide chain. Primarily, the interactions among R groups creates the
120 Chapter 3 | Biological Macromolecules
complex three-dimensional tertiary structure of a protein. The nature of the R groups found in the amino acids involved
can counteract the formation of the hydrogen bonds described for standard secondary structures. For example, R groups
with like charges are repelled by each other and those with unlike charges are attracted to each other—ionic bonds. When
protein folding takes place, the hydrophobic R groups of nonpolar amino acids lay in the interior of the protein, whereas
the hydrophilic R groups lay on the outside. The former types of interactions are also known as hydrophobic interactions.
Interaction between cysteine side chains forms disulfide linkages in the presence of oxygen, the only covalent bond forming
during protein folding.
Figure 3.31 The tertiary structure of proteins is determined by a variety of chemical interactions. These include
hydrophobic interactions, ionic bonding, hydrogen bonding, and disulfide linkages.
All of these interactions, weak and strong, determine the final three-dimensional shape of the protein. When a protein loses
its three-dimensional shape, it may no longer be functional.
Quaternary Structure
In nature, some proteins are formed from several polypeptides, also known as subunits, and the interaction of these
subunits forms the quaternary structure. Weak interactions between the subunits help to stabilize the overall structure. For
example, insulin—a globular protein—has a combination of hydrogen bonds and disulfide bonds that cause it to be mostly
clumped into a ball shape. Insulin starts out as a single polypeptide and loses some internal sequences in the presence of
post-translational modification after the formation of the disulfide linkages that hold the remaining chains together. Silk—a
fibrous protein—however, has a β-pleated sheet structure that is the result of hydrogen bonding between different chains.
The four levels of protein structure—primary, secondary, tertiary, and quaternary—are illustrated in Figure 3.32.
Chapter 3 | Biological Macromolecules 121
Figure 3.32 The four levels of protein structure can be observed in these illustrations. (credit: modification of work by
National Human Genome Research Institute)
Vegans are people who do not consume any animal products in their diet. Why do vegans need to pay special attention to
the protein that they eat?
a. Plant proteins contain all of the essential as well as non-essential amino acids.
b. It is more difficult to obtain all essential amino acids from single plant sources.
d. Plants proteins do not have all of the non-essential amino acids, but do contain the essential amino acids.
Think About It
• Predict what happens if even one amino acid is substituted for another in a polypeptide and provide a
specific example.
• What categories of amino acids would you expect to find on the surface of a soluble protein, and which
would you expect to find in the interior? What distribution of amino acids would you expect to find in a
protein embedded in a lipid bilayer of a plasma cell membrane?
Activity
Folding is an important property of proteins, especially enzymes. Proteins have a narrow range of conditions
in which they fold properly. Outside that range, proteins can unfold, or denature, and often cannot refold and
become functional again. Investigate one disease that results from improper folding of a protein. Describe
causes of the unfolding and consequences to the molecular structure of the polypeptide that result in the
disease.
Section Summary
Proteins are a class of macromolecules that perform a diverse range of functions for the cell. They help in metabolism
by providing structural support and by acting as enzymes, carriers, or hormones. The building blocks of
proteins—monomers—are amino acids. Each amino acid has a central carbon that is linked to an amino group, a carboxyl
group, a hydrogen atom, and an R group or side chain. There are 20 commonly occurring amino acids, each of which differs
in the R group. Each amino acid is linked to its neighbors by a peptide bond. A long chain of amino acids is known as a
polypeptide.
Proteins are organized at four levels: primary, secondary, tertiary, and (optional) quaternary. The primary structure is the
unique sequence of amino acids. The local folding of the polypeptide to form structures, such as the α helix and β-pleated
sheet, constitutes the secondary structure. The overall three-dimensional structure is the tertiary structure. When two or
more polypeptides combine to form the complete protein structure, the configuration is known as the quaternary structure
of a protein. Protein shape and function are intricately linked; any change in shape caused by changes in temperature or pH
may lead to protein denaturation and a loss in function.
Chapter 3 | Biological Macromolecules 123
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases, that RNA
Objective
are the primary sources of heritable information.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.6 The student can predict how a change in a specific DNA or RNA sequence can result in
Objective changes in gene expression.
124 Chapter 3 | Biological Macromolecules
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 4.1 The student is able to explain the connection between the sequence and the
Objective subcomponents of a biological polymer and its properties.
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
4.2 The student is able to refine representations and models to explain how the
Learning
subcomponents of a biological polymer and their sequence determine the properties of that
Objective
polymer.
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
6.1 The student can justify claims with evidence.
Practice
6.4 The student can make claims and predictions about natural phenomena based on
scientific theories and models.
Learning 4.3 The student is able to use models to predict and justify that changes in the
Objective subcomponents of a biological polymer affect the functionality of the molecules.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
[APLO 3.1] [APLO 4.17]
Figure 3.33 A nucleotide is made up of three components: a nitrogenous base, a pentose sugar, and one or more
phosphate groups. Carbon residues in the pentose are numbered 1′ through 5′ (the prime distinguishes these residues
from those in the base, which are numbered without using a prime notation). The base is attached to the 1′ position of
the ribose, and the phosphate is attached to the 5′ position. When a polynucleotide is formed, the 5′ phosphate of the
incoming nucleotide attaches to the 3′ hydroxyl group at the end of the growing chain. Two types of pentose are found
in nucleotides, deoxyribose (found in DNA) and ribose (found in RNA). Deoxyribose is similar in structure to ribose,
but it has an H instead of an OH at the 2′ position. Bases can be divided into two categories: purines and pyrimidines.
Purines have a double ring structure, and pyrimidines have a single ring.
The nitrogenous bases, important components of nucleotides, are organic molecules and are so named because they contain
carbon and nitrogen. They are bases because they contain an amino group that has the potential of binding an extra
hydrogen, and thus, decreases the hydrogen ion concentration in its environment, making it more basic. Each nucleotide in
DNA contains one of four possible nitrogenous bases: adenine (A), guanine (G) cytosine (C), and thymine (T).
Adenine and guanine are classified as purines. The primary structure of a purine is two carbon-nitrogen rings. Cytosine,
thymine, and uracil are classified as pyrimidines which have a single carbon-nitrogen ring as their primary structure
(Figure 3.33). Each of these basic carbon-nitrogen rings has different functional groups attached to it. In molecular biology
shorthand, the nitrogenous bases are simply known by their symbols A, T, G, C, and U. DNA contains A, T, G, and C
whereas RNA contains A, U, G, and C.
The pentose sugar in DNA is deoxyribose, and in RNA, the sugar is ribose (Figure 3.33). The difference between the
sugars is the presence of the hydroxyl group on the second carbon of the ribose and hydrogen on the second carbon of the
deoxyribose. The carbon atoms of the sugar molecule are numbered as 1′, 2′, 3′, 4′, and 5′ (1′ is read as “one prime”). The
phosphate residue is attached to the hydroxyl group of the 5′ carbon of one sugar and the hydroxyl group of the 3′ carbon
of the sugar of the next nucleotide, which forms a 5′–3′ phosphodiester linkage. The phosphodiester linkage is not formed
by simple dehydration reaction like the other linkages connecting monomers in macromolecules: its formation involves the
126 Chapter 3 | Biological Macromolecules
removal of two phosphate groups. A polynucleotide may have thousands of such phosphodiester linkages.
Figure 3.34 Native DNA is an antiparallel double helix. The phosphate backbone (indicated by the curvy lines) is on
the outside, and the bases are on the inside. Each base from one strand interacts via hydrogen bonding with a base
from the opposing strand. (credit: Jerome Walker/Dennis Myts)
Only certain types of base pairing are allowed. For example, a certain purine can only pair with a certain pyrimidine. This
means A can pair with T, and G can pair with C, as shown in Figure 3.35. This is known as the base complementary
rule. In other words, the DNA strands are complementary to each other. If the sequence of one strand is AATTGGCC, the
complementary strand would have the sequence TTAACCGG. During DNA replication, each strand is copied, resulting in
a daughter DNA double helix containing one parental DNA strand and a newly synthesized strand.
Chapter 3 | Biological Macromolecules 127
Figure 3.35 In a double stranded DNA molecule, the two strands run antiparallel to one another so that one strand
runs 5′ to 3′ and the other 3′ to 5′. The phosphate backbone is located on the outside, and the bases are in the
middle. Adenine forms hydrogen bonds (or base pairs) with thymine, and guanine base pairs with cytosine.
A mutation occurs, and cytosine is replaced with adenine. What impact do you think this will have on the DNA
structure?
a. The DNA will normally pair its adenine with thymine, causing no change in the DNA structure.
b. The DNA will bulge in the places where cytosine is replaced by adenine.
c. The adenine substituted in the place of cytosine will get methylated and will not be transcribed further.
d. The DNA will cause another mutation to replace this incorrect DNA base.
RNA
Ribonucleic acid, or RNA, is mainly involved in the process of protein synthesis under the direction of DNA. RNA is
usually single-stranded and is made of ribonucleotides that are linked by phosphodiester bonds. A ribonucleotide in the
RNA chain contains ribose (the pentose sugar), one of the four nitrogenous bases (A, U, G, and C), and the phosphate group.
There are four major types of RNA: messenger RNA (mRNA), ribosomal RNA (rRNA), transfer RNA (tRNA), and
microRNA (miRNA). The first, mRNA, carries the message from DNA, which controls all of the cellular activities in a
cell. If a cell requires a certain protein to be synthesized, the gene for this product is turned “on” and the messenger RNA
is synthesized in the nucleus. The RNA base sequence is complementary to the coding sequence of the DNA from which
it has been copied. However, in RNA, the base T is absent and U is present instead. If the DNA strand has a sequence
AATTGCGC, the sequence of the complementary RNA is UUAACGCG. In the cytoplasm, the mRNA interacts with
ribosomes and other cellular machinery (Figure 3.36).
128 Chapter 3 | Biological Macromolecules
Figure 3.36 A ribosome has two parts: a large subunit and a small subunit. The mRNA sits in between the two
subunits. A tRNA molecule recognizes a codon on the mRNA, binds to it by complementary base pairing, and adds
the correct amino acid to the growing peptide chain.
The mRNA is read in sets of three bases known as codons. Each codon codes for a single amino acid. In this way, the
mRNA is read and the protein product is made. Ribosomal RNA (rRNA) is a major constituent of ribosomes on which
the mRNA binds. The rRNA ensures the proper alignment of the mRNA and the ribosomes; the rRNA of the ribosome
also has an enzymatic activity (peptidyl transferase) and catalyzes the formation of the peptide bonds between two aligned
amino acids. Transfer RNA (tRNA) is one of the smallest of the four types of RNA, usually 70–90 nucleotides long. It
carries the correct amino acid to the site of protein synthesis. It is the base pairing between the tRNA and mRNA that allows
for the correct amino acid to be inserted in the polypeptide chain. microRNAs are the smallest RNA molecules and their
role involves the regulation of gene expression by interfering with the expression of certain mRNA messages. Table 3.2
summarizes features of DNA and RNA.
Table 3.2
Even though the RNA is single stranded, most RNA types show extensive intramolecular base pairing between
complementary sequences, creating a predictable three-dimensional structure essential for their function.
As you have learned, information flow in an organism takes place from DNA to RNA to protein. DNA dictates the structure
of mRNA in a process known as transcription, and RNA dictates the structure of protein in a process known as translation.
This is known as the Central Dogma of Life, which holds true for all organisms; however, exceptions to the rule occur in
connection with viral infections.
Chapter 3 | Biological Macromolecules 129
To learn more about DNA, explore the Howard Hughes Medical Institute BioInteractive animations
(http://openstaxcollege.org/l/DNA) on the topic of DNA.
Why is DNA replication like an assembly line?
a. It consists of many biochemical machines that functions specifically in order to drive a specific action like
an assembly line.
b. It consists of many biochemical machines that have the same function in order to drive a specific action like
an assembly line.
c. It consists of many biochemical machines where each functions randomly in order to drive a specific action
like an assembly line.
d. It consists of many biochemical machines that functions in order to drive a non-specific action like an
assembly line.
Activity
Using construction paper, markers, and scissors, construct a model of DNA with at least 8 nucleotides.
Then, use the model to distinguish between DNA and RNA and hypothesize how the DNA molecule is
replicated during cell division. (Keep your molecule to model the processes of transcription and translation
that you will explore in Chapter 15.)
Think About It
A mutation occurs, and cytosine is replaced with adenine. Explain how this affects how the changed strand
will base pair with its complimentary strand of DNA.
Section Summary
Nucleic acids are molecules made up of nucleotides that direct cellular activities such as cell division and protein synthesis.
Each nucleotide is made up of a pentose sugar, a nitrogenous base, and a phosphate group. There are two types of nucleic
acids: DNA and RNA. DNA carries the genetic blueprint of the cell and is passed on from parents to offspring (in the
form of chromosomes). It has a double-helical structure with the two strands running in opposite directions, connected
by hydrogen bonds, and complementary to each other. RNA is single-stranded and is made of a pentose sugar (ribose), a
nitrogenous base, and a phosphate group. RNA is involved in protein synthesis and its regulation. Messenger RNA (mRNA)
is copied from the DNA, is exported from the nucleus to the cytoplasm, and contains information for the construction of
proteins. Ribosomal RNA (rRNA) is a part of the ribosomes at the site of protein synthesis, whereas transfer RNA (tRNA)
carries the amino acid to the site of protein synthesis. microRNA regulates the use of mRNA for protein synthesis.
130 Chapter 3 | Biological Macromolecules
KEY TERMS
alpha-helix structure (α-helix) type of secondary structure of proteins formed by folding of the polypeptide into a helix
shape with hydrogen bonds stabilizing the structure
amino acid monomer of a protein; has a central carbon or alpha carbon to which an amino group, a carboxyl group, a
hydrogen, and an R group or side chain is attached; the R group is different for all 20 amino acids
beta-pleated sheet (β-pleated) secondary structure found in proteins in which pleats are formed by hydrogen bonding
between atoms on the backbone of the polypeptide chain
biological macromolecule large molecule necessary for life that is built from smaller organic molecules
carbohydrate biological macromolecule in which the ratio of carbon to hydrogen and to oxygen is 1:2:1; carbohydrates
serve as energy sources and structural support in cells and form the a cellular exoskeleton of arthropods
cellulose polysaccharide that makes up the cell wall of plants; provides structural support to the cell
chaperone (also, chaperonin) protein that helps nascent protein in the folding process
chitin type of carbohydrate that forms the outer skeleton of all arthropods that include crustaceans and insects; it also forms
the cell walls of fungi
dehydration synthesis (also, condensation) reaction that links monomer molecules together, releasing a molecule of
water for each bond formed
denaturation loss of shape in a protein as a result of changes in temperature, pH, or exposure to chemicals
deoxyribonucleic acid (DNA) double-helical molecule that carries the hereditary information of the cell
disaccharide two sugar monomers that are linked together by a glycosidic bond
glycosidic bond bond formed by a dehydration reaction between two monosaccharides with the elimination of a water
molecule
hormone chemical signaling molecule, usually protein or steroid, secreted by endocrine cells that act to control or regulate
specific physiological processes
hydrolysis reaction causes breakdown of larger molecules into smaller molecules with the utilization of water
messenger RNA (mRNA) RNA that carries information from DNA to ribosomes during protein synthesis
nucleic acid biological macromolecule that carries the genetic blueprint of a cell and carries instructions for the
functioning of the cell
nucleotide monomer of nucleic acids; contains a pentose sugar, one or more phosphate groups, and a nitrogenous base
omega fat type of polyunsaturated fat that is required by the body; the numbering of the carbon omega starts from the
methyl end or the end that is farthest from the carboxylic end
peptide bond bond formed between two amino acids by a dehydration reaction
phosphodiester linkage covalent chemical bond that holds together the polynucleotide chains with a phosphate group
Chapter 3 | Biological Macromolecules 131
phospholipid major constituent of the membranes; composed of two fatty acids and a phosphate-containing group
attached to a glycerol backbone
polymer chain of monomer residues that is linked by covalent bonds; polymerization is the process of polymer formation
from monomers by condensation
purine type of nitrogenous base in DNA and RNA; adenine and guanine are purines
pyrimidine type of nitrogenous base in DNA and RNA; cytosine, thymine, and uracil are pyrimidines
ribonucleic acid (RNA) single-stranded, often internally base paired, molecule that is involved in protein synthesis
ribosomal RNA (rRNA) RNA that ensures the proper alignment of the mRNA and the ribosomes during protein
synthesis and catalyzes the formation of the peptide linkage
saturated fatty acid long-chain of hydrocarbon with single covalent bonds in the carbon chain; the number of hydrogen
atoms attached to the carbon skeleton is maximized
secondary structure regular structure formed by proteins by intramolecular hydrogen bonding between the oxygen
atom of one amino acid residue and the hydrogen attached to the nitrogen atom of another amino acid residue
steroid type of lipid composed of four fused hydrocarbon rings forming a planar structure
tertiary structure three-dimensional conformation of a protein, including interactions between secondary structural
elements; formed from interactions between amino acid side chains
trans fat fat formed artificially by hydrogenating oils, leading to a different arrangement of double bond(s) than those
found in naturally occurring lipids
transfer RNA (tRNA) RNA that carries activated amino acids to the site of protein synthesis on the ribosome
triacylglycerol (also, triglyceride) fat molecule; consists of three fatty acids linked to a glycerol molecule
unsaturated fatty acid long-chain hydrocarbon that has one or more double bonds in the hydrocarbon chain
wax lipid made of a long-chain fatty acid that is esterified to a long-chain alcohol; serves as a protective coating on some
feathers, aquatic mammal fur, and leaves
CHAPTER SUMMARY
3.1 Synthesis of Biological Macromolecules
Proteins, carbohydrates, nucleic acids, and lipids are the four major classes of biological macromolecules—large
132 Chapter 3 | Biological Macromolecules
molecules necessary for life that are built from smaller organic molecules. Macromolecules are made up of single units
known as monomers that are joined by covalent bonds to form larger polymers. The polymer is more than the sum of its
parts: It acquires new characteristics, and leads to an osmotic pressure that is much lower than that formed by its
ingredients; this is an important advantage in the maintenance of cellular osmotic conditions. A monomer joins with
another monomer with the release of a water molecule, leading to the formation of a covalent bond. These types of
reactions are known as dehydration or condensation reactions. When polymers are broken down into smaller units
(monomers), a molecule of water is used for each bond broken by these reactions; such reactions are known as hydrolysis
reactions. Dehydration and hydrolysis reactions are similar for all macromolecules, but each monomer and polymer
reaction is specific to its class. Dehydration reactions typically require an investment of energy for new bond formation,
while hydrolysis reactions typically release energy by breaking bonds.
3.2 Carbohydrates
Carbohydrates are a group of macromolecules that are a vital energy source for the cell and provide structural support to
plant cells, fungi, and all of the arthropods that include lobsters, crabs, shrimp, insects, and spiders. Carbohydrates are
classified as monosaccharides, disaccharides, and polysaccharides depending on the number of monomers in the molecule.
Monosaccharides are linked by glycosidic bonds that are formed as a result of dehydration reactions, forming
disaccharides and polysaccharides with the elimination of a water molecule for each bond formed. Glucose, galactose, and
fructose are common monosaccharides, whereas common disaccharides include lactose, maltose, and sucrose. Starch and
glycogen, examples of polysaccharides, are the storage forms of glucose in plants and animals, respectively. The long
polysaccharide chains may be branched or unbranched. Cellulose is an example of an unbranched polysaccharide, whereas
amylopectin, a constituent of starch, is a highly branched molecule. Storage of glucose, in the form of polymers like starch
of glycogen, makes it slightly less accessible for metabolism; however, this prevents it from leaking out of the cell or
creating a high osmotic pressure that could cause excessive water uptake by the cell.
3.3 Lipids
Lipids are a class of macromolecules that are nonpolar and hydrophobic in nature. Major types include fats and oils,
waxes, phospholipids, and steroids. Fats are a stored form of energy and are also known as triacylglycerols or
triglycerides. Fats are made up of fatty acids and either glycerol or sphingosine. Fatty acids may be unsaturated or
saturated, depending on the presence or absence of double bonds in the hydrocarbon chain. If only single bonds are
present, they are known as saturated fatty acids. Unsaturated fatty acids may have one or more double bonds in the
hydrocarbon chain. Phospholipids make up the matrix of membranes. They have a glycerol or sphingosine backbone to
which two fatty acid chains and a phosphate-containing group are attached. Steroids are another class of lipids. Their basic
structure has four fused carbon rings. Cholesterol is a type of steroid and is an important constituent of the plasma
membrane, where it helps to maintain the fluid nature of the membrane. It is also the precursor of steroid hormones, such
as testosterone.
3.4 Proteins
Proteins are a class of macromolecules that perform a diverse range of functions for the cell. They help in metabolism by
providing structural support and by acting as enzymes, carriers, or hormones. The building blocks of
proteins—monomers—are amino acids. Each amino acid has a central carbon that is linked to an amino group, a carboxyl
group, a hydrogen atom, and an R group or side chain. There are 20 commonly occurring amino acids, each of which
differs in the R group. Each amino acid is linked to its neighbors by a peptide bond. A long chain of amino acids is known
as a polypeptide.
Proteins are organized at four levels: primary, secondary, tertiary, and (optional) quaternary. The primary structure is the
unique sequence of amino acids. The local folding of the polypeptide to form structures, such as the α helix and β-pleated
sheet, constitutes the secondary structure. The overall three-dimensional structure is the tertiary structure. When two or
more polypeptides combine to form the complete protein structure, the configuration is known as the quaternary structure
of a protein. Protein shape and function are intricately linked; any change in shape caused by changes in temperature or pH
may lead to protein denaturation and a loss in function.
Nucleic acids are molecules made up of nucleotides that direct cellular activities such as cell division and protein
synthesis. Each nucleotide is made up of a pentose sugar, a nitrogenous base, and a phosphate group. There are two types
of nucleic acids: DNA and RNA. DNA carries the genetic blueprint of the cell and is passed on from parents to offspring
(in the form of chromosomes). It has a double-helical structure with the two strands running in opposite directions,
connected by hydrogen bonds, and complementary to each other. RNA is single-stranded and is made of a pentose sugar
Chapter 3 | Biological Macromolecules 133
(ribose), a nitrogenous base, and a phosphate group. RNA is involved in protein synthesis and its regulation. Messenger
RNA (mRNA) is copied from the DNA, is exported from the nucleus to the cytoplasm, and contains information for the
construction of proteins. Ribosomal RNA (rRNA) is a part of the ribosomes at the site of protein synthesis, whereas
transfer RNA (tRNA) carries the amino acid to the site of protein synthesis. microRNA regulates the use of mRNA for
protein synthesis.
REVIEW QUESTIONS
1. Dehydration synthesis leads to the formation of what?
a. monomers
b. polymers
c. carbohydrates only
d. water only
2. What is removed during the formation of nucleic acid polymers?
a. carbon
b. hydroxyl groups
c. phosphates
d. amino acids
3. During the breakdown of polymers, which of the following reactions takes place?
a. condensation
b. covalent bond
c. dehydration
d. hydrolysis
4. Energy is released as a result of which of the following chemical reactions?
a. condensation
b. dehydration synthesis
c. hydrolysis
d. dissolution
5. In the metabolism of the cell, why is hydrolysis used?
a. Hydrolysis is used to break down polymers.
b. Hydrolysis is used to form linkages in DNA.
c. Hydrolysis is used to produce proteins.
d. Hydrolysis is used to synthesize new macromolecules.
6. Plant cell walls contain which of the following in abundance?
a. cellulose
b. glycogen
c. lactose
d. starch
7. What makes up the outer layer of some insects?
a. carbohydrate
b. protein
c. RNA
d. triglyceride
8. What is an example of a monosaccharide?
134 Chapter 3 | Biological Macromolecules
a. cellulose
b. fructose
c. lactose
d. sucrose
9. Cellulose and starch are examples of ________?
a. disaccharides
b. lipids
c. monosaccharides
d. polysaccharides
10. What type of bond joins the molecules in the disaccharide lactose? What molecule is joined with glucose to form
lactose?
a. a glycosidic bond between glucose and lactose
b. a glycosidic bond between glucose and galactose
c. a hydrogen bond between glucose and sucrose
d. a hydrogen bond between glucose and fructose
11. What is structurally different about cellulose when compared to starch?
a. An extra hydrogen atom is left on the monomer.
b. ß-1,4 glycosidic linkages are used
c. a-1,6 glycosidic linkages are used
d. An extra hydroxyl group is removed during synthesis.
12. Which of the following are classified as lipids?
a. disaccharides and cellulose
b. essential amino acids
c. mRNA and DNA
d. oils and waxes
13. What is cholesterol specifically classified as?
a. a lipid
b. a phospholipid
c. a steroid
d. a wax
14. Which fat serves as an animal’s major form of energy storage?
a. cholesterol
b. glycerol
c. phospholipid
d. triglycerides
15. Which hormones are made from cholesterol?
a. estradiol and testosterone
b. insulin and growth hormone
c. progesterone and glucagon
d. prolactin and thyroid hormone
16. Which of the following characteristics is not true for saturated fats?
Chapter 3 | Biological Macromolecules 135
a. energy storage
b. gene storage and access
c. membrane fluidity
d. structure
25. What type of protein facilitates or accelerates chemical reactions?
a. an enzyme
b. a hormone
c. a membrane transport protein
d. a tRNA molecule
26. A protein is embedded in the outer surface of a phospholipid bilayer. Where would you expect to find polar versus
nonpolar amino acid side chains within this protein, relative to the head and tail regions of the phospholipids?
27. What are the monomers that make up proteins called?
a. amino acids
b. chaperones
c. disaccharides
d. nucleotides
28. Where is the linkage made that combines two amino acids?
a. between the R group of one amino acid and the R group of the second
b. between the carboxyl group of one amino acid and the amino group of the other
c. between the six carbon of both amino acids
d. between the nitrogen atoms of the amino groups in the amino acids
29. The α -helix and the ß -pleated sheet are part of which protein structure?
a. the primary structure
b. the secondary structure
c. the tertiary structure
d. the quaternary structure
30. Which structural level of proteins is most often associated with their biological function?
a. the primary structure
b. the secondary structure
c. the tertiary structure
d. the quaternary structure
31. Which of the following may cause a protein to denature?
a. changes in pH
b. high temperatures
c. the addition of some chemicals
d. all of the above
32. What is a protein’s chaperone?
a. a chemical that assists the protein in its enzymatic functions
b. a second protein that completes the quaternary structure
c. a chemical that helps the protein fold properly
d. a chemical that functions as a cofactor for the protein
33. What are the building blocks of nucleic acids?
Chapter 3 | Biological Macromolecules 137
a. nitrogenous bases
b. nucleotides
c. peptides
d. sugars
34. What may a nucleotide of DNA contain?
a. ribose, uracil, and a phosphate group
b. deoxyribose, uracil, and a phosphate group
c. deoxyribose, thymine, and a phosphate group
d. ribose, thymine, and a phosphate group
35. What is DNA’s structure described as?
a. a step ladder
b. a double helix
c. a tertiary protein-like structure
d. barber pole
36. What is found in RNA that is not in DNA?
a. deoxyribose and adenine
b. fructose and thymine
c. glucose and quinine
d. ribose and uracil
37. What is the smallest type of RNA?
a. mRNA
b. miRNA
c. rRNA
d. tRNA
38. Where is the largest amount of DNA found in a eukaryotic cell?
a. attached to the inner layer of the cell membrane
b. in the nucleus
c. in the cytoplasm
d. on ribosomes
a. Electrons are added to OH and H ion in the dehydration synthesis. They are removed from OH and H in
hydrolysis.
b. Electrons are transferred from OH and H ions to the monomers in dehydration synthesis. They are taken up by
the H and OH ions from the monomers in hydrolysis.
c. Electrons are removed from OH and H in the dehydration synthesis. They are added to OH and H in
hydrolysis.
d. Electrons are transferred from monomers to H and OH ions in hydrolysis and from OH and H to monomers
in dehydration synthesis.
41. Which of the following bodily process would most likely be hindered by a lack of water in the body?
a. digestion
b. protein synthesis
c. DNA copying
d. respiration
42. Why is it impossible for humans to digest food that contains cellulose?
a. There is no energy available in fiber.
b. An inactive form of cellulase in the human digestive tract renders it undigested and removes it as waste.
c. The acidic environment in the human stomach makes it impossible to break the bonds in cellulose.
d. Human digestive enzymes cannot break down the β -1,4 glycosidic linkage in cellulose, which requires a special
enzyme that is absent in humans.
43. Which statement describes some of the differences between cellulose and starch?
a. Cellulose is unbranched, and starch is branched. Both molecules are found in animals.
b. Starch is unbranched, and cellulose is branched. Both molecules are found in plants.
c. Starch is branched, and cellulose is unbranched. Both molecules are found in plants.
d. Cellulose is branched, and starch is unbranched. Both molecules are found in animals.
44. Which of these best describes the production of sucrose, maltose, and lactose?
a. Glucose and fructose combine to form sucrose. Glucose and galactose combine to form lactose. Two glucose
monomers combine to form maltose.
b. Glucose and fructose combine to form sucrose. Glucose and galactose combine to form maltose. Two glucose
combine to form lactose.
c. Two glucose combine to form lactose. Glucose and galactose combine to form sucrose. Glucose and fructose
combine to form maltose.
d. Two galactose combine to form sucrose. Fructose and glucose combine to form lactose. Two glucose combine to
form maltose.
45. What are the four classes of lipids? Provide a common example for each one.
a. Fats like margarine, waxes like the coating on feathers, phospholipids like cell membrane constituents, steroids
like cholesterol
b. Fats like phosphatidylserine, waxes like phosphatidic acid, phospholipids like oleic acid, steroids like
epinephrine
c. Fats like phosphatidic acid, waxes like margarine, phospholipids like phosphatidylcholine, steroids like
testosterone
d. Fats like cholesterol, waxes like the coating on feathers, phospholipids like phosphatidylserine, steroids like
margarine
46. What are three functions that lipids serve in plants and/or animals?
Chapter 3 | Biological Macromolecules 139
a. Lipids serve in the storage of energy, as a structural component of hormones, and also as signaling molecules.
b. Lipids serve in the storage of energy, as carriers for the transport of proteins across the membrane, and as
signaling molecules.
c. Lipids serve in the breakdown of stored energy molecules, as signaling molecules, and as structural components
of hormones.
d. Lipids serve in the breakdown of stored energy molecules, as signaling molecules, and as channels for protein
transport.
47. How are trans fats created? Why have they been banned from some restaurants?
a. Trans fat is produced by the hydrogenation of oil that makes it more saturated and isomerized. It increases the
LDL in the body.
b. The dehydrogenation of oil forms the trans fat, which contains single bonds in its structure. This increases the
HDL in the body and has been banned.
c. Trans fat is produced by dehydrogenation of oils, which makes it unsaturated. It increases the LDL in the body.
d. The hydrogenation of oil makes the trans fat, which contains double bonds in its structure. It decreases the HDL
in the body.
48. How do phospholipids contribute to cell membrane structure?
a. Phospholipids orient their heads toward the polar molecules and tails in the interior of the membrane, thus
forming a bilayer.
b. Phospholipids orient their tails toward the polar molecules of water solutions, and heads in the interior of the
membrane, thus forming a bilayer.
c. Phospholipids orient their heads toward the nonpolar molecules and tails in the interior of the membrane,
forming a bilayer.
d. Phospholipids orient their tails toward the polar molecules and heads in the nonpolar side of the membrane,
forming a bilayer.
49. What type of compound functions in hormone production, contributes to membrane flexibility, and is the starting
molecule for bile salts?
a. All steroid molecules help in the mentioned functions.
b. Cholesterol, which is a lipid and also a steroid, functions here.
c. Glycogen, which is a multi-branched polysaccharide of glucose, is the compound.
d. Phosphatidylcholine, which is a phospholipid with a choline head group, serves the functions.
50. What part of cell membranes gives flexibility to the structure?
a. carbohydrates
b. cytoskeleton filaments
c. lipids
d. proteins
51. How do the differences in amino acid sequences lead to different protein functions?
a. Different amino acids produce different proteins because of the secondary bonds they form
b. Differences in amino acids lead to the recycling of proteins, which produces other functional proteins.
c. Different amino acids cause rearrangements of amino acids to produce a functional protein.
d. Differences in the amino acids cause post-translational modification of the protein, which reassembles to
produce a functional protein.
52. What causes the changes in protein structure through the three or four levels of structure?
140 Chapter 3 | Biological Macromolecules
a. The primary chain forms secondary α-helix and β-pleated sheets which fold onto each other forming the tertiary
structure.
b. The primary structure undergoes alternative splicing to form secondary structures, which fold on other protein
chains to form tertiary structures.
c. The primary structure forms secondary α-helix and β-pleated sheets. This further undergoes phosphorylation and
acetylation to form the tertiary structure.
d. The primary structure undergoes alternative splicing to form a secondary structure, and then disulfide bonds give
way to tertiary structures.
53. What structural level of proteins is functional? Why?
a. The secondary structure is functional as it attains its two-dimensional shape, which has the necessary bonds.
b. The tertiary structure is functional, as it possesses the geometric shape showing the necessary loops and bends.
c. The tertiary structure is functional as it has the non-covalent and covalent bonds along with the subunits attached
at the right places, which help it function properly.
d. Quaternary structure is functional, as it has the essential set of subunits.
54. How does a chaperone work with proteins?
a. Chaperones assist proteins in folding.
b. Chaperones cause the aggregation of polypeptides.
c. Chaperones associate with proteins once the target protein is folded.
d. Chaperones escort proteins during translation.
55. What is a difference between DNA and RNA?
a. DNA is made from nucleotides; RNA is not.
b. DNA contains deoxyribose and thymine while RNA contains ribose and uracil.
c. DNA contains adenine, while RNA contains guanine.
d. DNA is double stranded, while RNA may be double stranded in animals.
56. Which molecule carries information in a form that is inherited from one generation to another?
a. DNA
b. mRNA
c. Proteins
d. tRNA
57. What are the four types and functions of RNA?
a. mRNA is a single stranded transcript of DNA. rRNA is found in ribosomes. tRNA transfers specific amino acids
to a growing protein strand. miRNA regulates the expression of mRNA strands.
b. mRNA is a single stranded transcript of rRNA. rRNA is translated in ribosomes to make proteins. tRNA
transfers specific amino acids to a growing protein strand. microRNA (miRNA) regulates the expression of the
mRNA strand.
c. mRNA regulates the expression of the miRNA strand. rRNA is found in ribosomes. tRNA transfers specific
amino acids to a growing protein strand. miRNA is a single stranded transcript of DNA.
d. mRNA is a single stranded transcript of DNA. rRNA transfers specific amino acids to a growing protein strand.
tRNA is found in ribosomes. miRNA regulates the expression of the mRNA strand.
a. The primitive atmosphere cannot be created due to the oxidizing atmosphere and lack of hydrogen.
b. The primitive atmosphere can be created as the atmosphere is reducing and the Earth has sufficient hydrogen to
reproduce the conditions.
c. The primitive atmosphere cannot be created due to the presence of abundant water and hydrogen in the
atmosphere.
d. The primitive atmosphere can be created as the atmosphere is oxidizing and has less of hydrogen.
65. What is structurally different between starch and cellulose that gives them different physical properties?
a. Cellulose is formed by ß -1-4 glycosidic linkages and crosslinks, making it rigid, while starch has a -1-4 and a
-1-6 glycosidic linkages without the tight crosslinks of cellulose.
b. Cellulose has rigid a -1-4 glycosidic linkages, while starch has less rigid ß -1-4 glycosidic linkages.
c. Cellulose has amylose and amylopectin, making it more rigid than starch.
d. Starch has amylose and amylopectin that make it more rigid than cellulose.
66. Complex polymers are built from combinations of smaller monomers. What type of reaction is shown here, and what
is a product of the following reaction?
Figure 3.37
Chapter 3 | Biological Macromolecules 143
a. The change will definitely not be sufficient to have any effect on the function and structure of the protein.
b. The amino acid may not show any significant effect the protein structure and function, or it may have a
significant effect, as in the case of hemoglobin in individuals with sickle cell trait.
c. These changes would increase the possibility of having extra bends and loops in the proteins, as in Leber
congenital disease.
d. These changes would modify the structures of proteins, making them nonfunctional.
72. HIV is an RNA virus that affects CD4 cells, also known as T cells, in the human body. Which mechanism is most
144 Chapter 3 | Biological Macromolecules
likely responsible for the fast rate at which HIV can spread?
a. recombination
b. mutation
c. reassortment
d. formation errors
73. What categories of amino acids would you expect to find on the surface of a soluble protein and which would you
expect to find in the interior?
a. Nonpolar and charged amino acids will be present on the surface and polar in the interior of the membrane,
whereas nonpolar will be found in the membrane embedded proteins.
b. Nonpolar and uncharged proteins will be found on the surface with nonpolar in the interior, while only nonpolar
will be found in the embedded proteins.
c. Polar and charged amino acids will be found on the surface, whereas nonpolar in the interior.
d. Polar and charged amino acids will be found on the surface of a membrane protein, whereas nonpolar in the
interior. The membrane protein will be polar and hydrophobic.
74. For many years, scientist believed that proteins were the source of heritable information. There are many thousands of
different proteins in a cell, and they mediate the cell’s metabolism, producing the traits and characteristics of a species.
Researchers working with DNA viruses proved that it is DNA that stores and passes on genes. They worked with viruses
with an outer coat of protein and a DNA strand inside. How did they prove that it was DNA, not protein, which is the
primary source of heritable information?
a. The DNA and protein of the virus were tagged with different isotopes and exposed to host cell where only the
DNA was transferred to the host.
b. The DNA was tagged with an isotope, which was retained in the virus, proving it to be the genetic material.
c. The viral protein was tagged with an isotope, and the host cell was infected by it. This protein was transferred to
the host.
d. The viral DNA, when sequenced, was found to be present in the host cell proving it to be the hereditary material
instead of protein.
75. The genetic code is based on each amino acid being coded for by a distinctive series of three nucleic acid bases called
a codon. The following is a short segment of DNA using the slash symbol ( / ) to separate the codons for easy viewing:
ATC/GTT/GAA/CTG/TAG/GAT/AAA
A change has occurred in the segment resulting in the following:
ATC/GTT/GTA/CTG/TAG/GAT/AAA
What kind of change has occurred?
a. A substitution of T for A, resulting in a coding change for the third codon.
b. An addition of C for G, lengthening the strand and changing every codon past the addition.
c. A deletion of an A, resulting in a shortening and changing every codon past the deletion.
d. No change has occurred; the same one base was replaced with the same one.
76. A change in DNA on a chromosome affects all proteins made from that gene for the life of the cell. A change in the
RNA involved in protein production is short lived. Explain the difference between the effects of the changes in the two
types of nucleic acids.
a. DNA is the genetic material that is passed from parent cells to daughter cells and to future generations.
b. DNA would not affect the individuals as the proteins made are finally altered and modified. RNA would cause
harm to the person as the RNA is encoded by the DNA and is not altered.
c. DNA is the genetic material and is transferred from one generation to another, making use of repair mechanisms
for every mutation. The RNA does not use a repair mechanism.
d. DNA, when mutated, makes use of the repair mechanisms and can be repaired, whereas RNA is not repaired and
is transferred in generations.
Chapter 3 | Biological Macromolecules 145
Figure 3.38
The numbering of the carbons on these rings is important in organizing our description of the role these molecules play in
biological energy transfer and information storage and retrieval. Glycolysis is a sequence of chemical reactions that
convert glucose to two three-carbon compounds called pyruvic acid.
Figure 3.39
A. Create visual representations to show how when bonds in the glucose molecules are broken between carbon number
1 and the oxygen atom and between carbons 3 and 4, two molecules of pyruvic acid are produced.
Several enzymes in the cell are involved in converting glucose to pyruvic acid. These enzymes are proteins whose amino
acid sequences provide these functions. This protein structure is information that was inherited from the cell’s parent, and
is stored in deoxyribonucleic acid (DNA). The “deoxyribo” component of that name is a shorthand for 2-deoxyribose.
B. Create a visual representation of 2-deoxyribose, 5-phosphate by replacing the OH at carbon 2 with a hydrogen atom
and replacing the OH at carbon 5 with a hydrogen phosphate ion, HPO32-, whose structure is shown in problem AP3.2.
Use your representation to show that both phosphorylation (the addition of a phosphate ion) at carbon 5 and removal of the
hydroxide at carbon 2 produce water molecules in an aqueous solution where hydrogen ions are abundant.
DNA is a polymer formed from a chain with repeated 2-deoxyribose, 5-phosphate molecules.
C. Create a visual representation of three 2-deoxyribose, 5-phosphate molecules forming a chain in which an oxygen
atom in the phosphate that is attached to the 5-carbon replaces the OH on the 3-carbon of the next ribose sugar.
78. Cells are bounded by membranes composed of phospholipids. A phospholipid consists of a pair of fatty acids that may
or may not have carbon-carbon double bonds, fused at the carboxylic acid with a three-carbon glycerol that is terminated
by a phosphate, as shown in the figure below. Most cell membranes comprise two phospholipid layers with the hydrophilic
phosphate ends of each molecule in the outer and inner surfaces. The hydrophobic chains of carbon atoms extend into the
space between these two surfaces.
146 Chapter 3 | Biological Macromolecules
Figure 3.40
The exchange of matter between the interior of the cell and the environment is mediated by this membrane with selective
permeability.
A. Pose questions that identify
• the important characteristics of this lipid bilayer structure
• the molecules that must be acquired from the environment and eliminated from the cell
• relationships between the structures of these molecules and the structure of the bilayer
Because the plasma cell membrane has both hydrophilic and hydrophobic properties, few types of molecules possess
structures that allow them to pass between the interior of the cell and the environment through passive diffusion. The
fluidity of the membrane affects passive transport, and the incorporation of other molecules in the membrane, in particular
cholesterols, has a strong effect on its fluidity. Fluidity is also affected by temperature.
Measurements of the speed of movement of oxygen molecules, O2, through three types of membranes were made
(Widomska et al., Biochimica et Biophysica Acta, 1,768, 2007) and compared with the speed of movement of O2 through
water. These measurements were carried out at four different temperatures. One type of membrane was obtained from the
cells in the eyeball of a calf (lens lipid). Synthetic membranes composed of palmitic acid with cholesterol (POPC/CHOL)
and without cholesterol (POPC) were also used. The results from these experiments are shown in the table below.
Table 3.3
Chapter 3 | Biological Macromolecules 147
Table 3.3
B. Represent these data graphically. The axes should be labeled, and different symbols should be used to plot data for
each material.
C. Analyze the data by comparing transport of oxygen through the biological membrane, water, and the synthetic
membranes. Consider both membrane composition and temperature in your analysis.
The plasma membrane separates the interior and the exterior of the cell. A potential to do work is established by defining
regions inside and outside the cell with different concentrations of key molecules and net charge. In addition to the
membrane defining the cell boundary, eukaryotic cells have internal membranes.
D. Explain how internal membranes significantly increase the functional capacity of the cells of eukaryotes relative to
those of prokaryotes.
79. Proteins are polymers whose sub-components are amino acids connected by peptide bonds. The carboxylic acid
carbon, O = C – OH, of one amino acid can form a bond with the amine, NH2, of another amino acid. In the formation of
this peptide bond, the amine replaces the OH to form O = C – NH2. The other product of this reaction is water, H2O.
Figure 3.41
Amino acids can be synthesized in the laboratory from simpler molecules of ammonia (NH 3), water (H2O), methane
(CH4), and hydrogen (H2) if energy is provided by processes that simulate lightning strikes or volcanic eruptions (Miller,
Science, 117, 1953; Johnson et al., Science, 322, 2008).
A. The synthesis of amino acids in solutions under laboratory conditions consistent with early Earth was a step toward an
explanation of how life began. Pose a question that should have been asked but was not until 2014 (Parker et al.,
Angewandte Chemie, 53, 2014), when these solutions that had been stored in a refrigerator were analyzed.
The diversity and complexity of life begins in the variety of sequences of the 20 common amino acids.
B. Apply mathematical reasoning to explain the source of biocomplexity by calculating the possible variations in a
polymer composed of just three amino acids.
Polarity in a bond between atoms occurs when electrons are distributed unequally. Polarity in a molecule also is caused by
charge asymmetry. Life on Earth has evolved within a framework of water, H2O, one of the most polar molecules. The
polarities of the amino acids that compose a protein determine the properties of the polymer.
The electric polarity of an amino acid in an aqueous solution depends on the pH of the solution. Here are three forms of
the general structure of an amino acid.
148 Chapter 3 | Biological Macromolecules
Figure 3.42
C. Qualitatively predict the relationship between solution pH and the form of the amino acid for three solutions of pH: pH
< 7, pH = 7, and pH > 7.
Figure 3.43
The properties of proteins are determined by interactions among the amino acids in the peptide-bonded chain. The protein
subcomponents, especially amino R (variable) groups, can interact with very strong charge-charge forces, with attractive
forces between groups of atoms with opposite polarities and with repulsive forces between groups of atoms with the same
or no polarity. Attractive polar forces often arise between molecules through interactions between oxygen and hydrogen
atoms or between nitrogen and hydrogen atoms.
D. Consider particular orientations of pairs of three different amino acids. Predict the relative strength of attractive
interaction of all pairs; rank them and provide your reasoning.
In an amino acid, the atoms attached to the α carbon are called the R group.
Chapter 3 | Biological Macromolecules 149
Figure 3.44
Interactions between R groups of a polypeptide give three-dimensional structure to the one-dimensional, linear sequence
of amino acids in a polypeptide.
E. Construct an explanation for the effect of R-group interactions on the properties of a polymer with drawings showing
molecular orientations with stronger and weaker polar forces between R groups on asparagine and threonine and between
asparagine and alanine.
Figure 3.45
80. The nucleobase part of deoxyribonucleic acid encodes information in each component in the sequence making up the
polymer. There are five nucleobases that are commonly represented by only a single letter: A (adenine), C (cytosine), G
(guanine), T (thymine), and U (uracil). These molecules form a bond with the 1-carbon of deoxyribose. In this problem,
we need to look at the molecules in slightly more detail so that you can development the ability to explain why DNA, and
sometimes RNA, is the primary source of heritable information.
Edwin Chargaff and his team isolated nucleobases from salmon sperm and determined the fraction of each (Chargaff et al.,
Journal of Biological Chemistry, 192, 1951). Experiments in which the fraction of all four nucleobases was determined are
shown. Also shown are averages as two standard deviations and the sum of total fractions for each experiment. Precision is
calculated with each average.
Shown below are the chemical structures of these four nucleobases. In these structures, the nitrogen that attaches to the
2-deoxyribose, 5-phosphate polymer is indicated as N*. The partial charges of particular atoms are indicated with δ+ and
δ -.
150 Chapter 3 | Biological Macromolecules
Figure 3.46
A. Analyze Chargaff’s data in terms of the partial charges on these molecules to show how molecular interactions affect
the function of these molecules in the storage and retrieval of biological information.
Table 3.4
The interactions between nucleobase molecules are strong enough to produce the association of pairs observed in
Chargaff’s data. However, these pairs are bonded by much weaker hydrogen bonds, chemical bonds within the molecules.
Demonstrating understanding of the replication of DNA requires the ability to explain how the two polymer strands of the
double helix interact and grow. To retrieve information from DNA, the strands must be separated. The proteins that
perform that task interact with the polymer without forming new chemical bonds. In their paper (Watson and Crick,
Nature, 3, 1953) announcing the structure of the polymer that we consider in this problem, Watson and Crick stated, “It
has not escaped our notice that the specific pairing we have postulated immediately suggests a possible copying
mechanism for the genetic material.”
Eschenmoser and Lowenthal (Chemical Society Reviews, 21, 1992) asked why the 5-carbon sugar ribose is used in DNA
when the 6-carbon sugar glucose is so common in biological systems. To answer the question, they synthesized polymeric
chains of artificial DNA using glucose. They discovered that the strength of the interaction between pairs of nucleobases
increased in the DNA with glucose. Paired strands of hexose-based polymers were more stable.
The AP Biology Curriculum Framework (College Board, 2012) states, “The double-stranded structure of DNA provides a
simple and elegant solution for the transmission of heritable information to the next generation; by using each strand as a
template, existing information can be preserved and duplicated with high fidelity within the replication process. However,
the process of replication is imperfect….”
Chapter 3 | Biological Macromolecules 151
B. Based on the findings of Eschenmoser and Lowenthal, why didn’t DNA evolve to use glucose rather than hexose?
What does this have to do with the idea that “replication is imperfect” in DNA? Thoroughly explain your answers.
152 Chapter 3 | Biological Macromolecules
Chapter 4 | Cell Structure 153
4 | CELL STRUCTURE
Figure 4.1 (a) Nasal sinus cells viewed with a light microscope, (b) onion cells viewed with a light microscope, and (c)
Vibrio tasmaniensis bacterial cells as seen through a scanning electron microscope, are from very different organisms,
yet all share certain characteristics of basic cell structure. (credit a: modification of work by Ed Uthman, MD; credit b:
modification of work by Umberto Salvagnin; credit c: modification of work by Anthony D'Onofrio, William H. Fowle, Eric
J. Stewart, and Kim Lewis of the Lewis Lab at Northeastern University; scale-bar data from Matt Russell)
Chapter Outline
4.1: Studying Cells
4.2: Prokaryotic Cells
4.3: Eukaryotic Cells
4.4: The Endomembrane System and Proteins
4.5: The Cytoskeleton
4.6: Connections Between Cells and Cellular Activities
Introduction
Close your eyes and picture a brick wall. What is the basic building block of that wall? A single brick, of course. Like a
brick wall, your body is composed of basic building blocks called cells.
Your body has many kinds of cells, each specialized for a specific purpose. Just as a home is made from a variety of
building materials, the human body is constructed from many cell types. For example, epithelial cells protect the surface of
the body and cover the organs and body cavities within. Bone cells help to support and protect the body. Immune system
cells fight invading pathogens. Additionally, blood cells carry nutrients and oxygen throughout the body while removing
carbon dioxide and other waste. Each of these cell types plays a vital role during the growth, development, and ongoing
maintenance of the body. In spite of their enormous variety, however, cells from all organisms—even organisms as diverse
as bacteria, onion, and human—share certain fundamental characteristics.
In humans, before a cell develops into its specialized type, it is called a stem cell. A stem cell is a cell that has not undergone
the changes involved in specialization. In this state, it may differentiate to become one of many different specialized cells,
and it may divide to produce more stem cells. Under normal circumstances, once a cell becomes specialized, it remains that
way. However, scientists have been working on coaxing stem cells in the laboratory to become a particular specialization.
For example, scientists at the Cincinnati Children’s Hospital Medical Center have learned how to use stem cells to grow
stomach tissue in plastic cell and tissue culture dishes. This accomplishment will enable researchers to study gastric human
diseases, such as stomach cancer. You can read more about it here (http://openstaxcollege.org/l/32cellsize) .
154 Chapter 4 | Cell Structure
Microscopy
Cells vary in size. With few exceptions, individual cells cannot be seen with the naked eye, so scientists use microscopes
(micro- = small; -scope = to look at) to study them. A microscope is an instrument that magnifies an object. Most
photographs of cells are taken with a microscope, and these images can also be called micrographs.
The optics of a microscope’s lenses change the orientation of the image that the user sees. A specimen that is right-side
up and facing right on the microscope slide will appear upside-down and facing left when viewed through a microscope,
and vice versa. Similarly, if the slide is moved left while looking through the microscope, it will appear to move right, and
if moved down, it will seem to move up. This occurs because microscopes use two sets of lenses to magnify the image.
Because of the manner by which light travels through the lenses, this system of two lenses produces an inverted image.
Binocular, or dissecting, microscopes work in a similar manner, but include an additional magnification system that makes
the final image appear to be upright.
Light Microscopes
To give you a sense of cell size, a typical human red blood cell is about eight millionths of a meter or eight micrometers
(abbreviated as 8 μm) in diameter; the head of a pin of is about two thousandths of a meter (2 mm) in diameter. That means
about 250 red blood cells could fit on the head of a pin.
Most student microscopes are classified as light microscopes (Figure 4.2a). Visible light passes and is bent through the
lens system to enable the user to see the specimen. Light microscopes are advantageous for viewing living organisms, but
since individual cells are generally transparent, their components are not distinguishable unless they are colored with special
stains. Staining, however, usually kills the cells.
Light microscopes commonly used in the undergraduate college laboratory magnify up to approximately 400 times. Two
parameters that are important in microscopy are magnification and resolving power. Magnification is the process of
enlarging an object in appearance. Resolving power is the ability of a microscope to distinguish two adjacent structures as
separate: the higher the resolution, the better the clarity and detail of the image. When oil immersion lenses are used for the
study of small objects, magnification is usually increased to 1,000 times. In order to gain a better understanding of cellular
structure and function, scientists typically use electron microscopes.
Chapter 4 | Cell Structure 155
Figure 4.2 (a) Most light microscopes used in a college biology lab can magnify cells up to approximately 400 times
and have a resolution of about 200 nanometers. (b) Electron microscopes provide a much higher magnification,
100,000x, and a have a resolution of 50 picometers. (credit a: modification of work by "GcG"/Wikimedia Commons;
credit b: modification of work by Evan Bench)
Electron Microscopes
In contrast to light microscopes, electron microscopes (Figure 4.2b) use a beam of electrons instead of a beam of light.
Not only does this allow for higher magnification and, thus, more detail (Figure 4.3), it also provides higher resolving
power. The method used to prepare the specimen for viewing with an electron microscope kills the specimen. Electrons
have short wavelengths (shorter than photons) that move best in a vacuum, so living cells cannot be viewed with an electron
microscope.
In a scanning electron microscope, a beam of electrons moves back and forth across a cell’s surface, creating details of cell
surface characteristics. In a transmission electron microscope, the electron beam penetrates the cell and provides details of a
cell’s internal structures. As you might imagine, electron microscopes are significantly more bulky and expensive than light
microscopes.
(a) (b)
Figure 4.3 (a) These Salmonella bacteria appear as tiny purple dots when viewed with a light microscope. (b) This
scanning electron microscope micrograph shows Salmonella bacteria (in red) invading human cells (yellow). Even
though subfigure (b) shows a different Salmonella specimen than subfigure (a), you can still observe the comparative
increase in magnification and detail. (credit a: modification of work by CDC/Armed Forces Institute of Pathology,
Charles N. Farmer, Rocky Mountain Laboratories; credit b: modification of work by NIAID, NIH; scale-bar data from
Matt Russell)
156 Chapter 4 | Cell Structure
For another perspective on cell size, try the HowBig interactive at this site (http://openstaxcollege.org/l/cell_sizes) .
Why are electron microscopes crucial for the study of cell biology?
b. Some electron microscopes allow visualization of three-dimensional external shapes at very high
magnification in a way that is not possible with standard light microscopes.
c. Scanning electron microscopes can show internal structures clearly at very high magnifications.
d. Electron microscopes are easier to use and less expensive than light microscopes.
Cell Theory
The microscopes we use today are far more complex than those used in the 1600s by Antony van Leeuwenhoek, a Dutch
shopkeeper who had great skill in crafting lenses. Despite the limitations of his now-ancient lenses, van Leeuwenhoek
observed the movements of protista (a type of single-celled organism) and sperm, which he collectively termed animalcules.
In a 1665 publication called Micrographia, experimental scientist Robert Hooke coined the term cell for the box-like
structures he observed when viewing cork tissue through a lens. In the 1670s, van Leeuwenhoek discovered bacteria and
protozoa. Later advances in lenses, microscope construction, and staining techniques enabled other scientists to see some
components inside cells.
By the late 1830s, botanist Matthias Schleiden and zoologist Theodor Schwann were studying tissues and proposed the
unified cell theory, which states that all living things are composed of one or more cells, the cell is the basic unit of life,
and new cells arise from existing cells. Rudolf Virchow later made important contributions to this theory.
Chapter 4 | Cell Structure 157
Have you ever heard of a medical test called a Pap smear (Figure 4.4)? In this test, a doctor takes a small
sample of cells from the uterine cervix of a patient and sends it to a medical lab where a cytotechnologist
stains the cells and examines them for any changes that could indicate abnormal cell growth or a microbial
infection.
Cytotechnologists (cyto- = cell) are professionals who study cells via microscopic examinations and other
laboratory tests. They are trained to determine which cellular changes are within normal limits and which
are abnormal. Their focus is not limited to cervical cells; they study cellular specimens that come from all
organs. When they notice abnormalities, they consult a pathologist, who is a medical doctor who can make
a clinical diagnosis.
Cytotechnologists play a vital role in saving people’s lives. When abnormalities are discovered early, a
patient’s treatment can begin sooner, which usually increases the chances of a successful outcome.
Figure 4.4 These uterine cervix cells, viewed through a light microscope, were obtained from a Pap smear.
Normal cells are on the left. The cells on the right are infected with human papillomavirus (HPV). Notice that the
infected cells are larger; also, two of these cells each have two nuclei instead of one, which is the normal number.
(credit: modification of work by Ed Uthman, MD; scale-bar data from Matt Russell)
Section Summary
A cell is the smallest unit of life. Most cells are so tiny that they cannot be seen with the naked eye. Therefore, scientists
use microscopes to study cells. Electron microscopes provide higher magnification, higher resolution, and more detail than
light microscopes. The unified cell theory states that all organisms are composed of one or more cells, the cell is the basic
unit of life, and new cells arise from existing cells.
prokaryotes, whereas cells of animals, plants, fungi, and protists are eukaryotes. Archaea are a unique group of organisms
that likely evolved in the harsh conditions of early Earth that are still prevalent today in extreme environments, such as hot
springs and polar regions. All cells share four features that reflect their evolution from a common ancestor: 1) a plasma
membrane that separates the cell from its environment; 2) cytoplasm comprising the jelly-like cytosol inside the cell; 3)
ribosomes that are important for the synthesis of proteins; and 4) DNA to store and transmit hereditary information.
Prokaryotes may also have a cell wall that acts as an extra layer of protection against the external environment. The
term prokaryote means before nucleus, and prokaryotes do not have nuclei. Rather, their DNA exists as a single circular
chromosome in the central part of the cell called the nucleoid. Some bacterial cells also have circular DNA plasmids that
often carry genes for resistance to antibiotics (Chapter 17). Other common prokaryotic cell features include flagella and pili.
The content presented in this section supports the learning objectives outlined in Big Idea 1 and Big Idea 2 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives merge essential knowledge content with one or more of the
seven Science Practices. These objectives provide a transparent foundation for the AP® Biology course, along with inquiry-
based laboratory experiences, instructional activities, and AP® exam questions.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding The origin of living systems is explained by natural processes.
1.D
Essential 1.D.2 Scientific evidence from many different disciplines supports models of the origin of
Knowledge life.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 1.32 The student is able to justify the selection of geological, physical, chemical, and
Objective biological data that reveal early Earth conditions.
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce, and
Knowledge maintain organization.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 2.6 The student is able to use calculated surface area-to-volume ratios to predict which
Objective cell(s) might eliminate wastes or procure nutrients faster by diffusion.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.7 The student will be able to explain how cell sizes and shapes affect the overall rate of
Objective nutrient intake and the rate of waste elimination.
Cells fall into one of two broad categories: prokaryotic and eukaryotic. Only the predominantly single-celled organisms of
the domains Bacteria and Archaea are classified as prokaryotes (pro- = before; -kary- = nucleus). Cells of animals, plants,
fungi, and protists are all eukaryotes (ceu- = true) and are made up of eukaryotic cells.
Figure 4.5 This figure shows the generalized structure of a prokaryotic cell. All prokaryotes have chromosomal DNA
localized in a nucleoid, ribosomes, a cell membrane, and a cell wall. The other structures shown are present in some,
but not all, bacteria.
While Earth is approximately 4.6 billion years old, the earliest fossil evidence for life is that of microbial mats
that date back 3.5 billion years.
What type of evidence for life was most likely found in a 3.5 billion year old rock?
a. Scientists found bones buried in the rock that resemble bones of living animals.
b. Dead cells buried in the rock superficially resemble living prokaryotic cells.
c. The fossil superficially resembles living microbial mats that exist today.
d. Scientists found fossilized prokaryotic cells in the rock that are able to grow and divide.
Most prokaryotes have a peptidoglycan cell wall and many have a polysaccharide capsule (Figure 4.5). The cell wall acts
as an extra layer of protection, helps the cell maintain its shape, and prevents dehydration. The capsule enables the cell to
attach to surfaces in its environment. Some prokaryotes have flagella, pili, or fimbriae. Flagella are used for locomotion.
Pili are used to exchange genetic material during a type of reproduction called conjugation. Fimbriae are used by bacteria
to attach to a host cell.
160 Chapter 4 | Cell Structure
Microbiologist
The most effective action anyone can take to prevent the spread of contagious illnesses is to wash his or
her hands. Why? Because microbes (organisms so tiny that they can only be seen with microscopes) are
ubiquitous. They live on doorknobs, money, your hands, and many other surfaces. If someone sneezes
into his hand and touches a doorknob, and afterwards you touch that same doorknob, the microbes from
the sneezer’s mucus are now on your hands. If you touch your hands to your mouth, nose, or eyes, those
microbes can enter your body and could make you sick.
However, not all microbes (also called microorganisms) cause disease; most are actually beneficial. You
have microbes in your gut that make vitamin K.
Microbiologists are scientists who study microbes. Microbiologists can pursue a number of careers. Not only
do they work in the food industry, they are also employed in the veterinary and medical fields. They can work
in the pharmaceutical sector, serving key roles in research and development by identifying new sources of
antibiotics that could be used to treat bacterial infections.
Environmental microbiologists may look for new ways to use specially selected or genetically engineered
microbes for the removal of pollutants from soil or groundwater, as well as hazardous elements from
contaminated sites. These uses of microbes are called bioremediation technologies. Microbiologists can
also work in the field of bioinformatics, providing specialized knowledge and insight for the design,
development, and specificity of computer models of, for example, bacterial epidemics.
Cell Size
At 0.1 to 5 μm in diameter, prokaryotic cells are significantly smaller than eukaryotic cells, which have diameters ranging
from 10 to 100 μm (Figure 4.6). The small size of prokaryotes allows ions and organic molecules that enter them to quickly
diffuse to other parts of the cell. Similarly, any wastes produced within a prokaryotic cell can quickly diffuse out. This is
not the case in eukaryotic cells, which have developed different structural adaptations to enhance intracellular transport.
Figure 4.6 This figure shows relative sizes of microbes on a logarithmic scale. (Recall that each unit of increase in a
logarithmic scale represents a 10-fold increase in the quantity being measured.)
Small size, in general, is necessary for all cells, whether prokaryotic or eukaryotic. Let’s examine why that is so. First,
we will consider the area and volume of a typical cell. Not all cells are spherical in shape, but most tend to approximate
Chapter 4 | Cell Structure 161
a sphere. You may remember from your high school geometry course that the formula for the surface area of a sphere is
4πr2, while the formula for its volume is 4πr3/3. Thus, as the radius of a cell increases, its surface area increases as the
square of its radius, but its volume increases as the cube of its radius (much more rapidly). Therefore, as a cell increases
in size, its surface area-to-volume ratio decreases. This same principle would apply if the cell had the shape of a cube (see
this figure). If the cell grows too large, the plasma membrane will not have sufficient surface area to support the rate of
diffusion required for the increased volume. In other words, as a cell grows, it becomes less efficient. One way to become
more efficient is to divide; another way is to develop organelles that perform specific tasks. These adaptations lead to the
development of more sophisticated cells called eukaryotic cells.
The shape of a cell is also optimized for the exchange of nutrients and waste across the cell membrane. Most cells are
spherical because, for a given volume, nutrients and waste would have the least distance to travel from the cell membrane to
the center of the cell. All points on a sphere are equidistant from its center. That means molecules can travel in any direction
and reach a membrane over the same distance. However, if a cell were a cube, molecules at the center of the cell would
travel less distance to reach a face of the cube and would travel longer distance to reach the vertex of the cube.
Figure 4.7 Notice that as a cell increases in size, its surface area-to-volume ratio decreases. When there is
insufficient surface area to support a cell’s increasing volume, a cell will either divide or die. The cell on the left
has a volume of 1 mm3 and a surface area of 6 mm2, with a surface area-to-volume ratio of 6 to 1, whereas the
cell on the right has a volume of 8 mm3 and a surface area of 24 mm2, with a surface area-to-volume ratio of 3 to
1.
On average, prokaryotic cells are smaller than eukaryotic cells. What are some advantages to small cell size? What are
some advantages to large cell size?
a. Small, prokaryotic cells do not expend energy in intracellular transport of substances. Larger eukaryotic cells
have organelles, which enable them to produce complex substances.
b. Small, prokaryotic cells easily escape the spontaneous changes in environmental conditions. Large,
eukaryotic cells have complex mechanisms to cope with such changes.
c. Small, prokaryotic cells divide at a higher rate. Large, eukaryotic cells show division with genetic variations.
d. Small, prokaryotic cells have fewer phospholipids in their membrane. Large, eukaryotic cells have more
transport proteins in their phospholipid bilayer, supporting efficient transport of molecules.
162 Chapter 4 | Cell Structure
Activity
Create an annotated diagram to explain how the presence of approximately 300 million alveoli in a human
lung increases surface area for gas exchange to the size of a tennis court. Use the diagram to explain
how the cellular structures of alveoli, capillaries, and red blood cells allow for rapid diffusion of O2 and CO2
among them.
Think About It
Which of the following cells would likely exchange nutrients and wastes with its environment more efficiently: a
spherical cell with a diameter of 5 μm or a cubed-shaped cell with a side length of 7μm? Provide a quantitative
justification for your answer based on surface area-to-volume ratios.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domains to generalize or extrapolate in
Practice and/or across enduring understandings.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different from their external environments.
2.B
Essential 2.B.3 Eukaryotic cells maintain internal membranes that partition the cell into specialized
Knowledge regions.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.13 The student is able to explain how internal membranes and organelles contribute to cell
Objective functions.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 2.14 The student is able to use representations and models to describe differences in
Objective prokaryotic and eukaryotic cells.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.2 The structure and function of subcellular components, and their interactions, provide
Knowledge essential cellular processes.
Learning 4.5 The student is able to construct explanations based on scientific evidence as to how
Objective interactions of subcellular structures provide essential functions.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.15]
• [APLO 2.5]
• [APLO 2.25]
• [APLO 1.16]
Have you ever heard the phrase form follows function? It is a philosophy practiced in many industries. In architecture,
this means that buildings should be constructed to support the activities that will be carried out inside them. For example,
a skyscraper should be built with several elevator banks; a hospital should be built so that its emergency room is easily
accessible.
164 Chapter 4 | Cell Structure
Our natural world also utilizes the principle of form following function, especially in cell biology, and this will become
clear as we explore eukaryotic cells (Figure 4.8). Unlike prokaryotic cells, eukaryotic cells have: (1) a membrane-bound
nucleus; (2) numerous membrane-bound organelles such as the endoplasmic reticulum, Golgi apparatus, chloroplasts,
mitochondria, and others; and (3) several rod-shaped chromosomes. Because a eukaryotic cell’s nucleus is surrounded by
a membrane, it is often said to have a true nucleus. The word organelle means little organ, and, as already mentioned,
organelles have specialized cellular functions, just as the organs of your body have specialized functions.
At this point, it should be clear to you that eukaryotic cells have a more complex structure than prokaryotic cells. Organelles
allow different functions to be compartmentalized in different areas of the cell. Before turning to organelles, let’s first
examine two important components of the cell: the plasma membrane and the cytoplasm.
Chapter 4 | Cell Structure 165
(a)
(b)
Figure 4.8 These figures show the major organelles and other cell components of (a) a typical animal cell
and (b) a typical eukaryotic plant cell. The plant cell has a cell wall, chloroplasts, plastids, and a central
vacuole—structures not found in animal cells. Plant cells do not have lysosomes or centrosomes.
If the nucleolus were not able to carry out its function, what other cellular organelles would be affected?
a. The structure of endoplasmic reticulum would not form.
b. The function of lysosomes would be hindered, as hydrolases are formed by the nucleolus.
166 Chapter 4 | Cell Structure
c. The free ribosomes and the rough endoplasmic reticulum, which contains ribosomes, would not form.
d. The Golgi apparatus will not be able to sort proteins properly.
Figure 4.9 The eukaryotic plasma membrane is a phospholipid bilayer with proteins and cholesterol embedded in it.
The plasma membranes of cells that specialize in absorption are folded into fingerlike projections called microvilli (singular
= microvillus) (Figure 4.10). Such cells are typically found lining the small intestine—the organ that absorbs nutrients
from digested food. This is an excellent example of form following function. People with celiac disease have an immune
response to gluten, which is a protein found in wheat, barley, and rye. The immune response damages microvilli, and thus
afflicted individuals cannot absorb nutrients. This leads to malnutrition, cramping, and diarrhea. Patients suffering from
celiac disease must follow a gluten-free diet.
Figure 4.10 Microvilli, shown here as they appear on cells lining the small intestine, increase the surface area available
for absorption. These microvilli are only found on the area of the plasma membrane that faces the cavity from which
substances will be absorbed. (credit "micrograph": modification of work by Louisa Howard)
The Cytoplasm
The cytoplasm is the entire region of a cell between the plasma membrane and the nuclear envelope (a structure to be
discussed shortly). It is made up of organelles suspended in the gel-like cytosol, the cytoskeleton, and various chemicals
(Figure 4.8). Even though the cytoplasm consists of 70 to 80 percent water, it has a semi-solid consistency, which comes
Chapter 4 | Cell Structure 167
from the proteins within it. However, proteins are not the only organic molecules found in the cytoplasm. Glucose and other
simple sugars, polysaccharides, amino acids, nucleic acids, fatty acids, and derivatives of glycerol are found there, too. Ions
of sodium, potassium, calcium, and many other elements are also dissolved in the cytoplasm. Many metabolic reactions,
including protein synthesis, take place in the cytoplasm.
The Nucleus
Typically, the nucleus is the most prominent organelle in a cell (Figure 4.8). The nucleus (plural = nuclei) houses the cell’s
DNA and directs the synthesis of ribosomes and proteins. Let’s look at it in more detail (Figure 4.11).
Figure 4.11 The nucleus stores chromatin (DNA plus proteins) in a gel-like substance called the nucleoplasm. The
nucleolus is a condensed region of chromatin where ribosome synthesis occurs. The boundary of the nucleus is
called the nuclear envelope. It consists of two phospholipid bilayers: an outer membrane and an inner membrane. The
nuclear membrane is continuous with the endoplasmic reticulum. Nuclear pores allow substances to enter and exit the
nucleus.
(a) (b)
Figure 4.12 (a) This image shows various levels of the organization of chromatin (DNA and protein). (b) This image
shows paired chromosomes. (credit b: modification of work by NIH; scale-bar data from Matt Russell)
The Nucleolus
We already know that the nucleus directs the synthesis of ribosomes, but how does it do this? Some chromosomes have
sections of DNA that encode ribosomal RNA. A darkly staining area within the nucleus called the nucleolus (plural
= nucleoli) aggregates the ribosomal RNA with associated proteins to assemble the ribosomal subunits that are then
transported out through the pores in the nuclear envelope to the cytoplasm.
Ribosomes
Ribosomes are the cellular structures responsible for protein synthesis. When viewed through an electron microscope,
ribosomes appear either as clusters (polyribosomes) or single, tiny dots that float freely in the cytoplasm. They may be
attached to the cytoplasmic side of the plasma membrane or the cytoplasmic side of the endoplasmic reticulum and the
outer membrane of the nuclear envelope (Figure 4.8). Electron microscopy has shown us that ribosomes, which are large
complexes of protein and RNA, consist of two subunits, aptly called large and small (Figure 4.13). Ribosomes receive their
orders for protein synthesis from the nucleus, where the DNA is transcribed into messenger RNA (mRNA). The mRNA
travels to the ribosomes, which translate the code provided by the sequence of the nitrogenous bases in the mRNA into a
specific order of amino acids in a protein. Amino acids are the building blocks of proteins.
Figure 4.13 Ribosomes are made up of a large subunit (top) and a small subunit (bottom). During protein synthesis,
ribosomes assemble amino acids into proteins.
Because protein synthesis is an essential function of all cells (including enzymes, hormones, antibodies, pigments, structural
components, and surface receptors), ribosomes are found in practically every cell. Ribosomes are particularly abundant
in cells that synthesize large amounts of protein. For example, the pancreas is responsible for creating several digestive
enzymes, and the cells that produce these enzymes contain many ribosomes. Thus, we see another example of form
following function.
Chapter 4 | Cell Structure 169
Mitochondria
Mitochondria (singular = mitochondrion) are often called the powerhouses or energy factories of a cell because they are
responsible for making adenosine triphosphate (ATP)—the cell’s main energy-carrying molecule. ATP represents the short-
term stored energy of the cell. Cellular respiration is the process of making ATP using the chemical energy found in glucose
and other nutrients. In mitochondria, this process uses oxygen and produces carbon dioxide as a waste product. In fact,
the carbon dioxide that you exhale with every breath comes from the cellular reactions that produce carbon dioxide as a
byproduct.
In keeping with our theme of form following function, it is important to point out that muscle cells have a very high
concentration of mitochondria that produce ATP. Your muscle cells need a lot of energy to keep your body moving. When
your cells do not get enough oxygen, they do not make a lot of ATP. Instead, the small amount of ATP they make in the
absence of oxygen is accompanied by the production of lactic acid.
Mitochondria are oval-shaped, double membrane organelles (Figure 4.14) that have their own ribosomes and DNA. Each
membrane is a phospholipid bilayer embedded with proteins. The inner layer has folds called cristae. The area surrounded
by the folds is called the mitochondrial matrix. The cristae and the matrix have different roles in cellular respiration.
Figure 4.14 This electron micrograph shows a mitochondrion as viewed with a transmission electron microscope. This
organelle has an outer membrane and an inner membrane. The inner membrane contains folds, called cristae, which
increase its surface area. The space between the two membranes is called the intermembrane space, and the space
inside the inner membrane is called the mitochondrial matrix. ATP synthesis takes place on the inner membrane.
(credit: modification of work by Matthew Britton; scale-bar data from Matt Russell)
Peroxisomes
Peroxisomes are small, round organelles enclosed by single membranes. They carry out oxidation reactions that break
down fatty acids and amino acids. They also detoxify many poisons that may enter the body. Many of these oxidation
reactions release hydrogen peroxide, H2O2, which would be damaging to cells; however, when these reactions are confined
to peroxisomes, enzymes safely break down the H2O2 into oxygen and water. Glyoxysomes, which are specialized
peroxisomes in plants, are responsible for converting stored fats into sugars.
two structures that lie perpendicular to each other (Figure 4.15). Each centriole is a cylinder of nine triplets of microtubules.
Figure 4.15 The centrosome consists of two centrioles that lie at right angles to each other. Each centriole is a cylinder
made up of nine triplets of microtubules. Nontubulin proteins (indicated by the green lines) hold the microtubule triplets
together.
The centrosome—the organelle where all microtubules originate—replicates itself before a cell divides, and the centrioles
appear to have some role in pulling the duplicated chromosomes to opposite ends of the dividing cell. However, the exact
function of the centrioles in cell division is not clear, because cells that have had the centrosome removed can still divide,
and plant cells, which lack centrosomes, are capable of cell division.
Lysosomes
Animal cells have another set of organelles not found in plant cells: lysosomes. The lysosomes are the cell’s garbage
disposal. In plant cells, the digestive processes take place in vacuoles. Enzymes within the lysosomes aid the breakdown of
proteins, polysaccharides, lipids, nucleic acids, and even worn-out organelles. These enzymes are active at a much lower pH
than that of the cytoplasm. Therefore, the pH within lysosomes is more acidic than the pH of the cytoplasm. Many reactions
that take place in the cytoplasm could not occur at a low pH, so again, the advantage of compartmentalizing the eukaryotic
cell into organelles is apparent.
The Cell Wall
If you examine Figure 4.8b, the diagram of a plant cell, you will see a structure external to the plasma membrane called
the cell wall. The cell wall is a rigid covering that protects the cell, provides structural support, and gives shape to the cell.
Fungal and protistan cells also have cell walls. While the chief component of prokaryotic cell walls is peptidoglycan, the
major organic molecule in the plant cell wall is cellulose (Figure 4.16)—a polysaccharide made up of glucose units. Have
you ever noticed that when you bite into a raw vegetable, like celery, it crunches? That is because you are tearing the rigid
cell walls of the celery cells with your teeth.
Figure 4.16 Cellulose is a long chain of β-glucose molecules connected by a 1-4 linkage. The dashed lines at each
end of the figure indicate a series of many more glucose units. The size of the page makes it impossible to portray an
entire cellulose molecule.
Chloroplasts
Like the mitochondria, chloroplasts have their own DNA and ribosomes, but chloroplasts have an entirely different function.
Chloroplasts are plant cell organelles that carry out photosynthesis. Photosynthesis is the series of reactions that use carbon
dioxide, water, and light energy to make glucose and oxygen. This is a major difference between plants and animals: Plants
(autotrophs) are able to make their own food, like sugars, while animals (heterotrophs) must ingest their food.
Like mitochondria, chloroplasts have outer and inner membranes, but within the space enclosed by a chloroplast’s inner
membrane is a set of interconnected and stacked fluid-filled membrane sacs called thylakoids (Figure 4.17). Each stack of
thylakoids is called a granum (plural = grana). The fluid enclosed by the inner membrane that surrounds the grana is called
the stroma.
Chapter 4 | Cell Structure 171
Figure 4.17 The chloroplast has an outer membrane, an inner membrane, and membrane structures called thylakoids
that are stacked into grana. The space inside the thylakoid membranes is called the thylakoid space. The light
harvesting reactions take place in the thylakoid membranes, and the synthesis of sugar takes place in the fluid inside
the inner membrane, which is called the stroma. Chloroplasts also have their own genome, which is contained in a
single circular chromosome.
The chloroplasts contain a green pigment called chlorophyll, which captures the light energy that drives the reactions of
photosynthesis. Like plant cells, photosynthetic protists also have chloroplasts. Some bacteria perform photosynthesis, but
their chlorophyll is not relegated to an organelle.
Endosymbiosis
We have mentioned that both mitochondria and chloroplasts contain DNA and ribosomes. Have you
wondered why? Strong evidence points to endosymbiosis as the explanation.
Symbiosis is a relationship in which organisms from two separate species depend on each other for their
survival. Endosymbiosis (endo- = within) is a mutually beneficial relationship in which one organism lives
inside the other. Endosymbiotic relationships abound in nature. We have already mentioned that microbes
that produce vitamin K live inside the human gut. This relationship is beneficial for us because we are
unable to synthesize vitamin K. It is also beneficial for the microbes because they are protected from other
organisms and from drying out, and they receive abundant food from the environment of the large intestine.
Scientists have long noticed that bacteria, mitochondria, and chloroplasts are similar in size. We also know
that bacteria have DNA and ribosomes, just as mitochondria and chloroplasts do. Scientists believe that
host cells and bacteria formed an endosymbiotic relationship when the host cells ingested both aerobic and
autotrophic bacteria (cyanobacteria) but did not destroy them. Through many millions of years of evolution,
these ingested bacteria became more specialized in their functions, with the aerobic bacteria becoming
mitochondria and the autotrophic bacteria becoming chloroplasts.
Based on what you know about plant and animals cells, which of the following events is most likely to have occurred?
a. A host cell that ingested aerobic bacteria gave rise to modern animals, while an ancestor of that cell that also
ingested photoautotrophic bacteria gave rise to modern plants.
b. A host cell that gave rise to modern plants ingested photoautotrophic bacteria only, while a host cell that
gave rise to modern animals ingested aerobic bacteria only.
c. A host cell that gave rise to modern plants ingested both aerobic and photoautotrophic bacteria, while a host
cell that gave rise to modern animals ingested photoautotrophic bacteria only.
d. A host cell that gave rise to modern plants and animals ingested both aerobic and photoautotrophic bacteria.
172 Chapter 4 | Cell Structure
Activity
• Construct a concept map or Venn diagram to describe the relationships that exist among the three
domains of life (Archaea, Bacteria, and Eukarya) based on cellular features. Share your diagram with
other students in the class for review and revision.
• Mystery Cell ID. Using a microscope, identify several types of cells, e.g., prokaryote/eukaryote, plant/
animal, based on general features and justify your identification.
• Ten-Minute Debate. Working in small teams, create a visual representation to support the claim that
eukaryotes evolved from symbiotic relationships among groups of prokaryotes.
Think About It
• If the nucleolus were not able to carry out its function, what other cellular organelles would be affected? Would a
human liver cell that lacked endoplasmic reticulum be able to metabolize toxins?
• Antibiotics are medicines that are used to fight bacterial infections. These medicines kill prokaryotic cells without
harming human cells. What part(s) of the bacterial cell do antibiotics target? Provide reasoning for your answer.
Section Summary
Like a prokaryotic cell, a eukaryotic cell has a plasma membrane, cytoplasm, and ribosomes, but a eukaryotic cell is
typically larger than a prokaryotic cell, has a true nucleus, meaning its DNA is surrounded by a membrane, and has other
membrane-bound organelles that allow for compartmentalization of functions. The plasma membrane is a phospholipid
bilayer embedded with proteins. The nucleus’s nucleolus is the site of ribosome assembly. Ribosomes are either found in
the cytoplasm or attached to the cytoplasmic side of the plasma membrane or endoplasmic reticulum. They perform protein
synthesis. Mitochondria participate in cellular respiration; they are responsible for the majority of ATP produced in the
cell. Peroxisomes hydrolyze fatty acids, amino acids, and some toxins. Vesicles and vacuoles are storage and transport
compartments. In plant cells, vacuoles also help break down macromolecules.
Animal cells also have a centrosome and lysosomes. The centrosome has two bodies perpendicular to each other, the
centrioles, and has an unknown purpose in cell division. Lysosomes are the digestive organelles of animal cells.
Plant cells and plant-like cells each have a cell wall, chloroplasts, and a central vacuole. The plant cell wall, whose primary
component is cellulose, protects the cell, provides structural support, and gives shape to the cell. Photosynthesis takes place
in chloroplasts. The central vacuole can expand without having to produce more cytoplasm.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction, and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different from their external environments.
2.B
Essential 2.B.3 Eukaryotic cells maintain internal membranes that partition the cell into specialized
Knowledge regions.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.13 The student is able to explain how internal membranes and organelles contribute to
Objective cell functions.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.2 The structure and function of subcellular components, and their interactions, provide
Knowledge essential cellular processes.
Learning 4.5 The student is able to construct explanations based on scientific evidence as to how
Objective interactions of subcellular structures provide essential functions.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
[APLO 4.6]
Figure 4.18 Membrane and secretory proteins are synthesized in the rough endoplasmic reticulum (RER). The
RER also sometimes modifies proteins. In this illustration, a (green) integral membrane protein in the ER is
modified by attachment of a (purple) carbohydrate. Vesicles with the integral protein buds from the ER and fuse
with the cis face of the Golgi apparatus. As the protein passes along the Golgi’s cisternae, it is further modified
by the addition of more carbohydrates. After its synthesis is complete, it exits as an integral membrane protein of
the vesicle that buds from the Golgi’s trans face, and when the vesicle fuses with the cell membrane, the protein
becomes an integral portion of that cell membrane. (credit: modification of work by Magnus Manske)
If a peripheral membrane protein were synthesized inside the lumen of the ER, would it end up on the inside or outside
of the plasma membrane?
a. The vesicle travels from the endoplasmic reticulum to get embedded in the plasma membrane.
b. The vesicle travels from the Golgi apparatus to the plasma membrane to release the protein outside.
c. The vesicle travels from the endoplasmic reticulum to the plasma membrane, and returns to the Golgi
apparatus to get modified.
d. The vesicle moves from the endoplasmic reticulum into the cytoplasmic area, remaining there.
The endoplasmic reticulum (ER) (Figure 4.18) is a series of interconnected membranous sacs and tubules that collectively
Chapter 4 | Cell Structure 175
modifies proteins and synthesizes lipids. However, these two functions are performed in separate areas of the ER: the rough
ER and the smooth ER, respectively.
The hollow portion of the ER tubules is called the lumen or cisternal space. The membrane of the ER, which is a
phospholipid bilayer embedded with proteins, is continuous with the nuclear envelope.
Rough ER
The rough endoplasmic reticulum (RER) is so named because the ribosomes attached to its cytoplasmic surface give it a
studded appearance when viewed through an electron microscope (Figure 4.19).
Figure 4.19 This transmission electron micrograph shows the rough endoplasmic reticulum and other organelles in a
pancreatic cell. (credit: modification of work by Louisa Howard)
Ribosomes transfer their newly synthesized proteins into the lumen of the RER where they undergo structural modifications,
such as folding or the acquisition of side chains. These modified proteins will be incorporated into cellular membranes—the
membrane of the ER or those of other organelles—or secreted from the cell (such as protein hormones; enzymes). The RER
also makes phospholipids for cellular membranes.
If the phospholipids or modified proteins are not destined to stay in the RER, they will reach their destinations via transport
vesicles that bud from the RER’s membrane (Figure 4.18).
Since the RER is engaged in modifying proteins (such as enzymes, for example) that will be secreted from the cell, you
would be correct in assuming that the RER is abundant in cells that secrete proteins. This is the case with cells of the liver,
for example.
Smooth ER
The smooth endoplasmic reticulum (SER) is continuous with the RER but has few or no ribosomes on its cytoplasmic
surface (Figure 4.18). Functions of the SER include synthesis of carbohydrates, lipids, and steroid hormones; detoxification
of medications and poisons; and storage of calcium ions.
In muscle cells, a specialized SER called the sarcoplasmic reticulum is responsible for storage of the calcium ions that are
needed to trigger the coordinated contractions of the muscle cells.
176 Chapter 4 | Cell Structure
You can watch an excellent animation of the endomembrane system here (http://openstaxcollege.org/l/endomembrane)
. At the end of the animation, there is a short self-assessment.
Explain how the nucleus and the endomembrane system work together for protein synthesis.
a. The endomembrane system processes and ships proteins specified by the nucleus. In the nucleus, DNA is
used to make RNA, which exits the nucleus and enters the cytoplasm of the cell. The ribosomes on the rough
ER use the RNA to create the different types of protein needed by the body.
b. The endomembrane system processes and ships proteins specified by the nucleus. From the nucleus, RNA
exits and enters the cytoplasm of the cell. The ribosomes on the rough ER use the RNA to create the different
types of protein needed by the body.
c. The endomembrane system processes and ships proteins specified by the nucleus. In the nucleus, DNA is
used to make RNA, which exits the nucleus and enters the cytoplasm of the cell. The smooth ER uses the
RNA to create the different types of protein needed by the body.
d. The endomembrane system processes and ships proteins specified by the nucleus. In the nucleus, DNA is
used to make RNA, which exits the nucleus and enters the cytoplasm of the cell. The ribosomes on the
smooth ER use the RNA to create the different types of protein needed by the body.
Cardiologist
Heart disease is the leading cause of death in the United States. This is primarily due to our sedentary
lifestyle and our high trans-fat diets.
Heart failure is just one of many disabling heart conditions. Heart failure does not mean that the heart has
stopped working. Rather, it means that the heart can not pump with sufficient force to transport oxygenated
blood to all the vital organs. Left untreated, heart failure can lead to kidney failure and failure of other organs.
The wall of the heart is composed of cardiac muscle tissue. Heart failure occurs when the endoplasmic
reticula of cardiac muscle cells do not function properly. As a result, an insufficient number of calcium ions
are available to trigger a sufficient contractile force.
Cardiologists (cardi- = heart; -ologist = one who studies) are doctors who specialize in treating heart
diseases, including heart failure. Cardiologists can make a diagnosis of heart failure via physical
examination, results from an electrocardiogram (ECG—a test that measures the electrical activity of the
heart), a chest X-ray to see whether the heart is enlarged, and other tests. If heart failure is diagnosed, the
cardiologist will typically prescribe appropriate medications and recommend a reduction in table salt intake
and a supervised exercise program.
Figure 4.20 The Golgi apparatus in this white blood cell is visible as a stack of semicircular, flattened rings in the lower
portion of the image. Several vesicles can be seen near the Golgi apparatus. (credit: modification of work by Louisa
Howard)
The receiving side of the Golgi apparatus is called the cis face. The opposite side is called the trans face. The transport
vesicles that formed from the ER travel to the cis face, fuse with it, and empty their contents into the lumen of the Golgi
apparatus. As the proteins and lipids travel through the Golgi, they undergo further modifications that allow them to be
sorted. The most frequent modification is the addition of short chains of sugar molecules. These newly modified proteins
and lipids are then tagged with phosphate groups or other small molecules so that they can be routed to their proper
destinations.
Finally, the modified and tagged proteins are packaged into secretory vesicles that bud from the trans face of the Golgi.
While some of these vesicles deposit their contents into other parts of the cell where they will be used, other secretory
vesicles fuse with the plasma membrane and release their contents outside the cell.
In another example of form following function, cells that engage in a great deal of secretory activity, such as cells of the
salivary glands that secrete digestive enzymes or cells of the immune system that secrete antibodies, have an abundance of
Golgi.
In plant cells, the Golgi apparatus has the additional role of synthesizing polysaccharides, some of which are incorporated
into the cell wall and some of which are used in other parts of the cell.
Geneticist
Many diseases arise from genetic mutations that prevent the synthesis of critical proteins. One such disease
is Lowe disease (also called oculocerebrorenal syndrome, because it affects the eyes, brain, and kidneys).
In Lowe disease, there is a deficiency in an enzyme localized to the Golgi apparatus. Children with Lowe
disease are born with cataracts, typically develop kidney disease after the first year of life, and may have
impaired mental abilities.
Lowe disease is a genetic disease caused by a mutation on the X chromosome. The X chromosome is one
of the two human sex chromosomes, as these chromosomes determine a person's sex. Females possess
two X chromosomes, while males possess one X and one Y chromosome, In females, the genes on only
one of the two X chromosomes are expressed. Therefore, females who carry the Lowe disease gene on
one of their X chromosomes have a 50/50 chance of having the disease. However, males only have one X
chromosome and the genes on this chromosome are always expressed. Therefore, males will always have
Lowe disease if their X chromosome carries the Lowe disease gene. The location of the mutated gene, as
well as the locations of many other mutations that cause genetic diseases, has now been identified. Through
prenatal testing, a woman can find out if the fetus she is carrying may be afflicted with one of several genetic
diseases.
Geneticists analyze the results of prenatal genetic tests and may counsel pregnant women on available
options. They may also conduct genetic research that leads to new drugs or foods, or perform DNA analyses
that are used in forensic investigations.
178 Chapter 4 | Cell Structure
Lysosomes
In addition to their role as the digestive component and organelle-recycling facility of animal cells, lysosomes are
considered to be parts of the endomembrane system. Lysosomes also use their hydrolytic enzymes to destroy pathogens
(disease-causing organisms) that might enter the cell. A good example of this occurs in a group of white blood cells called
macrophages, which are part of your body’s immune system. In a process known as phagocytosis or endocytosis, a section
of the plasma membrane of the macrophage invaginates (folds in) and engulfs a pathogen. The invaginated section, with
the pathogen inside, then pinches itself off from the plasma membrane and becomes a vesicle. The vesicle fuses with a
lysosome. The lysosome’s hydrolytic enzymes then destroy the pathogen (Figure 4.21).
Figure 4.21 A macrophage has engulfed (phagocytized) a potentially pathogenic bacterium, which then fuses with a
lysosome within the cell to destroy the pathogen. Other organelles are present in the cell but for simplicity are not
shown.
Activity
Homemade Cell Project. Using inexpensive and common household items, create a model of a specific
eukaryotic cell (e.g., neuron, white blood cell, plant root cell, or Paramecium) that demonstrates how at least
three organelles work together to perform a specific function.
Think About It
A certain cell type functions primarily to synthesize proteins for export. What is the most likely route the newly made
protein takes through the cell? Justify your prediction.
Section Summary
The endomembrane system includes the nuclear envelope, lysosomes, vesicles, the ER, and Golgi apparatus, as well as the
plasma membrane. These cellular components work together to modify, package, tag, and transport proteins and lipids that
form the membranes.
The RER modifies proteins and synthesizes phospholipids used in cell membranes. The SER synthesizes carbohydrates,
lipids, and steroid hormones; engages in the detoxification of medications and poisons; and stores calcium ions. Sorting,
tagging, packaging, and distribution of lipids and proteins take place in the Golgi apparatus. Lysosomes are created by the
budding of the membranes of the RER and Golgi. Lysosomes digest macromolecules, recycle worn-out organelles, and
destroy pathogens.
Chapter 4 | Cell Structure 179
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Microfilaments
If you were to remove all the organelles from a cell, would the plasma membrane and the cytoplasm be the only components
left? No. Within the cytoplasm, there would still be ions and organic molecules, plus a network of protein fibers that help
maintain the shape of the cell, secure some organelles in specific positions, allow cytoplasm and vesicles to move within
the cell, and enable cells within multicellular organisms to move. Collectively, this network of protein fibers is known
as the cytoskeleton. There are three types of fibers within the cytoskeleton: microfilaments, intermediate filaments, and
microtubules (Figure 4.22). Here, we will examine each.
180 Chapter 4 | Cell Structure
Figure 4.22 Microfilaments thicken the cortex around the inner edge of a cell; like rubber bands, they resist tension.
Microtubules are found in the interior of the cell where they maintain cell shape by resisting compressive forces.
Intermediate filaments are found throughout the cell and hold organelles in place.
Of the three types of protein fibers in the cytoskeleton, microfilaments are the narrowest. They function in cellular
movement, have a diameter of about 7 nm, and are made of two intertwined strands of a globular protein called actin (Figure
4.23). For this reason, microfilaments are also known as actin filaments.
Actin is powered by ATP to assemble its filamentous form, which serves as a track for the movement of a motor protein
Chapter 4 | Cell Structure 181
called myosin. This enables actin to engage in cellular events requiring motion, such as cell division in animal cells and
cytoplasmic streaming, which is the circular movement of the cell cytoplasm in plant cells. Actin and myosin are plentiful
in muscle cells. When your actin and myosin filaments slide past each other, your muscles contract.
Microfilaments also provide some rigidity and shape to the cell. They can depolymerize (disassemble) and reform quickly,
thus enabling a cell to change its shape and move. White blood cells, which are your body’s infection-fighting cells, make
good use of this ability. They can move to the site of an infection and phagocytize the pathogen.
To see an example of a white blood cell in action, click here (http://openstaxcollege.org/l/chasing_bcteria) and watch
a short time-lapse video of the cell capturing two bacteria. It engulfs one and then moves on to the other.
The Human Immunodeficiency Virus (HIV) infects and kills white blood cells. Over time, what affect does this have on
the body’s immune system?
b. The body’s immune system would not be able to fight off pathogens like bacteria with fewer white blood
cells. This can increase the risk of illness in HIV patients.
c. The body’s immune system, in order to recoup this loss, will produce more white blood cells.
d. The body’s immune system will fight the pathogens more vigorously in order to compensate for the fewer
white blood cells.
Intermediate Filaments
Intermediate filaments are made of several strands of fibrous proteins that are wound together (Figure 4.24). These elements
of the cytoskeleton get their name from the fact that their diameter, 8 to 10 nm, is between those of microfilaments and
microtubules.
Figure 4.24 Intermediate filaments consist of several intertwined strands of fibrous proteins.
Intermediate filaments have no role in cell movement. Their function is purely structural. They bear tension, thus
maintaining the shape of the cell, and anchor the nucleus and other organelles in place. Figure 4.22 shows how intermediate
filaments create a supportive scaffolding inside the cell.
The intermediate filaments are the most diverse group of cytoskeletal elements. Several types of fibrous proteins are found
in the intermediate filaments. You are probably most familiar with keratin, the fibrous protein that strengthens your hair,
nails, and the epidermis of the skin.
Microtubules
As their name implies, microtubules are small hollow tubes. The walls of the microtubule are made of polymerized dimers
of α-tubulin and β-tubulin, two globular proteins (Figure 4.25). With a diameter of about 25 nm, microtubules are the
widest components of the cytoskeleton. They help the cell resist compression, provide a track along which vesicles move
through the cell, and pull replicated chromosomes to opposite ends of a dividing cell. Like microfilaments, microtubules
can dissolve and reform quickly.
182 Chapter 4 | Cell Structure
Figure 4.25 Microtubules are hollow. Their walls consist of 13 polymerized dimers of α-tubulin and β-tubulin (right
image). The left image shows the molecular structure of the tube.
Microtubules are also the structural elements of flagella, cilia, and centrioles—the latter two are the perpendicular bodies
of the centrosome. In fact, in animal cells, the centrosome is the microtubule-organizing center. In eukaryotic cells, flagella
and cilia are quite different structurally from their counterparts in prokaryotes, as discussed below.
Flagella and Cilia
To refresh your memory, flagella (singular = flagellum) are long, hair-like structures that extend from the plasma membrane
and are used to move an entire cell (for example, sperm, Euglena). When present, the cell has just one flagellum or a few
flagella. When cilia (singular = cilium) are present, however, many of them extend along the entire surface of the plasma
membrane. They are short, hair-like structures that are used to move entire cells, such as paramecia, or substances along the
outer surface of the cell; for example, the cilia of cells lining the Fallopian tubes that move the ovum toward the uterus, or
cilia lining the cells of the respiratory tract that trap particulate matter and move it toward your nostrils.
Despite their differences in length and number, flagella and cilia share a common structural arrangement of microtubules
called a 9 + 2 array. This is an appropriate name because a single flagellum or cilium is made of a ring of nine microtubule
doublets, surrounding a single microtubule doublet in the center (Figure 4.26).
Figure 4.26 This transmission electron micrograph of two flagella shows the 9 + 2 array of microtubules: Nine
microtubule doublets surround a single microtubule doublet. (credit: modification of work by Dartmouth Electron
Microscope Facility, Dartmouth College; scale-bar data from Matt Russell)
Chapter 4 | Cell Structure 183
Think About It
The ribosomes in bacterial cells and in human cells are made up of proteins and ribosomal RNA, suggesting that both
kinds of cells share a common ancestor cell type. What are examples of other features of cells that provide evidence
for common ancestry?
You have now completed a broad survey of the components of prokaryotic and eukaryotic cells. For a summary of cellular
components in prokaryotic and eukaryotic cells, see Table 4.1.
Table 4.1
184 Chapter 4 | Cell Structure
Table 4.1
Section Summary
The cytoskeleton has three different types of protein elements. From narrowest to widest, they are the microfilaments
(actin filaments), intermediate filaments, and microtubules. Microfilaments are often associated with myosin. They provide
rigidity and shape to the cell and facilitate cellular movements. Intermediate filaments bear tension and anchor the nucleus
and other organelles in place. Microtubules help the cell resist compression, serve as tracks for motor proteins that move
vesicles through the cell, and pull replicated chromosomes to opposite ends of a dividing cell. They are also the structural
element of centrioles, flagella, and cilia.
project. Let’s take a look at how cells communicate with each other.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 4.5]
• [APLO 3.32]
• [APLO 1.16]
• [APLO 3.33]
• [APLO 1.14]
• [APLO 2.7]
• [APLO 4.4]
Figure 4.27 The extracellular matrix consists of a network of proteins and carbohydrates.
Cells have protein receptors on the extracellular surfaces of their plasma membranes. When a molecule within the matrix
binds to the receptor, it changes the molecular structure of the receptor. The receptor, in turn, changes the conformation
of the microfilaments positioned just inside the plasma membrane. These conformational changes induce chemical signals
inside the cell that reach the nucleus and turn on or off the transcription of specific sections of DNA, which affects the
production of associated proteins, thus changing the activities within the cell.
Blood clotting provides an example of the role of the extracellular matrix in cell communication. When the cells lining a
blood vessel are damaged, they display a protein receptor called tissue factor. When tissue factor binds with another factor
in the extracellular matrix, it causes platelets to adhere to the wall of the damaged blood vessel, stimulates the adjacent
smooth muscle cells in the blood vessel to contract, thus constricting the blood vessel, and initiates a series of steps that
stimulate the platelets to produce clotting factors.
Intercellular Junctions
Cells can also communicate with one another via direct contact, referred to as intercellular junctions. There are some
186 Chapter 4 | Cell Structure
differences in the ways that plant and animal cells do this. Plasmodesmata are junctions between plant cells, whereas animal
cell contacts include tight junctions, gap junctions, and desmosomes.
Plasmodesmata
In general, long stretches of the plasma membranes of neighboring plant cells cannot touch one another because they are
separated by the cell wall that surrounds each cell (Figure 4.8b). How then, can a plant transfer water and other soil nutrients
from its roots, through its stems, and to its leaves? Such transport uses the vascular tissues, xylem and phloem, primarily.
There also exist structural modifications called plasmodesmata (singular = plasmodesma): numerous channels that pass
between cell walls of adjacent plant cells, connect their cytoplasm, and enable materials to be transported from cell to cell,
and thus throughout the plant (Figure 4.28).
Figure 4.28 A plasmodesma is a channel between the cell walls of two adjacent plant cells. Plasmodesmata allow
materials to pass from the cytoplasm of one plant cell to the cytoplasm of an adjacent cell.
Tight Junctions
A tight junction is a watertight seal between two adjacent animal cells (Figure 4.29). The cells are held tightly against each
other by proteins; predominantly two proteins called claudins and occludins.
Figure 4.29 Tight junctions form watertight connections between adjacent animal cells. Proteins create tight junction
adherence. (credit: modification of work by Mariana Ruiz Villareal)
This tight adherence prevents materials from leaking between the cells; tight junctions are typically found in epithelial
tissues that line internal organs and cavities, and comprise most of the skin. For example, the tight junctions of the epithelial
cells lining your urinary bladder prevent urine from leaking out into the extracellular space.
Desmosomes
Also found only in animal cells are desmosomes, which act like spot welds between adjacent epithelial cells (Figure 4.30).
Short proteins called cadherins in the plasma membrane connect to intermediate filaments to create desmosomes. The
cadherins join two adjacent cells together and maintain the cells in a sheet-like formation in organs and tissues that stretch,
like the skin, heart, and muscles.
Chapter 4 | Cell Structure 187
Figure 4.30 A desmosome forms a very strong spot weld between cells. It is created by the linkage of cadherins and
intermediate filaments. (credit: modification of work by Mariana Ruiz Villareal)
Gap Junctions
Gap junctions in animal cells are like plasmodesmata in plant cells in that they are channels between adjacent cells that
allow for the transport of ions, nutrients, and other substances that enable cells to communicate (Figure 4.31). Structurally,
however, gap junctions and plasmodesmata differ.
Figure 4.31 A gap junction is a protein-lined pore that allows water and small molecules to pass between adjacent
animal cells. (credit: modification of work by Mariana Ruiz Villareal)
Gap junctions develop when a set of six proteins, called connexins, in the plasma membrane arrange themselves in an
elongated donut-like configuration called a connexon. When the pores, or doughnut holes, of connexons in adjacent animal
cells align, a channel between the two cells forms. Gap junctions are particularly important in cardiac muscle: The electrical
signal for the muscle to contract is passed efficiently through gap junctions, allowing the heart muscle cells to contract in
tandem.
188 Chapter 4 | Cell Structure
To conduct a virtual microscopy lab and review the parts of a cell, work through the steps of this interactive assignment
(http://openstaxcollege.org/l/microscopy_lab) .
Explain two similarities and two differences between plant and animal cells that can be seen under a microscope.
a. Plant cells have cell walls, which provide structure to the plant, and also chloroplasts, which allow for
photosynthesis. Animal cells do not have either of these structures. Both cells have nuclei, the command
center of the cell, and cytoplasm, the gel-like solution that fills the cell.
b. Plant cells and animal cells have cell walls as well as nuclei. Plant cells have chloroplasts as well as
plasmodesmata, which are lacking in animal cells.
c. Plant cells have cell walls, which provide structure to the plant, and also chloroplasts, which allow for
photosynthesis. Animal cells do not have either of these structures. Animal cells and plant cells both have
glyoxysomes as well as cytoplasm.
d. Plant cells and animal cells both have a rigid plasma membrane as well as cytoplasm, which is the gel-
like solution that fills the cell. Plant cells have cell walls, which provide structure to the plant, and also
chloroplasts, which allow for photosynthesis. Animal cells do not have either of these structures.
Chapter 4 | Cell Structure 189
KEY TERMS
cell theory see unified cell theory
cell wall rigid cell covering made of cellulose that protects the cell, provides structural support, and gives shape to the cell
central vacuole large plant cell organelle that regulates the cell’s storage compartment, holds water, and plays a
significant role in cell growth as the site of macromolecule degradation
chlorophyll green pigment that captures the light energy that drives the light reactions of photosynthesis
chromosome structure within the nucleus that is made up of chromatin that contains DNA, the hereditary material
cilium (plural = cilia) short, hair-like structure that extends from the plasma membrane in large numbers and is used to
move an entire cell or move substances along the outer surface of the cell
cytoplasm entire region between the plasma membrane and the nuclear envelope, consisting of organelles suspended in
the gel-like cytosol, the cytoskeleton, and various chemicals
cytoskeleton network of protein fibers that collectively maintain the shape of the cell, secure some organelles in specific
positions, allow cytoplasm and vesicles to move within the cell, and enable unicellular organisms to move
independently
cytosol gel-like material of the cytoplasm in which cell structures are suspended
desmosome linkages between adjacent epithelial cells that form when cadherins in the plasma membrane attach to
intermediate filaments
electron microscope an instrument that magnifies an object using a beam of electrons passed and bent through a lens
system to visualize a specimen
endomembrane system group of organelles and membranes in eukaryotic cells that work together, modifying,
packaging, and transporting lipids and proteins
endoplasmic reticulum (ER) series of interconnected membranous structures within eukaryotic cells that collectively
modify proteins and synthesize lipids
eukaryotic cell cell that has a membrane-bound nucleus and several other membrane-bound compartments or sacs
extracellular matrix material (primarily collagen, glycoproteins, and proteoglycans) secreted from animal cells that
provides mechanical protection and anchoring for the cells in the tissue
flagellum (plural = flagella) long, hair-like structure that extends from the plasma membrane and is used to move the cell
gap junction channel between two adjacent animal cells that allows ions, nutrients, and low molecular weight substances
to pass between cells, enabling the cells to communicate
Golgi apparatus eukaryotic organelle made up of a series of stacked membranes that sorts, tags, and packages lipids and
proteins for distribution
intermediate filament cytoskeletal component, composed of several intertwined strands of fibrous protein, that bears
tension, supports cell-cell junctions, and anchors cells to extracellular structures
light microscope an instrument that magnifies an object using a beam visible light passed and bent through a lens system
to visualize a specimen
lysosome organelle in an animal cell that functions as the cell’s digestive component; it breaks down proteins,
190 Chapter 4 | Cell Structure
microfilament narrowest element of the cytoskeleton system; it provides rigidity and shape to the cell and enables cellular
movements
microtubule widest element of the cytoskeleton system; it helps the cell resist compression, provides a track along which
vesicles move through the cell, pulls replicated chromosomes to opposite ends of a dividing cell, and is the structural
element of centrioles, flagella, and cilia
mitochondria (singular = mitochondrion) cellular organelles responsible for carrying out cellular respiration, resulting in
the production of ATP, the cell’s main energy-carrying molecule
nuclear envelope double-membrane structure that constitutes the outermost portion of the nucleus
nucleolus darkly staining body within the nucleus that is responsible for assembling the subunits of the ribosomes
nucleoplasm semi-solid fluid inside the nucleus that contains the chromatin and nucleolus
nucleus cell organelle that houses the cell’s DNA and directs the synthesis of ribosomes and proteins
peroxisome small, round organelle that contains hydrogen peroxide, oxidizes fatty acids and amino acids, and detoxifies
many poisons
plasma membrane phospholipid bilayer with embedded (integral) or attached (peripheral) proteins; separates the
internal content of the cell from its surrounding environment
plasmodesma (plural = plasmodesmata) channel that passes between the cell walls of adjacent plant cells, connects their
cytoplasm, and allows materials to be transported from cell to cell
prokaryote unicellular organism that lacks a nucleus or any other membrane-bound organelle
rough endoplasmic reticulum (RER) region of the endoplasmic reticulum that is studded with ribosomes and engages
in protein modification and phospholipid synthesis
smooth endoplasmic reticulum (SER) region of the endoplasmic reticulum that has few or no ribosomes on its
cytoplasmic surface and synthesizes carbohydrates, lipids, and steroid hormones; detoxifies certain chemicals (like
pesticides, preservatives, medications, and environmental pollutants); and stores calcium ions
tight junction firm seal between two adjacent animal cells created by protein adherence
unified cell theory a biological concept that states that all organisms are composed of one or more cells, the cell is the
basic unit of life, and new cells arise from existing cells
vacuole membrane-bound sac, somewhat larger than a vesicle, which functions in cellular storage and transport
vesicle small, membrane-bound sac that functions in cellular storage and transport; its membrane is capable of fusing with
the plasma membrane and the membranes of the endoplasmic reticulum and Golgi apparatus
CHAPTER SUMMARY
4.1 Studying Cells
A cell is the smallest unit of life. Most cells are so tiny that they cannot be seen with the naked eye. Therefore, scientists
use microscopes to study cells. Electron microscopes provide higher magnification, higher resolution, and more detail than
light microscopes. The unified cell theory states that all organisms are composed of one or more cells, the cell is the basic
Chapter 4 | Cell Structure 191
Prokaryotes are predominantly single-celled organisms of the domains Bacteria and Archaea. All prokaryotes have plasma
membranes, cytoplasm, ribosomes, and DNA that is not membrane-bound. Most have peptidoglycan cell walls and many
have polysaccharide capsules. Prokaryotic cells range in diameter from 0.1 to 5 μm.
As a cell increases in size, its surface area-to-volume ratio decreases. If the cell grows too large, the plasma membrane will
not have sufficient surface area to support the rate of diffusion required for the increased volume.
Like a prokaryotic cell, a eukaryotic cell has a plasma membrane, cytoplasm, and ribosomes, but a eukaryotic cell is
typically larger than a prokaryotic cell, has a true nucleus, meaning its DNA is surrounded by a membrane, and has other
membrane-bound organelles that allow for compartmentalization of functions. The plasma membrane is a phospholipid
bilayer embedded with proteins. The nucleus’s nucleolus is the site of ribosome assembly. Ribosomes are either found in
the cytoplasm or attached to the cytoplasmic side of the plasma membrane or endoplasmic reticulum. They perform
protein synthesis. Mitochondria participate in cellular respiration; they are responsible for the majority of ATP produced in
the cell. Peroxisomes hydrolyze fatty acids, amino acids, and some toxins. Vesicles and vacuoles are storage and transport
compartments. In plant cells, vacuoles also help break down macromolecules.
Animal cells also have a centrosome and lysosomes. The centrosome has two bodies perpendicular to each other, the
centrioles, and has an unknown purpose in cell division. Lysosomes are the digestive organelles of animal cells.
Plant cells and plant-like cells each have a cell wall, chloroplasts, and a central vacuole. The plant cell wall, whose
primary component is cellulose, protects the cell, provides structural support, and gives shape to the cell. Photosynthesis
takes place in chloroplasts. The central vacuole can expand without having to produce more cytoplasm.
The endomembrane system includes the nuclear envelope, lysosomes, vesicles, the ER, and Golgi apparatus, as well as the
plasma membrane. These cellular components work together to modify, package, tag, and transport proteins and lipids that
form the membranes.
The RER modifies proteins and synthesizes phospholipids used in cell membranes. The SER synthesizes carbohydrates,
lipids, and steroid hormones; engages in the detoxification of medications and poisons; and stores calcium ions. Sorting,
tagging, packaging, and distribution of lipids and proteins take place in the Golgi apparatus. Lysosomes are created by the
budding of the membranes of the RER and Golgi. Lysosomes digest macromolecules, recycle worn-out organelles, and
destroy pathogens.
The cytoskeleton has three different types of protein elements. From narrowest to widest, they are the microfilaments
(actin filaments), intermediate filaments, and microtubules. Microfilaments are often associated with myosin. They
provide rigidity and shape to the cell and facilitate cellular movements. Intermediate filaments bear tension and anchor the
nucleus and other organelles in place. Microtubules help the cell resist compression, serve as tracks for motor proteins that
move vesicles through the cell, and pull replicated chromosomes to opposite ends of a dividing cell. They are also the
structural element of centrioles, flagella, and cilia.
Animal cells communicate via their extracellular matrices and are connected to one another via tight junctions,
desmosomes, and gap junctions. Plant cells are connected and communicate with one another via plasmodesmata.
When protein receptors on the surface of the plasma membrane of an animal cell bind to a substance in the extracellular
matrix, a chain of reactions begins that changes activities taking place within the cell. Plasmodesmata are channels
between adjacent plant cells, while gap junctions are channels between adjacent animal cells. However, their structures are
quite different. A tight junction is a watertight seal between two adjacent cells, while a desmosome acts like a spot weld.
REVIEW QUESTIONS
1. When viewing a specimen through a light microscope, what is a method that scientists use to make it easier to see
192 Chapter 4 | Cell Structure
25. Some animal cells produce extensive extracellular matrix. You would expect their ribosomes to synthesize large
amounts of which of the following proteins?
a. actin
b. collagen
c. myosin
d. tubulin
26. Which of the following molecules is typically found in the extracellular matrix?
a. nucleic acids such as DNA
b. peptidoglycans
c. cellulose
d. proteoglycans
a. A light microscope is used to view the details of the surface of a cell, as it cannot be viewed in detail by the
transmission microscope.
b. A light microscope allows visualization of small living cells that have been stained
c. A standard light microscope is used to view living organisms with little contrast to distinguish them from the
background, which would be harder to see with the electron microscope.
d. A light microscope reveals the internal structures of a cell, which cannot be viewed by transmission electron
microscopy.
31. The major role of the cell wall in bacteria is protecting the cell against changes in osmotic pressure: pressure caused by
different solute concentrations in the environment. Bacterial cells swell, but do not burst, in low solute concentrations.
What happens to bacterial cells if a compound that interferes with the synthesis of the cell wall is added to an environment
with low solute concentrations?
a. Bacterial cells will shrink due to the lack of cell wall material.
b. Bacterial cells will shrink in size.
c. Bacterial cells may burst due to the influx of water.
d. Bacterial cells remain normal; they have alternative pathways to synthesize cell walls.
32. There is a lower limit to cell size. What determines how small a cell can be?
a. The cell should be large enough to escape detection.
b. The cell should be able to accommodate all the structures and metabolic activities necessary to survival.
c. The size of the cell should be large enough to reproduce itself.
d. The cell should be large enough to adapt to the changing environmental conditions.
33. Which of these is a possible explanation for the presence of a rigid cell wall in plants?
a. Plants remain exposed to changes in temperature and thus require rigid cell walls to protect themselves.
b. Plants are subjected to variations in osmotic pressure, and a cell wall helps them against bursting or shrinking.
c. Plant cells have a rigid cell wall to protect themselves from grazing animals.
d. Plant cells have a rigid cell wall to prevent the influx of waste material.
34. Bacteria do not have organelles, yet the same reactions that take place on the mitochondria inner membrane, the
phosphorylation of ADP to ATP, and chloroplasts, photosynthesis, take place in bacteria. Where do these reactions take
place?
a. These reactions take place in the nucleoid of the bacteria.
b. These reactions occur in the cytoplasm present in the bacteria.
c. These reactions occur on the plasma membrane of bacteria.
d. These reactions take place in the mesosomes.
35. What are the structural and functional similarities and differences between mitochondria and chloroplasts?
a. Similarities: double membrane, inter-membrane space, ATP production, contain DNA. Differences:
Mitochondria have inner folds called cristae; chloroplast contains accessory pigments in thylakoids, which form
grana and a stroma.
b. Similarities: DNA, inter-membrane space, ATP production, and chlorophyll. Differences: Mitochondria have a
matrix and inner folds called cristae; chloroplast contains accessory pigments in thylakoids, which form grana
and a stroma.
c. Similarities: double membrane and ATP production. Differences: Mitochondria have inter-membrane space and
inner folds called cristae; chloroplast contains accessory pigments in thylakoids, which form grana and a stroma.
d. Similarities: double membrane and ATP production. Differences: Mitochondria have inter-membrane space,
inner folds called cristae, ATP synthase for ATP synthesis, and DNA; chloroplast contains accessory pigments in
thylakoids, which form grana and a stroma.
36. Is the nuclear membrane part of the endomembrane system? Why or why not?
Chapter 4 | Cell Structure 197
a. The nuclear membrane is not a part of the endomembrane system, as the endoplasmic reticulum is a separate
organelle of the cell.
b. The nuclear membrane is considered a part of the endomembrane system, as it is continuous with the Golgi
body.
c. The nuclear membrane is part of the endomembrane system, as it is continuous with the rough endoplasmic
reticulum.
d. The nuclear membrane is not considered a part of the endomembrane system, as the nucleus is a separate
organelle.
37. What happens to the proteins that are synthesized on free ribosomes in the cytoplasm? Do they go through the Golgi
apparatus?
a. These proteins move through the Golgi apparatus and enter in the nucleus.
b. These proteins go through the Golgi apparatus and remain in the cytosol.
c. The proteins do not go through the Golgi apparatus and move into the nucleus for processing.
d. The proteins do not go through the Golgi apparatus and remain free in the cytosol.
38. What are the similarities and differences between the structures of centrioles and flagella?
a. Centrioles and flagella are made of microtubules but show different arrangements.
b. Centrioles are made of microtubules but flagella are made of microfilaments, and both show the same
arrangement.
c. Centrioles and flagella are made of microfilaments. Centrioles have a 9 + 2 arrangement.
d. Centrioles are made of microtubules and flagella are made of microfilaments, and both have different structures.
39. Inhibitors of microtubule assembly, vinblastine for example, are used for cancer chemotherapy. How does an inhibitor
of microtubule assembly affect cancerous cells?
a. The inhibitors restrict the separation of chromosomes by the mitotic spindle.
b. The inhibition of microtubules interferes with the synthesis of proteins.
c. The inhibitors bind the microtubule to the nuclear membrane.
d. The inhibitors interfere with energy production.
40. How do cilia and flagella differ?
a. Cilia are made of microfilaments and flagella of microtubules.
b. Cilia are helpful in the process of engulfing food. Flagella are involved in the movement of the organism.
c. Cilia are short and found in large numbers on the cell surface whereas flagella are long and fewer in number.
d. Cilia are found in prokaryotic cells and flagella in eukaryotic cells.
41. In which human tissues would you find desmosomes?
a. bone cells and cartilage cells
b. muscle cells and skin cells
c. nerve cells and muscle cells
d. secretory cells and muscle cells
42. If there is a mutation in the gene for collagen, such as the one involved in Ehlers-Danlos syndrome, and the individual
produces defective collagen, how would it affect coagulation?
a. The syndrome affects the clotting factors and platelet aggregation.
b. The syndrome leads to hyper-coagulation of blood.
c. Coagulation is not affected because collagen is not required for coagulation.
d. The syndrome occurs due to the breakdown of platelets.
43. How does the structure of a plasmodesma differ from that of a gap junction?
198 Chapter 4 | Cell Structure
a. Gap junctions are essential for transportation in animal cells, and plasmodesmata are essential for the movement
of substances in plant cells.
b. Gap junctions are found to provide attachment in animal cells, and plasmodesmata are essential for attachment
of plant cells.
c. Plasmodesmata are essential for communication between animal cells, and gap junctions are necessary for
attachment of cells in plant cells.
d. Plasmodesmata help in transportation and gap junctions help in attachment, in plant cells.
Figure 4.32
a. smaller surface area and larger volume
b. larger surface area and smaller volume
c. smaller surface area-to-volume ratio
d. larger surface area-to-volume ratio
47. Consider the shapes. The diameter of the sphere is equal to 1 mm and the side of the cube is also equal to 1 mm.
Chapter 4 | Cell Structure 199
Figure 4.33
What is the ratio of the surface-to-volume ratios for the sphere and the cube?
a. 3 : 1
b. 4 : 1
c. 1 : 1
d. 2 : 1
48. Consider the shapes. The diameter of the sphere is equal to 1 mm, and the side of the cube is also equal to 1 mm.
Figure 4.34
Which of the following is true regarding the surface-to-volume ratios of the cube and the sphere?
a. The sphere will have a higher surface area than the cube.
b. The sphere will have a higher volume than the cube.
c. The sphere will have a higher surface area-to-volume ratio than the cube.
d. Their surface area-to-volume ratios will be equal.
49. What is the major consideration in setting the lower limit of cell size?
a. The cell must be large enough to fight the pathogens.
b. The cell must be large enough to attach to a substrate.
c. The lower limit should be small enough for the cell to move in the fluid efficiently.
d. The cell size must be small as to fit all the processes and structures to support life.
50. Which of the following structures has the same general structure in Archaea, Bacteria, and Eukarya, pointing to a
common origin?
a. centriole
b. cytoplasmic membrane
c. Golgi apparatus
d. nucleus
51. Why does the structure of the cytoplasmic membrane point to a common ancestor?
200 Chapter 4 | Cell Structure
a. The presence of a cytoplasmic membrane in every organism does not point to a common ancestry.
b. The similar arrangement of phospholipids and proteins points to common ancestry.
c. The lipid nature of the membrane makes it the most primitive trait.
d. The similar effect of temperature on the membrane makes it the ancestral trait.
52. Which organelles would be present in high numbers in the leg muscles of a marathon runner?
a. centrioles
b. chloroplasts
c. mitochondria
d. peroxisome
53. Macrophages ingest and digest many pathogens. Which organelle plays a major role in the activity of macrophages?
a. chloroplast
b. lysosome
c. nucleus
d. peroxisome
54. You are looking at a sample under a light microscope and observe a new type of cell. You come to the conclusion that
it is a bacterium and not a eukaryotic cell. What would you observe to come to this conclusion?
a. The cell has a cell wall.
b. The cell has a flagellum.
c. The cell does not have a nucleus.
d. The cell is small.
55. Thiomargarita namibiensis is a large single-cell organism, which can reach lengths of 700 μm. The cell is classified as
a bacterium. What is the main argument to justify the classification?
a. This organism shows simple diffusion for the uptake of nutrients and is thus classified as a bacterium.
b. This organism does not show presence of any cell organelles, and is thus classified as a bacterium.
c. This organism appears pearl-like and exists in long chains, and is thus classified as a bacterium.
d. This organism demonstrates characteristics of gram-negative bacteria, and is thus classified as a bacterium.
56. Radioactive amino acids are fed to a cell in culture for a short amount of time. This is called a pulse. You follow the
appearance of radioactive proteins in the cell compartments. In which organelles and in what order does radioactivity
appear?
a. endoplasmic reticulum - lysosomes - Golgi body - vesicle - extracellular region
b. endoplasmic reticulum - vesicles - Golgi body - vesicles - extracellular region
c. Golgi Body - vesicles - endoplasmic reticulum - vesicles - extracellular region
d. nucleus - endoplasmic reticulum - Golgi body - vesicle - extracellular region
57. The extracellular matrix interacts with which cellular structure?
a. cytoskeleton
b. lysosome
c. nucleus
d. smooth endoplasmic reticulum
58. Which structure or structures allow bacteria to move about?
a. fimbriae only
b. flagella only
c. flagella and fimbriae
d. plasmid and capsule
Chapter 4 | Cell Structure 201
59. Cells lining the intestine absorb a lot of nutrients. How did those cells adapt to their function?
a. Cells use cilia to move nutrients to their surface.
b. Cells grow much larger than adjacent cells to increase intake.
c. Cells are flat and thin to absorb more nutrients.
d. Membrane folds called microvilli increase the surface area.
5 | STRUCTURE AND
FUNCTION OF PLASMA
MEMBRANES
Figure 5.1 Despite its seeming hustle and bustle, Grand Central Station functions with a high level of organization:
People and objects move from one location to another, they cross or are contained within certain boundaries, and they
provide a constant flow as part of larger activity. Analogously, a plasma membrane’s functions involve movement within
the cell and across boundaries in the process of intracellular and intercellular activities. (credit: modification of work by
Randy Le’Moine)
Chapter Outline
5.1: Components and Structure
5.2: Passive Transport
5.3: Active Transport
5.4: Bulk Transport
Introduction
The plasma membrane, which is also called the cell membrane, has many functions, but the most basic one is to define the
borders and act as gatekeeper for the cell. The plasma membrane is selectively permeable, meaning that some molecules can
freely enter or leave the cell. Others require help from specialized structures or other molecules, or require energy in order
to cross. One example of a molecule that assists other molecules across the plasma membrane is a protein called NPC1.
This protein is involved in moving cholesterol and other types of fats across the plasma membrane. Some people have a
genetic condition that results in an improperly functioning NPC1. As a result, excessive cholesterol accumulates within
cells, causing a condition called Niemann-Pick disease type C (NPC).
Scientists from the Albert Einstein College of Medicine, Harvard Medical School, and the Whitehead Institute for
Biomedical Research discovered that the Ebola virus also uses NPC1 to hitch a ride into cells and then replicate. The
scientists used mice that lacked the NPC1 protein to test this hypothesis. When the scientists tried to infect these mice with
Ebola, none of the mice got sick. Then they tried to infect mice with partially functioning NPC1 and found that they got
sick, but did not die. In other words, without properly functioning NPC1, the Ebola virus cannot infect a mouse. If this
204 Chapter 5 | Structure and Function of Plasma Membranes
pattern also exists in humans, it means that anyone with NPC and its subsequent problem with high cholesterol may also be
protected from Ebola.
The complete research report can be found here (http://openstaxcollege.org/l/32ebolaentry) .
Biological systems use free energy and molecular building blocks to grow, reproduce, and to
Big Idea 2
maintain dynamic homeostasis.
Enduring
Growth, reproduction, and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different from their external environments.
2.B
Essential
2.B.1 Cell membranes are selectively permeable due to their structure.
Knowledge
Science 1.4 The student is able to use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
2.10 The student is able to use representations and models to pose scientific questions
Learning
about the properties of cell membranes and selective permeability based on molecular
Objective
structure.
Essential
2.B.1 Cell membranes are selectively permeable due to their structure.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Chapter 5 | Structure and Function of Plasma Membranes 205
Science 7.2 The student can connect concepts in and across domain(s) to generalize and extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.11 The student is able to construct models that connect the movement of molecules across
Objective a membrane with membrane structure and function.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 6 Diffusion and Osmosis
A cell’s plasma membrane defines the cell, outlines its borders, and determines the nature of its interaction with its
environment (see Figure 5.2 for a summary). Cells exclude some substances, take in others, and excrete still others, all in
controlled quantities. The plasma membrane must be very flexible to allow certain cells, such as red blood cells and white
blood cells, to change shape as they pass through narrow capillaries. These are the more obvious functions of a plasma
membrane. In addition, the surface of the plasma membrane carries markers that allow cells to recognize one another, which
is vital for tissue and organ formation during early development, and which later plays a role in the self versus nonself
distinction of the immune response.
Among the most sophisticated functions of the plasma membrane is the ability to transmit signals by means of complex,
integral proteins known as receptors. These proteins act both as receivers of extracellular inputs and as activators of
intracellular processes. These membrane receptors provide extracellular attachment sites for effectors such as hormones and
growth factors, and they activate intracellular response cascades when their effectors are bound. Occasionally, receptors are
hijacked by viruses that use them to gain entry into cells, and at times, the genes encoding the receptors become mutated,
causing the process of signal transduction to malfunction with disastrous consequences.
Figure 5.2 The fluid mosaic model of the plasma membrane describes the plasma membrane as a fluid combination of
phospholipids, cholesterol, and proteins. Carbohydrates attached to lipids (glycolipids) and to proteins (glycoproteins)
extend from the outward-facing surface of the membrane.
The principal components of a plasma membrane are lipids (phospholipids and cholesterol), proteins, and carbohydrates
attached to some of the lipids and some of the proteins. A phospholipid is a molecule consisting of glycerol, two fatty acids,
and a phosphate-linked head group. Cholesterol, another lipid composed of four fused carbon rings, is found alongside the
phospholipids in the core of the membrane. The proportions of proteins, lipids, and carbohydrates in the plasma membrane
vary with cell type. For a typical human cell, protein accounts for about 50 percent of the composition by mass, lipids (of all
types) account for about 40 percent of the composition by mass, and carbohydrates complete the remaining 10 percent of the
composition by mass. However, the concentration of proteins and lipids varies with different cell membranes. For example,
myelin, an outgrowth of the membrane of specialized cells that insulates the axons of the peripheral nerves, contains only
18 percent proteins and 76 percent lipids. The mitochondrial inner membrane contains 76 percent proteins and only 24
percent lipids. The plasma membrane of human red blood cells is 30 percent lipids. Carbohydrates are present only on the
exterior surface of the plasma membrane and are attached to proteins, forming glycoproteins, or attached to lipids, forming
glycolipids.
Phospholipids
The main fabric of the membrane is composed of amphiphilic, phospholipid molecules. The hydrophilic or water-loving
areas of these molecules, which look like a collection of balls in an artist’s rendition of the model in Figure 5.2, are
in contact with the aqueous fluid both inside and outside the cell. Hydrophobic, or water-hating molecules, tend to be
nonpolar. They interact with other nonpolar molecules in chemical reactions, but generally do not interact with polar
molecules. When placed in water, hydrophobic molecules tend to form a ball or cluster. The hydrophilic regions of the
phospholipids tend to form hydrogen bonds with water and other polar molecules on both the exterior and interior of the
cell. Thus, the membrane surfaces that face the interior and exterior of the cell are hydrophilic. In contrast, the interior of
the cell membrane is hydrophobic and will not interact with water. Therefore, phospholipids form an excellent two-layer
cell membrane that separates fluid within the cell from the fluid outside the cell.
A phospholipid molecule (Figure 5.3) consists of a three-carbon glycerol backbone with two fatty acid molecules attached
to carbons one and two, and a phosphate-containing group attached to the third carbon. This arrangement gives the overall
molecule an area described as its head (the phosphate-containing group), which has a polar character or negative charge,
and an area called the tail (the fatty acids), which has no charge. The head can form hydrogen bonds, but the tail cannot. A
molecule with this arrangement of a positively or negatively charged area and an uncharged, or nonpolar, area is referred to
as amphiphilic or dual-loving.
Chapter 5 | Structure and Function of Plasma Membranes 207
Figure 5.3 This phospholipid molecule is composed of a hydrophilic head and two hydrophobic tails. The hydrophilic
head group consists of a phosphate-containing attached to a glycerol molecule. The hydrophobic tails, each containing
either a saturated or an unsaturated fatty acid, are long hydrocarbon chains.
This characteristic is vital to the structure of a plasma membrane because in water, phospholipids tend to become arranged
with their hydrophobic tails facing each other and their hydrophilic heads facing out. In this way, they form a lipid
bilayer—a barrier composed of a double layer of phospholipids that separates the water and other materials on one side
of the barrier from the water, and other materials on the other side. In fact, phospholipids heated in an aqueous solution
tend to spontaneously form small spheres or droplets, called micelles or liposomes, with their hydrophilic heads forming the
exterior and their hydrophobic tails on the inside (Figure 5.4).
208 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.4 In an aqueous solution, phospholipids tend to arrange themselves with their polar heads facing outward
and their hydrophobic tails facing inward. (credit: modification of work by Mariana Ruiz Villareal)
Proteins
Proteins make up the second major component of plasma membranes. Integral proteins (some specialized types are called
integrins) are, as their name suggests, integrated completely into membrane structure, and their hydrophobic membrane-
spanning regions interact with the hydrophobic region of the the phospholipid bilayer (see Figure 5.2). Single-pass integral
membrane proteins usually have a hydrophobic transmembrane segment that consists of 20–25 amino acids. Some span only
part of the membrane associating with a single layer while others stretch from one side of the membrane to the others and are
exposed on either side. Some complex proteins are composed of up to 12 segments of a single protein, which are extensively
folded and embedded in the membrane (Figure 5.5). This type of protein has a hydrophilic region or regions, and one or
several mildly hydrophobic regions. This arrangement of regions of the protein tends to orient the protein alongside the
phospholipids, with the hydrophobic region of the protein adjacent to the tails of the phospholipids, and the hydrophilic
region or regions of the protein protruding from the membrane and in contact with the cytosol or extracellular fluid.
Figure 5.5 Integral proteins may have one or more alpha-helices that span the membrane (1 and 2), or they may have
beta-sheets that span the membrane (3). (credit: “Foobar”/Wikimedia Commons)
Chapter 5 | Structure and Function of Plasma Membranes 209
Peripheral proteins are found on the exterior and interior surfaces of membranes, attached either to integral proteins or
to phospholipids. Peripheral proteins, along with integral proteins, may serve as enzymes, as structural attachments for the
fibers of the cytoskeleton, or as part of the cell’s recognition sites. These are sometimes referred to as cell-specific proteins.
The body recognizes its own proteins and attacks foreign proteins associated with invasive pathogens.
Carbohydrates
Carbohydrates are the third major component of plasma membranes. They are always found on the exterior surface of
cells and are bound either to proteins (forming glycoproteins) or to lipids (forming glycolipids) as seen in Figure 5.2.
These carbohydrate chains may consist of two to 60 monosaccharide units and can be either straight or branched. Along
with peripheral proteins, carbohydrates form specialized sites on the cell surface that allow cells to recognize each other.
These sites have unique patterns that allow the cell to be recognized, much the same way that the facial features unique to
each person allow him or her to be recognized. This recognition function is very important to cells, as it allows the same
immune system to differentiate between body cells, called self, and foreign cells or tissues, called nonself. Similar types
of glycoproteins and glycolipids are found on the surfaces of viruses and may change frequently, preventing immune cells
from recognizing and attacking them.
These carbohydrates on the exterior surface of the cell—the carbohydrate components of both glycoproteins and
glycolipids—are collectively referred to as the glycocalyx, meaning sugar coating. The glycocalyx is highly hydrophilic and
attracts large amounts of water to the surface of the cell. This aids in the interaction of the cell with its watery environment
and in the cell’s ability to obtain substances dissolved in the water. As discussed above, the glycocalyx is also important
for cell identification, self/nonself determination, and embryonic development, and is used in cell–cell attachments to form
tissues.
210 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.6 HIV binds to the CD4 receptor, a glycoprotein on the surfaces of T cells. (credit: modification of work
by National Institutes of Health (NIH), National Institute of Allergy and Infectious Diseases (NIAID)
Membrane Fluidity
The mosaic characteristic of the membrane, described in the fluid mosaic model, helps to illustrate its nature. The
integral proteins and lipids exist in the membrane as separate but loosely attached molecules. These resemble the separate,
multicolored tiles of a mosaic picture, and they float, moving somewhat with respect to one another. However, the
membrane is not like a balloon that can expand and contract; rather, it is fairly rigid and can burst if penetrated or if a cell
takes in too much water. Because of its mosaic nature, a very fine needle can easily penetrate a plasma membrane without
causing it to burst, and the membrane will flow and self-seal when the needle is extracted.
The mosaic characteristics of the membrane explain some but not all of its fluidity. There are two other factors that help
maintain this fluid characteristic. One factor is the nature of the phospholipids themselves. In their saturated form, the fatty
acids in phospholipid tails are saturated with bound hydrogen atoms. There are no double bonds between adjacent carbon
atoms. This results in tails that are relatively straight. In contrast, unsaturated fatty acids do not contain a maximal number
of hydrogen atoms, but they do contain some double bonds between adjacent carbon atoms; A double bond results in a bend
in the string of carbons of approximately 30° (see Figure 5.3).
Thus, if saturated fatty acids, with their straight tails, are compressed by decreasing temperatures, they press in on each
other, making a dense and fairly rigid membrane. If unsaturated fatty acids are compressed, the kinks in their tails nudge
adjacent phospholipid molecules away, maintaining some space between the phospholipid molecules. This extra helps to
maintain fluidity in the membrane at temperatures at which membranes with saturated fatty acid tails in their phospholipids
would freeze or solidify. The relative fluidity of the membrane is particularly important in a cold environment. A cold
environment tends to compress membranes composed largely of saturated fatty acids, making them less fluid and more
susceptible to rupturing. Many organisms (fish are one example) are capable of adapting to cold environments by changing
the proportion of unsaturated fatty acids in their membranes in response to the lowering of the temperature.
Visit this site (http://openstaxcollege.org/l/biological_memb) to see animations of the fluidity and mosaic quality of
membranes.
Explain why glucose cannot pass directly through the cell membrane.
a. The plasma membrane is impermeable to polar molecules, so transport proteins are required.
b. The plasma membrane is selectively permeable to polar molecules, and a transport protein is required for
larger molecules.
c. The plasma membrane is permeable to all polar molecules, but a transport protein is required.
d. The plasma membrane is selectively permeable to all polar molecules, and a transport protein is never
required for them.
Animals have an additional membrane constituent that assists in maintaining fluidity. Cholesterol, which lies alongside
the phospholipids in the membrane, tends to dampen the effects of temperature on the membrane. This lipid functions as
a buffer, preventing lower temperatures from inhibiting fluidity, and preventing increased temperatures from increasing
fluidity too much. Thus, cholesterol extends, in both directions, the temperature range in which the membrane is
appropriately fluid and consequently functional. Cholesterol also serves other functions, such as organizing clusters of
transmembrane proteins into lipid rafts.
212 Chapter 5 | Structure and Function of Plasma Membranes
Table 5.1
Immunologist
The variations in peripheral proteins and carbohydrates that affect a cell’s recognition sites are of prime
interest in immunology. These changes are taken into consideration in vaccine development. Many
infectious diseases, such as smallpox, polio, diphtheria, and tetanus, were conquered by the use of
vaccines.
Immunologists are the physicians and scientists who research and develop vaccines, as well as treat and
study allergies or other immune problems. Some immunologists study and treat autoimmune diseases
in which a person’s immune system attacks his or her own cells or tissues, such as lupus, and
immunodeficiencies, whether acquired by a virus or hereditary (such as severe combined
immunodeficiency, or SCID). Immunologists are called in to help treat organ transplantation patients, who
must have their immune systems suppressed so that their bodies will not reject a transplanted organ. Some
immunologists work to understand natural immunity and the effects of a person’s environment on it. Others
work on questions about how the immune system affects the development of certain chronic diseases.
To work as an immunologist, a PhD or MD is required. In addition, immunologists undertake at least two to
three years of training in an accredited program and must pass an examination given by the American Board
of Allergy and Immunology. Immunologists must possess knowledge of the functions of the human body as
they relate to issues beyond immunization, and knowledge of pharmacology and medical technology, such
as medications, therapies, test materials, and surgical procedures.
Activity
Using appropriate media, construct a model of the plasma membrane and its molecular components. In
the next section, you will use the model to demonstrate the movement of different substances across the
membrane.
Think About It
What research questions can be asked about plasma membranes? State three questions relating to plasma membranes,
along with possible solutions to the questions.
Chapter 5 | Structure and Function of Plasma Membranes 213
Section Summary
The modern understanding of the plasma membrane is referred to as the fluid mosaic model. The plasma membrane is
composed of a bilayer of phospholipids, with their hydrophobic, fatty acid tails in contact with each other. The landscape
of the membrane is studded with proteins, some of which span the membrane. Some of these proteins serve to transport
materials into or out of the cell. Carbohydrates are attached to some of the proteins and lipids on the outward-facing surface
of the membrane, forming complexes that function to identify the cell to other cells. The fluid nature of the membrane
is due to temperature, the configuration of the fatty acid tails (some kinked by double bonds), the presence of cholesterol
embedded in the membrane, and the mosaic nature of the proteins and protein-carbohydrate combinations, which are not
firmly fixed in place. Plasma membranes enclose and define the borders of cells, but rather than being a static bag, they are
dynamic and constantly in flux.
Essential 2.B.2 Growth and dynamic homeostasis are maintained by the constant movement of molecules
Knowledge across membranes.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.11 The student is able to construct models that connect the movement of molecules across
Objective membranes with membrane structure and function.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
214 Chapter 5 | Structure and Function of Plasma Membranes
2.12 The student is able to use representations and models to analyze situation or solve
Learning
problems qualitatively and quantitatively to investigate whether dynamic homeostasis is
Objective
maintained by the active movement of molecules across membranes.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.25]
• [APLO 2.27]
• [APLO 4.3]
• [APLO 4.17]
• [APLO1.9]
• [APLO 2.16]
• [APLO 2.17]
• [APLO 2.18]
Plasma membranes must allow certain substances to enter and leave a cell, and prevent some harmful materials from
entering and some essential materials from leaving. In other words, plasma membranes are selectively permeable—they
allow some substances to pass through but not others. If they were to lose this selectivity, the cell would no longer be able
to sustain itself, and it would be destroyed. Some cells require larger amounts of specific substances than do other cells;
they must have a way of obtaining these materials from extracellular fluids. This may happen passively, as certain materials
move back and forth, or the cell may have special mechanisms that facilitate transport. Some materials are so important to
a cell that it spends some of its energy hydrolyzing adenosine triphosphate (ATP) to obtain these materials. Red blood cells
use some of their energy doing just that. All cells spend the majority of their energy to maintain an imbalance of sodium
and potassium ions between the interior and exterior of the cell.
The most direct forms of membrane transport are passive. Passive transport is a naturally occurring phenomenon and does
not require the cell to exert any of its energy to accomplish the movement. In passive transport, substances move from an
area of higher concentration to an area of lower concentration. A physical space in which there is a range of concentrations
of a single substance is said to have a concentration gradient.
Selective Permeability
Plasma membranes are asymmetric: The interior of the membrane is not identical to the exterior of the membrane. In fact,
there is a considerable difference between the array of phospholipids and proteins between the two leaflets that form a
membrane. On the interior of the membrane, some proteins serve to anchor the membrane to fibers of the cytoskeleton.
There are peripheral proteins on the exterior of the membrane that bind elements of the extracellular matrix. Carbohydrates,
attached to lipids or proteins, are also found on the exterior surface of the plasma membrane. These carbohydrate complexes
help the cell bind to substances that the cell needs in the extracellular fluid. This adds considerably to the selective nature
of plasma membranes (Figure 5.7).
Chapter 5 | Structure and Function of Plasma Membranes 215
Figure 5.7 The exterior surface of the plasma membrane is not identical to the interior surface of the same membrane.
Recall that plasma membranes are amphiphilic: They have hydrophilic and hydrophobic regions. This characteristic helps
the movement of some materials through the membrane and hinders the movement of others. Lipid-soluble material with
a low molecular weight can easily slip through the hydrophobic lipid core of the membrane. Substances such as the fat-
soluble vitamins A, D, E, and K readily pass through the plasma membranes in the digestive tract and other tissues.
Fat-soluble drugs and hormones also gain easy entry into cells and are readily transported into the body’s tissues and organs.
Molecules of oxygen and carbon dioxide have no charge and so pass through membranes by simple diffusion.
Polar substances present problems for the membrane. While some polar molecules connect easily with the outside of a
cell, they cannot readily pass through the lipid core of the plasma membrane. Additionally, while small ions could easily
slip through the spaces in the mosaic of the membrane, their charge prevents them from doing so. Ions such as sodium,
potassium, calcium, and chloride must have special means of penetrating plasma membranes. Simple sugars and amino
acids also need help with transport across plasma membranes, achieved by various transmembrane proteins or channels.
Diffusion
Diffusion is a passive process of transport. A single substance tends to move from an area of high concentration to an area
of low concentration until the concentration is equal across a space. You are familiar with diffusion of substances through
the air. For example, think about someone opening a bottle of ammonia in a room filled with people. The ammonia gas is at
its highest concentration in the bottle; its lowest concentration is at the edges of the room. The ammonia vapor will diffuse,
or spread away, from the bottle, and gradually, more and more people will smell the ammonia as it spreads. Materials move
within the cell’s cytosol by diffusion, and certain materials move through the plasma membrane by diffusion (Figure 5.8).
Diffusion expends no energy. On the contrary, concentration gradients are a form of potential energy, dissipated as the
gradient is eliminated.
216 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.8 Diffusion through a permeable membrane moves a substance from an area of high concentration
(extracellular fluid, in this case) down its concentration gradient (into the cytoplasm). (credit: modification of work by
Mariana Ruiz Villareal)
Each separate substance in a medium, such as the extracellular fluid, has its own concentration gradient, independent of
the concentration gradients of other materials. In addition, each substance will diffuse according to that gradient. Within a
system, there will be different rates of diffusion of the different substances in the medium.
Factors That Affect Diffusion
Molecules move constantly in a random manner at a rate that depends on their mass, their environment, and the amount
of thermal energy they possess, which, in turn, is a function of temperature. This movement accounts for the diffusion of
molecules through whatever medium in which they are localized. A substance will tend to move into any space available
to it until it is evenly distributed throughout it. After a substance has diffused completely through a space, eliminating its
concentration gradient, molecules will still move around in the space but there will be no net movement of the number of
molecules from one area to another. This lack of a concentration gradient in which there is no net movement of a substance
is known as dynamic equilibrium. While diffusion will go forward in the presence of a concentration gradient of a substance,
the following factors affect the rate of diffusion.
• Extent of the concentration gradient: The greater the difference in concentration, the more rapid the diffusion. The
closer the distribution of the material gets to equilibrium, the slower the rate of diffusion becomes.
• Mass of the molecules diffusing: Heavier molecules move more slowly; therefore, they diffuse more slowly. The
reverse is true for lighter molecules.
• Temperature: Higher temperatures increase the energy and therefore the movement of the molecules, increasing the
rate of diffusion. Lower temperatures decrease the energy of the molecules, decreasing the rate of diffusion.
• Solvent density: As the density of a solvent increases, the rate of diffusion decreases. The molecules slow down
because they have a more difficult time getting through the denser medium. If the medium is less dense, diffusion
increases. Because cells primarily use diffusion to move materials within the cytoplasm, any increase in the
cytoplasm’s density will inhibit the movement of the materials. An example of this is a person experiencing
dehydration. As the body’s cells lose water, the rate of diffusion decreases in the cytoplasm, and the cells’ functions
deteriorate. Neurons tend to be very sensitive to this effect. Dehydration frequently leads to unconsciousness and
possibly coma because of the decrease in diffusion rate within the cells.
• Solubility: As discussed earlier, nonpolar or lipid-soluble materials pass through plasma membranes more easily than
polar materials, allowing a faster rate of diffusion.
• Surface area and thickness of the plasma membrane: Increased surface area increases the rate of diffusion, whereas a
thicker membrane reduces it.
• Distance traveled: The greater the distance that a substance must travel, the slower the rate of diffusion. This places an
upper limitation on cell size. A large, spherical cell will die because nutrients or waste cannot reach or leave the center
of the cell, respectively. Therefore, cells must either be small in size, as in the case of many prokaryotes, or be flat, as
with many single-celled eukaryotes.
A variation of diffusion is the process of filtration. In filtration, material moves according to its concentration gradient
through a membrane; sometimes the rate of diffusion is enhanced by pressure, causing the substances to filter more rapidly.
Chapter 5 | Structure and Function of Plasma Membranes 217
This occurs in the kidney, where blood pressure forces large amounts of water and accompanying dissolved substances, or
solutes, out of the blood and into the renal tubules. The rate of diffusion in this instance is almost totally dependent on
pressure. One of the effects of high blood pressure is the appearance of protein in the urine, which is squeezed through by
the abnormally high pressure.
Facilitated transport
In facilitated transport, also called facilitated diffusion, materials diffuse across the plasma membrane with the help
of membrane proteins. A concentration gradient exists that would allow these materials to diffuse into the cell without
expending cellular energy. However, these ionic materials are ophobic parts of the cell membrane. Facilitated transport
proteins shield these materials from the repulsive force of the membrane, allowing them to diffuse into the cell.
The material being transported is first attached to protein or glycoprotein receptors on the exterior surface of the plasma
membrane. This allows the material that is needed by the cell to be removed from the extracellular fluid. The substances
are then passed to specific integral proteins that facilitate their passage. Some of these integral proteins are collections of
beta-pleated sheets that form a pore or channel through the phospholipid bilayer. Others are carrier proteins, which bind
with the substance and aid its diffusion through the membrane.
Channels
The integral proteins involved in facilitated transport are collectively referred to as transport proteins, and they function
as either channels for the material or carriers. In both cases, they are transmembrane proteins. Channels are specific
for the substance that is being transported. Channel proteins have hydrophilic domains exposed to the intracellular and
extracellular fluids; they additionally have a hydrophilic channel through their core that provides a hydrated opening
through the membrane layers (Figure 5.9). Passage through the channel allows polar compounds to avoid the nonpolar
central layer of the plasma membrane that would otherwise slow or prevent their entry into the cell. Aquaporins are channel
proteins that allow water to pass through the membrane at a very high rate.
Figure 5.9 Facilitated transport moves substances down their concentration gradients. They may cross the plasma
membrane with the aid of channel proteins. (credit: modification of work by Mariana Ruiz Villareal)
Channel proteins are either open at all times or they are gated, which controls the opening of the channel. The attachment
of a particular ion to the channel protein may control the opening, or other mechanisms or substances may be involved. In
some tissues, sodium and chloride ions pass freely through open channels, whereas in other tissues a gate must be opened
to allow passage. An example of this occurs in the kidney, where both forms of channels are found in different parts of
the renal tubules. Cells involved in the transmission of electrical impulses, such as nerve and muscle cells, have gated
channels for sodium, potassium, and calcium in their membranes. Opening and closing of these channels change the relative
concentrations on opposing sides of the membrane of these ions, resulting in the facilitation of electrical transmission along
membranes (in the case of nerve cells) or in muscle contraction (in the case of muscle cells).
218 Chapter 5 | Structure and Function of Plasma Membranes
Carrier Proteins
Another type of protein embedded in the plasma membrane is a carrier protein. This aptly named protein binds a substance
and, in doing so, triggers a change of its own shape, moving the bound molecule from the outside of the cell to its interior
(Figure 5.10); depending on the gradient, the material may move in the opposite direction. Carrier proteins are typically
specific for a single substance. This selectivity adds to the overall selectivity of the plasma membrane. The exact mechanism
for the change of shape is poorly understood. Proteins can change shape when their hydrogen bonds are affected, but this
may not fully explain this mechanism. Each carrier protein is specific to one substance, and there are a finite number of
these proteins in any membrane. This can cause problems in transporting enough of the material for the cell to function
properly. When all of the proteins are bound to their ligands, they are saturated and the rate of transport is at its maximum.
Increasing the concentration gradient at this point will not result in an increased rate of transport.
Figure 5.10 Some substances are able to move down their concentration gradient across the plasma membrane with
the aid of carrier proteins. Carrier proteins change shape as they move molecules across the membrane. (credit:
modification of work by Mariana Ruiz Villareal)
An example of this process occurs in the kidney. Glucose, water, salts, ions, and amino acids needed by the body are filtered
in one part of the kidney. This filtrate, which includes glucose, is then reabsorbed in another part of the kidney. Because
there are only a finite number of carrier proteins for glucose, if more glucose is present than the proteins can handle, the
excess is not transported and it is excreted from the body in the urine. In a diabetic individual, this is described as spilling
glucose into the urine. A different group of carrier proteins called glucose transport proteins, or GLUTs, are involved in
transporting glucose and other hexose sugars through plasma membranes within the body.
Channel and carrier proteins transport material at different rates. Channel proteins transport much more quickly than do
carrier proteins. Channel proteins facilitate diffusion at a rate of tens of millions of molecules per second, whereas carrier
proteins work at a rate of a thousand to a million molecules per second.
Osmosis
Osmosis is the movement of water through a semipermeable membrane according to the concentration gradient of water
across the membrane, which is inversely proportional to the concentration of solutes. While diffusion transports material
across membranes and within cells, osmosis transports only water across a membrane and the membrane limits the diffusion
of solutes in the water. Not surprisingly, the aquaporins that facilitate water movement play a large role in osmosis, most
prominently in red blood cells and the membranes of kidney tubules.
Mechanism
Osmosis is a special case of diffusion. Water, like other substances, moves from an area of high concentration to one of low
concentration. An obvious question is, What makes water move at all? Imagine a beaker with a semipermeable membrane
separating the two sides or halves (Figure 5.11). On both sides of the membrane the water level is the same, but there are
different concentrations of a dissolved substance, or solute, that cannot cross the membrane (otherwise the concentrations
on each side would be balanced by the solute crossing the membrane). If the volume of the solution on each side of the
membrane are the same, but the concentrations of solute are different, then there are different amounts of water (the solvent,)
on either side of the membrane.
Chapter 5 | Structure and Function of Plasma Membranes 219
Figure 5.11 In osmosis, water always moves from an area of higher water concentration to one of lower concentration.
In this diagram, the solute cannot pass through the selectively permeable membrane, but the water can.
To illustrate this, imagine two full glasses of water. One has a single teaspoon of sugar in it, and the second one contains
one-quarter cup of sugar. If the total volume of the solutions in each cup are the same, which cup contains more water?
Because the large amount of sugar in the second cup takes up much more space than the teaspoon of sugar in the first cup,
the first cup has more water in it.
Returning to the beaker example, recall that it has a mixture of solutes on either side of the membrane. A principle of
diffusion is that the molecules move around and will spread evenly throughout the medium if they can. However, only
the material capable of getting through the membrane will diffuse through it. In this example, the solute cannot diffuse
through the membrane, but the water can. Water has a concentration gradient in this system. Thus, water will diffuse down
its concentration gradient, crossing the membrane to the side where it is less concentrated. This diffusion of water through
the membrane, called osmosis, will continue until the concentration gradient of water goes to zero or until the hydrostatic
pressure of the water balances the osmotic pressure. Osmosis occurs constantly in living systems.
Although the beaker illustrates the movement of water in an open system, cells are not open systems. Cells are a
complex matrix of proteins embedded in an aqueous buffer surrounded by a phospholipid bilayer. Suppose you perform an
experiment where you placed red blood cells in an environment of pure water. What do you suppose would happen to the
cells? Because the concentration of solute is higher in the red blood cells than it is in the beaker, water would rush into
the red blood cells. What do you think would happen to these cells, given that there cell membrane is made up of a fixed
surface area? At hospitals, intravenous delivery of drugs occurs directly into the blood. How would you formulate the drug
to prevent red blood cells from undergoing hemolysis?
Tonicity
Tonicity describes how an extracellular solution can change the volume of a cell by affecting osmosis. A solution's tonicity
often directly correlates with the osmolarity of the solution. Osmolarity describes the total solute concentration of the
solution. A solution with low osmolarity has a greater number of water molecules relative to the number of solute particles;
a solution with high osmolarity has fewer water molecules with respect to solute particles. In a situation in which solutions
of two different osmolarities are separated by a membrane permeable to water, though not to the solute, water will move
from the side of the membrane with lower osmolarity (and more water) to the side with higher osmolarity (and less water).
This effect makes sense if you remember that the solute cannot move across the membrane, and thus the only component in
the system that can move—the water—moves along its own concentration gradient. An important distinction that concerns
living systems is that osmolarity measures the number of particles (which may be molecules) in a solution. Therefore, a
solution that is cloudy with cells may have a lower osmolarity than a solution that is clear, if the second solution contains
more dissolved molecules there are cells.
Hypotonic Solutions
Three terms—hypotonic, isotonic, and hypertonic—are used to relate the osmolarity of a cell to the osmolarity of the
extracellular fluid that contains the cells. In a hypotonic situation, the extracellular fluid has lower osmolarity than the fluid
inside the cell, and water enters the cell. In living systems, the point of reference is always the cytoplasm, so the prefix hypo-
means that the extracellular fluid has a lower concentration of solutes, or a lower osmolarity, than the cell cytoplasm. It also
means that the extracellular fluid has a higher concentration of water in the solution than the cell does. In this situation,
water will follow its concentration gradient and enter the cell.
Hypertonic Solutions
As for a hypertonic solution, the prefix hyper- refers to the extracellular fluid having a higher osmolarity than the cell’s
cytoplasm; therefore, the fluid contains less water than the cell does. Because the cell has a relatively higher concentration
220 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.12 Osmotic pressure changes the shape of red blood cells in hypertonic, isotonic, and hypotonic solutions.
(credit: Mariana Ruiz Villareal)
For a video illustrating the process of diffusion in solutions, visit this site (http://openstaxcollege.org/l/dispersion) .
a. The lower temperature of the left beaker causes yellow dye to diffuse faster than the right beaker.
b. The lower temperature in the left beaker causes yellow dye to diffuse slower in it than in the right beaker.
c. The higher temperature of the left beaker causes faster diffusion of yellow dye in the left beaker.
d. The higher temperature of the right beaker causes slower diffusion of yellow dye in the right beaker.
lyse. In fact, the cytoplasm in plants is always slightly hypertonic to the cellular environment, and water will always enter
a cell if water is available. This inflow of water produces turgor pressure, which stiffens the cell walls of the plant (Figure
5.13). In nonwoody plants, turgor pressure supports the plant. Conversly, if the plant is not watered, the extracellular fluid
will become hypertonic, causing water to leave the cell. In this condition, the cell does not shrink because the cell wall is
not flexible. However, the cell membrane detaches from the wall and constricts the cytoplasm. This is called plasmolysis.
Plants lose turgor pressure in this condition and wilt (Figure 5.14).
Figure 5.13 The turgor pressure within a plant cell depends on the tonicity of the solution that it is bathed in. (credit:
modification of work by Mariana Ruiz Villareal)
Figure 5.14 Without adequate water, the plant on the left has lost turgor pressure, visible in its wilting; the turgor
pressure is restored by watering it (right). (credit: Victor M. Vicente Selvas)
Tonicity is a concern for all living things. For example, paramecia and amoebas, which are protists that lack cell walls, have
contractile vacuoles. This vesicle collects excess water from the cell and pumps it out, keeping the cell from lysing as it
takes on water from its environment (Figure 5.15).
Figure 5.15 A paramecium’s contractile vacuole, here visualized using bright field light microscopy at 480x
magnification, continuously pumps water out of the organism’s body to keep it from bursting in a hypotonic medium.
(credit: modification of work by NIH; scale-bar data from Matt Russell)
Many marine invertebrates have internal salt levels matched to their environments, making them isotonic with the water
in which they live. Fish, however, must spend approximately five percent of their metabolic energy maintaining osmotic
homeostasis. Freshwater fish live in an environment that is hypotonic to their cells. These fish actively take in salt through
their gills and excrete diluted urine to rid themselves of excess water. Saltwater fish live in the reverse environment, which
is hypertonic to their cells, and they secrete salt through their gills and excrete highly concentrated urine.
222 Chapter 5 | Structure and Function of Plasma Membranes
In vertebrates, the kidneys regulate the amount of water in the body. Osmoreceptors are specialized cells in the brain
that monitor the concentration of solutes in the blood. If the levels of solutes increase beyond a certain range, a hormone
is released that retards water loss through the kidney and dilutes the blood to safer levels. Animals also have high
concentrations of albumin, which is produced by the liver, in their blood. This protein is too large to pass easily through
plasma membranes and is a major factor in controlling the osmotic pressures applied to tissues.
Activity
Use the model of the plasma cell membrane you constructed to demonstrate how O2 and CO2, H2O, Na+
and K+, and glucose are transported across the membrane.
Think About It
Why should farmers consider the salinity of the soil in which they grow crops?
Answer: Farmers need to consider the salinity of soil because the movement of water into and out of plant
cells depends on the solute concentration of their environment. In soil high in saline, water will be drawn out
of root cells, causing the cells to shrivel and the plant to die.
Section Summary
The passive forms of transport—diffusion and osmosis—move materials of small molecular weight across membranes. A
substance diffuses from areas of high concentration to areas of lower concentration, and this process continues until the
substance is evenly distributed in a system. In solutions containing more than one substance, each type of molecule diffuses
according to its own concentration gradient, independent of the diffusion of other substances. Many factors can affect the
rate of diffusion, including the concentration gradient, size of the particles that are diffusing, and the temperature of the
system.
In living systems, diffusion of substances into and out of cells is mediated by the plasma membrane. Some materials diffuse
readily through the membrane, but others are hindered, and their passage is made possible by specialized proteins, such as
channels and transporters. The chemistry of living things occurs in aqueous solutions, and balancing the concentrations of
those solutions is an ongoing process. In living systems, diffusion of some substances would be slow or difficult without
membrane proteins that facilitate transport.
Idea 2 of the AP® Biology Curriculum Framework. The learning objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices (SPs).
Biological systems use free energy and molecular building blocks to grow, to reproduce, and
Big Idea 2
to maintain dynamic homeostasis.
Enduring
Growth, reproduction, and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different from their external environments.
2.B
Essential 2.B.2 Growth and dynamic homeostasis are maintained by the constant movement of
Knowledge molecules across membranes.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
2.12 The student is able to use representations and models to analyze situations or solve
Learning
problems qualitatively and quantitatively to investigate whether dynamic homeostasis is
Objective
maintained by the active movement of molecules across membranes.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.10]
• [APLO 2.17]
• [APLO 1.2]
• [APLO 3.24]
Active transport mechanisms require the use of the cell’s energy, usually in the form of adenosine triphosphate (ATP). If
a substance must move into the cell against its concentration gradient—that is, if the concentration of the substance inside
the cell is greater than its concentration in the extracellular fluid (and vice versa)—the cell must use energy to move the
substance. Some active transport mechanisms move small-molecular-weight materials, such as ions, through the membrane.
Other mechanisms transport much larger molecules.
Electrochemical Gradient
We have discussed simple concentration gradients—differential concentrations of a substance across a space or a
membrane—but in living systems, gradients are more complex. Because ions move into and out of cells and because cells
contain proteins that do not move across the membrane and are mostly negatively charged, there is also an electrical
gradient, a difference of charge, across the plasma membrane. The interior of living cells is electrically negative with respect
to the extracellular fluid in which they are bathed, and at the same time cells have higher concentrations of potassium (K+)
and lower concentrations of sodium (Na+) than does the extracellular fluid. So in a living cell, the concentration gradient
of Na+ tends to drive it into the cell, and the electrical gradient of Na+ (a positive ion) also tends to drive it inward to the
negatively charged interior. The situation is more complex, however, for other elements, such as potassium. The electrical
gradient of K+, a positive ion, also tends to drive it into the cell, but the concentration gradient of K+ tends to drive K+
out of the cell (Figure 5.16). The combined gradient of concentration and electrical charge that affects an ion is called its
electrochemical gradient.
224 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.16 Electrochemical gradients arise from the combined effects of concentration gradients and electrical
gradients. (credit: “Synaptitude”/Wikimedia Commons)
If the pH outside the cell decreases, would you expect the amount of amino acids transported into the cell to increase
or decrease?
a. Transport of amino acids into the cell increases.
b. Transport of amino acids into the cell stops.
c. Transport of amino acids into the cell is not affected by pH.
d. Transport of amino acid into the cell decreases.
Figure 5.17 A uniporter carries one molecule or ion. A symporter carries two different molecules or ions, both in the
same direction. An antiporter also carries two different molecules or ions, but in different directions. (credit: modification
of work by “Lupask”/Wikimedia Commons)
226 Chapter 5 | Structure and Function of Plasma Membranes
The primary active transport that functions with the active transport of sodium and potassium allows
secondary active transport to occur. The second transport method is still considered active because it
depends on the use of energy as does primary transport (illustrative example).
Figure 5.18 Primary active transport moves ions across a membrane, creating an electrochemical gradient
(electrogenic transport). (credit: modification of work by Mariana Ruiz Villareal)
One of the most important pumps in animal cells is the sodium-potassium pump (Na+-K+ ATPase), which
maintains the electrochemical gradient (and the correct concentrations of Na+ and K+) in living cells. The
sodium-potassium pump moves K+ into the cell while moving Na+ out at the same time, at a ratio of three
Na+ for every two K+ ions moved in. The Na+-K+ ATPase exists in two forms, depending on its orientation
to the interior or exterior of the cell and its affinity for either sodium or potassium ions. The process consists
of the following six steps:
1. With the enzyme oriented toward the interior of the cell, the carrier has a high affinity for sodium ions.
Three ions bind to the protein.
2. The protein carrier hydrolyzes ATP, and a low-energy phosphate group attaches to it.
3. As a result, the carrier changes shape and reorients itself toward the exterior of the membrane. The
protein’s affinity for sodium decreases, and the three sodium ions leave the carrier.
4. The shape change increases the carrier’s affinity for potassium ions, and two such ions attach to the
protein. Subsequently, the low-energy phosphate group detaches from the carrier.
5. With the phosphate group removed and potassium ions attached, the carrier protein repositions itself
toward the interior of the cell.
6. The carrier protein, in its new configuration, has a decreased affinity for potassium, and the two ions
are released into the cytoplasm. The protein now has a higher affinity for sodium ions, and the process
starts again.
Several things have happened as a result of this process. At this point, there are more sodium ions outside
the cell than inside, and more potassium ions inside than out. For every three ions of sodium that move
out, two ions of potassium move in. This results in the interior being slightly more negative relative to
the exterior. This difference in charge is important in creating the conditions necessary for the secondary
process. Therefore, the sodium-potassium pump is an electrogenic pump (a pump that creates a charge
imbalance), contributing to the membrane potential.
What will happen to the opening of the sodium-potassium pump if no ATP is present in a cell?
a. It will remain facing the extracellular space, with sodium ions bound.
b. It will remain facing the extracellular space, with potassium ions bound.
c. It will remain facing the cytoplasm, but no sodium ions would bind.
d. It will remain facing the cytoplasm, with sodium ions bound.
Chapter 5 | Structure and Function of Plasma Membranes 227
a. ATP is required to move sodium ions against their concentration gradient outside the cell.
Activity
Create a representation/diagram, or use the model you constructed of the plasma cell membrane, to explain
how the sodium-potassium pump contributes to the net negative change of the interior of an animal nerve
cell.
Think About It
If the pH outside the cell decreases, would you expect the amount of amino acids and glucose transported into the cell
to increase or decrease? Justify your reasoning.
Figure 5.19 An electrochemical gradient, created by primary active transport, can move other substances against
their concentration gradients, a process called cotransport or secondary active transport. (credit: modification of
work by Mariana Ruiz Villareal)
Injection of a potassium solution into a person’s blood is lethal. Potassium is used in capital punishment and euthanasia.
Why do you think a potassium solution injection is lethal?
a. Excess potassium disrupts the membrane components.
b. Excess potassium increases action potential generation, leading to uncoordinated organ activity.
c. Potassium dissipates the electrochemical gradient in cardiac muscle cells, preventing them from contracting.
d. Potassium creates a new concentration gradient across the cell membrane, preventing sodium from leaving
the cell.
Section Summary
The combined gradient that affects an ion includes its concentration gradient and its electrical gradient. A positive ion, for
example, might tend to diffuse into a new area, down its concentration gradient; but if it is diffusing into an area of net
positive charge, its diffusion will be hampered by its electrical gradient. When dealing with ions in aqueous solutions, a
combination of the electrochemical and concentration gradients, rather than just the concentration gradient alone, must be
considered. Living cells need certain substances that exist inside the cell in concentrations greater than they exist in the
extracellular space. Moving substances up their electrochemical gradients requires energy from the cell. Active transport
uses energy stored in ATP to fuel this transport. Active transport of small-molecular-sized materials uses integral proteins
in the cell membrane to move the materials; these proteins are analogous to pumps. Some pumps, which carry out primary
active transport, couple directly with ATP to drive their action. In cotransport, or secondary active transport, the energy
from primary transport can be used to move another substance into the cell and increase its concentration gradient.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different from their external environments.
2.B
Essential 2.B.2 Growth and dynamic homeostasis are maintained by the constant movement of
Knowledge molecules across membranes.
Science 1.4 The student is able to use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
2.12 The student is able to use representations and models to analyze situations or solve
Learning
problems qualitatively and quantitatively to investigate whether dynamic homeostasis is
Objective
maintained by the active movement of molecules across membranes.
Biological systems use free energy and molecular building blocks to grow, reproduce, and
Big Idea 2
maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.4 Plants and animals have a variety of chemical defenses against infections that affect
Knowledge dynamic homeostasis.
Science 1.1 The student is able to create representations and models of natural or man-made
Practice phenomena and systems in the domain.
Science 1.2 The student is able to describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 2.30 The student is able to create representations or models to describe nonspecific immune
Objective defenses in plants and animals.
In addition to moving small ions and molecules through the membrane, cells also need to remove and take in larger
molecules and particles (see Table 5.2 for examples). Some cells are even capable of engulfing entire unicellular
microorganisms. You might have correctly hypothesized that the uptake and release of large particles by the cell requires
energy. A large particle, however, cannot pass through the membrane, even with energy supplied by the cell.
230 Chapter 5 | Structure and Function of Plasma Membranes
Endocytosis
Endocytosis is a type of active transport that moves particles, such as large molecules, parts of cells, and even whole cells,
into a cell. There are different variations of endocytosis, but all share a common characteristic: The plasma membrane of the
cell invaginates, forming a pocket around the target particle. The pocket pinches off, resulting in the particle being contained
in a newly created intracellular vesicle formed from the plasma membrane.
Phagocytosis
Phagocytosis (the condition of cell eating) is the process by which large particles, such as cells or microorganisms, are
taken in by a cell. For example, when microorganisms invade the human body, a type of white blood cell called a neutrophil
will remove the invaders through this process, surrounding and engulfing the microorganism, which is then destroyed by
the neutrophil (Figure 5.20).
Figure 5.20 In phagocytosis, the cell membrane surrounds the particle and engulfs it. (credit: Mariana Ruiz Villareal)
In preparation for phagocytosis, a portion of the inward-facing surface of the plasma membrane becomes coated with a
protein called clathrin, which stabilizes this section of the membrane. The coated portion of the membrane then extends
from the body of the cell and surrounds the particle, eventually enclosing it. Once the vesicle containing the particle is
enclosed within the cell, the clathrin disengages from the membrane, and the vesicle merges with a lysosome for the
breakdown of the material in the newly formed compartment (endosome). When accessible nutrients from the degradation
of the vesicular contents have been extracted, the newly formed endosome merges with the plasma membrane and releases
its contents into the extracellular fluid. The endosomal membrane again becomes part of the plasma membrane.
Activity
Create a representation/diagram to describe how a neutrophil, a type of human white blood cell, attacks and
destroys an invading bacterium. What cellular organelles are involved in this process?
Pinocytosis
A variation of endocytosis is called pinocytosis. This literally means cell drinking and was named at a time when the
assumption was that the cell was purposefully taking in extracellular fluid. In reality, this is a process that takes in molecules,
including water, which the cell needs from the extracellular fluid. Pinocytosis results in a much smaller vesicle than does
phagocytosis, and the vesicle does not need to merge with a lysosome (Figure 5.21).
Chapter 5 | Structure and Function of Plasma Membranes 231
Figure 5.21 In pinocytosis, the cell membrane invaginates, surrounds a small volume of fluid, and pinches off. (credit:
Mariana Ruiz Villareal)
A variation of pinocytosis is called potocytosis. This process uses a coating protein, called caveolin, on the cytoplasmic
side of the plasma membrane, which performs a similar function to clathrin. The cavities in the plasma membrane that form
the vacuoles have membrane receptors and lipid rafts in addition to caveolin. The vacuoles or vesicles formed in caveolae
(singular, caveola) are smaller than those in pinocytosis. Potocytosis is used to bring small molecules into the cell and to
transport these molecules through the cell for their release on the other side of the cell, a process called transcytosis.
Receptor-mediated Endocytosis
A targeted variation of endocytosis employs receptor proteins in the plasma membrane that have a specific binding affinity
for certain substances (Figure 5.22).
232 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.22 In receptor-mediated endocytosis, uptake of substances by the cell is targeted to a single type of
substance that binds to the receptor on the external surface of the cell membrane. (credit: modification of work by
Mariana Ruiz Villareal)
In receptor-mediated endocytosis, as in phagocytosis, clathrin is attached to the cytoplasmic side of the plasma membrane.
If uptake of a compound is dependent on receptor-mediated endocytosis and the process is ineffective, the material will not
be removed from the tissue fluids or blood. Instead, it will stay in those fluids and increase in concentration. Some human
diseases are caused by the failure of receptor-mediated endocytosis. For example, the form of cholesterol termed low-density
lipoprotein or LDL, also referred to as bad cholesterol, is removed from the blood by receptor-mediated endocytosis. In the
human genetic disease familial hypercholesterolemia, the LDL receptors are defective or missing entirely. People with this
condition have life-threatening levels of cholesterol in their blood because their cells cannot clear LDL particles from their
blood.
Although receptor-mediated endocytosis is designed to bring specific substances that are normally found in the extracellular
fluid into the cell, other substances may gain entry into the cell at the same site. Influenza viruses, diphtheria, and cholera
toxin all have sites that cross-react with normal receptor-binding sites and gain entry into cells.
Chapter 5 | Structure and Function of Plasma Membranes 233
See receptor-mediated endocytosis in action, and click on different parts (http://openstaxcollege.org/l/endocytosis) for
a focused animation.
Salmonella is one of the most common food-borne illnesses. When salmonella bacteria are engulfed by awhite blood cell
during phagocytosis, it secretes a protein that prevents the fusion of the encased bacteria with the lysosome of the cell.
What effect would this have?
a. The bacteria will be destroyed and will not cause any illness.
Exocytosis
The reverse process of moving material into a cell is the process of exocytosis. Exocytosis is the opposite of the processes
discussed above in that its purpose is to expel material from the cell into the extracellular fluid. Waste material is enveloped
in a membrane and fuses with the interior of the plasma membrane. This fusion opens the membranous envelope on
the exterior of the cell, and the waste material is expelled into the extracellular space (Figure 5.23). Other examples of
cells releasing molecules via exocytosis include the secretion of proteins of the extracellular matrix and the secretion of
neurotransmitters into the synaptic cleft by synaptic vesicles.
Figure 5.23 In exocytosis, vesicles containing substances fuse with the plasma membrane. The contents are then
released to the exterior of the cell. (credit: modification of work by Mariana Ruiz Villareal)
234 Chapter 5 | Structure and Function of Plasma Membranes
Table 5.2
Section Summary
Active transport methods require the direct use of ATP to fuel the transport. Large particles, such as macromolecules, parts
of cells, or whole cells, can be engulfed by other cells in a process called phagocytosis. In phagocytosis, a portion of the
membrane invaginates and flows around the particle, eventually pinching off and leaving the particle entirely enclosed
by an envelope of plasma membrane. The vesicle contents are broken down by the cell, with the particles either used as
food or dispatched. Pinocytosis is a similar process on a smaller scale. The plasma membrane invaginates and pinches
off, producing a small envelope of fluid from outside the cell. Pinocytosis imports substances that the cell needs from the
extracellular fluid. The cell expels waste in a similar but reverse manner: it pushes a membranous vacuole to the plasma
membrane, allowing the vacuole to fuse with the membrane and incorporate itself into the membrane structure, releasing its
contents to the exterior.
Chapter 5 | Structure and Function of Plasma Membranes 235
KEY TERMS
active transport a method of transporting material that requires energy
amphiphilic a molecule that possesses a polar or charged area and a nonpolar or uncharged area, and is capable of
interacting with both hydrophilic and hydrophobic environments
antiporter a transporter that carries two ions or small molecules in different directions
aquaporin a channel protein that allows water to pass through the membrane at a very high rate
carrier protein a membrane protein that moves a substance across the plasma membrane by changing its own shape
caveolin a protein that coats the cytoplasmic side of the plasma membrane and participates in the process of liquid uptake
by potocytosis
channel protein a membrane protein that allows a substance to pass through its hollow core across the plasma membrane
clathrin a protein that coats the inward-facing surface of the plasma membrane and assists in the formation of specialized
structures, such as coated pits, for phagocytosis
diffusion a passive process of the movement of low-molecular-weight material according to its concentration gradient
electrochemical gradient a gradient produced by the combined forces of an electrical gradient and a chemical gradient
endocytosis a type of active transport that moves substances, including fluids and particles, into a cell
facilitated transport a process by which material moves down a concentration gradient (from high to low concentration)
using integral membrane proteins
fluid mosaic model describes the structure of the plasma membrane as a mosaic of components, including
phospholipids, cholesterol, proteins, glycoproteins, and glycolipids (sugar chains attached to proteins or lipids,
respectively), resulting in a fluid character (fluidity)
hydrophobic a molecule that does not have the ability to bond with water; (water-hating)
hypertonic a situation in which extracellular fluid has a higher osmolarity than the fluid inside the cell, resulting in water
moving out of the cell
hypotonic a situation in which extracellular fluid has a lower osmolarity than the fluid inside the cell, resulting in water
moving into the cell
integral protein a protein integrated into the membrane structure that interacts extensively with the hydrocarbon chains
of membrane lipids and often spans the membrane; these proteins can be removed only by the disruption of the
membrane by detergents
isotonic a situation in which the extracellular fluid has the same osmolarity as the fluid inside the cell, resulting in no net
movement of water into or out of the cell
osmosis the transport of water through a semipermeable membrane according to the concentration gradient of water
across the membrane due to the presence of solute that cannot pass through the membrane
passive transport a method of transporting material through a membrane that does not require energy
peripheral protein a protein found at the surface of a plasma membrane on either its exterior or interior side; these
proteins can be removed (washed off the membrane) by a high-salt wash
pinocytosis a variation of endocytosis that imports macromolecules from the extracellular fluid that the cell needs
plasmolysis the detaching of the cell membrane from the cell wall and constriction of the cell membrane when a plant
cell is in a hypertonic solution
potocytosis a variation of pinocytosis that uses a different coating protein (caveolin) on the cytoplasmic side of the
plasma membrane
primary active transport the active transport that moves ions or small molecules across a membrane, and may create a
difference in charge across that membrane
pump the active transport mechanism that works against electrochemical gradients
receptor-mediated endocytosis a variation of endocytosis that involves the use of specific binding proteins in the
plasma membrane for specific molecules or particles, and clathrin-coated pits that become clathrin-coated vesicles
secondary active transport the movement of material that is due to the electrochemical gradient established by
primary active transport
selectively permeable a characteristic of a membrane that allows some substances through but not others
symporter a transporter that carries two different ions or small molecules, both in the same direction
transport protein a membrane protein that facilitates the passage of a substance across a membrane by binding to it
CHAPTER SUMMARY
5.1 Components and Structure
The modern understanding of the plasma membrane is referred to as the fluid mosaic model. The plasma membrane is
composed of a bilayer of phospholipids, with their hydrophobic, fatty acid tails in contact with each other. The landscape
of the membrane is studded with proteins, some of which span the membrane. Some of these proteins serve to transport
materials into or out of the cell. Carbohydrates are attached to some of the proteins and lipids on the outward-facing
surface of the membrane, forming complexes that function to identify the cell to other cells. The fluid nature of the
membrane is due to temperature, the configuration of the fatty acid tails (some kinked by double bonds), the presence of
cholesterol embedded in the membrane, and the mosaic nature of the proteins and protein-carbohydrate combinations,
which are not firmly fixed in place. Plasma membranes enclose and define the borders of cells, but rather than being a
static bag, they are dynamic and constantly in flux.
The passive forms of transport—diffusion and osmosis—move materials of small molecular weight across membranes. A
substance diffuses from areas of high concentration to areas of lower concentration, and this process continues until the
substance is evenly distributed in a system. In solutions containing more than one substance, each type of molecule
diffuses according to its own concentration gradient, independent of the diffusion of other substances. Many factors can
affect the rate of diffusion, including the concentration gradient, size of the particles that are diffusing, and the temperature
Chapter 5 | Structure and Function of Plasma Membranes 237
of the system.
In living systems, diffusion of substances into and out of cells is mediated by the plasma membrane. Some materials
diffuse readily through the membrane, but others are hindered, and their passage is made possible by specialized proteins,
such as channels and transporters. The chemistry of living things occurs in aqueous solutions, and balancing the
concentrations of those solutions is an ongoing process. In living systems, diffusion of some substances would be slow or
difficult without membrane proteins that facilitate transport.
The combined gradient that affects an ion includes its concentration gradient and its electrical gradient. A positive ion, for
example, might tend to diffuse into a new area, down its concentration gradient; but if it is diffusing into an area of net
positive charge, its diffusion will be hampered by its electrical gradient. When dealing with ions in aqueous solutions, a
combination of the electrochemical and concentration gradients, rather than just the concentration gradient alone, must be
considered. Living cells need certain substances that exist inside the cell in concentrations greater than they exist in the
extracellular space. Moving substances up their electrochemical gradients requires energy from the cell. Active transport
uses energy stored in ATP to fuel this transport. Active transport of small-molecular-sized materials uses integral proteins
in the cell membrane to move the materials; these proteins are analogous to pumps. Some pumps, which carry out primary
active transport, couple directly with ATP to drive their action. In cotransport, or secondary active transport, the energy
from primary transport can be used to move another substance into the cell and increase its concentration gradient.
Active transport methods require the direct use of ATP to fuel the transport. Large particles, such as macromolecules, parts
of cells, or whole cells, can be engulfed by other cells in a process called phagocytosis. In phagocytosis, a portion of the
membrane invaginates and flows around the particle, eventually pinching off and leaving the particle entirely enclosed by
an envelope of plasma membrane. The vesicle contents are broken down by the cell, with the particles either used as food
or dispatched. Pinocytosis is a similar process on a smaller scale. The plasma membrane invaginates and pinches off,
producing a small envelope of fluid from outside the cell. Pinocytosis imports substances that the cell needs from the
extracellular fluid. The cell expels waste in a similar but reverse manner: it pushes a membranous vacuole to the plasma
membrane, allowing the vacuole to fuse with the membrane and incorporate itself into the membrane structure, releasing
its contents to the exterior.
REVIEW QUESTIONS
22. Which plasma membrane component can be found either on its surface or embedded in the membrane structure?
a. carbohydrates
b. cholesterol
c. glycolipid
d. protein
23. In addition to a plasma membrane, eukaryotic cell organelles, such as mitochondria, also have membranes. In which
way would these membranes differ?
a. The proportion of phosphate within the phospholipids will vary.
b. Only certain membranes contain phospholipids.
c. Only certain membranes are selectively permeable.
d. The proportions of proteins, lipids, and carbohydrates will vary.
24. Which characteristic of a phospholipid increases the fluidity of the membrane?
a. cholesterol
b. its head
c. saturated fatty acid tail
d. unsaturated fatty acid tail
25. How would an organism maintain membrane fluidity in an environment where temperatures fluctuated from very high
to very low?
Chapter 5 | Structure and Function of Plasma Membranes 239
a. Phospholipids form the bilayer; carbohydrates help in adhesion; cholesterol provides flexibility; integral proteins
form transporters; peripheral proteins are part of the cell’s recognition sites.
b. Phospholipids form the bilayer; carbohydrates help in adhesion; cholesterol forms transporters; integral proteins
provide flexibility; peripheral proteins are part of the cell’s recognition sites.
c. Phospholipids form the bilayer; carbohydrates are part of the cell’s recognition sites; cholesterol provides
flexibility to the membrane; integral proteins form transporters; intermediate filaments help in adhesion.
d. Phospholipids form the bilayer; carbohydrates function as adhesion; cholesterol provides flexibility to the
membrane; integral proteins form transporters; intermediate filaments are part of the cell’s recognition sites.
41. Discuss why the following affect the rate of diffusion: molecular size, temperature, solution density, and the distance
that must be traveled.
a. Larger molecules move faster than lighter molecules. Temperature affects the molecular movement. Density is
directly proportional to the molecular movement. Greater distance slows the diffusion.
b. Larger molecules move slower than lighter molecules. Increasing or decreasing temperature increases or
decreases the energy in the medium, affecting molecular movement. Density is inversely proportional to
molecular movement. Greater distance slows the diffusion.
c. Larger molecules move slower than lighter molecules. Temperature does not affect the rate of diffusion. Density
is inversely proportional to molecular movement. Greater distance speeds up the diffusion.
d. Larger molecules move slower than lighter molecules. Increasing or decreasing temperature increases or
decreases the energy in the medium, affecting molecular movement. Density is inversely proportional to the
molecular movement. Greater distance speeds up the diffusion.
42. Both of the regular intravenous solutions administered in medicine, normal saline and lactated Ringer’s solution, are
isotonic. Why is this important?
a. Isotonic solutions maintain equilibrium and avoid the exchange of materials to or from the blood.
b. Isotonic solutions disrupt equilibrium and allow for better exchange of materials in the blood cells.
c. Isotonic solutions increase the pH of the blood and allow for better absorption of saline in the blood cells.
d. Isotonic solutions decrease the pH of the blood and avoid the exchange of materials to or from the blood cells.
43. A doctor injects a patient with what the doctor thinks is an isotonic saline solution. The patient dies, and an autopsy
reveals that many red blood cells had burst. Was the solution the doctor injected really isotonic?
a. No, the solution was hypertonic.
b. No, the solution was either hypotonic or hypertonic.
c. No, the solution was hypotonic.
d. Yes, the solution was isotonic.
44. How does the sodium-potassium pump contribute to the net negative charge of the interior of the cell?
a. The sodium-potassium pump forces out three (positive) Na+ ions for every two (positive) K+ ions it pumps in;
thus, the cell loses a net positive charge of one at every cycle of the pump.
b. The sodium-potassium pump expels three K+ for every two Na+ inside the cells, creating a net positive charge
outside the cell and a net negative charge inside the cell.
c. The sodium-potassium pump helps the development of a negative charge inside the cell by making the
membrane more permeable to negatively charged proteins.
d. The sodium-potassium pump helps in the development of a negative charge inside the cell by making the
membrane impermeable to positively charged ions.
45. Potassium is a necessary nutrient in order to maintain the function of our cells. What would occur to a person that is
deficient in potassium?
a. The excess sodium disrupts the membrane components.
b. The excess sodium increases action potential generation.
c. The cells would not be able to get rid of extra sodium.
d. The cells would not be able to bring in sodium.
242 Chapter 5 | Structure and Function of Plasma Membranes
46. Choose the statement that describes processes of receptor-mediated endocytosis, exocytosis, and the changes in the
membrane organization.
a. Endocytosis involves the opsonization of a receptor and its ligand in clathrin-coated vesicles, along with the
inward budding of the plasma membrane. In exocytosis, waste material is enveloped in a membrane that fuses
with the interior of the plasma membrane via attachment proteins.
b. In endocytosis, waste material is enveloped in a membrane that fuses with the interior of the plasma membrane
via attachment proteins. Exocytosis involves the opsonization of the receptor and its ligand in a clathrin-coated
vesicles.
c. In endocytosis, waste material is enveloped in a membrane that fuses with the interior of the plasma membrane
via attachment proteins. Exocytosis involves the opsonization of the receptor and its ligand in caveolae-coated
vesicles.
d. Endocytosis involves the opsonization of the receptor and its ligand in clathrin-coated vesicles. In exocytosis,
waste material is enveloped in a membrane that fuses with the exterior of the plasma membrane via atachment
proteins.
47. Describe the process of potocytosis and explain how it differs from pinocytosis.
a. Potocytosis is a form of receptor-mediated endocytosis where molecules are transported via caveolae-coated
vesicles. Pinocytosis is a form of exocytosis used for excreting excess water.
b. Potocytosis is a form of exocytosis where molecules are transported via clathrin-coated vesicles. Pinocytosis is a
form of receptor-mediated endocytosis used for excreting excess water.
c. Potocytosis is a form of receptor-mediated endocytosis where molecules are transported via caveolae-coated
vesicles. Pinocytosis is a mode of endocytosis used for the absorption of extracellular water.
d. Potocytosis is a form of receptor-mediated endocytosis used for the absorption of water. Pinocytosis is a mode of
endocytosis used for the excretion of extracellular water.
a. Cl−
b. mucus
c. Na+
d. water
51. The sodium-potassium (Na+ / K+ ) pump functions like an antiporter transporting Na+ and K+ icons across membranes
using ATP. This protein spans the membrane with intracellular and extracellular domains. It has a binding site for Na + , K+
, and ATP. An experiment was conducted to determine the locations of these binding sites. Artificial cells were created and
incubated in buffers containing ATP, ouabain (or g-strophanthin, a cardiac glycoside), Na+ , and K+ in varying
combinations inside and outside of the cells as indicated in the given table. The transport of Na + and K+ was measured to
determine the activity of the Na+ / K+ pump.
Figure 5.24
Which conclusion is supported by the data?
a. Ouabain can disrupt ATP binding to the Na+ / K+ pump.
b. ATP is required for the transport of Na+ and not for transport of K+.
c. The ATP binding site of the Na+ / K+ pump is located on the intracellular domain of the pump.
d. The ATP binding site of the Na+ / K+ pump is located on the extracellular domain of the pump.
52. Paramecia are unicellular protists that have contractile vacuoles to remove excess intracellular water. In an
experimental investigation, Paramecia were placed in salt solutions of increasing osmolarity. The rate at which a
Paramecium’s contractile vacuole contracted to pump out excess water was determined and plotted against the osmolarity
of the solutions, as shown in the given graph. Which of the following is the correct explanation for the data?
244 Chapter 5 | Structure and Function of Plasma Membranes
Figure 5.25
a. At higher osmolarity, lower rates of contraction are required because more salt diffuses into the Paramecium.
b. In an isosmotic salt solution, there is no diffusion of water into or out of the Paramecium, so the contraction rate
is zero.
c. The contraction rate increases as the osmolarity decreases because the amount of water entering the Paramecium
by osmosis increases.
d. The contractile vacuole is less efficient in solutions of high osmolarity because of the reduced amount of ATP
produced from cellular respiration.
53. What is most likely to happen if Paramecia are moved from a hypertonic solution to solutions of decreasing
osmolarity?
a. The rate of contraction would increase with decreasing osmolarity because more water diffuses into the
Paramecium.
b. The rate of contraction would decrease with decreasing osmolarity because more water diffuses into the
Paramecium.
c. The rate of contraction would increase with decreasing osmolarity because more salt diffuses into the
Paramecium.
d. The rate of contraction would decrease with decreasing osmolarity because more salt diffuses into the
Paramecium.
54. Describe the Na+/K+ pump, labeling the binding sites for Na+ , K+ , and ATP. Explain how the data indicates the
location of the binding sites for Na+ and K+ on the pump. Based on the data in the table, which statement describes the
location of the binding sites for Na+ and K+ on the pump?
Chapter 5 | Structure and Function of Plasma Membranes 245
Figure 5.26
a. The binding of Na+ occurs on the outer surface of the cell, as its transportation remains unaffected by the
presence of ouabain. The binding of K+ occurs on the inner surface of the cell, as its transportation is blocked
when ouabain is present inside the cell.
b. The binding of K+ occurs on the outer surface of the cell, and its transportation is blocked when ouabain is
present outside the cell. The binding of Na+ occurs on the inner surface of the cell, and its transportation is
blocked by the presence of ouabain.
c. The binding of K+ occurs on the outer surface of the cell, and the binding of Na+ occurs on the inner surface of
the cell because they are not transported when ATP is absent.
d. The binding of Na+ occurs on the outer surface of the cell, and the binding of K+ occurs on the inner surface of
the cell because they are not transported when ATP is absent.
55. An experiment was set up to determine the movement of molecules through a dialysis-tubing bag into water. A
dialysistubing bag containing five percent lactose and five percent fructose was placed in a beaker of distilled water, as
illustrated in the given figure. After four hours, fructose is detected in the distilled water outside of the dialysis-tubing bag,
but lactose is not.
Figure 5.27
What conclusions can be made about the movement of molecules in this experiment?
246 Chapter 5 | Structure and Function of Plasma Membranes
a. Fructose, being a monosaccharide, diffused through the dialysis bag into the distilled water. However, lactose,
being a disaccharide, could not diffuse through the dialysis bag.
b. Fructose was homogenized by lactose, allowing the fructose to diffuse through the dialysis bag and into the
distilled water. Lactose is not homogenized, so it could not pass through the dialysis bag.
c. Fructose and lactose are oppositely charged and separated out due to the force of repulsion.
d. Fructose diffused because of the pore specificity of the semipermeable membrane, not because of its
concentration gradient.
56. Based on the information provided, which cell types are most likely to contain clathrin?
a. monocytes and mast cells
b. neutrophils, monocytes, and mast cells
c. neutrophils and mast cells
d. neutrophils and monocytes
57. Which statement describes processes of receptor-mediated endocytosis and exocytosis, and the changes in the
membrane organization involved with each?
a. Receptor-mediated endocytosis involves the binding of a ligand to its receptor, resulting in the formation of a
clathrin-coated vesicle that enters the cell. In exocytosis, waste material is enveloped in a vesicle that fuses with
the interior of the plasma membrane via attachment proteins.
b. In receptor-mediated endocytosis, waste material is enveloped in a membrane that fuses with the interior of the
plasma membrane via attachment proteins. Exocytosis involves the opsonization of the receptor and its ligand in
clathrin-coated vesicles.
c. In receptor-mediated endocytosis, waste material is enveloped in a membrane that fuses with the interior of the
plasma membrane via attachment proteins. Exocytosis involves the opsonization of the receptor and its ligand in
caveolae-coated vesicles.
d. Receptor-mediated endocytosis involves the opsonization of the receptor and its ligand in clathrin-coated
vesicles that enter the cell. In exocytosis, waste material is enveloped in a membrane that fuses with the exterior
of the plasma membrane via attachment proteins.
58. Based on the information provided in the chapter, which cell types produce endosomes?
a. monocytes and mast cells
b. neutrophils, monocytes, and mast cells
c. neutrophils and mast cells
d. neutrophils and monocytes
Table 5.3
Chapter 5 | Structure and Function of Plasma Membranes 247
Table 5.3
Fatty acid compositions of the plasma membrane of E. coli were incubated at the temperatures shown. Myristic and
palmitic acid are saturated, while palmitoleic and oleic acids each have one C-C double bond.
A. Analyze the data to calculate the ratio of the fraction of unsaturated (U) to the fraction of saturated (S) fatty
acids in the plasma membrane, and complete the table.
B. Graph the ratio U/S versus growth temperature.
C. Explain the response of E. coli to the temperature of the environment.
D. We know that the temperature of the environment is sensed by E. coli through the temperature-dependent
confirmation of enzymes that convert a single bond in the lipid tail to a double bond, and vice versa. Explain
how the discovery of a mutant strain of E. coli could lead to this insight.
60. Aquaporins that allow for the movement of water across a cell membrane are gated. Both low and high pH within a
plant cell can cause alterations of the membrane-spanning protein. Describe the advantage of this feedback mechanism.
Predict how conditions of flooding or drought could activate this mechanism.
61. Rice plants grown in high-salt environments can actively transport sodium ions into the vacuole by the antiporter
movement of protons out of the vacuole. In a study aimed at the development of salt-tolerant rye, researchers produced
several varieties of transgenic rye. Measurements of height and stem diameter for the transgenic varieties (TG1 – TG4) are
compared with the wild type varieties WT1 and WT2. Shown in the table below are the mean and standard deviation from
measurements of a very large sample size.
Table 5.4
A. Analyze the data. Are the heights and stem thicknesses in the transgenic plants significantly different than in the
wild type plant? Justify your claim with evidence.
B. Are the heights and stem thicknesses among the transgenic plants significantly different? Justify your claim
with evidence.
C. Plants from which these data were taken were grown in 10 mM NaCl solutions. Pose one question that
researchers can investigate by growing the same varieties in a series of lower-salinity conditions.
D. The Na+/H+ antiporter is an active transport system. Briefly explain negative feedback regulation of the
movement of sodium into the vacuole of rye cells.
248 Chapter 5 | Structure and Function of Plasma Membranes
Chapter 6 | Metabolism 249
6 | METABOLISM
Figure 6.1 A hummingbird needs energy to maintain prolonged periods of flight. The bird obtains its energy from taking
in food and transforming the nutrients into energy through a series of biochemical reactions. The flight muscles in birds
are extremely efficient in energy production. (credit: modification of work by Cory Zanker)
Chapter Outline
6.1: Energy and Metabolism
6.2: Potential, Kinetic, Free, and Activation Energy
6.3: The Laws of Thermodynamics
6.4: ATP: Adenosine Triphosphate
6.5: Enzymes
Introduction
Virtually every task performed by living organisms requires energy. Energy is needed to perform heavy labor and exercise.
Humans also use a great deal of energy while thinking and even during sleep. In fact, the living cells of every organism
constantly use energy. Nutrients and other molecules are imported, metabolized (broken down), synthesized into new
molecules, modified if needed, transported around the cell, and, in some cases, distributed to the entire organism. For
example, the large proteins that make up muscles are actively built from smaller molecules. Complex carbohydrates are
broken down into simple sugars that the cell uses for energy. Just as energy is required to both build and demolish a building,
energy is required for both the synthesis and breakdown of molecules. Additionally, signaling molecules such as hormones
and neurotransmitters are actively transported between cells. Pathogenic bacteria and viruses are ingested and broken down
by cells. Cells must also export waste and toxins to stay healthy. Many cells swim or move surrounding materials via the
beating motion of cellular appendages such as cilia and flagella.
All of the cellular processes listed above require a steady supply of energy. From where, and in what form, does this energy
come? How do living cells obtain energy and how do they use it? This chapter will discuss different forms of energy and
the physical laws that govern energy transfer.
How enzymes lower the activation energy required to begin a chemical reaction in the body will also be discussed in this
chapter. Enzymes are crucial for life; without enzymes the chemical reactions required to survive would not happen fast
enough for an organism to survive. For example, in an individual who lacks one of the enzymes needed to break down
a type of carbohydrate known as a mucopolysaccharide, waste products accumulate in the cells and cause progressive
brain damage. This deadly genetic disease is called Sanfilippo Syndrome type B or Mucopolysaccharidosis III. Previously
250 Chapter 6 | Metabolism
incurable, scientists have now discovered a way to replace the missing enzyme in the brain of mice. Read more about the
scientists’ research here (http://openstaxcollege.org/l/32mpsiiib) .
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.14 The student is able to pose scientific questions that correctly identify essential
Objective properties of shared, core life processes that provide insight into the history of life on Earth.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
6.1 The student can justify claims with evidence.
Practice
Chapter 6 | Metabolism 251
Learning 1.16 The student is able to justify the scientific claim that organisms share many conserved
Objective core processes and features that evolved and are widely distributed among organisms today.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require a constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow and to
Objective
reproduce.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.1]
• [APLO 2.3]
• [APLO 4.3]
• [APLO 4.15]
• [APLO 4.17]
• [APLO 2.21]
In addition, content from this chapter is addressed in the AP® Biology Laboratory Manual in the following lab(s):
• 7 Enzymatic Activity
Scientists use the term bioenergetics to discuss the concept of energy flow (Figure 6.2) through living systems, such as
cells. Cellular processes, such as the building and breaking down of complex molecules, occur through stepwise chemical
reactions. Some of these chemical reactions are spontaneous and release energy, whereas others require energy to proceed.
Just as living things must continually consume food to replenish what has been used, cells must continually produce more
energy to replenish that used by the many energy-requiring chemical reactions that constantly take place. All of the chemical
reactions that take place inside cells, including those that use energy and those that release energy, are the cell’s metabolism.
252 Chapter 6 | Metabolism
Figure 6.2 Most life forms on earth get their energy from the sun. Plants use photosynthesis to capture sunlight, and
herbivores eat those plants to obtain energy. Carnivores eat the herbivores, and decomposers digest plant and animal
matter.
Metabolism of Carbohydrates
The metabolism of sugar—a simple carbohydrate—is a classic example of the many cellular processes that use and produce
energy. Living things consume sugar as a major energy source, because sugar molecules have a great deal of energy stored
within their bonds. The breakdown of glucose, a simple sugar, is described by the equation
C 6 H 12 O 6 + 6O 2 → 6CO 2 + 6H 2 O + energy
Carbohydrates that are consumed have their origins in photosynthesizing organisms, like plants (Figure 6.3). During
photosynthesis, plants use the energy of sunlight to convert carbon dioxide gas (CO2) into sugar molecules, like glucose
(C6H12O6). Because this process involves synthesizing a larger, energy-storing molecule, it requires an input of energy to
proceed. The synthesis of glucose is described by this equation—notice that it is the reverse of the previous equation
6CO 2 + 6H 2 O + energy → C 6 H 12 O 6 + 6O 2
During the chemical reactions of photosynthesis, energy is provided in the form of a very high-energy molecule called ATP,
or adenosine triphosphate, which is the primary energy currency of all cells. Just as the dollar is used as currency to buy
goods, cells use molecules of ATP as energy currency to perform immediate work. The sugar (glucose) is stored as starch
or glycogen. Energy-storing polymers like these are broken down into glucose to supply molecules of ATP.
Solar energy is required to synthesize a molecule of glucose during the reactions of photosynthesis. In photosynthesis, light
energy from the sun is initially transformed into chemical energy that is temporally stored in the energy carrier molecules
ATP and NADPH (nicotinamide adenine dinucleotide phosphate). The stored energy in ATP and NADPH is then used
later in photosynthesis to build one molecule of glucose from six molecules of CO2. This process is analogous to eating
breakfast in the morning to acquire energy for your body that can be used later in the day. Under ideal conditions, energy
from 18 molecules of ATP is required to synthesize one molecule of glucose during the reactions of photosynthesis. Glucose
molecules can also be combined with and converted into other types of sugars. When sugars are consumed, molecules of
glucose eventually make their way into each living cell of the organism. Inside the cell, each sugar molecule is broken down
through a complex series of chemical reactions. The goal of these reactions is to harvest the energy stored inside the sugar
molecules. The harvested energy is used to make high-energy ATP molecules, which can be used to perform work, powering
Chapter 6 | Metabolism 253
many chemical reactions in the cell. The amount of energy needed to make one molecule of glucose from six molecules
of carbon dioxide is 18 molecules of ATP and 12 molecules of NADPH—each one of which is energetically equivalent to
three molecules of ATP—or a total of 54 ATP molecule equivalents required for the synthesis of one molecule of glucose.
This process is a fundamental and efficient way for cells to generate the molecular energy that they require.
Figure 6.3 Plants, like this oak tree, use energy from sunlight to make sugar and other organic molecules. Both plants
and animals, like this squirrel, use cellular respiration to derive energy from the organic molecules originally produced
by plants.
Metabolic Pathways
The processes of making and breaking down sugar molecules illustrate two types of metabolic pathways. A metabolic
pathway is a series of interconnected biochemical reactions that convert a substrate molecule or molecules, step-by-step,
through a series of metabolic intermediates, eventually yielding a final product or products. In the case of sugar metabolism,
the first metabolic pathway synthesized sugar from smaller molecules, and the other pathway broke sugar down into smaller
molecules. These two opposite processes—the first requiring energy and the second producing energy—are referred to
as anabolic (building) and catabolic (breaking down) pathways, respectively. Consequently, metabolism is composed of
building (anabolism) and degradation (catabolism).
254 Chapter 6 | Metabolism
Figure 6.4 This tree shows the evolution of the various branches of life. The vertical dimension is time. Early life
forms, in blue, used anaerobic metabolism to obtain energy from their surroundings.
pathway. Catabolic pathways involve the degradation, or breakdown, of complex molecules into simpler ones. Molecular
energy stored in the bonds of complex molecules is released in catabolic pathways and harvested in such a way that it can be
used to produce ATP. Other energy-storing molecules, such as fats, are also broken down through similar catabolic reactions
to release energy and make ATP (Figure 6.5).
It is important to know that the chemical reactions of metabolic pathways don’t take place spontaneously. Each reaction
step is facilitated, or catalyzed, by a protein called an enzyme. Enzymes are important for catalyzing all types of biological
reactions—those that require energy as well as those that release energy.
Figure 6.5 Anabolic pathways are those that require energy to synthesize larger molecules. Catabolic pathways are
those that generate energy by breaking down larger molecules. Both types of pathways are required for maintaining
the cell’s energy balance.
Think About It
Describe two different cellular functions in different organisms that require energy that parallel human energy-
requiring functions, such as physical exercise.
Section Summary
Cells perform the functions of life through various chemical reactions. A cell’s metabolism refers to the chemical reactions
that take place within it. There are metabolic reactions that involve the breaking down of complex chemicals into simpler
ones, such as the breakdown of large macromolecules. This process is referred to as catabolism, and such reactions are
associated with a release of energy. On the other end of the spectrum, anabolism refers to metabolic processes that build
complex molecules out of simpler ones, such as the synthesis of macromolecules. Anabolic processes require energy.
Glucose synthesis and glucose breakdown are examples of anabolic and catabolic pathways, respectively.
energy that is available to do work. The free energy of a system changes during energy transfers, such as chemical reactions,
and this change is referred to as ΔG or Gibbs free energy. The ΔG of a reaction can be negative or positive, depending on
whether the reaction releases energy (exergonic) or requires energy input (endergonic). All reactions require an input of
energy called activation energy in order to reach the transition state at which they will proceed. In another section, we will
explore how enzymes speed up chemical reactions by lowering activation energy barriers.
Information presented and the examples highlighted in the section support concepts and Learning Objectives outlined in Big
Idea 2 of the AP® Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® Exam questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow, and
Objective
to reproduce.
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science
6.2 The student can justify claims with evidence.
Practice
2.2 The student is able to justify a scientific claim that free energy is required for living
Learning
systems to maintain organization, to grow or to reproduce, but that multiple strategies exist in
Objective
different living systems.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.5]
Energy is defined as the ability to do work. As you’ve learned, energy exists in different forms. For example, electrical
energy, light energy, and heat energy are all different types of energy. While these are all familiar types of energy that one
can see or feel, there is another type of energy that is much less tangible. This energy is associated with something as simple
as an object held above the ground. In order to appreciate the way energy flows into and out of biological systems, it is
important to understand more about the different types of energy that exist in the physical world.
Types of Energy
When an object is in motion, there is energy associated with that object. In the example of an airplane in flight, there is a
great deal of energy associated with the motion of the airplane. This is because moving objects are capable of enacting a
change, or doing work. Think of a wrecking ball. Even a slow-moving wrecking ball can do a great deal of damage to other
objects. However, a wrecking ball that is not in motion is incapable of performing work. Energy associated with objects in
motion is called kinetic energy. A speeding bullet, a walking person, the rapid movement of molecules in the air—which
produces heat, and electromagnetic radiation like light all have kinetic energy.
Now what if that same motionless wrecking ball is lifted two stories above a car with a crane? If the suspended wrecking
ball is unmoving, is there energy associated with it? The answer is yes. The suspended wrecking ball has energy associated
with it that is fundamentally different from the kinetic energy of objects in motion. This form of energy results from the
fact that there is the potential for the wrecking ball to do work. If it is released, indeed it would do work. Because this type
Chapter 6 | Metabolism 257
of energy refers to the potential to do work, it is called potential energy. Objects transfer their energy between kinetic and
potential in the following way: As the wrecking ball hangs motionless, it has 0 kinetic and 100 percent potential energy.
Once it is released, its kinetic energy begins to increase because it builds speed due to gravity. At the same time, as it nears
the ground, it loses potential energy. Somewhere mid-fall, it has 50 percent kinetic and 50 percent potential energy. Just
before it hits the ground, the ball has nearly lost its potential energy and has near-maximal kinetic energy. Other examples of
potential energy include the energy of water held behind a dam (Figure 6.6), or a person about to skydive out of an airplane.
Figure 6.6 Water behind a dam has potential energy. Moving water, such as in a waterfall or a rapidly flowing river,
has kinetic energy. (credit dam: modification of work by Pascal/Flickr; credit waterfall: modification of work by Frank
Gualtieri)
Potential energy is not only associated with the location of matter, such as a child sitting on a tree branch, but also with the
structure of matter. A spring on the ground has potential energy if it is compressed, so does a rubber band that is pulled taut.
The very existence of living cells relies heavily on structural potential energy. On a chemical level, the bonds that hold the
atoms of molecules together have potential energy. Remember that anabolic cellular pathways require energy to synthesize
complex molecules from simpler ones, and catabolic pathways release energy when complex molecules are broken down.
The fact that energy can be released by the breakdown of certain chemical bonds implies that those bonds have potential
energy. In fact, there is potential energy stored within the bonds of all the food molecules we eat, which is eventually
harnessed for use. This is because these bonds can release energy when broken. The type of potential energy that exists
within chemical bonds, and is released when those bonds are broken, is called chemical energy (Figure 6.7). Chemical
energy is responsible for providing living cells with energy from food. The release of energy is brought about by breaking
the molecular bonds within fuel molecules.
258 Chapter 6 | Metabolism
Figure 6.7 The molecules in gasoline—octane, the chemical formula shown—contain chemical energy within the
chemical bonds. This energy is transformed into kinetic energy that allows a car to race on a racetrack. (credit car:
modification of work by Russell Trow)
Visit this site (http://openstaxcollege.org/l/simple_pendulum) and select A simple pendulum on the menu, under
Harmonic Motion to see the shifting kinetic (K) and potential energy (U) of a pendulum in motion.
Explain how the potential and kinetic energy shown in the pendulum model (http://openstaxcollege.org/l/
simple_pendulum) relates to a child swinging on a swing set.
a. Kinetic energy increases when the child swings downward, potential energy increases when the child swings
upward.
b. Kinetic energy decreases when the child swings downward, potential energy decreases when the child swings
upward.
c. Kinetic energy increases when the child swings upward, potential energy increases when the child swings
downward.
d. Kinetic energy increases when child swings downward, potential energy increases when the child swings
downward.
Free Energy
After learning that chemical reactions release energy when energy-storing bonds are broken, an important next question
is how is the energy associated with chemical reactions quantified and expressed? How can the energy released from
Chapter 6 | Metabolism 259
one reaction be compared to that of another reaction? A measurement of free energy is used to quantitate these energy
transfers. Free energy is called Gibbs free energy, abbreviated with the letter G, after Josiah Willard Gibbs, the scientist who
developed the measurement. Recall that according to the second law of thermodynamics, all energy transfers involve the
loss of some amount of energy in an unusable form such as heat, resulting in entropy. Gibbs free energy specifically refers
to the energy associated with a chemical reaction that is available after entropy is accounted for. In other words, Gibbs free
energy is usable energy, or energy that is available to do work.
Every chemical reaction involves a change in free energy, called delta G (∆G). The change in free energy can be calculated
for any system that undergoes such a change, such as a chemical reaction. To calculate ∆G, subtract the amount of energy
lost to entropy (denoted as ∆S) from the total energy change of the system. This total energy change in the system is called
enthalpy and is denoted as ∆H . The formula for calculating ∆G is as follows, where the symbol T refers to absolute
temperature in Kelvin (degrees Celsius + 273)
ΔG = ΔH − TΔS.
The standard free energy change of a chemical reaction is expressed as an amount of energy per mole of the reaction product
(either in kilojoules or kilocalories, kJ/mol or kcal/mol; 1 kJ = 0.239 kcal) under standard pH, temperature, and pressure
conditions. Standard pH, temperature, and pressure conditions are generally calculated at pH 7.0 in biological systems,
25 degrees Celsius, and 100 kilopascals (1 atm pressure), respectively. It is important to note that cellular conditions vary
considerably from these standard conditions, and so standard calculated ∆G values for biological reactions will be different
inside the cell.
Endergonic Reactions and Exergonic Reactions
If energy is released during a chemical reaction, then the resulting value from the above equation will be a negative number.
In other words, reactions that release energy have a ∆G < 0. A negative ∆G also means that the products of the reaction
have less free energy than the reactants, because they gave off some free energy during the reaction. Reactions that have a
negative ∆G and consequently release free energy are called exergonic reactions. Think: Exergonic means energy is exiting
the system. These reactions are also referred to as spontaneous reactions, because they can occur without the addition of
energy into the system. Understanding which chemical reactions are spontaneous and release free energy is extremely useful
for biologists, because these reactions can be harnessed to perform work inside the cell. An important distinction must be
drawn between the term spontaneous and the idea of a chemical reaction that occurs immediately. Contrary to the everyday
use of the term, a spontaneous reaction is not one that suddenly or quickly occurs. The rusting of iron is an example of a
spontaneous reaction that occurs slowly, little by little, over time.
If a chemical reaction requires an input of energy rather than releasing energy, then the ∆G for that reaction will be a
positive value. In this case, the products have more free energy than the reactants. Thus, the products of these reactions can
be thought of as energy-storing molecules. These chemical reactions are called endergonic reactions, and they are non-
spontaneous. An endergonic reaction will not take place on its own without the addition of free energy.
Let’s revisit the example of the synthesis and breakdown of the food molecule, glucose. Remember that the building of
complex molecules, such as sugars, from simpler ones is an anabolic process and requires energy. Therefore, the chemical
reactions involved in anabolic processes are endergonic reactions. On the other hand, the catabolic process of breaking
sugar down into simpler molecules releases energy in a series of exergonic reactions. Like the example of rust above, the
breakdown of sugar involves spontaneous reactions, but these reactions don’t occur instantaneously. Figure 6.8 shows some
other examples of endergonic and exergonic reactions. Later sections will provide more information about what else is
required to make even spontaneous reactions happen more efficiently.
260 Chapter 6 | Metabolism
Figure 6.8 Shown are some examples of endergonic processes—ones that require energy—and exergonic
processes—ones that release energy. These include (a) a compost pile decomposing, (b) a chick hatching from
a fertilized egg, (c) sand art being destroyed, and (d) a ball rolling down a hill. (credit a: modification of work by
Natalie Maynor; credit b: modification of work by USDA; credit c: modification of work by Athlex/Flickr; credit d:
modification of work by Harry Malsch)
Chapter 6 | Metabolism 261
Look at each of the processes shown, and decide if it is endergonic or exergonic. In each case, does enthalpy increase
or decrease, and does entropy increase or decrease?
a. Compost pile decomposition is endergonic, enthalpy increases and entropy increases. A baby developing
from egg is an endergonic process, enthalpy decreases and entropy decreases. Sand art being destroyed
is exergonic, no change in enthalpy and entropy increases. A ball rolling downhill is exergonic process,
enthalpy decreases and no change in entropy.
b. Compost pile decomposition is exergonic, enthalpy increases and entropy increases. A baby developing
from egg is an endergonic process, enthalpy decreases and entropy decreases. Sand art being destroyed
is exergonic, no change in enthalpy and entropy decreases. A ball rolling downhill is exergonic process,
enthalpy decreases and no change in entropy.
c. Compost pile decomposition is exergonic, enthalpy increases and entropy increases. A baby developing
from egg is an endergonic process, enthalpy decreases and entropy decreases. Sand art being destroyed
is exergonic, no change in enthalpy and entropy increases. A ball rolling downhill is exergonic process,
enthalpy decreases and entropy increases.
d. A ball rolling down the hill doesn’t affect the order of system; therefore, the entropy would remain
unchanged.
An important concept in the study of metabolism and energy is that of chemical equilibrium. Most chemical reactions are
reversible. They can proceed in both directions, releasing energy into their environment in one direction, and absorbing
it from the environment in the other direction (Figure 6.9). The same is true for the chemical reactions involved in cell
metabolism, such as the breaking down and building up of proteins into and from individual amino acids, respectively.
Reactants within a closed system will undergo chemical reactions in both directions until a state of equilibrium is reached.
This state of equilibrium is one of the lowest possible free energy and a state of maximal entropy. Energy must be put
into the system to push the reactants and products away from a state of equilibrium. Either reactants or products must
262 Chapter 6 | Metabolism
be added, removed, or changed. If a cell were a closed system, its chemical reactions would reach equilibrium, and it
would die because there would be insufficient free energy left to perform the work needed to maintain life. In a living
cell, chemical reactions are constantly moving towards equilibrium, but never reach it. This is because a living cell is an
open system. Materials pass in and out, the cell recycles the products of certain chemical reactions into other reactions, and
chemical equilibrium is never reached. In this way, living organisms are in a constant energy-requiring, uphill battle against
equilibrium and entropy. This constant supply of energy ultimately comes from sunlight, which is used to produce nutrients
in the process of photosynthesis.
Figure 6.9 Exergonic and endergonic reactions result in changes in Gibbs free energy. Exergonic reactions release
energy; endergonic reactions require energy to proceed.
Activation Energy
There is another important concept that must be considered regarding endergonic and exergonic reactions. Even exergonic
reactions require a small amount of energy input to get going before they can proceed with their energy-releasing steps.
These reactions have a net release of energy, but still require some energy in the beginning. This small amount of energy
input necessary for all chemical reactions to occur is called the activation energy—or free energy of activation—and is
abbreviated EA (Figure 6.10).
Why would an energy-releasing, negative ∆G reaction actually require some energy to proceed? The reason lies in the
steps that take place during a chemical reaction. During chemical reactions, certain chemical bonds are broken and new
ones are formed. For example, when a glucose molecule is broken down, bonds between the carbon atoms of the molecule
are broken. Since these are energy-storing bonds, they release energy when broken. However, to get them into a state that
allows the bonds to break, the molecule must be somewhat contorted. A small energy input is required to achieve this
contorted state. This contorted state is called the transition state, and it is a high-energy, unstable state. For this reason,
reactant molecules don’t last long in their transition state, but very quickly proceed to the next steps of the chemical reaction.
Free energy diagrams illustrate the energy profiles for a given reaction. Whether the reaction is exergonic or endergonic
determines whether the products in the diagram will exist at a lower or higher energy state than both the reactants and the
products. However, regardless of this measure, the transition state of the reaction exists at a higher energy state than the
reactants, and thus, EA is always positive.
Chapter 6 | Metabolism 263
Watch an animation of the move from free energy to transition state at this site (http://openstaxcollege.org/l/
energy_reaction) .
Explain why transitional states are unstable.
Where does the activation energy required by chemical reactants come from? The source of the activation energy needed to
push reactions forward is typically heat energy from the surroundings. Heat energy—the total bond energy of reactants or
products in a chemical reaction—speeds up the motion of molecules, increasing the frequency and force with which they
collide; it also moves atoms and bonds within the molecule slightly, helping them reach their transition state. For this reason,
heating up a system will cause chemical reactants within that system to react more frequently. Increasing the pressure on a
system has the same effect. Once reactants have absorbed enough heat energy from their surroundings to reach the transition
state, the reaction will proceed.
The activation energy of a particular reaction determines the rate at which it will proceed. The higher the activation energy,
the slower the chemical reaction will be. The example of iron rusting illustrates an inherently slow reaction. This reaction
occurs slowly over time because of its high EA. Additionally, the burning of many fuels, which is strongly exergonic, will
take place at a negligible rate unless their activation energy is overcome by sufficient heat from a spark. Once they begin to
burn, however, the chemical reactions release enough heat to continue the burning process, supplying the activation energy
for surrounding fuel molecules. Like these reactions outside of cells, the activation energy for most cellular reactions is
too high for heat energy to overcome at efficient rates. In other words, in order for important cellular reactions to occur
at appreciable rates—number of reactions per unit time—their activation energies must be lowered (Figure 6.10); this is
referred to as catalysis. This is a very good thing as far as living cells are concerned. Important macromolecules, such
as proteins, DNA, and RNA, store considerable energy, and their breakdown is exergonic. If cellular temperatures alone
provided enough heat energy for these exergonic reactions to overcome their activation barriers, the essential components
of a cell would disintegrate.
264 Chapter 6 | Metabolism
Figure 6.10 Activation energy is the energy required for a reaction to proceed, and it is lower if the reaction is
catalyzed. The horizontal axis of this diagram describes the sequence of events in time.
How does the change in Gibbs free energy (ΔG) differ between the catalyzed versus uncatalyzed reaction?
a. ΔG is greater for the forward direction than for the reverse direction.
b. ΔG is greater for the uncatalyzed than the catalyzed reaction.
c. ΔG is greater for the catalyzed than the uncatalyzed reaction.
d. ΔG is the same for the catalyzed and uncatalyzed reactions.
Think About It
All plants use water, carbon dioxide, and energy from the sun to make sugars. Think about what would happen to plants
that do not have sunlight as an energy source or sufficient water. What would happen to organisms that depend on
those plants for their own survival? How does depletion or destruction of forests by human activity affect free energy
availability to organisms living in the rain forest? What measures can be taken to try and restore the free energy to an
acceptable level?
Section Summary
Energy comes in many different forms. Objects in motion do physical work, and kinetic energy is the energy of objects
in motion. Objects that are not in motion may have the potential to do work, and thus, have potential energy. Molecules
also have potential energy because the breaking of molecular bonds has the potential to release energy. Living cells depend
on the harvesting of potential energy from molecular bonds to perform work. Free energy is a measure of energy that is
available to do work. The free energy of a system changes during energy transfers, such as chemical reactions, and this
change is referred to as ∆G.
The ∆G of a reaction can be negative or positive, meaning that the reaction releases energy or consumes energy, respectively.
A reaction with a negative ∆G that gives off energy is called an exergonic reaction. One with a positive ∆G that requires
energy input is called an endergonic reaction. Exergonic reactions are said to be spontaneous, because their products have
less energy than their reactants. The products of endergonic reactions have a higher energy state than the reactants, and so
Chapter 6 | Metabolism 265
these are nonspontaneous reactions. However, all reactions—including spontaneous –∆G reactions—require an initial input
of energy in order to reach the transition state, at which they’ll proceed. This initial input of energy is called the activation
energy.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow, and
Objective
to reproduce.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.1]
• [APLO 2.2]
• [APLO 2.4]
266 Chapter 6 | Metabolism
• [APLO 4.16]
• [APLO 2.3]
Thermodynamics refers to the study of energy and energy transfer involving physical matter. The matter and its
environment relevant to a particular case of energy transfer are classified as a system, and everything outside of that system
is called the surroundings. For instance, when heating a pot of water on the stove, the system includes the stove, the pot, and
the water. Energy is transferred within the system—between the stove, pot, and water. There are two types of systems: open
and closed. An open system is one in which energy can be transferred between the system and its surroundings. The stovetop
system is open because heat can be lost into the air. A closed system is one that cannot transfer energy to its surroundings.
Biological organisms are open systems. Energy is exchanged between them and their surroundings, as they consume energy-
storing molecules and release energy to the environment by doing work. Like all things in the physical world, energy is
subject to the laws of physics. The laws of thermodynamics govern the transfer of energy in and among all systems in the
universe.
Figure 6.11 Shown are two examples of energy being transferred from one system to another and transformed from
one form to another. Humans can convert the chemical energy in food, like this ice cream cone, into kinetic energy (the
energy of movement to ride a bicycle). Plants can convert electromagnetic radiation (light energy) from the sun into
chemical energy. (credit ice cream: modification of work by D. Sharon Pruitt; credit kids on bikes: modification of work
by Michelle Riggen-Ransom; credit leaf: modification of work by Cory Zanker)
All physical systems can be thought of in this way: Living things are highly ordered, requiring constant energy input to
be maintained in a state of low entropy. As living systems take in energy-storing molecules and transform them through
chemical reactions, they lose some amount of usable energy in the process, because no reaction is completely efficient. They
also produce waste and by-products that aren’t useful energy sources. This process increases the entropy of the system’s
surroundings. Since all energy transfers result in the loss of some usable energy, the second law of thermodynamics states
that every energy transfer or transformation increases the entropy of the universe. Even though living things are highly
ordered and maintain a state of low entropy, the entropy of the universe in total is constantly increasing due to the loss of
usable energy with each energy transfer that occurs. Essentially, living things are in a continuous uphill battle against this
constant increase in universal entropy.
Figure 6.12 Entropy is a measure of randomness or disorder in a system. Gases have higher entropy than liquids, and
liquids have higher entropy than solids.
Chapter 6 | Metabolism 269
Think About It
• Imagine a large ant colony with an elaborate nest, containing many tunnels and passageways. Now imagine that
an earthquake shakes the ground and demolishes the nest. Did the ant nest have higher entropy before or after the
earthquake? What can the ants do to restore their nest to close to its original amount of entropy? Explain your
answers.
• Energy transfers take place constantly in everyday activities. Think of two scenarios: cooking on a stove and
driving a car. Explain how the second law of thermodynamics applies to these two scenarios.
Section Summary
In studying energy, scientists use the term system to refer to the matter and its environment involved in energy transfers.
Everything outside of the system is called the surroundings. Single cells are biological systems. Systems can be thought of
as having a certain amount of order. It takes energy to make a system more ordered. The more ordered a system, the lower
its entropy. Entropy is a measure of the disorder of a system. As a system becomes more disordered, the lower its energy
and the higher its entropy.
A series of laws, called the laws of thermodynamics, describe the properties and processes of energy transfer. The first law
states that the total amount of energy in the universe is constant. This means that energy can’t be created or destroyed,
only transferred or transformed. The second law of thermodynamics states that every energy transfer involves some loss of
energy in an unusable form, such as heat energy, resulting in a more disordered system. In other words, no energy transfer
is completely efficient and tends toward disorder.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow, and
Objective
to reproduce.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.2]
• [APLO 4.14]
• [APLO 2.7]
• [APLO 2.35]
Even exergonic, energy-releasing reactions require a small amount of activation energy in order to proceed. However,
consider endergonic reactions, which require much more energy input, because their products have more free energy than
their reactants. Within the cell, where does energy to power such reactions come from? The answer lies with an energy-
supplying molecule called adenosine triphosphate, or ATP. ATP is a small, relatively simple molecule (Figure 6.13), but
within some of its bonds, it contains the potential for a quick burst of energy that can be harnessed to perform cellular work.
This molecule can be thought of as the primary energy currency of cells in much the same way that money is the currency
that people exchange for things they need. ATP is used to power the majority of energy-requiring cellular reactions.
Figure 6.13 ATP is the primary energy currency of the cell. It has an adenosine backbone with three phosphate groups
attached.
As its name suggests, adenosine triphosphate is comprised of adenosine bound to three phosphate groups (Figure 6.13).
Adenosine is a nucleoside consisting of the nitrogenous base adenine and a five-carbon sugar, ribose. The three phosphate
groups, in order of closest to furthest from the ribose sugar, are labeled alpha, beta, and gamma. Together, these chemical
groups constitute an energy powerhouse. However, not all bonds within this molecule exist in a particularly high-energy
state. Both bonds that link the phosphates are equally high-energy bonds— phosphoanhydride bonds—that, when broken,
release sufficient energy to power a variety of cellular reactions and processes. These high-energy bonds are the bonds
between the second and third, or beta and gamma, phosphate groups and between the first and second phosphate groups. The
reason that these bonds are considered high-energy is because the products of such bond breaking—adenosine diphosphate
(ADP) and one inorganic phosphate group (Pi)—have considerably lower free energy than the reactants: ATP and a water
molecule. Because this reaction takes place with the use of a water molecule, it is considered a hydrolysis reaction. In other
Chapter 6 | Metabolism 271
Like most chemical reactions, the hydrolysis of ATP to ADP is reversible. The reverse reaction regenerates ATP from ADP
+ Pi. Indeed, cells rely on the regeneration of ATP just as people rely on the regeneration of spent money through some sort
of income. Since ATP hydrolysis releases energy, ATP regeneration must require an input of free energy. The formation of
ATP is expressed in this equation
ADP + P i + free energy → ATP + H 2 O
Two prominent questions remain with regard to the use of ATP as an energy source. Exactly how much free energy is
released with the hydrolysis of ATP, and how is that free energy used to do cellular work? The calculated ∆G for the
hydrolysis of one mole of ATP into ADP and Pi is −7.3 kcal/mole (−30.5 kJ/mol). Since this calculation is true under
standard conditions, it would be expected that a different value exists under cellular conditions. In fact, the ∆G for the
hydrolysis of one mole of ATP in a living cell is almost double the value at standard conditions: 14 kcal/mol (−57 kJ/mol).
ATP is a highly unstable molecule. Unless quickly used to perform work, ATP spontaneously dissociates into ADP + Pi, and
the free energy released during this process is lost as heat. The second question posed above, that is, how the energy released
by ATP hydrolysis is used to perform work inside the cell, depends on a strategy called energy coupling. Cells couple the
exergonic reaction of ATP hydrolysis with endergonic reactions, allowing them to proceed. One example of energy coupling
using ATP involves a transmembrane ion pump that is extremely important for cellular function. This sodium-potassium
pump, Na+/K+ pump, drives sodium out of the cell and potassium into the cell (Figure 6.14). A large percentage of a cell’s
ATP is spent powering this pump, because cellular processes bring a great deal of sodium into the cell and potassium out
of the cell. The pump works constantly to stabilize cellular concentrations of sodium and potassium. In order for the pump
to turn one cycle—exporting three Na+ ions and importing two K+ ions—one molecule of ATP must be hydrolyzed. When
ATP is hydrolyzed, its gamma phosphate doesn’t simply float away, but is actually transferred onto the pump protein. This
process of a phosphate group binding to a molecule is called phosphorylation. As with most cases of ATP hydrolysis, a
phosphate from ATP is transferred onto another molecule. In a phosphorylated state, the Na+/K+ pump has more free energy
and is triggered to undergo a conformational change. This change allows it to release Na+ to the outside of the cell. It
then binds extracellular K+, which, through another conformational change, causes the phosphate to detach from the pump.
This release of phosphate triggers the K+ to be released to the inside of the cell. Essentially, the energy released from the
hydrolysis of ATP is coupled with the energy required to power the pump and transport Na+ and K+ ions. ATP performs
cellular work using this basic form of energy coupling through phosphorylation.
272 Chapter 6 | Metabolism
Figure 6.14 The sodium-potassium pump is an example of energy coupling. The energy derived from exergonic
ATP hydrolysis is used to pump sodium and potassium ions across the cell membrane.
The hydrolysis of one ATP molecule releases 7.3 kcal/mol of energy (ΔG = −7.3 kcal/mol of energy). If it takes
2.1\,\text{kcal/mol} of energy to move one Na+ across the membrane (ΔG = +2.1 kcal/mol of energy), what is
the maximum number of sodium ions that could be moved by the hydrolysis of one ATP molecule?
a. five
b. four
c. three
d. two
Often during cellular metabolic reactions, such as the synthesis and breakdown of nutrients, certain molecules must
be altered slightly in their conformation to become substrates for the next step in the reaction series. One example is
during the very first steps of cellular respiration, when a molecule of the sugar glucose is broken down in the process
of glycolysis. In the first step of this process, ATP is required for the phosphorylation of glucose, creating a high-energy
but unstable intermediate. This phosphorylation reaction powers a conformational change that allows the phosphorylated
glucose molecule to be converted to the phosphorylated sugar fructose. Fructose is a necessary intermediate for glycolysis to
move forward. Here, the exergonic reaction of ATP hydrolysis is coupled with the endergonic reaction of converting glucose
into a phosphorylated intermediate in the pathway. Once again, the energy released by breaking a phosphate bond within
ATP was used for the phosphorylation of another molecule, creating an unstable intermediate and powering an important
conformational change.
Chapter 6 | Metabolism 273
See an interactive animation of the ATP-producing glycolysis process at this site (http://openstaxcollege.org/l/
glycolysis_stgs) .
Explain why the lock-and-key model does not adequately represent the relationship between hexokinase and glucose.
Think About It
The hydrolysis of one ATP molecules releases 7.3 kcal/mol of energy (ΔG = –7.3 kcal/mol energy). If it takes 2.1 kcal/
mol of energy to move one Na+ across the membrane (ΔG = +2.1 kcal/mol of energy), how many sodium ions could
be moved by the hydrolysis of one ATP molecule?
Section Summary
ATP is the primary energy-supplying molecule for living cells. ATP is made up of a nucleotide, a five-carbon sugar, and
three phosphate groups. The bonds that connect the phosphates—phosphoanhydride bonds—have high-energy content. The
energy released from the hydrolysis of ATP into ADP + Pi is used to perform cellular work. Cells use ATP to perform
work by coupling the exergonic reaction of ATP hydrolysis with endergonic reactions. ATP donates its phosphate group to
another molecule via a process known as phosphorylation. The phosphorylated molecule is at a higher-energy state and is
less stable than its unphosphorylated form, and this added energy from the addition of the phosphate allows the molecule to
undergo its endergonic reaction.
6.5 | Enzymes
In this section, you will explore the following questions:
• What is the role of enzymes in metabolic pathways?
• How do enzymes function as molecular catalysts?
macromolecules—most often proteins—that speed up chemical reactions by lowering activation energy barriers. Enzymes
are very specific for the reactions they catalyze; because they are polypeptides, enzymes can have a variety of shapes
attributed to interactions among amino acid R-groups. One part of the enzyme, the active site, interacts with the substrate
via the induced fit model of interaction. Substrate binding alters the shape of the enzyme to facilitate the chemical reaction
in several different ways, including bringing substrates together in an optimal orientation. After the reaction finishes, the
product(s) are released, and the active site returns to its original shape.
Enzyme activity, and thus the rate of an enzyme-catalyzed reaction, is regulated by environmental conditions, including
the amount of substrate, temperature, pH, and the presence of coenzymes, cofactors, activators, and inhibitors. Inhibitors,
coenzymes, and cofactors can act competitively by binding to the enzyme’s active site, or noncompetitively by binding to
the enzyme’s allosteric site. An allosteric site is an alternate part of the enzyme that can bind to non–substrate molecules.
Enzymes work most efficiently under optimal conditions that are specific to the enzyme. For example, trypsin, an enzyme in
the human small intestine, works most efficiently at pH 8, whereas pepsin in the stomach works best under acidic conditions.
Sometimes environmental factors, especially low pH and high temperatures, alter the shape of the active site; if the shape
cannot be restored, the enzyme denatures. The most common method of enzyme regulation in metabolic pathways is via
feedback inhibition.
How can various factors, such as feedback inhibition, regulate enzyme activity?
Information presented and the examples highlighted in the section support concepts and Learning Objectives outlined in Big
Idea 4 of the AP® Biology Curriculum Framework. The learning objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® Exam questions. A Learning Objective merges required content with one or more of the seven science practices.
Biological systems interact, and these systems and their interactions possess
Big Idea 4
complex properties.
Enduring
Competition and cooperation are important aspects of biological systems.
Understanding 4.B
Essential Knowledge 4.B.1 Interactions between molecules affect their structure and function.
Science Practice 5.1 The student can analyze data to identify patterns or relationships.
4.17 The student is able to analyze data to identify how molecular interactions affect
Learning Objective
structure and function.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.15]
• [APLO 4.8]
• [APLO 2.16]
A substance that helps a chemical reaction to occur is a catalyst, and the special molecules that catalyze biochemical
reactions are called enzymes. Almost all enzymes are proteins, made up of chains of amino acids, and they perform the
critical task of lowering the activation energies of chemical reactions inside the cell. Enzymes do this by binding to the
reactant molecules, and holding them in such a way as to make the chemical bond-breaking and bond-forming processes
take place more readily. It is important to remember that enzymes don’t change the ∆G of a reaction. In other words, they
don’t change whether a reaction is exergonic (spontaneous) or endergonic. This is because they don’t change the free energy
of the reactants or products. They only reduce the activation energy required to reach the transition state (Figure 6.15).
Chapter 6 | Metabolism 275
Figure 6.15 Enzymes lower the activation energy of the reaction but do not change the free energy of the reaction.
Phosphofructokinase deficiency occurs when a person lacks an enzyme needed to perform glycolysis in skeletal muscles.
What effect could this have on the body?
a. Production of energy by glycolysis will occur, skeletal muscles will function properly
b. Production of energy by glycolysis will not occur, skeletal muscles will function properly
c. Production of energy by glycolysis will occur, skeletal muscles will not function properly
d. Production of energy by glycolysis will not occur, skeletal muscles will not function properly
When an enzyme binds its substrate, an enzyme-substrate complex is formed. This complex lowers the activation energy
of the reaction and promotes its rapid progression in one of many ways. On a basic level, enzymes promote chemical
reactions that involve more than one substrate by bringing the substrates together in an optimal orientation. The appropriate
region, atoms and bonds, of one molecule is juxtaposed to the appropriate region of the other molecule with which it must
react. Another way in which enzymes promote the reaction of their substrates is by creating an optimal environment within
the active site for the reaction to occur. Certain chemical reactions might proceed best in a slightly acidic or non-polar
environment. The chemical properties that emerge from the particular arrangement of amino acid residues within an active
site create the perfect environment for an enzyme’s specific substrates to react.
You’ve learned that the activation energy required for many reactions includes the energy involved in manipulating or
slightly contorting chemical bonds so that they can easily break and allow others to reform. Enzymatic action can aid this
process. The enzyme-substrate complex can lower the activation energy by contorting substrate molecules in such a way
as to facilitate bond-breaking, helping to reach the transition state. Finally, enzymes can also lower activation energies by
taking part in the chemical reaction itself. The amino acid residues can provide certain ions or chemical groups that actually
form covalent bonds with substrate molecules as a necessary step of the reaction process. In these cases, it is important to
remember that the enzyme will always return to its original state at the completion of the reaction. One of the hallmark
properties of enzymes is that they remain ultimately unchanged by the reactions they catalyze. After an enzyme is done
catalyzing a reaction, it releases its product(s).
Figure 6.16 According to the induced-fit model, both enzyme and substrate undergo dynamic conformational changes
upon binding. The enzyme contorts the substrate into its transition state, thereby increasing the rate of the reaction.
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Activity
AP® Biology Investigation 13: Enzyme Activity. This investigation allows you to design and conduct experiments to
explore the effects of environmental variables, such as temperature and pH, on the rates of enzymatic reactions.
Figure 6.17 Competitive and noncompetitive inhibition affect the rate of reaction differently. Competitive inhibitors
affect the initial rate but do not affect the maximal rate, whereas noncompetitive inhibitors affect the maximal rate.
Some inhibitor molecules bind to enzymes in a location where their binding induces a conformational change that reduces
the affinity of the enzyme for its substrate. This type of inhibition is called allosteric inhibition (Figure 6.18). Most
allosterically regulated enzymes are made up of more than one polypeptide, meaning that they have more than one protein
subunit. When an allosteric inhibitor binds to an enzyme, all active sites on the protein subunits are changed slightly such
that they bind their substrates with less efficiency. There are allosteric activators as well as inhibitors. Allosteric activators
bind to locations on an enzyme away from the active site, inducing a conformational change that increases the affinity of
278 Chapter 6 | Metabolism
Figure 6.18 Allosteric inhibitors modify the active site of the enzyme so that substrate binding is reduced or prevented.
In contrast, allosteric activators modify the active site of the enzyme so that the affinity for the substrate increases.
Chapter 6 | Metabolism 279
Figure 6.19 Have you ever wondered how pharmaceutical drugs are developed? (credit: Deborah Austin)
Many enzymes don’t work optimally, or even at all, unless bound to other specific non-protein helper molecules, either
temporarily through ionic or hydrogen bonds, or permanently through stronger covalent bonds. Two types of helper
molecules are cofactors and coenzymes. Binding to these molecules promotes optimal conformation and function for their
respective enzymes. Cofactors are inorganic ions, such as iron (Fe++) and magnesium (Mg++). One example of an enzyme
that requires a metal ion as a cofactor is the enzyme that builds DNA molecules, DNA polymerase, which requires bound
zinc ion (Zn++) to function. Coenzymes are organic helper molecules, with a basic atomic structure made up of carbon and
280 Chapter 6 | Metabolism
hydrogen, which are required for enzyme action. The most common sources of coenzymes are dietary vitamins (Figure
6.20). Some vitamins are precursors to coenzymes and others act directly as coenzymes. Vitamin C is a coenzyme for
multiple enzymes that take part in building the important connective tissue component, collagen. An important step in the
breakdown of glucose to yield energy is catalysis by a multi-enzyme complex called pyruvate dehydrogenase. Pyruvate
dehydrogenase is a complex of several enzymes that actually requires one cofactor—a magnesium ion—and five different
organic coenzymes to catalyze its specific chemical reaction. Therefore, enzyme function is, in part, regulated by an
abundance of various cofactors and coenzymes, which are supplied primarily by the diets of most organisms.
Figure 6.20 Vitamins are important coenzymes or precursors of coenzymes, and are required for enzymes to function
properly. Multivitamin capsules usually contain mixtures of all the vitamins at different percentages.
Enzyme Compartmentalization
In eukaryotic cells, molecules such as enzymes are usually compartmentalized into different organelles. This allows for yet
another level of regulation of enzyme activity. Enzymes required only for certain cellular processes can be housed separately
along with their substrates, allowing for more efficient chemical reactions. Examples of this sort of enzyme regulation
based on location and proximity include the enzymes involved in the latter stages of cellular respiration, which take place
exclusively in the mitochondria, and the enzymes involved in the digestion of cellular debris and foreign materials, located
within lysosomes.
Feedback Inhibition in Metabolic Pathways
Molecules can regulate enzyme function in many ways. A major question remains, however: What are these molecules
and where do they come from? Some are cofactors and coenzymes, ions, and organic molecules, as you’ve learned. What
other molecules in the cell provide enzymatic regulation, such as allosteric modulation, and competitive and noncompetitive
inhibition? The answer is that a wide variety of molecules can perform these roles. Some of these molecules include
pharmaceutical and non-pharmaceutical drugs, toxins, and poisons from the environment. Perhaps the most relevant sources
of enzyme regulatory molecules, with respect to cellular metabolism, are the products of the cellular metabolic reactions
themselves. In a most efficient and elegant way, cells have evolved to use the products of their own reactions for feedback
inhibition of enzyme activity. Feedback inhibition involves the use of a reaction product to regulate its own further
production (Figure 6.21). The cell responds to the abundance of specific products by slowing down production during
anabolic or catabolic reactions. Such reaction products may inhibit the enzymes that catalyzed their production through the
mechanisms described above.
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Figure 6.21 Metabolic pathways are a series of reactions catalyzed by multiple enzymes. Feedback inhibition, where
the end product of the pathway inhibits an upstream step, is an important regulatory mechanism in cells.
The production of both amino acids and nucleotides is controlled through feedback inhibition. Additionally, ATP is an
allosteric regulator of some of the enzymes involved in the catabolic breakdown of sugar, the process that produces ATP.
In this way, when ATP is abundant, the cell can prevent its further production. Remember that ATP is an unstable molecule
that can spontaneously dissociate into ADP. If too much ATP were present in a cell, much of it would go to waste. On the
other hand, ADP serves as a positive allosteric regulator—an allosteric activator—for some of the same enzymes that are
inhibited by ATP. Thus, when relative levels of ADP are high compared to ATP, the cell is triggered to produce more ATP
through the catabolism of sugar.
Section Summary
Enzymes are chemical catalysts that accelerate chemical reactions at physiological temperatures by lowering their activation
energy. Enzymes are usually proteins consisting of one or more polypeptide chains. Enzymes have an active site that
provides a unique chemical environment, made up of certain amino acid R groups, or residues. This unique environment
is perfectly suited to convert particular chemical reactants for that enzyme, called substrates, into unstable intermediates,
called transition states. Enzymes and substrates are thought to bind with an induced fit, which means that enzymes undergo
slight conformational adjustments upon substrate contact, leading to full, optimal binding. Enzymes bind to substrates and
catalyze reactions in four different ways: bringing substrates together in an optimal orientation, compromising the bond
structures of substrates so that bonds can be more easily broken, providing optimal environmental conditions for a reaction
to occur, or participating directly in their chemical reaction by forming transient covalent bonds with the substrates.
Enzyme action must be regulated so that in a given cell at a given time, the desired reactions are being catalyzed and
the undesired reactions are not. Enzymes are regulated by cellular conditions, such as temperature and pH. They are
also regulated through their location within a cell, sometimes being compartmentalized so that they can only catalyze
reactions under certain circumstances. Inhibition and activation of enzymes via other molecules are other important ways
that enzymes are regulated. Inhibitors can act competitively, noncompetitively, or allosterically; noncompetitive inhibitors
are usually allosteric. Activators can also enhance the function of enzymes allosterically. The most common method by
which cells regulate the enzymes in metabolic pathways is through feedback inhibition. During feedback inhibition, the
products of a metabolic pathway serve as inhibitors, usually allosteric, of one or more of the enzymes, usually the first
committed enzyme of the pathway, involved in the pathway that produces them.
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KEY TERMS
activation energy energy necessary for reactions to occur
active site specific region of the enzyme to which the substrate binds
allosteric inhibition inhibition by a binding event at a site different from the active site, which induces a conformational
change and reduces the affinity of the enzyme for its substrate
anabolic (also, anabolism) pathways that require an input of energy to synthesize complex molecules from simpler ones
catabolic (also, catabolism) pathways in which complex molecules are broken down into simpler ones
chemical energy potential energy in chemical bonds that is released when those bonds are broken
coenzyme small organic molecule, such as a vitamin or its derivative, which is required to enhance the activity of an
enzyme
cofactor inorganic ion, such as iron and magnesium ions, required for optimal regulation of enzyme activity
competitive inhibition type of inhibition in which the inhibitor competes with the substrate molecule by binding to the
active site of the enzyme
feedback inhibition effect of a product of a reaction sequence to decrease its further production by inhibiting the activity
of the first enzyme in the pathway that produces it
free energy Gibbs free energy is the usable energy, or energy that is available to do work.
heat energy energy transferred from one system to another that is not work—energy of the motion of molecules or particles
induced fit dynamic fit between the enzyme and its substrate, in which both components modify their structures to allow
for ideal binding
metabolism all the chemical reactions that take place inside cells, including anabolism and catabolism
potential energy type of energy that has the potential to do work; stored energy
transition state high-energy, unstable state—an intermediate form between the substrate and the product—occurring
during a chemical reaction
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CHAPTER SUMMARY
6.1 Energy and Metabolism
Cells perform the functions of life through various chemical reactions. A cell’s metabolism refers to the chemical reactions
that take place within it. There are metabolic reactions that involve the breaking down of complex chemicals into simpler
ones, such as the breakdown of large macromolecules. This process is referred to as catabolism, and such reactions are
associated with a release of energy. On the other end of the spectrum, anabolism refers to metabolic processes that build
complex molecules out of simpler ones, such as the synthesis of macromolecules. Anabolic processes require energy.
Glucose synthesis and glucose breakdown are examples of anabolic and catabolic pathways, respectively.
Energy comes in many different forms. Objects in motion do physical work, and kinetic energy is the energy of objects in
motion. Objects that are not in motion may have the potential to do work, and thus, have potential energy. Molecules also
have potential energy because the breaking of molecular bonds has the potential to release energy. Living cells depend on
the harvesting of potential energy from molecular bonds to perform work. Free energy is a measure of energy that is
available to do work. The free energy of a system changes during energy transfers, such as chemical reactions, and this
change is referred to as ∆G.
The ∆G of a reaction can be negative or positive, meaning that the reaction releases energy or consumes energy,
respectively. A reaction with a negative ∆G that gives off energy is called an exergonic reaction. One with a positive ∆G
that requires energy input is called an endergonic reaction. Exergonic reactions are said to be spontaneous, because their
products have less energy than their reactants. The products of endergonic reactions have a higher energy state than the
reactants, and so these are nonspontaneous reactions. However, all reactions—including spontaneous –∆G
reactions—require an initial input of energy in order to reach the transition state, at which they’ll proceed. This initial
input of energy is called the activation energy.
In studying energy, scientists use the term system to refer to the matter and its environment involved in energy transfers.
Everything outside of the system is called the surroundings. Single cells are biological systems. Systems can be thought of
as having a certain amount of order. It takes energy to make a system more ordered. The more ordered a system, the lower
its entropy. Entropy is a measure of the disorder of a system. As a system becomes more disordered, the lower its energy
and the higher its entropy.
A series of laws, called the laws of thermodynamics, describe the properties and processes of energy transfer. The first law
states that the total amount of energy in the universe is constant. This means that energy can’t be created or destroyed, only
transferred or transformed. The second law of thermodynamics states that every energy transfer involves some loss of
energy in an unusable form, such as heat energy, resulting in a more disordered system. In other words, no energy transfer
is completely efficient and tends toward disorder.
ATP is the primary energy-supplying molecule for living cells. ATP is made up of a nucleotide, a five-carbon sugar, and
three phosphate groups. The bonds that connect the phosphates—phosphoanhydride bonds—have high-energy content.
The energy released from the hydrolysis of ATP into ADP + Pi is used to perform cellular work. Cells use ATP to perform
work by coupling the exergonic reaction of ATP hydrolysis with endergonic reactions. ATP donates its phosphate group to
another molecule via a process known as phosphorylation. The phosphorylated molecule is at a higher-energy state and is
less stable than its unphosphorylated form, and this added energy from the addition of the phosphate allows the molecule
to undergo its endergonic reaction.
6.5 Enzymes
Enzymes are chemical catalysts that accelerate chemical reactions at physiological temperatures by lowering their
activation energy. Enzymes are usually proteins consisting of one or more polypeptide chains. Enzymes have an active site
that provides a unique chemical environment, made up of certain amino acid R groups, or residues. This unique
environment is perfectly suited to convert particular chemical reactants for that enzyme, called substrates, into unstable
intermediates, called transition states. Enzymes and substrates are thought to bind with an induced fit, which means that
enzymes undergo slight conformational adjustments upon substrate contact, leading to full, optimal binding. Enzymes bind
to substrates and catalyze reactions in four different ways: bringing substrates together in an optimal orientation,
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compromising the bond structures of substrates so that bonds can be more easily broken, providing optimal environmental
conditions for a reaction to occur, or participating directly in their chemical reaction by forming transient covalent bonds
with the substrates.
Enzyme action must be regulated so that in a given cell at a given time, the desired reactions are being catalyzed and the
undesired reactions are not. Enzymes are regulated by cellular conditions, such as temperature and pH. They are also
regulated through their location within a cell, sometimes being compartmentalized so that they can only catalyze reactions
under certain circumstances. Inhibition and activation of enzymes via other molecules are other important ways that
enzymes are regulated. Inhibitors can act competitively, noncompetitively, or allosterically; noncompetitive inhibitors are
usually allosteric. Activators can also enhance the function of enzymes allosterically. The most common method by which
cells regulate the enzymes in metabolic pathways is through feedback inhibition. During feedback inhibition, the products
of a metabolic pathway serve as inhibitors, usually allosteric, of one or more of the enzymes, usually the first committed
enzyme of the pathway, involved in the pathway that produces them.
REVIEW QUESTIONS
1. Energy can be taken in as glucose, then has to be converted to a form that can be easily used to perform work in cells.
What is the name of the latter molecule?
a. anabolic molecules
b. cholesterol
c. electrolytes
d. adenosine triphosphate
2. When cellular respiration occurs, what is the primary molecule used to store the energy that is released?
a. AMP
b. ATP
c. mRNA
d. phosphate
3. DNA replication involves unwinding two strands of parent DNA, copying each strand to synthesize complementary
strands, and releasing the resulting two semiconserved strands of DNA. Which description is accurate for this process?
a. This process is anabolic.
b. This process is catabolic.
c. This process is both anabolic and catabolic.
d. This process is metabolic, but it is neither anabolic nor catabolic.
4. Which of the following is a catabolic process?
a. digestion of sucrose
b. dissolving sugar in water
c. DNA replication
d. RNA translation
5. What food molecule used by animals for energy and obtained from plants is most directly related to the use of sun
energy?
a. glucose
b. protein
c. triglycerides
d. tRNA
6. What reaction will release the largest amount of energy to help power another reaction?
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a. AMP to ATP
b. ATP to ADP
c. DNA to proteins
d. glucose to starch
7. Consider a pendulum swinging. Which type(s) of energy is/are associated with the pendulum in the following
instances—
1. the moment at which it completes one cycle, just before it begins to fall back towards the other end
2. the moment that it is in the middle between the two ends
3. just before it reaches the end of one cycle, before step 1
a. 1. potential and kinetic
2. potential and kinetic
3. kinetic
b. 1. potential
2. potential and kinetic
3. potential and kinetic
c. 1. potential
2. kinetic
3. potential and kinetic
d. 1. potential and kinetic
2. kinetic
3. kinetic
8. Which of the following best describes energy?
a. the transfer of genetic information
b. the ability to assemble a large number of functional catalysts
c. the ability to store solar output
d. the ability to do work
9. What is the ultimate source of energy on this planet?
a. glucose
b. plants
c. metabolic pathways
d. the Sun
10. Which of the following molecules is likely to have the most potential energy?
a. ATP
b. ADP
c. glucose
d. sucrose
11. Which of the following is the best way to judge the relative activation energies between two given chemical reactions?
a. Compare the ΔG values between the two reactions.
b. Compare their reaction rates.
c. Compare their ideal environmental conditions.
d. Compare the spontaneity between the two reactions.
12. Which of the terms in the Gibbs free energy equation denotes enthalpy?
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a. ΔG
b. ΔH
c. ΔS
d. ΔT
13. Which chemical reaction is more likely to occur?
a. dehydration synthesis
b. endergonic
c. endothermic
d. exergonic
14. Which of the following comparisons or contrasts between endergonic and exergonic reactions is false?
a. Both endergonic and exergonic reactions require a small amount of energy to overcome an activation barrier.
b. Endergonic reactions have a positive ΔG and exergonic reactions have a negative ΔG .
c. Endergonic reactions consume energy and exergonic reactions release energy.
d. Endergonic reactions take place slowly and exergonic reactions take place quickly.
15. Label each of the following systems as high or low entropy:
1. perfume the instant after it is sprayed into the air
2. an unmaintained 1950’s car compared with a brand new car
3. a living cell compared with a dead cell
a. 1. low
2. high
3. low
b. 1. low
2. high
3. high
c. 1. high
2. low
3. high
d. 1. high
2. low
3. low
16. What counteracts entropy?
a. energy release
b. endergonic reactions
c. input of energy
d. time
17. Which of the following is the best example of the first law of thermodynamics?
a. a body getting warmer after exercise
b. a piece of fruit spoiling in the fridge
c. a power plant burning coal and producing electricity
d. an exothermic chemical reaction
18. What is the difference between the first and second laws of thermodynamics?
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a. The first law involves creating energy while the second law involves expending it.
b. The first law involves expending energy while the second involves creating it.
c. The first law involves conserving energy while the second law involves the inability to recapture energy.
d. The first law discusses creating energy while the second law discusses the energy requirement for reactions.
19. Which best describes the effect of inputting energy into a living system?
a. It decreases entropy within the system.
b. It fuels catabolic reactions.
c. It causes enthalpy.
d. The energy is used to produce carbohydrates.
20. What is ATP made from?
a. adenosine + high energy electrons
b. ADP + pyrophosphate
c. AMP + ADP
d. the conversion of guanine to adenosine
21. What is true about the energy released by the hydrolosis of ATP?
a. It is equal to −57 kJ/mol .
b. The cell harnesses it as heat energy in order to perform work.
c. It is primarily stored between the alpha and beta phosphates.
d. It provides energy to coupled reactions.
22. What part of ATP is broken to release energy for use in chemical reactions?
a. the adenosine molecule
b. the bond between the first and second phosphates
c. the bond between the first phosphate and the adenosine molecule
d. the bond between the second and third phosphates
23. An allosteric inhibitor does which of the following?
a. binds to an enzyme away from the active site and changes the conformation of the active site, increasing its
affinity for substrate binding
b. binds to an active site and blocks it from binding substrate
c. binds to an enzyme away from the active site and changes the conformation of the active site, decreasing its
affinity for the substrate
d. binds directly to the active site and mimics the substrate
24. What happens if an enzyme is not functioning in a chemical reaction in a living organism that needs it?
a. The reaction stops.
b. The reaction proceeds, but much more slowly.
c. The reaction proceeds faster without the interference.
d. There is no change in the reaction rate.
25. Which of the following is not true about enzymes?
a. They increase the ΔG of reactions.
b. They are usually made of amino acids.
c. They lower the activation energy of chemical reactions.
d. Each one is specific to the particular substrate, or substrates, to which it binds.
26. Which of the following analogies best describe the induced-fit model of enzyme-substrate binding?
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32. Explain the conversion of energy that takes place when the sluice of a dam is opened.
a. Potential energy stored in the water held by the dam will convert to kinetic energy when it falls through the
opening of the sluice.
b. Kinetic energy stored in the water held by the dam will convert to potential energy when it falls through the
opening of the sluice.
c. Potential energy stored in the water held by the dam will convert to electrical energy when it falls through the
opening of the sluice.
d. Hydrothermal energy stored in the water held by the dam will convert to kinetic energy when it falls through the
opening of the sluice.
33. Explain in your own words the difference between a spontaneous reaction and one that occurs instantaneously.
a. A spontaneous reaction is one which releases free energy and moves to a more stable state. Instantaneous
reactions occur rapidly with sudden release of energy.
b. A spontaneous reaction is one which utilizes free energy and moves to a more stable state. Instantaneous
reactions occur rapidly with sudden release of energy.
c. A spontaneous reaction is one which releases free energy and moves to a more stable state. Instantaneous
reactions occur rapidly within a system by uptake of energy.
d. A spontaneous reaction is one which occurs rapidly with sudden release of energy. Instantaneous reactions
release free energy and moves to a more stable state.
34. Describe the position of the transition state on a vertical energy scale, from low to high, relative to the position of the
reactants and products, for both endergonic and exergonic reactions.
a. The transition state of the reaction exists at a lower energy level than the reactants. Activation energy is always
positive, regardless of whether the reaction is exergonic or endergonic.
b. The transition state of the reaction exists at a higher energy level than the reactants. Activation energy is always
positive, regardless of whether the reaction is exergonic or endergonic.
c. The transition state of the reaction exists at a lower energy level than the reactants. Activation energy is always
negative, regardless of whether the reaction is exergonic or endergonic.
d. The transition state of the reaction exists at an intermediate energy level than that of the reactants. Activation
energy is always positive, regardless of whether the reaction is exergonic or endergonic.
35. Imagine an elaborate ant farm with tunnels and passageways through the sand where ants live in a large community.
Now imagine that an earthquake shook the ground and demolished the ant farm. In which of these two scenarios, before or
after the earthquake, was the ant farm system in a state of higher or lower entropy? Why?
a. The ant farm is in the state of higher entropy after the earthquake, and energy must be spent to bring the system
to low entropy.
b. The ant farm is in the state of lower entropy after the earthquake, and energy must be spent to bring the system
to high entropy.
c. The ant farm is in the state of higher entropy before the earthquake, and energy is given out of the system after
the earthquake.
d. The ant farm is in the state of lower entropy before the earthquake, and energy is given out of the system after
the earthquake.
36. Energy transfers take place constantly in every day activities. Think of two scenarios: cooking on a stove and driving.
Explain how the second law of thermodynamics applies to these scenarios.
a. Heat is lost into the room while cooking and into the metal of the engine during gasoline combustion.
b. Heat gained while cooking helps to make the food and heat released due to gasoline combustion helps the car
accelerate.
c. The energy given to the system remains constant during cooking, and more energy is added to the car engine
when the gasoline combusts.
d. The energy given to the system for cooking helps to make food, and energy in the car engine remains conserved
when gasoline combustion takes place.
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37. What does it mean for a system to be in a higher level of entropy? How can it be reduced?
a. Higher level of entropy refers to higher state of disorder in the system and it can be reduced by input of energy
to lower the entropy.
b. Higher level of entropy refers to higher state of symmetry in the system and it can be reduced by release of
energy to lower the entropy.
c. Higher level of entropy refers to low disorder in the system and it can be reduced by input of energy to increase
the entropy.
d. Higher level of entropy refers to higher state of disorder in the system and it can be reduced by providing a
catalyst to lower the entropy.
38. When the air temperature drops and rain turns to snow, which law of thermodynamics is exhibited?
a. first law of thermodynamics
b. second law of thermodynamics
c. third law of thermodynamics
d. zeroth law of thermodynamics
39. How does ATP supply energy to chemical reactions?
a. ATP dissociates and the energy released by breaking of a phosphate bond within ATP is used for
phosphorylation of another molecule. ATP hydrolysis also provides energy to power coupling reactions.
b. ATP utilizes energy to power exergonic reactions by hydrolysis of ATP molecule. The free energy released as a
result of ATP breakdown is used to carry out metabolism of products.
c. ATP utilizes energy to power endergonic reactions by dehydration of ATP molecule. The free energy released as
a result of ATP breakdown is used to carry out metabolism of products.
d. ATP utilizes the energy released from the coupling reactions and that energy is used to power the endergonic and
exergonic reactions.
40. Is the E A for ATP hydrolysis relatively low or high? Explain your reasoning.
a. Feedback inhibition benefits the cell by blocking the production of the products by changing the configuration of
enzymes. This will prevent the cells from becoming toxic.
b. Feedback inhibition benefits the cell by blocking the production of the reactants by changing the configuration
of enzymes. This will prevent the cells from becoming toxic.
c. Feedback inhibition benefits the cell by blocking the production of the products by changing the configuration of
reactants. This will prevent the cells from becoming toxic.
d. Feedback inhibition benefits the cell by blocking the production of the products by reducing the reactants. This
will prevent the cells from becoming toxic.
44. What type of reaction allows chemicals to be available for an organism’s growth and maintenance in a timely manner?
a. enzymatically facilitated reactions
b. redox reactions
c. catabolic reactions
d. hydrolysis of ATP
45. Enzymes facilitate chemical reactions that result in changes to a substrate. How does the induced fit model of enzymes
and substrates explain their function?
a. Both enzymes and substrates undergo dynamic changes, inducing the transitions state of the substrate.
b. The enzyme induces a change in the substrate, but is not changed itself during the reaction.
c. The substrates attach to the enzyme and the chemical reaction proceeds.
d. The enzyme changes shape to fit the substrate, causing the transition state to occur.
50. Glucose is the sugar most often used in metabolism by the majority of cells on Earth. It is made and used by plants as
well as other organisms. Which of the following describes the chemical breakdown of glucose, and what is the name of the
chemical process involved in this breakdown?
a. cellular respiration: C 6 H 12 O 6 + 6O 2 → 6CO 2 + 6H 2 O + energy
51. Plants make glucose through a pathway called photosynthesis. The amount of energy captured from light can be
expressed as the number of energy containing molecules used to make one molecule of glucose. Which of the following
best states the number of each molecule needed?
a. 54 molecules of ATP and 18 molecules of NADPH
b. 18 molecules of ATP and 12 molecules of NADPH
c. 24 molecules of ATP and 18 molecules of NADPH
d. 12 molecules of ATP and 18 molecules of NADPH
52. What is an anabolic pathway? Which of these is an example of an anabolic pathway used by cells in their metabolism?
a. Anabolic pathways involve the breakdown of nutrient molecules into usable forms. An example is the harvesting
of amino acids from dietary proteins.
b. Anabolic pathways involve the breakdown of nutrient molecules into useable forms. An example is the use of
glycogen by the liver to maintain blood glucose levels.
c. Anabolic pathways build new molecules out of the products of catabolic pathways. An example is the separation
of fatty acids from triglycerides to satisfy energy needs.
d. Anabolic pathways build new molecules out of the products of catabolic pathways. An example is the linkage of
nucleotides to form a molecule of mRNA.
53. If glucose is broken down through aerobic respiration, a number of ATP molecules can be made from the energy
extracted. How many molecules of ATP are possible?
a. 2 to 4
b. 36 to 38
c. 10 to 12
d. 24 to 30
54. Plants must have adequate resources to complete their functions. If they do not have what they need, there are changes
in the organism’s metabolism. What happens to the metabolism of a plant that does not have adequate sunlight?
a. Photosynthesis slows and less glucose is produced for energy use.
b. The plant switches to anaerobic metabolism.
c. The plant goes into a dormant state until the sunlight returns.
d. The plant flowers quickly to reproduce while it can.
55. Water deficiency is arguably the easiest deficiency to detect in plants. This is because plants that lack water will wilt,
as water within the plant’s cells helps to support the plant’s weight. Plant cells become water deficient because their cells
use the water for metabolic processes. What happens to the metabolism of a plant that does not have adequate water?
a. Photosynthesis is inhibited, less glucose is produced, and water used by the cells is not replaced.
b. The plant increases its breakdown of glucose to create more water at the end of the process.
c. The plant will stop photosynthesizing for long periods of time until it has enough water to do so.
d. The cell will bring in more carbon dioxide to compensate for the lack of water, allowing glucose synthesis to
continue.
56. Enzymes facilitate chemical reactions that result in changes to a substrate. How does the induced fit model of enzymes
and substrates explain their function?
Chapter 6 | Metabolism 293
a. Both enzyme and substrate undergo dynamic changes, inducing the transitions state of the substrate.
b. The enzyme induces a change in the substrate, but is not changed itself during the reaction.
c. The substrates attach to the enzyme and the chemical reaction proceeds.
d. The enzyme changes shape to fit the substrate, causing the transition state to occur.
57. Enzyme inhibitors play an important part in the control of enzyme functions, allowing them to continue, or inhibiting
them for a period of time. Which inhibitor affects the initial rate, but does not affect the maximal rate?
a. allosteric
b. competitive
c. non-competitive
d. uncompetitive
Table 6.1
(a) Construct a graph of ln(rate) versus 1/T(K) and determine the energy of activation for the uncatalyzed reaction.
(b) Based on the data, explain the importance of enzymes for time scales characteristic of living systems on Earth—that is
to say, life as we know it.
The time scale required for half of the molecules of initial sucrose to remain can be estimated. The relationship between
the half-life and the activation energy is:
t1 / = 0.69×10 /
E A 2.3RT
2
59. Physical exercise involves both anabolic and catabolic processes. For each process, explain an expected outcome and
describe an example of a specific exercise that can lead to the expected outcome.
60. Explanations in science are often constructed by analogy. Explanations of the behavior of a poorly understood
phenomenon can often be constructed by analogy to a phenomenon that is well understood. For each of the following
cellular functions that require free energy, describe a parallel human activity and identify a source of free energy for that
activity. For example, the synthesis of proteins can be expected to proceed as an assembly of a small set of sub-
components, just as the construction of a building is accomplished by gathering and joining materials. It is consistent with
our analogy to expect that there must be a free-energy resource that is consumed in the synthesis of proteins, just as
hydrocarbon fuels are a source of energy for the construction of a building.
61. Each process in Figure 6.8 that shows examples of endergonic and exergonic processes.
1. For each process, identify if it is endergonic or exergonic, and provide reasoning for your identification that
includes your definition of the system.
2. For each process, does entropy increase or decrease? Explain your reasoning in terms of changes in the amount
of order within the system.
3. For each process, is there an input of energy? Explain your reasoning in terms of (a) the source of the energy
input into the system and (b) the interaction between the system and its environment that provides that input of
energy.
62. Energy transfers occur constantly in daily activities. Think of two scenarios: cooking on a stove and driving a car. For
each scenario, describe the system and explain how the second law of thermodynamics applies to the system in terms of
energy input and change in entropy.
63. Consider a simple process that illustrates the change in entropy when energy is transferred.
Take a block of ice as a system with a temperature of 0°C. This is water as a solid, so it has a high structural order. This
means that the molecules are in a fixed position. As a result, the entropy of the system is low.
1. Allow the ice to melt at room temperature. Describe changes in the motion and interactions of water molecules
before and after melting. Explain where the energy came from whose transfer produced melting. Predict the
effect of the energy transfer on the entropy on the system, and justify your prediction.
2. Heat the water until the temperature reaches boiling point. Explain what happens to the entropy of the system
when the water is heated.
3. Continue to heat the water at the constant temperature of the boiling point. Describe changes in the motion and
interactions of water molecules before and after boiling. Predict the effect of the energy transfer on the entropy
of the system, and justify your prediction.
4. [Extension/Connection] Molecules of water have simple responses to heating: The molecules move faster and
interact less strongly with other neighboring molecules. Consider the primary producers of an aquatic ecosystem
in summer. Describe the source of energy transfer to the system of photosynthetic plants and algae. Predict
changes in the system in response. Explain what happens to the entropy of this trophic level when energy
transfer occurs. Now consider the primary producers and their aqueous environment as the system. Explain
what happens to the entropy of this system composed of photosynthetic organisms and their abiotic environment.
5. Predict the change in entropy of the system when both autotrophs and their abiotic environment are considered.
Justify your prediction. Predict the signs of the entropy changes in both biotic and abiotic components of this
system. Predict the relative magnitudes of these entropy changes, and justify your prediction.
64. The sodium-potassium pump is an example of free-energy coupling. The free energy derived from exergonic ATP
hydrolysis is used to pump sodium and potassium ions across the cell membrane. The hydrolysis of one ATP molecule
releases 7.3 kcal/mol of free energy (ΔG = -7.3 kcal/mol). If it takes 2.1 kcal/mol of free energy to move one Na+ across
the membrane (ΔG = +2.1 kcal/mol), how many sodium ions could be moved by the hydrolysis of one ATP molecule?
Show your calculations to provide reasoning for your answer.
65. Is the EA for ATP hydrolysis in cells likely relatively low or high compared to the EA for the combustion of gasoline in
an internal combustion engine?
Chapter 6 | Metabolism 295
1. Explain your reasoning in terms of the relative stabilities of ATP and gasoline compared to air in which no
catalysts are present.
2. Describe how the role of the enzyme ATPase in the hydrolysis of ATP in a cell differs from a spark in the
cylinder of an internal combustion engine.
3. Describe a strategy for collecting data that can be used to measure the energies of activation (EA) of each of
these two processes with instruments that can measure concentrations of reactions produced in each system.
66. Vitamin B12 is a co-enzyme involved in a wide variety of cellular processes. Synthesis of vitamin B 12 occurs only in
bacteria; in animals, these bacteria populate anaerobic environments in the gut. Consequently, vegan diets in developing
nations and diets common to developing nations provide no source of B12. Researchers (Ghosh et al. http://dx.doi.org/
10.3389/fnut.2016.00001]) found that rats whose diets contained limited (L) and no (N) B12 displayed symptoms that were
not observed in the control group (C) whose diet included B12 and was otherwise identical. Chemical analysis of
adipocytokines in the plasma after feeding periods of 4 and 12 weeks are shown in the following table.
Table 6.2
The sample size for these data are small: n = 6, within each group. Also shown in the table are cells in which these
cytokine messages originate. Adipose cells store fats. Monocytes are white blood cells of the immune system. Over the 12
weeks of feeding, the weights of all three groups were equivalent, while the percent of body fat increased relative to the
control for the rats fed a diet of limited and no B12: 40% (N) and 20% (L), respectively.
A. Identify which adipocytokines show significant increases, relative to the control group, after only 4 weeks of
treatment. Justify your identification.
B. Identify which adipocytokines show only significant increases, relative to the control group, after 12 weeks of
treatment. Justify your identification.
C. Identify which adipocytokines show significant increases, relative to the control group, after 4 weeks of
treatment but no further increase after 12 weeks. Justify your identification.
Adipocytokines are chemical messengers that regulate metabolism and blood vessel production and dilation. High
concentrations of adipocytokines are commonly found among individuals with abnormal autoimmune response. Monocyte
chemoattractant protein 1 (MCP-1) is involved in the trafficking or guiding of monocytes to damaged tissue, as in a
wound. In mice, leptin receptors of cells in the hypothalamus suppress hunger. Interleukin (IL-6) is released to initiate and
then regulate inflammation in response to an infection. The mice in this study were not infected or wounded.
D. Construct an explanation, with reasoning based on the evidence provided by these data, for the observed
variations in adipocytokines.
Many noncommunicable diseases are associated with abnormal autoimmune responses, and the number of diseases that
involve abnormal autoimmune response is increasing. Many autoimmune diseases, such as diabetes and heart disease,
occur in developed nations at a much higher frequency than in developing nations.
E. Evaluate, based on these data concerning the effect of restrictions on the availability of B12, the following
question: Does the increased lack of exposure to pathogens in developed nations lead to reduced or abnormal
immune response?
67. Using an example, explain how enzyme feedback inhibition regulates a cellular process.
296 Chapter 6 | Metabolism
Chapter 7 | Cellular Respiration 297
7 | CELLULAR
RESPIRATION
Figure 7.1 This geothermal energy plant transforms thermal energy from deep in the ground into electrical energy,
which can be easily used. (credit: modification of work by the U.S. Department of Defense)
Chapter Outline
7.1: Energy in Living Systems
7.2: Glycolysis
7.3: Oxidation of Pyruvate and the Citric Acid Cycle
7.4: Oxidative Phosphorylation
7.5: Metabolism Without Oxygen
7.6: Connections of Carbohydrate, Protein, and Lipid Metabolic Pathways
7.7: Regulation of Cellular Respiration
Introduction
The electrical energy plant in Figure 7.1 converts energy from one form to another form that can be more easily used.
This type of generating plant starts with underground thermal energy, or heat, and transforms it into electrical energy that
will be transported to homes and factories. Like a generating plant, plants and animals also must take in energy from
the environment and convert it into a form that their cells can use. Energy enters an organism’s body in one form and is
converted into another form that can fuel the organism’s life functions. In the process of photosynthesis, plants and other
photosynthetic producers take in energy in the form of light, solar energy, and convert it into chemical energy, glucose,
which stores this energy in its chemical bonds. Then, a series of metabolic pathways, collectively called cellular respiration,
extract the energy from the carbon–carbon bonds of glucose and convert it into a form that all living things can use, as both
producers, such as plants, and consumers, such as animals.
Nearly all organisms perform glycolysis, the first part of both aerobic and anaerobic respiration. One of the key enzymes
of glycolysis is pyruvate kinase. Without this enzyme, an organism will die because it is unable to convert nutrients into
the energy it needs for survival. Scientists have taken advantage of that fact by blocking pyruvate kinase in some deadly
parasites, such as the ones that cause African Sleeping Sickness and Chagas disease. Read more about this research here
(http://openstaxcollege.org/l/32africa) .
298 Chapter 7 | Cellular Respiration
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.16]
Chapter 7 | Cellular Respiration 299
In addition, content from this chapter is addressed in the AP® Biology Laboratory Manual in the following lab(s):
• 8 Cellular Respiration in Peas or Beans
• 9 Fermentation in Yeast
Energy production within a cell involves many coordinated chemical pathways. Most of these pathways are combinations of
oxidation and reduction reactions. Oxidation and reduction occur in tandem. An oxidation reaction strips an electron from
an atom in a compound, and the addition of this electron to another compound is a reduction reaction. Because oxidation
and reduction usually occur together, these pairs of reactions are called oxidation reduction reactions, or redox reactions.
When electrons are added to a compound, they are reduced. A compound that reduces another is called a reducing agent.
In the above equation, RH is a reducing agent, and NAD+ is reduced to NADH. When electrons are removed from a
compound, it is oxidized. A compound that oxidizes another is called an oxidizing agent. In the above equation, NAD+ is
an oxidizing agent, and RH is oxidized to R.
Similarly, flavin adenine dinucleotide (FAD+) is derived from vitamin B2, also called riboflavin. Its reduced form is FADH2.
A second variation of NAD, NADP, contains an extra phosphate group. Both NAD+ and FAD+ are extensively used in
energy extraction from sugars, and NADP plays an important role in anabolic reactions and photosynthesis.
300 Chapter 7 | Cellular Respiration
Figure 7.2 The oxidized form of the electron carrier (NAD+) is shown on the left and the reduced form (NADH) is shown
on the right. The nitrogenous base in NADH has one more hydrogen ion and two more electrons than in NAD +.
Figure 7.3 ATP (adenosine triphosphate) has three phosphate groups that can be removed by hydrolysis to form ADP
(adenosine diphosphate) or AMP (adenosine monophosphate).The negative charges on the phosphate group naturally
repel each other, requiring energy to bond them together and releasing energy when these bonds are broken.
The addition of a phosphate group to a molecule requires energy. Phosphate groups are negatively charged and thus repel
one another when they are arranged in series, as they are in ADP and ATP. This repulsion makes the ADP and ATP
molecules inherently unstable. The release of one or two phosphate groups from ATP, a process called dephosphorylation,
releases energy.
Energy from ATP
Hydrolysis is the process of breaking complex macromolecules apart. During hydrolysis, water is split, or lysed, and the
resulting hydrogen atom (H+) and a hydroxyl group (OH-) are added to the larger molecule. The hydrolysis of ATP produces
ADP, together with an inorganic phosphate ion (Pi), and the release of free energy. To carry out life processes, ATP is
continuously broken down into ADP, and like a rechargeable battery, ADP is continuously regenerated into ATP by the
reattachment of a third phosphate group. Water, which was broken down into its hydrogen atom and hydroxyl group during
ATP hydrolysis, is regenerated when a third phosphate is added to the ADP molecule, reforming ATP.
Obviously, energy must be infused into the system to regenerate ATP. Where does this energy come from? In nearly every
living thing on Earth, the energy comes from the metabolism of glucose. In this way, ATP is a direct link between the limited
set of exergonic pathways of glucose catabolism and the multitude of endergonic pathways that power living cells.
Phosphorylation
Recall that, in some chemical reactions, enzymes may bind to several substrates that react with each other on the enzyme,
forming an intermediate complex. An intermediate complex is a temporary structure, and it allows one of the substrates,
such as ATP, and reactants to more readily react with each other; in reactions involving ATP, ATP is one of the substrates
and ADP is a product. During an endergonic chemical reaction, ATP forms an intermediate complex with the substrate and
enzyme in the reaction. This intermediate complex allows the ATP to transfer its third phosphate group, with its energy,
to the substrate, a process called phosphorylation. Phosphorylation refers to the addition of the phosphate (~P). This is
illustrated by the following generic reaction
A + enzyme + ATP → ⎡⎣A − enzyme − ∼ P⎤⎦ → B + enzyme + ADP + phosphate ion.
When the intermediate complex breaks apart, the energy is used to modify the substrate and convert it into a product of the
reaction. The ADP molecule and a free phosphate ion are released into the medium and are available for recycling through
cell metabolism.
Substrate Phosphorylation
ATP is generated through two mechanisms during the breakdown of glucose. A few ATP molecules are generated, that
is, regenerated from ADP, as a direct result of the chemical reactions that occur in the catabolic pathways. A phosphate
group is removed from an intermediate reactant in the pathway, and the free energy of the reaction is used to add the third
phosphate to an available ADP molecule, producing ATP (Figure 7.4). This very direct method of phosphorylation is called
substrate-level phosphorylation.
302 Chapter 7 | Cellular Respiration
Figure 7.4 In phosphorylation reactions, the gamma phosphate of ATP is attached to a protein.
Oxidative Phosphorylation
Most of the ATP generated during glucose catabolism, however, is derived from a much more complex process,
chemiosmosis, which takes place in mitochondria (Figure 7.5) within a eukaryotic cell or the plasma membrane of a
prokaryotic cell. Chemiosmosis, a process of ATP production in cellular metabolism, is used to generate 90 percent of the
ATP made during glucose catabolism and is also the method used in the light reactions of photosynthesis to harness the
energy of sunlight. The production of ATP using the process of chemiosmosis is called oxidative phosphorylation because
of the involvement of oxygen in the process.
Figure 7.5 In eukaryotes, oxidative phosphorylation takes place in mitochondria. In prokaryotes, this process takes
place in the plasma membrane. (credit: modification of work by Mariana Ruiz Villareal)
Think About It
Explain why it is more metabolically efficient for cells to extract energy from ATP rather than from the bonds of
carbohydrates directly.
Chapter 7 | Cellular Respiration 303
Section Summary
ATP functions as the energy currency for cells. It allows the cell to store energy briefly and transport it within the cell
to support endergonic chemical reactions. The structure of ATP is that of an RNA nucleotide with three phosphates
attached. As ATP is used for energy, a phosphate group or two are detached, and either ADP or AMP is produced. Energy
derived from glucose catabolism is used to convert ADP into ATP. When ATP is used in a reaction, the third phosphate
is temporarily attached to a substrate in a process called phosphorylation. The two processes of ATP regeneration that are
used in conjunction with glucose catabolism are substrate-level phosphorylation and oxidative phosphorylation through the
process of chemiosmosis.
7.2 | Glycolysis
In this section, you will explore the following question:
• What is the overall result, in terms of molecules produced, in the breakdown of glucose by glycolysis?
experience, instructional activities, and AP® exam questions. A Learning Objective merges required content with one or
more of the seven Science Practices.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
You have read that nearly all of the energy used by living cells comes to them in the bonds of the sugar, glucose. Glycolysis
is the first step in the breakdown of glucose to extract energy for cellular metabolism. Nearly all living organisms carry
out glycolysis as part of their metabolism. The process does not use oxygen and is therefore anaerobic. Glycolysis takes
place in the cytoplasm of both prokaryotic and eukaryotic cells. Glucose enters heterotrophic cells in two ways. One method
is through secondary active transport in which the transport takes place against the glucose concentration gradient. The
other mechanism uses a group of integral proteins called GLUT proteins, also known as glucose transporter proteins. These
transporters assist in the facilitated diffusion of glucose.
Glycolysis begins with the six carbon ring-shaped structure of a single glucose molecule and ends with two molecules of
a three-carbon sugar called pyruvate. Glycolysis consists of two distinct phases. The first part of the glycolysis pathway
traps the glucose molecule in the cell and uses energy to modify it so that the six-carbon sugar molecule can be split evenly
into the two three-carbon molecules. The second part of glycolysis extracts energy from the molecules and stores it in the
form of ATP and NADH, the reduced form of NAD+.
Chapter 7 | Cellular Respiration 305
Figure 7.6 The first half of glycolysis uses two ATP molecules in the phosphorylation of glucose, which is then split
into two three-carbon molecules.
Figure 7.7 The second half of glycolysis involves phosphorylation without ATP investment (Step 6) and produces two
NADH and four ATP molecules per glucose.
Here again is a potential limiting factor for this pathway. The continuation of the reaction depends upon the availability of
the oxidized form of the electron carrier, NAD+. Thus, NADH must be continuously oxidized back into NAD+ in order to
keep this step going. If NAD+ is not available, the second half of glycolysis slows down or stops. If oxygen is available in
the system, the NADH will be oxidized readily, though indirectly, and the high-energy electrons from the hydrogen released
in this process will be used to produce ATP. In an environment without oxygen, an alternate pathway, fermentation, can
provide the oxidation of NADH to NAD+.
Step 7. In this step, catalyzed by phosphoglycerate kinase—an enzyme named for the reverse
reaction—1,3-bisphosphoglycerate donates a high-energy phosphate to ADP, forming one molecule of ATP. This is an
example of substrate-level phosphorylation. A carbonyl group on the 1,3-bisphosphoglycerate is oxidized to a carboxyl
group, and 3-phosphoglycerate is formed.
Step 8. The remaining phosphate group in 3-phosphoglycerate moves from the third carbon to the second carbon, producing
2-phosphoglycerate—an isomer of 3-phosphoglycerate. The enzyme catalyzing this step is a mutase, or isomerase.
Step 9. Enolase catalyzes the ninth step. This enzyme causes 2-phosphoglycerate to lose water from its structure; this is
a dehydration reaction, resulting in the formation of a double bond that increases the potential energy in the remaining
phosphate bond and produces phosphoenolpyruvate (PEP).
Step 10. The last step in glycolysis is catalyzed by the enzyme pyruvate kinase. The enzyme in this case is named for the
reverse reaction of pyruvate’s conversion into PEP, and it results in the production of a second ATP molecule by substrate-
level phosphorylation and the compound pyruvic acid (or its salt form, pyruvate). Many enzymes in enzymatic pathways
are named for the reverse reactions, since the enzyme can catalyze both forward and reverse reactions; these may have been
described initially by the reverse reaction that takes place in vitro, under non-physiological conditions.
Chapter 7 | Cellular Respiration 307
Gain a better understanding of the breakdown of glucose by glycolysis by visiting this site (http://openstaxcollege.org/
l/glycolysis) to see the process in action.
What is the general formula for cellular respiration and what roles do oxygen and carbon dioxide play in this process?
a. C6H12O6 + O2 → CO2 + H2O + energy, where glucose is oxidized to release carbon dioxide along with
energy, and oxygen is the final acceptor of electrons.
b. C6H12O6 + CO2 → O2 + H2O + energy, where glucose is reduced to release oxygen and water. This oxygen
in turn accepts electrons from the electron transport chain to form water.
c. C6H12O6 + O2 + H2O → CO2 + energy, where glucose is reduced to release carbon dioxide with energy.
Oxygen works as a reducing agent by donating electrons.
d. C6H12O6 + CO2 + H2O → (CH2O)n + H2O + O2, where glucose is oxidized to release pyruvate and water.
The oxygen formed acts as the final acceptor of electrons.
308 Chapter 7 | Cellular Respiration
Glycolysis occurs in the cytoplasm of nearly every cell. Organisms, from the small, circular colonies of
bacteria pictured here to the human holding the petri dish, perform glycolysis using the same ten enzymes.
Because of this, it is thought that glycolysis must have evolved in the very earliest forms of life.
Figure 7.8
ATP energy is needed for glycolysis. Explain how this ATP debt is paid off during the reaction. How is this ATP debt
paid off during the reaction?
a. by the phosphorylation of fructose-6-phosphate
b. by the oxidation of glyceraldehyde-3-phosphate
c. by the formation of 3-phosphoglycerate
d. by the formation of phosphoenolpyruvate
Chapter 7 | Cellular Respiration 309
Outcomes of Glycolysis
Glycolysis starts with glucose and ends with two pyruvate molecules, a total of four ATP molecules and two molecules of
NADH. Two ATP molecules were used in the first half of the pathway to prepare the six-carbon ring for cleavage, so the
cell has a net gain of two ATP molecules and two NADH molecules for its use. If the cell cannot catabolize the pyruvate
molecules further, it will harvest only two ATP molecules from one molecule of glucose. Mature mammalian red blood cells
are not capable of aerobic respiration—the process in which organisms convert energy in the presence of oxygen—and
glycolysis is their sole source of ATP. If glycolysis is interrupted, these cells lose their ability to maintain their sodium-
potassium pumps, and eventually, they die.
The last step in glycolysis will not occur if pyruvate kinase, the enzyme that catalyzes the formation of pyruvate, is not
available in sufficient quantities. In this situation, the entire glycolysis pathway will proceed, but only two ATP molecules
will be made in the second half. Thus, pyruvate kinase is a rate-limiting enzyme for glycolysis.
Think About It
• Nearly all organisms on Earth carry out some form of glycolysis. How does that fact support or not support the
assertion that glycolysis is one of the oldest metabolic pathways? Justify your answer.
• Human red blood cells do not perform aerobic respiration, but they do perform glycolysis. What might happen if
glycolysis were blocked in a red blood cell? Could red blood cells tap into other sources of free energy needed
for their functions?
Section Summary
Glycolysis is the first pathway used in the breakdown of glucose to extract energy. It was probably one of the earliest
metabolic pathways to evolve and is used by nearly all of the organisms on Earth. Glycolysis consists of two parts. The first
part prepares the six-carbon ring of glucose for cleavage into two three-carbon sugars. ATP is invested in the process during
this half to energize the separation. The second half of glycolysis extracts ATP and high-energy electrons from hydrogen
atoms and attaches them to NAD+. Two ATP molecules are invested in the first half and four ATP molecules are formed by
substrate phosphorylation during the second half. This produces a net gain of two ATP and two NADH molecules for the
cell.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Essential
2.A.2 Organisms capture and store free energy for use in biological processes
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.2 The structure and function of subcellular components, and their interactions, provide
Knowledge essential cellular processes.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.6 The student is able to use representations and models to analyze situations qualitatively
Learning
to describe how interactions of subcellular structures, which possess specialized functions,
Objective
provide essential functions.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.1]
• [APLO 2.5]
• [APLO 2.16]
• [APLO 2.17]
• [APLO 2.18]
If oxygen is available, aerobic respiration will go forward. In eukaryotic cells, the pyruvate molecules produced at the end
Chapter 7 | Cellular Respiration 311
of glycolysis are transported into mitochondria. There, pyruvate will be transformed into an acetyl group that will be picked
up and activated by a carrier compound called coenzyme A (CoA). The resulting compound is called acetyl CoA. CoA is
made from vitamin B5, pantothenic acid. Acetyl CoA can be used in a variety of ways by the cell, but its major function is
to deliver the acetyl group derived from pyruvate to the next stage of the pathway in glucose catabolism.
Breakdown of Pyruvate
In order for pyruvate, the product of glycolysis, to enter the next pathway, it must undergo several changes. The conversion
is a three-step process (Figure 7.9).
Step 1. A carboxyl group is removed from pyruvate, releasing a molecule of carbon dioxide into the surrounding medium.
The result of this step is a two-carbon hydroxyethyl group bound to the enzyme, pyruvate dehydrogenase. This is the first
of the six carbons from the original glucose molecule to be removed. This step proceeds twice—remember, there are two
pyruvate molecules produced at the end of glycolsis for every molecule of glucose metabolized; thus, two of the six carbons
will have been removed at the end of both steps.
Step 2. The hydroxyethyl group is oxidized to an acetyl group, and the electrons are picked up by NAD+, forming NADH.
The high-energy electrons from NADH will be used later to generate ATP.
Step 3. The enzyme-bound acetyl group is transferred to CoA, producing a molecule of acetyl CoA.
Figure 7.9 Upon entering the mitochondrial matrix, a multi-enzyme complex converts pyruvate into acetyl CoA. In the
process, carbon dioxide is released and one molecule of NADH is formed.
Note that during the second stage of glucose metabolism, whenever a carbon atom is removed, it is bound to two oxygen
atoms, producing carbon dioxide, one of the major end products of cellular respiration.
and reduced forms of NADH and FADH2 (Figure 7.10). This is considered an aerobic pathway because the NADH and
FADH2 produced must transfer their electrons to the next pathway in the system, which will use oxygen. If this transfer
does not occur, the oxidation steps of the citric acid cycle also do not occur. Note that the citric acid cycle produces very
little ATP directly and does not directly consume oxygen.
Figure 7.10 In the citric acid cycle, the acetyl group from acetyl CoA is attached to a four-carbon oxaloacetate molecule
to form a six-carbon citrate molecule. Through a series of steps, citrate is oxidized, releasing two carbon dioxide
molecules for each acetyl group fed into the cycle. In the process, three NAD+ molecules are reduced to NADH, one
FAD molecule is reduced to FADH2, and one ATP or GTP, depending on the cell type, is produced—by substrate-level
phosphorylation. Because the final product of the citric acid cycle is also the first reactant, the cycle runs continuously
in the presence of sufficient reactants. (credit: modification of work by Yikrazuul/Wikimedia Commons)
Click through each step of the citric acid cycle here (http://openstaxcollege.org/l/krebs_cycle) .
a. Glycolysis takes place in mitochondria, which extract energy by glucose breakdown for cellular metabolism.
c. All the pathways involved in ATP production take place in the mitochondria.
d. The outer membrane of mitochondria is loaded with proteins involved in electron transfer and ATP synthesis.
Think About It
Explain how citrate from the citric acid cycle might affect glycolysis. What other factors might affect the efficiency of
the citric acid cycle and its products?
Section Summary
In the presence of oxygen, pyruvate is transformed into an acetyl group attached to a carrier molecule of coenzyme A. The
resulting acetyl CoA can enter several pathways, but most often, the acetyl group is delivered to the citric acid cycle for
further catabolism. During the conversion of pyruvate into the acetyl group, a molecule of carbon dioxide and two high-
energy electrons are removed. The carbon dioxide accounts for two—conversion of two pyruvate molecules—of the six
carbons of the original glucose molecule. The electrons are picked up by NAD+, and the NADH carries the electrons to a
later pathway for ATP production. At this point, the glucose molecule that originally entered cellular respiration has been
completely oxidized. Chemical potential energy stored within the glucose molecule has been transferred to electron carriers
or has been used to synthesize a few ATPs.
The citric acid cycle is a series of redox and decarboxylation reactions that remove high-energy electrons and carbon
dioxide. The electrons temporarily stored in molecules of NADH and FADH2 are used to generate ATP in a subsequent
pathway. One molecule of either GTP or ATP is produced by substrate-level phosphorylation on each turn of the cycle.
There is no comparison of the cyclic pathway with a linear one.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Chapter 7 | Cellular Respiration 315
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.15]
• [APLO 2.18]
• [APLO 2.22]
You have just read about two pathways of glucose catabolism that generate ATP—glycolysis and the citric acid cycle. Most
of the ATP generated during the aerobic catabolism of glucose, however, is not generated directly from these pathways.
Rather, it is derived from a process that begins with moving electrons through a series of electron transporters that undergo
redox reactions. This causes hydrogen ions to accumulate within the matrix space. Therefore, a concentration gradient forms
in which hydrogen ions diffuse out of the matrix space by passing through ATP synthase. The current of hydrogen ions
powers the catalytic action of ATP synthase, which phosphorylates ADP, producing ATP.
Figure 7.11 The electron transport chain is a series of electron transporters embedded in the inner mitochondrial
membrane that shuttles electrons from NADH and FADH2 to molecular oxygen. In the process, protons are pumped
from the mitochondrial matrix to the intermembrane space, and oxygen is reduced to form water.
Complex I
To start, two electrons are carried to the first complex aboard NADH. This complex, labeled I, is composed of flavin
mononucleotide (FMN) and an iron-sulfur (Fe-S)-containing protein. FMN, which is derived from vitamin B2, also called
riboflavin, is one of several prosthetic groups or co-factors in the electron transport chain. A prosthetic group is a non-
protein molecule required for the activity of a protein. Prosthetic groups are organic or inorganic, non-peptide molecules
bound to a protein that facilitate its function; prosthetic groups include co-enzymes, which are the prosthetic groups of
enzymes. The enzyme in complex I is NADH dehydrogenase and is a very large protein, containing 45 amino acid chains.
Complex I can pump four hydrogen ions across the membrane from the matrix into the intermembrane space, and it is in
this way that the hydrogen ion gradient is established and maintained between the two compartments separated by the inner
mitochondrial membrane.
Q and Complex II
Complex II directly receives FADH2, which does not pass through complex I. The compound connecting the first and
second complexes to the third is ubiquinone (Q). The Q molecule is lipid soluble and freely moves through the hydrophobic
core of the membrane. Once it is reduced, (QH2), ubiquinone delivers its electrons to the next complex in the electron
transport chain. Q receives the electrons derived from NADH from complex I and the electrons derived from FADH2 from
complex II, including succinate dehydrogenase. This enzyme and FADH2 form a small complex that delivers electrons
directly to the electron transport chain, bypassing the first complex. Since these electrons bypass and thus do not energize
the proton pump in the first complex, fewer ATP molecules are made from the FADH2 electrons. The number of ATP
molecules ultimately obtained is directly proportional to the number of protons pumped across the inner mitochondrial
membrane.
Complex III
The third complex is composed of cytochrome b, another Fe-S protein, Rieske center (2Fe-2S center), and cytochrome c
proteins; this complex is also called cytochrome oxidoreductase. Cytochrome proteins have a prosthetic group of heme.
The heme molecule is similar to the heme in hemoglobin, but it carries electrons, not oxygen. As a result, the iron ion at
its core is reduced and oxidized as it passes the electrons, fluctuating between different oxidation states: Fe++ (reduced)
and Fe+++ (oxidized). The heme molecules in the cytochromes have slightly different characteristics due to the effects of
the different proteins binding them, giving slightly different characteristics to each complex. Complex III pumps protons
through the membrane and passes its electrons to cytochrome c for transport to the fourth complex of proteins and
enzymes—cytochrome c is the acceptor of electrons from Q; however, whereas Q carries pairs of electrons, cytochrome c
can accept only one at a time.
Complex IV
The fourth complex is composed of cytochrome proteins c, a, and a3. This complex contains two heme groups—one in each
of the two cytochromes, a, and a3—and three copper ions—a pair of CuA and one CuB in cytochrome a3. The cytochromes
Chapter 7 | Cellular Respiration 317
hold an oxygen molecule very tightly between the iron and copper ions until the oxygen is completely reduced. The reduced
oxygen then picks up two hydrogen ions from the surrounding medium to make water (H2O). The removal of the hydrogen
ions from the system contributes to the ion gradient used in the process of chemiosmosis.
Chemiosmosis
In chemiosmosis, the free energy from the series of redox reactions just described is used to pump hydrogen ions (protons)
across the membrane. The uneven distribution of H+ ions across the membrane establishes both concentration and electrical
gradients—thus, an electrochemical gradient—owing to the hydrogen ions’ positive charge and their aggregation on one
side of the membrane.
If the membrane were open to diffusion by the hydrogen ions, the ions would tend to diffuse back across into the matrix,
driven by their electrochemical gradient. Recall that many ions cannot diffuse through the nonpolar regions of phospholipid
membranes without the aid of ion channels. Similarly, hydrogen ions in the matrix space can only pass through the inner
mitochondrial membrane through an integral membrane protein called ATP synthase (Figure 7.12). This complex protein
acts as a tiny generator, turned by the force of the hydrogen ions diffusing through it, down their electrochemical gradient.
The turning of parts of this molecular machine facilitates the addition of a phosphate to ADP, forming ATP, using the
potential energy of the hydrogen ion gradient.
318 Chapter 7 | Cellular Respiration
Figure 7.12 ATP synthase is a complex, molecular machine that uses a proton (H+) gradient to form ATP from
ADP and inorganic phosphate (Pi). (credit: modification of work by Klaus Hoffmeier)
Dinitrophenol (DNP) is an uncoupler that makes the inner mitochondrial membrane leak protons (H+). It was used
until 1938 as a weight-loss drug. Why do you think this might be an effective weight-loss drug?
a. DNP dissipates the proton gradient in the matrix, preventing the production of ATP. The body then increases
its metabolic rate, leading to weight loss.
b. DNP decreases the proton gradient in the inner mitochondrial space, leading to rapid consumption of acetyl-
CoA, which causes weight loss.
c. DNP blocks the movement of protons through the ATP synthase, halting ATP production. The stored energy
dissipates as heat, causing weight loss.
d. DNP uncouples the production of ATP by increasing the proton gradient in the matrix. The stored energy
dissipates as heat, causing weight loss.
Chemiosmosis (Figure 7.13) is used to generate 90 percent of the ATP made during aerobic glucose catabolism; it
is also the method used in the light reactions of photosynthesis to harness the energy of sunlight in the process of
photophosphorylation. Recall that the production of ATP using the process of chemiosmosis in mitochondria is called
oxidative phosphorylation. The overall result of these reactions is the production of ATP from the energy of the electrons
removed from hydrogen atoms. These atoms were originally part of a glucose molecule. At the end of the pathway, the
electrons are used to reduce an oxygen molecule to oxygen ions. The extra electrons on the oxygen attract hydrogen ions
(protons) from the surrounding medium, and water is formed.
Chapter 7 | Cellular Respiration 319
Figure 7.13 In oxidative phosphorylation, the pH gradient formed by the electron transport chain is used by ATP
synthase to form ATP.
Cyanide inhibits cytochrome c oxidase, a component of the electron transport chain. If cyanide poisoning occurs,
would you expect the pH of the intermembrane space to increase or decrease? What effect would cyanide have on ATP
synthesis?
a. The proton concentration of the intermembrane space would decrease, stopping the production of ATP.
b. The proton concentration of the intermembrane space would increase, leading to ATP formation.
c. The hydrogen ion concentration of the intermembrane space would decrease, causing a high production of
ATP.
d. The proton concentration of the intermembrane space would increase, causing production of ATP in large
amounts.
ATP Yield
The number of ATP molecules generated from the catabolism of glucose varies. For example, the number of hydrogen
ions that the electron transport chain complexes can pump through the membrane varies between species. Another source
of variance stems from the shuttle of electrons across the membranes of the mitochondria. The NADH generated from
glycolysis cannot easily enter mitochondria. Thus, electrons are picked up on the inside of mitochondria by either NAD+ or
FAD+. As you have learned earlier, these FAD+ molecules can transport fewer ions; consequently, fewer ATP molecules are
generated when FAD+ acts as a carrier. NAD+ is used as the electron transporter in the liver and FAD+ acts in the brain.
Another factor that affects the yield of ATP molecules generated from glucose is the fact that intermediate compounds in
these pathways are used for other purposes. Glucose catabolism connects with the pathways that build or break down all
other biochemical compounds in cells, and the result is somewhat messier than the ideal situations described thus far. For
example, sugars other than glucose are fed into the glycolytic pathway for energy extraction. Moreover, the five-carbon
sugars that form nucleic acids are made from intermediates in glycolysis. Certain nonessential amino acids can be made
from intermediates of both glycolysis and the citric acid cycle. Lipids, such as cholesterol and triglycerides, are also made
from intermediates in these pathways, and both amino acids and triglycerides are broken down for energy through these
pathways. Overall, in living systems, these pathways of glucose catabolism extract about 34 percent of the energy contained
in glucose.
320 Chapter 7 | Cellular Respiration
Activity
Use construction paper and other art materials to create your own diagram of the electron transport chain
(ETC). Be sure to include all parts of the electron transport chain, as well as the electrons themselves,
NAD+ and NADH, and oxygen. On your diagram, label all parts of the ETC that transfer the free energy
from electrons to another form. Then, use your model to make predictions about each of the following. Then,
share your answers with the class.
• What would happen to free energy release if a cytochrome failed to undergo one of the redox reactions
involved in the electron transport chain?
• What ultimately happens to the free energy in the electrons that travel down the ETC?
• Did you remember to have a pair of electrons travel down the ETC? What would happen if only one
electron reached oxygen?
Think About It
• Dinitrophenol (DNP) is an uncoupler that makes the inner mitochondrial membrane leaky to protons. It was used
until 1938 as a weight loss drug. What effect would DNP have on the change in pH across the inner mitochondrial
membrane and the overall process of cellular respiration? Why do you think DNP might be an effective weight-
loss drug? Why is DNP no longer used?
• Cyanide inhibits cytochrome c oxidase, a component of the electron transport chain. If cyanide poisoning occurs,
would you expect the pH of the intermembrane space to increase or decrease? Explain the effect of cyanide on
ATP synthesis.
Section Summary
The electron transport chain is the portion of aerobic respiration that uses free oxygen as the final electron acceptor of
the electrons removed from the intermediate compounds in glucose catabolism. The electron transport chain is composed
of four large, multiprotein complexes embedded in the inner mitochondrial membrane and two small diffusible electron
carriers shuttling electrons between them. The electrons are passed through a series of redox reactions, with a small amount
of free energy used at three points to transport hydrogen ions across a membrane. This process contributes to the gradient
used in chemiosmosis. The electrons passing through the electron transport chain gradually lose energy. High-energy
electrons donated to the chain by either NADH or FADH2 complete the chain, as low-energy electrons reduce oxygen
molecules and form water. The level of free energy of the electrons drops from about 60 kcal/mol in NADH or 45 kcal/mol
in FADH2 to about 0 kcal/mol in water. The end products of the electron transport chain are water and ATP. A number of
intermediate compounds of the citric acid cycle can be diverted into the anabolism of other biochemical molecules, such as
nonessential amino acids, sugars, and lipids. These same molecules can serve as energy sources for the glucose pathways.
we wouldn’t have yogurt or soy sauce. Nor would our muscle cells cramp from the buildup of lactate when we exercise
vigorously and oxygen is scarce.
Information presented and the examples highlighted in the section support concepts and Learning Objectives outlined
in Big Idea 2 of the AP® Biology Curriculum Framework, as shown in the table. The Learning Objectives listed in
the Curriculum Framework provide a transparent foundation for the AP® Biology course, an inquiry-based laboratory
experience, instructional activities, and AP® exam questions. A Learning Objective merges required content with one or
more of the seven Science Practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.21]
• [APLO 2.24]
• [APLO 4.14]
• [APLO 4.26]
In aerobic respiration, the final electron acceptor is an oxygen molecule, O2. If aerobic respiration occurs, then ATP will be
produced using the energy of high-energy electrons carried by NADH or FADH2 to the electron transport chain. If aerobic
respiration does not occur, NADH must be reoxidized to NAD+ for reuse as an electron carrier for the glycolytic pathway to
continue. How is this done? Some living systems use an organic molecule as the final electron acceptor. Processes that use
an organic molecule to regenerate NAD+ from NADH are collectively referred to as fermentation. In contrast, some living
systems use an inorganic molecule as a final electron acceptor. Both methods are called anaerobic cellular respiration in
which organisms convert energy for their use in the absence of oxygen.
Figure 7.14 The green color seen in these coastal waters is from an eruption of hydrogen sulfide-producing bacteria.
These anaerobic, sulfate-reducing bacteria release hydrogen sulfide gas as they decompose algae in the water.
(credit: modification of work by NASA/Jeff Schmaltz, MODIS Land Rapid Response Team at NASA GSFC, Visible
Earth Catalog of NASA images)
Explain how the formation of NAD+ differs between aerobic and anaerobic respiration.
a. NAD+ is formed in aerobic respiration by a fermentation process and formed in anaerobic respiration by
oxidation of NADH.
b. NAD+ is formed by a fermentation process in anaerobic respiration by the conversion of pyruvate into lactate
and by simple oxidation of NADH in aerobic respiration.
c. Under aerobic conditions, the electron acceptor is a molecule other than oxygen for NAD+ production,
whereas under anaerobic conditions the electron acceptor is oxygen.
d. NAD+ is formed by the breakdown of pyruvate to form oxaloacetate in anaerobic respiration, whereas in
aerobic respiration it is formed by the breakdown of pyruvate into lactic acid or alcohol.
The enzyme used in this reaction is lactate dehydrogenase (LDH). The reaction can proceed in either direction, but the
reaction from left to right is inhibited by acidic conditions. Such lactic acid accumulation was once believed to cause
muscle stiffness, fatigue, and soreness, although more recent research disputes this hypothesis. Once the lactic acid has been
removed from the muscle and circulated to the liver, it can be reconverted into pyruvic acid and further catabolized for
energy.
Figure 7.15 Lactic acid fermentation is common in muscle cells that have run out of oxygen.
Tremetol, a metabolic poison found in the white snake root plant, prevents the metabolism of lactate. When cows eat
this plant, it is concentrated in the milk they produce. Humans who consume the milk become ill. Symptoms of this
disease, which include vomiting, abdominal pain, and tremors, become worse after exercise. Why do you think this is
the case?
a. Tremetol inhibits enzymes that convert lactate into less harmful compounds. Exercise worsens this by
producing more lactate.
b. Tremetol increases the production of lactate dehydrogenase, causing lactic acid to accumulate in the body.
c. Tremetol inhibits the production of NAD+ after exercise. The lack of oxygen causes lactic acid to accumulate
in the body.
d. Tremetol binds to lactic acid, inhibiting its breakdown into other compounds and causing it to accumulate
after exercising.
Alcohol Fermentation
Another familiar fermentation process is alcohol fermentation (Figure 7.16) that produces ethanol, an alcohol. The first
324 Chapter 7 | Cellular Respiration
chemical reaction of alcohol fermentation is the following; CO2 does not participate in the second reaction.
Pyruvic acid → CO 2 + acetaldehyde + NADH → ethanol + NAD+
The first reaction is catalyzed by pyruvate decarboxylase, a cytoplasmic enzyme, with a coenzyme of thiamine
pyrophosphate (TPP, derived from vitamin B1 and also called thiamine). A carboxyl group is removed from pyruvic
acid, releasing carbon dioxide as a gas. The loss of carbon dioxide reduces the size of the molecule by one carbon,
making acetaldehyde. The second reaction is catalyzed by alcohol dehydrogenase to oxidize NADH to NAD+ and reduce
acetaldehyde to ethanol. The fermentation of pyruvic acid by yeast produces the ethanol. Ethanol tolerance of yeast is
variable, ranging from about five percent to 21 percent, depending on the yeast strain and environmental conditions.
Figure 7.16 Fermentation of grape juice produces CO2 as a byproduct. Fermentation tanks have valves so that the
pressure inside the tanks created by the carbon dioxide produced can be released.
Lab Investigation
Lab Investigation: Respiration of Sugars by Yeast. You are given the opportunity to design and conduct
experiments to investigate whether yeasts are able to metabolize a variety of sugars, using gas pressure
sensors or other means to measure CO2 production.
Think About It
Tremetol, a metabolic poison found in the white snake plant root, prevents the metabolism of lactate. When female
cows eat this plant, tremetol becomes concentrated in their milk. Humans who consume the milk become ill. Explain
why the symptoms of this disease, which include vomiting, abdominal pain, and tremors, becomes worse after exercise.
Chapter 7 | Cellular Respiration 325
Section Summary
If NADH cannot be oxidized through aerobic respiration, another electron acceptor is used. Most organisms will use some
form of fermentation to accomplish the regeneration of NAD+, ensuring the continuation of glycolysis. The regeneration of
NAD+ in fermentation is not accompanied by ATP production; therefore, the potential of NADH to produce ATP using an
electron transport chain is not utilized.
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced through
Practice scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features of
Objective cells that allow organisms to capture, store, or use free energy.
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science
6.1 The student can justify claims with evidence.
Practice
2.2 The student is able to justify a scientific claim that free energy is required for living systems
Learning
to maintain organization, to grow or to reproduce, but that multiple strategies exist in different
Objective
living systems.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.15]
• [APLO 3.20]
• [APLO 1.5]
• [APLO 1.26]
326 Chapter 7 | Cellular Respiration
• [APLO 4.18]
You have learned about the catabolism of glucose, which provides energy to living cells. But living things consume more
than glucose for food. How does a turkey sandwich end up as ATP in your cells? This happens because all of the catabolic
pathways for carbohydrates, proteins, and lipids eventually connect into glycolysis and the citric acid cycle pathways (see
Figure 7.18). Metabolic pathways should be thought of as porous—that is, substances enter from other pathways, and
intermediates leave for other pathways. These pathways are not closed systems. Many of the substrates, intermediates, and
products in a particular pathway are reactants in other pathways.
Figure 7.17 The carbon skeletons of certain amino acids, indicated in boxes, derived from proteins can feed into the
citric acid cycle. (credit: modification of work by Mikael Häggström)
Animals can make most of the fatty acids they need. Triglycerides can be both made and broken down through parts of the
glucose catabolism pathways. Glycerol can be phosphorylated to glycerol-3-phosphate, which continues through glycolysis.
Fatty acids are catabolized in a process called beta-oxidation that takes place in the matrix of the mitochondria and converts
their fatty acid chains into two carbon units of acetyl groups. The acetyl groups are picked up by CoA to form acetyl CoA
that proceeds into the citric acid cycle.
Figure 7.18 Glycogen from the liver and muscles, hydrolyzed into glucose-1-phosphate, together with fats and
proteins, can feed into the catabolic pathways for carbohydrates.
328 Chapter 7 | Cellular Respiration
Think About It
Explain how free energy can be obtained from the metabolism of carbohydrates, proteins, lipids, and even nucleic
acids. Which of these molecules provides the largest amount of free energy? Justify your answer.
Section Summary
The breakdown and synthesis of carbohydrates, proteins, and lipids connect with the pathways of glucose catabolism. The
simple sugars are galactose, fructose, glycogen, and pentose. These are catabolized during glycolysis. The amino acids from
proteins connect with glucose catabolism through pyruvate, acetyl CoA, and components of the citric acid cycle. Cholesterol
synthesis starts with acetyl groups, and the components of triglycerides come from glycerol-3-phosphate from glycolysis
and acetyl groups produced in the mitochondria from pyruvate.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to
Understanding
maintain dynamic homeostasis.
2.C
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
7.2 The student can connect concepts in and across domain(s) to generalize or
Science Practice
extrapolate in and/or across enduring understandings and/or big ideas.
Learning 2.16 The student is able to connect how organisms use negative feedback to maintain
Objective their internal environments.
5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Science Practice
scientific question.
330 Chapter 7 | Cellular Respiration
Learning 2.17 The student is able to evaluate data that show the effect(s) of changes in
Objective concentration of key molecules on negative feedback mechanisms.
Cellular respiration must be regulated in order to provide balanced amounts of energy in the form of ATP. The cell also must
generate a number of intermediate compounds that are used in the anabolism and catabolism of macromolecules. Without
controls, metabolic reactions would quickly come to a stand-still as the forward and backward reactions reached a state of
equilibrium. Resources would be used inappropriately. A cell does not need the maximum amount of ATP that it can make
all the time: At times, the cell needs to shunt some of the intermediates to pathways for amino acid, protein, glycogen, lipid,
and nucleic acid production. In short, the cell needs to control its metabolism.
Regulatory Mechanisms
A variety of mechanisms is used to control cellular respiration. Some type of control exists at each stage of glucose
metabolism. Access of glucose to the cell can be regulated using the GLUT proteins that transport glucose (Figure 7.19).
Different forms of the GLUT protein control passage of glucose into the cells of specific tissues.
Figure 7.19 GLUT4 is a glucose transporter that is stored in vesicles. A cascade of events that occurs upon insulin
binding to a receptor in the plasma membrane causes GLUT4-containing vesicles to fuse with the plasma membrane
so that glucose may be transported into the cell.
Some reactions are controlled by having two different enzymes—one each for the two directions of a reversible reaction.
Reactions that are catalyzed by only one enzyme can go to equilibrium, stalling the reaction. In contrast, if two different
enzymes—each specific for a given direction—are necessary for a reversible reaction, the opportunity to control the rate of
the reaction increases, and equilibrium is not reached.
A number of enzymes involved in each of the pathways—in particular, the enzyme catalyzing the first committed reaction
of the pathway—are controlled by attachment of a molecule to an allosteric site on the protein. The molecules most
commonly used in this capacity are the nucleotides ATP, ADP, AMP, NAD+, and NADH. These regulators, allosteric
effectors, may increase or decrease enzyme activity, depending on the prevailing conditions. The allosteric effector alters
the steric structure of the enzyme, usually affecting the configuration of the active site. This alteration of the protein’s, or
the enzyme’s, structure either increases or decreases its affinity for its substrate, with the effect of increasing or decreasing
the rate of the reaction. The attachment signals to the enzyme. This binding can increase or decrease the enzyme’s activity,
providing feedback. This feedback type of control is effective as long as the chemical affecting it is attached to the enzyme.
Once the overall concentration of the chemical decreases, it will diffuse away from the protein, and the control is relaxed.
Glycolysis
The control of glycolysis begins with the first enzyme in the pathway, hexokinase (Figure 7.20). This enzyme catalyzes
the phosphorylation of glucose, which helps to prepare the compound for cleavage in a later step. The presence of the
negatively charged phosphate in the molecule also prevents the sugar from leaving the cell. When hexokinase is inhibited,
glucose diffuses out of the cell and does not become a substrate for the respiration pathways in that tissue. The product of
the hexokinase reaction is glucose-6-phosphate, which accumulates when a later enzyme, phosphofructokinase, is inhibited.
Figure 7.20 The glycolysis pathway is primarily regulated at the three key enzymatic steps (1, 2, and 7) as indicated.
Note that the first two steps that are regulated occur early in the pathway and involve hydrolysis of ATP.
Phosphofructokinase is the main enzyme controlled in glycolysis. High levels of ATP, citrate, or a lower, more acidic pH
decrease the enzyme’s activity. An increase in citrate concentration can occur because of a blockage in the citric acid cycle.
Fermentation, with its production of organic acids like lactic acid, frequently accounts for the increased acidity in a cell;
however, the products of fermentation do not typically accumulate in cells.
The last step in glycolysis is catalyzed by pyruvate kinase. The pyruvate produced can proceed to be catabolized or
converted into the amino acid alanine. If no more energy is needed and alanine is in adequate supply, the enzyme
is inhibited. The enzyme’s activity is increased when fructose-1,6-bisphosphate levels increase. (Recall that
fructose-1,6-bisphosphate is an intermediate in the first half of glycolysis.) The regulation of pyruvate kinase involves
phosphorylation by a kinase—pyruvate kinase—resulting in a less-active enzyme. Dephosphorylation by a phosphatase
reactivates it. Pyruvate kinase is also regulated by ATP—a negative allosteric effect.
If more energy is needed, more pyruvate will be converted into acetyl CoA through the action of pyruvate dehydrogenase. If
either acetyl groups or NADH accumulate, there is less need for the reaction and the rate decreases. Pyruvate dehydrogenase
is also regulated by phosphorylation: A kinase phosphorylates it to form an inactive enzyme, and a phosphatase reactivates
it. The kinase and the phosphatase are also regulated.
Citric Acid Cycle
The citric acid cycle is controlled through the enzymes that catalyze the reactions that make the first two molecules of
NADH (Figure 7.10). These enzymes are isocitrate dehydrogenase and α‑ketoglutarate dehydrogenase. When adequate
ATP and NADH levels are available, the rates of these reactions decrease. When more ATP is needed, as reflected in
rising ADP levels, the rate increases. α-ketoglutarate dehydrogenase will also be affected by the levels of succinyl CoA—a
subsequent intermediate in the cycle—causing a decrease in activity. A decrease in the rate of operation of the pathway at
this point is not necessarily negative, as the increased levels of the α-ketoglutarate not used by the citric acid cycle can be
used by the cell for amino acid (glutamate) synthesis.
Electron Transport Chain
Specific enzymes of the electron transport chain are unaffected by feedback inhibition, but the rate of electron transport
332 Chapter 7 | Cellular Respiration
through the pathway is affected by the levels of ADP and ATP. Greater ATP consumption by a cell is indicated by a buildup
of ADP. As ATP usage decreases, the concentration of ADP decreases, and now, ATP begins to build up in the cell. This
change is the relative concentration of ADP to ATP triggers the cell to slow down the electron transport chain.
Visit this site (http://openstaxcollege.org/l/electron_transp) to see an animation of the electron transport chain and ATP
synthesis.
Describe the formation and the importance of the hydrogen ion gradient during the electron transport chain.
a. A hydrogen ion gradient across the membrane establishes a concentration gradient and not an electrical
gradient, thus assisting during the electron transport chain.
b. A hydrogen ion gradient is established by pumping two hydrogen ions across the membrane from the matrix
in the intermembrane space. Its uneven distribution across the membrane establishes both concentration and
electrical gradients.
c. A hydrogen ion gradient is established by pumping four hydrogen ions across the membrane from the matrix
into the intermembrane space. Its uneven distribution across the membrane establishes concentration and
electrical gradients.
d. Hydrogen ions are present in the intermembrane space from the beginning and results in the formation of
gradients necessary for the function of ATP synthase.
Table 7.1
Chapter 7 | Cellular Respiration 333
Table 7.1
Think About It
Phosphofructokinase is a key enzyme in glycolysis. High levels of ATP or citrate or low pH can decrease the enzyme’s
activity. Explain why this is beneficial to the cell.
Section Summary
Cellular respiration is controlled by a variety of means. The entry of glucose into a cell is controlled by the transport proteins
that aid glucose passage through the cell membrane. Most of the control of the respiration processes is accomplished
through the control of specific enzymes in the pathways. This is a type of negative feedback, turning the enzymes off.
The enzymes respond most often to the levels of the available nucleosides ATP, ADP, AMP, NAD+, and FAD. Other
intermediates of the pathway also affect certain enzymes in the systems.
334 Chapter 7 | Cellular Respiration
KEY TERMS
acetyl CoA combination of an acetyl group derived from pyruvic acid and coenzyme A, which is made from pantothenic
acid, a B-group vitamin
aerobic respiration process in which organisms convert energy in the presence of oxygen
anaerobic cellular respiration process in which organisms convert energy for their use in the absence of oxygen
ATP synthase (also, F1F0 ATP synthase) membrane-embedded protein complex that adds a phosphate to ADP with
energy from protons diffusing through it
chemiosmosis process in which there is a production of adenosine triphosphate (ATP) in cellular metabolism by the
involvement of a proton gradient across a membrane
citric acid cycle (also, Krebs cycle) series of enzyme-catalyzed chemical reactions of central importance in all living
cells
fermentation process of regenerating NAD+ with either an inorganic or organic compound serving as the final electron
acceptor; occurs in the absence of oxygen
glycolysis process of breaking glucose into two three-carbon molecules with the production of ATP and NADH
Krebs cycle (also, citric acid cycle) alternate name for the citric acid cycle, named after Hans Krebs who first identified
the steps in the pathway in the 1930s in pigeon flight muscles; see citric acid cycle
oxidative phosphorylation production of ATP using the process of chemiosmosis and oxygen
prosthetic group (also, prosthetic cofactor) molecule bound to a protein that facilitates the function of the protein
pyruvate three-carbon sugar that can be decarboxylated and oxidized to make acetyl CoA, which enters the citric acid
cycle under aerobic conditions; the end product of glycolysis
redox reaction chemical reaction that consists of the coupling of an oxidation reaction and a reduction reaction
substrate-level phosphorylation production of ATP from ADP using the excess energy from a chemical reaction and
a phosphate group from a reactant
TCA cycle (also, citric acid cycle) alternate name for the citric acid cycle, named after the group name for citric acid,
tricarboxylic acid (TCA); see citric acid cycle
ubiquinone soluble electron transporter in the electron transport chain that connects the first or second complex to the
third
CHAPTER SUMMARY
7.1 Energy in Living Systems
ATP functions as the energy currency for cells. It allows the cell to store energy briefly and transport it within the cell to
support endergonic chemical reactions. The structure of ATP is that of an RNA nucleotide with three phosphates attached.
As ATP is used for energy, a phosphate group or two are detached, and either ADP or AMP is produced. Energy derived
Chapter 7 | Cellular Respiration 335
from glucose catabolism is used to convert ADP into ATP. When ATP is used in a reaction, the third phosphate is
temporarily attached to a substrate in a process called phosphorylation. The two processes of ATP regeneration that are
used in conjunction with glucose catabolism are substrate-level phosphorylation and oxidative phosphorylation through
the process of chemiosmosis.
7.2 Glycolysis
Glycolysis is the first pathway used in the breakdown of glucose to extract energy. It was probably one of the earliest
metabolic pathways to evolve and is used by nearly all of the organisms on Earth. Glycolysis consists of two parts. The
first part prepares the six-carbon ring of glucose for cleavage into two three-carbon sugars. ATP is invested in the process
during this half to energize the separation. The second half of glycolysis extracts ATP and high-energy electrons from
hydrogen atoms and attaches them to NAD+. Two ATP molecules are invested in the first half and four ATP molecules are
formed by substrate phosphorylation during the second half. This produces a net gain of two ATP and two NADH
molecules for the cell.
In the presence of oxygen, pyruvate is transformed into an acetyl group attached to a carrier molecule of coenzyme A. The
resulting acetyl CoA can enter several pathways, but most often, the acetyl group is delivered to the citric acid cycle for
further catabolism. During the conversion of pyruvate into the acetyl group, a molecule of carbon dioxide and two high-
energy electrons are removed. The carbon dioxide accounts for two—conversion of two pyruvate molecules—of the six
carbons of the original glucose molecule. The electrons are picked up by NAD+, and the NADH carries the electrons to a
later pathway for ATP production. At this point, the glucose molecule that originally entered cellular respiration has been
completely oxidized. Chemical potential energy stored within the glucose molecule has been transferred to electron
carriers or has been used to synthesize a few ATPs.
The citric acid cycle is a series of redox and decarboxylation reactions that remove high-energy electrons and carbon
dioxide. The electrons temporarily stored in molecules of NADH and FADH2 are used to generate ATP in a subsequent
pathway. One molecule of either GTP or ATP is produced by substrate-level phosphorylation on each turn of the cycle.
There is no comparison of the cyclic pathway with a linear one.
The electron transport chain is the portion of aerobic respiration that uses free oxygen as the final electron acceptor of the
electrons removed from the intermediate compounds in glucose catabolism. The electron transport chain is composed of
four large, multiprotein complexes embedded in the inner mitochondrial membrane and two small diffusible electron
carriers shuttling electrons between them. The electrons are passed through a series of redox reactions, with a small
amount of free energy used at three points to transport hydrogen ions across a membrane. This process contributes to the
gradient used in chemiosmosis. The electrons passing through the electron transport chain gradually lose energy. High-
energy electrons donated to the chain by either NADH or FADH2 complete the chain, as low-energy electrons reduce
oxygen molecules and form water. The level of free energy of the electrons drops from about 60 kcal/mol in NADH or 45
kcal/mol in FADH2 to about 0 kcal/mol in water. The end products of the electron transport chain are water and ATP. A
number of intermediate compounds of the citric acid cycle can be diverted into the anabolism of other biochemical
molecules, such as nonessential amino acids, sugars, and lipids. These same molecules can serve as energy sources for the
glucose pathways.
If NADH cannot be oxidized through aerobic respiration, another electron acceptor is used. Most organisms will use some
form of fermentation to accomplish the regeneration of NAD+, ensuring the continuation of glycolysis. The regeneration
of NAD+ in fermentation is not accompanied by ATP production; therefore, the potential of NADH to produce ATP using
an electron transport chain is not utilized.
The breakdown and synthesis of carbohydrates, proteins, and lipids connect with the pathways of glucose catabolism. The
simple sugars are galactose, fructose, glycogen, and pentose. These are catabolized during glycolysis. The amino acids
from proteins connect with glucose catabolism through pyruvate, acetyl CoA, and components of the citric acid cycle.
Cholesterol synthesis starts with acetyl groups, and the components of triglycerides come from glycerol-3-phosphate from
glycolysis and acetyl groups produced in the mitochondria from pyruvate.
336 Chapter 7 | Cellular Respiration
Cellular respiration is controlled by a variety of means. The entry of glucose into a cell is controlled by the transport
proteins that aid glucose passage through the cell membrane. Most of the control of the respiration processes is
accomplished through the control of specific enzymes in the pathways. This is a type of negative feedback, turning the
enzymes off. The enzymes respond most often to the levels of the available nucleosides ATP, ADP, AMP, NAD+, and
FAD. Other intermediates of the pathway also affect certain enzymes in the systems.
REVIEW QUESTIONS
1. What is the most important energy currency used by cells?
a. ATP
b. ADP
c. AMP
d. Adenosine
2. What happens when a chemical is reduced during a reaction?
a. The compound is reduced to a simpler form.
b. An electron is added to the chemical.
c. A hydrogen atom is removed from the substrate.
d. It acts as a catabolic reaction.
3. Which of the following molecules are oxidizing agents?
a. FAD+ and NAD+
b. FADH2 and NADH
c. FAD and FADH2
5. GLUTs are integral membrane proteins that assist in the facilitated diffusion of glucose into and out of cells. What
reaction in glycolysis prevents glucose from being transported back out of the cell?
a. Hexokinase dephosphorylates glucose using ATP, creating a glucose molecules that can’t cross the hydrophilic
portion of the plasma membrane.
b. Hexokinase phosphorylates glucose using ADP, creating a glucose molecules that can’t cross the hydrophobic
interior of the plasma membrane.
c. Hexokinase dephosphorylates glucose using ADP, creating a glucose molecule that can’t cross the hydrophilic
portion of the plasma membrane.
d. Hexokinase phosphorylates glucose using ATP, creating a glucose molecule that can’t cross the hydrophobic
interior of the plasma membrane.
6. How many ATP molecules are used and produced per molecule of glucose during glycolysis?
Chapter 7 | Cellular Respiration 337
a. The first half of glycolysis uses 2 ATPs, and the second half of glycolysis produces 4 ATPs.
b. The first half of glycolysis produces 2 ATPs, and the second half of glycolysis uses 4 ATPs.
c. The first half of glycolysis uses 4 ATPs, and the second half of glycolysis produces 2 ATPs.
d. The first half of glycolysis produces 4 ATPS, and the second half of glycolysis uses 2 ATPs.
7. What is removed from pyruvate during its conversion into an acetyl group?
a. oxygen
b. ATP
c. B vitamin
d. carbon dioxide
8. What do the electrons added to NAD+ do in aerobic respiration?
a. They become part of a fermentation pathway.
b. They go to another pathway for ATP production.
c. They energize the acetyl group in the citric acid cycle.
d. They are converted to NADP.
9. GTP, which can be converted to ATP, is produced during which reaction of the citric acid cycle?
a. isocitrate into α -ketoglutarate
b. succinyl-CoA into succinate
c. fumarate into malate
d. malate into oxaloacetate
10. How many NADH molecules are produced on each turn of the citric acid cycle?
a. one
b. two
c. three
d. four
11. What compound receives electrons from NADH?
a. FMN
b. ubiquinone
c. cytochrome c1
d. oxygen
12. Chemiosmosis involves the movement of what? Where does it occur?
a. electrons across the cell membrane
b. hydrogen atoms across a mitochondrial membrane
c. hydrogen ions across a mitochondrial membrane
d. glucose through the cell membrane
13. What is the function of an electron in the electron transport chain?
a. to dephosphorylate ATP, producing ADP
b. to power active transport pumps
c. to reduce heme in complex III
d. to oxidize oxygen
14. What would be the outcome if hydrogen ions were able to diffuse through the mitochondrial membrane into the
mitochondria without the need for integral membrane proteins?
338 Chapter 7 | Cellular Respiration
a. hexokinase
b. phosphofructokinase
c. glucose-6-phosphatase
d. aldolase
23. Which of the following does not occur as ATP concentration increases relative to ADP?
a. decreased activity of phosphofructokinase
b. increased activity of pyruvate kinase
c. decreased activity of isocitrate dehydrogenase
d. slowdown of the electron transport chain
d. NAD+, a reducing agent, can donate its electrons and protons to inorganic molecules.
26. In the following general reaction, explain how electrons are transferred and the role of each species. Remember that R
represents a hydrocarbon molecule and RH represents the same molecule with a particular hydrogen identified. RH +
NAD+ → NADH + R
a. RH acts as a reducing agent and donates its electrons to the oxidizing agent NAD+, forming NADH and R.
b. NAD+, the oxidizing agent, donates its electrons to the reducing agent RH, forming R and NADH.
c. RH acts as an oxidizing agent and donates electrons to the reducing agent NAD+, producing NADH and R.
d. NAD+, the reducing agent, accepts electrons from the oxidizing agent RH, producing NADH and R.
27. Nearly all organisms on Earth carry out some form of glycolysis. How does this fact support or not support the
assertion that glycolysis is one of the oldest metabolic pathways?
a. To be present in so many different organisms, glycolysis was probably present in a common ancestor rather than
evolving many separate times.
b. Glycolysis is present in nearly all organisms because it is an advanced and recently-evolved pathway that has
been widely used as it is so beneficial.
c. Glycolysis is absent in a few higher organisms. This contradicts the fact that it is one of the oldest metabolic
pathways.
d. Glycolysis is present in some organisms and absent in others, which may or may not support the assertion that it
is one of the oldest metabolic pathways.
340 Chapter 7 | Cellular Respiration
28. Red blood cells (RBCs) do not perform aerobic respiration, but they do perform glycolysis. Why do all cells need an
energy source and what would happen if glycolysis were blocked in a red blood cell?
a. Cells require energy to perform certain basic functions. Blocking glycolysis in RBCs causes imbalance in the
membrane potential, leading to cell death.
b. Cells need energy to perform cell division. Blocking glycolysis in RBCs interrupts the process of mitosis leading
to nondisjunction.
c. Cells maintain the influx and efflux of organic substances using energy. Blocking glycolysis stops the binding of
CO 2 to the RBCs, causing cell death.
d. Cells require energy to recognize attacking pathogens. Blocked glycolysis inhibits the process of recognition,
causing invasion of the RBCs by a pathogen.
29. What is the primary difference between a circular pathway and a linear pathway?
a. The reactant and the product are the same in a circular pathway, but different in a linear pathway.
b. The circular pathway components get exhausted, whereas those of the linear pathway do not and are continually
regenerated.
c. Circular pathways are not suited for amphibolic pathways, whereas linear pathways are.
d. Circular pathways contain a single chemical reaction that is repeated, while linear pathways have multiple
events.
30. Cellular respiration breaks down glucose and releases carbon dioxide and water. Which step in the oxidation of
pyruvate produces carbon dioxide?
a. Removal of a carboxyl group from pyruvate releases carbon dioxide. The pyruvate dehydrogenase complex
comes into play.
b. Removal of an acetyl group from pyruvate releases carbon dioxide. The pyruvate decarboxylase complex comes
into play.
c. Removal of a carbonyl group from pyruvate releases carbon dioxide. The pyruvate dehydrogenase complex
comes into play.
d. Removal of an acetyl group from pyruvate releases carbon dioxide. The pyruvate dehydrogenase complex comes
into play.
31. What three steps are included in the breakdown of pyruvate?
a. Pyruvate dehydrogenase removes a carboxyl group from pyruvate, producing carbon dioxide. Dihydrolipoyl
transacetylase oxidizes a hydroxyethyl group to an acetyl group, producing NADH. Lastly, an enzyme-bound
acetyl group is transferred to CoA, producing a molecule of acetyl-CoA.
b. Pyruvate dehydrogenase oxidizes a hydroxyethyl group to an acetyl group, producing NADH. It further removes
a carboxyl group from pyruvate, producing carbon dioxide. Lastly, dihydrolipoyl transacetylase transfers
enzymebound acetyl group to CoA, forming an acetyl-CoA molecule.
c. Pyruvate dehydrogenase transfers an enzyme-bound acetyl group to CoA, forming an acetyl CoA molecule. It
then oxidizes a hydroxyethyl group to an acetyl group, producing NADH. Dihydrolipoyl transacetylase removes
a carboxyl group from pyruvate, producing carbon dioxide.
d. Pyruvate dehydrogenase removes a carboxyl group from pyruvate, producing carbon dioxide. Dihydrolipoyl
dehydrogenase transfers enzyme-bound acetyl groups to CoA, forming an acetyl-CoA molecule. Lastly, a
hydroxyethyl group is oxidized to an acetyl group, producing NADH.
32. How do the roles of ubiquinone and cytochrome c differ from the other components of the electron transport chain?
Chapter 7 | Cellular Respiration 341
a. CoQ and cytochrome c are mobile electron carriers, while NADH dehydrogenase and succinate dehydrogenase
are bound to the inner mitochondrial membrane.
b. CoQ and cytochrome covalently bind electrons, while NADH dehydrogenase and succinate dehydrogenase are
bound to the inner mitochondrial membrane.
c. CoQ and cytochrome c are bound to the inner mitochondrial membrane, while NADH dehydrogenase and
succinate dehydrogenase are mobile electron carriers.
d. CoQ and cytochrome c covalently bind electrons, while NADH dehydrogenase and succinate dehydrogenase are
mobile electron carriers.
33. What accounts for the different number of ATP molecules that are formed through cellular respiration?
a. Transport of NADH from cytosol to mitochondria is an active process that decreases the number of ATP
produced.
b. The ATPs produced are utilized in the anaplerotic reactions that are used for the replenishment of the
intermediates.
c. Most of the ATPs produced are rapidly used for the phosphorylation of certain compounds found in plants.
d. A large number of ATP molecules are used in the detoxification of xenobiotic compounds produced during
cellular respiration.
34. Which of the following best describes complex IV in the electron transport chain?
a. Complex IV consists of an oxygen molecule held between the cytochrome and copper ions. The electrons
flowing finally reach the oxygen, producing water.
b. Complex IV contains a molecule of flavin mononucleotide and iron-sulfur clusters. The electrons from NADH
are transported here to coenzyme Q.
c. Complex IV contains cytochrome b, c, and Fe-S. Here, the proton motive Q cycle takes place.
d. Complex IV contains a membrane-bound enzyme that accepts electrons from FADH2 to make FAD. This
electron is then transferred to ubiquinone.
35. What is the primary difference between fermentation and anaerobic respiration?
a. Fermentation uses only glycolysis and its final electron acceptor is an organic molecule, whereas anaerobic
respiration uses glycolysis, TCA, and the ETC, but finally gives electrons to an inorganic molecule.
b. Fermentation uses glycolysis, TCA, and ETC, but finally gives electrons to an inorganic molecule, whereas
anaerobic respiration uses only glycolysis and its final electron acceptor is an organic molecule.
c. Fermentation uses glycolysis and its final electron acceptor is an inorganic molecule, whereas anaerobic
respiration uses glycolysis, TCA, and ETC, but finally gives electrons to an organic molecule.
d. Fermentation uses glycolysis, TCA, and ETC, but finally gives electrons to an organic molecule, whereas
anaerobic respiration uses only glycolysis and its final electron acceptor is an inorganic molecule.
36. What type of cellular respiration is represented in the following equation, and why?
CO 2 + H 2 + NADH → CH 4 + H 2 O + NAD+
38. Would you describe metabolic pathways as inherently wasteful or inherently economical, and why?
a. Metabolic pathways are economical due to feedback inhibition. Also, intermediates from one pathway can be
utilized by other pathways.
b. Metabolic pathways are wasteful as they perform uncoordinated catabolic and anabolic reactions that wastes
some of the energy that is stored.
c. Metabolic pathways are economical due to the presence of anaplerotic reactions that replenish the intermediates.
d. Metabolic pathways are wasteful as most of the energy produced is utilized in maintaining the reduced
environment of the cytosol.
39. What lipids are connected to glucose catabolism pathways and how are they connected?
a. Cholesterol and triglycerides can be converted to glycerol-3-phosphate that continues through glycolysis.
b. Glucagon and glycogen can be converted to 3-phosphoglyceraldehyde that is an intermediate of glycolysis.
c. Chylomicrons and fatty acids get converted to 1,3-bisphosphoglycerate that continues in glycolysis, forming
pyruvate.
d. Sphingolipids and triglycerides form glucagon that can be fed into glycolysis.
40. How does citrate from the citric acid cycle affect glycolysis?
a. Citrate and ATP are negative regulators of phosphofructokinase-1.
b. Citrate and ATP are negative regulators of hexokinase.
c. Citrate and ATP are positive regulators of phosphofructokinase-1.
d. Citrate and ATP are positive regulators of hexokinase.
41. Why might negative feedback mechanisms be more common than positive feedback mechanisms in living cells?
a. Negative feedback mechanisms maintain homeostasis, whereas positive feedback drives the system away from
equilibrium.
b. Positive feedback mechanisms maintain a balanced amount of substances, whereas negative feedback restricts
them.
c. Negative feedback turns the system off, making it deficient of certain substances. Positive feedback balances out
these deficits.
d. Positive feedback brings substance amounts back to equilibrium, while negative feedback produces excess
amounts of the substance.
Figure 7.21
The difference in trends in oxygen consumption among crickets and mice is due to what?
a. their difference in size
b. their mode of nutrition
c. their difference in metabolic heat production
d. their mode of ATP production
43. Where in a cell does glycolysis take place in both prokaryotes and eukaryotes?
a. the cytosol
b. the mitochondria
c. the plasma membrane
d. the nucleus
44. A new species of obligate anaerobe, a bacterium, has been found that lives in hot, acidic conditions. While other
pathways may also be present, which metabolic pathway is the most likely to be present in this species?
a. aerobic respiration
b. the citric acid cycle
c. oxidative phosphorylation
d. glycolysis
45. What evidence provides the strongest support that glycolysis is an older and more conserved pathway than the citric
acid cycle?
a. Glycolysis is the primitive pathway as it is found in all three domains. It also occurs in anaerobic conditions and
in the cytosol.
b. This pathway occurs in the cytosol, is found in all animals and plants, and does not require oxygen.
c. Glycolysis takes place in anaerobic conditions, can metabolize cholesterol and fatty acids, and occurs even in
methanogens.
d. This pathway only occurs in the mitochondria. It is highly flexible because it is found in almost all organisms.
46.
Figure 7.22
a. Cytochrome c would not pass electrons from complex III to complex IV.
b. Ubiquinone would not pass electrons from complex III to complex IV.
c. NADH would not be converted to NAD+ and the electron transport chain would stop.
d. No protons would be pumped across the membrane.
48. Where do the electrons moving along the membrane in the figure come from, and where do the electrons end up?
Figure 7.23
Chapter 7 | Cellular Respiration 345
a. The electrons are released by NADH and FADH2 and finally accepted by oxygen to form water.
b. The electrons are given off by water and finally accepted by NAD+ and FAD+ to produce the energy currencies
NADH and FADH2.
c. The electrons are emitted by ubiquinone that are, in turn, transferred from complex I to complex II. Water finally
accepts the electrons.
d. The electrons are given out by NADH and FADH2 and are, in turn, finally accepted by H2O.
49. Glucose catabolism pathways are sequential and lead to the production of energy. What is the correct order of the
pathways for the breakdown of a molecule of glucose as shown in the formula
C6H12O6 + O2 → CO2 + H2O + energy?
a. oxidative phosphorylation → citric acid cycle → oxidation of pyruvate → glycolysis
b. the oxidation of pyruvate → citric acid cycle → glycolysis → oxidative phosphorylation
c. glycolysis → oxidation of pyruvate → citric acid cycle → oxidative phosphorylation
d. citric acid cycle → glycolysis → oxidative phosphorylation → oxidation of pyruvate
50. Which of the following statements most directly supports the claim that different species of organisms use different
metabolic strategies to meet their energy requirements for growth, reproduction, and homeostasis?
a. During cold periods, pond-dwelling animals can increase the number of unsaturated fatty acids in their cell
membranes while some plants make antifreeze proteins to prevent ice crystal formation in their tissues.
b. Bacteria lack introns while many eukaryotic genes contain many of these intervening sequences.
c. Carnivores have more teeth that are specialized for ripping food while herbivores have more teeth specialized for
grinding food.
d. Plants generally use starch molecules for storage while animals use glycogen and fats for storage.
51. Which of the following best describes how the citric acid cycle relates to glycolysis, oxidative phosphorylation, and
chemiosmosis?
a. Glycolysis produces pyruvate, which is converted to acetyl-CoA and enters the citric acid cycle. This cycle
produces NADH and FADH 2 , which donate electrons to the electron transport chain to pump protons and
produce ATP through chemiosmosis. Production of ATP using an electron transport chain and chemiosmosis
is called oxidative phosphorylation.
b. The citric acid produces pyruvate, which converts to glucose to enter glycolysis. This pathway produces
NADH and FADH 2 , which enter oxidative phosphorylation to produce ATP through chemiosmosis.
c. Citric acid produces NADH and FADH 2 , which undergo oxidative phosphorylation. This produces ATP by
pumping protons through chemiosmosis. The ATP produced is utilized in large amount in the process of
glycolysis.
d. Glycolysis produces pyruvate, which directly enters the citric acid cycle. This cycle produces the energy
currency that undergoes the electron transport chain to produce water and ATP.
Figure 7.24
A. Predict the effect of DNP on the electrochemical gradient across the inner mitochondrial membrane.
B. Explain how DNP can be used to reduce weight.
C. The effects of DNP can be reversed by administering glucose. However, treatment with a combination of glucose and
2-deoxyglucose, which is an inhibitor of glycolysis, does not reverse the effects of DNP. Explain, in terms of the products
of glycolysis, why this reversal of the effects of DNP was unexpected. (Hint: It might be useful to review the reactants and
products of glycolysis.)
D. Obesity correlates with an epidemic of other health issues, such as elevated blood pressure, heart disease, and diabetes
II. A slow-release form of DNP (CRMP) is patented. With slow-release technology, a drug can be delivered in small doses
over time from a pill whose matrix limits solubility. A simple but nonscientific question that can be raised is: Will a slow-
release drug retard progress toward behavioral changes that can reduce the magnitude of this epidemic? Scientific
questions can be pursued by testing the outcomes predicted by possible answers. Refine this question for discussion in
small groups. Be prepared to justify the merits of your question.
55. As shown in Figure 7.11, cyanide inhibits the electron transport chain by competing with O2 molecules for the
cytochrome c oxidase heme group. Carbon monoxide (CO) has a similar effect. Both cyanide and carbon monoxide cause
Chapter 7 | Cellular Respiration 347
8 | PHOTOSYNTHESIS
Figure 8.1 This world map shows Earth’s distribution of photosynthesis as seen via chlorophyll a concentrations. On
land, this is evident via terrestrial plants, and in oceanic zones, via phytoplankton. (credit: modification of work by
SeaWiFS Project, NASA/Goddard Space Flight Center and ORBIMAGE)
Chapter Outline
8.1: Overview of Photosynthesis
8.2: The Light-dependent Reaction of Photosynthesis
8.3: Using Light Energy to Make Organic Molecules
Introduction
All biological processes require energy. To get this energy, many organisms access stored energy by eating, or by ingesting
other organisms. But where does the stored energy in food originate? Almost all of this stored energy can be traced back to
photosynthesis.
Photosynthetic organisms are the basis for almost all of the food webs on the planet. For example, the Indian River Lagoon,
a 156-mile mixture of fresh and salt water along the eastern coast of Florida, depends on its sea grass for the survival of
its marine life. Unfortunately, when certain algal phytoplankton species grow in overabundance, it destroys the sea grass.
Scientists conducted a 16-year study of algal blooms and found that extreme climate conditions, such as cold weather and
low rainfall, change which particular species of phytoplankton is more likely to bloom, resulting in a die-off of sea grass,
decrease in other marine life, and changes in salinity. The research study can be found here (http://openstaxcollege.org/l/
32algae) .
350 Chapter 8 | Photosynthesis
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Structural and functional evidence supports the relatedness of all domains, with
Knowledge organisms sharing many conserved core processes.
Science
6.1 The student can justify claims with evidence.
Practice
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains s or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Chapter 8 | Photosynthesis 351
Essential 2.A.2 Organisms use various strategies to capture and store free energy for use in biological
Knowledge processes.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Essential 2.A.2 Organisms use various strategies to capture and store free energy for use in biological
Knowledge processes.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 10 Plant Pigments
• 11 The Light Reaction of Photosynthesis
• 12 Photosynthesis: the Dark Reaction
Importance of Photosynthesis
Photosynthesis is essential to all life on Earth; both plants and animals depend on it. It is the only biological process that
can capture energy that originates in outer space (sunlight) and convert it into chemical compounds (carbohydrates) that
every organism uses to power its metabolism. In brief, the energy of sunlight is captured and used to energize electrons,
which are then stored in the covalent bonds of sugar molecules. How long lasting and stable are those covalent bonds? The
energy extracted today by the burning of coal and petroleum products represents sunlight energy captured and stored by
photosynthesis almost 200 million years ago.
Plants, algae, and a group of bacteria called Cyanobacteria are the only organisms capable of performing photosynthesis
(Figure 8.2). Because they use light to manufacture their own food, they are called photoautotrophs (literally, self-feeders
using light). Other organisms, such as animals, fungi, and most other bacteria, are termed heterotrophs (other feeders),
because they must rely on the sugars produced by photosynthetic organisms for their energy needs. A third very interesting
group of bacteria synthesize sugars, not by using sunlight’s energy, but by extracting energy from inorganic chemical
compounds; hence, they are referred to as chemoautotrophs.
352 Chapter 8 | Photosynthesis
Figure 8.2 Photoautotrophs including (a) plants, (b) algae, and (c) cyanobacteria synthesize their organic compounds
via photosynthesis using sunlight as an energy source. Cyanobacteria and planktonic algae can grow over enormous
areas in water, at times completely covering the surface. In a (d) deep sea vent, chemoautotrophs, such as these
(e) thermophilic bacteria, capture energy from inorganic compounds to produce organic compounds. The ecosystem
surrounding the vents has a diverse array of animals, such as tubeworms, crustaceans, and octopi that derive
energy from the bacteria. (credit a: modification of work by Steve Hillebrand, U.S. Fish and Wildlife Service; credit b:
modification of work by "eutrophication&hypoxia"/Flickr; credit c: modification of work by NASA; credit d: University of
Washington, NOAA; credit e: modification of work by Mark Amend, West Coast and Polar Regions Undersea Research
Center, UAF, NOAA)
The importance of photosynthesis is not just that it can capture sunlight’s energy. A lizard sunning itself on a cold day can
use the Sun’s energy to warm up. Photosynthesis is vital because it evolved as a way to store the energy in solar radiation
(the photo- part) as high-energy electrons in the carbon-carbon bonds of carbohydrate molecules (the -synthesis part).
Those carbohydrates are the energy source that heterotrophs use to power the synthesis of ATP via respiration. Therefore,
photosynthesis powers 99 percent of Earth’s ecosystems. When a top predator, such as a wolf, preys on a deer (Figure 8.3),
the wolf is at the end of an energy path that went from nuclear reactions on the surface of the Sun, to light, to photosynthesis,
to vegetation, to deer, and finally to wolf.
Figure 8.3 The energy stored in carbohydrate molecules from photosynthesis passes through the food chain. The
predator that eats these deer receives a portion of the energy that originated in the photosynthetic vegetation that the
deer consumed. (credit: modification of work by Steve VanRiper, U.S. Fish and Wildlife Service)
Chapter 8 | Photosynthesis 353
Think About It
• Why do scientists think that photosynthesis evolved before aerobic cellular respiration?
• Why do carnivores, such as lions, depend on photosynthesis to survive? What evidence supports the claim that
photosynthesis and cellular respiration are interdependent processes?
Figure 8.4 Photosynthesis uses solar energy, carbon dioxide, and water to produce energy-storing carbohydrates.
Oxygen is generated as a waste product of photosynthesis.
Figure 8.5 The basic equation for photosynthesis is deceptively simple. In reality, the process takes place in many
steps involving intermediate reactants and products. Glucose, the primary energy source in cells, is made from two
three-carbon GA3Ps.
Although the equation looks simple, the many steps that take place during photosynthesis are actually quite complex. Before
354 Chapter 8 | Photosynthesis
learning the details of how photoautotrophs turn sunlight into food, it is important to become familiar with the structures
involved.
In plants, photosynthesis generally takes place in leaves, which consist of several layers of cells. The process of
photosynthesis occurs in a middle layer called the mesophyll. The gas exchange of carbon dioxide and oxygen occurs
through small, regulated openings called stomata (singular: stoma), which also play roles in the regulation of gas exchange
and water balance. The stomata are typically located on the underside of the leaf, which helps to minimize water loss. Each
stoma is flanked by guard cells that regulate the opening and closing of the stomata by swelling or shrinking in response to
osmotic changes.
In all autotrophic eukaryotes, photosynthesis takes place inside an organelle called a chloroplast. For plants, chloroplast-
containing cells exist in the mesophyll. Chloroplasts have a double membrane envelope, composed of an outer membrane
and an inner membrane. Within the chloroplast are stacked, disc-shaped structures called thylakoids. Embedded in the
thylakoid membrane is chlorophyll, a pigment (molecule that absorbs light) responsible for the initial interaction between
light and plant material, and numerous proteins that make up the electron transport chain. The thylakoid membrane encloses
an internal space called the thylakoid lumen. As shown in Figure 8.6, a stack of thylakoids is called a granum, and the
liquid-filled space surrounding the granum is called stroma or bed, not to be confused with stoma or mouth, which is an
opening on the leaf epidermis.
Figure 8.6 Photosynthesis takes place in chloroplasts, which have an outer membrane and an inner membrane.
Stacks of thylakoids called grana form a third membrane layer.
On a hot, dry day, plants close their stomata to conserve water. What impact will this have on photosynthesis?
a. Rate of photosynthesis will be inhibited as the level of carbon dioxide decreases.
b. Rate of photosynthesis will be inhibited as the level of oxygen decreases.
c. The rate of photosynthesis will increase as the level of carbon dioxide increases.
d. Rate of photosynthesis will increase as the level of oxygen increases.
the empty energy carriers return to the light-dependent reaction to obtain more energy. Figure 8.7 illustrates the components
inside the chloroplast where the light-dependent and light-independent reactions take place.
Figure 8.7 Photosynthesis takes place in two stages: light dependent reactions and the Calvin cycle. Light-dependent
reactions, which take place in the thylakoid membrane, use light energy to make ATP and NADPH. The Calvin cycle,
which takes place in the stroma, uses energy derived from these compounds to make GA3P from CO 2.
Explain how the light reactions and light independent reactions (Calvin cycle) of photosynthesis are interdependent on
each other.
a. The light reactions produces\ ATP and NADPH, which are then used in the Calvin cycle.
b. The light reactions produce NADP+ and ADP, which are then used in the Calvin cycle.
c. The light reactions use NADPH and ATP, which are produced by the Calvin cycle.
d. The light reactions produce only NADPH, which is produced by the Calvin cycle.
356 Chapter 8 | Photosynthesis
Figure 8.8 Foods that humans consume originate from photosynthesis. (credit: Associação Brasileira de
Supermercados)
Major grocery stores in the United States are organized into departments, such as dairy, meats, produce,
bread, cereals, and so forth. Each aisle (Figure 8.8) contains hundreds, if not thousands, of different
products for customers to buy and consume.
Although there is a large variety, each item links back to photosynthesis. Meats and dairy link, because the
animals were fed plant-based foods. The breads, cereals, and pastas come largely from starchy grains,
which are the seeds of photosynthesis-dependent plants. What about desserts and drinks? All of these
products contain sugar—sucrose is a plant product, a disaccharide, a carbohydrate molecule, which is built
directly from photosynthesis. Moreover, many items are less obviously derived from plants; for instance,
paper goods are generally plant products, and many plastics (abundant as products and packaging) are
derived from algae. Virtually every spice and flavoring in the spice aisle was produced by a plant as a leaf,
root, bark, flower, fruit, or stem. Ultimately, photosynthesis connects to every meal and every food a person
consumes.
Where would photosynthetic organisms likely be placed on a food web within most ecosystems?
a. at the base
b. near the top
c. in the middle, but generally closer to the top
d. in the middle, but generally closer to the base
Section Summary
The process of photosynthesis transformed life on Earth. By harnessing energy from the Sun, photosynthesis evolved
to allow living things access to enormous amounts of energy. Because of photosynthesis, living things gained access to
sufficient energy that allowed them to build new structures and achieve the biodiversity evident today.
Only certain organisms, called photoautotrophs, can perform photosynthesis; they require the presence of chlorophyll,
a specialized pigment that absorbs certain portions of the visible spectrum and can capture energy from sunlight.
Photosynthesis uses carbon dioxide and water to assemble carbohydrate molecules and release oxygen as a waste product
into the atmosphere. Eukaryotic autotrophs, such as plants and algae, have organelles called chloroplasts in which
photosynthesis takes place, and starch accumulates. In prokaryotes, such as Cyanobacteria, the process is less localized and
occurs within folded membranes, extensions of the plasma membrane, and in the cytoplasm.
Chapter 8 | Photosynthesis 357
The light-dependent reactions occur in the thylakoid membranes of chloroplasts, whereas the Calvin cycle occurs in the
stroma of chloroplasts. Embedded in the thylakoid membranes are two photosystems (PSI and PSII), which are complexes
of pigments that capture solar energy. Chlorophylls a and b absorb violet, blue, and red wavelengths from the visible
light spectrum and reflect green. The carotenoid pigments absorb violet-blue-green light and reflect yellow-to-orange
light. Environmental factors such as day length and temperature influence which pigments predominant at certain times
of the year. Although the two photosystems run simultaneously, it is easier to explore them separately. Let’s begin with
photosystem II.
A photon of light strikes the antenna pigments of PSII to initiate photosynthesis. In the noncyclic pathway, PSII captures
photons at a slightly higher energy level than PSI. (Remember that shorter wavelengths of light carry more energy.) The
absorbed energy travels to the reaction center of the antenna pigment that contains chlorophyll a and boosts chlorophyll
a electrons to a higher energy level. The electrons are accepted by a primary electron acceptor protein and then pass to
the electron transport chain also embedded in the thylakoid membrane. The energy absorbed in PSII is enough to oxidize
(split) water, releasing oxygen into the atmosphere; the electrons released from the oxidation of water replace the electrons
that were boosted from the reaction center chlorophyll. As the electrons from the reaction center chlorophyll pass through
the series of electron carrier proteins, hydrogen ions (H+) are pumped across the membrane via chemiosmosis into the
interior of the thylakoid. If this sounds familiar, it should. We studied chemiosmosis in our exploration of cellular respiration
in Cellular Respiration. This action builds up a high concentration of H+ ions, and as they flow through ATP synthase,
molecules of ATP are formed. These molecules of ATP will be used to provide free energy for the synthesis of carbohydrate
in the Calvin cycle, the second stage of photosynthesis. The electron transport chain connects PSII and PSI. Similar to the
events occurring in PSII, this second photosystem absorbs a second photon of light, resulting in the formation of a molecule
of NADPH from NADP+. The energy carried in NADPH also is used to power the chemical reactions of the Calvin cycle.
Information presented and the examples highlighted in the section support concepts and learning objectives outlined
in Big Idea 2 of the AP® Biology Curriculum Framework, as shown in the table. The learning objectives listed in
the Curriculum Framework provide a transparent foundation for the AP® Biology course, an inquiry-based laboratory
experience, instructional activities, and AP® exam questions. A learning objective merges required content with one or
more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.2 The light-independent reactions of photosynthesis in eukaryotes involve a series of
Knowledge reactions that capture free energy present in light.
358 Chapter 8 | Photosynthesis
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Essential 2.A.2 The light-independent reactions of photosynthesis in eukaryotes involve a series of
Knowledge reactions that capture free energy present in light.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential
4.A.2 Chloroplasts are specialized organelles that capture energy through photosynthesis.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning
4.4 The student is able to make a prediction about the interactions of subcellular organelles.
Objective
Essential
4.A.2 Chloroplasts are specialized organelles that capture energy through photosynthesis.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 4.5 The student is able to construct explanations based on scientific evidence as to how
Objective interactions of subcellular structures provide essential functions.
Essential
4.A.2 Chloroplasts are specialized organelles that capture energy through photosynthesis.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.6 The student is able to use representations and models to analyze situations qualitatively
Learning
to describe how interactions of subcellular structures, which possess specialized functions,
Objective
provide essential functions.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.16]
• [APLO 2.18]
• [APLO 1.9]
• [APLO 1.32]
• [APLO 4.14]
• [APLO 2.2]
Chapter 8 | Photosynthesis 359
• [APLO 2.3]
• [APLO 2.23]
• [APLO 1.15]
• [APLO 1.29]
How can light be used to make food? When a person turns on a lamp, electrical energy becomes light energy. Like all
other forms of kinetic energy, light can travel, change form, and be harnessed to do work. In the case of photosynthesis,
light energy is converted into chemical energy, which photoautotrophs use to build carbohydrate molecules (Figure 8.9).
However, autotrophs only use a few specific components of sunlight.
Figure 8.9 Photoautotrophs can capture light energy from the sun, converting it into the chemical energy used to build
food molecules. (credit: Gerry Atwell)
Figure 8.10 The wavelength of a single wave is the distance between two consecutive points of similar position (two
crests or two troughs) along the wave.
Visible light constitutes only one of many types of electromagnetic radiation emitted from the sun and other stars. Scientists
differentiate the various types of radiant energy from the sun within the electromagnetic spectrum. The electromagnetic
spectrum is the range of all possible frequencies of radiation (Figure 8.11). The difference between wavelengths relates to
the amount of energy carried by them.
Figure 8.11 The sun emits energy in the form of electromagnetic radiation. This radiation exists at different
wavelengths, each of which has its own characteristic energy. All electromagnetic radiation, including visible light, is
characterized by its wavelength.
Each type of electromagnetic radiation travels at a particular wavelength. The longer the wavelength, or the more stretched
out it appears in the diagram, the less energy is carried. Short, tight waves carry the most energy. This may seem illogical,
but think of it in terms of moving a heavy rope. It takes little effort by a person to move a rope in long, wide waves. To
make a rope move in short, tight waves, a person would need to apply significantly more energy.
The electromagnetic spectrum (Figure 8.11) shows several types of electromagnetic radiation originating from the sun,
including X-rays and ultraviolet (UV) rays. The higher-energy waves can penetrate tissues and damage cells and DNA,
explaining why both X-rays and UV rays can be harmful to living organisms.
Absorption of Light
Light energy initiates the process of photosynthesis when pigments absorb the light. Organic pigments, whether in the
human retina or the chloroplast thylakoid, have a narrow range of energy levels that they can absorb. Energy levels lower
than those represented by red light are insufficient to raise an orbital electron to a populatable, excited (quantum) state.
Energy levels higher than those in blue light will physically tear the molecules apart, called bleaching. So retinal pigments
Chapter 8 | Photosynthesis 361
can only see (absorb) 700-400 nm light, which is therefore called visible light. For the same reasons, plants pigment
molecules absorb only light in the wavelength range of 700-400 nm; plant physiologists refer to this range for plants as
photosynthetically active radiation.
The visible light seen by humans as white light actually exists in a rainbow of colors. Certain objects, such as a prism or
a drop of water, disperse white light to reveal the colors to the human eye. The visible light portion of the electromagnetic
spectrum shows the rainbow of colors, with violet and blue having shorter wavelengths, and therefore higher energy. At the
other end of the spectrum toward red, the wavelengths are longer and have lower energy (Figure 8.12).
Figure 8.12 The colors of visible light do not carry the same amount of energy. Violet has the shortest wavelength and
therefore carries the most energy, whereas red has the longest wavelength and carries the least amount of energy.
(credit: modification of work by NASA)
Understanding Pigments
Different kinds of pigments exist, and each has evolved to absorb only certain wavelengths (colors) of visible light.
Pigments reflect or transmit the wavelengths they cannot absorb, making them appear in the corresponding color.
Chlorophylls and carotenoids are the two major classes of photosynthetic pigments found in plants and algae; each class
has multiple types of pigment molecules. There are five major chlorophylls: a, b, c and d and a related molecule found in
prokaryotes called bacteriochlorophyll. Chlorophyll a and chlorophyll b are found in higher plant chloroplasts and will be
the focus of the following discussion.
With dozens of different forms, carotenoids are a much larger group of pigments. The carotenoids found in fruit—such as
the red of tomato (lycopene), the yellow of corn seeds (zeaxanthin), or the orange of an orange peel (β-carotene)—are used
as advertisements to attract seed dispersers. In photosynthesis, carotenoids function as photosynthetic pigments that are
very efficient molecules for the disposal of excess energy. When a leaf is exposed to full sun, the light-dependent reactions
are required to process an enormous amount of energy; if that energy is not handled properly, it can do significant damage.
Therefore, many carotenoids reside in the thylakoid membrane, absorb excess energy, and safely dissipate that energy as
heat.
Each type of pigment can be identified by the specific pattern of wavelengths it absorbs from visible light, which is the
absorption spectrum. The graph in Figure 8.13 shows the absorption spectra for chlorophyll a, chlorophyll b, and a type
of carotenoid pigment called β-carotene (which absorbs blue and green light). Notice how each pigment has a distinct set
of peaks and troughs, revealing a highly specific pattern of absorption. Chlorophyll a absorbs wavelengths from either end
of the visible spectrum (blue and red), but not green. Because green is reflected or transmitted, chlorophyll appears green.
Carotenoids absorb in the short-wavelength blue region, and reflect the longer yellow, red, and orange wavelengths.
362 Chapter 8 | Photosynthesis
Figure 8.13 (a) Chlorophyll a, (b) chlorophyll b, and (c) β-carotene are hydrophobic organic pigments found in
the thylakoid membrane. Chlorophyll a and b, which are identical except for the part indicated in the red box, are
responsible for the green color of leaves. β-carotene is responsible for the orange color in carrots. Each pigment has
(d) a unique absorbance spectrum.
Many photosynthetic organisms have a mixture of pigments; when using them, the organism can absorb energy from a wider
range of wavelengths. Not all photosynthetic organisms have full access to sunlight. Some organisms grow underwater
where light intensity and quality decrease and change with depth. Other organisms grow in competition for light. Plants on
the rainforest floor must be able to absorb any bit of light that comes through, because the taller trees absorb most of the
sunlight and scatter the remaining solar radiation (Figure 8.14).
Figure 8.14 Plants that commonly grow in the shade have adapted to low levels of light by changing the relative
concentrations of their chlorophyll pigments. (credit: Jason Hollinger)
When studying a photosynthetic organism, scientists can determine the types of pigments present by generating absorption
spectra. An instrument called a spectrophotometer can differentiate which wavelengths of light a substance can absorb.
Spectrophotometers measure transmitted light and compute from it the absorption. By extracting pigments from leaves
and placing these samples into a spectrophotometer, scientists can identify which wavelengths of light an organism can
absorb. Additional methods for the identification of plant pigments include various types of chromatography that separate
the pigments by their relative affinities to solid and mobile phases.
Chapter 8 | Photosynthesis 363
Figure 8.15 A photosystem consists of a light-harvesting complex and a reaction center. Pigments in the light-
harvesting complex pass light energy to two special chlorophyll a molecules in the reaction center. The light excites
an electron from the chlorophyll a pair, which passes to the primary electron acceptor. The excited electron must then
be replaced. In (a) photosystem II, the electron comes from the splitting of water, which releases oxygen as a waste
product. In (b) photosystem I, the electron comes from the chloroplast electron transport chain discussed below.
The actual step that converts light energy into chemical energy takes place in a multiprotein complex called a photosystem.
There are two types of photosystems found in the thylakoid membrane: photosystem II (PSII) and photosystem I (PSI)
(Figure 8.16). The two complexes differ on the basis of what they oxidize; that is, the source of the low-energy electron
supply and what they reduce (the place to which they deliver their energized electrons).
Both photosystems have the same basic structure; a number of antenna proteins to which the chlorophyll molecules are
bound surround the reaction center where the photochemistry takes place. Each photosystem is serviced by the light-
harvesting complex, which passes energy from sunlight to the reaction center; it consists of multiple antenna proteins that
contain a mixture of 300–400 chlorophyll a and b molecules as well as other pigments like carotenoids. The absorption of a
single photon or distinct quantity or packet of light by any of the chlorophylls pushes that molecule into an excited state. In
short, the light energy has now been captured by biological molecules but is not stored in any useful form yet. The energy is
transferred from chlorophyll to chlorophyll until eventually, after about a millionth of a second, it is delivered to the reaction
center. Up to this point, only energy has been transferred between molecules, not electrons.
364 Chapter 8 | Photosynthesis
Figure 8.16 In the photosystem II (PSII) reaction center, energy from sunlight is used to extract electrons from
water. The electrons travel through the chloroplast electron transport chain to photosystem I (PSI), which reduces
NADP+ to NADPH. The electron transport chain moves protons across the thylakoid membrane into the lumen. At
the same time, splitting of water adds protons to the lumen, and reduction of NADPH removes protons from the
stroma. The net result is a low pH in the thylakoid lumen, and a high pH in the stroma. ATP synthase uses this
electrochemical gradient to make ATP.
What is the external source of the electrons that ultimately pass through photosynthetic electron transport chains?
a. carbon dioxide
b. NADPH
c. oxygen
d. water
The reaction center contains a pair of chlorophyll a molecules with a special property. Those two chlorophylls can undergo
oxidation upon excitation; they can actually give up an electron in a process called a photoact. It is at this step in the reaction
center, this step in photosynthesis, that light energy is converted into an excited electron. All of the subsequent steps involve
getting that electron onto the energy carrier NADPH for delivery to the Calvin cycle where the electron is deposited onto
carbon for long-term storage in the form of a carbohydrate. PSII and PSI are two major components of the photosynthetic
electron transport chain, which also includes the cytochrome complex. The cytochrome complex, an enzyme composed
of two protein complexes, transfers the electrons from the carrier molecule plastoquinone (Pq) to the protein plastocyanin
(Pc), thus enabling both the transfer of protons across the thylakoid membrane and the transfer of electrons from PSII to
PSI.
The reaction center of PSII, called P680, delivers its high-energy electrons, one at the time, to the primary electron
acceptor, and through the electron transport chain (Pq to cytochrome complex to plastocyanine) to PSI. P680’s missing
electron is replaced by extracting a low-energy electron from water; thus, water is split and PSII is re-reduced after every
photoact. Splitting one H2O molecule releases two electrons, two hydrogen atoms, and one atom of oxygen. Splitting two
molecules is required to form one molecule of diatomic O2 gas. About 10 percent of the oxygen is used by mitochondria
in the leaf to support oxidative phosphorylation. The remainder escapes to the atmosphere where it is used by aerobic
Chapter 8 | Photosynthesis 365
Visit this site (http://openstaxcollege.org/l/light_reactions) and click through the animation to view the process of
photosynthesis within a leaf.
Figure 8.17 The anatomy of a leaf. The cuticle and epidermis are the outer layers of the leaf and protect it from
drying out. Chloroplasts are found in the mesophyll cells and are where photosynthesis occurs. Gas is exchanged
through pores called stomata, which are opened and closed by the guard cells. Legend: 1) cuticle 2) upper
epidermis 3) palisade mesophyll 4) spongy mesophyll 5) lower epidermis 6) stoma 7) guard cells 8) xylem 9)
phloem 10) vascular bundle.
If the stomata were sealed, what would happen to oxygen (O 2) and carbon dioxide (CO 2) levels in a
photosynthesizing leaf?
a. O 2 levels would increase and CO 2 levels would decrease.
Think About It
On a hot, dry day, plants close their stomata to conserve water. Predict the impact of this on photosynthesis
and justify your prediction.
Section Summary
The pigments of the first part of photosynthesis, the light-dependent reactions, absorb energy from sunlight. A photon
strikes the antenna pigments of photosystem II to initiate photosynthesis. The energy travels to the reaction center that
contains chlorophyll a to the electron transport chain, which pumps hydrogen ions into the thylakoid interior. This action
builds up a high concentration of ions. The ions flow through ATP synthase via chemiosmosis to form molecules of ATP,
which are used for the formation of sugar molecules in the second stage of photosynthesis. Photosystem I absorbs a second
photon, which results in the formation of an NADPH molecule, another energy and reducing power carrier for the light-
independent reactions.
in Big Idea 2 of the AP® Biology Curriculum Framework, as shown in the table. The learning objectives listed in
the Curriculum Framework provide a transparent foundation for the AP® Biology course, an inquiry-based laboratory
experience, instructional activities, and AP® exam questions. A learning objective merges required content with one or
more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.2 Light energy captured in photosynthesis is stored in carbohydrates produced during
Knowledge the Calvin cycle.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.11]
• [APLO 4.17]
Figure 8.18 Light reactions harness energy from the sun to produce chemical bonds, ATP, and NADPH. These energy-
carrying molecules are made in the stroma where carbon fixation takes place.
The light-independent reactions of the Calvin cycle can be organized into three basic stages: fixation, reduction, and
regeneration.
Stage 1: Fixation
In the stroma, in addition to CO2, two other components are present to initiate the light-independent reactions—an enzyme
called ribulose-1,5-bisphosphate carboxylase/oxygenase (RuBisCO), and three molecules of ribulose bisphosphate (RuBP),
as shown in Figure 8.19. RuBP has five atoms of carbon, flanked by two phosphates.
370 Chapter 8 | Photosynthesis
Figure 8.19 The Calvin cycle has three stages. In stage 1, the enzyme RuBisCO incorporates carbon dioxide into
an organic molecule, 3-PGA. In stage 2, the organic molecule is reduced using electrons supplied by NADPH. In
stage 3, RuBP, the molecule that starts the cycle, is regenerated so that the cycle can continue. Only one carbon
dioxide molecule is incorporated at a time, so the cycle must be completed three times to produce a single three-
carbon GA3P molecule, and six times to produce a six-carbon glucose molecule.
RuBisCO catalyzes a reaction between CO2 and RuBP. For each CO2 molecule that reacts with one RuBP, two molecules
of another compound (3-PGA) form. PGA has three carbons and one phosphate. Each turn of the cycle involves only one
RuBP and one carbon dioxide and forms two molecules of 3-PGA. The number of carbon atoms remains the same, as the
atoms move to form new bonds during the reactions (3 atoms from 3CO2 + 15 atoms from 3RuBP = 18 atoms in 3 atoms of
3-PGA). This process is called carbon fixation, because CO2 is fixed from an inorganic form into organic molecules.
Stage 2: Reduction
ATP and NADPH are used to convert the six molecules of 3-PGA into six molecules of a chemical called glyceraldehyde
3-phosphate (G3P). That is a reduction reaction because it involves the gain of electrons by 3-PGA. Recall that a reduction
is the gain of an electron by an atom or molecule. Six molecules of both ATP and NADPH are used. For ATP, energy is
released with the loss of the terminal phosphate atom, converting it into ADP; for NADPH, both energy and a hydrogen
atom are lost, converting it into NADP+. Both of these molecules return to the nearby light-dependent reactions to be reused
and reenergized.
Stage 3: Regeneration
Interestingly, at this point, only one of the G3P molecules leaves the Calvin cycle and is sent to the cytoplasm to contribute
to the formation of other compounds needed by the plant. Because the G3P exported from the chloroplast has three carbon
atoms, it takes three turns of the Calvin cycle to fix enough net carbon to export one G3P. But each turn makes two G3Ps,
Chapter 8 | Photosynthesis 371
thus three turns make six G3Ps. One is exported while the remaining five G3P molecules remain in the cycle and are used
to regenerate RuBP, which enables the system to prepare for more CO2 to be fixed. Three more molecules of ATP are used
in these regeneration reactions.
This link (http://openstaxcollege.org/l/calvin_cycle) leads to an animation of the Calvin cycle. Click stage 1, stage 2,
and then stage 3 to see G3P and ATP regenerate to form RuBP.
Explain why the process of producing glucose in plants is a cycle.
a. Three RuBP molecules get converted to three G3P, and two G3P molecules with the help of three ATPs are
converted back to three molecules of RuBP.
b. Three RuBP molecules get converted to six G3P, and five G3P molecules with the help of three ATPs are
converted back to three molecules of RuBP.
c. Three RuBP molecules get converted to five G3P, and three G3P molecules with the help of three ATPs are
converted back to three molecules of RuBP.
d. Three RuBP molecules get converted to six G3P, and five G3P molecules with the help of five ATPs are
converted back to three molecules of RuBP.
372 Chapter 8 | Photosynthesis
Figure 8.20 The harsh conditions of the desert have led plants like these cacti to evolve variations of the light-
independent reactions of photosynthesis. These variations increase the efficiency of water usage, helping to
conserve water and energy. (credit: Piotr Wojtkowski)
Which of the following events is associated with the development of oxygenic photosynthesis?
a. Photosynthetic organisms began to use NADPH and ATP as an energy source.
b. Photosynthetic organisms evolved from single-celled bacteria into multicellular plants.
c. Photosynthetic organisms began to use two photosystems instead of one.
d. Photosynthetic organisms began to use light reactions as well as dark reactions.
Figure 8.21 Photosynthesis consumes carbon dioxide and produces oxygen. Aerobic respiration consumes oxygen
and produces carbon dioxide. These two processes play an important role in the carbon cycle. (credit: modification of
work by Stuart Bassil)
Photosynthesis and aerobic respiration are interrelated in important ways. During photosynthesis, plants
take in carbon dioxide and water. The water molecule is split, the oxygen is released into the atmosphere,
and the carbon dioxide is used to build carbohydrates. During aerobic respiration, organisms take in water
and oxygen for respiration and produce carbon dioxide.
Earth did not contain oxygen in its atmosphere throughout much of its history, even after life on Earth had already
began. It did, however, contain carbon dioxide. What does this suggest about when photosynthetic organisms evolved,
relative to non-photosynthetic organisms, and why?
a. Photosynthetic organisms evolved before non-photosynthetic organisms because no oxygen was present in
the atmosphere when life began.
b. Photosynthetic organisms evolved after non-photosynthetic organisms because no oxygen was present in the
atmosphere when life began.
c. Non-photosynthetic organisms evolved before photosynthetic organisms because no oxygen was present in
the atmosphere when life began.
d. Photosynthetic organisms evolved before non-photosynthetic organisms because no oxygen was present in
the atmosphere when life began.
374 Chapter 8 | Photosynthesis
Activity
Create a model or diagram to show the links between photosynthesis and cellular respiration.
Think About It
What cellular features and processes are similar in both respiration and photosynthesis?
Section Summary
Using the energy carriers formed in the first steps of photosynthesis, the light-independent reactions, or the Calvin cycle,
take in CO2 from the environment. An enzyme, RuBisCO, catalyzes a reaction with CO2 and another molecule, RuBP. After
three cycles, a three-carbon molecule of G3P leaves the cycle to become part of a carbohydrate molecule. The remaining
G3P molecules stay in the cycle to be regenerated into RuBP, which is then ready to react with more CO2. Photosynthesis
forms an energy cycle with the process of cellular respiration. Plants need both photosynthesis and respiration for their
ability to function in both the light and dark, and to be able to interconvert essential metabolites. Therefore, plants contain
both chloroplasts and mitochondria.
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KEY TERMS
absorption spectrum range of wavelengths of electromagnetic radiation absorbed by a given substance
antenna protein pigment molecule that directly absorbs light and transfers the energy absorbed to other pigment
molecules
Calvin cycle light-independent reactions of photosynthesis that convert carbon dioxide from the atmosphere into
carbohydrates using the energy and reducing power of ATP and NADPH
carbon fixation process of converting inorganic CO2 gas into organic compounds
chemoautotroph organism that can build organic molecules using energy derived from inorganic chemicals instead of
sunlight
chlorophyll a form of chlorophyll that absorbs violet-blue and red light and consequently has a bluish-green color; the
only pigment molecule that performs the photochemistry by getting excited and losing an electron to the electron
transport chain
chlorophyll b accessory pigment that absorbs blue and red-orange light and consequently has a yellowish-green tint
cytochrome complex group of reversibly oxidizable and reducible proteins that forms part of the electron transport
chain between photosystem II and photosystem I
electron transport chain group of proteins between PSII and PSI that pass energized electrons and use the energy
released by the electrons to move hydrogen ions against their concentration gradient into the thylakoid lumen
heterotroph organism that consumes organic substances or other organisms for food
light harvesting complex complex that passes energy from sunlight to the reaction center in each photosystem; it
consists of multiple antenna proteins that contain a mixture of 300–400 chlorophyll a and b molecules as well as other
pigments like carotenoids
light-dependent reaction first stage of photosynthesis where certain wavelengths of the visible light are absorbed to
form the two energy-carrying molecules, ATP and NADPH
light-independent reaction second stage of photosynthesis, though which carbon dioxide is used to build carbohydrate
molecules using energy from ATP and NADPH
photoact ejection of an electron from a reaction center using the energy of an absorbed photon
photoautotroph organism capable of producing its own organic compounds from sunlight
photosystem group of proteins, chlorophyll, and other pigments that are used in the light-dependent reactions of
photosynthesis to absorb light energy and convert it into chemical energy
photosystem I integral pigment and protein complex in thylakoid membranes that uses light energy to transport electrons
376 Chapter 8 | Photosynthesis
photosystem II integral protein and pigment complex in thylakoid membranes that transports electrons from water to the
electron transport chain; oxygen is a product of PSII
pigment molecule that is capable of absorbing certain wavelengths of light and reflecting others (which accounts for its
color)
primary electron acceptor pigment or other organic molecule in the reaction center that accepts an energized electron
from the reaction center
reaction center complex of chlorophyll molecules and other organic molecules that is assembled around a special pair of
chlorophyll molecules and a primary electron acceptor; capable of undergoing oxidation and reduction
spectrophotometer instrument that can measure transmitted light and compute the absorption
stoma opening that regulates gas exchange and water evaporation between leaves and the environment, typically situated
on the underside of leaves
stroma fluid-filled space surrounding the grana inside a chloroplast where the light-independent reactions of
photosynthesis take place
thylakoid disc-shaped, membrane-bound structure inside a chloroplast where the light-dependent reactions of
photosynthesis take place; stacks of thylakoids are called grana
thylakoid lumen aqueous space bound by a thylakoid membrane where protons accumulate during light-driven electron
transport
wavelength distance between consecutive points of equal position (two crests or two troughs) of a wave in a graphic
representation; inversely proportional to the energy of the radiation
CHAPTER SUMMARY
8.1 Overview of Photosynthesis
The process of photosynthesis transformed life on Earth. By harnessing energy from the Sun, photosynthesis evolved to
allow living things access to enormous amounts of energy. Because of photosynthesis, living things gained access to
sufficient energy that allowed them to build new structures and achieve the biodiversity evident today.
Only certain organisms, called photoautotrophs, can perform photosynthesis; they require the presence of chlorophyll, a
specialized pigment that absorbs certain portions of the visible spectrum and can capture energy from sunlight.
Photosynthesis uses carbon dioxide and water to assemble carbohydrate molecules and release oxygen as a waste product
into the atmosphere. Eukaryotic autotrophs, such as plants and algae, have organelles called chloroplasts in which
photosynthesis takes place, and starch accumulates. In prokaryotes, such as Cyanobacteria, the process is less localized
and occurs within folded membranes, extensions of the plasma membrane, and in the cytoplasm.
The pigments of the first part of photosynthesis, the light-dependent reactions, absorb energy from sunlight. A photon
strikes the antenna pigments of photosystem II to initiate photosynthesis. The energy travels to the reaction center that
contains chlorophyll a to the electron transport chain, which pumps hydrogen ions into the thylakoid interior. This action
builds up a high concentration of ions. The ions flow through ATP synthase via chemiosmosis to form molecules of ATP,
which are used for the formation of sugar molecules in the second stage of photosynthesis. Photosystem I absorbs a second
photon, which results in the formation of an NADPH molecule, another energy and reducing power carrier for the light-
independent reactions.
Using the energy carriers formed in the first steps of photosynthesis, the light-independent reactions, or the Calvin cycle,
take in CO2 from the environment. An enzyme, RuBisCO, catalyzes a reaction with CO2 and another molecule, RuBP.
Chapter 8 | Photosynthesis 377
After three cycles, a three-carbon molecule of G3P leaves the cycle to become part of a carbohydrate molecule. The
remaining G3P molecules stay in the cycle to be regenerated into RuBP, which is then ready to react with more CO2.
Photosynthesis forms an energy cycle with the process of cellular respiration. Plants need both photosynthesis and
respiration for their ability to function in both the light and dark, and to be able to interconvert essential metabolites.
Therefore, plants contain both chloroplasts and mitochondria.
REVIEW QUESTIONS
1. Which of the following components is not used by both plants and Cyanobacteria to carry out photosynthesis?
a. carbon dioxide
b. chlorophyll
c. chloroplasts
d. water
2. Why are chemoautotrophs not considered the same as photoautotrophs if they both extract energy and make sugars?
a. Chemoautotrophs use wavelengths of light not available to photoautotrophs.
b. Chemoautotrophs extract energy from inorganic chemical compounds.
c. Photoautotrophs prefer the blue side of the visible light spectrum.
d. Photoautotrophs make glucose, while chemoautotrophs make galactose.
3. In which compartment of the plant cell do the light-independent reactions of photosynthesis take place?
a. mesophyll
b. outer membrane
c. stroma
d. thylakoid
4. What is a part of grana?
a. the Calvin cycle
b. the inner membrane
c. stroma
d. thylakoids
5. What are two major products of photosynthesis?
a. chlorophyll and oxygen
b. oxygen and carbon dioxide
c. sugars/carbohydrates and oxygen
d. sugars/carbohydrates and carbon dioxide
6. What is the primary energy source for cells?
a. glucose
b. starch
c. sucrose
d. triglycerides
7. While working at a deep archeological site, you find a sample of an ancient single-celled organism trapped in amber.
Analysis of the organism’s genome indicates that it does not use the same nucleic acid chemistry as all extant organisms
and cannot share a common ancestor with humans. Would this evidence change our understanding of the origins of life on
Earth? Explain your answer.
8. Which portion of the electro-magnetic radiation originating from the sun is harmful to living tissues?
378 Chapter 8 | Photosynthesis
a. blue
b. green
c. infrared
d. ultraviolet
9. The amount of energy in a wave can be measured using what trait?
a. color intensity
b. distance from trough to crest
c. the amount of sugar produced
d. wavelength
10. What portion of the electro-magnetic radiation emitted by the Sun has the least energy?
a. gamma
b. infrared
c. radio
d. X-rays
11. What is the function of carotenoids in photosynthesis?
a. They supplement chlorophyll absorption.
b. They are visible in the fall during leaf color changes.
c. They absorb excess energy and dissipate it as heat.
d. They limit chlorophyll absorption.
12. Which of the following structures is not a component of a photosystem?
a. antenna molecule
b. ATP synthase
c. primary electron acceptor
d. reaction center
13. Which complex is not involved in producing the electromotive force of ATP synthesis?
a. ATP synthase
b. cytochrome complex
c. photosystem I
d. photosystem II
14. What can be calculated from a wavelength measurement of light?
a. a specific portion of the visible spectrum
b. color intensity
c. the amount of energy of a wave of light
d. the distance from trough to crest of the wave
15. Which molecule must enter the Calvin cycle continually for the light-independent reactions to take place?
a. CO2
b. RuBisCO
c. RuBP
d. 3-PGA
16. What is the product of the Calvin cycle?
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a. glucose
b. glyceraldehyde-3-Phosphate
c. phosphoglycerate (PGA)
d. sucrose
17. Which statement correctly describes carbon fixation?
a. the conversion of CO 2 into an organic compound
a. NADPH and ATP molecules are produced during the light reactions and are used to power the light independent
reactions.
b. NADPH and ATP molecules are produced during the light reactions, which are used to power the light
dependent reactions.
c. Sugar and ATP are produced during the light reactions, which are used to power the light independent reactions.
d. Carbon dioxide and NADPH are produced during the light reactions, which are used to power the light
dependent reactions.
24. How does the equation relate to both photosynthesis and cellular respiration?
Figure 8.22
a. Photosynthesis utilizes energy to build carbohydrates while cellular respiration metabolizes carbohydrates.
b. Photosynthesis utilizes energy to metabolize carbohydrates while cellular respiration builds carbohydrates.
c. Photosynthesis and cellular respiration both utilize carbon dioxide and water to produce carbohydrates.
d. Photosynthesis and cellular respiration both metabolize carbohydrates to produce carbon dioxide and water.
25. How is the energy from the sun transported within chloroplasts?
a. When photons strike photosystem (PS) II, pigments pass the light energy to chlorophyll a molecules that excite
an electron, which is then passed to the electron transport chain. The cytochrome complex transfers protons
across the thylakoid membrane and transfers electrons from PS-II to PS-I. The products of the light dependent
reaction are used to power the Calvin cycle to produce glucose.
b. When photons strike photosystem (PS) I, pigments pass the light energy to chlorophyll, molecules that excite
electrons, which is then passed to the electron transport chain. The cytochrome complex then transfers protons
across the thylakoid membrane and transfers electrons from PS-II to PS-I. The products of the light dependent
reaction are used to power the Calvin cycle to produce glucose.
c. When photons strike photosystem (PS) II, pigments pass the light energy to chlorophyll molecules that in turn
excite electrons, which are then passed to the electron transport chain. The cytochrome complex transfers
protons across the thylakoid membrane and transfers electrons from PS-I to PS-II. The products of the light
dependent reaction are used to power the Calvin cycle to produce glucose.
d. When photons strike photosystem (PS) II, pigments pass the light energy to chlorophyll molecules that excite
electrons, which is then passed to the electron transport chain. The cytochrome complex transfers protons across
the thylakoid membrane and transfers electrons from PS II to PS I. The products of the light independent
reaction are used to power the Calvin cycle to produce glucose.
26. Explain why X-rays and ultraviolet light wavelengths are dangerous to living tissues.
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a. UV and X-rays are high energy waves that penetrate the tissues and damage cells.
b. UV and X-rays are low energy waves that penetrate the tissues and damage cells.
c. UV and X-rays cannot penetrate tissues and thus damage the cells.
d. UV and X-rays can penetrate tissues and thus do not damage the cells.
27. If a plant were to be exposed to only red light, would photosynthesis be possible?
a. Photosynthesis does not take place.
b. The rate of photosynthesis increases sharply.
c. The rate of photosynthesis decreases drastically.
d. The rate of photosynthesis decreases and then increases.
28. Describe the electron transfer pathway from photosystem II to photosystem I in the light-dependent reactions.
a. After splitting water in PSII, high energy electrons are delivered through the chloroplast electron transport chain
to PSI.
b. After splitting water in PSI, high energy electrons are delivered though the chloroplast electron transport chain
to PSII.
c. After the photosynthesis reaction, the released products like glucose help in the transfer of electrons from PSII to
PSI.
d. After the completion of the light dependent reactions, the electrons are transferred from PSII to PSI.
29. What will happen to a plant leaf that loses CO2 too quickly?
a. There will be no effect on the rate of photosynthesis.
b. Photosynthesis will slow down or stop possibly.
c. Photosynthesis will increase exponentially.
d. Photosynthesis will decrease and then increase.
30. Carbon, in the form of CO2, must be taken from the atmosphere and attached to an existing organic molecule in the
Calvin cycle. Therefore, the carbon is bound to the molecule. The products of the cycle only occur because of the added
carbon. What are the products of the Calvin cycle and what is regenerated?
a. The product of the Calvin cycle is glyceraldehyde-3 phosphate and RuBP is regenerated.
b. The product of the Calvin cycle is glyceraldehyde-3 phosphate and RuBisCO is regenerated.
c. The product of the Calvin cycle is a 3-PGA molecule and glyceraldehyde-3 phosphate is regenerated.
d. The product of the Calvin cycle is glyceraldehyde-3 phosphate and oxygen is regenerated.
31. How do desert plants prevent water loss from the heat, which would compromise photosynthesis?
a. by using CAM photosynthesis and by closing stomatal pores during the night
b. by using CAM photosynthesis and by opening of stomatal pores during the night
c. by using CAM photosynthesis and by keeping stomatal pores closed at all times
d. by bypassing CAM photosynthesis and by keeping stomatal pores closed at night
32. Why are carnivores, such as lions, dependent on photosynthesis to survive?
a. because the prey of lions are generally herbivores, which depend on heterotrophs
b. because the prey of lions are generally smaller carnivorous animals, which depend on non-photosynthetic
organisms
c. because the prey of lions are generally herbivores, which depend on autotrophs
d. because the prey of lions are generally omnivores, which depend only on autotrophs
33. Why does it take three turns of the Calvin cycle to produce G3P, the initial product of photosynthesis?
382 Chapter 8 | Photosynthesis
Figure 8.23
Chapter 8 | Photosynthesis 383
Figure 8.24
a. missing the ATP synthase enzyme
b. exposure to light
c. lack of water preventing H+ and NADP+ from forming NADPH
d. not enough CO2
41. How do the cytochrome complex components involved in photosynthesis contribute to the electron transport chain?
a. Photosystem I excites the electron as it moves down the electron transport chain into Photosystem II.
b. Plastoquinone and plastocyanine perform redox reactions that allow the electron to move down the electron
transport chain into Photosystem I.
c. ATP synthase de-excites the electron as it moves down the electron transport chain into Photosystem I.
d. RuBisCO excites the electron as it moves down the electron transport chain into Photosystem II.
42. Discuss how membranes in chloroplasts contribute to the organelles’ essential functions.
a. The inner membrane contains the chemicals needed for the Calvin cycle and also components of the light
dependent reactions. The thylakoid membrane contains photosystems I and II, as well as the enzyme NAD +
reductase.
b. The inner membrane contains only the chemicals needed for the Calvin cycle. The thylakoid membrane contains
components of the light dependent reactions, photosystems I and II, and the enzyme NAD+ reductase.
c. The inner membrane contains components of the light dependent reactions as well as photosystems I and II. The
thylakoid membrane contains the chemicals needed for the Calvin cycle and also the enzyme NAD + reductase.
d. The inner membrane contains the chemicals needed for the Calvin cycle, components of the light dependent
reactions and photosystems I and II. The thylakoid membrane contains the enzyme NAD+ reductase.
43. If the absorption spectrum of photosynthetic pigments was restricted to the green portion of the spectrum, which
pigment or pigments would be affected the least?
a. carotenoids
b. chlorophyll a
c. chlorophyll b
d. chlorophyll c
44. Describe the passage of energy from light until it is captured in the primary electron acceptor.
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a. Chlorophyll molecules in the photosystems are excited and pass the energy to the primary electron acceptor
where the energy is used to excite electrons from the splitting of water.
b. Chlorophyll a molecules in the photosystems are excited and pass the energy to the primary electron acceptor
where the energy is used to excite electrons from the splitting of water.
c. Chlorophyll b molecules in the photosystems are excited and pass the energy to the primary electron acceptor
where the energy is used to excite electrons from the splitting of water.
d. Chlorophyll molecules in the photosystems absorb light and get excited in the primary electron acceptor from
where the energy is used to excite electrons from the splitting of water.
Figure 8.25
The diagram shows light-dependent reactions of photosynthesis, including the reaction centers, electron transport chains,
and the overall reactions within each of these. The free energy per electron is shown for the oxidation-reduction reactions.
The free change of the captured radiant energy is shown.
2N ADP+ + 2H + + 2H 2 O + 3ADP + 3P i → O 2 + 4H + + 2N ADPH + 3ATP
386 Chapter 8 | Photosynthesis
A. In the overall mass balance equation for the light reactions shown above, identify the source of electrons for the
synthesis of NADPH.
B. Calculate the number of electrons transferred in this reaction.
C. Using the free energies per electron displayed, calculate the free energy change of the light-dependent reactions.
D. Given that the free energy change for the hydrolysis of ATP is -31.5 kJ/mole and the free energy change for the
formation of NADPH from NADP+ is 18 kJ/mole, calculate the total production of free energy for the light
reactions.
E. Using this definition of energy efficiency, calculate the efficiency of the light reaction of photosynthesis: energy
efficiency = free energy produced/energy input.
48. Algae can be used for food and fuel. To maximize profit from algae production under artificial light, researchers
proposed an experiment to determine the dependence of the efficiency of the process used to grow the algae on light
intensity (“brightness”) that will be purchased from the electric company.
The algae will be grown on a flat sheet that will be continuously washed with dissolved carbon dioxide and nutrients.
Light-emitting diodes (LEDs) will be used to illuminate the growth sheet. Photodiodes placed above and below the sheet
will be used to detect light transmitted through and reflected from the algal mat. The intensity of light can be varied, and
the algae can be removed, filtered, and dried. The amount of stored energy in the algal mats can be determined by
calorimetry.
A. Identify a useful definition of efficiency for this study and justify your choice.
B. Frequencies of light emitted by the LEDs will not be variables but must be specified for the construction of the
apparatus. Identify the frequencies of light that should be used in the experiment and justify your choice.
C. Evaluate the claim that the experiment is based on the assumption that there is an upper limit on the intensity of light
used to support growth of algae. Predict a possible effect on algal growth if light with too great an intensity is used and
justify the prediction.
D. Design an experiment by describing a procedure that can be used to determine the relationship between light intensity
and efficiency.
49. The classical theory of evolution is based on a gradual transformation, the accumulation of many random mutations
that are selected. The biological evidence for evolution is overwhelming, particularly when one considers what has not
changed: core conserved characteristics.
A. Describe three conserved characteristics common to both chloroplasts and mitochondria.
Some hypotheses that have been proposed to account for biological diversity are saltatory, involving sudden changes,
rather than gradualist. In defense of the classical gradualist theory of evolution, nearly all biologists in the late 1960s
rejected the theory of endosymbiosis as presented by Lynn Margulis in 1967.
B. Suppose that you want to disprove the theory of endosymbiosis.
Explain how the following evidence could disprove the theory:
i. a “transitional species” with cellular features that are intermediate cells with and without mitochondria
ii. a “transitional organelle” with some features, such as compartmentalized metabolic processes, but not other features,
such as DNA
Explain how the following evidence supports the theory of endosymbiosis:
iii. bacteria live within your intestines, but you still have a separate identity
iv. no one has directly observed the fusion of two organisms in which a single organism results
50. Discovering the carbon-fixation reactions (or light-independent reactions) of photosynthesis earned Melvin Calvin a
Nobel Prize in 1961. The isolation and identification of the products of algae exposed to 14C revealed the path of carbon in
photosynthesis. 14C was fed to the algal culture in the form of bicarbonate ion (HCO3-). To agitate the culture, air, which
contains CO2, was bubbled through the system, so there were two sources of carbon.
Since Calvin’s experiment, research has focused on the way carbon from a solution containing bicarbonate ions is
absorbed by algae. In aqueous solution, the bicarbonate anion (HCO3-) is in equilibrium with dissolved CO2 as shown in
the equation below:
Chapter 8 | Photosynthesis 387
H + + HCO−3 ←⎯⎯
⎯⎯→H 2 O + CO 2
In a later experiment, Larsson and Axelsson (1999) used acetazolamide (AZ), a carbonate anhydrase inhibitor, to inhibit
enzymes that convert bicarbonate into carbon dioxide. They also used disulfonate (DIDS), an inhibitor of the transport of
anions, such as the bicarbonate ion, through the plasma membrane.
A. Pose a scientific question that can be pursued with AZ and DIDS in terms of the path of carbon in photosynthesis.
B. The plasma membrane is permeable to the nonpolar, uncharged carbon dioxide molecule. However, the concentration
of carbon dioxide in solution can be very small. Explain how the enzyme carbonate anhydrase can increase the
availability of carbon dioxide to the cell.
C. Larsson and Axelsson conducted experiments in which the growth medium was fixed at two different pH levels and
determined the effects of AZ and DIDS on the rate of photosynthesis by measuring oxygen concentrations at various
times. The results are shown in the two graphs below. The arrows indicate the time points during which HCO3-, AZ, and
DIDS were added to each system.
Figure 8.26
In which system, A or B, is there a strong reliance on the bicarbonate ion as the mechanism of carbon uptake by the cell?
Justify your answer using the data.
D. If both systems are dosed with the same concentrations of bicarbonate ion, in which system, A or B, is the pH higher?
Justify your answer using the data and the bicarbonate-carbon dioxide equilibrium equation.
388 Chapter 8 | Photosynthesis
Chapter 9 | Cell Communication 389
9 | CELL
COMMUNICATION
Figure 9.1 Have you ever become separated from a friend while in a crowd? If so, you know the challenge of searching
for someone when surrounded by thousands of other people. If you and your friend have cell phones, your chances
of finding each other are good. A cell phone’s ability to send and receive messages makes it an ideal communication
device. (credit: modification of work by Vincent and Bella Productions)
Chapter Outline
9.1: Signaling Molecules and Cellular Receptors
9.2: Propagation of the Signal
9.3: Response to the Signal
9.4: Signaling in Single-Celled Organisms
Introduction
Imagine what life would be like if you and the people around you could not communicate. You would not be able to express
your wishes, nor could you ask questions to find out more about your environment. Social organization is dependent on
communication between the individuals; without communication, society would fall apart.
As with people, it is vital for a cell to interact with its environment. This is true whether it is a unicellular organism or one
of many cells forming a larger organism. In order to respond to external stimuli, cells have developed complex mechanisms
of communication that can receive a message, transfer the information across the plasma membrane, and produce changes
within the cell in response to the message. In multicellular organisms, cells send and receive chemical messages constantly
to coordinate the actions of distant organs, tissues, and cells.
While the necessity for cellular communication in larger organisms seems obvious, even single-celled organisms
communicate with each other. Yeast cells signal each other to aid in mating. Some forms of bacteria coordinate their actions
in order to form large complexes called biofilms (Figure 9.18) or to organize the production of toxins to remove competing
organisms. The ability of cells to communicate through chemical signals originated in single cells and was essential for the
evolution of multicellular organisms.
390 Chapter 9 | Cell Communication
Cell signaling is vital to the survival of organisms. For example, chemical signals tell cells when to make hormones such as
insulin. Cell division also depends on chemical signals. When the chemical signals do not function properly, cells can divide
uncontrollably, forming cancerous tumors. Scientists recently discovered a cell signaling pathway that protects cancer cells
from being killed by the body’s immune system. The hope is to use this knowledge to create treatments that target this cell
signaling pathway so that the cancer cells self destruct. More about that can be found here (http://openstaxcollege.org/l/
32cancerdefense) : “Scientists pinpoint a new line of defense used by cancer cells.”
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
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Essential
3.D.3 Signal transduction pathways link signal reception with a cellular response.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.34 The student is able to construct explanations of cell communication through cell-to-cell
Objective direct contact or through chemical signaling.
Essential
3.D.3 Signal transduction pathways link signal reception with a cellular response.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.35 The student is able to create representations that depict how cell-to-cell
Objective communication occurs by direct contact or from a distance through chemical signaling.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.33]
• [APLO 3.36]
There are two kinds of communication in the world of living cells. Communication between cells is called intercellular
signaling, and communication within a cell is called intracellular signaling. An easy way to remember the distinction is
by understanding the Latin origin of the prefixes: inter- means between (for example, intersecting lines are those that cross
each other) and intra- means inside (as in intravenous).
Chemical signals are released by signaling cells in the form of small, usually volatile or soluble molecules called ligands.
A ligand is a molecule that binds another specific molecule, in some cases, delivering a signal in the process. Ligands can
thus be thought of as signaling molecules. Ligands interact with proteins in target cells, which are cells that are affected
by chemical signals; these proteins are also called receptors. Ligands and receptors exist in several varieties; however, a
specific ligand will have a specific receptor that typically binds only that ligand.
Forms of Signaling
There are four categories of chemical signaling found in multicellular organisms: paracrine signaling, endocrine signaling,
autocrine signaling, and direct signaling across gap junctions (Figure 9.2). The main difference between the different
categories of signaling is the distance that the signal travels through the organism to reach the target cell. Not all cells are
affected by the same signals.
392 Chapter 9 | Cell Communication
Figure 9.2 In chemical signaling, a cell may target itself (autocrine signaling), a cell connected by gap junctions,
a nearby cell (paracrine signaling), or a distant cell (endocrine signaling). Paracrine signaling acts on nearby cells,
endocrine signaling uses the circulatory system to transport ligands, and autocrine signaling acts on the signaling cell.
Signaling via gap junctions involves signaling molecules moving directly between adjacent cells.
Paracrine Signaling
Signals that act locally between cells that are close together are called paracrine signals. Paracrine signals move by
diffusion through the extracellular matrix. These types of signals usually elicit quick responses that last only a short amount
of time. In order to keep the response localized, paracrine ligand molecules are normally quickly degraded by enzymes
or removed by neighboring cells. Removing the signals will reestablish the concentration gradient for the signal, allowing
them to quickly diffuse through the intracellular space if released again.
One example of paracrine signaling is the transfer of signals across synapses between nerve cells. A nerve cell consists of
a cell body, several short, branched extensions called dendrites that receive stimuli, and a long extension called an axon,
which transmits signals to other nerve cells or muscle cells. The junction between nerve cells where signal transmission
occurs is called a synapse. A synaptic signal is a chemical signal that travels between nerve cells. Signals within the nerve
cells are propagated by fast-moving electrical impulses. When these impulses reach the end of the axon, the signal continues
on to a dendrite of the next cell by the release of chemical ligands called neurotransmitters by the presynaptic cell (the
cell emitting the signal). The neurotransmitters are transported across the very small distances between nerve cells, which
are called chemical synapses (Figure 9.3). The small distance between nerve cells allows the signal to travel quickly; this
enables an immediate response, such as, Take your hand off the stove!
When the neurotransmitter binds the receptor on the surface of the postsynaptic cell, the electrochemical potential of the
target cell changes, and the next electrical impulse is launched. The neurotransmitters that are released into the chemical
synapse are degraded quickly or get reabsorbed by the presynaptic cell so that the recipient nerve cell can recover quickly
and be prepared to respond rapidly to the next synaptic signal.
Chapter 9 | Cell Communication 393
Figure 9.3 The distance between the presynaptic cell and the postsynaptic cell—called the synaptic gap—is very
small and allows for rapid diffusion of the neurotransmitter. Enzymes in the synapatic cleft degrade some types of
neurotransmitters to terminate the signal.
Endocrine Signaling
Signals from distant cells are called endocrine signals, and they originate from endocrine cells. In the body, many
endocrine cells are located in endocrine glands, such as the thyroid gland, the hypothalamus, and the pituitary gland. These
types of signals usually produce a slower response but have a longer-lasting effect. The ligands released in endocrine
signaling are called hormones, signaling molecules that are produced in one part of the body but affect other body regions
some distance away.
Hormones travel the large distances between endocrine cells and their target cells via the bloodstream, which is a relatively
slow way to move throughout the body. Because of their form of transport, hormones get diluted and are present in low
concentrations when they act on their target cells. This is different from paracrine signaling, in which local concentrations
of ligands can be very high.
Autocrine Signaling
Autocrine signals are produced by signaling cells that can also bind to the ligand that is released. This means the signaling
cell and the target cell can be the same or a similar cell (the prefix auto- means self, a reminder that the signaling cell sends a
signal to itself). This type of signaling often occurs during the early development of an organism to ensure that cells develop
into the correct tissues and take on the proper function. Autocrine signaling also regulates pain sensation and inflammatory
responses. Further, if a cell is infected with a virus, the cell can signal itself to undergo programmed cell death, killing
the virus in the process. In some cases, neighboring cells of the same type are also influenced by the released ligand. In
embryological development, this process of stimulating a group of neighboring cells may help to direct the differentiation
of identical cells into the same cell type, thus ensuring the proper developmental outcome.
Direct Signaling Across Gap Junctions
Gap junctions in animals and plasmodesmata in plants are connections between the plasma membranes of neighboring cells.
These water-filled channels allow small signaling molecules, called intracellular mediators, to diffuse between the two
cells. Small molecules, such as calcium ions (Ca2+), are able to move between cells, but large molecules like proteins and
DNA cannot fit through the channels. The specificity of the channels ensures that the cells remain independent but can
quickly and easily transmit signals. The transfer of signaling molecules communicates the current state of the cell that is
directly next to the target cell; this allows a group of cells to coordinate their response to a signal that only one of them may
have received. In plants, plasmodesmata are ubiquitous, making the entire plant into a giant, communication network.
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Types of Receptors
Receptors are protein molecules in the target cell or on its surface that bind ligand. There are two types of receptors, internal
receptors and cell-surface receptors.
Internal Receptors
Internal receptors, also known as intracellular or cytoplasmic receptors, are found in the cytoplasm of the cell and respond
to hydrophobic ligand molecules that are able to travel across the plasma membrane. Once inside the cell, many of these
molecules bind to proteins that act as regulators of mRNA synthesis (transcription) to mediate gene expression. Gene
expression is the cellular process of transforming the information in a cell's DNA into a sequence of amino acids, which
ultimately forms a protein. When the ligand binds to the internal receptor, a conformational change is triggered that exposes
a DNA-binding site on the protein. The ligand-receptor complex moves into the nucleus, then binds to specific regulatory
regions of the chromosomal DNA and promotes the initiation of transcription (Figure 9.4). Transcription is the process
of copying the information in a cells DNA into a special form of RNA called messenger RNA (mRNA); the cell uses
information in the mRNA, which moves out into the cytoplasm and associates with ribosomes, to link specific amino acids
in the correct order, producing a protein. Internal receptors can directly influence gene expression without having to pass
the signal on to other receptors or messengers.
Figure 9.4 Hydrophobic signaling molecules typically diffuse across the plasma membrane and interact with
intracellular receptors in the cytoplasm. Many intracellular receptors are transcription factors that interact with DNA in
the nucleus and regulate gene expression.
Cell-Surface Receptors
Cell-surface receptors, also known as transmembrane receptors, are cell surface, membrane-anchored (integral) proteins
that bind to external ligand molecules. This type of receptor spans the plasma membrane and performs signal transduction,
in which an extracellular signal is converted into an intercellular signal. Ligands that interact with cell-surface receptors do
not have to enter the cell that they affect. Cell-surface receptors are also called cell-specific proteins or markers because
they are specific to individual cell types.
Because cell-surface receptor proteins are fundamental to normal cell functioning, it should come as no surprise that a
malfunction in any one of these proteins could have severe consequences. Errors in the protein structures of certain receptor
molecules have been shown to play a role in hypertension (high blood pressure), asthma, heart disease, and cancer.
Each cell-surface receptor has three main components: an external ligand-binding domain, a hydrophobic membrane-
spanning region, and an intracellular domain inside the cell. The ligand-binding domain is also called the extracellular
domain. The size and extent of each of these domains vary widely, depending on the type of receptor.
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Cell-surface receptors are involved in most of the signaling in multicellular organisms. There are three general categories
of cell-surface receptors: ion channel-linked receptors, G-protein-linked receptors, and enzyme-linked receptors.
Ion channel-linked receptors bind a ligand and open a channel through the membrane that allows specific ions to pass
through. To form a channel, this type of cell-surface receptor has an extensive membrane-spanning region. In order to
interact with the phospholipid fatty acid tails that form the center of the plasma membrane, many of the amino acids in the
membrane-spanning region are hydrophobic in nature. Conversely, the amino acids that line the inside of the channel are
hydrophilic to allow for the passage of water or ions. When a ligand binds to the extracellular region of the channel, there
is a conformational change in the proteins structure that allows ions such as sodium, calcium, magnesium, and hydrogen to
pass through (Figure 9.5).
Figure 9.5 Gated ion channels form a pore through the plasma membrane that opens when the signaling molecule
binds. The open pore then allows ions to flow into or out of the cell.
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G-protein-linked receptors bind a ligand and activate a membrane protein called a G-protein. The activated G-protein then
interacts with either an ion channel or an enzyme in the membrane (Figure 9.6). All G-protein-linked receptors have seven
transmembrane domains, but each receptor has its own specific extracellular domain and G-protein-binding site.
Cell signaling using G-protein-linked receptors occurs as a cyclic series of events. Before the ligand binds, the inactive G-
protein can bind to a newly revealed site on the receptor specific for its binding. Once the G-protein binds to the receptor,
the resultant shape change activates the G-protein, which releases GDP and picks up GTP. The subunits of the G-protein
then split into the α subunit and the βγ subunit. One or both of these G-protein fragments may be able to activate other
proteins as a result. After awhile, the GTP on the active α subunit of the G-protein is hydrolyzed to GDP and the βγ subunit
is deactivated. The subunits reassociate to form the inactive G-protein and the cycle begins anew.
Figure 9.6 Heterotrimeric G proteins have three subunits: α, β, and γ. When a signaling molecule binds to a G-protein-
coupled receptor in the plasma membrane, a GDP molecule associated with the α subunit is exchanged for GTP. The
β and γ subunits dissociate from the α subunit, and a cellular response is triggered either by the α subunit or the
dissociated βγ pair. Hydrolysis of GTP to GDP terminates the signal.
G-protein-linked receptors have been extensively studied and much has been learned about their roles in maintaining health.
Bacteria that are pathogenic to humans can release poisons that interrupt specific G-protein-linked receptor function, leading
to illnesses such as pertussis, botulism, and cholera. In cholera (Figure 9.7), for example, the water-borne bacterium Vibrio
cholerae produces a toxin, choleragen, that binds to cells lining the small intestine. The toxin then enters these intestinal
cells, where it modifies a G-protein that controls the opening of a chloride channel and causes it to remain continuously
active, resulting in large losses of fluids from the body and potentially fatal dehydration as a result.
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Figure 9.7 Transmitted primarily through contaminated drinking water, cholera is a major cause of death in the
developing world and in areas where natural disasters interrupt the availability of clean water. The cholera bacterium,
Vibrio cholerae, creates a toxin that modifies G-protein-mediated cell signaling pathways in the intestines. Modern
sanitation eliminates the threat of cholera outbreaks, such as the one that swept through New York City in 1866. This
poster from that era shows how, at that time, the way that the disease was transmitted was not understood. (credit:
New York City Sanitary Commission)
Enzyme-linked receptors are cell-surface receptors with intracellular domains that are associated with an enzyme. In
some cases, the intracellular domain of the receptor itself is an enzyme. Other enzyme-linked receptors have a small
intracellular domain that interacts directly with an enzyme. The enzyme-linked receptors normally have large extracellular
and intracellular domains, but the membrane-spanning region consists of a single alpha-helical region of the peptide strand.
When a ligand binds to the extracellular domain, a signal is transferred through the membrane, activating the enzyme.
Activation of the enzyme sets off a chain of events within the cell that eventually leads to a response. One example of this
type of enzyme-linked receptor is the tyrosine kinase receptor (Figure 9.8). A kinase is an enzyme that transfers phosphate
groups from ATP to another protein. The tyrosine kinase receptor transfers phosphate groups to tyrosine molecules (tyrosine
residues). First, signaling molecules bind to the extracellular domain of two nearby tyrosine kinase receptors. The two
neighboring receptors then bond together, or dimerize. Phosphates are then added to tyrosine residues on the intracellular
domain of the receptors (phosphorylation). The phosphorylated residues can then transmit the signal to the next messenger
within the cytoplasm.
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Figure 9.8 A receptor tyrosine kinase is an enzyme-linked receptor with a single transmembrane region, and
extracellular and intracellular domains. Binding of a signaling molecule to the extracellular domain causes the
receptor to dimerize. Tyrosine residues on the intracellular domain are then autophosphorylated, triggering a
downstream cellular response. The signal is terminated by a phosphatase that removes the phosphates from the
phosphotyrosine residues.
HER2 is a receptor tyrosine kinase. In 20 percent of human breast cancer cases, HER2 is permanently activated,
resulting in unregulated cell division. Lapatinib, a drug used to treat breast cancer, inhibits HER2 receptor tyrosine
kinase autophosphorylation, the process by which the receptor adds phosphates onto itself. This reduces tumor growth
by 50 percent. Besides autophosphorylation, which of the following steps would be inhibited by Lapatinib?
a. dimerization and the downstream cellular response
b. phosphatase activity, dimerization, and the downstream cellular response
c. signaling molecule binding, dimerization, and the downstream cellular response
d. the downstream cellular response
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Signaling Molecules
Produced by signaling cells and the subsequent binding to receptors in target cells, ligands act as chemical signals that travel
to the target cells to coordinate responses. The types of molecules that serve as ligands are incredibly varied and range from
small proteins to small ions like calcium (Ca2+).
Small Hydrophobic Ligands
Small hydrophobic ligands can directly diffuse through the plasma membrane and interact with internal receptors. Important
members of this class of ligands are the steroid hormones. Steroids are lipids that have a hydrocarbon skeleton with four
fused rings; different steroids have different functional groups attached to the carbon skeleton. Steroid hormones include
the female sex hormone, estradiol, which is a type of estrogen; the male sex hormone, testosterone; and cholesterol, which
is an important structural component of biological membranes and a precursor of steriod hormones (Figure 9.9). Other
hydrophobic hormones include thyroid hormones and vitamin D. In order to be soluble in blood, hydrophobic ligands must
bind to carrier proteins while they are being transported through the bloodstream.
Figure 9.9 Steroid hormones have similar chemical structures to their precursor, cholesterol. Because these molecules
are small and hydrophobic, they can diffuse directly across the plasma membrane into the cell, where they interact
with internal receptors.
Water-Soluble Ligands
Water-soluble ligands are polar and therefore cannot pass through the plasma membrane unaided; sometimes, they are too
large to pass through the membrane at all. Instead, most water-soluble ligands bind to the extracellular domain of cell-
surface receptors. This group of ligands is quite diverse and includes small molecules, peptides, and proteins.
Other Ligands
Nitric oxide (NO) is a gas that also acts as a ligand. It is able to diffuse directly across the plasma membrane, and one of
its roles is to interact with receptors in smooth muscle and induce relaxation of the tissue. NO has a very short half-life and
therefore only functions over short distances. Nitroglycerin, a treatment for heart disease, acts by triggering the release of
NO, which causes blood vessels to dilate (expand), thus restoring blood flow to the heart.
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Think About It
• Cells grown in the laboratory are placed in a solution containing a dye that is unable to pass through
the plasma membrane. If a ligand is then added to the solution, observations show that the dye enters
the cell. Describe the type of receptor the ligand most likely binds to and explain your reasoning.
• HER2 is a receptor tyrosine kinase. In 30 percent of human breast cancers, HER2 is permanently
activated, resulting in unregulated cell division. Lapatinib, a drug used to treat breast cancer, inhibits
HER2 receptor tyrosine kinase autophosphorylation (the process by which the receptor adds
phosphate onto itself), thus reducing tumor growth. Besides autophosphorylation, explain another
feature of the cell signaling pathway that can be affected by Lapatinib.
• In certain cancers, the GTPase activity of RAS G-protein in inhibited. This means that the RAS G-
protein can no longer hydrolyze GTP into GDP. Explain what effect this would have on downstream
cellular events.
Section Summary
Cells communicate by both inter- and intracellular signaling. Signaling cells secrete ligands that bind to target cells and
initiate a chain of events within the target cell. The four categories of signaling in multicellular organisms are paracrine
signaling, endocrine signaling, autocrine signaling, and direct signaling across gap junctions. Paracrine signaling takes place
over short distances. Endocrine signals are carried long distances through the bloodstream by hormones, and autocrine
signals are received by the same cell that sent the signal or other nearby cells of the same kind. Gap junctions allow small
molecules, including signaling molecules, to flow between neighboring cells.
Internal receptors are found in the cell cytoplasm. Here, they bind ligand molecules that cross the plasma membrane; these
receptor-ligand complexes move to the nucleus and interact directly with cellular DNA. Cell-surface receptors transmit
a signal from outside the cell to the cytoplasm. Ion channel-linked receptors, when bound to their ligands, form a pore
through the plasma membrane through which certain ions can pass. G-protein-linked receptors interact with a G-protein
on the cytoplasmic side of the plasma membrane, promoting the exchange of bound GDP for GTP and interacting with
other enzymes or ion channels to transmit a signal. Enzyme-linked receptors transmit a signal from outside the cell to an
intracellular domain of a membrane-bound enzyme. Ligand binding causes activation of the enzyme. Small hydrophobic
ligands (like steroids) are able to penetrate the plasma membrane and bind to internal receptors. Water-soluble hydrophilic
ligands are unable to pass through the membrane; instead, they bind to cell-surface receptors, which transmit the signal to
the inside of the cell.
Idea 3 of the AP® Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® Exam questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Essential
3.D.3 Signal transduction pathways link signal reception with a cellular response.
Knowledge
Science 1.5 The student can re-express key elements of natural phenomena across multiple
Practice representations in the domain.
Learning 3.36 The student is able to describe a model that expresses the key elements of signal
Objective transduction pathways by which a signal is converted in to a cellular response.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.33]
• [APLO 3.4]
• [APLO 4.22]
• [APLO 2.5]
• [APLO 3.32]
• [APLO 3.38]
Once a ligand binds to a receptor, the signal is transmitted through the membrane and into the cytoplasm. Continuation of
a signal in this manner is called signal transduction. Signal transduction only occurs with cell-surface receptors because
internal receptors are able to interact directly with DNA in the nucleus to initiate protein synthesis.
When a ligand binds to its receptor, conformational changes occur that affect the receptor’s intracellular domain.
Conformational changes of the extracellular domain upon ligand binding can propagate through the membrane region of
the receptor and lead to activation of the intracellular domain or its associated proteins. In some cases, binding of the ligand
causes dimerization of the receptor, which means that two receptors bind to each other to form a stable complex called
a dimer. A dimer is a chemical compound formed when two molecules (often identical) join together. The binding of the
receptors in this manner enables their intracellular domains to come into close contact and activate each other.
Figure 9.10 The epidermal growth factor (EGF) receptor (EGFR) is a receptor tyrosine kinase involved in
the regulation of cell growth, wound healing, and tissue repair. When EGF binds to the EGFR, a cascade of
downstream events causes the cell to grow and divide. If EGFR is activated at inappropriate times, uncontrolled
cell growth may occur.
In certain cancers, the GTPase activity of the RAS G-protein is inhibited. This means that the RAS protein can no
longer hydrolyze GTP into GDP. What effect would this have on downstream cellular events?
a. Cells will not proliferate.
b. ERK is permanently inactivated.
c. Regulated cell division.
d. Uncontrolled cell proliferation.
Signaling pathways can get very complicated very quickly because most cellular proteins can affect different downstream
events, depending on the conditions within the cell. A single pathway can branch off toward different endpoints based on
the interplay between two or more signaling pathways, and the same ligands are often used to initiate different signals in
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different cell types. This variation in response is due to differences in protein expression in different cell types. Another
complicating element is signal integration of the pathways, in which signals from two or more different cell-surface
receptors merge to activate the same response in the cell. This process can ensure that multiple external requirements are
met before a cell commits to a specific response.
The effects of extracellular signals can also be amplified by enzymatic cascades. At the initiation of the signal, a single
ligand binds to a single receptor. However, activation of a receptor-linked enzyme can activate many copies of a component
of the signaling cascade, which amplifies the signal.
a. delay and prevention of the cell signal required for wound healing
Phosphorylation
One of the most common chemical modifications that occurs in signaling pathways is the addition of a phosphate group
(PO4–3) to a molecule such as a protein in a process called phosphorylation. The phosphate can be added to a nucleotide
such as GMP to form GDP or GTP. Phosphates are also often added to serine, threonine, and tyrosine residues of proteins,
where they replace the hydroxyl group of the amino acid (Figure 9.11). The transfer of the phosphate is catalyzed by an
enzyme called a kinase. Various kinases are named for the substrate they phosphorylate. Phosphorylation of serine and
threonine residues often activates enzymes. Phosphorylation of tyrosine residues can either affect the activity of an enzyme
or create a binding site that interacts with downstream components in the signaling cascade. Phosphorylation may activate
or inactivate enzymes, and the reversal of phosphorylation, dephosphorylation by a phosphatase, will reverse the effect.
404 Chapter 9 | Cell Communication
Figure 9.11 In protein phosphorylation, a phosphate group (PO4-3 ) is added to residues of the amino acids serine,
threonine, and tyrosine.
Second Messengers
Second messengers are small molecules that propagate a signal after it has been initiated by the binding of the signaling
molecule to the receptor. These molecules help to spread a signal through the cytoplasm by altering the behavior of certain
cellular proteins.
Calcium ion is a widely used second messenger. The free concentration of calcium ions (Ca2+) within a cell is very low
because ion pumps in the plasma membrane continuously use adenosine-5'-triphosphate (ATP) to remove it. For signaling
purposes, Ca2+ is stored in cytoplasmic vesicles, such as the endoplasmic reticulum, or accessed from outside the cell. When
signaling occurs, ligand-gated calcium ion channels allow the higher levels of Ca2+ that are present outside the cell (or in
intracellular storage compartments) to flow into the cytoplasm, which raises the concentration of cytoplasmic Ca2+. The
response to the increase in Ca2+ varies, depending on the cell type involved. For example, in the β-cells of the pancreas,
Ca2+ signaling leads to the release of insulin, and in muscle cells, an increase in Ca 2+ leads to muscle contractions.
Another second messenger utilized in many different cell types is cyclic AMP (cAMP). Cyclic AMP is synthesized by the
enzyme adenylyl cyclase from ATP (Figure 9.12). The main role of cAMP in cells is to bind to and activate an enzyme
called cAMP-dependent kinase (A-kinase). A-kinase regulates many vital metabolic pathways: It phosphorylates serine
and threonine residues of its target proteins, activating them in the process. A-kinase is found in many different types of
cells, and the target proteins in each kind of cell are different. Differences give rise to the variation of the responses to cAMP
in different cells.
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Figure 9.12 This diagram shows the mechanism for the formation of cyclic AMP (cAMP). cAMP serves as a second
messenger to activate or inactivate proteins within the cell. Termination of the signal occurs when an enzyme called
phosphodiesterase converts cAMP into AMP.
Present in small concentrations in the plasma membrane, inositol phospholipids are lipids that can also be converted into
second messengers. Because these molecules are membrane components, they are located near membrane-bound receptors
and can easily interact with them. Phosphatidylinositol (PI) is the main phospholipid that plays a role in cellular signaling.
Enzymes known as kinases phosphorylate PI to form PI-phosphate (PIP) and PI-bisphosphate (PIP2).
The enzyme phospholipase C cleaves PIP2 to form diacylglycerol (DAG) and inositol triphosphate (IP3) (Figure 9.13).
These products of the cleavage of PIP2 serve as second messengers. Diacylglycerol (DAG) remains in the plasma membrane
and activates protein kinase C (PKC), which then phosphorylates serine and threonine residues in its target proteins. IP3
diffuses into the cytoplasm and binds to ligand-gated calcium channels in the endoplasmic reticulum to release Ca2+ that
continues the signal cascade.
Figure 9.13 The enzyme phospholipase C breaks down PIP2 into IP3 and DAG, both of which serve as second
messengers.
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Think About It
The same second messengers are used in many different cells, but the response to second messengers is
different in each cell. How is this possible?
Section Summary
Ligand binding to the receptor allows for signal transduction through the cell. The chain of events that conveys the signal
through the cell is called a signaling pathway or cascade. Signaling pathways are often very complex because of the
interplay between different proteins. A major component of cell signaling cascades is the phosphorylation of molecules
by enzymes known as kinases. Phosphorylation adds a phosphate group to serine, threonine, and tyrosine residues in a
protein, changing their shapes, and activating or inactivating the protein. Small molecules like nucleotides can also be
phosphorylated. Second messengers are small, non-protein molecules that are used to transmit a signal within a cell.
Some examples of second messengers are calcium ions (Ca2+), cyclic AMP (cAMP), diacylglycerol (DAG), and inositol
triphosphate (IP3).
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Chapter 9 | Cell Communication 407
Essential
3.D.4 Changes in signal transduction pathways can alter a cellular response.
Knowledge
Science 1.5 The student can re-express key elements of natural phenomena across multiple
Practice representations in the domain.
Learning 3.36 The student is able to describe a model that expresses the key elements of signal
Objective transduction pathways by which a signal is converted into a cellular response.
Essential
3.D.4 Changes in signal transduction pathways can alter a cellular response.
Knowledge
Science
6.1 The student can justify claims with evidence.
Practice
Learning 3.37 The student is able to justify claims based on scientific evidence that changes in signal
Objective transduction pathways can alter a cellular response.
Essential
3.D.4 Changes in signal transduction pathways can alter a cellular response.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.39 The student is able to construct an explanation of how certain drugs affect signal
Objective reception and, consequently, signal transduction pathways.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Many biological processes involved in growth, reproduction, and dynamic homeostasis
Understanding
include temporal regulation and coordination.
2.E
Essential 2.E.1 Timing and coordination of specific events are necessary for the normal development
Knowledge of an organism, and these events are regulated by a variety of mechanisms.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 2.34 The student is able to describe the role of programmed cell death in development and
Objective differentiation, the reuse of molecules, and the maintenance of dynamic homeostasis.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.33]
• [APLO 3.35]
Inside the cell, ligands bind to their internal receptors, allowing them to directly affect the cell’s DNA and protein-producing
machinery. Using signal transduction pathways, receptors in the plasma membrane produce a variety of effects on the cell.
The results of signaling pathways are extremely varied and depend on the type of cell involved as well as the external and
internal conditions. A small sampling of responses is described below.
Gene Expression
Some signal transduction pathways regulate the transcription of RNA. Others regulate the translation of proteins from
mRNA. An example of a protein that regulates translation in the nucleus is the MAP kinase ERK. ERK is activated
in a phosphorylation cascade when epidermal growth factor (EGF) binds the EGF receptor (see Figure 9.10). Upon
phosphorylation, ERK enters the nucleus and activates a protein kinase that, in turn, regulates protein translation (Figure
9.14).
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Figure 9.14 ERK is a MAP kinase that activates translation when it is phosphorylated. ERK phosphorylates MNK1,
which in turn phosphorylates eIF-4E, an elongation initiation factor that, with other initiation factors, is associated with
mRNA. When eIF-4E becomes phosphorylated, the mRNA unfolds, allowing protein synthesis in the nucleus to begin.
See Figure 9.10 for the phosphorylation pathway that activates ERK.
The second kind of protein with which PKC can interact is a protein that acts as an inhibitor. An inhibitor is a molecule
that binds to a protein and prevents it from functioning or reduces its function. In this case, the inhibitor is a protein called
Iκ-B, which binds to the regulatory protein NF-κB. The symbol κ represents the Greek letter kappa. When Iκ-B is bound to
NF-κB, the complex cannot enter the nucleus of the cell, but when Iκ-B is phosphorylated by PKC, it can no longer bind
NF-κB, and NF-κB (a transcription factor) can enter the nucleus and initiate RNA transcription. In this case, the effect of
phosphorylation is to inactivate an inhibitor and thereby activate the process of transcription.
Cell Growth
Cell signaling pathways also play a major role in cell division. Cells do not normally divide unless they are stimulated
by signals from other cells. The ligands that promote cell growth are called growth factors. Most growth factors bind to
cell-surface receptors that are linked to tyrosine kinases. These cell-surface receptors are called receptor tyrosine kinases
(RTKs). Activation of RTKs initiates a signaling pathway that includes a G-protein called RAS, which activates the MAP
kinase pathway described earlier. The enzyme MAP kinase then stimulates the expression of proteins that interact with other
cellular components to initiate cell division.
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Cancer biologists study the molecular origins of cancer with the goal of developing new prevention methods
and treatment strategies that will inhibit the growth of tumors without harming the normal cells of the
body. As mentioned earlier, signaling pathways control cell growth. These signaling pathways are controlled
by signaling proteins, which are, in turn, expressed by genes. Mutations in these genes can result in
malfunctioning signaling proteins. This prevents the cell from regulating its cell cycle, triggering unrestricted
cell division and cancer. The genes that regulate the signaling proteins are one type of oncogene which is
a gene that has the potential to cause cancer. The gene encoding RAS is an oncogene that was originally
discovered when mutations in the RAS protein were linked to cancer. Further studies have indicated that
30 percent of cancer cells have a mutation in the RAS gene that leads to uncontrolled growth. If left
unchecked, uncontrolled cell division can lead tumor formation and metastasis, the growth of cancer cells in
new locations in the body.
Cancer biologists have been able to identify many other oncogenes that contribute to the development of
cancer. For example, HER2 is a cell-surface receptor that is present in excessive amounts in 20 percent
of human breast cancers. Cancer biologists realized that gene duplication led to HER2 overexpression in
25 percent of breast cancer patients and developed a drug called Herceptin (trastuzumab). Herceptin is
a monoclonal antibody that targets HER2 for removal by the immune system. Herceptin therapy helps to
control signaling through HER2. The use of Herceptin in combination with chemotherapy has helped to
increase the overall survival rate of patients with metastatic breast cancer.
More information on cancer biology research can be found at the National Cancer Institute website
(http://openstaxcollege.org/l/32NCI) .
Cell Death
When a cell is damaged, superfluous, or potentially dangerous to an organism, a cell can initiate a mechanism to trigger
programmed cell death, or apoptosis. Apoptosis allows a cell to die in a controlled manner that prevents the release of
potentially damaging molecules from inside the cell. There are many internal checkpoints that monitor a cell’s health; if
abnormalities are observed, a cell can spontaneously initiate the process of apoptosis. However, in some cases, such as a
viral infection or uncontrolled cell division, the cell’s normal checks and balances fail. External signaling can also initiate
apoptosis. For example, most normal animal cells have receptors that interact with the extracellular matrix, a network of
glycoproteins that provides structural support for cells in an organism. The binding of cellular receptors to the extracellular
matrix initiates a signaling cascade within the cell. However, if the cell moves away from the extracellular matrix, the
signaling ceases, and the cell undergoes apoptosis. This system keeps cells from traveling through the body and proliferating
out of control.
Another example of external signaling that leads to apoptosis occurs in T-cell development. T-cells are immune cells that
bind to foreign macromolecules and particles, and target them for destruction by the immune system. Normally, T-cells do
not target self proteins (those of their own organism), a process that can lead to autoimmune diseases. In order to develop
the ability to discriminate between self and non-self, immature T-cells undergo screening to determine whether they bind
to so-called self proteins. If the T-cell receptor binds to self proteins, the cell initiates apoptosis to remove the potentially
dangerous cell.
Apoptosis is also essential for normal embryological development. In vertebrates, for example, early stages of development
include the formation of web-like tissue between individual fingers and toes (Figure 9.15). During the course of normal
development, these unneeded cells must be eliminated, enabling fully separated fingers and toes to form. A cell signaling
mechanism triggers apoptosis, which destroys the cells between the developing digits.
410 Chapter 9 | Cell Communication
Figure 9.15 The histological section of a foot of a 15-day-old mouse embryo, visualized using light microscopy, reveals
areas of tissue between the toes, which apoptosis will eliminate before the mouse reaches its full gestational age at 27
days. (credit: modification of work by Michal Mañas)
Activity
Explain the mechanism by which a specific disease is caused by a defective signaling pathway. Then,
investigate online how a specific drug works by blocking a signaling pathway.
Section Summary
The initiation of a signaling pathway is a response to external stimuli. This response can take many different forms,
including protein synthesis, a change in the cell’s metabolism, cell growth, or even cell death. Many pathways influence
the cell by initiating gene expression, and the methods utilized are quite numerous. Some pathways activate enzymes
that interact with DNA transcription factors. Others modify proteins and induce them to change their location in the cell.
Depending on the status of the organism, cells can respond by storing energy as glycogen or fat, or making it available in the
form of glucose. A signal transduction pathway allows muscle cells to respond to immediate requirements for energy in the
form of glucose. Cell growth is almost always stimulated by external signals called growth factors. Uncontrolled cell growth
leads to cancer, and mutations in the genes encoding protein components of signaling pathways are often found in tumor
cells. Programmed cell death, or apoptosis, is important for removing damaged or unnecessary cells. The use of cellular
signaling to organize the dismantling of a cell ensures that harmful molecules from the cytoplasm are not released into
the spaces between cells, as they are in uncontrolled death, necrosis. Apoptosis also ensures the efficient recycling of the
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components of the dead cell. Termination of the cellular signaling cascade is very important so that the response to a signal
is appropriate in both timing and intensity. Degradation of signaling molecules and dephosphorylation of phosphorylated
intermediates of the pathway by phosphatases are two ways to terminate signals within the cell.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Essential 3.D.1 Cell communication processes share common features that reflect a shared
Knowledge evolutionary history.
Science 1.5 The student can re-express key elements of natural phenomena across multiple
Practice representations in the domain.
Learning 3.36 The student is able to describe a model that expresses the key elements of signal
Objective transduction pathways by which a signal is converted to a cellular response.
Essential 3.D.1 Cell communication processes share common features that reflect a shared
Knowledge evolutionary history.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 3.37 The student is able to justify claims based on scientific evidence that changes in signal
Objective transduction pathways can alter a cellular response.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.31]
• [APLO 3.37]
Within-cell signaling allows bacteria to respond to environmental cues, such as nutrient levels, some single-celled
organisms also release molecules to signal to each other.
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Signaling in Yeast
Yeasts are eukaryotes (fungi), and the components and processes found in yeast signals are similar to those of cell-surface
receptor signals in multicellular organisms. Budding yeasts (Figure 9.16) are able to participate in a process that is similar
to sexual reproduction that entails two haploid cells (cells with one-half the normal number of chromosomes) combining
to form a diploid cell (a cell with two sets of each chromosome, which is what normal body cells contain). In order to find
another haploid yeast cell that is prepared to mate, budding yeasts secrete a signaling molecule called mating factor. When
mating factor binds to cell-surface receptors in other yeast cells that are nearby, they stop their normal growth cycles and
initiate a cell signaling cascade that includes protein kinases and GTP-binding proteins that are similar to G-proteins.
Figure 9.16 Budding Saccharomyces cerevisiae yeast cells can communicate by releasing a signaling molecule
called mating factor. In this micrograph, they are visualized using differential interference contrast microscopy, a light
microscopy technique that enhances the contrast of the sample.
Signaling in Bacteria
Signaling in bacteria enables bacteria to monitor extracellular conditions, ensure that there are sufficient amounts of
nutrients, and ensure that hazardous situations are avoided. There are circumstances, however, when bacteria communicate
with each other.
The first evidence of bacterial communication was observed in a bacterium that has a symbiotic relationship with Hawaiian
bobtail squid. When the population density of the bacteria reaches a certain level, specific gene expression is initiated, and
the bacteria produce bioluminescent proteins that emit light. Because the number of cells present in the environment (cell
density) is the determining factor for signaling, bacterial signaling was named quorum sensing. In politics and business, a
quorum is the minimum number of members required to be present to vote on an issue.
Quorum sensing uses autoinducers as signaling molecules. Autoinducers are signaling molecules secreted by bacteria to
communicate with other bacteria of the same kind. The secreted autoinducers can be small, hydrophobic molecules such as
acyl-homoserine lactone, (AHL) or larger peptide-based molecules; each type of molecule has a different mode of action.
When AHL enters target bacteria, it binds to transcription factors, which then switch gene expression on or off (Figure
9.17). The peptide autoinducers stimulate more complicated signaling pathways that include bacterial kinases. The changes
in bacteria following exposure to autoinducers can be quite extensive. The pathogenic bacterium Pseudomonas aeruginosa
has 616 different genes that respond to autoinducers.
The formation of biofilms is an evolutionary advantage and has selected genes which enable cell-to-cell communication.
The formation of biofilms allow bacterial colonies to prevent antibacterial agents from penetrating the population residing
within the biofilm. As a result, it is difficult to treat these infections. The survival of these individuals allows the species to
continue to reproduce even in the presence of antibacterial agents, conferring an adaptive advantage.
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Figure 9.17 Autoinducers are small molecules or proteins produced by bacteria that regulate gene expression.
Some species of bacteria that use quorum sensing form biofilms, complex colonies of bacteria (often containing several
species) that exchange chemical signals to coordinate the release of toxins that will attack the host. Bacterial biofilms
(Figure 9.18) can sometimes be found on medical equipment; when biofilms invade implants such as hip or knee
replacements or heart pacemakers, they can cause life-threatening infections.
Think About It
Why is signaling in multicellular organisms more complicated than signaling in single-celled organisms such as
microbes?
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Figure 9.18 Cell-cell communication enables these (a) Staphylococcus aureus bacteria to work together to
form a biofilm inside a hospital patient’s catheter, seen here via scanning electron microscopy. S. aureus is the
main cause of hospital-acquired infections. (b) Hawaiian bobtail squid have a symbiotic relationship with the
bioluminescent bacteria Vibrio fischeri. The luminescence makes it difficult to see the squid from below because it
effectively eliminates its shadow. In return for camouflage, the squid provides food for the bacteria. Free-living V.
fischeri do not produce luciferase, the enzyme responsible for luminescence, but V. fischeri living in a symbiotic
relationship with the squid do. Quorum sensing determines whether the bacteria should produce the luciferase
enzyme. (credit a: modifications of work by CDC/Janice Carr; credit b: modifications of work by Cliff1066/Flickr)
Research on the details of quorum sensing has led to advances in growing bacteria for industrial purposes. Recent
discoveries suggest that it may be possible to exploit bacterial signaling pathways to control bacterial growth; this process
could replace or supplement antibiotics that are no longer effective in certain situations.
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Watch geneticist Bonnie Bassler discuss her discovery (http://openstaxcollege.org/l/bacteria_talk) of quorum sensing
in biofilm bacteria in squid.
What does bioluminescence show about communication in bacteria?
The first life on our planet consisted of single-celled prokaryotic organisms that had limited interaction with
each other. While some external signaling occurs between different species of single-celled organisms, the
majority of signaling within bacteria and yeasts concerns only other members of the same species. The
evolution of cellular communication is an absolute necessity for the development of multicellular organisms,
and this innovation is thought to have required approximately 2.5 billion years to appear in early life forms.
Yeasts are single-celled eukaryotes, and therefore have a nucleus and organelles characteristic of more
complex life forms. Comparisons of the genomes of yeasts, nematode worms, fruit flies, and humans
illustrate the evolution of increasingly complex signaling systems that allow for the efficient inner workings
that keep humans and other complex life forms functioning correctly.
Kinases are a major component of cellular communication, and studies of these enzymes illustrate the
evolutionary connectivity of different species. Yeasts have 130 types of kinases. More complex organisms
such as nematode worms and fruit flies have 454 and 239 kinases, respectively. Of the 130 kinase types
in yeast, 97 belong to the 55 subfamilies of kinases that are found in other eukaryotic organisms. The
only obvious deficiency seen in yeasts is the complete absence of tyrosine kinases. It is hypothesized that
phosphorylation of tyrosine residues is needed to control the more sophisticated functions of development,
differentiation, and cellular communication used in multicellular organisms.
Because yeasts contain many of the same classes of signaling proteins as humans, these organisms
are ideal for studying signaling cascades. Yeasts multiply quickly and are much simpler organisms than
humans or other multicellular animals. Therefore, the signaling cascades are also simpler and easier to
study, although they contain similar counterparts to human signaling.
Based on the Evolution Connection, which of the following best describes the evolution of kinases?
a. The tyrosine kinases evolved before yeast diverged from other eukaryotes, but the other 55 subfamilies of
kinases evolved after yeast diverged.
b. Fifty-five subfamilies of kinases evolved before yeast diverged from other eukaryotes, but the tyrosine
kinases evolved after yeast diverged.
c. All kinases evolved in yeast, but yeast later lost the tyrosine kinases because they do not need them.
d. The evolution of tyrosine kinases involved in cellular communication occurred about 2.5 billion years ago.
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Watch this collection (http://openstaxcollege.org/l/bacteria_bioflm) of interview clips with biofilm researchers in What
Are Bacterial Biofilms?
Recurrent urinary tract infections occur when the urinary tract becomes reinfected by the same bacteria. Why are
recurrent urinary infections difficult to treat?
a. Bacteria often form biofilms in recurrent infections and these may be more antibiotic resistant.
b. Bacteria rarely form biofilms in recurrent infections, making them more resistant to antibiotics than if they
were not in a biofilm.
d. Bacteria don't produce biofilms in recurrent infections but become resistant due to repeated exposure to
antibiotics.
Section Summary
Yeasts and multicellular organisms have similar signaling mechanisms. Yeasts use cell-surface receptors and signaling
cascades to communicate information on mating with other yeast cells. The signaling molecule secreted by yeasts is called
mating factor.
Bacterial signaling is called quorum sensing. Bacteria secrete signaling molecules called autoinducers that are either small,
hydrophobic molecules or peptide-based signals. The hydrophobic autoinducers, such as AHL, bind transcription factors
and directly affect gene expression. The peptide-based molecules bind kinases and initiate signaling cascades in the cells.
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KEY TERMS
apoptosis programmed cell death
autocrine signal signal that is sent and received by the same or similar nearby cells
autoinducer signaling molecule secreted by bacteria to communicate with other bacteria of its kind and others
cell-surface receptor cell-surface protein that transmits a signal from the exterior of the cell to the interior, even though
the ligand does not enter the cell
chemical synapse small space between axon terminals and dendrites of nerve cells where neurotransmitters function
cyclic AMP-dependent kinase (also, protein kinase A, or PKA) kinase that is activated by binding to cAMP
diacylglycerol (DAG) cleavage product of PIP2 that is used for signaling within the plasma membrane
dimerization (of receptor proteins) interaction of two receptor proteins to form a functional complex called a dimer
endocrine cell cell that releases ligands involved in endocrine signaling (hormones)
endocrine signal long-distance signal that is delivered by ligands (hormones) traveling through an organisms circulatory
system from the signaling cell to the target cell
enzyme-linked receptor cell-surface receptor with intracellular domains that are associated with membrane-bound
enzymes
extracellular domain region of a cell-surface receptor that is located on the cell surface
G-protein-linked receptor cell-surface receptor that activates membrane-bound G-proteins to transmit a signal from the
receptor to nearby membrane components
growth factor ligand that binds to cell-surface receptors and stimulates cell growth
inhibitor molecule that binds to a protein (usually an enzyme) and keeps it from functioning
inositol phospholipid lipid present at small concentrations in the plasma membrane that is converted into a second
messenger; it has inositol (a carbohydrate) as its hydrophilic head group
inositol triphosphate (IP3) cleavage product of PIP2 that is used for signaling within the cell
internal receptor (also, intracellular receptor) receptor protein that is located in the cytosol of a cell and binds to ligands
that pass through the plasma membrane
intracellular mediator (also, second messenger) small molecule that transmits signals within a cell
ion channel-linked receptor cell-surface receptor that forms a plasma membrane channel, which opens when a ligand
binds to the extracellular domain (ligand-gated channels)
kinase enzyme that catalyzes the transfer of a phosphate group from ATP to another molecule
ligand molecule produced by a signaling cell that binds with a specific receptor, delivering a signal in the process
mating factor signaling molecule secreted by yeast cells to communicate to nearby yeast cells that they are available to
mate and communicating their mating orientation
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neurotransmitter chemical ligand that carries a signal from one nerve cell to the next
paracrine signal signal between nearby cells that is delivered by ligands traveling in the liquid medium in the space
between the cells
phosphatase enzyme that removes the phosphate group from a molecule that has been previously phosphorylated
quorum sensing method of cellular communication used by bacteria that informs them of the abundance of similar (or
different) bacteria in the environment
second messenger small, non-protein molecule that propagates a signal within the cell after activation of a receptor
causes its release
signal integration interaction of signals from two or more different cell-surface receptors that merge to activate the same
response in the cell
signal transduction propagation of the signal through the cytoplasm (and sometimes also the nucleus) of the cell
signaling cell cell that releases signal molecules that allow communication with another cell
signaling pathway (also signaling cascade) chain of events that occurs in the cytoplasm of the cell to propagate the
signal from the plasma membrane to produce a response
synaptic signal chemical signal (neurotransmitter) that travels between nerve cells
target cell cell that has a receptor for a signal or ligand from a signaling cell
CHAPTER SUMMARY
9.1 Signaling Molecules and Cellular Receptors
Cells communicate by both inter- and intracellular signaling. Signaling cells secrete ligands that bind to target cells and
initiate a chain of events within the target cell. The four categories of signaling in multicellular organisms are paracrine
signaling, endocrine signaling, autocrine signaling, and direct signaling across gap junctions. Paracrine signaling takes
place over short distances. Endocrine signals are carried long distances through the bloodstream by hormones, and
autocrine signals are received by the same cell that sent the signal or other nearby cells of the same kind. Gap junctions
allow small molecules, including signaling molecules, to flow between neighboring cells.
Internal receptors are found in the cell cytoplasm. Here, they bind ligand molecules that cross the plasma membrane; these
receptor-ligand complexes move to the nucleus and interact directly with cellular DNA. Cell-surface receptors transmit a
signal from outside the cell to the cytoplasm. Ion channel-linked receptors, when bound to their ligands, form a pore
through the plasma membrane through which certain ions can pass. G-protein-linked receptors interact with a G-protein on
the cytoplasmic side of the plasma membrane, promoting the exchange of bound GDP for GTP and interacting with other
enzymes or ion channels to transmit a signal. Enzyme-linked receptors transmit a signal from outside the cell to an
intracellular domain of a membrane-bound enzyme. Ligand binding causes activation of the enzyme. Small hydrophobic
ligands (like steroids) are able to penetrate the plasma membrane and bind to internal receptors. Water-soluble hydrophilic
ligands are unable to pass through the membrane; instead, they bind to cell-surface receptors, which transmit the signal to
the inside of the cell.
Ligand binding to the receptor allows for signal transduction through the cell. The chain of events that conveys the signal
through the cell is called a signaling pathway or cascade. Signaling pathways are often very complex because of the
interplay between different proteins. A major component of cell signaling cascades is the phosphorylation of molecules by
enzymes known as kinases. Phosphorylation adds a phosphate group to serine, threonine, and tyrosine residues in a
protein, changing their shapes, and activating or inactivating the protein. Small molecules like nucleotides can also be
phosphorylated. Second messengers are small, non-protein molecules that are used to transmit a signal within a cell. Some
examples of second messengers are calcium ions (Ca2+), cyclic AMP (cAMP), diacylglycerol (DAG), and inositol
Chapter 9 | Cell Communication 419
triphosphate (IP3).
The initiation of a signaling pathway is a response to external stimuli. This response can take many different forms,
including protein synthesis, a change in the cell’s metabolism, cell growth, or even cell death. Many pathways influence
the cell by initiating gene expression, and the methods utilized are quite numerous. Some pathways activate enzymes that
interact with DNA transcription factors. Others modify proteins and induce them to change their location in the cell.
Depending on the status of the organism, cells can respond by storing energy as glycogen or fat, or making it available in
the form of glucose. A signal transduction pathway allows muscle cells to respond to immediate requirements for energy
in the form of glucose. Cell growth is almost always stimulated by external signals called growth factors. Uncontrolled
cell growth leads to cancer, and mutations in the genes encoding protein components of signaling pathways are often
found in tumor cells. Programmed cell death, or apoptosis, is important for removing damaged or unnecessary cells. The
use of cellular signaling to organize the dismantling of a cell ensures that harmful molecules from the cytoplasm are not
released into the spaces between cells, as they are in uncontrolled death, necrosis. Apoptosis also ensures the efficient
recycling of the components of the dead cell. Termination of the cellular signaling cascade is very important so that the
response to a signal is appropriate in both timing and intensity. Degradation of signaling molecules and dephosphorylation
of phosphorylated intermediates of the pathway by phosphatases are two ways to terminate signals within the cell.
Yeasts and multicellular organisms have similar signaling mechanisms. Yeasts use cell-surface receptors and signaling
cascades to communicate information on mating with other yeast cells. The signaling molecule secreted by yeasts is called
mating factor.
Bacterial signaling is called quorum sensing. Bacteria secrete signaling molecules called autoinducers that are either small,
hydrophobic molecules or peptide-based signals. The hydrophobic autoinducers, such as AHL, bind transcription factors
and directly affect gene expression. The peptide-based molecules bind kinases and initiate signaling cascades in the cells.
REVIEW QUESTIONS
1. Which of the following properties prevents the ligands of cell-surface receptors from entering the cell?
a. The molecules bind to the extracellular domain.
b. The molecules are hydrophilic and cannot penetrate the hydrophobic interior of the plasma membrane.
c. The molecules are attached to transport proteins that deliver them through the bloodstream to target cells.
d. The ligands are able to penetrate the membrane, directly influencing gene expression upon receptor binding.
2. The secretion of hormones by the pituitary gland is an example of which type of signaling?
a. autocrine signaling
b. direct signaling across gap junctions
c. endocrine signaling
d. paracrine signaling
3. Why are ion channels necessary to transport ions into or out of a cell?
a. Ions are too large to diffuse through the membrane.
b. Ions are charged particles and cannot diffuse through the hydrophobic interior of the membrane.
c. Ions bind to hydrophobic molecules within the ion channels.
d. Ions bind to carrier proteins in the bloodstream, which must be removed before transport into the cell.
4. Why are endocrine signals transmitted more slowly than paracrine signals?
a. The ligands are transported through the bloodstream and travel greater distances.
b. The target and signaling cells are close together.
c. The ligands are degraded rapidly.
d. The ligands do not bind to carrier proteins during transport.
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5. Aldosterone is a steroid hormone that regulates reabsorption of sodium ions in the kidney tubular cells. What is the
probable mechanism of action of aldosterone?
a. It binds gated ion channels and causes a flow of ions in the cell.
b. It binds cell surface receptors and activates synthesis of cAMP.
c. It binds to cell surface receptors and activates a phosphorylation cascade.
d. It binds to an intracellular receptor and activates gene transcription.
6. The gas nitric oxide has been identified as a signaling molecule. Which of the following mechanisms of action would
you expect from a gaseous molecule?
a. It binds to a G-protein-linked receptor.
b. It binds to a receptor tyrosine kinase.
c. It binds to a gated ion channel.
d. It binds to an intracellular receptor.
7. Where do DAG and IP3 originate?
a. They are formed by phosphorylation of cAMP.
b. They are ligands expressed by signaling cells.
c. They are hormones that diffuse through the plasma membrane to stimulate protein production.
d. They are the cleavage products of the inositol phospholipid, PIP2.
8. What property enables the residues of the amino acids serine, threonine, and tyrosine to be phosphorylated?
a. They are polar.
b. They are nonpolar.
c. They contain a hydroxyl group.
d. They occur more frequently in the amino acid sequence of signaling proteins.
9. Dopamine is a neurotransmitter in the brain that causes long-term responses in neurons and binds to a G-protein-linked
receptor. Which of the following chemicals would you expect to increase in concentration after dopamine binds its
receptor?
a. ATP
b. cAMP
c. calcium ions
d. sodium ions
10. The hormone insulin binds to a receptor tyrosine kinase on the surface of target cells. Which of the following steps
takes place before phosphorylation of tyrosine residues?
a. A tyrosine kinase enzyme must be activated.
b. GDP is exchanged for GTP.
c. The receptor forms a dimer.
d. The insulin molecule is internalized in the cytoplasm.
11. What is the function of a phosphatase?
a. A phosphatase removes phosphorylated amino acids from proteins.
b. A phosphatase removes the phosphate group from phosphorylated amino acid residues in a protein.
c. A phosphatase phosphorylates serine, threonine, and tyrosine residues.
d. A phosphatase degrades second messengers in the cell.
12. How does NF-κB induce gene expression?
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20. Most antibiotics used in the clinic today function by inhibiting intracellular or membrane proteins found in bacterial
cells. Would targeting secreted autoinducers be another viable method of treating bacterial infections? Explain.
a. It would activate the pathway normally triggered by the receptor that contributed the intracellular domain.
b. It would activate the same pathway even after the intracellular domain is changed with the domain from another
receptor.
c. The receptor will be mutated and become non-functional, not activating any pathway.
d. The receptor will become mutated and lead to continuous cell signaling, even in the absence of a ligand.
26. Explain how a chemical that blocks the binding of EGF to the EGFR would interfere with the replication of cancerous
cells that overexpress EGFR.
a. It will activate the EGFR pathway.
b. It will block the EGFR pathway.
c. It will have no effect and the EGFR pathway will continue normally
d. It will lead to overexpression of the EGFR pathway
27. How does the extracellular matrix control the growth of cells?
a. Contact of receptors with the extracellular matrix maintains equilibrium of the cell and provides optimal pH for
the growth of the cells.
b. Contact of the receptor with the extracellular matrix helps maintain concentration gradients across membrane,
resulting in the flow of ions.
c. The extracellular matrix provides nutrients for the cell.
d. The extracellular matrix connects the cell to the external environment and ensures correct positioning of the cell
to prevent metastasis.
28. Give an example for each one of the following effects of a cell signal: on protein expression, cellular metabolism, and
cell division.
a. protein expression: binding of epinephrine (adrenaline) to a G-protein-linked receptor; cellular metabolism: the
MAP-kinase cascade; cell division: promoted by the binding of the EGF to its receptor tyrosine kinase
b. protein expression: the MAP-kinase cascade; cellular metabolism- binding of epinephrine (adrenaline) to a G-
protein-linked receptor; cell division promoted by the binding of the EGF to its receptor tyrosine kinase
c. protein expression: binding of the EGF to its receptor tyrosine kinase; cellular metabolism: the MAP-kinase
cascade; cell division: FAS-RAS signaling.
d. protein expression: RAS signaling; cellular metabolism: binding of the EGF to its receptor tyrosine kinase
promotes an increase; cell division: binding of epinephrine (adrenaline) to a G-protein-linked receptor.
29. The mitogen-activated protein (MAP) kinase cascade triggered by RTKs results in cell division. Create a few possible
scenarios of abnormalities in the MAPK pathway leading to uncontrolled cell proliferation.
a. gain of function mutation in RAS protein, mutation in Iκ-B, loss of function mutation in genes for MAPK kinase
pathway, regulated phosphorylation cascade
b. loss of function mutation in RAS protein and gain of function mutation in RAF protein, Iκ-B permanently bound
to NF-κB, regulated phosphorylation cascade
c. RAS protein unable to hydrolyze its bound GTP, loss of function mutation in Iκ-B, gain of function mutation in
genes for MAPK kinase pathway, unregulated phosphorylation cascade
d. unregulated phosphorylation cascade, loss of function mutation in RAS and RAF protein, mutation in genes for
MAPK kinase pathway, regulated phosphorylation cascade
30. What characteristics make yeast a good model for learning about signaling in humans?
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a. Yeasts are prokaryotes. They have a short life cycle, easy to grow, and share similarities with humans in certain
regulating mechanisms.
b. Yeasts are eukaryotes. They have a short life cycle, easy to grow, and share similarities with humans in certain
regulating mechanisms.
c. Yeasts are single-celled organisms. They have a short life cycle, easy to grow, and share similarities with humans
in certain regulating mechanisms.
d. Yeasts are single celled organisms. They have a complex life cycle like that of humans and share similarities in
regulating mechanisms.
31. Why is signaling in multicellular organisms more complicated than signaling in single-celled organisms?
a. Multicellular organisms coordinate between distantly located cells; single-celled organisms communicate only
with nearby cells.
b. Multicellular organisms involve receptors for signaling; single-celled organisms communicate by fusion of
plasma membrane with the nearby cells.
c. Multicellular organisms require more time for signal transduction than single-celled organisms, as they show
compartmentalization.
d. Multicellular organisms require more time for signal transduction than single-celled organisms, as they lack
compartmentalization.
32. Support the hypothesis that signaling pathways appeared early in evolution and are well-conserved using the yeast
mating factor as an example.
a. Signaling in yeast uses the RTK pathway and is evolutionarily conserved, like epinephrine signaling in humans.
b. Signaling in yeast uses G-protein coupled receptors for signaling and is evolutionarily conserved, like
epinephrine signaling in humans.
c. Signaling in yeast uses an endocrine pathway and is evolutionarily conserved, like epinephrine signaling in
humans.
d. Mating factor in yeast uses an autocrine signaling pathway and is evolutionarily conserved, like epinephrine
signaling in humans.
42. Common medications called β-blockers bind to G-protein-linked receptors in heart muscles, blocking adrenaline. They
are prescribed to patients with high blood pressure. Can you formulate a hypothesis on their mechanism of action?
a. Adrenaline has a stimulatory effect on heart rate and blood pressure. β-blockers are antagonistic to adrenaline
and produces inhibitory effect.
b. Adrenaline has both a stimulatory and an inhibitory effect on heart rate and blood pressure. β-blockers bind to
G-protein and stimulate the inhibitory effect of adrenaline.
c. Adrenaline has an inhibitory effect on heart rate and blood pressure. β-blockers have a synergistic effect along
with adrenaline producing an inhibitory effect.
d. Adrenaline has both a stimulatory and an inhibitory effect on heart rate and blood pressure. β-blockers bind to
G-protein and intervene with the inhibitory effect of adrenaline.
Figure 9.19
Use this representation to describe the following stages in this signaling process:
A. between A and B
B. between B and C
C. between C and D
D. between D and E
E. between E and A
44. Tyrosine kinase receptors are pairs of proteins that span the plasma membrane. On the extracellular side of the
membrane, one or more sites are present that bind to signaling ligands such as insulin or growth factors. On the
intracellular side, the ends of peptide chains on each protein phosphorylate the other member of the pair, providing active
docking sites that initiate cellular responses. The signal is switched off by dissociation of the ligand. For each ligand-
receptor system, the equilibrium constant, k, controls the distribution of receptor-bound and unbound ligands. In systems
with large values of k, a site is likely to be occupied, even at low concentrations of ligand. When k is small, the likelihood
of binding is low, even when the concentration of ligand is high. To initiate a new stimulus response cycle for the receptor,
the ligand must dissociate. Larger values of k mean that the receptor is more likely to be occupied and thus unavailable to
bind another ligand.
Some ligand-binding systems have multiple binding sites. For example, hemoglobin binds four oxygen molecules,
whereas myoglobin has only a single binding site. When multiple binding sites are present, the presence of an already-
bound ligand can cooperatively affect the binding of other ligands on the same protein. For hemoglobin, the binding is
positively cooperative. The affinity of oxygen for heme increases as the number of bound oxygen molecules increases.
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Figure 9.20
A. Describe the features in the graph above for hemoglobin that demonstrate positive cooperativity.
B. The insulin receptor (IR) is a tyrosine kinase receptor that has two sites to which insulin can attach. IR is
negatively cooperative. In the diagram above, the dependence of the bound fraction on available insulin is
similar to the curve for k = 1 with negative cooperativity. Describe the features of this curve in the graph above
that demonstrate negative cooperativity.
C. When viewed from above the cell-surface, the representation shows receptors with one and two bound insulin
molecules. Explain the negative cooperation for this receptor based on the free energy of conformational
changes in the receptor-peptide chains.
D. Figure 9.21
E. Explain the advantages in terms of selection of two-site binding with negative cooperation relative to one-site
binding.
F. Three binding curves with negative cooperativity and different values of k are shown on the graph. Describe
conditions in which there is an advantage in having a low value of k with negative cooperativity.
45. Organisms, including plants, have evolved chemical signaling pathways to direct physiological responses to
environmental changes. Stomata are pores, typically on the underside of leaves that regulate CO 2, O2, and H2O exchange
between plants and the external environment. This interaction controls photosynthetic rate and transpiration rate. The
opening and closing of stomata are controlled by specialized guard cells that surround the stomatal pore. The osmotic state
within the guard cells determines their turgor; when the guard cells are flaccid, stomata close. Turgor in the guard cells is
regulated by the active transport of several ions, including K+ and H+, across the plasma membrane. Several
environmental factors can cause stomatal closing: water deficit, darkness, microbes, ozone, and sulfur dioxide and other
pollutants. Intracellular carbon dioxide concentration and light can trigger stomata to open.
The system is regulated by a phytohormone (plant hormone) called abscisic acid (ABA) and the amino acid precursor of
the synthesis of a second phytohormone called ethylene (ACC). The second messengers NO and Ca 2+ in the signal
response to changes in the concentrations of these hormones activate transcription factors that affect ion transport across
guard cell membranes. High CO2 levels and light also alter phytohormone concentrations.
A. Explain why plants must regulate the opening and closing of stomata. Explain how this response relates to the capture
of free energy for cellular processes.
B. Construct an explanation in terms of the water potential, Y, for the efflux (outward flow) of H+ during water stress
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(drought).
C. Consider a scenario involving environmental factors, such as water stress and daylight, which have opposing effects on
the opening and closing of stomata; stomata would be signaled to close under drought conditions and to open during
photosynthesis. Pose two scientific questions regarding the response of the system, one involving the phytohormones
ABA and ACC, and the second involving the concentration of second messengers.
D. The data shown in the table below were obtained by treating rockcress (Arabidopsis) with doses of ABA, ACC, and
ABA plus ACC. Using the terms and and or, describe the expected and unexpected responses of the system just after 10
minutes and around 45 minutes, as displayed by these data.
Figure 9.22
E. Researchers are investigating the interactions among multiple signaling pathways, a phenomenon referred to as
“crosstalk.” The same second messengers, NO and Ca2+, are used in many different signaling pathways. Construct an
explanation by analogy to other phenomena in which combining a small set of events (for example, 0 and 1 in a computer,
the musical scale, or the R, G, and B components of a color) can lead to a vast assortment of outcomes.
46. Construct a graphical representation of information as a function of time during the transduction of a signal along a
signaling pathway.
A. Use your graph to describe trends in the amount of information rather than the actual magnitude. In sketching your
graph, consider how the shape of the curve would change during these events:
i. extracellular first messenger
ii. receptor binding and conformational changes
iii. release of second messengers
iv. cellular responses
v. halt signal and degrade intermediates
B. Annotate your representation for a specific signaling system, such as the effect of epinephrine on the free energy
released from glucose.
47. Bacteria and fungi produce several extracellular chemicals, including antibiotics that affect other organisms in the
environment. Antibiotics also are produced industrially in large bacteria-containing fermentation tanks. However,
antibiotics that have been used by humans to control microbes are now found at subinhibitory concentrations in the
environment. Low levels of antibiotics in the environment are mutagenic for bacteria and promote the development of
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antibiotic resistance.
Bacteria produce chemical signals that detect population density and regulate gene expression, a phenomenon called
quorum sensing. Density is signaled by the extracellular concentration of small amino acid derivatives. To combat
antibiotic resistance, an emerging strategy for the control of bacterial disease is quorum quenching.
A. Describe the advantage of antibiotics to the organisms that produce them.
B. Based on the name of the emerging strategy for controlling bacterial infections, describe a possible mechanism by
which bacteria determine their population density. Justify the claim that quorum quenching may provide a more
sustainable approach to disease control than the use of antibiotics.
REFERENCES
10 | CELL
REPRODUCTION
Figure 10.1 A sea urchin begins life as a single cell that (a) divides to form two cells, visible by scanning electron
microscopy. After four rounds of cell division, (b) there are 16 cells, as seen in this SEM image. After many rounds
of cell division, the individual develops into a complex, multicellular organism, as seen in this (c) mature sea urchin.
(credit a: modification of work by Evelyn Spiegel, Louisa Howard; credit b: modification of work by Evelyn Spiegel,
Louisa Howard; credit c: modification of work by Marco Busdraghi; scale-bar data from Matt Russell)
Chapter Outline
10.1: Cell Division
10.2: The Cell Cycle
10.3: Control of the Cell Cycle
10.4: Cancer and the Cell Cycle
10.5: Prokaryotic Cell Division
Introduction
A human, as well as every sexually reproducing organism, begins life as a fertilized egg (embryo) or zygote. Trillions
of cell divisions subsequently occur in a controlled manner to produce a complex, multicellular human. In other words,
that original single cell is the ancestor of every other cell in the body. Once a being is fully grown, cell reproduction is
still necessary to repair or regenerate tissues. For example, new blood and skin cells are constantly being produced. All
multicellular organisms use cell division for growth, maintenance, and repair of tissues. Cell division is tightly regulated,
and the occasional failure of regulation can have life-threatening consequences. Single-celled organisms use cell division as
their method of reproduction.
Not all cells in the body reproduce to repair tissues. Most nerve tissues, for example, are not capable of regeneration. This
means people who have damaged their nerves or nervous system are often left paralyzed.
However, this may change in the future; scientists have discovered a new drug called intracellular signal peptide (ISP),
which helps nerve cells regenerate in rats. It works by blocking an enzyme that causes scar tissue in damaged nerve cells
allowing the nervous system a chance to repair itself. The full research study is located here (http://openstaxcollege.org/l/
32scar) .
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases, RNA are
Objective
the primary sources of heritable information.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 13 Mitosis and Meiosis
The continuity of life from one cell to another has its foundation in the reproduction of cells by way of the cell cycle. The
cell cycle is an orderly sequence of events that describes the stages of a cell’s life from the division of a single parent cell to
the production of two new daughter cells. The mechanisms involved in the cell cycle are highly regulated.
Genomic DNA
Before discussing the steps a cell must undertake to replicate, a deeper understanding of the structure and function of a
cell’s genetic information is necessary. A cell’s DNA, packaged as a double-stranded DNA molecule, is called its genome.
In prokaryotes, the genome is composed of a single, double-stranded DNA molecule in the form of a loop or circle (Figure
10.2). The region in the cell containing this genetic material is called a nucleoid. Some prokaryotes also have smaller loops
of DNA called plasmids that are not essential for normal growth. Bacteria can exchange these plasmids with other bacteria,
sometimes receiving beneficial new genes that the recipient can add to their chromosomal DNA. Antibiotic resistance is
one trait that often spreads through a bacterial colony through plasmid exchange.
Chapter 10 | Cell Reproduction 433
Figure 10.2 Prokaryotes, including bacteria and archaea, have a single, circular chromosome located in a central
region called the nucleoid.
In eukaryotes, the genome consists of several double-stranded linear DNA molecules (Figure 10.3). Each species of
eukaryotes has a characteristic number of chromosomes in the nuclei of its cells. Human body cells have 46 chromosomes,
while human gametes (sperm or eggs) have 23 chromosomes each. A typical body cell, or somatic cell, contains two
matched sets of chromosomes, a configuration known as diploid. The letter n is used to represent a single set of
chromosomes; therefore, a diploid organism is designated 2n. Human cells that contain one set of chromosomes are called
gametes, or sex cells; these are eggs and sperm, and are designated 1n, or haploid.
Figure 10.3 There are 23 pairs of homologous chromosomes in a female human somatic cell. The condensed
chromosomes are viewed within the nucleus (top), removed from a cell in mitosis and spread out on a slide (right),
and artificially arranged according to length (left); an arrangement like this is called a karyotype. In this image,
the chromosomes were exposed to fluorescent stains for differentiation of the different chromosomes. A method of
staining called “chromosome painting” employs fluorescent dyes that highlight chromosomes in different colors. (credit:
National Human Genome Project/NIH)
Matched pairs of chromosomes in a diploid organism are called homologous (same knowledge) chromosomes.
Homologous chromosomes are the same length and have specific nucleotide segments called genes in exactly the same
location, or locus. Genes, the functional units of chromosomes, determine specific characteristics by coding for specific
proteins. Traits are the variations of those characteristics. For example, hair color is a characteristic with traits that are
blonde, brown, or black.
Each copy of a homologous pair of chromosomes originates from a different parent; therefore, the genes themselves are
not identical. The variation of individuals within a species is due to the specific combination of the genes inherited from
both parents. Even a slightly altered sequence of nucleotides within a gene can result in an alternative trait. For example,
there are three possible gene sequences on the human chromosome that code for blood type: sequence A, sequence B, and
sequence O. Because all diploid human cells have two copies of the chromosome that determines blood type, the blood type
434 Chapter 10 | Cell Reproduction
(the trait) is determined by which two versions of the marker gene are inherited. It is possible to have two copies of the
same gene sequence on both homologous chromosomes, with one on each (for example, AA, BB, or OO), or two different
sequences, such as AB.
Minor variations of traits, such as blood type, eye color, and handedness, contribute to the natural variation found within
a species. However, if the entire DNA sequence from any pair of human homologous chromosomes is compared, the
difference is less than one percent. The sex chromosomes, X and Y, are the single exception to the rule of homologous
chromosome uniformity: Other than a small amount of homology that is necessary to accurately produce gametes, the genes
found on the X and Y chromosomes are different.
Figure 10.4 Double-stranded DNA wraps around histone proteins to form nucleosomes that have the appearance
of beads on a string. The nucleosomes are coiled into a 30-nm chromatin fiber. When a cell undergoes mitosis, the
chromosomes condense even further.
DNA replicates in the S phase of interphase. After replication, the chromosomes are composed of two linked sister
chromatids. When fully compact, the pairs of identically packed chromosomes are bound to each other by cohesin proteins.
The connection between the sister chromatids is closest in a region called the centromere. The conjoined sister chromatids,
with a diameter of about 1 µm, are visible under a light microscope. The centromeric region is highly condensed and thus
will appear as a constricted area.
436 Chapter 10 | Cell Reproduction
Think About It
What is the relationship between a genome and chromosomes?
Section Summary
Prokaryotes have a single circular chromosome composed of double-stranded DNA, whereas eukaryotes have multiple,
linear chromosomes composed of chromatin surrounded by a nuclear membrane. The 46 chromosomes of human somatic
cells are composed of 22 pairs of autosomes (matched pairs) and a pair of sex chromosomes, which may or may not be
matched. This is the 2n or diploid state. Human gametes have 23 chromosomes or one complete set of chromosomes;
a set of chromosomes is complete with either one of the sex chromosomes. This is the n or haploid state. Genes are
segments of DNA that code for a specific protein. An organism’s traits are determined by the genes inherited from each
parent. Duplicated chromosomes are composed of two sister chromatids. Chromosomes are compacted using a variety of
mechanisms during certain stages of the cell cycle. Several classes of protein are involved in the organization and packing
of the chromosomal DNA into a highly condensed structure. The condensing complex compacts chromosomes, and the
resulting condensed structure is necessary for chromosomal segregation during mitosis.
and replication of DNA. The cell’s DNA is replicated during the S stage. (We will study the details of DNA replication in
the chapter on DNA structure and function.) Following the G2 stage of interphase, the cell begins mitosis, the process of
active division by which duplicated chromosomes (chromatids) attach to spindle fibers, align themselves along the equator
of the cell, and then separate from each other.
Following mitosis, the cell undergoes cytokinesis, the splitting of the parent cell into two daughter cells, complete with a
full complement of genetic material. In animal cells, daughter cells are separated by an actin ring, whereas plant cells are
separated by the cell plate, which will grow into a new cell wall. Sometimes cells enter a Gap zero (G0) phase, during which
they do not actively prepare to divide; the G0 phase can be temporary until triggered by an external signal to enter G1, or
permanent, such as mature cardiac muscle cells and nerve cells.
Information presented and the examples highlighted in the section support concepts and Learning Objectives outlined
in Big Idea 3 of the AP® Biology Curriculum Framework, as shown in the tables. The Learning Objectives listed in
the Curriculum Framework provide a transparent foundation for the AP® Biology course, an inquiry-based laboratory
experience, instructional activities, and AP® exam questions. A Learning Objective merges required content with one or
more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.7 The student can make predictions about natural phenomena occurring during the cell
Objective cycle.
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning
3.8 The student can describe the events that occur in the cell cycle.
Objective
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 3.11 The student is able to evaluate evidence provided by data sets to support the claim that
Objective heritable information is passed from one generation to another generation through mitosis.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.35]
• [APLO 2.15]
• [APLO 2.19]
• [APLO 3.11]
• [APLO 2.33]
• [APLO 2.36]
438 Chapter 10 | Cell Reproduction
• [APLO 2.37]
• [APLO 2.31]
The cell cycle is an ordered series of events involving cell growth and cell division that produces two new daughter cells.
Cells on the path to cell division proceed through a series of precisely timed and carefully regulated stages of growth,
DNA replication, and division that produces two identical (clone) cells. The cell cycle has two major phases: interphase and
the mitotic phase (Figure 10.5). During interphase, the cell grows and DNA is replicated. During the mitotic phase, the
replicated DNA and cytoplasmic contents are separated, and the cell divides.
Figure 10.5 The cell cycle consists of interphase and the mitotic phase. During interphase, the cell grows and the
nuclear DNA is duplicated. Interphase is followed by the mitotic phase. During the mitotic phase, the duplicated
chromosomes are segregated and distributed into daughter nuclei. The cytoplasm is usually divided as well, resulting
in two daughter cells.
Interphase
During interphase, the cell undergoes normal growth processes while also preparing for cell division. In order for a cell
to move from interphase into the mitotic phase, many internal and external conditions must be met. The three stages of
interphase are called G1, S, and G2.
G1 Phase (First Gap)
The first stage of interphase is called the G1 phase (first gap) because, from a microscopic aspect, little change is visible.
However, during the G1 stage, the cell is quite active at the biochemical level. The cell is accumulating the building blocks
of chromosomal DNA and the associated proteins as well as accumulating sufficient energy reserves to complete the task
of replicating each chromosome in the nucleus.
S Phase (Synthesis of DNA)
Throughout interphase, nuclear DNA remains in a semi-condensed chromatin configuration. In the S phase, DNA
replication can proceed through the mechanisms that result in the formation of identical pairs of DNA molecules—sister
chromatids—that are firmly attached to the centromeric region. The centrosome is duplicated during the S phase. The two
centrosomes will give rise to the mitotic spindle, the apparatus that orchestrates the movement of chromosomes during
mitosis. At the center of each animal cell, the centrosomes of animal cells are associated with a pair of rod-like objects, the
centrioles, which are at right angles to each other. Centrioles help organize cell division. Centrioles are not present in the
centrosomes of other eukaryotic species, such as plants and most fungi.
Chapter 10 | Cell Reproduction 439
a. Colchicine increases inflammation by inhibiting mitosis. Inhibition of mitosis results in decreased white
blood count.
b. Colchicine decreases inflammation by inhibiting mitosis. Inhibition of mitosis results in decreased white
blood count.
c. Colchicine increases inflammation by inhibiting mitosis. Inhibition of mitosis results in increased white
blood count.
d. Colchicine decreases inflammation by inhibiting mitosis. Inhibition of mitosis results in increased white
blood count.
Karyokinesis (Mitosis)
Karyokinesis, also known as mitosis, is divided into a series of phases—prophase, prometaphase, metaphase, anaphase, and
telophase—that result in the division of the cell nucleus (Figure 10.7).
440 Chapter 10 | Cell Reproduction
These budding plants demonstrate asexual reproduction, one of the main purposes of mitosis. The other
two purposes are growth and repair.
Figure 10.6
Which of the following statements best describes the relationship between mitosis and asexual reproduction?
a. Mitosis is a process that can result in asexual reproduction.
b. Mitosis is a process that always results in asexual reproduction.
c. Asexual reproduction is a process that always results in mitosis.
d. Asexual reproduction is a process that can result in mitosis.
Chapter 10 | Cell Reproduction 441
Figure 10.7 Karyokinesis (or mitosis) is divided into five stages—prophase, prometaphase, metaphase,
anaphase, and telophase. The pictures at the bottom were taken by fluorescence microscopy (hence, the black
background) of cells artificially stained by fluorescent dyes: blue fluorescence indicates DNA (chromosomes)
and green fluorescence indicates microtubules (spindle apparatus). (credit mitosis drawings: modification of work
by Mariana Ruiz Villareal; credit micrographs: modification of work by Roy van Heesbeen; credit cytokinesis
micrograph: Wadsworth Center/New York State Department of Health; scale-bar data from Matt Russell)
During prophase, the first phase, the nuclear envelope starts to dissociate into small vesicles, and the membranous
organelles (such as the Golgi complex or Golgi apparatus, and endoplasmic reticulum), fragment and disperse toward
the periphery of the cell. The nucleolus disappears (disperses). The centrosomes begin to move to opposite poles of the
cell. Microtubules that will form the mitotic spindle extend between the centrosomes, pushing them farther apart as the
microtubule fibers lengthen. The sister chromatids begin to coil more tightly with the aid of condensin proteins and become
visible under a light microscope.
During prometaphase, the first change phase, many processes that were begun in prophase continue to advance. The
442 Chapter 10 | Cell Reproduction
remnants of the nuclear envelope fragment. The mitotic spindle continues to develop as more microtubules assemble and
stretch across the length of the former nuclear area. Chromosomes become more condensed and discrete. Each sister
chromatid develops a protein structure called a kinetochore in the centromeric region (Figure 10.8). The proteins of
the kinetochore attract and bind mitotic spindle microtubules. As the spindle microtubules extend from the centrosomes,
some of these microtubules come into contact with and firmly bind to the kinetochores. Once a mitotic fiber attaches
to a chromosome, the chromosome will be oriented until the kinetochores of sister chromatids face the opposite poles.
Eventually, all the sister chromatids will be attached via their kinetochores to microtubules from opposing poles. Spindle
microtubules that do not engage the chromosomes are called polar microtubules. These microtubules overlap each other
midway between the two poles and contribute to cell elongation. Astral microtubules are located near the poles, aid in
spindle orientation, and are required for the regulation of mitosis.
Figure 10.8 During prometaphase, mitotic spindle microtubules from opposite poles attach to each sister chromatid at
the kinetochore. In anaphase, the connection between the sister chromatids breaks down, and the microtubules pull
the chromosomes toward opposite poles.
During metaphase, the change phase, all the chromosomes are aligned in a plane called the metaphase plate, or the
equatorial plane, midway between the two poles of the cell. The sister chromatids are still tightly attached to each other by
cohesin proteins. At this time, the chromosomes are maximally condensed.
During anaphase, the upward phase, the cohesin proteins degrade, and the sister chromatids separate at the centromere.
Each chromatid, now called a chromosome, is pulled rapidly toward the centrosome to which its microtubule is attached.
The cell becomes visibly elongated (oval shaped) as the polar microtubules slide against each other at the metaphase plate
where they overlap.
During telophase, the distance phase, the chromosomes reach the opposite poles and begin to decondense (unravel),
relaxing into a chromatin configuration. The mitotic spindles are depolymerized into tubulin monomers that will be
used to assemble cytoskeletal components for each daughter cell. Nuclear envelopes form around the chromosomes, and
nucleosomes appear within the nuclear area.
Cytokinesis
Cytokinesis, or cell motion, is the second main stage of the mitotic phase during which cell division is completed via
the physical separation of the cytoplasmic components into two daughter cells. Division is not complete until the cell
components have been apportioned and completely separated into the two daughter cells. Although the stages of mitosis are
similar for most eukaryotes, the process of cytokinesis is quite different for eukaryotes that have cell walls, such as plant
cells.
In cells such as animal cells that lack cell walls, cytokinesis follows the onset of anaphase. A contractile ring composed of
actin filaments forms just inside the plasma membrane at the former metaphase plate. The actin filaments pull the equator
of the cell inward, forming a fissure. This fissure, or crack, is called the cleavage furrow. The furrow deepens as the actin
ring contracts, and eventually the membrane is cleaved in two (Figure 10.9).
In plant cells, a new cell wall must form between the daughter cells. During interphase, the Golgi apparatus accumulates
enzymes, structural proteins, and glucose molecules prior to breaking into vesicles and dispersing throughout the dividing
cell. During telophase, these Golgi vesicles are transported on microtubules to form a phragmoplast (a vesicular structure) at
the metaphase plate. There, the vesicles fuse and coalesce from the center toward the cell walls; this structure is called a cell
plate. As more vesicles fuse, the cell plate enlarges until it merges with the cell walls at the periphery of the cell. Enzymes
Chapter 10 | Cell Reproduction 443
use the glucose that has accumulated between the membrane layers to build a new cell wall. The Golgi membranes become
parts of the plasma membrane on either side of the new cell wall (Figure 10.9).
Figure 10.9 During cytokinesis in animal cells, a ring of actin filaments forms at the metaphase plate. The ring
contracts, forming a cleavage furrow, which divides the cell in two. In plant cells, Golgi vesicles coalesce at the former
metaphase plate, forming a phragmoplast. A cell plate formed by the fusion of the vesicles of the phragmoplast grows
from the center toward the cell walls, and the membranes of the vesicles fuse to form a plasma membrane that divides
the cell in two.
444 Chapter 10 | Cell Reproduction
Activity
• Use a set of pipe cleaners (or other materials as directed by your teacher) that you can use to model
chromosomes during mitosis and meiosis:
1. Each of the pipe cleaners represents a single, unreplicated chromosome. Each chromosome
should differ in size, as they do in most organisms. Assume that your dividing cell contains three
chromosomes: numbered chromosome 1, 2, and 3.
2. Using both members of each homologous pair for chromosomes 1–3, model how the
chromosomes would appear in a cell that had just finished the S phase of the cell cycle. Once
your teacher has approved your model, have one member of your group document the model by
photographing or drawing it.
3. Now, repeat step 2 but show the cell at metaphase during mitosis.
4. Finally, model the two daughter cells that will result from mitosis. Again, have one member of your
group document the model.
5. Repeat steps 2–5 for both meiosis I and meiosis II. Remember that you should have four daughter
cells at the end of meiosis II. Also remember to ask your teacher for approval and document your
model before moving on to the next phase of meiosis.
6. Exchange/copy all of the drawings or photographs that your group took of your models. As a group
or individually (as directed by your teacher) create a report to turn in that labels and explain each
picture of your model.
• An organism’s ploidy count is the total number of chromosome sets contained in each body cell. Most
organisms have a ploidy level of 2, meaning that they have two sets of chromosomes due to presence
of homologous pairs. However, some plants are multiploid, meaning they can have ploidy levels greater
than 2. The table shows possible multiploid levels of some common crop plants.
Analyze the data with a partner of in a group as directed by your teacher. On a separate sheet of paper,
answer the following questions.
a. How does the multiploid count of the crop plants relate to their normal chromosome count?
b. Explain the basis for the relationship you described in part a, in terms of what occurs to chromosomes
during replication and meiosis.
c. Give one additional example of a possible multiploid chromosome count for each species in the table
above.
Exercise 10.1
A. A comparison of the relative time intervals of mitotic stages can be made by completing the task described. In
evaluating each time interval, the problem suggests that you assume that the length of time to complete one cell cycle
is 24 hours. How can that assumption be tested?
Chapter 10 | Cell Reproduction 445
Suppose that you have a growth chamber in which roots of a newly germinated plant can be examined visually with
a lens that provides a magnification from which lengths can be determined with a precision of ± 0.05 mm. The field
of view can be rotated so that measurements can be made of both the length and diameter of the growing tip. A large
number of growing roots can be studied. Tips can be sampled, sectioned, and examined microscopically with a 25×
magnification so that estimates of the diameter and length of cells can be made.
Cells in the growing tip of the root rapidly undergo mitosis, just as the whitefish blastula described in Figure 10.10.
With increasing distance from the growing tip, the rate at which mitosis occurs slows until tissue is reached in which
the initiation of the cell cycle is delayed.
A. Describe a sequence of measurements that could be used to test the assumption that the cell cycle, once started, has
a total time interval of 24 hours. Hint: Rather than counting cells, it might be useful to measure the length of the root
tip and the average length of a cell.
B. Using the data obtained from your measurements described in part A, how can the rate of cell division be calculated?
An experiment that is perhaps similar to one you have proposed was conducted previously (Beemster and Baxter,
1998), and the results are shown in the table.
Table 10.1
C. Using these data, estimate the length of time of the cell cycle, including an estimate of precision by calculating the
standard deviation.
Growth factors are signals that initiate cell division in eukaryotes. (The data in the table above show that cells in
the plant root less than a mm from the root tip are showing a reduction of growth rate.) The interaction of two plant
hormones, auxin and brassinosteroids, have been shown [Chaiwanon and Wang, Cell, 164(6), 1257, 2016] to regulate
cell division in root tips. Auxin concentrations are higher near the root tip and decrease with distance from the tip.
Brassinosteroids decrease in concentration near the root tip. Auxin is actively transported between cells, whereas
brassinosteroids have limited transport between cells.
D. Based on these data and the observed distribution of brassinosteroids and auxin in the growing root, predict a
mechanism for their interaction and justify the claim that brassinosteroid synthesis is negatively regulated by auxin
transported to the cell, and that auxin is positively regulated and amplified.
Think About It
Chemotherapy drugs such as vincristine and colchicines disrupt mitosis by binding to tubulin (the subunit of
microtubules) and interfering with microtubule assembly and disassembly. What mitotic structure is targeted by these
drugs, and what effect would this have on cell division?
G0 Phase
Not all cells adhere to the classic cell cycle pattern in which a newly formed daughter cell immediately enters the
preparatory phases of interphase, closely followed by the mitotic phase. Cells in G0 phase are not actively preparing to
divide. The cell is in a quiescent (inactive) stage that occurs when cells exit the cell cycle. Some cells enter G0 temporarily
until an external signal triggers the onset of G1. Other cells that never or rarely divide, such as mature cardiac muscle and
nerve cells, remain in G0 permanently.
446 Chapter 10 | Cell Reproduction
Figure 10.10 Slowly scan whitefish blastula cells with the high-power objective as illustrated in image (a)
to identify their mitotic stage. (b) A microscopic image of the scanned cells is shown. (credit micrograph:
modification of work by Linda Flora; scale-bar data from Matt Russell)
5. Practice identifying the various stages of the cell cycle, using the drawings of the stages as a guide (Figure 10.7).
6. Once you are confident about your identification, begin to record the stage of each cell you encounter as you scan
left to right, and top to bottom across the blastula section.
7. Keep a tally of your observations and stop when you reach 100 cells identified.
8. The larger the sample size (total number of cells counted), the more accurate the results. If possible, gather and
record group data prior to calculating percentages and making estimates.
Record your observations: Make a table similar to Table 10.2 in which you record your observations.
Table 10.2
Analyze your data/report your results: To find the length of time whitefish blastula cells spend in each stage,
multiply the percent (recorded as a decimal) by 24 hours. Make a table similar to Table 10.3 to illustrate your data.
Table 10.3
Section Summary
The cell cycle is an orderly sequence of events. Cells on the path to cell division proceed through a series of precisely
timed and carefully regulated stages. In eukaryotes, the cell cycle consists of a long preparatory period, called interphase.
Interphase is divided into G1, S, and G2 phases. The mitotic phase begins with karyokinesis (mitosis), which consists of five
stages: prophase, prometaphase, metaphase, anaphase, and telophase. The final stage of the mitotic phase is cytokinesis,
during which the cytoplasmic components of the daughter cells are separated either by an actin ring (animal cells) or by cell
plate formation (plant cells).
major checkpoints in the cell cycle: one near the end of G1, a second at the G2/M transition, and the third during metaphase.
Growth factor proteins arriving at the dividing cell’s plasma membrane can trigger the cell to begin dividing. Cyclins and
cyclin-dependent kinases (Cdks) are internal molecular signals that regulate cell transitions through the various checkpoints.
Passage through the G1 checkpoint makes sure that the cell is ready for DNA replication in the S stage of interphase; passage
through the G2 checkpoint triggers the separation of chromatids during mitosis. Positive regulator molecules like the cyclins
and Cdks allow the cell cycle to advance to the next stage; negative regulator molecules, such as tumor suppressor proteins,
monitor cellular conditions and can halt the cycle until specific requirements are met. Errors in the regulation of the cell
cycle can cause cancer, which is characterized by uncontrolled cell division.
Information presented and the examples highlighted in the section support concepts and Learning Objectives outlined
in Big Idea 3 of the AP® Biology Curriculum Framework, as shown in the tables. The Learning Objectives listed in
the Curriculum Framework provide a transparent foundation for the AP® Biology course, an inquiry-based laboratory
experience, instructional activities, and AP® exam questions. A Learning Objective merges required content with one or
more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes
Knowledge that include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.7 The student can make predictions about natural phenomena occurring during the cell
Objective cycle.
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes
Knowledge that include the cell cycle and mitosis or meiosis plus fertilization.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning
3.8 The student can describe the events that occur in the cell cycle.
Objective
The length of the cell cycle is highly variable, even within the cells of a single organism. In humans, the frequency of cell
turnover ranges from a few hours in early embryonic development, to an average of two to five days for epithelial cells, and
to an entire human lifetime spent in G0 by specialized cells, such as cortical neurons or cardiac muscle cells. There is also
variation in the time that a cell spends in each phase of the cell cycle. When fast-dividing mammalian cells are grown in
culture (outside the body under optimal growing conditions), the length of the cycle is about 24 hours. In rapidly dividing
human cells with a 24-hour cell cycle, the G1 phase lasts approximately nine hours, the S phase lasts 10 hours, the G2 phase
lasts about four and one-half hours, and the M phase lasts approximately one-half hour. In early embryos of fruit flies, the
cell cycle is completed in about eight minutes. The timing of events in the cell cycle is controlled by mechanisms that are
both internal and external to the cell.
Figure 10.11 The cell cycle is controlled at three checkpoints. The integrity of the DNA is assessed at the G1
checkpoint. Proper chromosome duplication is assessed at the G2 checkpoint. Attachment of each kinetochore to a
spindle fiber is assessed at the M checkpoint.
The G1 Checkpoint
The G1 checkpoint determines whether all conditions are favorable for cell division to proceed. The G1 checkpoint, also
called the restriction point (in yeast), is a point at which the cell irreversibly commits to the cell division process. External
influences, such as growth factors, play a large role in carrying the cell past the G1 checkpoint. In addition to adequate
reserves and cell size, there is a check for genomic DNA damage at the G1 checkpoint. A cell that does not meet all
the requirements will not be allowed to progress into the S phase. The cell can halt the cycle and attempt to remedy the
problematic condition, or the cell can advance into G0 and await further signals when conditions improve.
The G2 Checkpoint
The G2 checkpoint bars entry into the mitotic phase if certain conditions are not met. As at the G1 checkpoint, cell size
and protein reserves are assessed. However, the most important role of the G2 checkpoint is to ensure that all of the
chromosomes have been replicated and that the replicated DNA is not damaged. If the checkpoint mechanisms detect
problems with the DNA, the cell cycle is halted, and the cell attempts to either complete DNA replication or repair the
damaged DNA.
The M Checkpoint
The M checkpoint occurs near the end of the metaphase stage of karyokinesis. The M checkpoint is also known as
the spindle checkpoint, because it determines whether all the sister chromatids are correctly attached to the spindle
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microtubules. Because the separation of the sister chromatids during anaphase is an irreversible step, the cycle will not
proceed until the kinetochores of each pair of sister chromatids are firmly anchored to at least two spindle fibers arising
from opposite poles of the cell.
Watch what occurs at the G1, G2, and M checkpoints by visiting this website (http://openstaxcollege.org/l/
cell_checkpnts) to see an animation of the cell cycle.
Down Syndrome is a genetic, developmental condition caused by nondisjunction of chromosome 21 during meiosis.
Explain how a problem with the spindle checkpoint can cause this to occur in the cell.
a. Failure in spindle checkpoint results in the formation of one gamete cell with two extra chromosomes and
another gamete cell lacking chromosomes.
b. Failure in spindle checkpoint yields the same number of chromosomes in each gamete cell.
c. Failure in spindle checkpoint will form two gamete cells without any chromosomes.
d. Failure in spindle checkpoint results in the formation of one gamete cell with an extra chromosome and
another gamete cell lacking a chromosome.
Figure 10.12 The concentrations of cyclin proteins change throughout the cell cycle. There is a direct correlation
between cyclin accumulation and the three major cell cycle checkpoints. Also note the sharp decline of cyclin levels
following each checkpoint (the transition between phases of the cell cycle), as cyclin is degraded by cytoplasmic
enzymes. (credit: modification of work by WikiMiMa/Wikimedia Commons)
Cyclins regulate the cell cycle only when they are tightly bound to Cdks. To be fully active, the Cdk/cyclin complex must
also be phosphorylated in specific locations. Like all kinases, Cdks are enzymes (kinases) that phosphorylate other proteins.
Phosphorylation activates the protein by changing its shape. The proteins phosphorylated by Cdks are involved in advancing
the cell to the next phase (Figure 10.13). The levels of Cdk proteins are relatively stable throughout the cell cycle; however,
the concentrations of cyclin fluctuate and determine when Cdk/cyclin complexes form. The different cyclins and Cdks bind
at specific points in the cell cycle and thus regulate different checkpoints.
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Figure 10.13 Cyclin-dependent kinases (Cdks) are protein kinases that, when fully activated, can phosphorylate and
thus activate other proteins that advance the cell cycle past a checkpoint. To become fully activated, a Cdk must bind
to a cyclin protein and then be phosphorylated by another kinase.
Since the cyclic fluctuations of cyclin levels are based on the timing of the cell cycle and not on specific events, regulation
of the cell cycle usually occurs by either the Cdk molecules alone or the Cdk/cyclin complexes. Without a specific
concentration of fully activated cyclin/Cdk complexes, the cell cycle cannot proceed through the checkpoints.
Although the cyclins are the main regulatory molecules that determine the forward momentum of the cell cycle, there
are several other mechanisms that fine-tune the progress of the cycle with negative, rather than positive, effects. These
mechanisms essentially block the progression of the cell cycle until problematic conditions are resolved. Molecules that
prevent the full activation of Cdks are called Cdk inhibitors. Many of these inhibitor molecules directly or indirectly monitor
a particular cell cycle event. The block placed on Cdks by inhibitor molecules will not be removed until the specific event
that the inhibitor monitors is completed.
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Figure 10.14 Rb halts the cell cycle and releases its hold in response to cell growth.
Rb and other proteins that negatively regulate the cell cycle are sometimes called tumor supressors. Why do you think
the name tumor suppressor might be appropriate for these proteins?
a. They inhibit cell division.
b. They enhance the rate of cell division.
c. They start the cell cycle, thereby suppressing tumor formation.
d. These proteins, when phosphorylated, allow the cell cycle to proceed.
• Rb is a negative regulator that blocks the cell cycle at the G1 checkpoint until the cell achieves a requisite size.
What is the most likely mechanism that Rb employs to halt the cell cycle?
• A cell has a mutation that results in the production of an abnormal cyclin-dependent kinase at the G2/M
checkpoint. What is a likely consequence of the mutation on the cell cycle?
Section Summary
Each step of the cell cycle is monitored by internal controls called checkpoints. There are three major checkpoints in the cell
cycle: one near the end of G1, a second at the G2/M transition, and the third during metaphase. Positive regulator molecules
allow the cell cycle to advance to the next stage. Negative regulator molecules monitor cellular conditions and can halt the
cycle until specific requirements are met.
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Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes
Knowledge that include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.7 The student can make predictions about natural phenomena occurring during the cell
Objective cycle.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.32]
• [APLO 2.34]
• [APLO 3.6]
• [APLO 3.7]
• [APLO 3.8]
• [APLO 4.6]
• [APLO 4.14]
• [APLO 4.22]
Cancer comprises many different diseases caused by a common mechanism—uncontrolled cell growth. Despite the
redundancy and overlapping levels of cell cycle control, errors do occur. One of the critical processes monitored by the
cell cycle checkpoint surveillance mechanism is the proper replication of DNA during the S phase. Even when all of
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the cell cycle controls are fully functional, a small percentage of replication errors (mutations) will be passed on to the
daughter cells. If changes to the DNA nucleotide sequence occur within a coding portion of a gene and are not corrected,
a gene mutation results. All cancers start when a gene mutation gives rise to a faulty protein that plays a key role in cell
reproduction. The change in the cell that results from the malformed protein may be minor—perhaps a slight delay in
the binding of Cdk to cyclin or an Rb protein that detaches from its target DNA while still phosphorylated. Even minor
mistakes, however, may allow subsequent mistakes to occur more readily. Over and over, small uncorrected errors are
passed from the parent cell to the daughter cells and amplified as each generation produces more non-functional proteins
from uncorrected DNA damage. Eventually, the pace of the cell cycle speeds up as the effectiveness of the control and
repair mechanisms decreases. Uncontrolled growth of the mutated cells outpaces the growth of normal cells in the area, and
a tumor (-oma) can result.
Proto-oncogenes
The genes that code for the positive cell cycle regulators are called proto-oncogenes. Proto-oncogenes are normal genes
that, when mutated in certain ways, become oncogenes, genes that cause a cell to become cancerous. Consider what might
happen to the cell cycle in a cell with a recently acquired oncogene. In most instances, the alteration of the DNA sequence
will result in a less functional (or nonfunctional) protein. The result is detrimental to the cell and will likely prevent the cell
from completing the cell cycle; however, the organism is not harmed because the mutation will not be carried forward. If a
cell cannot reproduce, the mutation is not propagated and the damage is minimal. Occasionally, however, a gene mutation
causes a change that increases the activity of a positive regulator. For example, a mutation that allows Cdk to be activated
without being partnered with cyclin could push the cell cycle past a checkpoint before all of the required conditions are
met. If the resulting daughter cells are too damaged to undergo further cell divisions, the mutation would not be propagated
and no harm would come to the organism. However, if the atypical daughter cells are able to undergo further cell divisions,
subsequent generations of cells will probably accumulate even more mutations, some possibly in additional genes that
regulate the cell cycle.
The Cdk gene in the above example is only one of many genes that are considered proto-oncogenes. In addition to the
cell cycle regulatory proteins, any protein that influences the cycle can be altered in such a way as to override cell cycle
checkpoints. An oncogene is any gene that, when altered, leads to an increase in the rate of cell cycle progression.
Figure 10.15 The role of normal p53 is to monitor DNA and the supply of oxygen (hypoxia is a condition of reduced
oxygen supply). If damage is detected, p53 triggers repair mechanisms. If repairs are unsuccessful, p53 signals
apoptosis. A cell with an abnormal p53 protein cannot repair damaged DNA and thus cannot signal apoptosis.
Cells with abnormal p53 can become cancerous. (credit: modification of work by Thierry Soussi)
Human papillomavirus can cause cervical cancer. The virus encodes E6, a protein that binds p53. Based on this fact
and what you know about p53, what effect do you think E6 binding has on p53 activity?
a. E6 activates p53
b. E6 inactivates p53
c. E6 mutates p53
d. E6 binding marks p53 for degradation
The loss of p53 function has other repercussions for the cell cycle. Mutated p53 might lose its ability to trigger p21
production. Without adequate levels of p21, there is no effective block on Cdk activation. Essentially, without a fully
functional p53, the G1 checkpoint is severely compromised and the cell proceeds directly from G1 to S regardless of internal
and external conditions. At the completion of this shortened cell cycle, two daughter cells are produced that have inherited
the mutated p53 gene. Given the nonoptimal conditions under which the parent cell reproduced, it is likely that the daughter
cells will have acquired other mutations in addition to the faulty tumor suppressor gene. Cells such as these daughter cells
quickly accumulate both oncogenes and nonfunctional tumor suppressor genes. Again, the result is tumor growth.
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Go to this website (http://openstaxcollege.org/l/cancer) to watch an animation of how cancer results from errors in the
cell cycle.
Treating cancer can be described as a fight against natural biologic processes. Explain what this means in terms of
tumor formation.
a. Cancer forms when natural defenses are inhibited and cells divide uncontrollably.
Think About It
Human papillomavirus (HPV) can cause cervical cancer. The virus encodes E6, a protein that binds p53. Predict the
most likely effect of E6 binding on p53 activity, and explain the basis for your prediction.
Section Summary
Cancer is the result of unchecked cell division caused by a breakdown of the mechanisms that regulate the cell cycle. The
loss of control begins with a change in the DNA sequence of a gene that codes for one of the regulatory molecules. Faulty
instructions lead to a protein that does not function as it should. Any disruption of the monitoring system can allow other
mistakes to be passed on to the daughter cells. Each successive cell division will give rise to daughter cells with even more
accumulated damage. Eventually, all checkpoints become nonfunctional, and rapidly reproducing cells crowd out normal
cells, resulting in a tumor or leukemia (blood cancer).
Prokaryotes, such as bacteria, propagate by binary fission. For unicellular organisms, cell division is the only method to
produce new individuals. In both prokaryotic and eukaryotic cells, the outcome of cell reproduction is a pair of daughter
cells that are genetically identical to the parent cell. In unicellular organisms, daughter cells are individuals.
To achieve the outcome of cloned offspring, certain steps are essential. The genomic DNA must be replicated and then
allocated into the daughter cells; the cytoplasmic contents must also be divided to give both new cells the machinery to
sustain life. In bacterial cells, the genome consists of a single, circular DNA chromosome; therefore, the process of cell
division is simplified. Karyokinesis is unnecessary because there is no nucleus and thus no need to direct one copy of the
multiple chromosomes into each daughter cell. This type of cell division is called binary (prokaryotic) fission.
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Binary Fission
Due to the relative simplicity of the prokaryotes, the cell division process, called binary fission, is a less complicated and
much more rapid process than cell division in eukaryotes. The single, circular DNA chromosome of bacteria is not enclosed
in a nucleus, but instead occupies a specific location, the nucleoid, within the cell (Figure 10.2). Although the DNA of the
nucleoid is associated with proteins that aid in packaging the molecule into a compact size, there are no histone proteins and
thus no nucleosomes in prokaryotes. The packing proteins of bacteria are, however, related to the cohesin and condensin
proteins involved in the chromosome compaction of eukaryotes.
The bacterial chromosome is attached to the plasma membrane at about the midpoint of the cell. The starting point of
replication, the origin, is close to the binding site of the chromosome to the plasma membrane (Figure 10.16). Replication
of the DNA is bidirectional, moving away from the origin on both strands of the loop simultaneously. As the new double
strands are formed, each origin point moves away from the cell wall attachment toward the opposite ends of the cell. As
the cell elongates, the growing membrane aids in the transport of the chromosomes. After the chromosomes have cleared
the midpoint of the elongated cell, cytoplasmic separation begins. The formation of a ring composed of repeating units of
a protein called FtsZ directs the partition between the nucleoids. Formation of the FtsZ ring triggers the accumulation of
other proteins that work together to recruit new membrane and cell wall materials to the site. A septum is formed between
the nucleoids, extending gradually from the periphery toward the center of the cell. When the new cell walls are in place,
the daughter cells separate.
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Figure 10.16 These images show the steps of binary fission in prokaryotes. (credit: modification of work by
Mcstrother/Wikimedia Commons)
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The precise timing and formation of the mitotic spindle is critical to the success of eukaryotic cell division.
Prokaryotic cells, on the other hand, do not undergo karyokinesis and therefore have no need for a mitotic
spindle. However, the FtsZ protein that plays such a vital role in prokaryotic cytokinesis is structurally
and functionally very similar to tubulin, the building block of the microtubules that make up the mitotic
spindle fibers that are necessary for eukaryotes. FtsZ proteins can form filaments, rings, and other three-
dimensional structures that resemble the way tubulin forms microtubules, centrioles, and various
cytoskeletal components. In addition, both FtsZ and tubulin employ the same energy source, GTP
(guanosine triphosphate), to rapidly assemble and disassemble complex structures.
FtsZ and tubulin are homologous structures derived from common evolutionary origins. In this example,
FtsZ is the ancestor protein to tubulin (a modern protein). While both proteins are found in extant organisms,
tubulin function has evolved and diversified tremendously since evolving from its FtsZ prokaryotic origin.
A survey of mitotic assembly components found in present-day unicellular eukaryotes reveals crucial
intermediary steps to the complex membrane-enclosed genomes of multicellular eukaryotes (Table 10.4).
Table 10.4
FtsZ is a prokaryotic protein and tubulin is a eukaryotic protein. These two proteins share many structural and
functional similarities and are believed to have evolved from the same ancestral protein. However, there are also some
important differences between these proteins. In what way are these proteins different?
a. Tubulin proteins can rapidly disassemble, but FtsZ proteins cannot.
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b. Tubulin proteins can form long filaments, but FtsZ proteins cannot.
c. Tubulin uses GTP as an energy source, but FtsZ does not.
d. Tubulin pulls chromosomes apart, but FtsZ does not.
Section Summary
In both prokaryotic and eukaryotic cell division, the genomic DNA is replicated and then each copy is allocated into a
daughter cell. In addition, the cytoplasmic contents are divided evenly and distributed to the new cells. However, there are
many differences between prokaryotic and eukaryotic cell division. Bacteria have a single, circular DNA chromosome but
no nucleus. Therefore, mitosis is not necessary in bacterial cell division. Bacterial cytokinesis is directed by a ring composed
of a protein called FtsZ. Ingrowth of membrane and cell wall material from the periphery of the cells results in the formation
of a septum that eventually constructs the separate cell walls of the daughter cells.
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KEY TERMS
anaphase stage of mitosis during which sister chromatids are separated from each other
cell cycle ordered sequence of events that a cell passes through between one cell division and the next
cell cycle ordered series of events involving cell growth and cell division that produces two new daughter cells
cell cycle checkpoint mechanism that monitors the preparedness of a eukaryotic cell to advance through the various cell
cycle stages
cell plate structure formed during plant cell cytokinesis by Golgi vesicles, forming a temporary structure (phragmoplast)
and fusing at the metaphase plate; ultimately leads to the formation of cell walls that separate the two daughter cells
centriole rod-like structure constructed of microtubules at the center of each animal cell centrosome
centromere region at which sister chromatids are bound together; a constricted area in condensed chromosomes
chromatid single DNA molecule of two strands of duplicated DNA and associated proteins held together at the
centromere
cleavage furrow constriction formed by an actin ring during cytokinesis in animal cells that leads to cytoplasmic division
cyclin one of a group of proteins that act in conjunction with cyclin-dependent kinases to help regulate the cell cycle by
phosphorylating key proteins; the concentrations of cyclins fluctuate throughout the cell cycle
cyclin-dependent kinase one of a group of protein kinases that helps to regulate the cell cycle when bound to cyclin; it
functions to phosphorylate other proteins that are either activated or inactivated by phosphorylation
cytokinesis division of the cytoplasm following mitosis that forms two daughter cells.
FtsZ tubulin-like protein component of the prokaryotic cytoskeleton that is important in prokaryotic cytokinesis (name
origin: Filamenting temperature-sensitive mutant Z)
G0 phase distinct from the G1 phase of interphase; a cell in G0 is not preparing to divide
G1 phase (also, first gap) first phase of interphase centered on cell growth during mitosis
G2 phase (also, second gap) third phase of interphase during which the cell undergoes final preparations for mitosis
gamete haploid reproductive cell or sex cell (sperm, pollen grain, or egg)
gene physical and functional unit of heredity, a sequence of DNA that codes for a protein
histone one of several similar, highly conserved, low molecular weight, basic proteins found in the chromatin of all
eukaryotic cells; associates with DNA to form nucleosomes
homologous chromosomes chromosomes of the same morphology with genes in the same location; diploid organisms
have pairs of homologous chromosomes (homologs), with each homolog derived from a different parent
interphase period of the cell cycle leading up to mitosis; includes G1, S, and G2 phases (the interim period between two
consecutive cell divisions
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kinetochore protein structure associated with the centromere of each sister chromatid that attracts and binds spindle
microtubules during prometaphase
metaphase stage of mitosis during which chromosomes are aligned at the metaphase plate
metaphase plate equatorial plane midway between the two poles of a cell where the chromosomes align during
metaphase
mitosis (also, karyokinesis) period of the cell cycle during which the duplicated chromosomes are separated into identical
nuclei; includes prophase, prometaphase, metaphase, anaphase, and telophase
mitotic phase period of the cell cycle during which duplicated chromosomes are distributed into two nuclei and
cytoplasmic contents are divided; includes karyokinesis (mitosis) and cytokinesis
mitotic spindle apparatus composed of microtubules that orchestrates the movement of chromosomes during mitosis
nucleosome subunit of chromatin composed of a short length of DNA wrapped around a core of histone proteins
oncogene mutated version of a normal gene involved in the positive regulation of the cell cycle
origin (also, ORI) region of the prokaryotic chromosome where replication begins (origin of replication)
p21 cell cycle regulatory protein that inhibits the cell cycle; its levels are controlled by p53
p53 cell cycle regulatory protein that regulates cell growth and monitors DNA damage; it halts the progression of the cell
cycle in cases of DNA damage and may induce apoptosis
prometaphase stage of mitosis during which the nuclear membrane breaks down and mitotic spindle fibers attach to
kinetochores
prophase stage of mitosis during which chromosomes condense and the mitotic spindle begins to form
quiescent refers to a cell that is performing normal cell functions and has not initiated preparations for cell division
retinoblastoma protein (Rb) regulatory molecule that exhibits negative effects on the cell cycle by interacting with a
transcription factor (E2F)
S phase second, or synthesis, stage of interphase during which DNA replication occurs
septum structure formed in a bacterial cell as a precursor to the separation of the cell into two daughter cells
telophase stage of mitosis during which chromosomes arrive at opposite poles, decondense, and are surrounded by a new
nuclear envelope
tumor suppressor gene segment of DNA that codes for regulator proteins that prevent the cell from undergoing
uncontrolled division
CHAPTER SUMMARY
10.1 Cell Division
Prokaryotes have a single circular chromosome composed of double-stranded DNA, whereas eukaryotes have multiple,
linear chromosomes composed of chromatin surrounded by a nuclear membrane. The 46 chromosomes of human somatic
cells are composed of 22 pairs of autosomes (matched pairs) and a pair of sex chromosomes, which may or may not be
matched. This is the 2n or diploid state. Human gametes have 23 chromosomes or one complete set of chromosomes; a set
of chromosomes is complete with either one of the sex chromosomes. This is the n or haploid state. Genes are segments of
DNA that code for a specific protein. An organism’s traits are determined by the genes inherited from each parent.
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Duplicated chromosomes are composed of two sister chromatids. Chromosomes are compacted using a variety of
mechanisms during certain stages of the cell cycle. Several classes of protein are involved in the organization and packing
of the chromosomal DNA into a highly condensed structure. The condensing complex compacts chromosomes, and the
resulting condensed structure is necessary for chromosomal segregation during mitosis.
The cell cycle is an orderly sequence of events. Cells on the path to cell division proceed through a series of precisely
timed and carefully regulated stages. In eukaryotes, the cell cycle consists of a long preparatory period, called interphase.
Interphase is divided into G1, S, and G2 phases. The mitotic phase begins with karyokinesis (mitosis), which consists of
five stages: prophase, prometaphase, metaphase, anaphase, and telophase. The final stage of the mitotic phase is
cytokinesis, during which the cytoplasmic components of the daughter cells are separated either by an actin ring (animal
cells) or by cell plate formation (plant cells).
Each step of the cell cycle is monitored by internal controls called checkpoints. There are three major checkpoints in the
cell cycle: one near the end of G1, a second at the G2/M transition, and the third during metaphase. Positive regulator
molecules allow the cell cycle to advance to the next stage. Negative regulator molecules monitor cellular conditions and
can halt the cycle until specific requirements are met.
Cancer is the result of unchecked cell division caused by a breakdown of the mechanisms that regulate the cell cycle. The
loss of control begins with a change in the DNA sequence of a gene that codes for one of the regulatory molecules. Faulty
instructions lead to a protein that does not function as it should. Any disruption of the monitoring system can allow other
mistakes to be passed on to the daughter cells. Each successive cell division will give rise to daughter cells with even more
accumulated damage. Eventually, all checkpoints become nonfunctional, and rapidly reproducing cells crowd out normal
cells, resulting in a tumor or leukemia (blood cancer).
In both prokaryotic and eukaryotic cell division, the genomic DNA is replicated and then each copy is allocated into a
daughter cell. In addition, the cytoplasmic contents are divided evenly and distributed to the new cells. However, there are
many differences between prokaryotic and eukaryotic cell division. Bacteria have a single, circular DNA chromosome but
no nucleus. Therefore, mitosis is not necessary in bacterial cell division. Bacterial cytokinesis is directed by a ring
composed of a protein called FtsZ. Ingrowth of membrane and cell wall material from the periphery of the cells results in
the formation of a septum that eventually constructs the separate cell walls of the daughter cells.
REVIEW QUESTIONS
2. A diploid cell has how many times the number of chromosomes as a haploid cell?
a. four times
b. half
c. one-fourth
d. twice
3. The first level of DNA organization in a eukaryotic cell is maintained by which molecule?
a. cohesion
b. condensin
c. chromatin
d. histone
4. What inherited feature, in specific combinations, determines an organism’s traits?
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a. cell membranes
b. genes
c. proteins
d. RNA
5. What are identical copies of chromatin held together by cohesin at the centromere called?
a. histones
b. nucleosomes
c. chromatin
d. sister chromatids
6. Chromosomes are duplicated during what stage of the cell cycle?
a. G1 phase
b. prophase
c. prometaphase
d. S phase
7. Which of the following events does not occur during some stages of interphase?
a. DNA duplication
b. increase in cell size
c. organelle duplication
d. separation of sister chromatids
8. Attachment of the mitotic spindle fibers to the kinetochores is a characteristic of which stage of mitosis?
a. anaphase
b. prophase
c. prometaphase
d. metaphase
9. The fusing of Golgi vesicles at the metaphase plate of dividing plant cells forms what structure?
a. actin ring
b. cell plate
c. cleavage furrow
d. mitotic spindle
10. What would be the outcome of blocking S phase of interphase?
a. The cell would enter karyokinesis.
b. DNA replication would not occur.
c. Centrosomes would be duplicated.
d. The cytoskeleton would be dismantled.
11. At which of the cell cycle checkpoints do external forces have the greatest influence?
a. G1 checkpoint
b. G2 checkpoint
c. M checkpoint
d. G0 checkpoint
12. If the M checkpoint is not cleared, what stage of mitosis will be blocked?
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a. prophase
b. prometaphase
c. metaphase
d. anaphase
13. Which protein is a positive regulator that phosphorylates other proteins when activated?
a. p53
b. retinoblastoma protein (Rb)
c. cyclin
d. cyclin-dependent kinase (Cdk)
14. Which negative regulatory molecule can trigger apoptosis if vital cell cycle events do not occur?
a. p53
b. p21
c. retinoblastoma protein (Rb)
d. cyclin-dependent kinase (Cdk)
15. What is the main prerequisite for clearance at the G 2 checkpoint?
a. cell growth
b. DNA duplication
c. karyokinesis
d. cytokinesis
21. Which of the following statements about binary fission is false?
a. In both prokaryotic and eukaryotic cells, the outcome of cell reproduction is a pair of daughter cells, which are
genetically identical to the parent cell.
b. Karyokinesis is unnecessary in prokaryotes because there is no nucleus.
c. Replication of the prokaryotic chromosome begins at the origin of replication and continues in both directions at
once.
d. The mitotic spindle draws the duplicated chromosomes to the opposite ends of the cell followed by formation of
a septum and two daughter cells.
25. Chemotherapy drugs such as vincristine and colchicines disrupt mitosis by binding to tubulin (the subunit of
microtubules) and interfering with microtubule assembly and disassembly. Exactly what mitotic structure do these drugs
target, and what effect would that have on cell division?
a. The drugs bind tubulin and inhibit the binding of spindle to the chromosome. This can arrest the cell cycle.
b. The drugs bind the tubulin, which leads to an error in the chromosome separation. This could lead to apoptosis.
c. The drugs bind the tubulin, thereby inhibiting their division in S phase. This inhibits cell division.
d. The drugs bind the spindle fiber and hinder the separation of chromatins. This promotes the division
spontaneously.
26. List some reasons why a cell that has just completed cytokinesis might enter the G 0 phase instead of the G 1 phase.
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a. Some cells are physiologically inhibited from undergoing any division and remain in the G 0 phase to provide
assistance to their neighboring cells.
b. Some cells reproduce only under certain conditions and, until then, they remain in the G 0 phase.
c. Suspected DNA damage can lead the cell to undergo the G 0 phase.
d. The lack of important components of cell division makes cells stay in the G 0 phase.
27. Describe the general conditions that must be met at each of the three main cell cycle checkpoints.
a. G1 checkpoint - assessment of DNA damage, G2 - assessment of new DNA, M checkpoint - segregation of sister
chromatids in anaphase.
b. G1 checkpoint - Energy reserves for s phase, G2 checkpoint - assessment of new DNA, M checkpointattachment
of spindle to kinetochore.
c. G1 checkpoint - assessment of DNA damage, G2 checkpoint - energy reserves for duplication, M checkpoint -
attachment of spindle to kinetochore
d. G1 checkpoint - Energy reserves for S phase, S checkpoint - synthesis of DNA, G2 checkpoint - assessment of
new DNA
28. Explain the roles of the positive cell cycle regulators compared to the negative regulators.
a. Positive regulators promote the cell cycle but negative regulators block the cell cycle.
b. Positive regulators block the cell division in cancerous cells but negative regulators promote in such cells.
c. Positive regulators promote the cell cycle but negative regulators arrest the cell cycle until certain events have
occurred.
d. Positive regulators show positive feedback mechanisms but negative regulators show negative feedback in the
cell cycle.
29. Describe what occurs at the M checkpoint and predict what would happen if the M checkpoint failed.
a. The M checkpoint checks for proper separation of sister chromatids and if it fails, then cells may undergo
nondisjunction of chromosomes.
b. The M checkpoint checks if the DNA is damaged and promotes its repair. If it fails, then the daughters end up
with damaged DNA.
c. The M checkpoint ensures the proper duplication of DNA and if it fails, the cells may undergo nondisjunction of
chromosomes.
d. The M checkpoint ensures that all the components required for cell division are available and if it fails, the cell
cycle will be inhibited.
30. List the regulatory mechanisms that might be lost in a cell producing faulty p53.
a. assessment of damaged DNA, recruiting repair enzymes, and binding of spindle to kinetochore
b. quality of DNA, triggering apoptosis, and recruiting repair enzymes
c. quality of DNA, binding of spindle to kinetochore, and assessment of DNA repair
d. triggering apoptosis, recruiting repair enzymes, and proper binding of spindle to kinetochore
31. p53 can trigger apoptosis if certain cell cycle events fail. How does this regulatory outcome benefit a multicellular
organism?
a. The apoptosis helps in controlling the consumption of energy by the extra cells.
b. The apoptosis inhibits the production of faulty proteins, which could be produced due to the DNA damage.
c. The process of apoptosis stops the invasion of viruses in the other cells.
d. The cells are killed due to the production of reactive oxygen species produced, which could harm the organism.
32. Name the processes that eukaryotic cell division and binary fission have in common.
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a. The DNA is found wrapped around histones to form nucleosomes, which further compact and ultimately form
linear chromosomes. The prokaryotic genome is found as a loop and in eukaryotes as a double-stranded linear
structure.
b. The DNA is wrapped around the nucleosomes to show a compact structure. The eukaryotes show a loop
structure and prokaryotes show a double-stranded linear genome.
c. The genetic material shows ringed heterochromatin structure. The prokaryotes show multiple loops, and
eukaryotes show a condensed chromatin.
d. The genetic material is wrapped around histones. The prokaryotes have a condensed structure in nucleoids, but
eukaryotes have double-stranded linear structure.
36. Which statement about structure 1 on the karyotype is NOT true?
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a. chromosome 21
b. chromosome 22
c. X chromosome
d. Y chromosome
38. Describe the sequence of mitotic cell cycle for one pair of chromosome that is undergoing normal mitotic division.
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Figure 10.17
Which sample presents the expected results for cells in S phase?
a. sample A
b. sample B
c. sample C
d. sample D
40. Li-Fraumeni syndrome (LFS1) is a rare hereditary disorder that leads to a predisposition to cancer. This hereditary
disorder is linked to mutations in the tumor suppressor gene encoding the transcription factor p53. p53 acts at the G 1
checkpoint. If damaged DNA is detected, p53 halts the cell cycle. As p53 levels rise, the production of p21 is triggered.
p21 enforces the halt in the cell cycle. A variant of Li-Fraumeni, called LFS2, is thought to occur due to a mutation of the
CHK2 gene, which is also a tumor suppressor gene. CHK2 regulates the action of p53. Which of the following cascades is
most likely to occur in a normal cell that does not contain the LFS mutation?
Chapter 10 | Cell Reproduction 473
Figure 10.18
The expression of which protein in the diagram is controlled through negative feedback?
a. active Cdk4
b. cyclin D1
c. cyclin D1/Cdk4 complex
d. IGF-1
42. Explain why p53, p21, and CHK2 are considered tumor suppressor genes, not proto-oncogenes. Give an example of a
proto-oncogene.
a. p53, p21, and CHK2 suppress the proteins that regulate the cell cycle, whereas proto-oncogenes, like
phosphorylated Rb, help in cell cycle progression.
b. p53, p21, and CHK2 are negative cell cycle regulators, whereas Cdks are proto-oncogenes, which could cause
cancer when mutated.
c. p53, p21, and CHK2 suppress the proteins that regulate the cell cycle, whereas Rb is considered a
protooncogene, as it is the most primitive.
d. The three proteins help stop the formation of tumors, whereas Cdk’s are called proto-oncogenes because they are
the most primitive of all.
Chapter 10 | Cell Reproduction 475
Run FBS Dexamethasone Confluence Circadian Period (h) Cell Cycle Period (h)
A 0% No No 24 ± 0.5 24 ± 0.5
B 10% No No 21.9 ± 1.1 21.3 ± 1.3
C 15% No No 19.4 ± 0.5 18.6 ± 0.6
D 10% Yes No 24.2 ± 0.5 20.1 ± 0.94
E 20%* Yes No 21.25 ± 0.36 19.5 ± 0.42
F 20% Yes No 29 ± 1.05 16.05 ± 0.48
G 10% Yes Yes 24 ± 0.5 n/a
Table 10.5 * Subsets of samples with 20% FBS and dexamethasone were clustered around two means for
each measured period.
A. Based on these data, describe the connections between the circadian period and the cell cycle period for each of the
experimental conditions.
B. Based on these data, justify the claim that in cells that are actively dividing, the circadian period is set by the cell cycle
period rather than the reverse.
44. Cells in different tissues of a fully developed human show significant variations in the length of time that they remain
in the G0 phase of the cell cycle: muscle (lifetime), nerve (lifetime), adipose (years), liver (year), erythrocyte (months),
bone osteoclasts (weeks), leukocyte (days), and epidermal (hours). For each of these types of tissues, propose a reason
based on internal and external factors and function that might account for the differences among their longevities.
45. Describe the essential components and results of mitosis and the activities that occur during interphase to prepare the
cell for mitosis.
46. Cancer comprises many different diseases with a common cause: uncontrolled cell growth. Cancer is a complex
response to a host of environmental mutagens as well as the accumulation of random mutations. Since the “war on cancer”
began in 1971, the death rate due to cancer has changed very little despite the discovery of several tumor suppressor genes,
including p53.
476 Chapter 10 | Cell Reproduction
A. Briefly describe the multiple functions of p53, including the role of p53 in apoptosis.
B. A principle of biology is that “form follows function.” The protein p53, which has multiple functions, is named
for its molecular mass—approximately 53 kDa. This is not a large polymer by comparison with other proteins;
for example, ATP synthase, which has only one function, has a molecular mass of approximately 550 kDa.
Based on analogies to processes involved in cellular signaling, create a model(s) to explain how so many
functions can be supported by a single, relatively simple structure.
Mutational signatures of p53 are shown in the figure above [G.P. Pfeifer et al, Nature, 21(48), 2002] for the three
types of cancer with the highest death rates in the U.S.: lung (~225,000 deaths in 2016), breast (246,000), and
colorectal (381,000).
Figure 10.19
C. These data can be obtained by sequencing the gene that encodes p53. Approximately 85% of lung cancers occur
in smokers. Based on these data, calculate how many deaths due to lung cancer among nonsmokers were
reported in 2016. How much does smoking increase the likelihood of death due to lung cancer?
D. As shown under each graph above, particular transversions (replacement of a pyrimidine by a purine of vice
versa) or transitions (replacement of a purine or pyrimidine by the alternative purine or pyrimidine) are features
of specific mutational signatures. Based on these data, identify the transversion or transition that seems to be
induced by cigarette smoke.
E. Using your answer to B above, predict possible mechanisms, that is, transversion or transition, for the different
mutational signatures among lung cancers of smokers and those of other cancers, and for the very similar
mutational signatures of lung cancers of nonsmokers and of breast and colorectal cancers. The partitioning of
function along the length of the protein can lead to functional and nonfunctional segments. It is believed that the
transversions due to smoking are caused by polyaromatic hydrocarbons. The hotspots for these mutations lie in
the segment that binds to DNA. The transition hotspots are in segments that regulate apoptosis.
Chapter 11 | Meiosis and Sexual Reproduction 477
Figure 11.1 Each of us, like these other large multicellular organisms, begins life as a fertilized egg. After trillions of cell
divisions, each of us develops into a complex, multicellular organism. (credit a: modification of work by Frank Wouters;
credit b: modification of work by Ken Cole, USGS; credit c: modification of work by Martin Pettitt)
Chapter Outline
11.1: The Process of Meiosis
11.2: Sexual Reproduction
Introduction
The ability to reproduce in kind is a basic characteristic of all living things. In kind means that the offspring of an organism
closely resembles its parent or parents. Hippopotamuses give birth to hippopotamus calves, Joshua trees produce Joshua
tree seedlings, and flamingos lay eggs that hatch into flamingo chicks. In kind can mean exactly the same. Many unicellular
organisms, such as yeast, and a few multicellular organisms, such as sponges, can produce genetically identical clones
of themselves through cell division. However, many single-celled organisms and most multicellular organisms reproduce
regularly using a method requiring two parents. Sexual reproduction occurs through the production by each parent of a
haploid cell—containing one half of an offspring’s required genetic material—and the fusion of these two haploid cells to
form a single, unique diploid cell with a complete set of genetic information. In most plants and animals, through multiple
rounds of mitotic cell division, this diploid cell will develop into an adult organism. Haploid cells that are necessary for
sexual reproduction are produced by a type of cell division called meiosis. Sexual reproduction, specifically meiosis and
fertilization, introduces variation into offspring. Variation is an important component of a species evolutionary success. The
vast majority of eukaryotic organisms employs some form of meiosis and fertilization to reproduce.
Not all sexually reproducing eukaryotes reproduce solely by sexual reproduction. For example, an Asian termite species,
Reticulitermes speratus, can reproduce sexually or asexually. In a young colony, a single termite pair—the king and
queen—produce worker offspring sexually by the union of haploid cells. However, after several years, as the queen begins
to age, she produces some offspring asexually in a process called parthenogenesis. These offspring, which are destined
to become new queens, are not fertilized by the king. They are genetic clones of the queen. More information about
parthenogenesis in these termites can be found at this article (http://openstaxcollege.org/l/32termitequeen) .
478 Chapter 11 | Meiosis and Sexual Reproduction
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Chapter 11 | Meiosis and Sexual Reproduction 479
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
3.9 The student is able to construct an explanation, using visual representations or
Learning
narratives, as to how DNA in chromosomes is transmitted to the next generation via mitosis,
Objective
or meiosis followed by fertilization.
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.10 The student is able to represent the connection between meiosis and increased genetic
Objective diversity necessary for evolution.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.9]
• [APLO 2.15]
• [APLO 2.39]
• [APLO 3.11]
• [APLO 3.9]
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• Mitosis and Meiosis
You read that fertilization is the union of two sex cells from two individual organisms. If these two cells each contain
one set of chromosomes, the resulting fertilized cell contains two sets of chromosomes. Haploid cells contain one set of
chromosomes. Cells containing two sets of chromosomes are called diploid. The number of sets of chromosomes in a cell
is called its ploidy level. If the reproductive cycle is to continue, a diploid cell must reduce the number of its chromosome
sets before fertilization can occur again. Otherwise, the number of chromosome sets would double and continue to double
in every generation. So, in addition to fertilization, sexual reproduction includes a nuclear division that reduces the number
of chromosome sets.
Most animals and plants are diploid, containing two sets of chromosomes. In an organism’s somatic cells, sometimes
referred to as body cells—all cells of a multicellular organism except the reproductive cells—the nucleus contains two
copies of each chromosome, called homologous chromosomes. Homologous chromosomes are matched pairs containing the
same genes in identical locations along their length. Diploid organisms inherit one copy of each homologous chromosome
from each parent; all together, they are considered a full set of chromosomes. Haploid cells, containing a single copy of
each homologous chromosome, are found only within an organism's reproductive structures, such as the ovaries and testes.
Haploid cells can be either gametes or spores. Male gametes are sperm and female gametes are eggs. All animals and most
plants produce gametes. Spores are haploid cells that can produce a haploid organism or can fuse with another spore to form
a diploid cell. Some plants and all fungi produce spores.
As you have learned, the nuclear division that forms haploid cells— meiosis—is closely related to mitosis. Mitosis is the
part of a cell reproduction cycle that results in identical daughter nuclei that are also genetically identical to the original
parent nucleus. In mitosis, both the parent and the daughter nuclei are at the same ploidy level—diploid for most plants and
animals. Meiosis employs many of the same mechanisms as mitosis. However, the starting nucleus is always diploid and the
nuclei that result at the end of a meiotic cell division are haploid. To achieve this reduction in chromosome number, meiosis
consists of one round of chromosome duplication and two rounds of nuclear division. Because the events that occur during
each of the division stages are analogous to the events of mitosis, the same stage names are assigned. However, because
there are two rounds of division, the major process and the stages are designated with a “I” or a “II.” Thus, meiosis I is the
first round of meiotic division and consists of prophase I, prometaphase I, and so on. Meiosis II, in which the second round
of meiotic division takes place, includes prophase II, prometaphase II, and so on.
480 Chapter 11 | Meiosis and Sexual Reproduction
Meiosis I
Meiosis is preceded by an interphase consisting of the G1, S, and G2 phases, which are nearly identical to the phases
preceding mitosis. The G1 phase, which is also called the first gap phase, is the first phase of the interphase and is focused
on cell growth. The S phase is the second phase of interphase, during which the DNA of the chromosomes is replicated.
Finally, the G2 phase, also called the second gap phase, is the third and final phase of interphase; in this phase, the cell
undergoes the final preparations for meiosis.
During DNA duplication in the S phase, each chromosome is replicated to produce two identical copies, called sister
chromatids, which are held together at the centromere by cohesin proteins. Cohesin holds the chromatids together until
anaphase II. The centrosomes, which are the structures that organize the microtubules of the meiotic spindle, also replicate.
This prepares the cell to enter prophase I, the first meiotic phase.
Prophase I
Early in prophase I, before the chromosomes can be seen clearly microscopically, the homologous chromosomes are
attached at their tips to the nuclear envelope by proteins. As the nuclear envelope begins to break down, the proteins
associated with homologous chromosomes bring the pair close to each other. Recall that, in mitosis, homologous
chromosomes do not pair together. In mitosis, homologous chromosomes line up end-to-end, so that when they divide, each
daughter cell receives a sister chromatid from both members of the homologous pair. The synaptonemal complex, a lattice
of proteins between the homologous chromosomes, first forms at specific locations and then spreads to cover the entire
length of the chromosomes. The tight pairing of the homologous chromosomes is called synapsis. In synapsis, the genes on
the chromatids of the homologous chromosomes are aligned precisely with each other. The synaptonemal complex supports
the exchange of chromosomal segments between nonsister homologous chromatids, a process called crossing over. Crossing
over can be observed visually after the exchange as chiasmata; the singular form is chiasma (Figure 11.2).
In species such as humans, even though the X and Y sex chromosomes are not homologous—most of their genes
differ—they have a small region of homology that allows the X and Y chromosomes to pair up during prophase I. A partial
synaptonemal complex develops only between the regions of homology.
Figure 11.2 Early in prophase I, homologous chromosomes come together to form a synapse. The chromosomes are
bound tightly together and in perfect alignment by a protein lattice called a synaptonemal complex and by cohesin
proteins at the centromere.
Located at intervals along the synaptonemal complex are large protein assemblies called recombination nodules. These
assemblies mark the points of later chiasmata and mediate the multistep process of crossover—or genetic
recombination—between the nonsister chromatids. Near the recombination nodule on each chromatid, the double-stranded
DNA is cleaved, the cut ends are modified, and a new connection is made between the nonsister chromatids. As prophase
I progresses, the synaptonemal complex begins to break down and the chromosomes begin to condense. When the
synaptonemal complex is gone, the homologous chromosomes remain attached to each other at the centromere and at
chiasmata. The chiasmata remain until anaphase I. The number of chiasmata varies according to the species and the length
of the chromosome. There must be at least one chiasma per chromosome for proper separation of homologous chromosomes
during meiosis I, but there may be as many as 25. Following crossover, the synaptonemal complex breaks down, and
the cohesin connection between homologous pairs is also removed. At the end of prophase I, the pairs are held together
only at the chiasmata (Figure 11.3) and are called tetrads, because the four sister chromatids of each pair of homologous
Chapter 11 | Meiosis and Sexual Reproduction 481
Figure 11.3 Crossover occurs between nonsister chromatids of homologous chromosomes. The result is an exchange
of genetic material between homologous chromosomes.
Prometaphase I
The key event in prometaphase I is the attachment of the spindle fiber microtubules to the kinetochore proteins at
the centromeres. Kinetochore proteins are multiprotein complexes that bind the centromeres of a chromosome to the
microtubules of the mitotic spindle. Microtubules grow from centrosomes placed at opposite poles of the cell. The
microtubules move toward the middle of the cell and attach to one of the two fused homologous chromosomes. The
microtubules attach at each chromosomes' kinetochores. With each member of the homologous pair attached to opposite
poles of the cell, in the next phase, the microtubules can pull the homologous pair apart. A spindle fiber that has attached
to a kinetochore is called a kinetochore microtubule. At the end of prometaphase I, each tetrad is attached to microtubules
from both poles, with one homologous chromosome facing each pole. The homologous chromosomes are still held together
at chiasmata. In addition, the nuclear membrane has broken down entirely.
Metaphase I
During metaphase I, the homologous chromosomes are arranged in the center of the cell with the kinetochores facing
opposite poles. The homologous pairs orient themselves randomly at the equator. For example, if the two homologous
members of chromosome 1 are labeled a and b, then the chromosomes could line up a-b, or b-a. This is important in
determining the genes carried by a gamete, as each will only receive one of the two homologous chromosomes. Recall
482 Chapter 11 | Meiosis and Sexual Reproduction
that homologous chromosomes are not identical. They contain slight differences in their genetic information, causing each
gamete to have a unique genetic makeup.
This randomness is the physical basis for the creation of the second form of genetic variation in offspring. Consider
that the homologous chromosomes of a sexually reproducing organism are originally inherited as two separate sets, one
from each parent. Using humans as an example, one set of 23 chromosomes is present in the egg donated by the mother.
The father provides the other set of 23 chromosomes in the sperm that fertilizes the egg. Every cell of the multicellular
offspring has copies of the original two sets of homologous chromosomes. In prophase I of meiosis, the homologous
chromosomes form the tetrads. In metaphase I, these pairs line up at the midway point between the two poles of the cell
to form the metaphase plate. Because there is an equal chance that a microtubule fiber will encounter a maternally or
paternally inherited chromosome, the arrangement of the tetrads at the metaphase plate is random. Any maternally inherited
chromosome may face either pole. Any paternally inherited chromosome may also face either pole. The orientation of each
tetrad is independent of the orientation of the other 22 tetrads.
This event—the random, or independent, assortment of homologous chromosomes at the metaphase plate—is the second
mechanism that introduces variation into the gametes or spores. In each cell that undergoes meiosis, the arrangement of
the tetrads is different. The number of variations is dependent on the number of chromosomes making up a set. There
are two possibilities for orientation at the metaphase plate: the possible number of alignments therefore equals 2n, where
n is the number of chromosomes per set. Humans have 23 chromosome pairs, which results in over eight million (223)
possible genetically distinct gametes. This number does not include the variability that was previously created in the sister
chromatids by crossover. Given these two mechanisms, it is highly unlikely that any two haploid cells resulting from meiosis
will have the same genetic composition (Figure 11.4).
To summarize the genetic consequences of meiosis I, the maternal and paternal genes are recombined by crossover events
that occur between each homologous pair during prophase I. In addition, the random assortment of tetrads on the metaphase
plate produces a unique combination of maternal and paternal chromosomes that will make their way into the gametes.
Chapter 11 | Meiosis and Sexual Reproduction 483
Figure 11.4 Random, independent assortment during metaphase I can be demonstrated by considering a cell with a
set of two chromosomes (n = 2). In this case, there are two possible arrangements at the equatorial plane in metaphase
I. The total possible number of different gametes is 2n, where n equals the number of chromosomes in a set. In this
example, there are four possible genetic combinations for the gametes. With n = 23 in human cells, there are over 8
million possible combinations of paternal and maternal chromosomes.
Anaphase I
In anaphase I, the microtubules pull the linked chromosomes apart. The sister chromatids remain tightly bound together at
the centromere. The chiasmata are broken in anaphase I, as the microtubules attached to the fused kinetochores pull the
homologous chromosomes apart (Figure 11.5).
Telophase I and Cytokinesis
In telophase, the separated chromosomes arrive at opposite poles. The remainder of the typical telophase events may or may
not occur, depending on the species. In some organisms, the chromosomes decondense and nuclear envelopes form around
the chromatids in telophase I. In other organisms, cytokinesis—the physical separation of the cytoplasmic components into
two daughter cells—occurs without reformation of the nuclei. In nearly all species of animals and some fungi, cytokinesis
separates the cell contents via a cleavage furrow—constriction of the actin ring that leads to cytoplasmic division. In plants,
a cell plate is formed during cell cytokinesis by Golgi vesicles fusing at the metaphase plate. This cell plate will ultimately
lead to the formation of cell walls that separate the two daughter cells.
Two haploid cells are the end result of the first meiotic division. The cells are haploid because at each pole, there is just
one of each pair of the homologous chromosomes. Therefore, only one full set of the chromosomes is present. This is why
the cells are considered haploid—there is only one chromosome set, even though each homolog still consists of two sister
chromatids. Recall that sister chromatids are merely duplicates of one of the two homologous chromosomes—except for
changes that occurred during crossing over. In meiosis II, these two sister chromatids will separate, creating four haploid
daughter cells.
484 Chapter 11 | Meiosis and Sexual Reproduction
Review the process of meiosis, observing how chromosomes align and migrate, at Meiosis: An Interactive Animation
(http://openstaxcollege.org/l/animal_meiosis) .
a. Errors can arise only during the recombination process, which may result in deletions, duplications, or
translocations causing such abnormalities.
b. Aberrations caused when a pair of homologous chromosomes fails to separate during anaphase I or when
sister chromatids fail to separate during anaphase II, the daughter cells will inherit unequal numbers of
chromosomes.
c. Errors during anaphase I of meiosis only cause such aberrations resulting in unequal numbers of
chromosomes.
d. Errors during meiosis introduce variations in the DNA sequence, which depend specifically on the size of
the variant only.
Meiosis II
In some species, cells enter a brief interphase, or interkinesis, before entering meiosis II. Interkinesis lacks an S phase,
so chromosomes are not duplicated. The two cells produced in meiosis I go through the events of meiosis II in synchrony.
During meiosis II, the sister chromatids within the two daughter cells separate, forming four new haploid gametes. The
mechanics of meiosis II is similar to mitosis, except that each dividing cell has only one set of homologous chromosomes.
Therefore, each cell has half the number of sister chromatids to separate out as a diploid cell undergoing mitosis.
Prophase II
If the chromosomes decondensed in telophase I, they condense again. If nuclear envelopes were formed, they fragment into
vesicles. The centrosomes that were duplicated during interkinesis move away from each other toward opposite poles, and
new spindles are formed.
Prometaphase II
The nuclear envelopes are completely broken down, and the spindle is fully formed. Each sister chromatid forms an
individual kinetochore that attaches to microtubules from opposite poles.
Metaphase II
The sister chromatids are maximally condensed and aligned at the equator of the cell.
Anaphase II
The sister chromatids are pulled apart by the kinetochore microtubules and move toward opposite poles. Nonkinetochore
microtubules elongate the cell.
Chapter 11 | Meiosis and Sexual Reproduction 485
Figure 11.5 The process of chromosome alignment differs between meiosis I and meiosis II. In prometaphase I,
microtubules attach to the fused kinetochores of homologous chromosomes, and the homologous chromosomes are
arranged at the midpoint of the cell in metaphase I. In anaphase I, the homologous chromosomes are separated. In
prometaphase II, microtubules attach to the kinetochores of sister chromatids, and the sister chromatids are arranged
at the midpoint of the cells in metaphase II. In anaphase II, the sister chromatids are separated.
Figure 11.6 An animal cell with a diploid number of four (2n = 4) proceeds through the stages of meiosis to form four
haploid daughter cells.
The main differences between mitosis and meiosis occur in meiosis I, which is a very different nuclear division than
mitosis. In meiosis I, the homologous chromosome pairs become associated with each other, are bound together with
the synaptonemal complex, develop chiasmata and undergo crossover between sister chromatids, and line up along the
metaphase plate in tetrads with kinetochore fibers from opposite spindle poles attached to each kinetochore of a homolog in
a tetrad. All of these events occur only in meiosis I.
When the chiasmata resolve and the tetrad is broken up with the homologs moving to one pole or another, the ploidy
level—the number of sets of chromosomes in each future nucleus—has been reduced from two to one. For this reason,
meiosis I is referred to as a reduction division. There is no such reduction in ploidy level during mitosis.
Meiosis II is much more analogous to a mitotic division. In this case, the duplicated chromosomes—only one set of
them—line up on the metaphase plate with divided kinetochores attached to kinetochore fibers from opposite poles. During
anaphase II, as in mitotic anaphase, the kinetochores divide and one sister chromatid—now referred to as a chromosome—is
pulled to one pole while the other sister chromatid is pulled to the other pole. If it were not for the fact that there had
been crossover, the two products of each individual meiosis II division would be identical, like in mitosis. Instead, they
are different because there has always been at least one crossover per chromosome. Meiosis II is not a reduction division,
because, although there are fewer copies of the genome in the resulting cells, there is still one set of chromosomes, as there
was at the end of meiosis I.
Figure 11.7 Meiosis and mitosis are both preceded by one round of DNA replication; however, meiosis includes two
nuclear divisions. The four daughter cells resulting from meiosis are haploid and genetically distinct. The daughter cells
resulting from mitosis are diploid and identical to the parent cell.
488 Chapter 11 | Meiosis and Sexual Reproduction
Click through the steps of this interactive animation to compare the meiotic process of cell division to that of mitosis in
How Cells Divide (http://openstaxcollege.org/l/how_cells_dvide) .
a. Organisms reproducing through mitosis produce genetically different daughter cells whereas those producing
through meiosis have genetically identical daughter cells.
b. Crossing over or mixing of chromosomes does not occur in meiosis whereas it is prevalent in mitosis.
c. Mitosis is a process of asexual reproduction in which the number of chromosomes are reduced by half
producing two haploid cells whereas in meiosis two diploid cells are produced by cell division.
d. Organisms producing through mitosis create genetically identical offspring as only a single parent copies its
entire genetic material to the offspring. In meiosis, two parents produces gametes, and the offspring have
only half the number of chromosomes of each parent; hence, genetic variation is introduced.
Activity
Create a series of diagrams with annotations to compare and contrast the processes of mitosis and meiosis
in an organism with a haploid number of six. Then, using specific examples, explain how meiosis followed
by fertilization increases genetic variation in a family of organisms.
Section Summary
Sexual reproduction requires that diploid organisms produce haploid cells that can fuse during fertilization to form diploid
offspring. As with mitosis, DNA replication occurs prior to meiosis during the S phase of the cell cycle. Meiosis is a series
of events that arrange and separate chromosomes and chromatids into daughter cells. During the interphases of meiosis,
each chromosome is duplicated. In meiosis, there are two rounds of nuclear division resulting in four nuclei and usually
four daughter cells, each with half the number of chromosomes as the parent cell. The first separates homologs, and the
second—like mitosis—separates chromatids into individual chromosomes. During meiosis, variation in the daughter nuclei
is introduced because of crossover in prophase I and random alignment of tetrads at metaphase I. The cells that are produced
by meiosis are genetically unique.
Meiosis and mitosis share similarities, but have distinct outcomes. Mitotic divisions are single nuclear divisions that
produce daughter nuclei that are genetically identical and have the same number of chromosome sets as the original cell.
Meiotic divisions include two nuclear divisions that produce four daughter nuclei that are genetically different and have
one chromosome set instead of the two sets of chromosomes in the parent cell. The main differences between the processes
occur in the first division of meiosis, in which homologous chromosomes are paired and exchange nonsister chromatid
segments. The homologous chromosomes separate into different nuclei during meiosis I, causing a reduction of ploidy level
in the first division. The second division of meiosis is more similar to a mitotic division, except that the daughter cells do
not contain identical genomes because of crossover.
490 Chapter 11 | Meiosis and Sexual Reproduction
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential
3.C.2 Biological systems have multiple processes that increase genetic variation.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.27 The student is able to compare and contrast processes by which genetic variation is
Objective produced and maintained in organisms from multiple domains.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.7]
• [APLO 3.9]
• [APLO 3.24]
• [APLO 3.28]
Sexual reproduction was an early evolutionary innovation after the appearance of eukaryotic cells. It appears to have
been very successful because most eukaryotes are able to reproduce sexually, and in many animals, it is the only mode
of reproduction. And yet, scientists recognize some real disadvantages to sexual reproduction. On the surface, creating
offspring that are genetic clones of the parent appears to be a better system. If the parent organism is successfully occupying
a habitat, offspring with the same traits would be similarly successful. There is also the obvious benefit to an organism that
can produce offspring whenever circumstances are favorable by asexual budding, fragmentation, or asexual eggs. These
methods of reproduction do not require another organism of the opposite sex. Indeed, some organisms that lead a solitary
lifestyle have retained the ability to reproduce asexually. In addition, in asexual populations, every individual is capable
of reproduction. In sexual populations, the males are not producing the offspring themselves, so in theory an asexual
population could grow twice as fast.
Chapter 11 | Meiosis and Sexual Reproduction 491
However, multicellular organisms that exclusively depend on asexual reproduction are exceedingly rare. Why is sexuality
and meiosis so common? This is one of the important unanswered questions in biology and has been the focus of much
research beginning in the latter half of the twentieth century. There are several possible explanations, one of which is that
the variation that sexual reproduction creates among offspring is very important to the survival and reproduction of the
population. Thus, on average, a sexually reproducing population will leave more descendants than an otherwise similar
asexually reproducing population. The only source of variation in asexual organisms is mutation. This is the ultimate source
of variation in sexual organisms, but in addition, those different mutations are continually reshuffled from one generation
to the next when different parents combine their unique genomes and the genes are mixed into different combinations by
crossovers during prophase I and random assortment at metaphase I.
Figure 11.8 In animals, sexually reproducing adults form haploid gametes from diploid germ cells. Fusion of the
gametes gives rise to a fertilized egg cell, or zygote. The zygote will undergo multiple rounds of mitosis to produce a
multicellular offspring. The germ cells are generated early in the development of the zygote.
Figure 11.9 Fungi, such as the black bread mold Rhizopus nigricans, have haploid-dominant life cycles. The
haploid multicellular stage produces specialized haploid cells by mitosis that fuse to form a diploid zygote. The
zygote undergoes meiosis to produce haploid spores. Each spore gives rise to a multicellular haploid organism
by mitosis. (credit zygomycota micrograph: modification of work by Fanaberka/Wikimedia Commons)
If a mutation occurs so that a fungus is no longer able to produce a minus mating type, will it still be able to reproduce?
a. No, sexual mode of reproduction is the only mode of reproduction in fungi.
b. No, absence of minus mating types will disrupt functions in fungi.
c. Yes, it will be able to reproduce asexually by the mitotic divisions of spores.
d. Yes, by action of some enzymes, it will be able to reproduce asexually.
Alternation of Generations
The third life-cycle type, employed by some algae and all plants, is a blend of the haploid-dominant and diploid-dominant
extremes. Species with alternation of generations have both haploid and diploid multicellular organisms as part of their
life cycle. The haploid multicellular plants are called gametophytes, because they produce gametes from specialized cells.
Meiosis is not directly involved in the production of gametes in this case, because the organism that produces the gametes
is already a haploid. Fertilization between the gametes forms a diploid zygote. The zygote will undergo many rounds of
mitosis and give rise to a diploid multicellular plant called a sporophyte. Specialized cells of the sporophyte will undergo
meiosis and produce haploid spores. The spores will subsequently develop into the gametophytes (Figure 11.10).
494 Chapter 11 | Meiosis and Sexual Reproduction
Figure 11.10 Plants have a life cycle that alternates between a multicellular haploid organism and a multicellular
diploid organism. In some plants, such as ferns, both the haploid and diploid plant stages are free-living. The diploid
plant is called a sporophyte, because it produces haploid spores by meiosis. The spores develop into multicellular,
haploid plants called gametophytes because they produce gametes. The gametes of two individuals will fuse to form
a diploid zygote that becomes the sporophyte. (credit fern: modification of work by Cory Zanker; credit sporangia:
modification of work by Obsidian Soul/Wikimedia Commons; credit gametophyte and sporophyte: modification of work
by Vlmastra/Wikimedia Commons)
Although all plants utilize some version of the alternation of generations, the relative sizes of the sporophyte and the
gametophyte and the relationship between them vary greatly. In plants such as moss, the gametophyte organism is the
free-living plant, and the sporophyte is physically dependent on the gametophyte. In other plants, such as ferns, both the
gametophyte and sporophyte plants are free-living; however, the sporophyte is much larger. In seed plants, such as magnolia
trees and daisies, the gametophyte is composed of only a few cells and, in the case of the female gametophyte, is completely
retained within the sporophyte.
Sexual reproduction takes many forms in multicellular organisms. However, at some point in each type of life cycle, meiosis
produces haploid cells that will fuse with the haploid cell of another organism. The mechanisms of variation—crossover,
random assortment of homologous chromosomes, and random fertilization—are present in all versions of sexual
reproduction. The fact that nearly every multicellular organism on Earth employs sexual reproduction is strong evidence for
the benefits of producing offspring with unique gene combinations, though there are other possible benefits as well.
Think About It
Compare and contrast the three main types of life cycles in multicellular organisms and give an example of
an organism that employs each.
Section Summary
Nearly all eukaryotes undergo sexual reproduction. The variation introduced into the reproductive cells by meiosis appears
to be one of the advantages of sexual reproduction that has made it so successful. Meiosis and fertilization alternate in
sexual life cycles. The process of meiosis produces unique reproductive cells called gametes, which have half the number
of chromosomes as the parent cell. Fertilization, the fusion of haploid gametes from two individuals, restores the diploid
condition. Thus, sexually reproducing organisms alternate between haploid and diploid stages. However, the ways in
which reproductive cells are produced and the timing between meiosis and fertilization vary greatly. There are three main
categories of life cycles: diploid-dominant, demonstrated by most animals; haploid-dominant, demonstrated by all fungi and
some algae; and the alternation of generations, demonstrated by plants and some algae.
Chapter 11 | Meiosis and Sexual Reproduction 495
KEY TERMS
alternation of generations life-cycle type in which the diploid and haploid stages alternate
chiasmata singular, chiasma; the structure that forms at the crossover points after genetic material is exchanged
cohesin proteins that form a complex that seals sister chromatids together at their centromeres until anaphase II of meiosis
crossover exchange of genetic material between nonsister chromatids resulting in chromosomes that incorporate genes
from both parents of the organism
germ cells specialized cell line that produces gametes, such as eggs or sperm
interkinesis also, interphase II; brief period of rest between meiosis I and meiosis II
life cycle the sequence of events in the development of an organism and the production of cells that produce offspring
meiosis I first round of meiotic cell division; referred to as reduction division because the ploidy level is reduced from
diploid to haploid
meiosis II second round of meiotic cell division following meiosis I; sister chromatids are separated into individual
chromosomes, and the result is four unique haploid cells
recombination nodules protein assemblies formed on the synaptonemal complex that mark the points of crossover
events and mediate the multistep process of genetic recombination between nonsister chromatids
reduction division nuclear division that produces daughter nuclei each having one-half as many chromosome sets as the
parental nucleus; meiosis I is a reduction division
somatic cell all the cells of a multicellular organism except the gametes or reproductive cells
spore haploid cell that can produce a haploid multicellular organism or can fuse with another spore to form a diploid cell
sporophyte a multicellular diploid life-cycle stage that produces haploid spores by meiosis
synaptonemal complex protein lattice that forms between homologous chromosomes during prophase I, supporting
crossover
tetrad two duplicated homologous chromosomes—four chromatids—bound together by chiasmata during prophase I
CHAPTER SUMMARY
11.1 The Process of Meiosis
Sexual reproduction requires that diploid organisms produce haploid cells that can fuse during fertilization to form diploid
offspring. As with mitosis, DNA replication occurs prior to meiosis during the S phase of the cell cycle. Meiosis is a series
of events that arrange and separate chromosomes and chromatids into daughter cells. During the interphases of meiosis,
each chromosome is duplicated. In meiosis, there are two rounds of nuclear division resulting in four nuclei and usually
four daughter cells, each with half the number of chromosomes as the parent cell. The first separates homologs, and the
second—like mitosis—separates chromatids into individual chromosomes. During meiosis, variation in the daughter
496 Chapter 11 | Meiosis and Sexual Reproduction
nuclei is introduced because of crossover in prophase I and random alignment of tetrads at metaphase I. The cells that are
produced by meiosis are genetically unique.
Meiosis and mitosis share similarities, but have distinct outcomes. Mitotic divisions are single nuclear divisions that
produce daughter nuclei that are genetically identical and have the same number of chromosome sets as the original cell.
Meiotic divisions include two nuclear divisions that produce four daughter nuclei that are genetically different and have
one chromosome set instead of the two sets of chromosomes in the parent cell. The main differences between the
processes occur in the first division of meiosis, in which homologous chromosomes are paired and exchange nonsister
chromatid segments. The homologous chromosomes separate into different nuclei during meiosis I, causing a reduction of
ploidy level in the first division. The second division of meiosis is more similar to a mitotic division, except that the
daughter cells do not contain identical genomes because of crossover.
Nearly all eukaryotes undergo sexual reproduction. The variation introduced into the reproductive cells by meiosis appears
to be one of the advantages of sexual reproduction that has made it so successful. Meiosis and fertilization alternate in
sexual life cycles. The process of meiosis produces unique reproductive cells called gametes, which have half the number
of chromosomes as the parent cell. Fertilization, the fusion of haploid gametes from two individuals, restores the diploid
condition. Thus, sexually reproducing organisms alternate between haploid and diploid stages. However, the ways in
which reproductive cells are produced and the timing between meiosis and fertilization vary greatly. There are three main
categories of life cycles: diploid-dominant, demonstrated by most animals; haploid-dominant, demonstrated by all fungi
and some algae; and the alternation of generations, demonstrated by plants and some algae.
REVIEW QUESTIONS
1. How many and what type of daughter cells does meiosis produce?
a. four haploid
b. four diploid
c. two haploid
d. two diploid
2. What structure is most important in forming the tetrads?
a. centromere
b. chiasmata
c. kinetochore
d. synaptonemal complex
3. At which stage of meiosis are sister chromatids separated from each other?
a. anaphase I
b. anaphase II
c. prophase I
d. prophase II
4. At metaphase I, homologous chromosomes are connected only at what structures?
a. chiasmata
b. kinetochores
c. microtubules
d. recombination nodules
5. What phase(s) of mitotic interphase is missing from meiotic interkinesis?
Chapter 11 | Meiosis and Sexual Reproduction 497
a. G0 phase
b. G1 phase
c. G2 phase
d. S phase
6. What part of meiosis is most similar to mitosis?
a. reduction division
b. interkinesis
c. meiosis I
d. meiosis II
7. Which of the following is not true during crossing over?
a. Chiasmata are formed.
b. Nonsister chromatids exchange genetic material.
c. Recombination nodules mediate cross over events.
d. Spindle microtubules guide the movement of chromosomal material.
8. During which phase does the second round of genetic variation occur during meiosis?
a. anaphase I
b. metaphase I
c. prophase II
d. Genetic variation only occurs during prophase I.
9. Which type of life cycle has both a haploid and a diploid multicellular stage?
a. alternation of generations
b. asexual
c. diploid-dominant
d. haploid-dominant
10. What is a source of variation in asexual reproduction?
a. crossing over of chromosomes
b. mutation of DNA
c. random assortment of chromosomes
d. There is no variation in asexual reproduction.
11. What is a likely evolutionary advantage of sexual reproduction over asexual reproduction?
a. Sexual reproduction involves fewer steps.
b. Sexual reproduction results in variation in the offspring.
c. Sexual reproduction is more metabolically efficient.
d. Sexual reproduction uses up fewer resources in a given environment.
12. What is a disadvantage of sexual reproduction over asexual forms of reproduction?
a. Half the population is capable of carrying offspring.
b. Identical offspring are not produced.
c. Adaptation to rapidly changing environments is more difficult.
d. Mutation rates are slower.
13. Fungi typically display which type of life cycle?
498 Chapter 11 | Meiosis and Sexual Reproduction
a. alternation of generations
b. asexual
c. diploid-dominant
d. haploid-dominant
14. What is a haploid cell produced in a diploid-dominant organism by meiosis called?
a. gamete
b. gametophyte
c. spore
d. sporophyte
a. Meiosis differs from mitosis in that the number of chromosomes is halved and genetic variation is introduced in
meiosis, but not in mitosis.
b. Meiosis differs from mitosis in that the number of chromosomes is halved and genetic variation is reduced in
meiosis, but not in mitosis.
c. Metaphase and telophase portions of meiosis and mitosis are the same. Meiosis and mitosis are also the same,
except for the number of chromosomes. Anaphase I and anaphase are different.
d. Prophase and telophase portions of meiosis and mitosis are the same. Meiosis II and mitosis are also the same
and have the same number of chromosomes. Anaphase I and anaphase are different.
18. Explain how the orientation of homologous chromosomes during metaphase I of meiosis contributes to greater
variation in gametes.
a. The random alignment of homologous chromosomes at the metaphase plate ensures the random destination of
the chromosomes in the daughter cells.
b. Because homologous chromosomes dissociate from the spindle fibers during metaphase I, they move randomly
to the daughter cells.
c. The homologous chromosomes are paired tightly during metaphase I and undergo crossover as the synaptonemal
complex forms a lattice around them.
d. Recombination of maternal and paternal chromosomes occurs in metaphase I, because the homologous
chromosomes are not connected at their centromeres.
19. Explain how the Red Queen’s catchphrase, “It takes all the running you can do to stay in the same place,” describes co-
evolution between competing species.
a. When a sexually reproducing species and an asexually reproducing species compete for the same resources, they
both “run [evolve] in the same place” because the increased genetic variation in the sexually reproducing species
balances the loss in energy it uses to find and attract mates.
b. When one species gains an advantage with a favorable variation, selection increases on another species with
which it competes. This species must also develop an advantage or it will be outcompeted. The two species “run
[evolve] to stay in the same place.”
c. When one species develops a mutation that decreases its ability to survive, a competing species will become
better able to survive even though it has not changed in any way. In effect, this species “runs [evolves] to stay in
the same place.”
d. When two asexually reproducing species encounter rapid environmental change, the species that is also able to
reproduce sexually will outcompete the other. This way it can “run [evolve] to stay in the same place.”
20. Which three processes lead to variation among offspring that have the same two parents?
a. genetic recombination, fertilization, meiosis
b. crossing over, random chromosome assortment, genetic recombination
c. meiosis, crossing over, genetic recombination
d. fertilization, crossing over, random chromosome assortment
21. Compare the three main types of life cycles in multicellular organisms and give an example of an organism that
employs each.
500 Chapter 11 | Meiosis and Sexual Reproduction
a. In a diploid dominant cycle, the multicellular diploid stage is present, as in humans. Haploid-dominant life
cycles have a multicellular haploid stage, as in fungi. In alternation of generations, both haploid-dominant and
diploid-dominant stages alternate, as in plants.
b. In a diploid-dominant cycle, the unicellular diploid stage is present, as in humans. In a haploid-dominant life
cycle, a unicellular haploid stage is present, as in fungi. In alternation of generations both haploid-dominant and
diploid-dominant stages alternate, as in plants.
c. In a diploid-dominant cycle, a multicellular haploid stage is present, as in humans. In a haploid-dominant life
cycle, a multicellular diploid stage is present, as in fungi. In alternation of generations, both haploid-dominant
and diploid-dominant stages alternate, as in plants.
d. In a diploid-dominant cycle, a multicellular diploid stage is present, as in algae. In a haploid-dominant life cycle,
a multicellular haploid stage is present, as in plants. In alternation of generations, both haploid-dominant and
diploid-dominant stages alternate, as in fungi.
a. alternation of generations
b. diploid-dominant
c. haploid-dominant
d. They all have a multicellular haploid stage in their life cycles.
28. How are spores produced in haploid-dominant and alternation of generation life cycles?
a. by gametophytes
b. by germ cells
c. through mitosis
d. through meiosis
29. What is one thing that is true of haploid-dominant life cycles but not of alternation of generation life cycles?
a. meiosis
b. (+) and (−) mating types
c. spores
d. a free-living haploid stage
Figure 11.11
The duration of meiosis I is measured relative to the transfer of spores to the growth medium. The duration of meiosis II is
measured relative to the emergence from meiosis I. On the y-axis, the fraction of cells observed to enter each phase are
shown, where the sampling has been made in increments of 0.5 hours.
A. Qualitatively compare the mean and standard deviation for these two distributions.
B. The gene Ime1 is transcribed at the start of meiosis I in response to nitrogen starvation. This activates Ime2 that
interacts with Ime1. If, during meiosis I, the cells are supplied with nitrogen, meiosis is halted. Based on these
data, justify the claim that this interaction provides a negative feedback loop.
C. Explain the advantage provided to the population and the risk to individual cells of the timing of meiosis
displayed in the graph above.
32. Construct an explanation as to how DNA is transmitted to the next generation via meiosis followed by fertilization.
33. In eukaryotes, sexual reproduction involves the recombination of heritable information from both parents via meiosis
followed by fertilization. Meiosis reduces the number of chromosomes from diploid (2n) to haploid (1n) during the
production of gametes. Meiosis begins with the duplication of DNA, producing four strands of DNA in two pairs of
homologous chromosomes: 2(2n) becomes 4(n), that is, four haploid cells, where n is the number of strands of DNA in a
chromosome.
502 Chapter 11 | Meiosis and Sexual Reproduction
A. Construct an explanation of the importance of random, independent assortment to genetic variation by creating a
diagram that represents homologous chromosomes during prophase I without crossover and the possible arrangements of
these chromosomes during metaphase I:
• without recombination during prophase I
• with recombination involving two chiasmata
B. An alternative would be to bypass the initial duplication of DNA: 2n becomes 2(n), that is, a diploid cell becomes two
haploid cells. Predict the effect that this would have on genetic variation.
REFERENCES
12 | MENDEL'S
EXPERIMENTS AND
HEREDITY
Figure 12.1 Experimenting with thousands of garden peas, Mendel uncovered the fundamentals of genetics. (credit:
modification of work by Jerry Kirkhart)
Chapter Outline
12.1: Mendel’s Experiments and the Laws of Probability
12.2: Characteristics and Traits
12.3: Laws of Inheritance
Introduction
During the nineteenth century, long before chromosomes or genes had been identified, Johann Gregor Mendel set the
framework for genetics by studying a simple biological system, the garden pea. He conducted methodical, quantitative
analyses using large sample sizes. Mendel’s work laid the foundation for the fundamental principles of heredity. We now
know that genes, carried on chromosomes, are the basic functional units of heredity with the capacity to be replicated,
expressed, repressed, modified, and mutated. Today, the postulates put forth by Mendel form the basis of classical, or
Mendelian, genetics. Genes do not all obey the tenets of Mendelian genetics, but Mendel’s experiments serve as an excellent
starting point for thinking about inheritance.
An understanding of genetic inheritance enables scientists to study and explain complex phenomena. For example,
scientists studied the remains of 84 ancient dogs from North and South America. They found that some of the dogs
had greater genetic diversity, indicating that these dogs might have interbred with American wolves. Other dogs in their
sample had low diversity, indicating that ancient humans were purposely breeding dogs. The study also found that dogs
migrated to the Americas with humans only about 10,000 years ago. You can read more about this fascinating story here
(http://openstaxcollege.org/l/32dogs) .
504 Chapter 12 | Mendel's Experiments and Heredity
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.3 The chromosomal basis of inheritance proposed by Mendel provides an
Knowledge understanding of the pattern of passage of genes from parent to offspring.
Science
3.1 The student can pose scientific questions.
Practice
Learning 3.13 The student is able to pose questions about ethical, social, or medical issues
Objective surrounding human genetic disorders.
Essential 3.A.3 The chromosomal basis of inheritance proposed by Mendel provides an
Knowledge understanding of the pattern of passage of genes from parent to offspring.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Chapter 12 | Mendel's Experiments and Heredity 505
Learning 3.14 The student is able to apply mathematical routines to determine Mendelian patterns of
Objective inheritance provided by data sets.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 14 Mendelian Genetics
Johann Gregor Mendel (1822–1884) (Figure 12.2) was a lifelong learner, teacher, scientist, and man of faith. As a young
adult, he joined the Augustinian Abbey of St. Thomas in Brno in what is now the Czech Republic. Supported by the
monastery, he taught physics, botany, and natural science courses at the secondary and university levels. In 1856, he began
a decade-long research pursuit involving inheritance patterns in honeybees and plants, ultimately settling on pea plants as
his primary model system—a system with convenient characteristics used to study a specific biological phenomenon to be
applied to other systems. In 1865, Mendel presented the results of his experiments with nearly 30,000 pea plants to the local
Natural History Society. He demonstrated that traits are transmitted faithfully from parents to offspring independently of
other traits and in dominant and recessive patterns. In 1866, he published his work, Experiments in Plant Hybridization, in
the proceedings of the Natural History Society of Brünn.
Mendel’s work went virtually unnoticed by the scientific community that believed, incorrectly, that the process of
inheritance involved a blending of parental traits that produced an intermediate physical appearance in offspring; this
hypothetical process appeared to be correct because of what we know now as continuous variation. Continuous variation
results from the action of many genes to determine a characteristic like human height. Offspring appear to be a blend of
their parents’ traits when we look at characteristics that exhibit continuous variation. The blending theory of inheritance
asserted that the original parental traits were lost or absorbed by the blending in the offspring, but we now know that this is
not the case. Mendel was the first researcher to see it. Instead of continuous characteristics, Mendel worked with traits that
were inherited in distinct classes—specifically, violet versus white flowers—this is referred to as discontinuous variation.
Mendel’s choice of these kinds of traits allowed him to see experimentally that the traits were not blended in the offspring,
nor were they absorbed, but rather that they kept their distinctness and could be passed on. In 1868, Mendel became abbot
of the monastery and exchanged his scientific pursuits for his pastoral duties. He was not recognized for his extraordinary
scientific contributions during his lifetime. In fact, it was not until 1900 that his work was rediscovered, reproduced, and
revitalized by scientists on the brink of discovering the chromosomal basis of heredity.
avoided the appearance of unexpected traits in offspring that might occur if the plants were not true breeding. The garden
pea also grows to maturity within one season, meaning that several generations could be evaluated over a relatively short
time. Finally, large quantities of garden peas could be cultivated simultaneously, allowing Mendel to conclude that his
results did not come about simply by chance.
Mendelian Crosses
Mendel performed hybridizations, which involve mating two true-breeding individuals that have different traits. In the pea,
which is naturally self-pollinating, this is done by manually transferring pollen from the anther of a mature pea plant of
one variety to the stigma of a separate mature pea plant of the second variety. In plants, pollen carries the male gametes
(sperm) to the stigma, a sticky organ that traps pollen and allows the sperm to move down the pistil to the female gametes
(ova) below. To prevent the pea plant that was receiving pollen from self-fertilizing and confounding his results, Mendel
painstakingly removed all of the anthers from the plant’s flowers before they had a chance to mature.
Plants used in first-generation crosses were called P0, or parental generation one, plants (Figure 12.3). Mendel collected
the seeds belonging to the P0 plants that resulted from each cross and grew them the following season. These offspring
were called the F1, or the first filial—filial means offspring, daughter, or son—generation. Once Mendel examined the
characteristics in the F1 generation of plants, he allowed them to self-fertilize naturally. He then collected and grew the seeds
from the F1 plants to produce the F2, or second filial, generation. Mendel’s experiments extended beyond the F2 generation
to the F3 and F4 generations, and so on, but it was the ratio of characteristics in the P0-F1-F2 generations that were the most
intriguing and became the basis for Mendel’s postulates.
Chapter 12 | Mendel's Experiments and Heredity 507
Figure 12.3 In one of his experiments on inheritance patterns, Mendel crossed plants that were true-breeding for
violet flower color with plants true-breeding for white flower color—the P generation. The resulting hybrids in the F1
generation all had violet flowers. In the F2 generation, approximately three quarters of the plants had violet flowers,
and one quarter had white flowers.
Once these validations were complete, Mendel applied the pollen from a plant with violet flowers to the stigma of a plant
with white flowers. After gathering and sowing the seeds that resulted from this cross, Mendel found that 100 percent of the
F1 hybrid generation had violet flowers. Conventional wisdom at that time would have predicted the hybrid flowers to be
pale violet or for hybrid plants to have equal numbers of white and violet flowers. In other words, the contrasting parental
traits were expected to blend in the offspring. Instead, Mendel’s results demonstrated that the white flower trait in the F1
generation had completely disappeared.
Importantly, Mendel did not stop his experimentation there. He allowed the F1 plants to self-fertilize and found that, of
F2-generation plants, 705 had violet flowers and 224 had white flowers. This was a ratio of 3.15 violet flowers per one white
flower, or approximately 3:1. When Mendel transferred pollen from a plant with violet flowers to the stigma of a plant with
white flowers and vice versa, he obtained about the same ratio regardless of which parent, male or female, contributed which
trait. This is called a reciprocal cross—a paired cross in which the respective traits of the male and female in one cross
become the respective traits of the female and male in the other cross. For the other six characteristics Mendel examined,
the F1 and F2 generations behaved in the same way as they had for flower color. One of the two traits would disappear
completely from the F1 generation only to reappear in the F2 generation at a ratio of approximately 3:1 (Table 12.1).
651 axial
Flower position Axial vs. terminal 100% axial 3.14:1
207 terminal
787 tall
Plant height Tall vs. dwarf 100% tall 2.84:1
277 dwarf
5,474 round
Seed texture Round vs. wrinkled 100% round 2.96:1
1,850 wrinkled
6,022 yellow
Seed color Yellow vs. green 100% yellow 3.01:1
2,001 green
882 inflated
Pea pod texture Inflated vs. constricted 100% inflated 2.95:1
299 constricted
428 green
Pea pod color Green vs. yellow 100% green 2.82:1
152 yellow
Table 12.1
Upon compiling his results for many thousands of plants, Mendel concluded that the characteristics could be divided into
expressed and latent traits. He called these, respectively, dominant and recessive traits. Dominant traits are those that are
inherited unchanged in a hybridization. Recessive traits become latent, or disappear, in the offspring of a hybridization.
The recessive trait does, however, reappear in the progeny of the hybrid offspring. An example of a dominant trait is the
violet-flower trait. For this same characteristic—flower color—white-colored flowers are a recessive trait. The fact that
the recessive trait reappeared in the F2 generation meant that the traits remained separate—not blended—in the plants of
the F1 generation. Mendel also proposed that plants possessed two copies of the trait for the flower-color characteristic,
and that each parent transmitted one of its two copies to its offspring, where they came together. Moreover, the physical
observation of a dominant trait could mean that the genetic composition of the organism included two dominant versions of
the characteristic or that it included one dominant and one recessive version. Conversely, the observation of a recessive trait
meant that the organism lacked any dominant versions of this characteristic.
Chapter 12 | Mendel's Experiments and Heredity 509
So why did Mendel repeatedly obtain 3:1 ratios in his crosses? To understand how Mendel deduced the basic mechanisms
of inheritance that lead to such ratios, we must first review the laws of probability.
Think About It
Students are performing a cross involving seed color in garden pea plants. Yellow seed color is dominant to green
seed color. What F1 offspring would be expected when cross true-breeding plants with green seeds with true-breeding
plants with yellow seeds? Express the answer(s) as a percentage.
Probability Basics
Probabilities are mathematical measures of likelihood. The empirical probability of an event is calculated by dividing the
number of times the event occurs by the total number of opportunities for the event to occur. It is also possible to calculate
theoretical probabilities by dividing the number of times that an event is expected to occur by the number of times that
it could occur. Empirical probabilities come from observations, like those of Mendel. Theoretical probabilities come from
knowing how the events are produced and assuming that the probabilities of individual outcomes are equal. A probability
of one for some event indicates that it is guaranteed to occur, whereas a probability of zero indicates that it is guaranteed not
to occur. An example of a genetic event is a round seed produced by a pea plant. In his experiment, Mendel demonstrated
that the probability of the event round seed occurring was one in the F1 offspring of true-breeding parents, one of which has
round seeds and one of which has wrinkled seeds. When the F1 plants were subsequently self-crossed, the probability of
any given F2 offspring having round seeds was now three out of four. In other words, in a large population of F2 offspring
chosen at random, 75 percent were expected to have round seeds, whereas 25 percent were expected to have wrinkled seeds.
Using large numbers of crosses, Mendel was able to calculate probabilities and use these to predict the outcomes of other
crosses.
Table 12.2
510 Chapter 12 | Mendel's Experiments and Heredity
Table 12.2
Of the 12 possible outcomes, the die has a 2/12 (or 1/6) probability of rolling a two, and the penny has a 6/12 (or 1/2)
probability of coming up heads. By the product rule, the probability that you will obtain the combined outcome 2 and heads
is: (D2) × (PH) = (1/6) × (1/2) or 1/12 (Table 12.3). Notice the word and in the description of the probability. The and is a
signal to apply the product rule. For example, consider how the product rule is applied to the dihybrid cross: the probability
of having both dominant traits in the F2 progeny is the product of the probabilities of having the dominant trait for each
characteristic, as shown here.
3×3 = 9
4 4 16
On the other hand, the sum rule of probability is applied when considering two mutually exclusive outcomes that can come
about by more than one pathway. The sum rule states that the probability of the occurrence of one event or the other event,
of two mutually exclusive events, is the sum of their individual probabilities. Notice the word or in the description of the
probability. The or indicates that you should apply the sum rule. In this case, let’s imagine you are flipping a penny (P)
and a quarter (Q). What is the probability of one coin coming up heads and one coin coming up tails? This outcome can be
achieved by two cases: The penny may be heads (PH) and the quarter may be tails (QT), or the quarter may be heads (QH)
and the penny may be tails (PT). Either case fulfills the outcome. By the sum rule, we calculate the probability of obtaining
one head and one tail as [(PH) × (QT)] + [(QH) × (PT)] = [(1/2) × (1/2)] + [(1/2) × (1/2)] = 1/2 (Table 12.3). You should also
notice that we used the product rule to calculate the probability of PH and QT, and also the probability of PT and QH, before
we summed them. Again, the sum rule can be applied to show the probability of having just one dominant trait in the F2
generation of a dihybrid cross.
3 + 3 = 15
16 4 16
Table 12.3
To use probability laws in practice, it is necessary to work with large sample sizes because small sample sizes are prone
to deviations caused by chance. The large quantities of pea plants that Mendel examined allowed him calculate the
probabilities of the traits appearing in his F2 generation. As you will learn, this discovery meant that when parental traits
were known, the offspring’s traits could be predicted accurately even before fertilization.
Chapter 12 | Mendel's Experiments and Heredity 511
Section Summary
Working with garden pea plants, Mendel found that crosses between parents that differed by one trait produced F1 offspring
that all expressed the traits of one parent. Observable traits are referred to as dominant, and non expressed traits are
described as recessive. When the offspring in Mendel’s experiment were self-crossed, the F2 offspring exhibited the
dominant trait or the recessive trait in a 3:1 ratio, confirming that the recessive trait had been transmitted faithfully from the
original P0 parent. Reciprocal crosses generated identical F1 and F2 offspring ratios. By examining sample sizes, Mendel
showed that his crosses behaved reproducibly according to the laws of probability, and that the traits were inherited as
independent events.
Two rules in probability can be used to find the expected proportions of offspring of different traits from different crosses.
To find the probability of two or more independent events occurring together, apply the product rule and multiply the
probabilities of the individual events. The use of the word and suggests the appropriate application of the product rule. To
find the probability of two or more events occurring in combination, apply the sum rule and add their individual probabilities
together. The use of the word or suggests the appropriate application of the sum rule.
to predict the possible outcomes of genetic crosses. Test crosses are done to determine whether or not an individual is
homozygous or heterozygous by crossing the individual with a homozygous recessive.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 of the AP®
Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.3 The chromosomal basis of inheritance proposed by Mendel provides an understanding
Knowledge of the pattern of passage of genes from parent to offspring.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.12 The student is able to construct a representation (e.g., Punnett square) that connects
Objective the process of meiosis to the passage of traits from parent to offspring.
Essential 3.A.3 The chromosomal basis of inheritance proposed by Mendel provides an understanding
Knowledge of the pattern of passage of genes from parent to offspring.
Science
3.1 The student can pose scientific questions.
Practice
Learning 3.13 The student is able to pose questions about ethical, social, or medical issues
Objective surrounding human genetic disorders.
Essential 3.A.3 The chromosomal basis of inheritance proposed by Mendel provides an understanding
Knowledge of the pattern of passage of genes from parent to offspring.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 3.14 The student is able to apply mathematical routines to determine Mendelian patterns of
Objective inheritance provided by data sets.
Essential 3.A.4 The inheritance patterns of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
Learning 3.15 The student is able to explain deviations from Mendel’s model of the inheritance of
Objective traits.
Essential 3.A.4 The inheritance patterns of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Science 6.3 The student can articulate the reasons that scientific explanations and theories are
Practice refined or replaced.
Learning 3.16 The student is able to explain how the inheritance pattern of many traits cannot be
Objective accounted for by Mendelian genetics.
Essential 3.A.4 The inheritance patterns of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Chapter 12 | Mendel's Experiments and Heredity 513
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 3.17 The student is able to describe representations of an appropriate example of
Objective inheritance patterns that cannot be explained by Mendel’s model of the inheritance of traits.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.12]
• [APLO 3.14]
• [APLO 3.16]
• [APLO 3.11]
• [APLO 3.13]
• [APLO 3.17]
The seven characteristics that Mendel evaluated in his pea plants were each expressed as one of two versions, or traits.
The physical expression of characteristics is accomplished through the expression of genes carried on chromosomes. The
genetic makeup of peas consists of two similar or homologous copies of each chromosome, one from each parent. Each
pair of homologous chromosomes has the same linear order of genes. In other words, peas are diploid organisms in that
they have two copies of each chromosome. The same is true for many other plants and for virtually all animals. Diploid
organisms utilize meiosis to produce haploid gametes, which contain one copy of each homologous chromosome that unite
at fertilization to create a diploid zygote.
For cases in which a single gene controls a single characteristic, a diploid organism has two genetic copies that may or
may not encode the same version of that characteristic. Gene variants that arise by mutation and exist at the same relative
locations on homologous chromosomes are called alleles. Mendel examined the inheritance of genes with just two allele
forms, but it is common to encounter more than two alleles for any given gene in a natural population.
Table 12.4
Several conventions exist for referring to genes and alleles. For the purposes of this chapter, we will abbreviate genes
using the first letter of the gene’s corresponding dominant trait. For example, violet is the dominant trait for a pea plant’s
flower color, so the flower-color gene would be abbreviated as V—note that it is customary to italicize gene designations.
Furthermore, we will use uppercase and lowercase letters to represent dominant and recessive alleles, respectively.
Therefore, we would refer to the genotype of a homozygous dominant pea plant with violet flowers as VV, a homozygous
recessive pea plant with white flowers as vv, and a heterozygous pea plant with violet flowers as Vv.
Figure 12.4 In the P generation, pea plants that are true-breeding for the dominant yellow phenotype are crossed with
plants with the recessive green phenotype. This cross produces F1 heterozygotes with a yellow phenotype. Punnett
square analysis can be used to predict the genotypes of the F2 generation.
A self-cross of one of the Yy heterozygous offspring can be represented in a 2 × 2 Punnett square because each parent
can donate one of two different alleles. Therefore, the offspring can potentially have one of four allele combinations: YY,
Yy, yY, or yy (Figure 12.4). Notice that there are two ways to obtain the Yy genotype: a Y from the egg and a y from the
sperm, or a y from the egg and a Y from the sperm. Both of these possibilities must be counted. Recall that Mendel’s pea-
plant characteristics behaved in the same way in reciprocal crosses. Therefore, the two possible heterozygous combinations
produce offspring that are genotypically and phenotypically identical despite their dominant and recessive alleles deriving
from different parents. They are grouped together. Because fertilization is a random event, we expect each combination to
be equally likely and for the offspring to exhibit a ratio of YY:Yy:yy genotypes of 1:2:1 (Figure 12.4). Furthermore, because
the YY and Yy offspring have yellow seeds and are phenotypically identical, applying the sum rule of probability, we expect
the offspring to exhibit a phenotypic ratio of 3 yellow:1 green. Indeed, working with large sample sizes, Mendel observed
approximately this ratio in every F2 generation resulting from crosses for individual traits.
Mendel validated these results by performing an F3 cross in which he self-crossed the dominant- and recessive-expressing
F2 plants. When he self-crossed the plants expressing green seeds, all of the offspring had green seeds, confirming that all
green seeds had homozygous genotypes of yy. When he self-crossed the F2 plants expressing yellow seeds, he found that
one-third of the plants bred true, and two-thirds of the plants segregated at a 3:1 ratio of yellow:green seeds. In this case,
the true-breeding plants had homozygous (YY) genotypes, whereas the segregating plants corresponded to the heterozygous
(Yy) genotype. When these plants self-fertilized, the outcome was just like the F1 self-fertilizing cross.
The Test Cross Distinguishes the Dominant Phenotype
Beyond predicting the offspring of a cross between known homozygous or heterozygous parents, Mendel also developed
a way to determine whether an organism that expressed a dominant trait was a heterozygote or a homozygote. Called the
test cross, this technique is still used by plant and animal breeders. In a test cross, the dominant-expressing organism is
crossed with an organism that is homozygous recessive for the same characteristic. If the dominant-expressing organism
516 Chapter 12 | Mendel's Experiments and Heredity
is a homozygote, then all F1 offspring will be heterozygotes expressing the dominant trait (Figure 12.5). Alternatively, if
the dominant expressing organism is a heterozygote, the F1 offspring will exhibit a 1:1 ratio of heterozygotes and recessive
homozygotes (Figure 12.5). The test cross further validates Mendel’s postulate that pairs of unit factors segregate equally.
Figure 12.5 A test cross can be performed to determine whether an organism expressing a dominant trait is a
homozygote or a heterozygote.
In pea plants, round peas (R) are dominant to wrinkled peas (r).You do a test cross between a pea plant with wrinkled
peas (genotype rr) and a plant of unknown genotype that has round peas. You end up with three plants, all which have
round peas. From this data, can you tell if the round pea parent plant is homozygous dominant or heterozygous? If the
round pea parent plant is heterozygous, what is theprobability that a random sample of three progeny peas will all be
round?
a. The data set is too small to predict the genotype of the round pea plant. Assuming that the unknown parent
is heterozygous, the probability of having only round pea plants from a random sample of three progeny will
be 1 .
8
b. The genotype of the unknown round pea plant is Rr. Assuming that the unknown parent is heterozygous,
then the probability of having only round pea plants from a random sample of three progeny will be 1 .
4
c. The genotype of the unknown round pea plant is Rr. Assuming that the unknown parent is heterozygous, the
probability of having only round pea plants from a random sample of three progeny will be 1 .
2
d. The data set is too small to predict the genotype of the round pea plant. The probability of having only round
pea plants from a random sample of three progeny will be 1 .
6
Chapter 12 | Mendel's Experiments and Heredity 517
Many human diseases are genetically inherited. A healthy person in a family in which some members suffer from a recessive
genetic disorder may want to know if he or she has the disease-causing gene and what risk exists of passing the disorder on
to his or her offspring. Of course, doing a test cross in humans is unethical and impractical. Instead, geneticists use pedigree
analysis to study the inheritance pattern of human genetic diseases (Figure 12.6).
518 Chapter 12 | Mendel's Experiments and Heredity
Figure 12.6 Alkaptonuria is a recessive genetic disorder in which two amino acids, phenylalanine and tyrosine,
are not properly metabolized. Affected individuals may have darkened skin and brown urine, and may suffer joint
damage and other complications. In this pedigree, individuals with the disorder are indicated in blue and have the
genotype aa. Unaffected individuals are indicated in yellow and have the genotype AA or Aa. Note that it is often
possible to determine a person’s genotype from the genotype of their offspring. For example, if neither parent has
the disorder but their child does, they must be heterozygous. Two individuals on the pedigree have an unaffected
phenotype but unknown genotype. Because they do not have the disorder, they must have at least one normal
allele, so their genotype gets the “A?” designation.
Chapter 12 | Mendel's Experiments and Heredity 519
Figure 12.7
Using the pedigree above, what are the genotypes of the individuals labeled 1, 2, and 3?
a. 1:aa, 2:AA, 3:AA
b. 1:aa, 2:Aa, 3:Aa
c. 1:aa, 2:Aa, 3:AA
d. 1:Aa, 2:Aa, 3:Aa
expression of two contrasting alleles such that the individual displays an intermediate phenotype. The allele for red flowers
is incompletely dominant over the allele for white flowers. However, the results of a heterozygote self-cross can still be
predicted, just as with Mendelian dominant and recessive crosses. In this case, the genotypic ratio would be 1 CRCR:2
CRCW:1 CWCW, and the phenotypic ratio would be 1:2:1 for red:pink:white.
Figure 12.8 These pink flowers of a heterozygote snapdragon result from incomplete dominance. (credit:
storebukkebruse/Flickr)
Codominance
A variation on incomplete dominance is codominance, in which both alleles for the same characteristic are simultaneously
expressed in the heterozygote. An example of codominance is the MN blood groups of humans. The M and N alleles
are expressed in the form of an M or N antigen present on the surface of red blood cells. Homozygotes (LMLM and
LNLN) express either the M or the N allele, and heterozygotes (LMLN) express both alleles equally. In a self-cross between
heterozygotes expressing a codominant trait, the three possible offspring genotypes are phenotypically distinct. However,
the 1:2:1 genotypic ratio characteristic of a Mendelian monohybrid cross still applies.
Multiple Alleles
Mendel implied that only two alleles, one dominant and one recessive, could exist for a given gene. We now know that this
is an oversimplification. Although individual humans—and all diploid organisms—can only have two alleles for a given
gene, multiple alleles may exist at the population level such that many combinations of two alleles are observed. Note that
when many alleles exist for the same gene, the convention is to denote the most common phenotype or genotype among
wild animals as the wild type—often abbreviated “+”—this is considered the standard or norm. All other phenotypes or
genotypes are considered variants of this standard, meaning that they deviate from the wild type. The variant may be
recessive or dominant to the wild-type allele.
An example of multiple alleles is coat color in rabbits (Figure 12.9). Here, four alleles exist for the c gene. The wild-
type version, C+C+, is expressed as brown fur. The chinchilla phenotype, cchcch, is expressed as black-tipped white fur.
The Himalayan phenotype, chch, has black fur on the extremities and white fur elsewhere. Finally, the albino, or colorless
phenotype, cc, is expressed as white fur. In cases of multiple alleles, dominance hierarchies can exist. In this case, the wild-
type allele is dominant over all the others, chinchilla is incompletely dominant over Himalayan and albino, and Himalayan
is dominant over albino. This hierarchy, or allelic series, was revealed by observing the phenotypes of each possible
heterozygote offspring.
Chapter 12 | Mendel's Experiments and Heredity 521
Figure 12.9 Four different alleles exist for the rabbit coat color (C) gene.
The complete dominance of a wild-type phenotype over all other mutants often occurs as an effect of dosage of a specific
gene product, such that the wild-type allele supplies the correct amount of gene product whereas the mutant alleles cannot.
For the allelic series in rabbits, the wild-type allele may supply a given dosage of fur pigment, whereas the mutants supply
a lesser dosage or none at all. Interestingly, the Himalayan phenotype is the result of an allele that produces a temperature-
sensitive gene product that only produces pigment in the cooler extremities of the rabbit’s body.
Alternatively, one mutant allele can be dominant over all other phenotypes, including the wild type. This may occur when
the mutant allele somehow interferes with the genetic message so that even a heterozygote with one wild-type allele copy
expresses the mutant phenotype. One way in which the mutant allele can interfere is by enhancing the function of the wild-
type gene product or changing its distribution in the body. One example of this is the Antennapedia mutation in Drosophila
(Figure 12.10). In this case, the mutant allele expands the distribution of the gene product, and as a result, the Antennapedia
heterozygote develops legs on its head where its antennae should be.
Figure 12.10 As seen in comparing the wild-type Drosophila (left) and the Antennapedia mutant (right), the
Antennapedia mutant has legs on its head in place of antennae.
522 Chapter 12 | Mendel's Experiments and Heredity
(a) (b)
Figure 12.11 The (a) Anopheles gambiae, or African malaria mosquito, acts as a vector in the transmission to
humans of the malaria-causing parasite (b) Plasmodium falciparum, here visualized using false-color transmission
electron microscopy. (credit a: James D. Gathany; credit b: Ute Frevert; false color by Margaret Shear; scale-bar
data from Matt Russell)
In Southeast Asia, Africa, and South America, P. falciparum has developed resistance to the anti-malarial
drugs chloroquine, mefloquine, and sulfadoxine-pyrimethamine. P. falciparum, which is haploid during the
life stage in which it is infectious to humans, has evolved multiple drug-resistant mutant alleles of the dhps
gene. Varying degrees of sulfadoxine resistance are associated with each of these alleles. Being haploid, P.
falciparum needs only one drug-resistant allele to express this trait.
In Southeast Asia, different sulfadoxine-resistant alleles of the dhps gene are localized to different
geographic regions. This is a common evolutionary phenomenon that occurs because drug-resistant
mutants arise in a population and interbreed with other P. falciparum isolates in close proximity. Sulfadoxine-
resistant parasites cause considerable human hardship in regions where this drug is widely used as an
over-the-counter malaria remedy. As is common with pathogens that multiply to large numbers within an
infection cycle, P. falciparum evolves relatively rapidly—over a decade or so—in response to the selective
pressure of commonly used anti-malarial drugs. For this reason, scientists must constantly work to develop
new drugs or drug combinations to combat the worldwide malaria burden.
According to this passage, why does P. falciparum only need one drug-resistant dhps allele to express the drug
resistance trait?
a. The drug-resistant dhps allele is co-dominant with the wild-type allele.
b. Only one dhps allele is present during all stages of the P. falciparum life cycle.
c. Only one dhps allele is present when P. falciparum is infectious.
d. The drug-resistant dhps allele prevents the wild-type allele from being expressed.
X-Linked Traits
In humans, as well as in many other animals and some plants, the sex of the individual is determined by sex chromosomes.
Chapter 12 | Mendel's Experiments and Heredity 523
The sex chromosomes are one pair of nonhomologous chromosomes. Until now, we have only considered inheritance
patterns among nonsex chromosomes, or autosomes. In addition to 22 homologous pairs of autosomes, human females have
a homologous pair of X chromosomes, whereas human males have an XY chromosome pair. Although the Y chromosome
contains a small region of similarity to the X chromosome so that they can pair during meiosis, the Y chromosome is much
shorter and contains many fewer genes. When a gene being examined is present on the X chromosome, but not on the Y
chromosome, it is said to be X-linked.
Eye color in Drosophila was one of the first X-linked traits to be identified. Thomas Hunt Morgan mapped this trait to the
X chromosome in 1910. Like humans, Drosophila males have an XY chromosome pair, and females are XX. In flies, the
wild-type eye color is red (XW) and it is dominant to white eye color (Xw) (Figure 12.12). Because of the location of the
eye-color gene, reciprocal crosses do not produce the same offspring ratios. Males are said to be hemizygous, because they
have only one allele for any X-linked characteristic. Hemizygosity makes the descriptions of dominance and recessiveness
irrelevant for XY males. Drosophila males lack a second allele copy on the Y chromosome; that is, their genotype can only
be XWY or XwY. In contrast, females have two allele copies of this gene and can be XWXW, XWXw, or XwXw.
Figure 12.12 In Drosophila, the gene for eye color is located on the X chromosome. Clockwise from top left are brown,
cinnabar, sepia, vermilion, white, and red. Red eye color is wild type and is dominant to white eye color.
In an X-linked cross, the genotypes of F1 and F2 offspring depend on whether the recessive trait was expressed by the
male or the female in the P1 generation. With regard to Drosophila eye color, when the P1 male expresses the white-eye
phenotype and the female is homozygous red-eyed, all members of the F1 generation exhibit red eyes (Figure 12.13).
The F1 females are heterozygous (XWXw), and the males are all XWY, having received their X chromosome from the
homozygous dominant P1 female and their Y chromosome from the P1 male. A subsequent cross between the XWXw female
and the XWY male would produce only red-eyed females (with XWXW or XWXw genotypes) and both red- and white-eyed
males—with XWY or XwY genotypes. Now, consider a cross between a homozygous white-eyed female and a male with
red eyes. The F1 generation would exhibit only heterozygous red-eyed females (XWXw) and only white-eyed males (XwY).
Half of the F2 females would be red-eyed (XWXw) and half would be white-eyed (XwXw). Similarly, half of the F2 males
would be red-eyed (XWY) and half would be white-eyed (XwY).
524 Chapter 12 | Mendel's Experiments and Heredity
Figure 12.13 Punnett square analysis is used to determine the ratio of offspring from a cross between a red-eyed
male fruit fly and a white-eyed female fruit fly.
What ratio of offspring would result from a cross between a white-eyed male fruit fly and a and a female fruit fly that
is heterozygous for eye color?
a. Twenty-five percent of the offspring are males and hemizygous dominant with red eyes and 25 percent are
male and hemizygous recessive with white eyes. Twenty-five percent are female and heterozygous with red
eyes and 25 percent are females and homozygous recessive with white eyes.
b. Fifty percent of the offspring are male and hemizygous dominant with red eyes and 50 percent are male
hemizygous recessive with white eyes. Fifty percent are female and heterozygous with red eyes and 50
percent are female and homozygous recessive with white eyes.
c. Twenty-five percent of the males are hemizygous dominant with red eyes and 50 percent of the male are
hemizygous recessive with white eyes. Twenty-five percent females are heterozygous with red eyes and 50
percent of the females are homozygous with white eyes.
d. Fifty percent of the males are hemizygous dominant with red eyes and 25 percent of the male are hemizygous
recessive with white eyes. Fifty percent females are heterozygous with red eyes and 25 percent of the females
are homozygous recessive with white eyes
Discoveries in fruit fly genetics can be applied to human genetics. When a female parent is homozygous for a recessive X-
linked trait, she will pass the trait on to 100 percent of her offspring. Her male offspring are, therefore, destined to express
the trait, as they will inherit their father's Y chromosome. In humans, the alleles for certain conditions—some forms of color
blindness, hemophilia, and muscular dystrophy—are X-linked. Females who are heterozygous for these diseases are said to
be carriers and may not exhibit any phenotypic effects. These females will pass the disease to half of their sons and will pass
carrier status to half of their daughters; therefore, recessive X-linked traits appear more frequently in males than females.
Chapter 12 | Mendel's Experiments and Heredity 525
In some groups of organisms with sex chromosomes, the gender with the non-homologous sex chromosomes is the female
rather than the male. This is the case for all birds. In this case, sex-linked traits will be more likely to appear in the female,
in which they are hemizygous.
Human Sex-Linked Disorders
Sex-linkage studies in Morgan’s laboratory provided the fundamentals for understanding X-linked recessive disorders in
humans, which include red-green color blindness, and Types A and B hemophilia. Because human males need to inherit only
one recessive mutant X allele to be affected, X-linked disorders are disproportionately observed in males. Females must
inherit recessive X-linked alleles from both of their parents in order to express the trait. When they inherit one recessive
X-linked mutant allele and one dominant X-linked wild-type allele, they are carriers of the trait and are typically unaffected.
Carrier females can manifest mild forms of the trait due to the inactivation of the dominant allele located on one of the X
chromosomes. However, female carriers can contribute the trait to their sons, resulting in the son exhibiting the trait, or they
can contribute the recessive allele to their daughters, resulting in the daughters being carriers of the trait (Figure 12.14).
Although some Y-linked recessive disorders exist, typically they are associated with infertility in males and are therefore
not transmitted to subsequent generations.
Figure 12.14 The son of a woman who is a carrier of a recessive X-linked disorder will have a 50 percent chance of
being affected. A daughter will not be affected, but she will have a 50 percent chance of being a carrier like her mother.
526 Chapter 12 | Mendel's Experiments and Heredity
The most common form of hemophilia affects one out of every 5,000 male births worldwide, but the condition is much
rarer in females. Explain why this is the case.
Lethality
A large proportion of genes in an individual’s genome are essential for survival. Occasionally, a nonfunctional allele for an
essential gene can arise by mutation and be transmitted in a population as long as individuals with this allele also have a
wild-type, functional copy. The wild-type allele functions at a capacity sufficient to sustain life and is therefore considered
to be dominant over the nonfunctional allele. However, consider two heterozygous parents that have a genotype of wild-
type/nonfunctional mutant for a hypothetical essential gene. In one quarter of their offspring, we would expect to observe
individuals that are homozygous recessive for the nonfunctional allele. Because the gene is essential, these individuals
might fail to develop past fertilization, die in utero, or die later in life, depending on what life stage requires this gene. An
inheritance pattern in which an allele is only lethal in the homozygous form and in which the heterozygote may be normal
or have some altered non-lethal phenotype is referred to as recessive lethal.
For crosses between heterozygous individuals with a recessive lethal allele that causes death before birth when homozygous,
only wild-type homozygotes and heterozygotes would be observed. The genotypic ratio would therefore be 2:1. In other
instances, the recessive lethal allele might also exhibit a dominant—but not lethal—phenotype in the heterozygote. For
instance, the recessive lethal Curly allele in Drosophila affects wing shape in the heterozygote form but is lethal in the
homozygote.
A single copy of the wild-type allele is not always sufficient for normal functioning or even survival. The dominant lethal
inheritance pattern is one in which an allele is lethal both in the homozygote and the heterozygote; this allele can only be
transmitted if the lethality phenotype occurs after reproductive age. Individuals with mutations that result in dominant lethal
alleles fail to survive even in the heterozygote form. Dominant lethal alleles are very rare because, as you might expect, the
allele only lasts one generation and is not transmitted. However, just as the recessive lethal allele might not immediately
manifest the phenotype of death, dominant lethal alleles also might not be expressed until adulthood. Once the individual
reaches reproductive age, the allele may be unknowingly passed on, resulting in a delayed death in both generations. An
example of this in humans is Huntington’s disease, in which the nervous system gradually wastes away (Figure 12.15).
People who are heterozygous for the dominant Huntington allele (Hh) will inevitably develop the fatal disease. However,
the onset of Huntington’s disease may not occur until age 40, at which point the afflicted persons may have already passed
the allele to 50 percent of their offspring.
Chapter 12 | Mendel's Experiments and Heredity 527
Figure 12.15 The neuron in the center of this micrograph (yellow) has nuclear inclusions characteristic of Huntington’s
disease—the orange area in the center of the neuron. Huntington’s disease occurs when an abnormal dominant allele
for the Huntington gene is present. (credit: Dr. Steven Finkbeiner, Gladstone Institute of Neurological Disease, The
Taube-Koret Center for Huntington's Disease Research, and the University of California San Francisco/Wikimedia)
Activity
This section includes descriptions of genetically inherited human diseases, such as sickle cell anemia,
alkaptonuria, hemophilia, color blindness, and Huntington’s disease. One issue surrounding genetic
disorders is the right to privacy. Can you think of other examples of ethical, social, or medical issue
surrounding human genetic disorders?
Lab Investigation
Investigate inheritance patterns in an organism of choice, such as Wisconsin Fast Plants or Drosophila
melanogaster, by performing several genetic crosses and comparing expected and observed phenotypic
ratios. Virtual labs exploring Mendelian inheritance patterns are also available online.
Think About It
• In pea plants, round peas (R) are dominant to wrinkles peas (r) (Figure 12.5). You do a test cross between a
pea plant with wrinkled peas—genotype rr—and a plant of unknown genotype that has round peas—genotype
either RR or Rr. You end up with three offspring plants, all which have round peas. Based on the phenotype of
the offspring plants, can you deduce the genotype of the round pea parent plant? If the round pea parent plant is
heterozygous, calculate the probability that a random sample of three progeny peas will all be round.
• Can a human male be a carrier of red-green color blindness? Justify your answer.
• In pea plants, violet flowers (V) are dominant to white flowers (v). What are the possible genotypes and
phenotypes for a cross between Vv and vv pea plants? Use a Punnett square to show all work.
528 Chapter 12 | Mendel's Experiments and Heredity
Section Summary
When true-breeding or homozygous individuals that differ for a certain trait are crossed, all of the offspring will be
heterozygotes for that trait. If the traits are inherited as dominant and recessive, the F1 offspring will all exhibit the same
phenotype as the parent homozygous for the dominant trait. If these heterozygous offspring are self-crossed, the resulting
F2 offspring will be equally likely to inherit gametes carrying the dominant or recessive trait, giving rise to offspring of
which one-quarter are homozygous dominant, half are heterozygous, and one quarter are homozygous recessive. Because
homozygous dominant and heterozygous individuals are phenotypically identical, the observed traits in the F2 offspring will
exhibit a ratio of three dominant to one recessive.
Alleles do not always behave in dominant and recessive patterns. Incomplete dominance describes situations in which the
heterozygote exhibits a phenotype that is intermediate between the homozygous phenotypes. Codominance describes the
simultaneous expression of both of the alleles in the heterozygote. Although diploid organisms can only have two alleles
for any given gene, it is common for more than two alleles of a gene to exist in a population. In humans, as in many animals
and some plants, females have two X chromosomes, and males have one X and one Y chromosome. Genes that are present
on the X but not the Y chromosome are said to be X-linked, such that males only inherit one allele for the gene, and females
inherit two. Finally, some alleles can be lethal. Recessive lethal alleles are only lethal in homozygotes, but dominant lethal
alleles are fatal in heterozygotes as well.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Chapter 12 | Mendel's Experiments and Heredity 529
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.3 The chromosomal basis of inheritance provides an understanding of the pattern of
Knowledge passage—transmission—of genes from parent to offspring.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 3.14 The student is able to apply mathematical routines to determine Mendelian patterns of
Objective inheritance provided by data.
Essential 3.A.4 The inheritance pattern of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
Learning 3.15 The student is able to explain deviations from Mendel’s model of the inheritance of
Objective traits.
Essential 3.A.4 The inheritance pattern of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Science 6.3 The student can articulate the reasons that scientific explanations and theories are
Practice refined or replaced.
Learning 3.16 The student is able to explain how the inheritance patterns of many traits cannot be
Objective accounted for by Mendelian genetics.
Essential 3.A.4 The inheritance pattern of many traits cannot be explained by simple Mendelian
Knowledge genetics.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 3.17 The student is able to describe representations of an appropriate example of
Objective inheritance patterns that cannot be explained by Mendel’s model of the inheritance of traits.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.11]
• [APLO 3.15]
• [APLO 3.14]
• [APLO 3.17]
• [APLO 3.12]
Mendel generalized the results of his pea-plant experiments into four postulates, some of which are sometimes called laws,
that describe the basis of dominant and recessive inheritance in diploid organisms. As you have learned, more complex
extensions of Mendelism exist that do not exhibit the same F2 phenotypic ratios (3:1). Nevertheless, these laws summarize
the basics of classical genetics.
Figure 12.16 The child in the photo expresses albinism, a recessive trait.
Independent Assortment
Mendel’s law of independent assortment states that genes do not influence each other with regard to the sorting of
alleles into gametes, and every possible combination of alleles for every gene is equally likely to occur. The independent
assortment of genes can be illustrated by the dihybrid cross, a cross between two true-breeding parents that express
different traits for two characteristics. Consider the characteristics of seed color and seed texture for two pea plants, one that
has green, wrinkled seeds (yyrr) and another that has yellow, round seeds (YYRR). Because each parent is homozygous, the
law of segregation indicates that the gametes for the green/wrinkled plant all are yr, and the gametes for the yellow/round
plant are all YR. Therefore, the F1 generation of offspring all are YyRr (Figure 12.17).
Chapter 12 | Mendel's Experiments and Heredity 531
Figure 12.17 This dihybrid cross of pea plants involves the genes for seed color and texture.
In pea plants, purple flowers (P) are dominant to white flowers (p) and yellow peas (Y) are dominant to green peas
(y). What are the possible genotypes and phenotypes for a cross between PpYY and ppYy pea plants? What is the
minimum number of squares that you need to do a Punnett square analysis of this cross?
a. ppYY, Ppyy, ppYY, ppyy, yielding white flowers with yellow peas, purple flowers with yellow peas, and white
flowers with green peas; You can find this with a 3 × 3 Punnett square.
b. PPYY, PpYy, ppYY, ppyy, yielding purple flowers with yellow peas, white flowers with yellow peas, and
white flowers with green peas; You can find this with a 2 × 2 Punnett square.
c. Ppyy, PpYy, ppYY, ppyy, yielding purple flowers with green peas, purple flowers with yellow peas, white
flowers with yellow peas, and white flowers with green peas; You can find this with a 3 × 3 Punnett square.
d. PpYY, PpYy, ppYY, ppYy, yielding purple flowers with yellow peas, and white flowers with yellow peas; You
can find this with a 2 × 2 Punnett square.
For the F2 generation, the law of segregation requires that each gamete receive either an R allele or an r allele along with
either a Y allele or a y allele. The law of independent assortment states that a gamete into which an r allele sorted would
be equally likely to contain either a Y allele or a y allele. Thus, there are four equally likely gametes that can be formed
when the YyRr heterozygote is self-crossed, as follows: YR, Yr, yR, and yr. Arranging these gametes along the top and left
of a 4 × 4 Punnett square (Figure 12.17) gives us 16 equally likely genotypic combinations. From these genotypes, we
infer a phenotypic ratio of 9 round/yellow:3 round/green:3 wrinkled/yellow:1 wrinkled/green (Figure 12.17). These are the
offspring ratios we would expect, assuming we performed the crosses with a large enough sample size.
Because of independent assortment and dominance, the 9:3:3:1 dihybrid phenotypic ratio can be collapsed into two 3:1
ratios, characteristic of any monohybrid cross that follows a dominant and recessive pattern. Ignoring seed color and
considering only seed texture in the above dihybrid cross, we would expect that three quarters of the F2 generation offspring
would be round, and one quarter would be wrinkled. Similarly, isolating only seed color, we would assume that three-
quarters of the F2 offspring would be yellow and one quarter would be green. The sorting of alleles for texture and color
are independent events, so we can apply the product rule. Therefore, the proportion of round and yellow F2 offspring is
532 Chapter 12 | Mendel's Experiments and Heredity
expected to be (3/4) × (3/4) = 9/16, and the proportion of wrinkled and green offspring is expected to be (1/4) × (1/4) = 1/16.
These proportions are identical to those obtained using a Punnett square. Round, green and wrinkled, yellow offspring can
also be calculated using the product rule, as each of these genotypes includes one dominant and one recessive phenotype.
Therefore, the proportion of each is calculated as (3/4) × (1/4) = 3/16.
The law of independent assortment also indicates that a cross between yellow, wrinkled (YYrr) and green, round (yyRR)
parents would yield the same F1 and F2 offspring as in the YYRR x yyrr cross.
The physical basis for the law of independent assortment also lies in meiosis I, in which the different homologous pairs
line up in random orientations. Each gamete can contain any combination of paternal and maternal chromosomes—and
therefore the genes on them—because the orientation of tetrads on the metaphase plane is random.
Forked-Line Method
When more than two genes are being considered, the Punnett square method becomes unwieldy. For instance, examining
a cross involving four genes would require a 16 × 16 grid containing 256 boxes. It would be extremely cumbersome to
manually enter each genotype. For more complex crosses, the forked-line and probability methods are preferred.
To prepare a forked-line diagram for a cross between F1 heterozygotes resulting from a cross between AABBCC and aabbcc
parents, we first create rows equal to the number of genes being considered, and then segregate the alleles in each row
on forked lines according to the probabilities for individual monohybrid crosses (Figure 12.18). We then multiply the
values along each forked path to obtain the F2 offspring probabilities. Note that this process is a diagrammatic version of
the product rule. The values along each forked pathway can be multiplied because each gene assorts independently. For a
trihybrid cross, the F2 phenotypic ratio is 27:9:9:9:3:3:3:1.
Figure 12.18 The forked-line method can be used to analyze a trihybrid cross. Here, the probability for color in the F2
generation occupies the top row (three yellow:one green). The probability for shape occupies the second row (three
round:one wrinked), and the probability for height occupies the third row (three tall:one dwarf). The probability for each
possible combination of traits is calculated by multiplying the probability for each individual trait. Thus, the probability
of F2 offspring having yellow, round, and tall traits is 3 × 3 × 3, or 27.
Probability Method
While the forked-line method is a diagrammatic approach to keeping track of probabilities in a cross, the probability method
gives the proportions of offspring expected to exhibit each phenotype—or genotype—without the added visual assistance.
Both methods make use of the product rule and consider the alleles for each gene separately. Earlier, we examined the
phenotypic proportions for a trihybrid cross using the forked-line method; now we will use the probability method to
examine the genotypic proportions for a cross with even more genes.
For a trihybrid cross, writing out the forked-line method is tedious, albeit not as tedious as using the Punnett square method.
To fully demonstrate the power of the probability method, however, we can consider specific genetic calculations. For
instance, for a tetrahybrid cross between individuals that are heterozygotes for all four genes, and in which all four genes
are sorting independently and in a dominant and recessive pattern, what proportion of the offspring will be expected to
be homozygous recessive for all four alleles? Rather than writing out every possible genotype, we can use the probability
method. We know that for each gene, the fraction of homozygous recessive offspring will be 1/4. Therefore, multiplying this
fraction for each of the four genes, (1/4) × (1/4) × (1/4) × (1/4), we determine that 1/256 of the offspring will be quadruply
homozygous recessive.
For the same tetrahybrid cross, what is the expected proportion of offspring that have the dominant phenotype at all four
loci? We can answer this question using phenotypic proportions, but let’s do it the hard way—using genotypic proportions.
The question asks for the proportion of offspring that are 1) homozygous dominant at A or heterozygous at A, and 2)
homozygous at B or heterozygous at B, and so on. Noting the or and and in each circumstance makes clear where to apply
Chapter 12 | Mendel's Experiments and Heredity 533
the sum and product rules. The probability of a homozygous dominant at A is 1/4 and the probability of a heterozygote at
A is 1/2. The probability of the homozygote or the heterozygote is 1/4 + 1/2 = 3/4 using the sum rule. The same probability
can be obtained in the same way for each of the other genes, so that the probability of a dominant phenotype at A and B and
C and D is, using the product rule, equal to 3/4 × 3/4 × 3/4 × 3/4, or 27/64. If you are ever unsure about how to combine
probabilities, returning to the forked-line method should make it clear.
Rules for Multihybrid Fertilization
Predicting the genotypes and phenotypes of offspring from given crosses is the best way to test your knowledge of
Mendelian genetics. Given a multihybrid cross that obeys independent assortment and follows a dominant and recessive
pattern, several generalized rules exist; you can use these rules to check your results as you work through genetics
calculations (Table 12.5). To apply these rules, first you must determine n, the number of heterozygous gene pairs—the
number of genes segregating two alleles each. For example, a cross between AaBb and AaBb heterozygotes has an n of 2.
In contrast, a cross between AABb and AABb has an n of 1 because A is not heterozygous.
Table 12.5
Figure 12.19 The process of crossover, or recombination, occurs when two homologous chromosomes align during
meiosis and exchange a segment of genetic material. Here, the alleles for gene C were exchanged. The result is two
recombinant and two nonrecombinant chromosomes.
When two genes are located in close proximity on the same chromosome, they are considered linked, and their alleles
tend to be transmitted through meiosis together. To exemplify this, imagine a dihybrid cross involving flower color and
plant height in which the genes are next to each other on the chromosome. If one homologous chromosome has alleles
for tall plants and red flowers, and the other chromosome has genes for short plants and yellow flowers, then when the
gametes are formed, the tall and red alleles will go together into a gamete and the short and yellow alleles will go into other
gametes. These are called the parental genotypes because they have been inherited intact from the parents of the individual
producing gametes. But unlike if the genes were on different chromosomes, there will be no gametes with tall and yellow
alleles and no gametes with short and red alleles. If you create the Punnett square with these gametes, you will see that
the classical Mendelian prediction of a 9:3:3:1 outcome of a dihybrid cross would not apply. As the distance between two
genes increases, the probability of one or more crossovers between them increases, and the genes behave more like they are
on separate chromosomes. Geneticists have used the proportion of recombinant gametes—the ones not like the parents—as
a measure of how far apart genes are on a chromosome. Using this information, they have constructed elaborate maps of
genes on chromosomes for well-studied organisms, including humans.
Mendel’s seminal publication makes no mention of linkage, and many researchers have questioned whether he encountered
linkage but chose not to publish those crosses out of concern that they would invalidate his independent assortment
postulate. The garden pea has seven chromosomes, and some have suggested that his choice of seven characteristics was
not a coincidence. However, even if the genes he examined were not located on separate chromosomes, it is possible that
he simply did not observe linkage because of the extensive shuffling effects of recombination.
traits: tall plants with inflated pods, and dwarf plants with constricted pods. Before the plants have matured, you
remove the pollen-producing organs from the tall/inflated plants in your crosses to prevent self-fertilization. Upon plant
maturation, the plants are manually crossed by transferring pollen from the dwarf/constricted plants to the stigmata of
the tall/inflated plants.
Hypothesis: Both trait pairs will sort independently according to Mendelian laws. When the true-breeding parents
are crossed, all of the F1 offspring are tall and have inflated pods, which indicates that the tall and inflated traits are
dominant over the dwarf and constricted traits, respectively. A self-cross of the F1 heterozygotes results in 2,000 F2
progeny.
Test the hypothesis: Because each trait pair sorts independently, the ratios of tall:dwarf and inflated:constricted are
each expected to be 3:1. The tall/dwarf trait pair is called T/t, and the inflated/constricted trait pair is designated I/
i. Each member of the F1 generation therefore has a genotype of TtIi. Construct a grid analogous to Figure 12.17,
in which you cross two TtIi individuals. Each individual can donate four combinations of two traits: TI, Ti, tI, or ti,
meaning that there are 16 possibilities of offspring genotypes. Because the T and I alleles are dominant, any individual
having one or two of those alleles will express the tall or inflated phenotypes, respectively, regardless if they also have
a t or i allele. Only individuals that are tt or ii will express the dwarf and constricted alleles, respectively. As shown in
Figure 12.20, you predict that you will observe the following offspring proportions: tall/inflated:tall/constricted:dwarf/
inflated:dwarf/constricted in a 9:3:3:1 ratio. Notice from the grid that when considering the tall/dwarf and inflated/
constricted trait pairs in isolation, they are each inherited in 3:1 ratios.
Figure 12.20 This figure shows all possible combinations of offspring resulting from a dihybrid cross of pea plants
that are heterozygous for the tall/dwarf and inflated/constricted alleles.
Test the hypothesis: You cross the dwarf and tall plants and then self-cross the offspring. For best results, this is
repeated with hundreds or even thousands of pea plants. What special precautions should be taken in the crosses and
in growing the plants?
Analyze your data: You observe the following plant phenotypes in the F2 generation: 2,706 tall/inflated, 930 tall/
constricted, 888 dwarf/inflated, and 300 dwarf/constricted. Reduce these findings to a ratio and determine if they are
consistent with Mendelian laws.
Form a conclusion: Were the results close to the expected 9:3:3:1 phenotypic ratio? Do the results support the
prediction? What might be observed if far fewer plants were used, given that alleles segregate randomly into gametes?
Try to imagine growing that many pea plants, and consider the potential for experimental error. For instance, what
would happen if it was extremely windy one day?
536 Chapter 12 | Mendel's Experiments and Heredity
Think About It
In the shepherd’s purse plant (Capsella bursa-pastoris), seed shape is controlled by two genes, A and
B. When both the A and B loci are homozygous recessive (aabb), the seeds are ovoid. However, if
the dominant allele for either or both of these genes is present, the seeds are triangular. Based on this
information, what are the expected phenotypic ratios for a cross between plants that are heterozygous for
both traits?
What is the expected ratio of phenotypes from a dihybrid cross? How do you explain the difference between
the expected dihybrid cross ratio and ratio observed in the shepherd’s purse plant?
Epistasis
Mendel’s studies in pea plants implied that the sum of an individual’s phenotype was controlled by genes—or as he called
them, unit factors—such that every characteristic was distinctly and completely controlled by a single gene. In fact, single
observable characteristics are almost always under the influence of multiple genes—each with two or more alleles—acting
in unison. For example, at least eight genes contribute to eye color in humans.
Eye color in humans is determined by multiple genes. Use the Eye Color Calculator (http://openstaxcollege.org/l/
eye_color_calc) to predict the eye color of children from parental eye color.
A couple produces a green-eyed child. Both of the parents have brown eyes. Explain how this is genetically possible.
a. Both parents are homozygous for the dominant trait of brown eyes.
b. Both parents are heterozygous, having the green trait on the green-blue eye gene.
c. Both parents are heterozygous with the recessive trait of brown eyes.
d. Both parents are homozygous having the green trait on the green-blue eye gene.
In some cases, several genes can contribute to aspects of a common phenotype without their gene products ever directly
interacting. In the case of organ development, for instance, genes may be expressed sequentially, with each gene adding to
the complexity and specificity of the organ. Genes may function in complementary or synergistic fashions, such that two or
more genes need to be expressed simultaneously to affect a phenotype. Genes may also oppose each other, with one gene
modifying the expression of another.
In epistasis, the interaction between genes is antagonistic, such that one gene masks or interferes with the expression of
another. Epistasis is a word composed of Greek roots that mean standing upon. The alleles that are being masked or silenced
are said to be hypostatic to the epistatic alleles that are doing the masking. Often the biochemical basis of epistasis is a
gene pathway in which the expression of one gene is dependent on the function of a gene that precedes or follows it in the
pathway.
An example of epistasis is pigmentation in mice. The wild-type coat color, agouti (AA), is dominant to solid-colored fur
(aa). However, a separate gene (C) is necessary for pigment production. A mouse with a recessive c allele at this locus is
unable to produce pigment and is albino regardless of the allele present at locus A (Figure 12.21). Therefore, the genotypes
AAcc, Aacc, and aacc all produce the same albino phenotype. A cross between heterozygotes for both genes (AaCc × AaCc)
Chapter 12 | Mendel's Experiments and Heredity 537
would generate offspring with a phenotypic ratio of 9 agouti:3 solid color: albino (Figure 12.21). In this case, the C gene is
epistatic to the A gene.
Figure 12.21 In mice, the mottled agouti coat color (A) is dominant to a solid coloration, such as black or gray. A gene
at a separate locus (C) is responsible for pigment production. The recessive c allele does not produce pigment, and a
mouse with the homozygous recessive cc genotype is albino regardless of the allele present at the A locus. Thus, the
C gene is epistatic to the A gene.
Epistasis can also occur when a dominant allele masks expression at a separate gene. Fruit color in summer squash is
expressed in this way. Homozygous recessive expression of the W gene (ww) coupled with homozygous dominant or
heterozygous expression of the Y gene (YY or Yy) generates yellow fruit, and the wwyy genotype produces green fruit.
However, if a dominant copy of the W gene is present in the homozygous or heterozygous form, the summer squash will
produce white fruit regardless of the Y alleles. A cross between white heterozygotes for both genes (WwYy × WwYy) would
produce offspring with a phenotypic ratio of 12 white:3 yellow:1 green.
Finally, epistasis can be reciprocal such that either gene, when present in the dominant or recessive form, expresses the
same phenotype. In the shepherd’s purse plant—Capsella bursa-pastoris—the characteristic of seed shape is controlled by
two genes in a dominant epistatic relationship. When the genes A and B are both homozygous recessive (aabb), the seeds
are ovoid. If the dominant allele for either of these genes is present, the result is triangular seeds. That is, every possible
genotype other than aabb results in triangular seeds, and a cross between heterozygotes for both genes (AaBb × AaBb)
would yield offspring with a phenotypic ratio of 15 triangular:1 ovoid.
As you work through genetics problems, keep in mind that any single characteristic that results in a phenotypic ratio that
totals 16 is typical of a two-gene interaction. Recall the phenotypic inheritance pattern for Mendel’s dihybrid cross, which
considered two non-interacting genes—9:3:3:1. Similarly, we would expect interacting gene pairs to also exhibit ratios
expressed as 16 parts. Note that we are assuming the interacting genes are not linked; they are still assorting independently
into gametes.
538 Chapter 12 | Mendel's Experiments and Heredity
For an excellent review of Mendel’s experiments and to perform your own crosses and identify patterns of inheritance,
visit the Mendel’s Peas (http://openstaxcollege.org/l/mendels_peas) web lab.
Explain how Mendel’s experiments help modern-day farmers breed crops that exhibit preferred traits, like tall height or
large fruit size
d. by providing information about the inheritance of traits and the concept of dominance.
Section Summary
Mendel postulated that genes—characteristics—are inherited as pairs of alleles—traits—that behave in a dominant and
recessive pattern. Alleles segregate into gametes such that each gamete is equally likely to receive either one of the two
alleles present in a diploid individual. In addition, genes are assorted into gametes independently of one another. That is,
alleles are generally not more likely to segregate into a gamete with a particular allele of another gene. A dihybrid cross
demonstrates independent assortment when the genes in question are on different chromosomes or distant from each other
on the same chromosome. For crosses involving more than two genes, use the forked line or probability methods to predict
offspring genotypes and phenotypes rather than a Punnett square.
Although chromosomes sort independently into gametes during meiosis, Mendel’s law of independent assortment refers
to genes, not chromosomes, and a single chromosome may carry more than 1,000 genes. When genes are located in close
proximity on the same chromosome, their alleles tend to be inherited together. This results in offspring ratios that violate
Mendel's law of independent assortment. However, recombination serves to exchange genetic material on homologous
chromosomes such that maternal and paternal alleles may be recombined on the same chromosome. This is why alleles
on a given chromosome are not always inherited together. Recombination is a random event occurring anywhere on a
chromosome. Therefore, genes that are far apart on the same chromosome are likely to still assort independently because of
recombination events that occurred in the intervening chromosomal space.
Whether or not they are sorting independently, genes may interact at the level of gene products such that the expression of
an allele for one gene masks or modifies the expression of an allele for a different gene. This is called epistasis.
Chapter 12 | Mendel's Experiments and Heredity 539
KEY TERMS
allele gene variations that arise by mutation and exist at the same relative locations on homologous chromosomes
blending theory of inheritance hypothetical inheritance pattern in which parental traits are blended together in the
offspring to produce an intermediate physical appearance
codominance in a heterozygote, complete and simultaneous expression of both alleles for the same characteristic
continuous variation inheritance pattern in which a character shows a range of trait values with small gradations rather
than large gaps between them
dihybrid result of a cross between two true-breeding parents that express different traits for two characteristics
discontinuous variation inheritance pattern in which traits are distinct and are transmitted independently of one another
dominant trait which confers the same physical appearance whether an individual has two copies of the trait or one copy
of the dominant trait and one copy of the recessive trait
dominant lethal inheritance pattern in which an allele is lethal both in the homozygote and the heterozygote; this allele
can only be transmitted if the lethality phenotype occurs after reproductive age
epistasis antagonistic interaction between genes such that one gene masks or interferes with the expression of another
F2 second filial generation produced when F1 individuals are self-crossed or fertilized with each other
genotype underlying genetic makeup, consisting of both physically visible and non expressed alleles, of an organism
hemizygous presence of only one allele for a characteristic, as in X-linkage; hemizygosity makes descriptions of
dominance and recessiveness irrelevant
heterozygous having two different alleles for a given gene on the homologous chromosome
homozygous having two identical alleles for a given gene on the homologous chromosome
hybridization process of mating two individuals that differ with the goal of achieving a certain characteristic in their
offspring
incomplete dominance in a heterozygote, expression of two contrasting alleles such that the individual displays an
intermediate phenotype
law of dominance in a heterozygote, one trait will conceal the presence of another trait for the same characteristic
law of independent assortment genes do not influence each other with regard to sorting of alleles into gametes; every
possible combination of alleles is equally likely to occur
law of segregation paired unit factors, that is, genes, segregate equally into gametes such that offspring have an equal
likelihood of inheriting any combination of factors
linkage phenomenon in which alleles that are located in close proximity to each other on the same chromosome are more
likely to be inherited together
model system species or biological system used to study a specific biological phenomenon to be applied to other
different species
monohybrid result of a cross between two true-breeding parents that express different traits for only one characteristic
product rule probability of two independent events occurring simultaneously can be calculated by multiplying the
individual probabilities of each event occurring alone
Punnett square visual representation of a cross between two individuals in which the gametes of each individual are
denoted along the top and side of a grid, respectively, and the possible zygotic genotypes are recombined at each box
in the grid
recessive trait that appears latent or non-expressed when the individual also carries a dominant trait for that same
characteristic; when present as two identical copies, the recessive trait is expressed
recessive lethal inheritance pattern in which an allele is only lethal in the homozygous form; the heterozygote may be
normal or have some altered, non-lethal phenotype
reciprocal cross paired cross in which the respective traits of the male and female in one cross become the respective
traits of the female and male in the other cross
sum rule probability of the occurrence of at least one of two mutually exclusive events is the sum of their individual
probabilities
test cross cross between a dominant expressing individual with an unknown genotype and a homozygous recessive
individual; the offspring phenotypes indicate whether the unknown parent is heterozygous or homozygous for the
dominant trait
CHAPTER SUMMARY
12.1 Mendel’s Experiments and the Laws of Probability
Working with garden pea plants, Mendel found that crosses between parents that differed by one trait produced F1
offspring that all expressed the traits of one parent. Observable traits are referred to as dominant, and non expressed traits
are described as recessive. When the offspring in Mendel’s experiment were self-crossed, the F2 offspring exhibited the
dominant trait or the recessive trait in a 3:1 ratio, confirming that the recessive trait had been transmitted faithfully from
the original P0 parent. Reciprocal crosses generated identical F1 and F2 offspring ratios. By examining sample sizes,
Mendel showed that his crosses behaved reproducibly according to the laws of probability, and that the traits were
inherited as independent events.
Two rules in probability can be used to find the expected proportions of offspring of different traits from different crosses.
To find the probability of two or more independent events occurring together, apply the product rule and multiply the
probabilities of the individual events. The use of the word and suggests the appropriate application of the product rule. To
find the probability of two or more events occurring in combination, apply the sum rule and add their individual
probabilities together. The use of the word or suggests the appropriate application of the sum rule.
When true-breeding or homozygous individuals that differ for a certain trait are crossed, all of the offspring will be
heterozygotes for that trait. If the traits are inherited as dominant and recessive, the F 1 offspring will all exhibit the same
phenotype as the parent homozygous for the dominant trait. If these heterozygous offspring are self-crossed, the resulting
F2 offspring will be equally likely to inherit gametes carrying the dominant or recessive trait, giving rise to offspring of
which one-quarter are homozygous dominant, half are heterozygous, and one quarter are homozygous recessive. Because
homozygous dominant and heterozygous individuals are phenotypically identical, the observed traits in the F 2 offspring
will exhibit a ratio of three dominant to one recessive.
Alleles do not always behave in dominant and recessive patterns. Incomplete dominance describes situations in which the
heterozygote exhibits a phenotype that is intermediate between the homozygous phenotypes. Codominance describes the
simultaneous expression of both of the alleles in the heterozygote. Although diploid organisms can only have two alleles
Chapter 12 | Mendel's Experiments and Heredity 541
for any given gene, it is common for more than two alleles of a gene to exist in a population. In humans, as in many
animals and some plants, females have two X chromosomes, and males have one X and one Y chromosome. Genes that
are present on the X but not the Y chromosome are said to be X-linked, such that males only inherit one allele for the gene,
and females inherit two. Finally, some alleles can be lethal. Recessive lethal alleles are only lethal in homozygotes, but
dominant lethal alleles are fatal in heterozygotes as well.
Mendel postulated that genes—characteristics—are inherited as pairs of alleles—traits—that behave in a dominant and
recessive pattern. Alleles segregate into gametes such that each gamete is equally likely to receive either one of the two
alleles present in a diploid individual. In addition, genes are assorted into gametes independently of one another. That is,
alleles are generally not more likely to segregate into a gamete with a particular allele of another gene. A dihybrid cross
demonstrates independent assortment when the genes in question are on different chromosomes or distant from each other
on the same chromosome. For crosses involving more than two genes, use the forked line or probability methods to predict
offspring genotypes and phenotypes rather than a Punnett square.
Although chromosomes sort independently into gametes during meiosis, Mendel’s law of independent assortment refers to
genes, not chromosomes, and a single chromosome may carry more than 1,000 genes. When genes are located in close
proximity on the same chromosome, their alleles tend to be inherited together. This results in offspring ratios that violate
Mendel's law of independent assortment. However, recombination serves to exchange genetic material on homologous
chromosomes such that maternal and paternal alleles may be recombined on the same chromosome. This is why alleles on
a given chromosome are not always inherited together. Recombination is a random event occurring anywhere on a
chromosome. Therefore, genes that are far apart on the same chromosome are likely to still assort independently because
of recombination events that occurred in the intervening chromosomal space.
Whether or not they are sorting independently, genes may interact at the level of gene products such that the expression of
an allele for one gene masks or modifies the expression of an allele for a different gene. This is called epistasis.
REVIEW QUESTIONS
1. Mendel performed hybridizations by transferring pollen to the female ova from what part of the male plant?
a. anther
b. pistil
c. stigma
d. seed
2. Which is one of the seven characteristics that Mendel observed in pea plants?
a. flower size
b. leaf shape
c. seed texture
d. stem color
3. Imagine you are performing a cross involving garden pea plants. What F1 offspring would you expect if you cross true-
breeding parents with green seeds and yellow seeds? Yellow seed color is dominant over green.
a. 100 percent yellow-green seeds
b. 100 percent yellow seeds
c. 50 percent yellow, 50 percent green seeds
d. 25 percent green, 75 percent yellow seeds
4. Consider a cross to investigate the pea pod texture trait, involving constricted or inflated pods. Mendel found that the
traits behave according to a dominant/recessive pattern in which inflated pods were dominant. If you performed this ross
and obtained 650 inflated-pod plants in the F2 generation bred from true-breeding stock, approximately how many
constricted-pod plants would you expect to have?
542 Chapter 12 | Mendel's Experiments and Heredity
a. 600
b. 165
c. 217
d. 468
5. The observable traits expressed by an organism are described as its ________.
a. alleles
b. genotype
c. phenotype
d. zygote
6. A recessive trait will be observed in individuals that are what for that trait?
a. diploid
b. heterozygous
c. homozygous or heterozygous
d. homozygous
7. If black and white true-breeding mice are mated and the result is all gray offspring, what inheritance pattern would this
be indicative of?
a. codominance
b. dominance
c. incomplete dominance
d. multiple alleles
8. The ABO blood groups in humans are controlled by the IA, IB, and I alleles. The IA allele encodes the A blood group
antigen, IB encodes B, and I encodes O. Both A and B are dominant to O. If a heterozygous blood type A parent (iAi) and
a heterozygous blood type B parent (iBi) mate, one quarter of their offspring will have AB blood type (IAIB) in which
both antigens are expressed equally. Therefore, the ABO blood groups are an example of ________.
a. codominance and incomplete dominance
b. incomplete dominance only
c. multiple alleles and incomplete dominance
d. multiple alleles and codominance
9. In a mating between two individuals that are heterozygous for a recessive lethal allele that is expressed in utero, what
genotypic ratio—homozygous dominant : heterozygous : homozygous recessive—would you expect to observe in the
offspring?
a. 1:2:1
b. 3:1:1
c. 1:2:0
d. 0:2:1
10. The forked line and probability methods make use of what probability rule?
a. monohybrid rule
b. product rule
c. sum rule
d. test cross
11. In pea plants, smooth seeds (S) are dominant to wrinkled seeds (s). The Punnett square shows a genetic cross of two
plants that are heterozygous for the seed shape trait.
Chapter 12 | Mendel's Experiments and Heredity 543
Figure 12.22
What is the missing genotype?
a. SS
b. Ss
c. sS
d. ss
12. If the inheritance of two traits fully obeys Mendelian laws of inheritance, where may you assume that the genes are
located?
a. on any autosomal chromosome or chromosomes
b. on Y chromosomes
c. on the same chromosome
d. on separate chromosomes
13. How many different offspring genotypes are expected in a trihybrid cross between parents heterozygous for all three
traits? How many phenotypes are expected if the traits behave in a dominant and recessive pattern?
a. 64 genotypes; 16 phenotypes
b. 16 genotypes; 64 phenotypes
c. 8 genotypes; 27 phenotypes
d. 27 genotypes; 8 phenotypes
14. Four-o’ clock flowers may be red, pink or white. In the crossing of a true-breeding red and true-breeding white plants,
all the offspring are pink. Use a Punnett square to determine the correct genotype of the offspring if the red parent has
genotype RR and the white parent has genotype rr.
a. RR and Rr
b. Rr and rr
c. Rr only
d. RR only
15. Which cellular process underlies Mendel’s law of independent assortment?
a. Chromosomes align randomly during meiosis.
b. Chromosomes can exchange genetic material during crossover.
c. Gametes contain half the number of chromosomes of somatic cells.
d. Daughter cells are genetically identical to parent cells after mitosis.
544 Chapter 12 | Mendel's Experiments and Heredity
16. While studying meiosis, you observe that gametes receive one copy of each pair of homologous chromosomes and one
copy of the sex chromosomes. This observation is the physical explanation of Mendel’s law of ________.
a. dominance
b. independent assortment
c. random distribution of traits
d. segregation
17. In some primroses, the petal color blue is dominant. A cross between a true-breed blue primrose and a white primrose
yields progeny with white petals. A second gene at another locus prevented the expression of the dominant coat color. This
is an example of ________.
a. codominance
b. hemizygosity
c. incomplete dominance
d. epistasis
18. Purple flowers (P) are dominant over red flowers (p), and long pollen grains are dominant over round pollen grains.
When purple flowers and long pollen grain plants were crossed with plants with white flowers and round pollen grains, all
the F1 plants showed purple flowers and long pollen grains. The F1 plants were crossed and the results are in the table.
Figure 12.23
What conclusions about the physical relationship between the traits can be drawn from the experiment?
a. The traits are probably linked.
b. The traits follow the law of independent assortment.
c. The traits are located on different chromosomes.
d. There was epistasis.
19. When the expression of one gene pair masks or modifies the expression of another, the genes show ________?
a. codominance
b. epistasis
c. incomplete dominance
d. partial linkage
Chapter 12 | Mendel's Experiments and Heredity 545
a. The chromosomes randomly align during metaphase I at the equator, and separation of homologous
chromosomes occurs during anaphase I. Similarly, separation of sister chromatids occurs at anaphase II of
meiosis II. At the end of meiosis II, four different gametic combinations are produced, each containing a haploid
set of chromosomes.
b. The chromosomes randomly align during anaphase I at the equator. Separation of bivalent chromosomes occur
during metaphase I of meiosis I. Similarly, separation of sister chromatids occurs at metaphase II of meiosis II.
At the end of meiosis II, four different gametic combinations are produced, each containing a haploid set of
chromosomes.
c. The chromosomes randomly align during prophase I at the equator, and separation of sister chromatids occurs
during metaphase I of meiosis I. Similarly, separation of bivalent chromosomes occur at metaphase II of meiosis
II. At the end of meiosis II, four different gametic combinations are produced, each containing a diploid set of
chromosomes.
d. The chromosomes randomly align during prophase I at the equator, and separation of bivalent chromosomes
occur during anaphase I of meiosis I. Similarly, separation of homologous chromosomes occurs at metaphase II
of meiosis II. At the end of meiosis II, four different gametic combinations are produced, each containing a
diploid set of chromosomes.
27. In Section 12.3, Laws of Inheritance, an example of epistasis was given for summer squash. Cross white WwYy
heterozygotes to demonstrate the phenotypic ratio of 12 white : 3 yellow : 1 green that was given in the text.
a. Twelve offspring are white, as the W gene is epistatic to the Y gene. Three offspring are yellow, because w is not
epistatic. Green offspring is obtained when the recessive form of both genes (wwyy) are present.
b. Twelve offspring are white as W gene is hypostatic to Y gene. Three offspring are yellow because Y is epistatic
to w. Green offspring is obtained when the dominant form of both the genes (WWYY) is present.
c. Twelve offspring are white as W gene is dominant. Three offspring are yellow because Y is dominant and w is
recessive. Green offspring is obtained when the recessive form of both the genes (wwyy) is present, showing
codominance.
d. Twelve offspring are white as W is epistatic to Y gene. Three offspring are yellow because Y is hypostatic to w.
Green offspring is obtained when the recessive form of both the genes (wwyy) are present, showing
codominance.
a. scientific
b. financial
c. ethical
d. educational
31. A couple has three daughters. What is the probability that the next child they have will be a daughter?
a. 0 percent
b. 25 percent
c. 50 percent
d. 100 percent
32. What is the probability that a couple will have three daughters?
1
2
a.
1
3
b.
1
6
c.
1
8
d.
33. Petunias can be blue, red, or violet. When a blue flower is crossed with a red flower, all the resulting flowers are violet.
When a violet flower is crossed with a red flower, about half of the flowers are violet and half are red. How do you
characterize the color trait?
a. complete dominance
b. codominance
c. incomplete dominance
d. sex-linked
34. Petunias can be blue, red, or violet. When a blue flower is crossed with a red flower, all the resulting flowers are violet.
Two violet petunias are crossed. Which is the most probable result of the cross?
a. 75 percent of the flowers are blue and 25 percent of the flowers are red
b. 50 percent of the flowers are blue and 50 percent of the flowers are red
c. 75 percent of the flowers are red and 25 percent are blue
d. 25 percent of the flowers are blue, 50 percent of the flowers are violet, and 25 percent of the flowers are red
35. Fruit flies (Drosophila melanogaster) with a wild-type phenotype have gray bodies and red eyes. Certain mutations
can cause changes to these traits. Mutant flies may have a black body and/or cinnabar eyes. To study the genetics of these
traits, a researcher crossed a true-breeding wild-typed male fly with a true-breeding female fly with a black body and
cinnabar eyes. All of the F1 progeny displayed a wild type phenotype. Which of the following is correct about the traits
observed?
a. Gray body and cinnabar eyes are dominant.
b. Eye color is sex-linked.
c. Body color is sex-linked.
d. Gray body and red eyes are dominant.
36. Female flies from the F1 generation were crossed with true-breeding male flies with black bodies and cinnabareyes.
The table below represents the predicted outcome and the data obtained from the cross.
548 Chapter 12 | Mendel's Experiments and Heredity
Figure 12.24
What was the assumption that lead to the predicted numbers?
a. The traits assort independently.
b. The traits are located on the X chromosome.
c. The traits are on the same chromosome.
d. The female flies were homozygous for wild type alleles.
37. Cats can be black, yellow, or calico (black and yellow patches). Coat color is carried on the X chromosome.
What type of inheritance is color coat in cats?
a. Codominance
b. Incomplete dominance
c. Codominance, sex linked
d. Incomplete dominance, sex linked
38. Cats can be black, yellow or calico—black and yellow patches. Coat color is carried on the X chromosome. A yellow
cat is crossed with a black cat. Assume that the offspring are both male and female. What are the phenotypes of the
offspring and in what proportions?
a. All the cats are yellow.
b. All the cats are black.
c. All the cats are calico.
d. There is not enough information to answer the question.
a. Representing the wild-type form of the gene as +/+ and the mutant form of the gene as m/m for two homozygous
parents, construct a Punnett square for this cross using the first grid below. Annotate your representation to
identify the phenotypes with high (H), intermediate (I), and low (L) melanosome production. Use the second
grid to represent an F2 generation from the offspring of the first cross. Use annotation to show the phenotype.
F1 m m
+
+
Table 12.6
F2
Table 12.7
b. Draw sister chromatids at anaphase II for both parents in the F1 generation and annotate your drawing to
identify each genotype of the gametes using the cells of the Punnett square.
c. Explain which of Mendel's laws is violated by codominance.
d. Suppose that these data were available to evaluate the claim that the wild-type and mutant forms of SLC24A5 are
codominant:
F2
Phenotype Observed Expected
H 1206
I 2238
L 1124
Table 12.8
Complete the table. Explain the values expected in terms of the genotype of the offspring.
e. Using a c2 statistic at the 95% confidence level, evaluate the claim that the wild-type and mutant forms of
(O i − E i) 2
SCLO24A5 are codominant. The definition of the statistic Χ c2 = ∑ where X is the chi-square test
Ei
statistic, c is the significant level of the test (we will use 0.05), O is the observed value for variable i, and E is the
expected value for variable i. The Chi-square statistic table is provided in the AP Biology Exam.
p 1 2 3 4 5 6 7 8
0.05 3.84 5.99 7.82 9.49 11.07 12.59 14.07 15.51
40. Adrenoleukodystrophy (ALD) is a genetic disorder in which lipids with very high molecular weights are not
metabolized and accumulate within cells. Accumulation of these fats in the brain damages the myelin that surrounds
550 Chapter 12 | Mendel's Experiments and Heredity
nerves. This progressive disease has two causes: an autosomal recessive allele, which causes neonatal ALD, and a
mutation in the ABCD1 gene located on the X-chromosome. A controversial treatment is the use of Lorenzo’s oil, which is
expensive; despite this treatment, neurological degradation persists in many patients. Gene therapy as a potential treatment
is currently in trials but is also very costly.
An infant patient exhibits symptoms of neonatal ALD, which are difficult to distinguish from the X-linked form of the
disease. The infant’s physician consults electronic health records to construct a pedigree showing family members who
also presented symptoms similar to ALD. The pedigree is shown in this diagram. The infant patient is circled. Symbols for
males (o) and females (m) are filled when symptoms are present.
Figure 12.25
a. Using the pedigree, explain which form of ALD (neonatal or X-linked) is present in the infant.
b. Sharing of digital records among health providers is one method proposed to improve the quality and reduce the
cost of health care in the U.S. The privacy of electronic health records is a concern. Pose three questions that
must be addressed in developing policies that balance the costs of treatments and diagnoses, patient quality of
life, and risks to individual privacy.
41. Two genes, A and B, are located adjacent to each other (linked) on the same chromosome. In the original cross (P 0),
one parent is homozygous dominant for both traits (AB), whereas the other parent is recessive (ab).
Table 12.10
42. Gregor Mendel’s 1865 paper described experiments on the inheritance of seven characteristics of Pisum sativum
shown in the first column in the table below. Many years later, based on his reported outcomes and analysis of the
inheritance of a single characteristic, Mendel developed the concepts of genes, their alleles, and dominance. These
concepts are defined in the second column of the table using conventional symbols for the dominant allele for each
characteristic. Even later, the location of each of these genes on one of the seven chromosomes in P. sativum were
determined, as shown in the third column.
A. Before the acceptance of what Mendel called “factors” as the discrete units of inheritance, the accepted model was that
the traits of progeny were “blended” traits of the parents. Evaluate the evidence provided by Mendel’s experiments in
disproving the blending theory of inheritance.
B. Mendel published experimental data and analysis for two experiments involving the inheritance of more than a single
characteristic. He examined two-character inheritance of seed shape and seed color. He also reported three-character
inheritance of seed shape, seed color, and flower color. Evaluate the evidence provided by the multiple-character
experiments. Identify which of the following laws of inheritance depend upon these multiple-character experiments for
support:
a. During gamete formation, the alleles for each gene segregate from each other so that each gamete carries only
one allele for each gene.
b. Genes for different traits can segregate independently during the formation of gametes.
c. Some alleles are dominant; whereas others are recessive. An organism with at least one dominant allele will
display the effect of the dominant allele.
d. All three laws can be inferred from the single-character experiments.
C. As shown in the table above, some chromosomes contain the gene for more than one of the seven characteristics
Mendel studied, for example, seed color and flowers. The table below shows, with filled cells above the dashed diagonal
line, the combinations of characteristics for which Mendel reported results. In the cells below the dotted diagonal line,
identify with an X each cell where deviations from the law or laws identified in part B might be expected.
Figure 12.26
D. Explain the reasons for the expected deviations for those combinations of characteristics identified in part C.
E. In one of the experiments reported by Mendel, deviations from the law identified in part B might be expected. Explain
how the outcomes of this experiment were consistent with Mendel’s laws.
43. A dihybrid cross involves two traits. A cross of parental types AaBb and AaBb can be represented with a Punnett
square:
552 Chapter 12 | Mendel's Experiments and Heredity
Figure 12.27
This representation clearly organizes all of the possible genotypes and reveals the 9:3:3:1 distribution of phenotypes and a
4×4 grid of 16 cells. Expressed as a fraction of the 16 possible genotypes of the offspring, the phenotypic ratio describes
the probability of each phenotype among the offspring:
3 (AA, Aa, aA) × 3 (BB, bB, Bb)/16 = 9/16
3 (AA, Aa, aA) × 1 (bb) /16 = 3/16
1 (aa) × 3 (BB, bB, Bb) = 3/16
1 (aa) × 1 (bb) = 1/16.
A. Using the probability method, calculate the likelihood of these phenotypes from each dihybrid cross:
• recessive in the gene with alleles A and a from the cross AaBb × aabb
• dominant in both genes from the cross AaBb × aabb
• recessive in both genes from the cross AaBb × aabb
• recessive in either gene from the cross AaBb × aabb
A Punnett square representation of a trihybrid cross, such as the self-cross of AaBbCc, is more cumbersome because there
are eight columns and rows (2×2×2 ways to choose parental genotypes) and 64 cells. A less tedious representation is to
calculate the number of each type of genotype in the offspring directly by counting the unique permutations of the letters
representing the alleles. For example, the probability of the cross AaBbCc × AaBbCc is 3 (AA, Aa, aA) × 3 (BB, Bb, bB)
× 3 (CC, Cc, cC)/64 = 27/64.
B. Using the probability method, calculate the likelihood of these phenotypes from each trihybrid cross:
• recessive in all traits from the cross AaBbCc × aabbcc
• recessive in the gene with alleles C and c and dominant in the other two traits from the cross AaBbCc × AaBbCc
• dominant in the gene with alleles A and a and recessive in the other two traits from the cross AaBbcc × AaBbCc
C. The probability method is an easy way to calculate the likelihood of each particular phenotype, but it doesn’t
simultaneously display the probability of all possible phenotypes. The forked line representation described in the text
allows the entire phenotypic distribution to be displayed. Using the forked line method, calculate the probabilities in a
cross between AABBCc and Aabbcc parents:
• all traits are recessive: aabbcc
• traits are dominant at each loci, A?B?C?
• traits are dominant at two genes and recessive at the third
• traits are dominant at one gene and recessive at the other two
44. Construct a representation showing the connection between the process of meiosis and the transmission of six possible
phenotypes from parents to F2 offspring. The phenotypes are labeled A, a, B, b and C, c. Expression of each phenotype is
controlled by a separate Mendelian gene. Your representation should show the proportion of every possible combination of
phenotypes (e.g., ABC, AbC, etc.) that will be present in the F2 offspring.
Chapter 12 | Mendel's Experiments and Heredity 553
REFERENCES
13 | MODERN
UNDERSTANDINGS OF
INHERITANCE
Figure 13.1 Chromosomes are threadlike nuclear structures consisting of DNA and proteins that serve as the
repositories for genetic information. The chromosomes depicted here were isolated from a fruit fly’s salivary gland,
stained with dye, and visualized under a microscope. Akin to miniature bar codes, chromosomes absorb different dyes
to produce characteristic banding patterns, which allows for their routine identification. (credit: modification of work by
“LPLT”/Wikimedia Commons; scale-bar data from Matt Russell)
Chapter Outline
13.1: Chromosomal Theory and Genetic Linkages
13.2: Chromosomal Basis of Inherited Disorders
Introduction
According to the United Nations Office on Drugs and Crime, approximately 95 percent of those who commit homicide
are men. While behavior is shaped by the environment one grows up and lives in, genetics also play a role. For example,
scientists have discovered genes that appear to increase one’s tendency to exhibit aggressive behavior. One of the genes,
called MAOA, is located on the X chromosome. In one recent study involving a group of male prisoners in Finland,
scientists found that the prisoners who inherited a variant of this gene were between 5 percent and 10 percent more likely
to have committed a violent crime. Men only have one copy of the gene, since men only have one X chromosome. Women,
however, have two copies of the X chromosome and therefore two copies of the gene. Therefore, women who inherit the
variant allele will most likely also have a normal allele to counteract its effects. It is important to note that many men inherit
the variant copy of MAOA and only some commit violent crimes. The environment seems to play a much more critical role.
You can read more about nature/nurture roles in crime in this article (http://openstaxcollege.org/l/32whysomany) .
556 Chapter 13 | Modern Understandings of Inheritance
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.10 The student is able to represent the connection between meiosis and increased genetic
Objective diversity necessary for evolution.
Essential 3.A.3 The chromosomal basis of inheritance provides an understanding of the pattern of
Knowledge passage, or transmission, of genes from parent to offspring.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.12 The student is able to construct a representation that connects the process of meiosis
Objective to the passage of traits from parent to offspring.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.2]
• [APLO 3.11]
• [APLO 3.14]
• [APLO 3.15]
• [APLO 3.28]
Chapter 13 | Modern Understandings of Inheritance 557
• [APLO 3.26]
• [APLO 3.17]
• [APLO 4.22]
Long before chromosomes were visualized under a microscope, the father of modern genetics, Gregor Mendel, began
studying heredity in 1843. With the improvement of microscopic techniques during the late 1800s, cell biologists could
stain and visualize subcellular structures with dyes, and observe their actions during cell division and meiosis. With each
mitotic division, chromosomes replicated, condensed from an amorphous nuclear mass into distinct X-shaped bodies known
as pairs of identical sister chromatids, and migrated to separate cellular poles.
Figure 13.2 (a) Walter Sutton and (b) Theodor Boveri are credited with developing the chromosomal theory of
inheritance, which states that chromosomes carry the unit of heredity (genes).
The chromosomal theory of inheritance was consistent with Mendel’s laws and was supported by the following
observations:
• During meiosis, homologous chromosome pairs migrate as discrete structures that are independent of other
chromosome pairs.
• The sorting of chromosomes from each homologous pair into pre-gametes appears to be random.
• Each parent synthesizes gametes that contain only half of their chromosomal complement.
• Even though male and female gametes, known more commonly as sperm and egg, differ in size and morphology, they
have the same number of chromosomes, suggesting equal genetic contributions from each parent.
• The gametic chromosomes combine during fertilization to produce offspring with the same chromosome number as
their parents.
Despite compelling correlations between the behavior of chromosomes during meiosis and Mendel’s abstract laws, the
chromosomal theory of inheritance was proposed long before there was any direct evidence that traits were carried
on chromosomes. Critics pointed out that individuals had far more independently segregating traits than they had
chromosomes. It was only after several years of carrying out crosses with the fruit fly, Drosophila melanogaster, that
Thomas Hunt Morgan provided experimental evidence to support the Chromosomal Theory Of Inheritance.
that each chromosome can carry many linked genes explains how individuals can have many more traits than they have
chromosomes. However, observations by researchers in Morgan’s laboratory suggested that alleles positioned on the same
chromosome were not always inherited together. During meiosis, linked genes somehow became unlinked.
Homologous Recombination
In 1909, Frans Janssen observed chiasmata—the point at which chromatids are in contact with each other and may exchange
segments—prior to the first division of meiosis. He suggested that alleles become unlinked and chromosomes physically
exchange segments. As chromosomes condensed and paired with their homologs, they appeared to interact at distinct
points. Janssen suggested that these points corresponded to regions in which chromosome segments were exchanged. It
is now known that the pairing and interaction between homologous chromosomes, known as synapsis, does more than
simply organize the homologs for migration to separate daughter cells. When synapsed, homologous chromosomes undergo
reciprocal physical exchanges at their arms in a process called homologous recombination, or more simply, crossing over.
To better understand the type of experimental results that researchers were obtaining at this time, consider a heterozygous
individual that inherited dominant maternal alleles for two genes on the same chromosome (such as AB) and two recessive
paternal alleles for those same genes (such as ab). If the genes are linked, one would expect this individual to produce
gametes that are either AB or ab with a 1:1 ratio. If the genes are unlinked, the individual should produce AB, Ab, aB, and ab
gametes with equal frequencies, according to the Mendelian concept of independent assortment. Because they correspond
to new allele combinations, the genotypes Ab and aB are nonparental types that result from homologous recombination
during meiosis. Parental types are progeny that exhibit the same allelic combination as their parents. Morgan and his
colleagues, however, found that when such heterozygous individuals were test crossed to a homozygous recessive parent
(AaBb × aabb), both parental and nonparental cases occurred. For example, 950 offspring might be recovered that were
either AaBb or aabb, but 50 offspring would also be obtained that were either Aabb or aaBb. These results suggested that
linkage occurred most often, but a significant minority of offspring were the products of recombination.
Chapter 13 | Modern Understandings of Inheritance 559
Figure 13.3 Inheritance patterns of unlinked and linked genes are shown. In (a), two genes are located on
different chromosomes so independent assortment occurs during meiosis. The offspring have an equal chance
of being the parental type by inheriting the same combination of traits as the parents, or a nonparental type by
inheriting a different combination of traits than the parents. In (b), two genes are very close together on the same
chromosome so that no crossing over occurs between them. The genes are therefore always inherited together
and all of the offspring are the parental type. In (c), two genes are far apart on the chromosome such that crossing
over occurs during every meiotic event. The recombination frequency will be the same as if the genes were
on separate chromosomes. (d) The actual recombination frequency of fruit fly wing length and body color that
Thomas Morgan observed in 1912 was 17 percent. A crossover frequency between zero percent and 50 percent
indicates that the genes are on the same chromosome and crossover occurs some of the time.
In a test cross for two characteristics such as the one shown here, can the predicted frequency of recombinant offspring
be sixty percent? Why or why not?
a. Yes, the predicted offspring frequencies range from 0 percent to 100 percent.
b. No, the predicted offspring frequencies cannot be higher than 30 percent.
c. Yes, the predicted offspring frequencies range from 0 percent to 60 percent.
d. No, the predicted offspring frequencies range from 0 percent to 50 percent.
560 Chapter 13 | Modern Understandings of Inheritance
Think About It
A test cross involving F1 dihybrid flies produces more parental-type offspring than recombinant-type offspring. How
can you explain these observed results?
Genetic Maps
Janssen did not have the technology to demonstrate crossing over so it remained an abstract idea that was not widely
accepted. Scientists thought chiasmata were a variation on synapsis and could not understand how chromosomes could
break and rejoin. Yet, the data were clear that linkage did not always occur. Ultimately, it took a young undergraduate
student and an all-nighter to mathematically elucidate the problem of linkage and recombination.
In 1913, Alfred Sturtevant, a student in Morgan’s laboratory, gathered results from researchers in the laboratory, and
took them home one night to mull them over. By the next morning, he had created the first chromosome map, a linear
representation of gene order and relative distance on a chromosome (Figure 13.4).
Chapter 13 | Modern Understandings of Inheritance 561
Figure 13.4 This genetic map orders Drosophila genes on the basis of recombination frequency.
As shown in Figure 13.4, by using recombination frequency to predict genetic distance, the relative order of genes on
chromosome 2 could be inferred. The values shown represent map distances in centimorgans (cM), which correspond to
recombination frequencies (in percent). Therefore, the genes for body color and wing size were 65.5 − 48.5 = 17 cM apart,
indicating that the maternal and paternal alleles for these genes recombine in 17 percent of offspring, on average.
To construct a chromosome map, Sturtevant assumed that genes were ordered serially on threadlike chromosomes. He also
assumed that the incidence of recombination between two homologous chromosomes could occur with equal likelihood
anywhere along the length of the chromosome. Operating under these assumptions, Sturtevant postulated that alleles
that were far apart on a chromosome were more likely to dissociate during meiosis simply because there was a larger
region over which recombination could occur. Conversely, alleles that were close to each other on the chromosome were
likely to be inherited together. The average number of crossovers between two alleles—that is, their recombination
frequency—correlated with their genetic distance from each other, relative to the locations of other genes on that
chromosome. Considering the example cross between AaBb and aabb above, the frequency of recombination could be
calculated as 50/1000 = 0.05. That is, the likelihood of a crossover between genes A/a and B/b was 0.05, or 5 percent.
Such a result would indicate that the genes were definitively linked, but that they were far enough apart for crossovers to
occasionally occur. Sturtevant divided his genetic map into map units, or centimorgans (cM), in which a recombination
frequency of 0.01 corresponds to 1 cM.
By representing alleles in a linear map, Sturtevant suggested that genes can range from being perfectly linked
(recombination frequency = 0) to being perfectly unlinked (recombination frequency = 0.5) when genes are on different
chromosomes or genes are separated very far apart on the same chromosome. Perfectly unlinked genes correspond to the
frequencies predicted by Mendel to assort independently in a dihybrid cross. A recombination frequency of 0.5 indicates
that 50 percent of offspring are recombinants and the other 50 percent are parental types. That is, every type of allele
combination is represented with equal frequency. This representation allowed Sturtevant to additively calculate distances
between several genes on the same chromosome. However, as the genetic distances approached 0.50, his predictions became
less accurate because it was not clear whether the genes were very far apart on the same chromosome or on different
chromosomes.
In 1931, Barbara McClintock and Harriet Creighton demonstrated the crossover of homologous chromosomes in corn
plants. Weeks later, homologous recombination in Drosophila was demonstrated microscopically by Curt Stern. Stern
562 Chapter 13 | Modern Understandings of Inheritance
observed several X-linked phenotypes that were associated with a structurally unusual and dissimilar X chromosome pair
in which one X was missing a small terminal segment, and the other X was fused to a piece of the Y chromosome. By
crossing flies, observing their offspring, and then visualizing the offspring’s chromosomes, Stern demonstrated that every
time the offspring allele combination deviated from either of the parental combinations, there was a corresponding exchange
of an X chromosome segment. Using mutant flies with structurally distinct X chromosomes was the key to observing the
products of recombination because DNA sequencing and other molecular tools were not yet available. It is now known that
homologous chromosomes regularly exchange segments in meiosis by reciprocally breaking and rejoining their DNA at
precise locations.
Review Sturtevant’s process to create a genetic map on the basis of recombination frequencies here
(http://openstaxcollege.org/l/gene_crossover) .
Genetic diversity is the total number of genetic characteristics in a species. Explain how chromosomal crossover
contributes to genetic diversity.
a. Chromosomal crossover is a specific, non random process during which chromosomes are linked together
and exchange DNA, contributing to the genetic diversity.
b. Chromosomal crossover occurs during meiosis when chromosome pairs are linked and exchange DNA.
Thus, crossover increases the variance of genetic combinations in the haploid gamete cell.
c. Chromosomal crossover results in the inheritance of genetic material by offspring and the recombination
event is not variable in frequency or location.
d. Chromosomal crossover occurs during the mitotic process when chromosomes are linked together and
recombination takes place, increasing the variance of genetic combinations in the haploid mitotic cells
formed from mitosis.
Section Summary
The Chromosomal Theory of Inheritance, proposed by Sutton and Boveri, states that chromosomes are the vehicles of
genetic heredity. Neither Mendelian genetics nor gene linkage is perfectly accurate; instead, chromosome behavior involves
segregation, independent assortment, and occasionally, linkage. Sturtevant devised a method to assess recombination
frequency and infer the relative positions and distances of linked genes on a chromosome on the basis of the average
number of crossovers in the intervening region between the genes. Sturtevant correctly presumed that genes are arranged in
serial order on chromosomes and that recombination between homologs can occur anywhere on a chromosome with equal
likelihood. Whereas linkage causes alleles on the same chromosome to be inherited together, homologous recombination
biases alleles toward an inheritance pattern of independent assortment.
Chapter 13 | Modern Understandings of Inheritance 563
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
3.9 The student is able to construct an explanation, using visual representations or
Learning
narratives, as to how DNA in chromosomes is transmitted to the next generation via mitosis,
Objective
or meiosis followed by fertilization.
Essential 3.A.3 The chromosomal basis of inheritance provides an understanding of the pattern of
Knowledge passage (transmission) of genes from parent to offspring.
Science
3.1 The student can pose scientific questions.
Practice
Learning 3.13 The student is able to pose questions about ethical, social or medical issues
Objective surrounding human genetic disorders.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
564 Chapter 13 | Modern Understandings of Inheritance
Enduring
3.C The processing of genetic information is imperfect and is a source of genetic variation.
Understanding
Essential
3.A.3 Changes in genotype can result in changes in phenotype.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.24 The student is able to predict how a change in genotype, when expressed as a
Objective phenotype, provides a variation that can be subject to natural selection.
Inherited disorders can arise when chromosomes behave abnormally during meiosis. Chromosome disorders can be divided
into two categories: abnormalities in chromosome number and chromosomal structural rearrangements. Because even small
segments of chromosomes can span many genes, chromosomal disorders are characteristically dramatic and often fatal.
Identification of Chromosomes
The isolation and microscopic observation of chromosomes forms the basis of cytogenetics and is the primary method
by which clinicians detect chromosomal abnormalities in humans. A karyotype is the number and appearance of
chromosomes, and includes their length, banding pattern, and centromere position. To obtain a view of an individual’s
karyotype, cytologists photograph the chromosomes and then cut and paste each chromosome into a chart, or karyogram,
also known as an ideogram (Figure 13.5).
Figure 13.5 This karyotype is of a female human. Notice that homologous chromosomes are the same size, and have
the same centromere positions and banding patterns. A human male would have an XY chromosome pair instead of
the XX pair shown. (credit: Andreas Blozer et al)
In a given species, chromosomes can be identified by their number, size, centromere position, and banding pattern. In a
human karyotype, autosomes or body chromosomes, which are all of the non–sex chromosomes, are generally organized
in order of size from largest (chromosome 1) to smallest (chromosome 22). The X and Y chromosomes, the 23rd pair, are
not autosomes. However, chromosome 21 is actually shorter than chromosome 22. This was discovered after the naming of
Down syndrome as trisomy 21, reflecting how this disease results from possessing one extra chromosome 21, or three in
total. Not wanting to change the name of this disease, scientists retained the original numbering system. The chromosome
arms projecting from either end of the centromere may be designated as short or long, depending on their relative lengths.
The short arm is abbreviated p (for petite), whereas the long arm is abbreviated q because it follows p alphabetically. Each
arm is further subdivided and denoted by a number. For example, locus 3 on the short arm of chromosome 21 is denoted
21p3. Using this naming system, locations on chromosomes can be described consistently in the scientific literature.
Chapter 13 | Modern Understandings of Inheritance 565
Figure 13.6 Nondisjunction occurs when homologous chromosomes or sister chromatids fail to separate during
meiosis, resulting in an abnormal chromosome number. Nondisjunction may occur during meiosis I or meiosis II.
Aneuploidy
An individual with the appropriate number of chromosomes for their species is called euploid; in humans, euploidy
corresponds to 22 pairs of autosomes and one pair of sex chromosomes. An individual with an error in chromosome number
is described as aneuploid, a term that includes monosomy (loss of one chromosome) or trisomy (gain of an extraneous
chromosome). Monosomic human zygotes missing any one copy of an autosome invariably fail to develop to birth because
they lack essential genes. This underscores the importance of gene dosage in humans. Most autosomal trisomies also fail to
develop to birth; however, duplications of some of the smaller chromosomes (13, 15, 18, 21, or 22) can result in offspring
that survive for several weeks to many years. Trisomic individuals suffer from a different type of genetic imbalance: an
excess in gene dose. Individuals with an extra chromosome may synthesize an abundance of the gene products encoded
by that chromosome. This extra dose (150 percent) of specific genes can lead to a number of functional challenges and
often precludes development. The most common trisomy among viable births is that of chromosome 21, which corresponds
to Down syndrome. Individuals with this inherited disorder are characterized by short stature and stunted digits, facial
distinctions that include a broad skull and large tongue, and significant developmental delays. The incidence of Down
syndrome is correlated with maternal age; older women are more likely to become pregnant with fetuses carrying the
trisomy 21 genotype (Figure 13.7).
Chapter 13 | Modern Understandings of Inheritance 567
Figure 13.7 The incidence of having a fetus with trisomy 21 increases dramatically with maternal age.
Visualize the addition of a chromosome that leads to Down syndrome in this video simulation
(http://openstaxcollege.org/l/down_syndrome) .
With increasing age, women are at increased risk of having a baby with a chromosomal abnormality such as Down
syndrome. Why is age a risk factor?
a. Cells are more likely to make mistakes as we age due to an increase in the nondisjunction of cells during cell
division, which is the reason for the occurrence of Down syndrome.
b. The chance of this disorder increases with age due to increased mistakes in the mitotic cells with age.
c. There are increased risks of translocation mutations with age, even though other mutation rates are constant,
and this increases the risk.
d. The risk of having a child with Down syndrome is associated primarily with lifestyle factors that change
with age.
Polyploidy
An individual with more than the correct number of chromosome sets—two for diploid species—is called polyploid. For
instance, fertilization of an abnormal diploid egg with a normal haploid sperm would yield a triploid zygote. Polyploid
animals are extremely rare, with only a few examples among the flatworms, crustaceans, amphibians, fish, and lizards.
Polyploid animals are sterile because meiosis cannot proceed normally and instead produces mostly aneuploid daughter
cells that cannot yield viable zygotes. Rarely, polyploid animals can reproduce asexually by haplodiploidy, in which an
unfertilized egg divides mitotically to produce offspring. In contrast, polyploidy is very common in the plant kingdom, and
polyploid plants tend to be larger and more robust than euploids of their species (Figure 13.8).
568 Chapter 13 | Modern Understandings of Inheritance
Figure 13.8 As with many polyploid plants, this triploid orange daylily (Hemerocallis fulva) is particularly large and
robust, and grows flowers with triple the number of petals of its diploid counterparts. (credit: Steve Karg)
Figure 13.9 In cats, the gene for coat color is located on the X chromosome. In the embryonic development of female
cats, one of the two X chromosomes is randomly inactivated in each cell, resulting in a tortoiseshell pattern if the cat
has two different alleles for coat color. Male cats, having only one X chromosome, never exhibit a tortoiseshell coat
color. (credit: Michael Bodega)
An individual carrying an abnormal number of X chromosomes will inactivate all but one X chromosome in each of her
cells. However, even inactivated X chromosomes continue to express a few genes, and X chromosomes must reactivate
for the proper maturation of female ovaries. As a result, X-chromosomal abnormalities are typically associated with mild
mental and physical defects, as well as sterility. If the X chromosome is absent altogether, the individual will not develop in
Chapter 13 | Modern Understandings of Inheritance 569
utero.
Several errors in sex chromosome number have been characterized. Individuals with three X chromosomes, called triplo-
X, are phenotypically female but express developmental delays and reduced fertility. The XXY genotype, corresponding
to one type of Klinefelter syndrome, corresponds to phenotypically male individuals with small testes, enlarged breasts,
and reduced body hair. More complex types of Klinefelter syndrome exist in which the individual has as many as five X
chromosomes. In all types, every X chromosome except one undergoes inactivation to compensate for the excess genetic
dosage. This can be seen as several Barr bodies in each cell nucleus. Turner Syndrome, characterized as an X0 genotype
(i.e., only a single-sex chromosome), corresponds to a phenotypically female individual with short stature, webbed skin in
the neck region, hearing and cardiac impairments, and sterility.
Figure 13.10 This individual with cri-du-chat syndrome is shown at two, four, nine, and 12 years of age. (credit: Paola
Cerruti Mainardi)
in nature as a result of mechanical shear, or from the action of transposable elements like special DNA sequences capable of
facilitating the rearrangement of chromosome segments with the help of enzymes that cut and paste DNA sequences. Unless
they disrupt a gene sequence, inversions only change the orientation of genes and are likely to have more mild effects than
aneuploid errors. However, altered gene orientation can result in functional changes because regulators of gene expression
could be moved out of position with respect to their targets, causing aberrant levels of gene products.
An inversion can be pericentric and include the centromere, or paracentric and occur outside of the centromere (Figure
13.11). A pericentric inversion that is asymmetric about the centromere can change the relative lengths of the chromosome
arms, making these inversions easily identifiable.
Figure 13.11 Pericentric inversions include the centromere, and paracentric inversions do not. A pericentric inversion
can change the relative lengths of the chromosome arms, and a paracentric inversion cannot.
When one homologous chromosome undergoes an inversion but the other does not, the individual is described as an
inversion heterozygote. To maintain point-for-point synapsis during meiosis, one homolog must form a loop, and the other
homolog must mold around it. Although this topology can ensure that the genes are correctly aligned, it also forces the
homologs to stretch and can be associated with regions of imprecise synapsis (Figure 13.12).
Figure 13.12 When one chromosome undergoes an inversion but the other does not, one chromosome must form an
inverted loop to retain point-for-point interaction during synapsis. This inversion pairing is essential to maintaining gene
alignment during meiosis and to allow for recombination.
Chapter 13 | Modern Understandings of Inheritance 571
Translocations
A translocation occurs when a segment of a chromosome dissociates and reattaches to a different, nonhomologous
chromosome. Translocations can be benign or have devastating effects depending on how the positions of genes are altered
with respect to regulatory sequences. Reciprocal translocations result from the exchange of chromosome segments between
two nonhomologous chromosomes such that there is no gain or loss of genetic information (Figure 13.13).
572 Chapter 13 | Modern Understandings of Inheritance
Figure 13.13 A reciprocal translocation occurs when a segment of DNA is transferred from one chromosome to
another, nonhomologous chromosome. (credit: modification of work by National Human Genome Research/USA)
Activity
A Day in the Life. Compose a short story, PowerPoint presentation, video, poem, or significant piece of art
to describe a day in the life of a teenager afflicted with a single gene disorder or chromosomal abnormality.
Include the causes and effects of the disorder and pose a question about a social, medical, or ethical
issue(s) associated with human genetic disorders.
Think About It
Create a series of representations to show how nondisjunction can result in a trisomic zygote from a cell with 2n = 4.
Section Summary
The number, size, shape, and banding pattern of chromosomes make them easily identifiable in a karyogram and allows for
the assessment of many chromosomal abnormalities. Disorders in chromosome number, or aneuploidies, are typically lethal
to the embryo, although a few trisomic genotypes are viable. Because of X inactivation, aberrations in sex chromosomes
typically have milder phenotypic effects. Aneuploidies also include instances in which segments of a chromosome are
duplicated or deleted. Chromosome structures may also be rearranged, for example by inversion or translocation. Both
of these aberrations can result in problematic phenotypic effects. Because they force chromosomes to assume unnatural
topologies during meiosis, inversions and translocations are often associated with reduced fertility because of the likelihood
of nondisjunction.
Chapter 13 | Modern Understandings of Inheritance 573
KEY TERMS
aneuploid individual with an error in chromosome number; includes deletions and duplications of chromosome segments
centimorgan (cM) (also, map unit) relative distance that corresponds to a recombination frequency of 0.01
Chromosomal Theory of Inheritance theory proposing that chromosomes are the vehicles of genes and that their
behavior during meiosis is the physical basis of the inheritance patterns that Mendel observed
euploid individual with the appropriate number of chromosomes for their species
homologous recombination process by which homologous chromosomes undergo reciprocal physical exchanges at
their arms, also known as crossing over
karyotype number and appearance of an individuals chromosomes; includes the size, banding patterns, and centromere
position
nondisjunction failure of synapsed homologs to completely separate and migrate to separate poles during the first cell
division of meiosis
nonparental (recombinant) type progeny resulting from homologous recombination that exhibits a different allele
combination compared with its parents
parental types progeny that exhibits the same allelic combination as its parents
recombination frequency average number of crossovers between two alleles; observed as the number of nonparental
types in a population of progeny
translocation process by which one segment of a chromosome dissociates and reattaches to a different, nonhomologous
chromosome
X inactivation condensation of X chromosomes into Barr bodies during embryonic development in females to
compensate for the double genetic dose
CHAPTER SUMMARY
13.1 Chromosomal Theory and Genetic Linkages
The Chromosomal Theory of Inheritance, proposed by Sutton and Boveri, states that chromosomes are the vehicles of
genetic heredity. Neither Mendelian genetics nor gene linkage is perfectly accurate; instead, chromosome behavior
involves segregation, independent assortment, and occasionally, linkage. Sturtevant devised a method to assess
recombination frequency and infer the relative positions and distances of linked genes on a chromosome on the basis of
the average number of crossovers in the intervening region between the genes. Sturtevant correctly presumed that genes
are arranged in serial order on chromosomes and that recombination between homologs can occur anywhere on a
chromosome with equal likelihood. Whereas linkage causes alleles on the same chromosome to be inherited together,
homologous recombination biases alleles toward an inheritance pattern of independent assortment.
574 Chapter 13 | Modern Understandings of Inheritance
The number, size, shape, and banding pattern of chromosomes make them easily identifiable in a karyogram and allows
for the assessment of many chromosomal abnormalities. Disorders in chromosome number, or aneuploidies, are typically
lethal to the embryo, although a few trisomic genotypes are viable. Because of X inactivation, aberrations in sex
chromosomes typically have milder phenotypic effects. Aneuploidies also include instances in which segments of a
chromosome are duplicated or deleted. Chromosome structures may also be rearranged, for example by inversion or
translocation. Both of these aberrations can result in problematic phenotypic effects. Because they force chromosomes to
assume unnatural topologies during meiosis, inversions and translocations are often associated with reduced fertility
because of the likelihood of nondisjunction.
REVIEW QUESTIONS
1. When comparing humans (or in Drosophila), are X-linked recessive traits observed more frequently in males, in similar
numbers between males and females, more frequently in females, or is the frequency different depending on the trait?
a. in more males than females
b. in more females than males
c. in males and females equally
d. in different distributions depending on the trait
2. Which recombination frequency corresponds to perfect linkage and violates the law of independent assortment?
a. 0
b. 0.25
c. 0.5
d. 0.75
3. Which recombination frequency corresponds to independent assortment and the absence of linkage?
a. 0
b. 0.25
c. 0.5
d. 0.75
4. Based on the diagram, which of the following statements is true?
Chapter 13 | Modern Understandings of Inheritance 575
Figure 13.14
a. Recombination of the body color and red/cinnabar eye alleles will occur more frequently than recombination of
the alleles for wing length and aristae length.
b. Recombination of the body color and aristae length alleles will occur more frequently than recombination of red/
brown eye alleles and the aristae length alleles.
c. Recombination of the gray/black body color and long/short aristae alleles will not occur.
d. Recombination of the red/brown eye and long/short aristae alleles will occur more frequently than
recombination of the alleles for wing length and body color.
5. Which of the following codes describes position 12 on the long arm of chromosome 13?
a. 13p12
b. 13q12
c. 12p13
d. 12q13
6. Assume a pericentric inversion occurred in one of two homologs prior to meiosis. The other homolog remains normal.
During meiosis, what structure, if any, would these homologs assume in order to pair accurately along their lengths?
a. a V formation
b. a cruciform
c. a loop
d. a pairing would not be possible
576 Chapter 13 | Modern Understandings of Inheritance
Figure 13.15
a. Nondisjunction only occurs when homologous chromosomes do not separate during meiosis I, resulting in the
formation of gametes containing n+1 and n-1 chromosomes.
b. Nondisjunction only occurs when sister chromatids do not separate in meiosis II, resulting in the formation of
gametes containing n+1 and n-1 chromosomes.
c. Nondisjunction is the failure of homologous chromosomes to separate during meiosis I or the failure of sister
chromatids to separate during meiosis II, leading to the formation of n+1/n-1/n chromosomes.
d. Nondisjunction occurs when the sister chromatids fail to separate during mitosis II, resulting in the formation of
gametes containing n+1 and n-1/n chromosomes.
10. Select the answer that correctly identifies the various chromosomal aberrations and their worst-case negative
consequences.
578 Chapter 13 | Modern Understandings of Inheritance
a. nondisjunction - aneuploid gametes; duplication - physical and mental abnormalities; deletion - lethal to a
diploid organism; inversion - chromosomal breaks in gene; and translocations - effects depend on how positions
of genes are altered
b. nondisjunction - physical and mental abnormalities; inversion - genetic imbalance; duplication - aneuploid
gametes; translocations - chromosomal breaks in the gene; and deletion - effects depend on how positions of
genes are altered
c. deletion - aneuploid gametes; translocations - physical and mental abnormalities; duplication - effects depend on
positions of genes; nondisjunction - causes genetic imbalance lethal to a diploid organism; and aneuploidy -
leads to various syndromes
d. nondisjunction - chromosomal breaks in gene; duplication - physical and mental abnormalities; deletion -
genetic imbalance lethal to a diploid organism; inversion - aneuploid gametes; and translocations - effects
depend on positions of genes
Figure 13.16
Based on the linkage map, which two genes are most likely to segregate together?
a. A and B
b. B and C
c. C and D
d. D and E
12. A test cross was made between true-breeding EEWW flies and eeww flies. The resulting F 1 generation was then
crossed with eeww flies. One hundred offspring in the F2 generation were examined, and it was discovered that the E and
W genes were not linked. Which is the correct genotype of the F2 offspring if the genes were linked and if the genes were
not linked?
a. linked: 50 percent EEWW and 50 percent eeww; not linked: 25 percent EeWw, 25 percent , Eeww 25 percent
eeWw, and 25 percent eeww
b. linked: 25 percent Eeww, 50 percent eeWw; not linked: parental genotypes EeWw and eeww
c. linked: genotypes EeWw and eeww, and recombinant genotypes Eeww and eeWw in the F2 generation are
nearly the same irrespective of their linkage
d. linked: mostly with parental genotypes, Eeww and eeWw; unlinked: 25 percent EeWw and eeww with 75
percent Eeww and eeWw
13. A cross was made with true-breeding AABB flies and true-breeding aabb flies. The resulting F1 generation then was
crossed with true-breeding aabb flies. Based on the linkage map, which F2 generation genotype ratio is most likely to be
observed?
Chapter 13 | Modern Understandings of Inheritance 579
Figure 13.17
a. number observed: AaBb (46), Aabb (4), aaBb (4), Aabb (46)
b. number observed: AaBb (4), Aabb (46), aaBb (46), Aabb (4)
c. number observed: AaBb (25), Aabb (25), aaBb (25), Aabb (25)
d. number observed: AaBb (50), Aabb (0), aaBb (0), Aabb (50)
14. Which symptom is most likely associated with the disorder shown in the karyotype?
a. lethality
b. infertility
c. heart and bleeding defects
d. short stature and stunted growth
15. Which option describes the disorder shown in the karyotype and the social, ethical, or medical issue related to the
disorder?
580 Chapter 13 | Modern Understandings of Inheritance
Figure 13.18
a. Down syndrome (47 XY +21) causes intellectual disability, vision problems, congenital heart disease, and
susceptibility to cancer. Healthcare providers often do not discuss the positive aspects of raising a child with
Down syndrome and often provide out-of-date information.
b. Klinefelter syndrome (47 XXY) causes intellectual disability, vision problems, congenital heart disease, and
susceptibility to cancer. Arguments are often made against abortion of an affected fetus.
c. Klinefelter syndrome (47 XXY) causes sterility and reduced testosterone production. Arguments are often made
against informing insurance companies about a diagnosis of this disease.
d. Down syndrome (47 XY +21) causes sterility and lower testosterone production. Arguments are often made
against informing insurance companies about a diagnosis of this disease.
16. Which gene order is the most likely outcome of an inversion mutation in the chromosome shown?
a. RSTUV
b. RRSTUV
c. RSUV
d. RTSUV
17. With the help of the diagram given, which statement most appropriately describes nondisjunction and its genetic
consequences?
Chapter 13 | Modern Understandings of Inheritance 581
Figure 13.19
a. Nondisjunction occurs when a homologous pair is unable to separate during meiosis I, resulting in the formation
of gametes containing n+1 and n-1 chromosomes. This is called aneuploidy.
b. Nondisjunction occurs due to the inability of sister chromatids to separate during meiosis II, resulting in the
formation of gametes containing n+1 and n-1 chromosomes. This results in heart and bleeding defects.
c. Nondisjunction is the failure of homologous chromosomes to separate during meiosis I or failure of sister
chromatids to separate during meiosis II. This results in aneuploid gametes.
d. Nondisjunction occurs when a pair of homologous chromosomes fails to segregate during meiosis II resulting in
the formation of gametes containing n+1, n-1, or n numbers of chromosomes. This results in abnormal growth
patterns.
18. Klinefelter syndrome is —
a. more severe than Down syndrome, due to gene deletions in this syndrome
b. more severe than Down syndrome, due to trisomy in Klinefelter syndrome
c. less severe than Down syndrome, due to monosomy in Down syndrome
d. less severe than Down syndrome, due to X-inactivation in this disorder
582 Chapter 13 | Modern Understandings of Inheritance
Figure 13.20
20. Studies like the one described in question AP12.1 were carried out by Morgan and Sturtevant beginning in 1911. The
discovery of linkage was made by Bateson and Punnett in 1900. They crossed a true-breeding purple (P) plant with long
seeds (L) with a true-breeding red (r) plant with round seeds (l). They then performed a self-cross between the F 1
generations. They obtained the F2 data shown below.
Table 13.1
Chapter 13 | Modern Understandings of Inheritance 583
a. Use the symbols P, p, L, and l to construct a representation of the F2 genotypes and complete the second
column in the table.
b. Complete the fourth column of the table above by recording the values of the predicted numbers of plants with
each genotype.
c. Apply a c2 test at the 95% confidence level to evaluate the claim that these data confirm linkage. The definition
(o − e) 2
of the statistic χ 2 = ∑ e and this table are provided in the AP Biology Exam.
p 1 2 3 4 5 6 7 8
0.05 3.84 5.99 7.82 9.49 11.07 12.59 14.07 15.51
0.01 6.64 9.32 11.34 13.28 15.09 16.81 18.48 20.09
d. At first, Bateson and Punnett did not see that these genes are located on the same chromosome and proceeded to
measure the linkage distance between them, taking the first step toward creating a gene map. Justify the
selection of data and the procedure from which data could be collected that would have provided the necessary
evidence to confirm linkage and recombination.
21. Review the observations that provided researchers with evidence in support of the Chromosomal Theory of
Inheritance.
a. Evaluate the dependence of these observations on improvements in a critical technology during the period from
1850 to 1940. Identify this technology and describe how this technology allowed scientists to make the
connection between chromosomes and genes. (As a hint, the name "chromosome" is taken from the Greek word
chroma, which means colored or stained.)
b. Mendel's laws of inheritance are explained by the chromosomal theory. Use these observations to justify:
◦ the law of segregation
◦ the law of independent assortment
22. Errors in the transmission of genetic information to future generations are essential. Otherwise, organisms could not
evolve over time. Some errors in the synthesis of new DNA during S phase in either meiosis or mitosis are not repaired.
These errors usually involve single nucleotides. Errors that occur during prophase I of meiosis that are not corrected can
involve the exchange of sequences between homologous chromosomes (duplications) or even nonhomologous
chromosomes (translocations). Duplications are usually retained, and the organism remains viable without a change in
phenotype. Translocations are usually lethal or significantly alter phenotype. In eukaryotes, duplications and the shuffling
of parental genes through recombination are important sources of variation.
Construct an explanation of the role of duplication as a source of raw material for future mutations and selection and
contrast this type of variation with recombination.
23. Bacteria and Archaea reproduce asexually, and genetic material is in a closed loop. In both domains, genetic material is
transferred horizontally, and polyploidy is common. Polypoidy is common in plants and occurs in invertebrate animals but
is less common in vertebrates. In all domains, multiple copies of genes (gene duplication) are common.
Based on this information, compare and contrast the mechanisms that provide genetic variation in the three domains:
Bacteria, Archaea, and Eukarya.
REFERENCES
14 | DNA STRUCTURE
AND FUNCTION
Figure 14.1 Michael Morton went to jail in 1986 for the murder of this wife. Twenty-five years later, he was exonerated
of her murder by DNA evidence. (credit: Lauren Gerson)
Chapter Outline
14.1: Historical Basis of Modern Understanding
14.2: DNA Structure and Sequencing
14.3: Basics of DNA Replication
14.4: DNA Replication in Prokaryotes
14.5: DNA Replication in Eukaryotes
14.6: DNA Repair
Introduction
Each person’s DNA is unique, and it is possible to detect differences among individuals within a species on the basis of these
unique features. DNA analysis has many practical applications, including identifying criminals (forensics), determining
paternity, tracing genealogy, identifying pathogens, researching archeological finds, tracing disease outbreaks, and studying
human migration patterns. In the medical field, DNA is used in diagnostics, new vaccine development, and cancer therapy.
It is often possible to determine predisposition to diseases by sequencing genes.
Sometimes an innocent person is erroneously convicted of a crime and sent to jail. Between 2000 and 2015, evidence from
DNA was used to exonerate over 250 innocent people. Twenty of those people were on death row after being convicted
of a murder they didn’t commit. To learn more about the intense scientific and legal processes used to exonerate those
wrongfully convicted, go to the Innocence Project website here (http://www.openstaxcollege.org/l/32innocence) .
586 Chapter 14 | DNA Structure and Function
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA to support the claim that DNA is the primary source of heritable
Objective
information.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 3.2 The student is able to justify the selection of data from historical investigations that
Objective support the claim that DNA is the source of heritable information.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Chapter 14 | DNA Structure and Function 587
Enduring
4.A Interactions within biological systems lead to complex properties.
Understanding
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 4.1 The student is able to explain the connection between the sequence and the
Objective subcomponents of a biological polymer and its properties.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 3.2]
• [APLO 3.28]
• [APLO 1.11]
• [APLO 1.16]
• [APLO 3.1]
• [APLO 4.1]
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 15 DNA Restriction Analysis
Modern understandings of DNA have evolved from the discovery of nucleic acid to the development of the double-helix
model. In the 1860s, Friedrich Miescher (Figure 14.2), a physician by profession, was the first person to isolate phosphate-
rich chemicals from white blood cells or leukocytes. He named these chemicals (which would eventually be known as RNA
and DNA) nuclein because they were isolated from the nuclei of the cells.
To see Miescher conduct an experiment step-by-step, click through this review (http://openstaxcollege.org/l/
miescher_levene) of how he discovered the key role of DNA and proteins in the nucleus.
Why were Phoebus Levene’s discoveries important to our current understanding of DNA?
a. Phoebus Levene believed that the four nucleotides in DNA are not linked or repeated in the same pattern and
that they are held together by phosphodiester bonds.
b. He discovered that the nucleotides were held together by phosphodiester bonds, in which two phosphate
groups bind two sugars together. This discovery led to our current understanding of DNA.
c. He believed that proteins were less likely the vehicles for hereditary information. Later he discovered the
four nucleotides in DNA which were linked together and repeated in a wide variety of different ways.
d. He believed inaccurately that the four nucleotides in DNA repeated the same pattern. Also, he discovered
that the nucleotides were held together by phosphodiester bonds in which the phosphate group binds two
sugars together.
A half century later, British bacteriologist, Frederick Griffith was perhaps the first person to show that hereditary
information could be transferred from one cell to another horizontally, rather than by descent. In 1928, he reported the
first demonstration of bacterial transformation, a process in which external DNA is taken up by a cell, thereby changing
morphology and physiology. He was working with Streptococcus pneumoniae, the bacterium that causes pneumonia.
Griffith worked with two strains, rough (R) and smooth (S). The R strain is non-pathogenic, meaning it does not cause
disease and is called rough because its outer surface is a cell wall and lacks a capsule; as a result, the cell surface appears
uneven under the microscope. The S strain is pathogenic (disease-causing) and has a capsule outside its cell wall. As a result,
it has a smooth appearance under the microscope. Griffith injected the live R strain into mice and they survived. In another
experiment, when he injected mice with the heat-killed S strain, they also survived. In a third set of experiments, a mixture
of live R strain and heat-killed S strain were injected into mice, and—to his surprise—the mice died. Upon isolating the
live bacteria from the dead mouse, only the S strain of bacteria was recovered. When this isolated S strain was injected into
fresh mice, the mice died. Griffith concluded that something had passed from the heat-killed S strain into the live R strain
and transformed it into the pathogenic S strain. He called this the transforming principle (Figure 14.3). These experiments
are now famously known as Griffith's transformation experiments.
Chapter 14 | DNA Structure and Function 589
Figure 14.3 Two strains of S. pneumoniae were used in Griffith’s transformation experiments. The R strain is non-
pathogenic. The S strain is pathogenic and causes death. When Griffith injected a mouse with the heat-killed S strain
and a live R strain, the mouse died. The S strain was recovered from the dead mouse. Thus, Griffith concluded that
something had passed from the heat-killed S strain to the R strain, transforming the R strain into S strain in the process.
(credit: living mouse: modification of work by NIH; credit dead mouse: modification of work by Sarah Marriage)
Scientists Oswald Avery, Colin MacLeod, and Maclyn McCarty were interested in exploring this transforming principle
further. They isolated the S strain from the dead mice and isolated the proteins and nucleic acids, namely RNA and DNA,
as these were possible candidates for the molecule of heredity. They conducted a systematic elimination study. They used
enzymes that specifically degraded each component and then used each mixture separately to transform the R strain. They
found that when DNA was degraded, the resulting mixture was no longer able to transform the bacteria, whereas all of the
other combinations were able to transform the bacteria. This led them to conclude that DNA was the transforming principle.
Think About It
Explain why radioactive sulfur and phosphorus were used to label T2 bacteriophages in the Hershey-Chase
experiments. How did the results of these experiments contribute to the identification of DNA as the genetic material?
Experiments conducted by Martha Chase and Alfred Hershey in 1952 provided confirmatory evidence that DNA was the
genetic material and not proteins. Chase and Hershey were studying a bacteriophage, which is a virus that infects bacteria.
Viruses typically have a simple structure: a protein coat, called the capsid, and a nucleic acid core that contains the genetic
material, either DNA or RNA. The bacteriophage infects the host bacterial cell by attaching to its surface, and then it
injects its nucleic acids inside the cell. The phage DNA makes multiple copies of itself using the host machinery, and
eventually the host cell bursts, releasing a large number of bacteriophages. Chase and Hershey labeled one batch of phage
with radioactive sulfur, 35S, to label the protein coat. Another batch of phage were labeled with radioactive phosphorus,
32
P. Because phosphorous is found in DNA, but not protein, the DNA and not the protein would be tagged with radioactive
phosphorus.
Each batch of phage was allowed to infect the cells separately. After infection, the phage bacterial suspension was put in a
blender, which caused the phage coat to be detached from the host cell. The phage and bacterial suspension was spun down
in a centrifuge. The heavier bacterial cells settled down and formed a pellet, whereas the lighter phage particles stayed in the
supernatant. In the tube that contained phage labeled with 35S, the supernatant contained the radioactively labeled phage,
whereas no radioactivity was detected in the pellet. In the tube that contained the phage labeled with 32P, the radioactivity
was detected in the pellet that contained the heavier bacterial cells, and no radioactivity was detected in the supernatant.
Chase and Hershey concluded that it was the phage DNA that was injected into the cell and carried information to produce
more phage particles, thus providing evidence that DNA was the genetic material and not proteins (Figure 14.4).
Chapter 14 | DNA Structure and Function 591
Figure 14.4 In Hershey and Chase's experiments, bacteria were infected with phage radiolabeled with either 35S,
which labels protein, or 32P, which labels DNA. Only 32P entered the bacterial cells, indicating that DNA is the genetic
material.
Around this same time, Austrian biochemist Erwin Chargaff examined the content of DNA in different species and found
that the amounts of adenine, thymine, guanine, and cytosine were not found in equal quantities, and that it varied from
species to species, but not between individuals of the same species. He found that the amount of adenine equals the amount
of thymine, and the amount of cytosine equals the amount of guanine, or A = T and G = C. This is also known as Chargaff’s
rules. This finding proved immensely useful when Watson and Crick were getting ready to propose their DNA double helix
model.
Section Summary
DNA was first isolated from white blood cells by Friedrich Miescher, who called it nuclein because it was isolated from
nuclei. Frederick Griffith's experiments with strains of Streptococcus pneumoniae provided the first hint that DNA may be
the transforming principle. Avery, MacLeod, and McCarty proved that DNA is required for the transformation of bacteria.
Later experiments by Hershey and Chase using bacteriophage T2 proved that DNA is the genetic material. Chargaff found
that the ratio of A = T and C = G, and that the percentage content of A, T, G, and C is different for different species.
always pairing with a pyrimidine, as Chargaff found. The genetic language of DNA is found in sequences of the nucleotides.
During cell division each daughter cell receives a copy of DNA in a process called replication. In the years since the
discovery of the structure of DNA, many technologies, including DNA sequencing, have been developed that enable us to
better understand DNA and its role in our genomes.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 of the AP®
Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA to support the claim that DNA is the primary source of heritable
Objective
information.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 3.2 The student is able to justify the selection of data from historical investigations that
Objective support the claim that DNA is the source of heritable information.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.5 The student can justify the claim that humans can manipulate heritable information by
Objective identifying at least two commonly used technologies.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 3.3]
• [APLO 3.5]
• [APLO 3.13]
The building blocks of DNA are nucleotides. The important components of the nucleotide are a nitrogenous base,
deoxyribose (five-carbon sugar), and a phosphate group (Figure 14.5). The nucleotide is named depending on the
nitrogenous base. The nitrogenous base can be a purine such as adenine (A) and guanine (G), or a pyrimidine such as
cytosine (C) and thymine (T).
Chapter 14 | DNA Structure and Function 593
Figure 14.5 Each nucleotide is made up of a sugar, a phosphate group, and a nitrogenous base. The sugar is
deoxyribose in DNA and ribose in RNA.
The nucleotides combine with each other by covalent bonds known as phosphodiester bonds or linkages. The purines have
a double ring structure with a six-membered ring fused to a five-membered ring. Pyrimidines are smaller in size; they have
a single six-membered ring structure. The carbon atoms of the five-carbon sugar are numbered 1', 2', 3', 4', and 5' (1' is read
as one prime). The phosphate residue is attached to the hydroxyl group of the 5' carbon of one sugar of one nucleotide and
the hydroxyl group of the 3' carbon of the sugar of the next nucleotide, thereby forming a 5'-3' phosphodiester bond.
In the 1950s, Francis Crick and James Watson worked together to determine the structure of DNA at the University of
Cambridge, England. Other scientists like Linus Pauling and Maurice Wilkins were also actively exploring this field.
Pauling had discovered the secondary structure of proteins using X-ray crystallography. In Wilkins’ lab, researcher Rosalind
Franklin was using X-ray diffraction methods to understand the structure of DNA. Watson and Crick were able to piece
together the puzzle of the DNA molecule on the basis of Franklin's data because Crick had also studied X-ray diffraction
(Figure 14.6). In 1962, James Watson, Francis Crick, and Maurice Wilkins were awarded the Nobel Prize in Medicine.
Unfortunately, by then Franklin had died, and Nobel prizes are not awarded posthumously.
Figure 14.6 The work of pioneering scientists (a) James Watson, Francis Crick, and Maclyn McCarty led to our present
day understanding of DNA. Scientist Rosalind Franklin discovered (b) the X-ray diffraction pattern of DNA, which
helped to elucidate its double helix structure. (credit a: modification of work by Marjorie McCarty, Public Library of
Science)
Watson and Crick proposed that DNA is made up of two strands that are twisted around each other to form a right-handed
helix. Base pairing takes place between a purine and pyrimidine; namely, A pairs with T and G pairs with C. Adenine
and thymine are complementary base pairs, and cytosine and guanine are also complementary base pairs. The base pairs
are stabilized by hydrogen bonds; adenine and thymine form two hydrogen bonds and cytosine and guanine form three
hydrogen bonds. The two strands are anti-parallel in nature; that is, the 3' end of one strand faces the 5' end of the other
strand. The sugar and phosphate of the nucleotides form the backbone of the structure, whereas the nitrogenous bases are
594 Chapter 14 | DNA Structure and Function
stacked inside. Each base pair is separated from the other base pair by a distance of 0.34 nm, and each turn of the helix
measures 3.4 nm. Therefore, ten base pairs are present per turn of the helix. The diameter of the DNA double helix is 2
nm, and it is uniform throughout. Only the pairing between a purine and pyrimidine can explain the uniform diameter. The
twisting of the two strands around each other results in the formation of uniformly spaced major and minor grooves (Figure
14.7).
Figure 14.7 DNA has (a) a double helix structure and (b) phosphodiester bonds. The (c) major and minor grooves are
binding sites for DNA binding proteins during processes such as transcription, which is the copying of RNA from DNA,
and replication.
Activity
Read Watson and Crick’s original Nature article, “Molecular Structure of Nucleic Acids: A Structure for
Deoxyribose Nucleic Acid,” How did Watson and Crick’s model build on the findings of Rosalind Franklin?
How did their model of DNA build on the findings of Hershey and Chase, and others, showing that DNA can
encode and pass information on to the next generation?
Think About It
Watson and Crick’s work determined the structure of DNA. However, it was still relatively unknown how DNA
encoded information into genes. Select one modern form of biotechnology and research its basic methods online.
Examples include gene sequencing, DNA fingerprinting, PCR, and genetically modified food. Briefly describe your
chosen technology, and what benefits it provides us. Then describe how Watson and Crick’s findings were vital to the
development of your chosen technology.
Chapter 14 | DNA Structure and Function 595
Visit this site (http://openstaxcollege.org/l/DNA_sequencing) to watch a video explaining the DNA sequence reading
technique that resulted from Sanger’s work.
a. Sanger’s method can be used to sequence more than one strand at a time, which is less time consuming.
Challenges of Sanger’s method includes its decreased accuracy to sequence DNA strands.
b. Sanger’s method is a reliable and accurate way of sequencing DNA strands. However, only one strand at a
time can be sequenced. Also, it can look for one base only at a time, which can be time consuming.
c. Sanger’s method is highly inexpensive and less accurate. However, it is not readily adaptable to commercial
kits.
d. Sanger’s method is less time consuming and highly accurate. However, it is more expensive than other
methods available for sequencing.
The method is known as the dideoxy chain termination method. The sequencing method is based on the use of chain
terminators, the dideoxynucleotides (ddNTPs). The ddNTPs differ from the deoxynucleotides by the lack of a free 3'
OH group on the five-carbon sugar. If a ddNTP is added to a growing a DNA strand, the chain is not extended any
further because the free 3' OH group needed to add another nucleotide is not available. By using a predetermined ratio of
deoxyribonucleotides to ddNTPs, it is possible to generate DNA fragments of different sizes.
Figure 14.8 In Frederick Sanger's dideoxy chain termination method, dye-labeled ddNTPs are used to generate DNA
fragments that terminate at different points. The DNA is separated by capillary electrophoresis on the basis of size,
and from the order of fragments formed, the DNA sequence can be read. The DNA sequence readout is shown on an
electropherogram that is generated by a laser scanner.
The DNA sample to be sequenced is denatured or separated into two strands by heating it to high temperatures. The DNA
is divided into four tubes in which a primer, DNA polymerase, and the four nucleotides of A, T, G, and C are added. In
addition to each of the four tubes, limited quantities of one of the four ddNTPs are added to each tube respectively. The
596 Chapter 14 | DNA Structure and Function
tubes are labeled as A, T, G, and C according to the ddNTP added. For detection purposes, each of the four ddNTP carries
a different fluorescent label. Chain elongation continues until a fluorescent ddNTP is incorporated, after which no further
elongation takes place. After the reaction is over, electrophoresis is performed. Even a difference in length of a single base
can be detected. The sequence is read from a laser scanner. For his work on DNA sequencing, Sanger received a Nobel
Prize in Chemistry in 1980.
Sanger’s genome sequencing has led to a race to sequence human genomes at a rapid speed and low cost, often
referred to as the $1,000 in one day sequence. Learn more by selecting the Sequencing at Speed animation here
(http://openstaxcollege.org/l/DNA_and_genomes) .
Explain how fast DNA sequencing can change the way doctors treat disease.
a. Faster genetic sequencing will help in quick analysis of the genetic makeup of bacteria that can cause
diseases in humans for better and more efficient treatments. Also, sequencing of a cancerous cell’s DNA can
provide better ways to treat or prevent cancer.
b. Fast DNA sequencing can help us quickly analyze the genetic information of existing only bacteria (not new
strains) only that cause disease in humans, which may lead to more efficient treatments.
c. Fast DNA sequencing can help doctors to treat and diagnose diseases which are not rare in populations.
d. Faster genetic sequencing can be used to treat and prevent a few types of cancers and thus increase the life
expectancy of patients suffering from the diseases.
Gel electrophoresis is a technique used to separate DNA fragments of different sizes. Usually the gel is made of a chemical
called agarose. Agarose powder is added to a buffer and heated. After cooling, the gel solution is poured into a casting tray.
Once the gel has solidified, the DNA is loaded on the gel and electric current is applied. The DNA has a net negative charge
and moves from the negative electrode toward the positive electrode. The electric current is applied for sufficient time to
let the DNA separate according to size; the smallest fragments will be farthest from the well, where the DNA was loaded,
and the heavier molecular weight fragments will be closest to the well. Once the DNA is separated, the gel is stained with a
DNA-specific dye for viewing it (Figure 14.9).
Chapter 14 | DNA Structure and Function 597
Figure 14.9 DNA can be separated on the basis of size using gel electrophoresis. (credit: James Jacob, Tompkins
Cortland Community College)
598 Chapter 14 | DNA Structure and Function
Watch Svante Pääbo’s talk (http://openstaxcollege.org/l/neanderthal) explaining the Neanderthal genome research at
the 2011 annual Technology, Entertainment, Design (TED) conference.
Which of the statements gives the best explanation for the wider genetic variation in the human population in Africa
than the rest of the world?
a. It has been suggested that all humans most likely descended from Africa. This is supported by the research
that genetic variance in Africa was also found in the rest of the world.
b. The theory that humans descended from Africa was supported by the research that most of the human
genomes tested outside of Africa had close ties to the genomes of people in Africa but a genetic variance in
Africa was not found in the rest of the world.
c. Humans have most likely descended from Africa. This research is supported by the fact that all the human
genomes tested outside of Africa had close ties to the genomes of people in Africa. Also, there is a genetic
variance in Africa that was not found in the rest of the world.
d. The transition to modern humans occurred within Africa which was sudden. Thus, human genomes tested
outside of Africa had close ties to the genomes of people in Africa.
Figure 14.10 A eukaryote contains a well-defined nucleus, whereas in prokaryotes, the chromosome lies in the
cytoplasm in an area called the nucleoid.
In eukaryotic cells, DNA and RNA synthesis occur in a separate compartment from protein synthesis. In prokaryotic
cells, both processes occur together. What advantages might there be to separating the processes? What advantages
might there be to having them occur together?
a. Compartmentalization in eukaryotic cells enables the building of more complex proteins and RNA products.
In prokaryotes, the advantage is that RNA and protein synthesis occurs much more quickly because it occurs
in a single compartment.
b. Compartmentalization in prokaryotic cells enables the building of more complex proteins and RNA products.
In eukaryotes, the advantage is that RNA and protein synthesis occurs much more quickly because they occur
in a single compartment.
c. Compartmentalization in eukaryotic cells enables the building of simpler proteins and RNA products. In
prokaryotes, the advantage is only simpler proteins and RNA products because complex ones are not needed.
d. Compartmentalization in eukaryotic cells enables the building of more complex proteins and RNA products.
In prokaryotes, the advantage is that RNA and protein synthesis takes more time because it occurs in a single
compartment.
The size of the genome in one of the most well-studied prokaryotes, E. coli, is 4.6 million base pairs (approximately 1.1
mm, if cut and stretched out. So how does this fit inside a small bacterial cell? The DNA is twisted by what is known as
supercoiling. Supercoiling means that DNA is either under-wound (less than one turn of the helix per 10 base pairs) or over-
wound (more than one turn per 10 base pairs) from its normal relaxed state. Some proteins are known to be involved in the
supercoiling; other proteins and enzymes such as DNA gyrase help in maintaining the supercoiled structure.
Eukaryotes, whose chromosomes each consist of a linear DNA molecule, employ a different type of packing strategy to fit
their DNA inside the nucleus (Figure 14.11). At the most basic level, DNA is wrapped around proteins known as histones
to form structures called nucleosomes. The histones are evolutionarily conserved proteins that are rich in basic amino acids
and form an octamer. The DNA (which is negatively charged because of the phosphate groups) is wrapped tightly around
the histone core. This nucleosome is linked to the next one with the help of a linker DNA. This is also known as the “beads
on a string” structure. This is further compacted into a 30-nm fiber, which is the diameter of the structure. At the metaphase
stage, the chromosomes are at their most compact, are approximately 700 nm in width, and are found in association with
scaffold proteins.
In interphase, eukaryotic chromosomes have two distinct regions that can be distinguished by staining. The tightly packaged
region is known as heterochromatin, and the less dense region is known as euchromatin. Heterochromatin usually contains
genes that are not expressed, and is found in the regions of the centromere and telomeres. The euchromatin usually contains
genes that are transcribed, with DNA packaged around nucleosomes but not further compacted.
Chapter 14 | DNA Structure and Function 601
Figure 14.11 The organization of eukaryotic chromosomes is shown. These figures illustrate the compaction of the
eukaryotic chromosome. The boxes indicate progressive levels of magnification.
Section Summary
The currently accepted model of the double-helix structure of DNA was proposed by Watson and Crick. Some of the salient
features are that the two strands that make up the double helix are complementary and anti-parallel in nature. Deoxyribose
sugars and phosphates form the backbone of the structure, and the nitrogenous bases are stacked inside. The diameter of the
double helix, 2 nm, is uniform throughout. A purine always pairs with a pyrimidine; A pairs with T, and G pairs with C.
One turn of the helix has 10 base pairs. During cell division, each daughter cell receives a copy of the DNA by a process
known as DNA replication. Prokaryotes are much simpler than eukaryotes in many of their features. Most prokaryotes
contain a single, circular chromosome. In general, eukaryotic chromosomes contain a linear DNA molecule packaged into
nucleosomes, and have two distinct regions that can be distinguished by staining, reflecting different states of packaging
and compaction.
information encoded in each parental strand is conserved, or kept, in the daughter molecules. Thus, a newly replicated
molecule of DNA consists of one old strand and one new strand. Meselson and Stahl used density differences in nitrogen
isotopes to investigate replication, and their experiments supported the semi-conservative model. However, the process of
replication is more complex than their model’s simple description.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 and Big Idea
4 of the AP® Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide a
transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 3.3 The student is able to describe representations and models that illustrate how genetic
Objective information is copied for transmission between generations.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.34]
• [APLO 3.3]
• [APLO 4.1]
The elucidation of the structure of the double helix provided a hint as to how DNA divides and makes copies of itself. This
model suggests that the two strands of the double helix separate during replication, and each strand serves as a template
from which the new complementary strand is copied. What was not clear was how the replication took place. There were
three models suggested (Figure 14.12): conservative, semi-conservative, and dispersive.
Chapter 14 | DNA Structure and Function 603
Figure 14.12 The three suggested models of DNA replication. Grey indicates the original DNA strands, and blue
indicates newly synthesized DNA.
In conservative replication, the parental DNA remains together, and the newly formed daughter strands are together. The
semi-conservative method suggests that each of the two parental DNA strands act as a template for new DNA to be
synthesized; after replication, each double-stranded DNA includes one parental or old strand and one new strand. In the
dispersive model, both copies of DNA have double-stranded segments of parental DNA and newly synthesized DNA
interspersed.
Meselson and Stahl were interested in understanding how DNA replicates. They grew E. coli for several generations in a
medium containing a heavy isotope of nitrogen (15N) that gets incorporated into nitrogenous bases, and eventually into the
DNA (Figure 14.13).
604 Chapter 14 | DNA Structure and Function
Figure 14.13 Meselson and Stahl experimented with E. coli grown first in heavy nitrogen (15N) then in 14N. DNA grown
in 15N (red band) is heavier than DNA grown in 14N (orange band), and sediments to a lower level in cesium chloride
solution in an ultracentrifuge. When DNA grown in 15N is switched to media containing 14N, after one round of cell
division the DNA sediments halfway between the 15N and 14N levels, indicating that it now contains 50 percent 14N. In
subsequent cell divisions, an increasing amount of DNA contains 14N only. This data supports the semi-conservative
replication model. (credit: modification of work by Mariana Ruiz Villareal)
The E. coli culture was then shifted into a medium containing 14N and allowed to grow for one generation. The cells were
harvested and the DNA was isolated. The DNA was centrifuged at high speeds in an ultracentrifuge. Some cells were
allowed to grow for one more life cycle in 14N and spun again. During the density gradient centrifugation, the DNA is
loaded into a gradient, which is typically salt such as cesium chloride or sucrose, and spun at high speeds of 50,000 to
60,000 rpm. Under these circumstances, the DNA will form a band according to its density in the gradient. DNA grown in
15
N will band at a higher density position than that grown in 14N. Meselson and Stahl noted that after one generation of
growth in 14N after they had been shifted from 15N, the single band observed was intermediate in position in between DNA
of cells grown exclusively in 15N and 14N. This suggested either a semi-conservative or dispersive mode of replication. The
DNA harvested from cells grown for two generations in 14N formed two bands: one DNA band was at the intermediate
position between 15N and 14N, and the other corresponded to the band of 14N DNA. These results could only be explained
if DNA replicates in a semi-conservative manner. Therefore, the other two modes were ruled out.
During DNA replication, each of the two strands that make up the double helix serves as a template from which new strands
are copied. The new strand will be complementary to the parental or old strand. When two daughter DNA copies are formed,
they have the same sequence and are divided equally into the two daughter cells.
Chapter 14 | DNA Structure and Function 605
One theory of aging is that the body’s ability to fix mistakes in its DNA decreases as we age. How can this affect DNA
replication?
a. Aging causes accumulation of DNA mutations and DNA damage of only the nuclear DNA and the mistakes
will be passed down to new cells causing age related diseases.
b. Aging results in ineffective DNA repair mechanism so that the mistakes in the DNA will be passed down to
new cells. This could lead to the development of age-related diseases.
c. Aging causes DNA polymerase to function abnormally. This is the sole reason which causes defects in DNA
replication.
Activity
Design (but do not implement) an experiment to test the three models of DNA replication. Summarize the
results you would expect if each of the three models of DNA replication were correct. Assume you have
access in a laboratory to the following: an experimental organism such as E. coli; an unlimited variety of
isotopes, test tubes and centrifuges; and organic growth media.
Section Summary
The model for DNA replication suggests that the two strands of the double helix separate during replication, and each
strand serves as a template from which the new complementary strand is copied. In conservative replication, the parental
DNA is conserved, and the daughter DNA is newly synthesized. The semi-conservative method suggests that each of the
two parental DNA strands acts as template for new DNA to be synthesized; after replication, each double-stranded DNA
includes one parental or old strand and one new strand. The dispersive mode suggested that the two copies of the DNA
would have segments of parental DNA and newly synthesized DNA.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
3.A Heritable information provides for continuity of life.
Understanding
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 3.3 The student is able to describe representations and models that illustrate how genetic
Objective information is copied for transmission between generations.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP® exam. These questions address the following standards:
• [APLO 4.3]
• [APLO 1.18]
• [APLO 1.21]
DNA replication has been extremely well studied in prokaryotes primarily because of the small size of the genome and the
mutants that are available. E. coli has 4.6 million base pairs in a single circular chromosome and all of it gets replicated in
approximately 42 minutes, starting from a single origin of replication and proceeding around the circle in both directions.
This means that approximately 1,000 nucleotides are added per second. The process is quite rapid and occurs without many
mistakes.
DNA replication employs a large number of proteins and enzymes, each of which plays a critical role during the process.
One of the key players is the enzyme DNA polymerase, also known as DNA pol, which adds nucleotides one by one to the
growing DNA chain that are complementary to the template strand. The addition of nucleotides requires energy; this energy
is obtained from the nucleotides that have three phosphates attached to them, similar to ATP which has three phosphate
groups attached. When the bond between the phosphates is broken, the energy released is used to form the phosphodiester
bond between the incoming nucleotide and the growing chain. In prokaryotes, three main types of polymerases are known:
DNA pol I, DNA pol II, and DNA pol III. It is now known that DNA pol III is the enzyme required for DNA synthesis;
DNA pol I and DNA pol II are primarily required for repair.
How does the replication machinery know where to begin? It turns out that there are specific nucleotide sequences called
Chapter 14 | DNA Structure and Function 607
origins of replication where replication begins. In E. coli, which has a single origin of replication on its one chromosome,
as do most prokaryotes, it is approximately 245 base pairs long and is rich in AT sequences. The origin of replication is
recognized by certain proteins that bind to this site. An enzyme called helicase unwinds the DNA by breaking the hydrogen
bonds between the nitrogenous base pairs. ATP hydrolysis is required for this process. As the DNA opens up, Y-shaped
structures called replication forks are formed. Two replication forks are formed at the origin of replication and these get
extended bi- directionally as replication proceeds. Single-strand binding proteins coat the single strands of DNA near the
replication fork to prevent the single-stranded DNA from winding back into a double helix. DNA polymerase is able to add
nucleotides only in the 5' to 3' direction (a new DNA strand can be only extended in this direction). It also requires a free
3'-OH group to which it can add nucleotides by forming a phosphodiester bond between the 3'-OH end and the 5' phosphate
of the next nucleotide. This essentially means that it cannot add nucleotides if a free 3'-OH group is not available. Then how
does it add the first nucleotide? The problem is solved with the help of a primer that provides the free 3'-OH end. Another
enzyme, RNA primase, synthesizes an RNA primer that is about five to ten nucleotides long and complementary to the
DNA. Because this sequence primes the DNA synthesis, it is appropriately called the primer. DNA polymerase can now
extend this RNA primer, adding nucleotides one by one that are complementary to the template strand (Figure 14.14).
Figure 14.14 A replication fork is formed when helicase separates the DNA strands at the origin of replication.
The DNA tends to become more highly coiled ahead of the replication fork. Topoisomerase breaks and reforms
DNA’s phosphate backbone ahead of the replication fork, thereby relieving the pressure that results from this
supercoiling. Single-stranded binding proteins bind to the single-stranded DNA to prevent the helix from re-
forming. Primase synthesizes an RNA primer. DNA polymerase III uses this primer to synthesize the daughter
DNA strand. On the leading strand, DNA is synthesized continuously, whereas on the lagging strand, DNA is
synthesized in short stretches called Okazaki fragments. DNA polymerase I replaces the RNA primer with DNA.
DNA ligase seals the gaps between the Okazaki fragments, joining the fragments into a single DNA molecule.
(credit: modification of work by Mariana Ruiz Villareal)
You isolate a cell strain in which the joining together of Okazaki fragments is impaired and suspect that a mutation has
occurred in an enzyme found at the replication fork. Which enzyme is most likely to be mutated?
a. DNA ligase
b. DNA polymerase III
c. helicase
d. topoisomerase
The replication fork moves at the rate of 1,000 nucleotides per second. DNA polymerase can only extend in the 5' to 3'
direction, which poses a slight problem at the replication fork. As we know, the DNA double helix is anti-parallel; that is,
one strand is in the 5' to 3' direction and the other is oriented in the 3' to 5' direction. One strand, which is complementary
to the 3' to 5' parental DNA strand, is synthesized continuously towards the replication fork because the polymerase can
add nucleotides in this direction. This continuously synthesized strand is known as the leading strand. The other strand,
complementary to the 5' to 3' parental DNA, is extended away from the replication fork, in small fragments known as
Okazaki fragments, each requiring a primer to start the synthesis. Okazaki fragments are named after the Japanese scientist
who first discovered them. The strand with the Okazaki fragments is known as the lagging strand.
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The leading strand can be extended by one primer alone, whereas the lagging strand needs a new primer for each of the
short Okazaki fragments. The overall direction of the lagging strand will be 3' to 5', and that of the leading strand 5' to 3'. A
protein called the sliding clamp holds the DNA polymerase in place as it continues to add nucleotides. The sliding clamp is
a ring-shaped protein that binds to the DNA and holds the polymerase in place. Topoisomerase prevents the over-winding
of the DNA double helix ahead of the replication fork as the DNA is opening up; it does so by causing temporary nicks
in the DNA helix and then resealing it. As synthesis proceeds, the RNA primers are replaced by DNA. The primers are
removed by the exonuclease activity of DNA pol I, and the gaps are filled in by deoxyribonucleotides. The nicks that RNA
primer remain between the newly synthesized DNA (that replaced the RNA primer) and the previously synthesized DNA
are sealed by the enzyme DNA ligase that catalyzes the formation of phosphodiester linkage between the 3'-OH end of one
nucleotide and the 5' phosphate end of the other fragment.
Once the chromosome has been completely replicated, the two DNA copies move into two different cells during cell
division. The process of DNA replication can be summarized as follows:
1. DNA unwinds at the origin of replication.
2. Helicase opens up the DNA-forming replication forks; these are extended bidirectionally.
3. Single-stranded binding proteins coat the DNA around the replication fork to prevent rewinding of the DNA.
4. Topoisomerase binds at the region ahead of the replication fork to prevent supercoiling.
5. Primase synthesizes RNA primers complementary to the DNA strand.
6. DNA polymerase starts adding nucleotides to the 3'-OH end of the primer.
7. Elongation of both the lagging and the leading strand continues.
8. RNA primers are removed by exonuclease activity.
9. Gaps are filled by DNA pol by adding dNTPs.
10. The gap between the two DNA fragments is sealed by DNA ligase, which helps in the formation of phosphodiester
bonds.
Table 14.1 summarizes the enzymes involved in prokaryotic DNA replication and the functions of each.
Table 14.1
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a. Errors in DNA replication are rare events in a cell due to the presence of DNA ligase enzyme which fixes
mistakes in the copying process.
b. Polymerase I is solely responsible for proofreading and fixing mistakes in the copying process, which
explains why so few mistakes are made.
c. Polymerase I and II are responsible for proofreading and fixing mistakes in the copying process which
explains why errors in DNA replication are rare.
d. Errors in DNA replication are rare events in cells due to the action of DNA helicase.
Activity
Use the model of DNA you constructed in Section 14.2 to demonstrate the process of replication in
prokaryotes, showing how the activities differ on the leading and lagging strands. You need to add to your
model by including enzymes and other proteins involved in the replication process.
Think About It
You isolate a DNA strand in which the joining together of Okazaki fragments is impaired and suspect that a mutation
has occurred in an enzyme found at the replication fork. Which enzyme is most likely mutated?
Section Summary
Replication in prokaryotes starts from a sequence found on the chromosome called the origin of replication—the point
at which the DNA opens up. Helicase opens up the DNA double helix, resulting in the formation of the replication fork.
Single-stranded binding proteins bind to the single-stranded DNA near the replication fork to keep the fork open. Primase
synthesizes an RNA primer to initiate synthesis by DNA polymerase, which can add nucleotides only in the 5' to 3'
direction. One strand is synthesized continuously in the direction of the replication fork; this is called the leading strand.
The other strand is synthesized in a direction away from the replication fork, in short stretches of DNA known as Okazaki
fragments. This strand is known as the lagging strand. Once replication is completed, the RNA primers are replaced by
DNA nucleotides and the DNA is sealed with DNA ligase, which creates phosphodiester bonds between the 3'-OH of one
end and the 5' phosphate of the other strand.
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Telomere Replication
Unlike prokaryotic chromosomes, eukaryotic chromosomes are linear. As you’ve learned, the enzyme DNA pol can add
nucleotides only in the 5' to 3' direction. In the leading strand, synthesis continues until the end of the chromosome is
reached. On the lagging strand, DNA is synthesized in short stretches, each of which is initiated by a separate primer. When
the replication fork reaches the end of the linear chromosome, there is no place for a primer to be made for the DNA
fragment to be copied at the end of the chromosome. These ends thus remain unpaired, and over time these ends may get
progressively shorter as cells continue to divide.
The ends of the linear chromosomes are known as telomeres, which have repetitive sequences that code for no particular
gene. In a way, these telomeres protect the genes from getting deleted as cells continue to divide. In humans, a six base
pair sequence, TTAGGG, is repeated 100 to 1,000 times. The discovery of the enzyme telomerase (Figure 14.16) helped in
the understanding of how chromosome ends are maintained. The telomerase enzyme contains a catalytic part and a built-in
RNA template. It attaches to the end of the chromosome, and complementary bases to the RNA template are added on the
3' end of the DNA strand. Once the 3' end of the lagging strand template is sufficiently elongated, DNA polymerase can add
the nucleotides complementary to the ends of the chromosomes. Thus, the ends of the chromosomes are replicated.
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Figure 14.15 The ends of linear chromosomes are maintained by the action of the telomerase enzyme.
Telomerase is typically active in germ cells and adult stem cells. It is not active in adult somatic cells. For her discovery
of telomerase and its action, Elizabeth Blackburn (Figure 14.16) received the Nobel Prize for Medicine and Physiology in
2009.
Figure 14.16 Elizabeth Blackburn, 2009 Nobel Laureate, is the scientist who discovered how telomerase works.
(credit: U.S. Embassy Sweden)
extension of telomeres, reduced DNA damage, reversed neurodegeneration, and improved the function of the testes, spleen,
and intestines. Thus, telomere reactivation may have potential for treating age-related diseases in humans.
Cancer is characterized by uncontrolled cell division of abnormal cells. The cells accumulate mutations, proliferate
uncontrollably, and can migrate to different parts of the body through a process called metastasis. Scientists have observed
that cancerous cells have considerably shortened telomeres and that telomerase is active in these cells. Interestingly, only
after the telomeres were shortened in the cancer cells did the telomerase become active. If the action of telomerase in these
cells can be inhibited by drugs during cancer therapy, then the cancerous cells could potentially be stopped from further
division.
Table 14.2
Section Summary
Replication in eukaryotes starts at multiple origins of replication. The mechanism is quite similar to prokaryotes. A primer
is required to initiate synthesis, which is then extended by DNA polymerase as it adds nucleotides one by one to the growing
chain. The leading strand is synthesized continuously, whereas the lagging strand is synthesized in short stretches called
Okazaki fragments. The RNA primers are replaced with DNA nucleotides; the DNA remains one continuous strand by
linking the DNA fragments with DNA ligase. The ends of the chromosomes pose a problem as polymerase is unable to
extend them without a primer. Telomerase, an enzyme with an inbuilt RNA template, extends the ends by copying the RNA
template and extending one end of the chromosome. DNA polymerase can then extend the DNA using the primer. In this
way, the ends of the chromosomes are protected.
Essential
3.C.1 Changes in genotype can result in changes in phenotype.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on scientific
Practice theories and models.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate in
Practice and/or across enduring understandings and/or big ideas.
Learning 3.24 The student is able to predict how a change in genotype, when expressed as a phenotype,
Objective provides a variation that can be subject to natural selection.
Essential
3.C.1 Changes in genotype can result in changes in phenotype.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.25 The student can create a visual representation to illustrate how changes in a DNA
Objective nucleotide sequence can result in a change in the polypeptide produced.
Essential
3.C.2 Biological systems have multiple processes that increase genetic variation.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.28 The student is able to construct an explanation of the multiple processes that increase
Objective variation within a population.
DNA replication is a highly accurate process, but mistakes can occasionally occur, such as a DNA polymerase inserting a
wrong base. Uncorrected mistakes may sometimes lead to serious consequences, such as cancer. Repair mechanisms correct
the mistakes. In rare cases, mistakes are not corrected, leading to mutations; in other cases, repair enzymes are themselves
mutated or defective.
Most of the mistakes during DNA replication are promptly corrected by DNA polymerase by proofreading the base that has
been just added (Figure 14.17). In proofreading, the DNA pol reads the newly added base before adding the next one, so
a correction can be made. The polymerase checks whether the newly added base has paired correctly with the base in the
template strand. If it is the right base, the next nucleotide is added. If an incorrect base has been added, the enzyme makes a
cut at the phosphodiester bond and releases the wrong nucleotide. This is performed by the exonuclease action of DNA pol
III. Once the incorrect nucleotide has been removed, a new one will be added again.
Some errors are not corrected during replication, but are instead corrected after replication is completed; this type of repair
is known as mismatch repair (Figure 14.18). The enzymes recognize the incorrectly added nucleotide and excise it; this
is then replaced by the correct base. If this remains uncorrected, it may lead to more permanent damage. How do mismatch
repair enzymes recognize which of the two bases is the incorrect one? In E. coli, after replication, the nitrogenous base
adenine acquires a methyl group; the parental DNA strand will have methyl groups, whereas the newly synthesized strand
lacks them. Thus, DNA polymerase is able to remove the wrongly incorporated bases from the newly synthesized, non-
methylated strand. In eukaryotes, the mechanism is not very well understood, but it is believed to involve recognition of
unsealed nicks in the new strand, as well as a short-term continuing association of some of the replication proteins with the
new daughter strand after replication has completed.
Figure 14.18 In mismatch repair, the incorrectly added base is detected after replication. The mismatch repair proteins
detect this base and remove it from the newly synthesized strand by nuclease action. The gap is now filled with the
correctly paired base.
In another type of repair mechanism, nucleotide excision repair, enzymes replace incorrect bases by making a cut on both
the 3' and 5' ends of the incorrect base (Figure 14.19). The segment of DNA is removed and replaced with the correctly
paired nucleotides by the action of DNA pol. Once the bases are filled in, the remaining gap is sealed with a phosphodiester
linkage catalyzed by DNA ligase. This repair mechanism is often employed when UV exposure causes the formation of
pyrimidine dimers.
Figure 14.19 Nucleotide excision repairs thymine dimers. When exposed to UV, thymines lying adjacent to each other
can form thymine dimers. In normal cells, they are excised and replaced.
A well-studied example of mistakes not being corrected is seen in people suffering from xeroderma pigmentosa (Figure
14.20). Affected individuals have skin that is highly sensitive to UV rays from the sun. When individuals are exposed
Chapter 14 | DNA Structure and Function 615
to UV, pyrimidine dimers, especially those of thymine, are formed; people with xeroderma pigmentosa are not able to
repair the damage. These are not repaired because of a defect in the nucleotide excision repair enzymes, whereas in normal
individuals, the thymine dimers are excised and the defect is corrected. The thymine dimers distort the structure of the DNA
double helix, and this may cause problems during DNA replication.
Figure 14.20 Xeroderma pigmentosa is a condition in which thymine dimerization from exposure to UV is not repaired.
Exposure to sunlight results in skin lesions. (credit: James Halpern et al.)
Errors during DNA replication are not the only reason why mutations arise in DNA. Mutations, variations in the nucleotide
sequence of a genome, can also occur because of damage to DNA. Such mutations may be of two types: induced or
spontaneous. Induced mutations are those that result from an exposure to chemicals, UV rays, X-rays, or some other
environmental agent. Spontaneous mutations occur without any exposure to any environmental agent; they are a result of
natural reactions taking place within the body.
Mutations may have a wide range of effects. Some mutations are not expressed; these are known as silent mutations. Point
mutations are those mutations that affect a single base pair. The most common nucleotide mutations are substitutions,
in which one base is replaced by another. These can be of two types, either transitions or transversions. Transition
substitution refers to a purine or pyrimidine being replaced by a base of the same kind; for example, a purine such
as adenine may be replaced by the purine guanine. Transversion substitution refers to a purine being replaced by a
pyrimidine, or vice versa; for example, cytosine, a pyrimidine, is replaced by adenine, a purine. Mutations can also be the
result of the addition of a base, known as an insertion, or the removal of a base, also known as deletion. Sometimes a piece
of DNA from one chromosome may get translocated to another chromosome or to another region of the same chromosome;
this is also known as translocation. These mutation types are shown in Figure 14.22.
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Sometimes a nucleotide is overlooked by the DNA repair system for no known reason. This malignant
melanoma is the result of DNA not undergoing repair after too much UV exposure.
Figure 14.21
Which statement about the above malignant melanoma is most likely true?
a. It was the result of a spontaneous mutation.
b. It was caused by thymine dimer formation.
c. It was caused by a transition substitution.
d. It was caused by a transversion substitution.
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Figure 14.22 Mutations can lead to changes in the protein sequence encoded by the DNA.
A frameshift mutation that results in the insertion of three nucleotides is often less deleterious than a mutation that
results in the insertion of one nucleotide. Why?
a. Addition of three nucleotides does not shift the reading frame.
b. Addition of three nucleotides shifts the reading frame.
c. Addition of three nucleotides incorporates two amino acids.
d. Addition of three nucleotides removes two amino acids.
Mutations in repair genes have been known to cause cancer. Many mutated repair genes have been implicated in certain
forms of pancreatic cancer, colon cancer, and colorectal cancer. Mutations can affect either somatic cells or germ cells. If
many mutations accumulate in a somatic cell, they may lead to problems such as the uncontrolled cell division observed
in cancer. If a mutation takes place in germ cells, the mutation will be passed on to the next generation, as in the case of
hemophilia and xeroderma pigmentosa.
Think About It
Infertility can sometimes be explained by chromosome translocations. Explain how chromosome translocations can
cause infertility. Are there times when a chromosome translocation might not result in infertility?
618 Chapter 14 | DNA Structure and Function
Section Summary
DNA polymerase can make mistakes while adding nucleotides. It edits the DNA by proofreading every newly added base.
Incorrect bases are removed and replaced by the correct base, and then a new base is added. Most mistakes are corrected
during replication, although when this does not happen, the mismatch repair mechanism is employed. Mismatch repair
enzymes recognize the wrongly incorporated base and excise it from the DNA, replacing it with the correct base. In yet
another type of repair, nucleotide excision repair, the incorrect base is removed along with a few bases on the 5' and 3'
end, and these are replaced by copying the template with the help of DNA polymerase. The ends of the newly synthesized
fragment are attached to the rest of the DNA using DNA ligase, which creates a phosphodiester bond.
Most mistakes are corrected, and if they are not, they may result in a mutation defined as a permanent change in the DNA
sequence. Mutations can be of many types, such as substitution, deletion, insertion, and translocation. Mutations can be
induced or may occur spontaneously.
Chapter 14 | DNA Structure and Function 619
KEY TERMS
electrophoresis technique used to separate DNA fragments according to size
helicase during replication, this enzyme helps to open up the DNA helix by breaking the hydrogen bonds
induced mutation mutation that results from exposure to chemicals or environmental agents
lagging strand during replication, the strand that is replicated in short fragments and away from the replication fork
leading strand strand that is synthesized continuously in the 5'-3' direction which is synthesized in the direction of the
replication fork
ligase enzyme that catalyzes the formation of a phosphodiester linkage between the 3' OH and 5' phosphate ends of the
DNA
mismatch repair type of repair mechanism in which mismatched bases are removed after replication
nucleotide excision repair type of DNA repair mechanism in which the wrong base, along with a few nucleotides
upstream or downstream, are removed
Okazaki fragment DNA fragment that is synthesized in short stretches on the lagging strand
primase enzyme that synthesizes the RNA primer; the primer is needed for DNA pol to start synthesis of a new DNA
strand
primer short stretch of nucleotides that is required to initiate replication; in the case of replication, the primer has RNA
nucleotides
proofreading function of DNA pol in which it reads the newly added base before adding the next one
single-strand binding protein during replication, protein that binds to the single-stranded DNA; this helps in keeping
the two strands of DNA apart so that they may serve as templates
sliding clamp ring-shaped protein that holds the DNA pol on the DNA strand
spontaneous mutation mutation that takes place in the cells as a result of chemical reactions taking place naturally
without exposure to any external agent
telomerase enzyme that contains a catalytic part and an inbuilt RNA template; it functions to maintain telomeres at
chromosome ends
topoisomerase enzyme that causes underwinding or overwinding of DNA when DNA replication is taking place
transition substitution when a purine is replaced with a purine or a pyrimidine is replaced with another pyrimidine
CHAPTER SUMMARY
14.1 Historical Basis of Modern Understanding
DNA was first isolated from white blood cells by Friedrich Miescher, who called it nuclein because it was isolated from
nuclei. Frederick Griffith's experiments with strains of Streptococcus pneumoniae provided the first hint that DNA may be
the transforming principle. Avery, MacLeod, and McCarty proved that DNA is required for the transformation of bacteria.
Later experiments by Hershey and Chase using bacteriophage T2 proved that DNA is the genetic material. Chargaff found
that the ratio of A = T and C = G, and that the percentage content of A, T, G, and C is different for different species.
The currently accepted model of the double-helix structure of DNA was proposed by Watson and Crick. Some of the
salient features are that the two strands that make up the double helix are complementary and anti-parallel in nature.
Deoxyribose sugars and phosphates form the backbone of the structure, and the nitrogenous bases are stacked inside. The
diameter of the double helix, 2 nm, is uniform throughout. A purine always pairs with a pyrimidine; A pairs with T, and G
pairs with C. One turn of the helix has 10 base pairs. During cell division, each daughter cell receives a copy of the DNA
by a process known as DNA replication. Prokaryotes are much simpler than eukaryotes in many of their features. Most
prokaryotes contain a single, circular chromosome. In general, eukaryotic chromosomes contain a linear DNA molecule
packaged into nucleosomes, and have two distinct regions that can be distinguished by staining, reflecting different states
of packaging and compaction.
The model for DNA replication suggests that the two strands of the double helix separate during replication, and each
strand serves as a template from which the new complementary strand is copied. In conservative replication, the parental
DNA is conserved, and the daughter DNA is newly synthesized. The semi-conservative method suggests that each of the
two parental DNA strands acts as template for new DNA to be synthesized; after replication, each double-stranded DNA
includes one parental or old strand and one new strand. The dispersive mode suggested that the two copies of the DNA
would have segments of parental DNA and newly synthesized DNA.
Replication in prokaryotes starts from a sequence found on the chromosome called the origin of replication—the point at
which the DNA opens up. Helicase opens up the DNA double helix, resulting in the formation of the replication fork.
Single-stranded binding proteins bind to the single-stranded DNA near the replication fork to keep the fork open. Primase
synthesizes an RNA primer to initiate synthesis by DNA polymerase, which can add nucleotides only in the 5' to 3'
direction. One strand is synthesized continuously in the direction of the replication fork; this is called the leading strand.
The other strand is synthesized in a direction away from the replication fork, in short stretches of DNA known as Okazaki
fragments. This strand is known as the lagging strand. Once replication is completed, the RNA primers are replaced by
DNA nucleotides and the DNA is sealed with DNA ligase, which creates phosphodiester bonds between the 3'-OH of one
end and the 5' phosphate of the other strand.
Replication in eukaryotes starts at multiple origins of replication. The mechanism is quite similar to prokaryotes. A primer
is required to initiate synthesis, which is then extended by DNA polymerase as it adds nucleotides one by one to the
growing chain. The leading strand is synthesized continuously, whereas the lagging strand is synthesized in short stretches
called Okazaki fragments. The RNA primers are replaced with DNA nucleotides; the DNA remains one continuous strand
by linking the DNA fragments with DNA ligase. The ends of the chromosomes pose a problem as polymerase is unable to
extend them without a primer. Telomerase, an enzyme with an inbuilt RNA template, extends the ends by copying the
RNA template and extending one end of the chromosome. DNA polymerase can then extend the DNA using the primer. In
this way, the ends of the chromosomes are protected.
DNA polymerase can make mistakes while adding nucleotides. It edits the DNA by proofreading every newly added base.
Incorrect bases are removed and replaced by the correct base, and then a new base is added. Most mistakes are corrected
during replication, although when this does not happen, the mismatch repair mechanism is employed. Mismatch repair
enzymes recognize the wrongly incorporated base and excise it from the DNA, replacing it with the correct base. In yet
Chapter 14 | DNA Structure and Function 621
another type of repair, nucleotide excision repair, the incorrect base is removed along with a few bases on the 5' and 3' end,
and these are replaced by copying the template with the help of DNA polymerase. The ends of the newly synthesized
fragment are attached to the rest of the DNA using DNA ligase, which creates a phosphodiester bond.
Most mistakes are corrected, and if they are not, they may result in a mutation defined as a permanent change in the DNA
sequence. Mutations can be of many types, such as substitution, deletion, insertion, and translocation. Mutations can be
induced or may occur spontaneously.
REVIEW QUESTIONS
1. Who was the first person to isolate the material that came to be known as nucleic acids?
a. Frederick Griffith
b. Friedrich Miescher
c. James Watson
d. Oswald Avery
2. What is bacterial transformation?
a. The transformation of a bacterium occurs during replication.
b. It is the transformation of a bacterium into a pathogenic form.
c. Transformation of bacteria involves changes in its chromosome.
d. Transformation is a process in which external DNA is taken up by a cell, thereby changing morphology and
physiology.
3. What type of nucleic acid material is analyzed the frequently in forensics cases?
a. cytoplasmic rRNA
b. mitochondrial DNA
c. nuclear chromosomal DNA
d. nuclear mRNA
4. The experiments by Hershey and Chase helped confirm that DNA was the hereditary material on the basis of the finding
of what?
a. Radioactive phages were found in the pellet.
b. Radioactive cells were found in the supernatant.
c. Radioactive sulfur was found inside the cell.
d. Radioactive phosphorus was found in the cell.
5. If DNA of a particular species was analyzed and it was found that it contains 27 percent A, what would be the
percentage of C?
a. 23 percent
b. 27 percent
c. 30 percent
d. 54 percent
6. If the sequence of the 5' to 3' strand is AATGCTAC, then the complementary sequence has the following sequence:
a. 3'-AATGCTAC-5'
b. 3'-CATCGTAA-5'
c. 3'-TTACGATG-5'
d. 3'-GTAGCATT-5'
7. The DNA double helix does not have which of the following?
622 Chapter 14 | DNA Structure and Function
a. antiparallel configuration
b. complementary base pairing
c. major and minor grooves
d. uracil
8. What is a purine?
a. a double-ring structure with a six-membered ring fused to a five-membered ring
b. a single six-membered ring
c. a six-membered ring
d. three phosphates covalently bonded by phosphodiester bonds
9. What is the name of the method developed by Fred Sanger to sequence DNA?
a. dideoxy chain termination
b. double helix determination
c. polymerase chain reaction
d. polymer gel electrophoresis
10. What happens when a dideoxynucleotide is added to a developing DNA strand?
a. The chain extends to the end of the DNA strand.
b. The DNA stand is duplicated.
c. The chain is not extended any further.
d. The last codon is repeated.
11. In eukaryotes, what is DNA wrapped around?
a. histones
b. polymerase
c. single-stranded binding proteins
d. sliding clamp
12. Which enzyme is only found in prokaryotic organisms?
a. DNA gyrase
b. helicase
c. ligase
d. telomerase
13. Uracil is found where?
a. chromosomal DNA
b. helicase
c. mitochondrial DNA
d. mRNA
14. What prevents the further development of a DNA strand in Sanger sequencing?
a. the addition of DNA reductase
b. the addition of dideoxynucleotides
c. the elimination of DNA polymerase
d. the addition of uracil
15. Which of the following is not one of the proteins involved during the formation of the replication fork?
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a. helicase
b. ligase
c. origin of replication
d. single-stranded binding proteins
16. In which direction does DNA replication take place?
a. 5' to 3'
b. 3' to 5'
c. 5'
d. 3'
17. Meselson and Stahl’s experiments proved that DNA replicates by which mode?
a. conservative
b. converse
c. dispersive
d. semi-conservative
18. Which set of results was found in the Meselson and Stahl’s experiments?
a. The original chromosome was kept intact and a duplicate was made.
b. The original chromosome was split and half went to each duplicate.
c. The original chromosome was mixed with new material and each duplicate strand contained both old and new.
d. The original chromosome was used as a template for two new chromosomes and discarded.
19. Which enzyme initiates the splitting of the double DNA strand during replication?
a. DNA gyrase
b. helicase
c. ligase
d. telomerase
20. Which enzyme is most directly responsible for the main process of producing a new DNA strand?
a. DNA pol I
b. DNA pol II
c. DNA pol III
d. DNA pol I, DNA pol II, and DNA pol III
21. Which portion of a chromosome contains Okazaki fragments?
a. helicase
b. lagging strand
c. leading strand
d. primer
22. Which of the following does the enzyme primase synthesize?
a. DNA primer
b. Okazaki fragments
c. phosphodiester linkage
d. RNA primer
23. The ends of the linear chromosomes are maintained by what?
624 Chapter 14 | DNA Structure and Function
a. DNA polymerase
b. helicase
c. primase
d. telomerase
24. What is the difference in the rate of replication of nucleotides between prokaryotes and eukaryotes?
a. Eukaryotes are 50 times slower.
b. Eukaryotes are 20 times faster.
c. Prokaryotes are 100 times slower.
d. Prokaryotes are 10 times faster.
25. What are Autonomously Replicating Sequences (ARS)?
a. areas of prokaryotic chromosomes that initiate copying
b. portions of prokaryotic chromosomes that can be transferred from one organism to another
c. areas of eukaryotic chromosomes that are equivalent to the origin of replication in E. coli
d. portions of eukaryotic chromosomes that replicate independent of the parent chromosome
26. What type of body cell does not exhibit telomerase activity?
a. adult stem cells
b. embryonic cells
c. germ cells
d. liver cells
27. During proofreading, which of the following enzymes reads the DNA?
a. DNA polymerase
b. helicase
c. topoisomerase
d. primase
28. If a prokaryotic cell is replicating nucleotides at a rate of 100 per second, how fast would a eukaryotic cell be
replicating nucleotides?
a. 1,000 per second
b. 100 per second
c. 10 per second
d. 1 per second
29. Which type of point mutation would have no effect on gene expression?
a. frameshift
b. missense
c. nonsense
d. silent
30. Which type of point mutation would result in the substitution of a stop codon for an amino acid?
a. frameshift
b. missense
c. nonsense
d. silent
31. A woman has developed skin cancer and she is pregnant. She is worried that her child will be born with the cancer she
has while carrying the baby.
Chapter 14 | DNA Structure and Function 625
a. The amount of adenine, thymine, guanine, and cytosine varies from species to species and is not found in equal
quantities. They do not vary between individuals of the same species and can be used to identify different
species.
b. The amount of adenine, thymine, guanine, and cytosine varies from species to species and is found in equal
quantities. They do not vary between individuals of the same species and can be used to identify different
species.
c. The amount of adenine and thymine is equal to guanine and cytosine and is found in equal quantities. They do
not vary between individuals of the same species and can be used to identify different species.
d. The amount of adenine, thymine, guanine, and cytosine varies from species to species and is not found in equal
quantities. They vary between individuals of the same species and can be used to identify different species.
37. In the Hershey-Chase experiments, what conclusion would the scientists have drawn if bacteria containing both
radioactive phosphorus and sulfur were found in the final pellets?
38. Describe the structure and complementary base pairing of DNA.
a. DNA is made up of two strands that are twisted around each other to form a helix. Adenine pairs up with
thymine and cytosine pairs with guanine. The two strands are anti-parallel in nature; that is, the 3' end of one
strand faces the 5' end of other strand. Sugar, phosphate and nitrogenous bases contribute to the DNA structure.
b. DNA is made up of two strands that are twisted around each other to form a helix. Adenine pairs up with
cytosine and thymine pairs with guanine. The two strands are anti-parallel in nature; that is, the 3' end of one
strand faces the 5' end of other strand. Sugar, phosphate and nitrogenous bases contribute to the DNA structure.
c. DNA is made up of two strands that are twisted around each other to form a helix. Adenine pairs up with
thymine and cytosine pairs with guanine. The two strands are parallel in nature; that is, the 3' end of one strand
faces the 3' end of other strand. Sugar, phosphate and nitrogenous bases contribute to the DNA structure.
d. DNA is made up of two strands that are twisted around each other to form a helix. Adenine pairs up with
thymine and cytosine pairs with guanine. The two strands are anti-parallel in nature; that is, the 3' end of one
strand faces the 5' end of other strand. Only sugar contributes to the DNA structure.
39. Provide a brief summary of the Sanger sequencing method.
a. Frederick Sanger’s sequencing is a chain termination method that is used to generate DNA fragments that
terminate at different points using dye-labeled dideoxynucleotides. DNA is separated by electrophoresis on the
basis of size. The DNA sequence can be read out on an electropherogram generated by a laser scanner.
b. Frederick Sanger’s sequencing is a chain elongation method that is used to generate DNA fragments that
elongate at different points using dye-labeled dideoxynucleotides. DNA is separated by electrophoresis on the
basis of size. The DNA sequence can be read out on an electropherogram generated by a laser scanner.
c. Frederick Sanger’s sequencing is a chain termination method that is used to generate DNA fragments that
terminate at different points using dye-labeled dideoxynucleotides. DNA is joined together by electrophoresis on
the basis of size. The DNA sequence can be read out on an electropherogram generated by a laser scanner.
d. Frederick Sanger’s sequencing is a chain termination method that is used to generate DNA fragments that
terminate at different points using dye-labeled dideoxynucleotides. DNA is separated by electrophoresis on the
basis of size. The DNA sequence can be read out on an electropherogram generated by a magnetic scanner.
40. Compare and contrast the similarities and differences between eukaryotic and prokaryotic DNA.
Chapter 14 | DNA Structure and Function 627
a. Eukaryotes have a single, circular chromosome, while prokaryotes have multiple, linear chromosomes.
Prokaryotes pack their chromosomes by super coiling, managed by DNA gyrase. Eukaryote chromosomes are
wrapped around histone proteins that create heterochromatin and euchromatin, which is not present in
prokaryotes.
b. Prokaryotes have a single, circular chromosome, while eukaryotes have multiple, linear chromosomes.
Prokaryotes pack their chromosomes by super coiling, managed by DNA gyrase. Eukaryote chromosomes are
wrapped around histone proteins that could form heterochromatin, which is not present in prokaryotes.
c. Prokaryotes have a single, circular chromosome, while eukaryotes have multiple, linear chromosomes.
Eukaryotes pack their chromosomes by super coiling, managed by DNA gyrase. Prokaryotes chromosomes are
wrapped around histone proteins that could form heterochromatin, which is not present in eukaryotes.
d. Prokaryotes have a single, circular chromosome, while eukaryotes have multiple, linear chromosomes.
Prokaryotes pack their chromosomes by super coiling, managed by DNA gyrase. Eukaryote chromosomes are
wrapped around histone proteins that could form heterochromatin, which is present in prokaryotes.
41. DNA replication is bidirectional and discontinuous; explain your understanding of those concepts.
a. DNA polymerase reads the template strand in the 3' to 5' direction and adds nucleotides only in the 5' to 3'
direction. The leading strand is synthesized in the direction of the replication fork. Replication on the lagging
strand occurs in the direction away from the replication fork in short stretches of DNA called Okazaki
fragments.
b. DNA polymerase reads the template strand in the 5' to 3' direction and adds nucleotides only in the 5' to 3'
direction. The leading strand is synthesized in the direction of the replication fork. Replication on the lagging
strand occurs in the direction away from the replication fork in short stretches of DNA called Okazaki
fragments.
c. DNA polymerase reads the template strand in the 3' to 5' direction and adds nucleotides only in the 5' to 3'
direction. The leading strand is synthesized in the direction away from the replication fork. Replication on the
lagging strand occurs in the direction of the replication fork in short stretches of DNA called Okazaki fragments.
d. DNA polymerase reads the template strand in the 5' to 3' direction and adds nucleotides only in the 3' to 5'
direction. The leading strand is synthesized in the direction of the replication fork. Replication on the lagging
strand occurs in the direction away from the replication fork in long stretches of DNA called Okazaki fragments.
42. Discuss how the scientific community learned that DNA replication takes place in a semi- conservative fashion.
a. Meselson and Stahl experimented with E. coli. DNA grown in 15N was heavier than DNA grown in 14N . When
DNA in 15N was switched to 14N media, DNA sedimented halfway between the 15N and 14N levels after one
round of cell division, indicating 50 percent presence of 14N . This supports the semiconservative replication
model.
b. Meselson and Stahl experimented with S. pneumonia. DNA grown in 15N was heavier than DNA grown in 14N .
When DNA in 15N was switched to 14N media, DNA sedimented halfway between the 15N and 14N levels after
one round of cell division, indicating 50 percent presence of 14N . This supports the semiconservative replication
model.
c. Meselson and Stahl experimented with E. coli. DNA grown in 14N was heavier than DNA grown in 15N . When
DNA in 15N was switched to 14N media, DNA sedimented halfway between the 15N and 14N levels after one
round of cell division, indicating 50 percent presence of 14N . This supports the semiconservative replication
model.
d. Meselson and Stahl experimented with S. pneumonia. DNA grown in 15N was heavier than DNA grown in 14N .
When DNA in 15N was switched to 14N media, DNA sedimented halfway between the 15N and 14N levels after
one round of cell division, indicating complete presence of 14N . This supports the semiconservative replication
model.
43. Explain why half of DNA is replicated in a discontinuous fashion.
628 Chapter 14 | DNA Structure and Function
a. Replication of the lagging strand occurs in the direction away from the replication fork in short stretches of
DNA, since access to the DNA is always from the 5' end. This results in pieces of DNA being replicated in a
discontinuous fashion.
b. Replication of the leading strand occurs in the direction away from the replication fork in short stretches of
DNA, since access to the DNA is always from the 5' end. This results in pieces of DNA being replicated in a
discontinuous fashion.
c. Replication of the lagging strand occurs in the direction of the replication fork in short stretches of DNA, since
access to the DNA is always from the 5' end. This results in pieces of DNA being replicated in a discontinuous
fashion.
d. Replication of the lagging strand occurs in the direction away from the replication fork in short stretches of
DNA, since access to the DNA is always from the 3' end. This results in pieces of DNA being replicated in a
discontinuous fashion.
44. Explain the events taking place at the replication fork. If the gene for helicase is mutated, what part of replication will
be affected?
a. Helicase separates the DNA strands at the origin of replication. Topoisomerase breaks and reforms DNA’s
phosphate backbone ahead of the replication fork, thereby relieving the pressure. Single-stranded binding
proteins prevent reforming of DNA. Primase synthesizes RNA primer which is used by DNA polymerase to
form a daughter strand. If helicase is mutated, the DNA strands will not be separated at the beginning of
replication.
b. Helicase joins the DNA strands together at the origin of replication. Topoisomerase breaks and reforms DNA’s
phosphate backbone after the replication fork, thereby relieving the pressure. Single-stranded binding proteins
prevent reforming of DNA. Primase synthesizes RNA primer which is used by DNA polymerase to form a
daughter strand. If helicase is mutated, the DNA strands will not be joined together at the beginning of
replication.
c. Helicase separates the DNA strands at the origin of replication. Topoisomerase breaks and reforms DNA’s sugar
backbone ahead of the replication fork, thereby increasing the pressure. Single-stranded binding proteins prevent
reforming of DNA. Primase synthesizes DNA primer which is used by DNA polymerase to form a daughter
strand. If helicase is mutated, the DNA strands will be separated at the beginning of replication.
d. Helicase separates the DNA strands at the origin of replication. Topoisomerase breaks and reforms DNA’s sugar
backbone ahead of the replication fork, thereby relieving the pressure. Single-stranded binding proteins prevent
reforming of DNA. Primase synthesizes DNA primer which is used by RNA polymerase to form a parent strand.
If helicase is mutated, the DNA strands will be separated at the beginning of replication.
45. What are Okazaki fragments and how they are formed?
a. Okazaki fragments are short stretches of DNA on the lagging strand, which is synthesized in the direction away
from the replication fork.
b. Okazaki fragments are long stretches of DNA on the lagging strand, which is synthesized in the direction of the
replication fork.
c. Okazaki fragments are long stretches of DNA on the leading strand, which is synthesized in the direction away
from the replication fork.
d. Okazaki fragments are short stretches of DNA on the leading strand, which is synthesized in the direction of the
replication fork.
46. Compare and contrast the roles of DNA polymerase I and DNA ligase in DNA replication.
a. DNA polymerase I removes the RNA primers from the developing copy of DNA. DNA ligase seals the ends of
the new segment, especially the Okazaki fragments.
b. DNA polymerase I adds the RNA primers to the already developing copy of DNA. DNA ligase separates the
ends of the new segment, especially the Okazaki fragments.
c. DNA polymerase I seals the ends of the new segment, especially the Okazaki fragments. DNA ligase removes
the RNA primers from the developing copy of DNA.
d. DNA polymerase I removes the enzyme primase from the developing copy of DNA. DNA ligase seals the ends
of the old segment, especially the Okazaki fragments.
47. If the rate of replication in a particular prokaryote is 900 nucleotides per second, how long would it take to make two
Chapter 14 | DNA Structure and Function 629
a. Both will result in the production of defective proteins. The DNA mutation, if not corrected, is permanent, while
the mRNA mutation will only affect proteins made from that mRNA strand. Production of defective protein
ceases when the mRNA strand deteriorates.
b. Both will result in the production of defective proteins. The DNA mutation, if not corrected, is permanent, while
the mRNA mutation will not affect proteins made from that mRNA strand. Production of defective protein
continues when the mRNA strand deteriorates.
c. Only DNA will result in the production of defective proteins. The DNA mutation, if not corrected, is permanent.
Production of defective protein ceases when the DNA strand deteriorates.
d. Only mRNA will result in the production of defective proteins. The mRNA mutation will only affect proteins
made from that mRNA strand. Production of defective protein ceases when the mRNA strand deteriorates.
52. Discuss the effects of point mutations on a DNA strand.
a. Mutations can cause a single change in an amino acid. A nonsense mutation can stop the replication or reading
of that strand. Insertion or deletion mutations can cause a frame shift. This can result in nonfunctional proteins.
b. Mutations can cause a single change in amino acid. A missense mutation can stop the replication or reading of
that strand. Insertion or deletion mutations can cause a frame shift. This can result in nonfunctional proteins.
c. Mutations can cause a single change in amino acid. A nonsense mutation can stop the replication or reading of
that strand. Substitution mutations can cause a frame shift. This can result in nonfunctional proteins.
d. Mutations can cause a single change in amino acid. A nonsense mutation can stop the replication or reading of
that strand. Insertion or deletion mutations can cause a frame shift. This can result in functional proteins.
53. Discuss the significance of mutations in tRNA and rRNA.
a. Mutations in tRNA and rRNA would lead to the production of defective proteins or no protein production.
b. Mutations in tRNA and rRNA would lead to changes in the semi-conservative mode of replication of DNA.
c. Mutations in tRNA and rRNA would lead to production of a DNA strand with a mutated single strand and
normal other strand.
d. Mutations in tRNA and rRNA would lead to skin cancer in patients of xeroderma pigmentosa.
57. Discuss the contributions of Francis Crick, James Watson, and Rosalind Franklin to the discovery of the structure of
DNA.
a. Rosalind Franklin used X-ray diffraction methods to demonstrate the helical nature of DNA, while Watson and
Crick formulated the double stranded structural model of DNA.
b. Rosalind Franklin, Watson and Crick first employed the technique of X-ray diffraction to understand the storage
of DNA. Since it did not work out, Watson and Crick then ran experiments to ascertain the DNA structure.
c. Rosalind Franklin, Watson and Crick used X-ray diffraction methods to demonstrate the helical nature of DNA,
while Rosalind Franklin formulated the double stranded structural model of DNA.
d. Watson and Crick used X-ray diffraction methods to demonstrate the helical nature of DNA, while Rosalind
Franklin formulated the double stranded structural model of DNA.
58. What do RNA and DNA have in common?
a. Both contain four different nucleotides.
b. Both are usually double-stranded molecules.
c. Both contain adenine and uracil.
d. Both contain ribose.
59. Which of the following would be a good application of plasmid transformation?
a. to make copies of DNA
b. to isolate a change in a single nucleotide
c. to separate DNA fragments
d. to sequence DNA
60. Explain how the components of DNA fit together.
a. DNA is composed of nucleotides, consisting of a five-carbon sugar, a phosphate, and a nitrogenous base. DNA
is a double helical structure in which complementary base pairing occurs. Adenine pairs with thymine and
guanine pairs with cytosine. Adenine and thymine form two hydrogen bonds and cytosine and guanine form
three hydrogen bonds. The two individual strands of DNA are held together by covalent bonds between the
phosphate of one nucleotide and sugar of the next. The two strands run antiparallel to each other.
b. DNA is composed of nucleotides, consisting of a five-carbon sugar, a phosphate, and a nitrogenous base. DNA
is a double helical structure in which complementary base pairing occurs. Adenine pairs with cytosine and
guanine pairs with thymine. Adenine and cytosine form two hydrogen bonds and guanine and thymine form
three hydrogen bonds. The two individual strands of DNA are held together by covalent bonds between the
phosphate of one nucleotide and sugar of the next. The two strands run antiparallel to each other.
c. DNA is composed of nucleotides, consisting of a five-carbon sugar, a phosphate, and a nitrogenous base. DNA
is a double helical structure in which complementary base pairing occurs. Adenine pairs with cytosine and
guanine pairs with thymine. Adenine and cytosine form three hydrogen bonds and guanine and thymine form
two hydrogen bonds. The two individual strands of DNA are held together by covalent bonds between the
phosphate of one nucleotide and sugar of the next. The two strands run antiparallel to each other.
d. DNA is composed of nucleotides, consisting of a five-carbon sugar, a phosphate, and a nitrogenous base. DNA
is a double helical structure in which complementary base pairing occurs. Adenine pairs with cytosine and
guanine pairs with thymine. Adenine and cytosine form three hydrogen bonds and guanine and thymine form
two hydrogen bonds. The two individual strands of DNA are held together by covalent bonds between the
phosphate of one nucleotide and sugar of the next. The two strands run parallel to each other.
61. Describe the Sanger DNA sequencing method used for the human genome sequencing project.
632 Chapter 14 | DNA Structure and Function
a. A DNA sample is denatured by heating and then put into four tubes. A primer, DNA polymerase and all four
nucleotides are added. Limited quantities of one of the four dideoxynucleotides (ddNTPs) are added to each tube
respectively. Each one of them carries a specific fluorescent label. Chain elongation continues until a fluorescent
ddNTP is added to the growing chain, after which chain termination occurs. Gel electrophoresis is performed
and the length of each base is detected by laser scanners with wavelengths specific to the four different ddNTPs.
b. A DNA sample is denatured by heating and then put into four tubes. A primer, RNA polymerase and all four
nucleotides are added. Limited quantities of one of the four dideoxynucleotides (ddNTPs) are added to each tube
respectively. Each one of them carries a specific fluorescent label. Chain elongation continues until a fluorescent
ddNTP is added to the growing chain, after which chain termination occurs. Gel electrophoresis is performed
and the length of each base is detected by laser scanners with wavelengths specific to the four different ddNTPs.
c. A DNA sample is denatured by heating and then put into four tubes. A primer, DNA polymerase and all four
nucleotides are added. Limited quantities of one of the four dideoxynucleotides (ddNTPs) are added to each tube
respectively. Each one of them carries a specific fluorescent label. Chain elongation continues until a fluorescent
ddNTP is removed from the growing chain, after which chain termination occurs. Gel electrophoresis is
performed and the length of each base is detected by laser scanners with wavelengths specific to the four
different ddNTPs.
d. A DNA sample is denatured by heating and then put into four tubes. A primer, DNA polymerase and all four
nucleotides are added. Limited quantities of one of the four deoxynucleotides (dNTPs) are added to each tube
respectively. Each one of them carries a specific fluorescent label. Chain elongation continues until a fluorescent
dNTP is added the growing chain, after which chain termination occurs. Gel electrophoresis is performed and
the length of each base is detected by laser scanners with wavelengths specific to the four different dNTPs.
62. What process is illustrated in the figure?
a. transcription
b. mutation
c. excision
d. translation
63. Describe how the model of DNA replication illustrates the function of topoisomerase.
a. Topoisomerase relieves the pressure that results from supercoiling by breaking and reforming DNA’s phosphate
backbone ahead of the replication fork.
b. Topoisomerase increases the pressure to increase supercoiling by breaking and reforming DNA’s phosphate
backbone ahead of the replication fork.
c. Topoisomerase relieves the pressure that results from supercoiling by breaking and reforming DNA’s nucleotide
base pairs ahead of the replication fork.
d. Topoisomerase relieves the pressure that results from separation of DNA strands by breaking and reforming
DNA’s phosphate backbone ahead of the replication fork .
64. Flamingos have genotypes for white feathers yet often appear with pink feathers within the same population. What is
most likely affecting the phenotype of some flamingos, causing their feathers to turn pink in an isolated population?
Chapter 14 | DNA Structure and Function 633
a. weather variations
b. dietary changes
c. DNA mutations
d. translation failure
65. What can be the result of DNA failing to undergo repair after too much UV exposure?
a. second-degree burns
b. a malignant melanoma
c. a breakdown of deep layers of the skin
d. a sunburn
66. Identify the type of change that can occur in the DNA of a chromosome that is termed a chromosomal mutation.
a. substitution
b. translocation
c. missense
d. transversion
67. Explain why patients with Xeroderma pigmentosa are more prone to cancer than the rest of the population.
a. Xeroderma pigmentosa patients cannot employ the nucleotide excision repair mechanism. When these patients
are exposed to UV light, thymine dimers are formed and they are not able to repair this defect. These dimers
distort the structure of DNA and cause them to have a high risk of contracting skin cancer.
b. Xeroderma pigmentosa patients can employ the nucleotide excision repair mechanism. When these patients are
exposed to UV light, the thymine dimers are formed and they are able to repair this defect. These dimers do not
distort the structure of DNA and they have moderate risk of contracting skin cancer.
c. Xeroderma pigmentosa patients cannot employ the nucleotide excision repair mechanism. When these patients
are exposed to UV light, the adjacent adenine forms dimers and they are not able to repair this defect. These
dimers distort the structure of DNA and they have high risk of contracting skin cancer.
d. Xeroderma pigmentosa patients cannot employ the nucleotide excision repair mechanism. When these patients
are exposed to UV light, the adjacent thymine cannot form thymine dimers and they are not able to repair this
defect. The non-formation of dimers distorts the structure of DNA and they have high risk of contracting skin
cancer.
68. You are looking at two fragments of DNA. Both have the sequence CATTCTG on one strand and GTAAGAC on the
other. One of the fragments is exposed to UV light, the other is not. What will happen to the fragments and how might
these mutations be repaired?
a. The fragment exposed to UV light contains thymine dimers. Thymines lying adjacent to each other can form
thymine dimers when exposed to UV light. They can be repaired by nucleotide excision.
b. The fragment exposed to UV light contains adenine dimers. Adenines lying adjacent to each other can form
dimers when exposed to UV light. They can be repaired by nucleotide excision.
c. The fragment exposed to UV light contains thymine dimers. Thymines lying parallel to each other can form
thymine dimers when exposed to UV light. They can be repaired by nucleotide excision.
d. The fragment exposed to UV light contains thymine dimers. Thymines lying adjacent to each other can form
thymine dimers when exposed to UV light. They can be synthesized by nucleotide excision.
69. Discuss how mutations can increase variation within a population.
634 Chapter 14 | DNA Structure and Function
a. Substitution mutations may cause a different amino acid to be placed at a specific location, causing small
changes in the protein. Frameshift mutations usually cause multiple amino acid changes, increasing chances that
a new protein will form, leading to radically different characteristics in the offspring.
b. Substitution mutations may cause multiple amino acid changes, increasing chances that a new protein will form,
leading to radically different characteristics in the offspring. Frameshift mutations may cause a different amino
acid to be placed at a specific location, causing small changes in a protein.
c. Substitution mutations may cause a different amino acid to be placed at a specific location, resulting in major
changes to the protein and leading to radically different characteristics in the offspring. Frameshift mutations
cause multiple amino acid differences in a protein, leading to small changes in the protein.
d. Substitution mutations result in a different amino acid being placed at a specific position in a protein, causing
small changes. Silent mutations could result in new characteristics possessed by an offspring when a stop codon
is substituted for an amino acid.
71. Prior to the work of Hershey and Chase, scientists thought that inheritance involved “nucleoproteins.” The amount of
information to be transmitted between generations did not seem consistent with the chemical simplicity of the few
nucleotides found in polymers of deoxyribonucleic acids in comparison to the diversity of protein polymers. Briefly
explain:
• the relationship between the structure of polymeric DNA and the information stored
• the relationship between the interactions between base pairs on complementary strands of the double helix and
Chargaff’s observation on the relative abundance of nucleotides in DNA
• the meaning of the statement from the Nature publication on the structure of DNA by Watson and Crick: “It has not
escaped our notice that the specific pairing we have postulated immediately suggests a possible copying mechanism
for the genetic material.”
72. In 1977, Fred Sanger developed a method to determine the order of nucleotides in a strand of DNA. Sanger won a
Nobel Prize for his work, and his method of sequencing based on dideoxy chain termination (Figure 14.8) has been
foundational to the rapid development of more modern, rapid, and cheap methods of sequencing. The challenge of the
$1,000 in one-day sequencing of the human genome was achieved in 2016 by next-generation sequencing (NGS), a
“catch-all” term describing several sequencing methods.
Figure 14.23
A. Using the diagrams shown above for reference, explain the effect of the addition of dideoxynucleotides on chain
growth of the DNA strand that is copied during sequencing in terms of the structures of dideoxyribose and deoxyribose.
B. Suppose that a single strand to be sequenced is 5’CGAGTACG3’. In the presence of each of the four deoxynucleotides
and the dideoxynucleotide ddCTP, describe the strands that would be formed from this template. Include in your
description an annotation indicating the 3’ and 5’ ends of the fragments resulting from the procedure.
C. Next-generation sequencing makes termination technology very rapid and relatively inexpensive. All babies born in the
U.S. are currently screened by state-mandated tests for several genetic conditions. The number of conditions tested ranges
from 29 (GA and KS) to 59 (IL and MS). It is proposed that whole-genome sequencing should be mandatory for all
newborns. The Genetic Information Nondiscrimination Act (2008) prevents health insurers from denying coverage or
increasing costs of premiums based on genetic information. It also prohibits employers from making use of these data for
hiring, firing, or promotion. The act passed in the House with a vote of 420 to 3, although it was lobbied against by
organizations representing business (human resources, health insurance, and manufacturers), including the U.S. Chamber
of Commerce. The act does not cover life, long-term care, or disability insurance. Pose three questions that are relevant to
the use of whole-genome data.
73. Our understanding of the mechanisms of DNA replication is important to research on cancer and aging. Additionally,
the molecular basis of Mendelian genetics was established.
A. The mechanism of DNA replication was investigated by Meselson and Stahl. The diagram below from their 1958 paper
summarizes their findings. Describe how this representation illustrates the manner in which DNA is copied for
transmission between generations.
636 Chapter 14 | DNA Structure and Function
Figure 14.24
B. During the synthesis of new strands of DNA from the parent strands, DNA polymerase can only add nucleotides at the
terminal 3’ of a growing strand. Using the diagram below, describe the similarities and differences between the DNA
replication of both strands.
Figure 14.25
C. Shown at the left end of the upper parent strand is the six-base repeat sequence TTAGGG. In humans, this is the
repeated, telomeric sequence that is attached to the telomere. The RNA primer in humans spans 10 base pairs, unlike in the
Chapter 14 | DNA Structure and Function 637
drawing where it spans only three. In somatic cells, an enzyme called telomerase no longer functions. Explain the function
of telomerase in the development of stem cells and cancer cells, and the inhibition of telomerase in programmed cell death
or apoptosis.
74. The mitochondria of eukaryote cells contain their own circular DNA (mtDNA), consistent with their origin according
to the theory of endosymbiosis. The mitochondrial genome is highly conserved in Eukarya. In humans, the 50 to 100
mitochondria in each of the cells in most tissues have 5 to 10 copies of the genome. Each has 37 genes that primarily
encode proteins of the electron transport chain. Point mutations in which a single nucleotide is incorrectly placed is not
repaired because the error-checking provided by DNA polymerase is not present in the mitochondria. The mutation rate
for mtDNA is approximately 100 times higher than the mutation rate for nuclear DNA. The simultaneous existence of
multiple alleles in each cell is likely, a condition called heteroplasmy. In mammals, sperm mitochondria are destroyed
prior to fertilization.
A. Explain how point mutations in mtDNA can result in a loss of function in critical cellular components such as
cytochrome c yet not be lethal to the cell.
B. Oocyte mitochondria are randomly segregated during meiosis, resulting in variation in the frequency of mtDNA
mutations in offspring relative to the parent. Explain how a loss of function does not accumulate, lowering the metabolic
performance from generation to generation.
As described in the Evolution Connection in this chapter of the text, a fossil fingertip found in a Siberian cave revealed an
evolutionary link between Neanderthals and Denisovans. Fossils from 28 individuals were located in the “pit of bones,”
Sima de los Huesos, in Spain, thousands of miles from the Siberian cave. In 2013, mtDNA from a femur of one of these
individuals was compared with mtDNA of Denisovans, Neanderthals, and modern humans. It was found that the Sima
fossil shared many more alleles with Denisovans than with either Neanderthals or modern humans. In 2016, the same
group of scientists who sequenced the mtDNA from the femur of one of the Sima fossils partially sequenced the DNA
from that fossil, showing a clear connection to Neanderthals.
C. Analyze these data to draw alternative conclusions regarding the relatedness of the three fossils and support each with
evidence.
D. Design a plan to differentiate or resolve these alternative conclusions.
REFERENCES
15 | GENES AND
PROTEINS
Figure 15.1 Genes, which are carried on chromosomes (a), are linearly organized instructions for making the RNA and
protein molecules that are necessary for all of processes of life. The interleukin-2 protein (b) and alpha-2-microglobulin
protein (c) are just two examples of the array of different molecular structures that are encoded by genes. [credit
(chromosome): National Human Genome Research Institute; credit (interleukin-2): Ramin Herati/Created from PDB
1M47 and rendered with Pymol; credit (alpha-2-microglobulin): Darren Logan/rendered with AISMIG]
Chapter Outline
15.1: The Genetic Code
15.2: Prokaryotic Transcription
15.3: Eukaryotic Transcription
15.4: RNA Processing in Eukaryotes
15.5: Ribosomes and Protein Synthesis
Introduction
The definition of gene has progressed from being an abstract unit of heredity in Gregor Mendel’s time to our current
concept of a tangible molecular entity capable of replication, expression, and mutation (Figure 15.1). Currently, we can
perform tests for many genetic diseases, but these tests create ethical and legal issues. For example, would you want to
be tested for a debilitating genetic disease if there was the possibility insurance companies could use that information
to deny you coverage? Fortunately, the Genetic Information Nondiscrimination Act of 2008 protects American citizens
from discrimination from both insurance companies and employers based on genetic information. More information about
policy, legal, and ethical issues in genetic research can be found at the National Human Genome Research Institute
(http://openstaxcollege.org/l/32genomegov) .
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Chapter 15 | Genes and Proteins 641
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structure and
Learning
functions of DNA and RNA to support the claim that DNA and, in some cases, that RNA are
Objective
the primary sources of heritable information.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.4]
• [APLO 3.25]
The cellular process of transcription generates messenger RNA (mRNA), a mobile molecular copy of one or more genes
with an alphabet of A, C, G, and U. Translation of the mRNA template converts nucleotide-based genetic information into a
protein product. Protein sequences consist of 20 commonly occurring amino acids; therefore, it can be said that the protein
alphabet consists of 20 letters (Figure 15.2). Each amino acid is defined by a three-nucleotide sequence called the triplet
codon. Different amino acids have different chemistries (such as acidic versus basic, or polar and nonpolar) and different
structural constraints. Variation in amino acid sequence gives rise to enormous variation in protein structure and function.
Figure 15.2 Structures of the 20 amino acids found in proteins are shown. Each amino acid is composed of an amino
group ( NH+ -
3 ), a carboxyl group (COO ), and a side chain (blue). The side chain may be nonpolar, polar, or charged,
as well as large or small. It is the variety of amino acid side chains that gives rise to the incredible variation of protein
structure and function.
642 Chapter 15 | Genes and Proteins
Figure 15.3 Instructions on DNA are transcribed onto messenger RNA. Ribosomes are able to read the genetic
information inscribed on a strand of messenger RNA and use this information to string amino acids together into a
protein.
Figure 15.4 The deletion of two nucleotides shifts the reading frame of an mRNA and changes the entire protein
message, creating a nonfunctional protein or terminating the protein synthesis altogether.
Scientists painstakingly solved the genetic code by translating synthetic mRNAs in vitro and sequencing the proteins they
specified (Figure 15.5).
Figure 15.5 This figure shows the genetic code for translating each nucleotide triplet in mRNA into an amino acid or a
termination signal in a nascent protein. (credit: modification of work by the National Institutes of Health)
Along with instructing the addition of a specific amino acid to a polypeptide chain, three of the 64 codons terminate protein
synthesis and release the polypeptide from the translation machinery. These triplets are called nonsense codons, or stop
codons. Another codon, AUG, also has a special function. In addition to specifying the amino acid methionine, it also serves
as the start codon to initiate translation. The reading frame for translation is set by the AUG start codon near the 5′ end of
the mRNA.
The genetic code is universal. With a few exceptions, virtually all species use the same genetic code for protein synthesis.
Conservation of codons means that a purified mRNA encoding the globin protein in horses could be transferred to a tulip
cell, and the tulip would synthesize horse globin. That there is only one genetic code is powerful evidence that all life on
Earth share a common origin, especially considering that there are about 1084 possible combinations of 20 amino acids and
64 triplet codons.
644 Chapter 15 | Genes and Proteins
Transcribe a gene and translate it to protein using complementary pairing and the genetic code at this site
(http://openstaxcollege.org/l/create_protein) .
Some hereditary and age-related diseases are caused by translation errors. Explain why an error in translation may cause
disease.
a. If there is an error in translation, the correct lipids will not be made for signaling, storage of energy, or to
perform vital functions. This can cause hereditary and age-related diseases.
b. Translation is the process in which a particular segment of DNA is copied into RNA (mRNA) by the enzyme
RNA polymerase. An error in such copying can lead to various hereditary and age-related diseases.
c. Translation is the process used by ribosomes to synthesize proteins from amino acids. If there is an error in
this process, the correct proteins will not be made to build important body tissue or perform vital functions,
thus leading to hereditary and age-related diseases.
d. Translation is the process Golgi bodies use to synthesize proteins from amino acids. If there is an error in
this process, the correct proteins will not be made to build important body tissue or perform vital functions.
Think About It
• A strand of DNA has the nucleotide sequence 3′……GCT GTC AAA TTC GAT……5′. What is the sequence
of mRNA that is complementary to this DNA sequence? Using the chart of codons in the text, determine the
sequence of amino acids which can be generated from this strand of DNA.
• How does degeneracy of the genetic code make cells less vulnerable to mutations? What is an advantage of
degeneracy with respect to the negative impact of random mutations on natural selection and evolution?
Degeneracy is believed to be a cellular mechanism to reduce the negative impact of random mutations. Codons that specify
the same amino acid typically only differ by one nucleotide. In addition, amino acids with chemically similar side chains
are encoded by similar codons. This nuance of the genetic code ensures that a single-nucleotide substitution mutation might
either specify the same amino acid but have no effect or specify a similar amino acid, preventing the protein from being
rendered completely nonfunctional.
Figure 15.6 Do you think that a kiwi or a strawberry has more DNA per fruit? [credit (kiwi): "Kelbv"/Flickr; credit
(strawberry): Alisdair McDiarmid]
Background—Genes are carried on chromosomes and are made of DNA. All mammals are diploid, meaning they
have two copies of each chromosome. However, not all plants are diploid. The common strawberry is octoploid (8n)
and the cultivated kiwi is hexaploid (6n). Research the total number of chromosomes in the cells of each of these fruits
and think about how this might correspond to the amount of DNA in these fruit cells’ nuclei. Read about the technique
of DNA isolation to understand how each step in the isolation protocol helps liberate and precipitate DNA.
Hypothesis—Hypothesize whether you would be able to detect a difference in DNA quantity from similarly sized
strawberries and kiwis. Which fruit do you think would yield more DNA?
Test your hypothesis—Isolate the DNA from a strawberry and a kiwi that are similarly sized. Perform the experiment
in at least triplicate for each fruit.
1. Prepare a bottle of DNA extraction buffer from 900 mL water, 50 mL dish detergent, and two teaspoons of table
salt. Mix by inversion (cap it and turn it upside down a few times).
2. Grind a strawberry and a kiwifruit by hand in a plastic bag, or by using a mortar and pestle, or in a metal bowl
and using the end of a blunt instrument. Grind for at least two minutes per fruit.
3. Add 10 mL of the DNA extraction buffer to each fruit, and mix well for at least one minute.
4. Remove cellular debris by filtering each fruit mixture through cheesecloth or porous cloth and into a funnel placed
in a test tube or other appropriate container.
5. Pour ice-cold ethanol or isopropanol (rubbing alcohol) into the test tube. You should observe white, precipitated
DNA.
6. Gather the DNA from each fruit by winding it around separate glass rods.
Record your observations—Because you are not quantitatively measuring DNA volume, for each trial you can record
whether the two fruits produced the same or different amounts of DNA as observed by your eye. If one or the other
fruit produced noticeably more DNA, record this as well. Determine whether your observations are consistent with
several pieces of each fruit.
Analyze your data—Did you notice an obvious difference in the amount of DNA produced by each fruit? Were your
results reproducible?
Draw a conclusion—Given what you know about the number of chromosomes in each fruit, can you conclude that
chromosome number necessarily correlates to DNA amount? Can you identify any drawbacks to this procedure? If you
had access to a laboratory, how could you standardize your comparison and make it more quantitative?
Section Summary
The genetic code refers to the DNA alphabet (A, T, C, G), the RNA alphabet (A, U, C, G), and the polypeptide alphabet
(20 amino acids). The central dogma describes the flow of genetic information in the cell, from genes to mRNA to proteins.
Genes are used to make mRNA by the process of transcription; mRNA is used to synthesize proteins by the process of
translation. The genetic code is degenerate because 64 triplet codons in mRNA specify only 20 amino acids and three
nonsense codons. Almost every species on Earth use the same genetic code.
646 Chapter 15 | Genes and Proteins
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student is able to evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases RNA, is the
Objective
primary source of heritable information.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.23]
• [APLO 3.28]
• [APLO 4.8]
• [APLO 4.24]
The prokaryotes, which include bacteria and archaea, are mostly single-celled organisms that, by definition, lack membrane-
bound nuclei and other organelles. A bacterial chromosome is a covalently closed circle that, unlike eukaryotic
chromosomes, is not organized around histone proteins. The central region of the cell in which prokaryotic DNA resides is
called the nucleoid. In addition, prokaryotes often have abundant plasmids, which are shorter circular DNA molecules that
may only contain one or a few genes. Plasmids can be transferred independently of the bacterial chromosome during cell
division and often carry traits such as antibiotic resistance.
Transcription in prokaryotes (and in eukaryotes) requires the DNA double helix to partially unwind in the region of mRNA
synthesis. The region of unwinding is called a transcription bubble. Transcription always proceeds from the same DNA
strand for each gene, which is called the template strand. The mRNA product is complementary to the template strand and
is almost identical to the other DNA strand, called the non-template strand. The only difference is that in mRNA, all of
Chapter 15 | Genes and Proteins 647
the T nucleotides are replaced with U nucleotides. In an RNA double helix, A can bind U via two hydrogen bonds, just as
in the A–T pairing in a DNA double helix.
The nucleotide pair in the DNA double helix that corresponds to the site from which the first 5′ mRNA nucleotide is
transcribed is called the +1 site, or the initiation site. Nucleotides preceding the initiation site are given negative numbers
and are designated upstream. Conversely, nucleotides following the initiation site are denoted with “+” numbering and are
called downstream nucleotides.
Figure 15.7 The σ-factor of prokaryotic RNA polymerase recognizes consensus sequences found in the promoter
region upstream of the transcription start sight. The σ-subunit dissociates from the polymerase after transcription has
been initiated.
648 Chapter 15 | Genes and Proteins
Play this MolecularMovies animation (http://openstaxcollege.org/l/transcription) to learn about the first part of
transcription and the base sequence repetition of the TATA box.
Mutations can occur in any part of the DNA. What can happen if there is a mutation in the promoter sequence?
Figure 15.8 During elongation, the prokaryotic RNA polymerase tracks along the DNA template, synthesizes mRNA in
the 5′-to-3′ direction, and unwinds and rewinds the DNA as it is read.
Upon termination, the process of transcription is complete. By the time termination occurs, the prokaryotic transcript would
already have been used to begin synthesis of numerous copies of the encoded protein, because these processes can occur
concurrently. The unification of transcription, translation, and even mRNA degradation is possible because all of these
processes occur in the same 5′-to-3′ direction and there is no membranous compartmentalization in the prokaryotic cell
(Figure 15.9). In contrast, the presence of a nucleus in eukaryotic cells precludes simultaneous transcription and translation.
Figure 15.9 Multiple polymerases can transcribe a single bacterial gene while numerous ribosomes concurrently
translate the mRNA transcripts into polypeptides. In this way, a specific protein can rapidly reach a high concentration
in the bacterial cell.
a. The stop codon is the first step in a series of steps to end translation.
c. The stop codon ends translation, which allows the polypeptide strand to be released.
Activity
Working in small groups, use a model of DNA to demonstrate synthesis transcription of mRNA to other
groups in your class. In your demonstration, be sure to distinguish the differences between DNA and RNA,
the template and non-template strands of the DNA, the directionality of transcription, and the significance of
promoters.
Think About It
If mRNA is complementary to the DNA template strand, and the DNA template strand is complementary to the DNA
non-template strand, are the base sequences of mRNA and the DNA non-template strand ever identical? Justify your
answer.
650 Chapter 15 | Genes and Proteins
Section Summary
In prokaryotes, mRNA synthesis is initiated at a promoter sequence on the DNA template comprising two consensus
sequences that recruit RNA polymerase. The prokaryotic polymerase consists of a core enzyme of four protein subunits and
a σ protein that only assists with initiation. Elongation synthesizes mRNA in the 5′-to-3′ direction at a rate of 40 nucleotides
per second. Termination liberates the mRNA and occurs either by rho protein interaction or by the formation of an mRNA
hairpin.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases RNA, are
Objective
the primary source of heritable information.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.3]
• [APLO 3.22]
• [APLO 2.36]
• [APLO 1.14]
• [APLO 2.22]
• [APLO 4.5]
Chapter 15 | Genes and Proteins 651
Prokaryotes and eukaryotes perform fundamentally the same process of transcription, with a few key differences. The most
important difference between prokaryotes and eukaryotes is the latter’s membrane-bound nucleus and organelles. With the
genes bound in a nucleus, the eukaryotic cell must be able to transport its mRNA to the cytoplasm and must protect its
mRNA from degrading before it is translated. Eukaryotes also employ three different polymerases that each transcribe a
different subset of genes. Eukaryotic mRNAs are usually monogenic, meaning that they specify a single protein.
Table 15.1 Locations, Products, and Sensitivities of the Three Eukaryotic RNA Polymerases
RNA polymerase II is located in the nucleus and synthesizes all protein-coding nuclear pre-mRNAs. Eukaryotic pre-
mRNAs undergo extensive processing after transcription but before translation. For clarity, this module’s discussion of
transcription and translation in eukaryotes will use the term mRNAs to describe only the mature, processed molecules that
are ready to be translated. RNA polymerase II is responsible for transcribing the overwhelming majority of eukaryotic
genes.
RNA polymerase III is also located in the nucleus. This polymerase transcribes a variety of structural RNAs that includes the
5S pre-rRNA, transfer pre-RNAs (pre-tRNAs), and small nuclear pre- RNAs. The tRNAs have a critical role in translation;
they serve as the adaptor molecules between the mRNA template and the growing polypeptide chain. Small nuclear RNAs
have a variety of functions, including splicing pre-mRNAs and regulating transcription factors.
A scientist characterizing a new gene can determine which polymerase transcribes it by testing whether the gene is
expressed in the presence of a particular mushroom poison, α-amanitin (see Table 15.1). Interestingly, α-amanitin produced
by Amanita phalloides, the death cap mushroom, affects the three polymerases very differently. RNA polymerase I is
completely insensitive to α-amanitin, meaning that the polymerase can transcribe DNA in vitro in the presence of this
poison. In contrast, RNA polymerase II is extremely sensitive to α-amanitin, and RNA polymerase III is moderately
sensitive. Knowing the transcribing polymerase can clue a researcher into the general function of the gene being studied.
Because RNA polymerase II transcribes the vast majority of genes, we will focus on this polymerase in our subsequent
discussions about eukaryotic transcription factors and promoters.
Structure of an RNA Polymerase II Promoter
Eukaryotic promoters are much larger and more complex than prokaryotic promoters, but both have a TATA box. For
example, in the mouse thymidine kinase gene, the TATA box is located at approximately -30 relative to the initiation (+1)
site (Figure 15.10). For this gene, the exact TATA box sequence is TATAAAA, as read in the 5′-to-3′ direction on the
non-template strand. This sequence is not identical to the E. coli TATA box, but it conserves the A–T-rich element. The
652 Chapter 15 | Genes and Proteins
thermostability of A–T bonds is low, and this helps the DNA template to locally unwind in preparation for transcription.
Figure 15.10 A generalized promoter of a gene transcribed by RNA polymerase II is shown. Transcription factors
recognize the promoter. RNA polymerase II then binds and forms the transcription initiation complex.
Figure 15.11 Eukaryotic mRNA contains introns that must be spliced out. A 5′ cap and 3′ poly-A tail are also
added.
A scientist splices a eukaryotic promoter in front of a bacterial gene and inserts the gene in a bacterial chromosome.
Would you expect the bacterium to transcribe the gene?
a. Initially, the bacterium will not transcribe it but will transcribe after 5’′ capping.
b. It will not transcribe it because there is no poly-A tail in prokaryotes.
c. No, prokaryotes use different promoters than eukaryotes.
d. Yes, the bacterium would transcribe the eukaryotic gene.
Chapter 15 | Genes and Proteins 653
The mouse genome includes one gene and two pseudogenes for cytoplasmic thymidine kinase. Pseudogenes are genes that
have lost their protein-coding ability or are no longer expressed by the cell. These pseudogenes are copied from mRNA and
incorporated into the chromosome. For example, the mouse thymidine kinase promoter also has a conserved CAAT box
(GGCCAATCT) at approximately -80. This sequence is essential and is involved in binding transcription factors. Further
upstream of the TATA box, eukaryotic promoters may also contain one or more GC-rich boxes (GGCG) or octamer boxes
(ATTTGCAT). These elements bind cellular factors that increase the efficiency of transcription initiation and are often
identified in more active genes that are constantly being expressed by the cell.
Transcription Factors for RNA Polymerase II
The complexity of eukaryotic transcription does not end with the polymerases and promoters. An army of basal transcription
factors, enhancers, and silencers also help to regulate the frequency with which pre-mRNA is synthesized from a gene.
Enhancers and silencers affect the efficiency of transcription but are not necessary for transcription to proceed. Basal
transcription factors are crucial in the formation of a preinitiation complex on the DNA template that subsequently recruits
RNA polymerase II for transcription initiation.
The names of the basal transcription factors begin with TFII (this is the transcription factor for RNA polymerase II) and are
specified with the letters A–J. The transcription factors systematically fall into place on the DNA template, with each one
further stabilizing the preinitiation complex and contributing to the recruitment of RNA polymerase II.
The processes of bringing RNA polymerases I and III to the DNA template involve slightly less complex collections of
transcription factors, but the general process is the same. Eukaryotic transcription is a tightly regulated process that requires
a variety of proteins to interact with each other and with the DNA strand. Although the process of transcription in eukaryotes
involves a greater metabolic investment than in prokaryotes, it ensures that the cell precisely transcribes the pre-mRNAs
that it needs for protein synthesis.
654 Chapter 15 | Genes and Proteins
During human embryonic development, a transcription factor encoded by the SRY gene starts a chain of
events, causing the embryo to develop male sex characteristics. This gene is on the Y chromosome in
humans and many other mammals. A deletion or mutation of the SRY gene can cause the human embryo
to not develop into a male, even though the individual has an XY genotype, a condition called Swyer
syndrome.
Figure 15.12 The SRY gene of the Y chromosome produces proteins that lead to the expression of primary sex
characteristics, as shown.
The protein product of the SRY gene is a DNA-binding protein. Together with a protein called SF1, the SRY protein
acts as a transcription factor that turns on certain genes. Which of the following statements best describes how a change
in these two proteins would affect male sexual development?
a. A mutation that abolished activity of SF1 would increase the effect of an SRY mutation, making the person
more feminine.
b. A mutation that abolished activity of SF1 would cancel out a mutation in SRY, so if both mutations occur
together, male sex characteristics would develop normally.
c. A mutation in the SRY protein that abolished activity would result in abnormal development of male sex
characteristics but a mutation of SF1 would not.
d. Both a mutation in the SRY protein and a mutation in SF1 that abolished activity would result in a lack of
development of male sex characteristics.
Chapter 15 | Genes and Proteins 655
recognized by a termination protein. The process of termination in RNA polymerase III involves an mRNA hairpin similar
to the rho-independent termination of transcription in prokaryotes.
Section Summary
Transcription in eukaryotes involves one of three types of polymerases, depending on the gene being transcribed. RNA
polymerase II transcribes all of the protein-coding genes, whereas RNA polymerase I transcribes rRNA genes, and RNA
polymerase III transcribes rRNA, tRNA, and small nuclear RNA genes. The initiation of transcription in eukaryotes
involves the binding of several transcription factors to complex promoter sequences that are usually located upstream of
the gene being copied. The mRNA is synthesized in the 5′-to-3′ direction, and the FACT complex moves and reassembles
nucleosomes as the polymerase passes by. Whereas RNA polymerases I and III terminate transcription by protein- or RNA-
hairpin-dependent methods, RNA polymerase II transcribes for 1,000 or more nucleotides beyond the gene template, and
cleaves the excess during pre-mRNA processing.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases RNA, are
Objective
the primary source of heritable information.
After transcription, eukaryotic pre-mRNAs must undergo several processing steps before they can be translated. Eukaryotic
(and prokaryotic) tRNAs and rRNAs also undergo processing before they can function as components in the protein
synthesis machinery.
Chapter 15 | Genes and Proteins 657
mRNA Processing
The eukaryotic pre-mRNA undergoes extensive processing before it is ready to be translated. The additional steps involved
in eukaryotic mRNA maturation create a molecule with a much longer half-life than a prokaryotic mRNA. Eukaryotic
mRNAs last for several hours, whereas the typical E. coli mRNA lasts no more than five seconds.
Pre-mRNAs are first coated in RNA-stabilizing proteins; these protect the pre-mRNA from degradation while it is processed
and exported out of the nucleus. The two most important steps of pre-mRNA processing are the addition of stabilizing and
signaling factors at the 5′ and 3′ ends of the molecule, and the removal of intervening sequences that do not specify the
appropriate amino acids. In rare cases, the mRNA transcript can be edited after it is transcribed.
658 Chapter 15 | Genes and Proteins
Figure 15.13 Trypanosoma brucei is the causative agent of sleeping sickness in humans. The mRNAs of this
pathogen must be modified by the addition of nucleotides before protein synthesis can occur. (credit: modification
of work by Torsten Ochsenreiter)
Other genes in the mitochondrial genome encode 40- to 80-nucleotide guide RNAs. One or more of these
molecules interact by complementary base pairing with some of the nucleotides in the pre-mRNA transcript.
However, the guide RNA has more A nucleotides than the pre-mRNA has U nucleotides to bind with. In
these regions, the guide RNA loops out. The 3′ ends of guide RNAs have a long poly-U tail, and these U
bases are inserted in regions of the pre-mRNA transcript at which the guide RNAs are looped. This process
is entirely mediated by RNA molecules; that is, guide RNAs—rather than proteins—serve as the catalysts
in RNA editing.
RNA editing is not just a phenomenon of trypanosomes. In the mitochondria of some plants, almost all
pre-mRNAs are edited. RNA editing has also been identified in mammals such as rats, rabbits, and even
humans. What could be the evolutionary reason for this additional step in pre-mRNA processing? One
possibility is that the mitochondria, being remnants of ancient prokaryotes, have an equally ancient RNA-
based method for regulating gene expression. In support of this hypothesis, edits made to pre-mRNAs differ,
depending on cellular conditions. Although speculative, the process of RNA editing may be a holdover from
a primordial time when RNA molecules, instead of proteins, were responsible for catalyzing reactions.
In eukaryotes, pre-mRNAs are processed to form mature mRNAs. How does the mRNA editing that occurs in
Trypanosoma brucei differ from mRNA processing that occurs in all eukaryotes?
a. mRNA editing changes the coding sequence of the mRNA, but mRNA processing does not.
b. mRNA editing splices out noncoding RNA, but mRNA processing does not.
c. mRNA editing adds a cap of 5′-methylguanosine to the mRNA, but mRNA processing does not.
d. mRNA editing adds a 3′ poly-A tail, but mRNA processing does not.
Chapter 15 | Genes and Proteins 659
5′ Capping
While the pre-mRNA is still being synthesized, a 7-methylguanosine cap is added to the 5′ end of the growing transcript
by a phosphate linkage. This moiety (functional group) protects the nascent mRNA from degradation. In addition, factors
involved in protein synthesis recognize the cap to help initiate translation by ribosomes.
3′ Poly-A Tail
Once elongation is complete, the pre-mRNA is cleaved by an endonuclease between an AAUAAA consensus sequence and
a GU-rich sequence, leaving the AAUAAA sequence on the pre-mRNA. An enzyme called poly-A polymerase then adds
a string of approximately 200 A residues, called the poly-A tail. This modification further protects the pre-mRNA from
degradation and signals the export of the cellular factors that the transcript needs to the cytoplasm.
Pre-mRNA Splicing
Eukaryotic genes are composed of exons, which correspond to protein-coding sequences (ex-on signifies that they are
expressed), and (int)ervening sequences called introns (int-ron denotes their intervening role), which may be involved
in gene regulation but are removed from the pre-mRNA during processing. Intron sequences in mRNA do not encode
functional proteins.
The discovery of introns came as a surprise to researchers in the 1970s, who expected that pre-mRNAs would specify
protein sequences without further processing, as they had observed in prokaryotes. The genes of higher eukaryotes
very often contain one or more introns. These regions may correspond to regulatory sequences; however, the biological
significance of having many introns or having very long introns in a gene is unclear. It is possible that introns slow
down gene expression because it takes longer to transcribe pre-mRNAs with many introns. Alternatively, introns may be
nonfunctional sequence remnants left over from the fusion of ancient genes throughout evolution. This is supported by the
fact that separate exons often encode separate protein subunits or domains. For the most part, the sequences of introns can
be mutated without ultimately affecting the protein product.
All of a pre-mRNA’s introns must be completely and precisely removed before protein synthesis. If the process errs by even
a single nucleotide, the reading frame of the rejoined exons would shift, and the resulting protein would be dysfunctional.
The process of removing introns and reconnecting exons is called splicing (Figure 15.14). Introns are removed and
degraded, while the pre-mRNA is still in the nucleus. Splicing occurs by a sequence-specific mechanism that ensures that
introns will be removed and exons rejoined with the accuracy and precision of a single nucleotide. The splicing of pre-
mRNAs is conducted by complexes of proteins and RNA molecules called spliceosomes.
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Figure 15.14 Pre-mRNA splicing involves the precise removal of introns from the primary RNA transcript. The
splicing process is catalyzed by protein complexes called spliceosomes that are composed of proteins, and RNA
molecules called snRNAs. Spliceosomes recognize sequences at the 5′ ands 3′ ends of the intron.
Errors in splicing are implicated in cancers and other human diseases. What kinds of mutations might lead to splicing
errors? Think of different possible outcomes if splicing errors occur.
a. Mutations in the spliceosome recognition sequence at each end of an intron, or in the proteins and RNAs that
make up the spliceosome, may occur. Mutations may also add new spliceosome recognition sites.
b. Mutations in the spliceosome recognition sequence at each end of an exon, or in the proteins and RNAs that
make up the spliceosome, may occur. Mutations may also add new spliceosome recognition sites.
c. Mutations in the spliceosome recognition sequence at each end of an intron, or in the proteins and RNAs that
make up the spliceosome, may occur. Mutations may also delete existing spliceosome recognition sites.
d. Mutations at the each end of intron and exon, or in the proteins and RNAs that make up the spliceosome,
may occur. Mutations may also add new spliceosome recognition sites and delete existing sites.
Note that more than 70 individual introns can be present, and each has to undergo the process of splicing—in addition to 5′
capping and the addition of a poly-A tail—just to generate a single, translatable mRNA molecule.
Chapter 15 | Genes and Proteins 661
Learn how introns are removed during RNA splicing at the DNA Learning Center (http://openstaxcollege.org/l/
RNA_splicing) .
Explain why helper proteins are necessary for the formation of the final protein during RNA splicing in higher organisms.
a. Helper proteins attach themselves to the ends of introns so that they can be spliced out during RNA splicing,
and coded areas are spliced together to form mRNA, which then codes for the final protein.
b. Helper proteins attach themselves to the ends of exons so that they can be spliced out during RNA splicing,
and coded areas are spliced together to form mRNA, which encodes the final protein.
c. Helper proteins attach themselves to mRNA in order to remove the non-coded areas and thus form the pre-
mRNA, which codes for the final protein.
d. Helper proteins help the pre-mRNA to recruit various other components, which splice out the non-coded
regions and form mRNA that codes for the final protein.
Figure 15.15 This is a space-filling model of a tRNA molecule that adds the amino acid phenylalanine to a growing
polypeptide chain. The anticodon AAG binds the codon UUC on the mRNA. The amino acid phenylalanine is attached
to the other end of the tRNA.
Section Summary
Eukaryotic pre-mRNAs are modified with a 5′-methylguanosine cap and a poly-A tail. These structures protect the mature
mRNA from degradation and help export it from the nucleus. Pre-mRNAs also undergo splicing, in which introns are
removed and exons are reconnected with single-nucleotide accuracy. Only finished mRNAs that have undergone 5′ capping,
3′ polyadenylation, and intron splicing are exported from the nucleus to the cytoplasm. Pre-rRNAs and pre-tRNAs may be
processed by intramolecular cleavage, splicing, methylation, and chemical conversion of nucleotides. Rarely, RNA editing
is also performed to insert missing bases after an mRNA has been synthesized.
mRNA. Sequential amino acids are linked by peptide bonds. The mRNA is translated, elongating the polypeptide until a
STOP or nonsense codon is reached. When this happens, a release factor dissociates the components and frees the new
polypeptide. Folding of the protein occurs during and after translation. Once a polypeptide is synthesized, its role as a
protein is established, such as determining a physical phenotype of an organism.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 of the AP®
Biology Curriculum Framework. The Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® Exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Heritable information provides for continuity of life.
Understanding 3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
3.4 The student is able to describe representations and models illustrating how genetic
Learning Objective
information is translated into polypeptides.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
6.4 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models.
3.6 The student can predict how a change in a specific DNA or RNA sequence can
Learning Objective
result in changes in gene expression.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.16]
• [APLO 4.22]
• [APLO 3.6]
The synthesis of proteins consumes more of a cell’s energy than any other metabolic process. In turn, proteins account
for more mass than any other component of living organisms (with the exception of water), and proteins perform virtually
every function of a cell. The process of translation, or protein synthesis, involves the decoding of an mRNA message into
a polypeptide product. Amino acids are covalently strung together by interlinking peptide bonds in lengths ranging from
approximately 50 amino-acid residues to more than 1,000. Each individual amino acid has an amino group (NH2) and a
carboxyl (COOH) group. Polypeptides are formed when the amino group of one amino acid forms an amide (i.e., peptide)
bond with the carboxyl group of another amino acid (Figure 15.16). This reaction is catalyzed by ribosomes and generates
one water molecule.
664 Chapter 15 | Genes and Proteins
Figure 15.16 A peptide bond links the carboxyl end of one amino acid with the amino end of another, expelling one
water molecule. For simplicity in this image, only the functional groups involved in the peptide bond are shown. The R
and R′ designations refer to the rest of each amino acid structure.
Click through the steps of this PBS Interactive (http://openstaxcollege.org/l/prokary_protein) for protein synthesis in
action.
A lack of protein in the diet can cause hair loss. Explain why this occurs.
a. Due to lack of protein in the diet, our body will not be able to form other proteins; thus, it will conserve the
protein it has for critical use, leading to hair loss.
b. Lack of protein in the diet can weaken the immune system, thus leading to hair loss.
c. Due to lack of protein in the diet, energy will be lost, thus leading to hair loss.
d. Lack of protein in the diet will lead to breakage of disulfide bonds between proteins, thus leading to hair loss.
Ribosomes
Even before an mRNA is translated, a cell must invest energy to build each of its ribosomes. In E. coli, there are between
10,000 and 70,000 ribosomes present in each cell at any given time. A ribosome is a complex macromolecule composed of
structural and catalytic rRNAs, and many distinct polypeptides. In eukaryotes, the nucleolus is completely specialized for
the synthesis and assembly of rRNAs.
Ribosomes exist in the cytoplasm in prokaryotes and in the cytoplasm and rough endoplasmic reticulum in eukaryotes.
Mitochondria and chloroplasts also have their own ribosomes in the matrix and stroma, which look more similar to
prokaryotic ribosomes (and have similar drug sensitivities) than the ribosomes just outside their outer membranes in the
cytoplasm. Ribosomes dissociate into large and small subunits when they are not synthesizing proteins, and reassociate
during the initiation of translation. In E. coli, the small subunit is described as 30S, and the large subunit is 50S, for a total of
70S (recall that Svedberg units are not additive). Mammalian ribosomes have a small 40S subunit and a large 60S subunit,
Chapter 15 | Genes and Proteins 665
for a total of 80S. The small subunit is responsible for binding the mRNA template, whereas the large subunit sequentially
binds tRNAs. Each mRNA molecule is simultaneously translated by many ribosomes, all synthesizing protein in the same
direction: reading the mRNA from 5′ to 3′ and synthesizing the polypeptide from the N terminus to the C terminus. The
complete mRNA/polyribosome structure is called a polysome.
tRNAs
The tRNAs are structural RNA molecules that were transcribed from genes by RNA polymerase III. Depending on the
species, 40 to 60 types of tRNAs exist in the cytoplasm. Serving as adaptors, specific tRNAs bind to sequences on the
mRNA template and add the corresponding amino acid to the polypeptide chain. Therefore, tRNAs are the molecules that
actually translate the language of RNA into the language of proteins.
Of the 64 possible mRNA codons—or triplet combinations of A, U, G, and C—three specify the termination of protein
synthesis and 61 specify the addition of amino acids to the polypeptide chain. Of these 61, one codon (AUG) also encodes
the initiation of translation. Each tRNA anticodon can base pair with one of the mRNA codons and add an amino acid or
terminate translation, according to the genetic code. For instance, if the sequence CUA occurred on an mRNA template in
the proper reading frame, it would bind a tRNA expressing the complementary sequence GAU, which would be linked to
the amino acid leucine.
As the adaptor molecules of translation, it is surprising that tRNAs can fit so much specificity into such a small package.
Consider that tRNAs need to interact with three factors: (1) they must be recognized by the correct aminoacyl synthetase
(see below); (2) they must be recognized by ribosomes; and (3) they must bind to the correct sequence in mRNA.
Aminoacyl tRNA Synthetases
The process of pre-tRNA synthesis by RNA polymerase III only creates the RNA portion of the adaptor molecule. The
corresponding amino acid must be added later, once the tRNA is processed and exported to the cytoplasm. Through the
process of tRNA charging, each tRNA molecule is linked to its correct amino acid by a group of enzymes called aminoacyl
tRNA synthetases. At least one type of aminoacyl tRNA synthetase exists for each of the 20 amino acids; the exact number
of aminoacyl tRNA synthetases varies by species. These enzymes first bind and hydrolyze ATP to catalyze a high-energy
bond between an amino acid and adenosine monophosphate (AMP); a pyrophosphate molecule is expelled in this reaction.
The activated amino acid is then transferred to the tRNA, and AMP is released.
called fMet, and can also bind IF-2. Formylated methionine is inserted by fMet − tRNA Met
f at the beginning of every
polypeptide chain synthesized by E. coli, but it is usually clipped off after translation is complete. When an in-frame AUG
is encountered during translation elongation, a non-formylated methionine is inserted by a regular Met-tRNA Met.
In E. coli mRNA, a sequence upstream of the first AUG codon, called the Shine-Dalgarno sequence (AGGAGG) interacts
with the rRNA molecules that compose the ribosome. This interaction anchors the 30S ribosomal subunit at the correct
location on the mRNA template. Guanosine triphosphate (GTP), which is a purine nucleotide triphosphate, acts as an energy
source during translation—both at the start of elongation and during the ribosome’s translocation.
In eukaryotes, a similar initiation complex forms, comprising mRNA, the 40S small ribosomal subunit, IFs, and nucleoside
triphosphates (GTP and ATP). The charged initiator tRNA, called Met-tRNAi, does not bind fMet in eukaryotes but is
distinct from other Met-tRNAs in that it can bind IFs.
Instead of depositing at the Shine-Dalgarno sequence, the eukaryotic initiation complex recognizes the 7-methylguanosine
cap at the 5′ end of the mRNA. A cap-binding protein (CBP) and several other IFs assist the movement of the ribosome
to the 5′ cap. Once at the cap, the initiation complex tracks along the mRNA in the 5′-to-3′ direction, searching for the
AUG start codon. Many eukaryotic mRNAs are translated from the first AUG, but this is not always the case. According
to Kozak’s rules, the nucleotides around the AUG indicate whether it is the correct start codon. Kozak’s rules state that the
following consensus sequence must appear around the AUG of vertebrate genes: 5′-gccRccAUGG-3′. The R (for purine)
indicates that a site that can be either A or G, but cannot be C or U. Essentially, the closer the sequence is to this consensus,
666 Chapter 15 | Genes and Proteins
Figure 15.17 Translation begins when an initiator tRNA anticodon recognizes a codon on mRNA. The large
ribosomal subunit joins the small subunit, and a second tRNA is recruited. As the mRNA moves relative to the
ribosome, the polypeptide chain is formed. Entry of a release factor into the A site terminates translation, and the
components dissociate.
Many antibiotics inhibit bacterial protein synthesis. For example, tetracycline blocks the A site on the bacterial
ribosome, and chloramphenicol blocks peptidyl transfer. What specific effect would you expect each of these
antibiotics to have on protein synthesis?
Tetracycline would directly affect
1. tRNA binding to the ribosome,
2. ribosome assembly, and
3. growth of the protein chain.
Chloramphenicol would directly affect
1. tRNA binding to the ribosome,
2. ribosome assembly, and
3. growth of the protein chain.
a. Tetracycline would directly affect tRNA binding to the ribosome. Chloramphenicol would affect
the growth of the protein chain.
b. Tetracycline would directly affect ribosome assembly. Chloramphenicol would affect the growth
of the protein chain.
668 Chapter 15 | Genes and Proteins
Termination of translation occurs when a nonsense codon (UAA, UAG, or UGA) is encountered. Upon aligning with
the A site, these nonsense codons are recognized by release factors in prokaryotes and eukaryotes that instruct peptidyl
transferase to add a water molecule to the carboxyl end of the P-site amino acid. This reaction forces the P-site amino acid
to detach from its tRNA, and the newly made protein is released. The small and large ribosomal subunits dissociate from the
mRNA and from each other; they are recruited almost immediately into another translation initiation complex. After many
ribosomes have completed translation, the mRNA is degraded so that the nucleotides can be reused in another transcription
reaction.
Activity
• Working in a small group, create a simple board game to model the key steps of transcription and
translation, and have classmates spend 10 minutes playing the game.
• Provided with incomplete or incorrect diagrams illustrating transcription and translation in prokaryotes,
have students refine or revise the diagrams and share the edited versions with classmates for critical
review.
Think About It
• Many antibiotics inhibit protein synthesis. For example, tetracycline blocks the A site on the ribosome. What is
the likely effect of tetracycline on protein synthesis?
• Using a chart of codons, transcribe and translate the following DNA sequence (non-template strand): 5′-
ATGGCCGGTTATTAAGCA-3′. How can a single nucleotide change affect the protein produced from this
sequence and its function?
Section Summary
The players in translation include the mRNA template, ribosomes, tRNAs, and various enzymatic factors. The small
ribosomal subunit forms on the mRNA template at either the Shine-Dalgarno sequence (prokaryotes) or the 5′ cap
(eukaryotes). Translation begins at the initiating AUG on the mRNA, specifying methionine. The formation of peptide
bonds occurs between sequential amino acids specified by the mRNA template according to the genetic code. Charged
tRNAs enter the ribosomal A site, and their amino acid bonds with the amino acid at the P site. The entire mRNA is
translated in three-nucleotide steps of the ribosome. When a nonsense codon is encountered, a release factor binds and
dissociates the components, and frees the new protein. Folding of the protein occurs during and after translation.
Chapter 15 | Genes and Proteins 669
KEY TERMS
7-methylguanosine cap modification added to the 5′ end of pre-mRNAs to protect mRNA from degradation and assist
translation
aminoacyl tRNA synthetase enzyme that charges tRNA molecules by catalyzing a bond between the tRNA and a
corresponding amino acid
CAAT box (GGCCAATCT) essential eukaryotic promoter sequence involved in binding transcription factors
central dogma states genes specify the sequence of mRNAs, which, in turn, specify the sequence of proteins
codon three consecutive nucleotides in mRNA that specify the insertion of an amino acid or the release of a polypeptide
chain during translation
colinear in terms of RNA and protein, three units of RNA (nucleotides) specify one unit of protein (amino acid) in a
consecutive fashion
consensus DNA sequence that is used by many species to perform the same or similar functions
core enzyme prokaryotic RNA polymerase consisting of α, α, β, and β′ subunits but missing σ; this complex performs
elongation
degeneracy (of the genetic code) describes that a given amino acid can be encoded by more than one nucleotide triplet;
the code is degenerate, but not ambiguous
downstream nucleotides following the initiation site in the direction of mRNA transcription; in general, sequences that
are toward the 3′ end relative to a site on the mRNA
FACT complex that facilitates chromatin transcription by disassembling nucleosomes ahead of a transcribing RNA
polymerase II and reassembling them after the polymerase passes by
GC-rich box (GGCG) nonessential eukaryotic promoter sequence that binds cellular factors to increase the efficiency of
transcription; may be present several times in a promoter
hairpin structure of RNA when it folds back on itself and forms intramolecular hydrogen bonds between complementary
nucleotides
holoenzyme prokaryotic RNA polymerase consisting of α, α, β, β′, and σ subunits; this complex is responsible for
transcription initiation
initiation site nucleotide from which mRNA synthesis proceeds in the 5′-to-3′ direction; denoted with a +1
initiator tRNA in prokaryotes, it's called tRN A Met ; in eukaryotes, it's called tRNAi; a tRNA that interacts with a start
f
codon, binds directly to the ribosome P site, and links to a special methionine to begin a polypeptide chain
intron nonprotein-coding intervening sequences that are spliced from mRNA during processing
Kozak’s rules determines the correct initiation AUG in a eukaryotic mRNA; the following consensus sequence must
appear around the AUG: 5′-GCC(purine)CCAUGG-3′; the bolded bases are most important
nonsense codon one of the three mRNA codons that specifies the termination of translation
octamer box (ATTTGCAT) a nonessential eukaryotic promoter sequence that binds cellular factors to increase the
efficiency of transcription; may be present several times in a promoter
670 Chapter 15 | Genes and Proteins
peptidyl transferase RNA-based enzyme that is integrated into the 50S ribosomal subunit and catalyzes the formation
of peptide bonds
plasmid extra-chromosomal, covalently closed, circular DNA molecule that may only contain one or a few genes;
common in prokaryotes
poly-A tail modification added to the 3′ end of pre-mRNAs to protect mRNA from degradation and assist mRNA export
from the nucleus
polysome mRNA molecule simultaneously being translated by many ribosomes all going in the same direction
preinitiation complex cluster of transcription factors and other proteins that recruit RNA polymerase II for transcription
of a DNA template
promoter DNA sequence to which RNA polymerase and associated factors bind and initiate transcription
reading frame sequence of triplet codons in mRNA that specify a particular protein; a ribosome shift of one or two
nucleotides in either direction completely abolishes the synthesis of that protein
RNA editing direct alteration of one or more nucleotides in an mRNA that has already been synthesized
Shine-Dalgarno sequence (AGGAGG) initiates prokaryotic translation by interacting with rRNA molecules
comprising the 30S ribosome
signal sequence short tail of amino acids that directs a protein to a specific cellular compartment
small nuclear RNA molecules synthesized by RNA polymerase III that have a variety of functions, including splicing
pre-mRNAs and regulating transcription factors
start codon AUG (or rarely, GUG) on an mRNA from which translation begins; always specifies methionine
TATA box conserved promoter sequence in eukaryotes and prokaryotes that helps to establish the initiation site for
transcription
template strand strand of DNA that specifies the complementary mRNA molecule
transcription bubble region of locally unwound DNA that allows for the transcription of mRNA
upstream nucleotides preceding the initiation site; in general, sequences toward the 5′ end relative to a site on the mRNA
CHAPTER SUMMARY
15.1 The Genetic Code
The genetic code refers to the DNA alphabet (A, T, C, G), the RNA alphabet (A, U, C, G), and the polypeptide alphabet
(20 amino acids). The central dogma describes the flow of genetic information in the cell, from genes to mRNA to
proteins. Genes are used to make mRNA by the process of transcription; mRNA is used to synthesize proteins by the
process of translation. The genetic code is degenerate because 64 triplet codons in mRNA specify only 20 amino acids and
three nonsense codons. Almost every species on Earth use the same genetic code.
In prokaryotes, mRNA synthesis is initiated at a promoter sequence on the DNA template comprising two consensus
sequences that recruit RNA polymerase. The prokaryotic polymerase consists of a core enzyme of four protein subunits
Chapter 15 | Genes and Proteins 671
and a σ protein that only assists with initiation. Elongation synthesizes mRNA in the 5′-to-3′ direction at a rate of 40
nucleotides per second. Termination liberates the mRNA and occurs either by rho protein interaction or by the formation
of an mRNA hairpin.
Transcription in eukaryotes involves one of three types of polymerases, depending on the gene being transcribed. RNA
polymerase II transcribes all of the protein-coding genes, whereas RNA polymerase I transcribes rRNA genes, and RNA
polymerase III transcribes rRNA, tRNA, and small nuclear RNA genes. The initiation of transcription in eukaryotes
involves the binding of several transcription factors to complex promoter sequences that are usually located upstream of
the gene being copied. The mRNA is synthesized in the 5′-to-3′ direction, and the FACT complex moves and reassembles
nucleosomes as the polymerase passes by. Whereas RNA polymerases I and III terminate transcription by protein- or
RNA-hairpin-dependent methods, RNA polymerase II transcribes for 1,000 or more nucleotides beyond the gene template,
and cleaves the excess during pre-mRNA processing.
Eukaryotic pre-mRNAs are modified with a 5′-methylguanosine cap and a poly-A tail. These structures protect the mature
mRNA from degradation and help export it from the nucleus. Pre-mRNAs also undergo splicing, in which introns are
removed and exons are reconnected with single-nucleotide accuracy. Only finished mRNAs that have undergone 5′
capping, 3′ polyadenylation, and intron splicing are exported from the nucleus to the cytoplasm. Pre-rRNAs and pre-
tRNAs may be processed by intramolecular cleavage, splicing, methylation, and chemical conversion of nucleotides.
Rarely, RNA editing is also performed to insert missing bases after an mRNA has been synthesized.
The players in translation include the mRNA template, ribosomes, tRNAs, and various enzymatic factors. The small
ribosomal subunit forms on the mRNA template at either the Shine-Dalgarno sequence (prokaryotes) or the 5′ cap
(eukaryotes). Translation begins at the initiating AUG on the mRNA, specifying methionine. The formation of peptide
bonds occurs between sequential amino acids specified by the mRNA template according to the genetic code. Charged
tRNAs enter the ribosomal A site, and their amino acid bonds with the amino acid at the P site. The entire mRNA is
translated in three-nucleotide steps of the ribosome. When a nonsense codon is encountered, a release factor binds and
dissociates the components, and frees the new protein. Folding of the protein occurs during and after translation.
REVIEW QUESTIONS
1. What is the flow of information for the synthesis of proteins according to the central dogma?
a. DNA to mRNA to protein
b. DNA to mRNA to tRNA to protein
c. DNA to protein to mRNA to protein
d. mRNA to DNA to mRNA to protein
2. The DNA of virus A is inserted into the protein coat of virus B. The combination virus is used to infect E. coli. The
virus particles produced by the infection are analyzed for DNA and protein. What results would you expect?
a. DNA and protein from B
b. DNA and protein from A
c. DNA from A and protein from B
d. DNA from B and protein from A
3. The AUC and AUA codons in mRNA both specify isoleucine. What feature of the genetic code explains this?
a. complementarity
b. degeneracy
c. nonsense codons
d. universality
4. How many nucleotides are in 12 mRNA codons?
672 Chapter 15 | Genes and Proteins
a. 12
b. 24
c. 36
d. 48
5. Which of the following molecules does not contain genetic information?
a. DNA
b. mRNA
c. protein
d. RNA
6. Which molecule in the central dogma can be compared to a disposable photocopy of a book kept on reserve in the
library?
a. DNA
b. mRNA
c. protein
d. tRNA
7. Which subunit of the E. coli polymerase confers specificity to transcription?
a. α
b. β
c. β′
d. σ
8. Why are the −10 and −35 regions of prokaryotic promoters called consensus sequences?
a. They are identical in all bacterial species.
b. They are similar in all bacterial species.
c. They exist in all organisms.
d. They have the same function in all organisms.
9. The sequence that signals the end of transcription is called the ________.
a. promoter.=
b. stop codon.=
c. TATA box.=
d. terminator.=
10. If the ρ protein is missing, will a prokaryotic gene be terminated?
a. elongation
b. initiation
c. processing
d. termination
13. Which polymerase is responsible for the synthesis of 5S rRNA?
a. polymerase I
b. polymerase II
c. polymerase III
d. ribonuclease I
14. What transcripts will be most affected by low levels of α-amanitin?
a. 18S and 28S rRNAs
b. 5S rRNAs and tRNAs
c. other small nuclear RNAs
d. pre-mRNAs
15. Which of the following features distinguishes eukaryotic transcription from bacterial transcription?
a. Eukaryotic transcription does not start at a consensus sequence.
b. Eukaryotic transcription does not require an initiation complex.
c. Eukaryotic transcription and translation do not take place at the same time.
d. Eukaryotic transcription does not require a termination sequence.
16. A poly-A sequence is added at the:
a. 5′ end of a transcript in the nucleus
b. 3′-end of a transcript in the nucleus
c. 5′ end of a transcript in the cytoplasm
d. 3′-end of a transcript in the cytoplasm
17. Which pre-mRNA processing step is important for initiating translation?
a. Adding a poly-A tail
b. RNA editing
c. Splicing
d. Adding the 7-methylguanosine cap
18. Where are the RNA components of ribosomes synthesized?
a. cytoplasm
b. endoplasmic reticulum
c. nucleus
d. nucleolus
19. What processing step enhances the stability of pre-tRNAs and pre-rRNAs?
a. cleavage
b. methylation
c. nucleotide modification
d. splicing
20. What are introns?
674 Chapter 15 | Genes and Proteins
a. No, they cannot be identical because the T nucleotide in DNA is replaced with the U nucleotide in RNA, and
AUG is the start codon.
b. No, they cannot be identical because the T nucleotide in RNA is replaced with the U nucleotide in DNA.
c. They can be identical if methylation of the U nucleotide in RNA occurs, yielding a T nucleotide.
d. They can be identical if demethylation of the U nucleotide in RNA occurs, yielding a T nucleotide.
28. Imagine if there were 200 commonly occurring amino acids instead of 20. Given what you know about the genetic
code, what would be the shortest possible codon length?
a. 4
b. 5
c. 2
d. 3
29. Suppose a gene has the sequence ATGCGGGCTTCAGTATAG. A point mutation changes the gene to read
ATGCGGCCTTCAGTATAG. How would the polypeptide product of this gene change?
30. What part of the central dogma is not always followed in viruses?
a. The flow of information in HIV is from RNA to DNA, then back to RNA to proteins. Influenza viruses never go
through DNA.
b. The flow of information is from protein to RNA in HIV, while the influenza virus converts DNA to RNA.
c. The flow of information is similar, but nucleic acids are synthesized as a result of translation in HIV and
influenza viruses.
d. The flow of information is from RNA to protein. This protein is used to synthesize the DNA of the viruses in
HIV and influenza.
31. Explain the initiation of transcription in prokaryotes. Include all proteins involved.
a. In prokaryotes, the polymerase is composed of five polypeptide subunits, two of which are identical. Four of
these subunits, denoted α, α, β, and β′, comprise the polymerase core enzyme. The fifth subunit, σ, is involved
only in transcription initiation. The polymerase composed of all five subunits is called the holoenzyme.
b. In prokaryotes, the polymerase is composed of four polypeptide subunits, two of which are identical. These
subunits, denoted α, α, β, and β′, comprise the polymerase core enzyme. There is a fifth subunit that is involved
in translation initiation. The polymerase composed of all four subunits is called the holoenzyme.
c. In prokaryotes, the polymerase is composed of five polypeptide subunits, two of which are identical. Four of
these subunits, denoted α, α, β, and β′, comprise the polymerase holoenzyme. The fifth subunit, σ, is involved
only in transcription initiation. The polymerase comprised of all five subunits is called the core enzyme.
d. In prokaryotes, the polymerase is composed of five polypeptide subunits, two of which are identical. Four of
these subunits, denoted α, α, β, and β′, comprise the polymerase core enzyme. The fifth subunit, σ, is involved
only in termination. The polymerase composed of all five subunits is called the holoenzyme.
32. In your own words, describe the difference between ρ-dependent and ρ-independent termination of transcription in
prokaryotes.
a. Rho-dependent termination is controlled by rho protein, and the polymerase stalls near the end of the gene at a
run of G nucleotides on the DNA template. In rho-independent termination, when the polymerase encounters a
region rich in C–G nucleotides, the mRNA folds into a hairpin loop that causes the polymerase to stall.
b. Rho-independent termination is controlled by rho protein, and the polymerase stalls near the end of the gene at a
run of G nucleotides on the DNA template. In rho-dependent termination, when the polymerase encounters a
region rich in C–G nucleotides, the mRNA folds into a hairpin loop that causes the polymerase to stall.
c. Rho-dependent termination is controlled by rho protein, and the polymerase begins near the end of the gene at a
run of G nucleotides on the DNA template. In rho-independent termination, when the polymerase encounters a
region rich in C–G nucleotides, the mRNA creates a hairpin loop that causes the polymerase to stall.
d. Rho-dependent termination is controlled by rho protein, and the polymerase stalls near the end of the gene at a
run of G nucleotides on the DNA template. In rho-independent termination, when the polymerase encounters a
region rich in A–T nucleotides, the mRNA creates a hairpin loop that causes the polymerase to stall.
676 Chapter 15 | Genes and Proteins
33. What is the main structure that differentiates ρ-dependent and ρ-independent termination in prokaryotes?
a. Rho-independent termination involves the formation of a hairpin.
b. Rho-dependent termination involves the formation of a hairpin.
c. Rho-dependent termination stalls when the polymerase begins to transcribe a region rich in A–T nucleotides.
d. Rho-independent termination stalls when the polymerase begins to transcribe a region rich in G nucleotides.
34. Which step in the transcription of eukaryotic RNA differs the most from its prokaryotic counterpart?
a. The initiation step in eukaryotes requires an initiation complex with enhancers and transcription factors. Also,
the separation of the DNA strand is different, as histones are involved.
b. The initiation step in prokaryotes requires an initiation complex with enhancers and transcription factors. Also,
the separation of the DNA strand is different, as histones are involved.
c. The elongation step in eukaryotes requires an initiation complex with enhancers and transcription factors. Also,
the separation of the DNA strand is different, as histones are involved.
d. The initiation step in eukaryotes requires an initiation complex with enhancers and transcription factors. Also,
the separation of the DNA strand is different, as histones are not involved.
35. Would you be able to determine which RNA polymerase you isolated from a eukaryotic cell without analyzing its
products?
a. No, because they have the same α-amanitin sensitivity in all products.
b. No, because quantitative analysis of products is done to determine the type of polymerase.
c. Yes, they can be determined as they differ in α-amanitin sensitivity.
d. Yes, they can be determined by the number of molecules that bind to the DNA.
36. Can you predict how alternative splicing may lead to an economy of genes? Do you need a different gene for every
protein that the cell can produce?
a. Alternative splicing can lead to the synthesis of several polypeptides from a single gene.
b. Alternative splicing can lead to the synthesis of several forms of mRNA from a single gene.
c. Alternative splicing can lead to the synthesis of several forms of codons from a set of genes.
d. Alternative splicing can lead to the synthesis of several forms of ribosomes from a set of genes.
37. What is the major challenge in the production of RNA in eukaryotes compared to prokaryotes?
a. exporting the mRNA across the nuclear membrane
b. importing the mRNA across the nuclear membrane
c. keeping the mRNA inside the nuclear membrane
d. translating the mRNA into proteins within seconds
38. Transcribe and translate the following DNA sequence (non-template strand): 5′-ATGGCCGGTTATTAAGCA-3′.
a. The mRNA would be 5′-AUGGCCGGUUAUUAAGCA-3′ and the protein will be MAGY.
b. The mRNA would be 3′-AUGGCCGGUUAUUAAGCA-5′ and the protein will be MAGY.
c. The mRNA would be 5′-ATGGCCGGTTATTAAGCA-3′ and the protein will be MAGY.
d. The mRNA would be 5′-AUGGCCGGUUAUUAAGCA-3′ and the protein will be MACY.
39. The RNA world hypothesis proposes that the first complex molecule was RNA, and it preceded protein formation.
Which major function of ribosomal RNA supports this hypothesis?
a. rRNA has catalytic properties in the large subunit, and it assembles proteins.
b. rRNA is a protein molecule that helps in the synthesis of other proteins.
c. rRNA is essential for the transcription process.
d. rRNA plays a major role in posttranslational processes.
40. A tRNA is chemically modified so that the bound amino acid is different than the one specified by its anticodon.
Which codon in the mRNA would the tRNA recognize: the one specified by its anticodon or the one that matches the
Chapter 15 | Genes and Proteins 677
47. You sequence a gene of interest and isolate the matching mRNA. You find that the mRNA is considerably shorter than
the DNA sequence. Why is that?
a. There was an experimental mistake. The mRNA should be the same length as the gene.
b. The mRNA should be longer than the DNA sequence because the promoter is also transcribed.
c. The processed mRNA is shorter because introns were removed.
d. The mRNA is shorter because the signal sequence to cross the nuclear membrane was removed.
48. A mutation in the promoter region of the gene for beta-globin can cause beta-thalassemia, a hereditary condition that
causes anemia. Why would mutations in the promoter region lead to low levels of hemoglobin?
a. The globin chains produced are too long to form functional hemoglobin.
b. The globin chains are too short to form functional hemoglobin.
c. Fewer globin chains are synthesized because less mRNA is transcribed.
d. Globin chains do not fold properly and are nonfunctional.
49. You are given three mRNA sequences:
1. 5′-UCG-GCA-AAU-UUA-GUU-3′
2. 5′-UCU-GCA-AAU-UUA-GUU-3′
3. 5′-UCU-GCA-AAU-UAA-GUU-3′
Using the given table, write the peptide encoded by each of the mRNA sequences.
Table 15.2
Table 15.3
likelihood of selecting a U is 1 in 5; iv) the probability of selecting the set AUU is the product; v) similarly, the probability
of AAA is (4/5)3; and vi) the ratio of these probabilities is their relative likelihood]: AUU:AAA, UUA:AAA, and
UAU:AAA; 0.8 × 0.22/0.83 = 1/16; and UUU:AAA; 0.23/0.83 = 1/64.
B. Based on Khorana’s findings, calculate the relative distributions of the following ratios of concentrations of RNA triplet
sequences from mixtures in which the relative concentrations of guanine and cytosine, G:C, are 5:1.
Table 15.4
C. Based on the work of Nirenberg, Matthaei, Leder, and Khorana, the following table was constructed (taken from
Khorana's Nobel Prize address):
Figure 15.18
A solution containing the amino acids shown in the table above and equal concentrations of the two nucleotides C and G is
prepared. Predict the proteins that can be synthesized from this mixture in terms of each possible codon and their relative
concentrations in terms of their amino acid repeat sequences.
D. Describe the effects of the codons UAA, UAG, and UGA on protein synthesis.
52. The yeast life cycle is usually dominated by haploid cells, each with a single set of unpaired chromosomes. The cell
propagates asexually, and the genetic material is replicated through mitosis. Cell division occurs every 2–4 hours, leading
to 60–100 generations in a single day. Yeast also reproduce sexually, particularly under adverse environmental conditions.
When two haploid cells—with DNA containing complementary mating-type alleles—conjugate, a diploid zygote results.
The diploid zygote can then complete the sexual segment of the life cycle through meiosis. After meiosis, four haploid
spores are produced, which can germinate.
Researchers can grow yeast easily on nutrient-containing plates. Because both asexual and sexual reproduction is rapid,
Chapter 15 | Genes and Proteins 681
yeast has become an important organism for the experimental investigation of mutagenesis and evolution among
eukaryotes. Environmental factors, such as chemicals or radiation, induce mutations. High-energy UV-c radiation of less
than 1 minute in duration will result in many mutated yeast cells. UV-c can be used to mutate a strain of yeast in which the
synthesis of adenine is blocked. This mutation is observable because the ade-2 mutant has a red color when cultured on
nutrient-containing plates. Exposure to uv-c also can result in additional mutations. In particular, one mutant, ade-7,
changes the color of the ade-2 mutant to white.
A. You have a uv-c lamp, culture plates, and growth chambers at 23 °C and 37 °C. You also have available known haploid
strains that are (ade-2,+,+), where + denotes the wild type. Design a plan to determine the rate of uv-c-induced mutations
in nutrient-containing plates inoculated with yeast.
Earth's ozone layer removes high-energy ultraviolet radiation, uv-c, from the solar radiation received at the surface.
Lower-energy ultraviolet radiation, uv-b, strikes Earth’s surface. Damage to DNA induced by ultraviolet radiation occurs
with the formation of bonds between an adjacent pair of pyrimidine nucleotides, thymine and cytosine, on the same strand
of DNA. A repair enzyme, photolyase, which is activated by visible light, is present in plants and most animals, but not in
humans. In characterizing the relationship between environmental mutagens and cell damage, a useful assumption is often
made and referred to as the linear hypothesis. This assumption states that the extent of damage is proportional to the
amount of radiation received.
Mutation rates for a strain (preac) that does not produce photolyase and a wild-type (+) strain were studied. Cultures of the
two strains of yeast were diluted, and nutrient-containing plates were inoculated in triplicate at 23 °C. The plates were
exposed to bright sunlight for varying time intervals. After exposure, the plates were incubated in the dark at 23 °C. After
incubation between 1 and 8 hours, data shown in the table below were collected by counting the density of living cells
relative to the control, and averaging these among replicates.
B. Using the data table below, graph the average survival fraction, relative to the wild-type control. Predict the number of
mutations in a sample of 1,000 cells of the preac type that are exposed to bright sunlight for 15 seconds.
Table 15.5
Yeast can also be used to study sexual reproduction, a somewhat puzzling phenomenon. Cloning of cells through mitosis is
molecularly much less complex than meiosis, consumes less energy, and is less risky. Two alternative explanations for the
evolution of sexual reproduction are popular. In one model, through assortment of genes, meiosis leads to an increase in
the frequency of beneficial mutations. In the second model, detrimental mutations are purged from a population through
sex. Studies using yeast (Gray and Goddard, Evol. Biol., 2012 and McDonald et al, Nature 2012) have provided a
mechanism to study these models. As shown below, the fitness (defined as the log of the ratio of the number of cells in
successive generations) of yeast is graphed as a function of number of mitotic reproductions in yeast grown in low-stress
and high-stress environments, and with and without alternating induction of sexual reproduction.
682 Chapter 15 | Genes and Proteins
Figure 15.19
C. Based on these data, evaluate the merits of the alternative theories of the adaptive advantage provided by sexual
reproduction.
53. A. Describe he storage and retrieval of genetic information with the following model. Use the list to fill in the blanks
with the letter corresponding to the correct term.
A. amino acid
B. tRNA
C. DNA
D. transcription
E. mRNA
F. translation
G. protein
H. RNA polymerase
I. rRNA
Within the cytoplasm, __ is synthesized from __ bound to __ in a sequence that corresponds to information provided by
__. This process is called __.
Within the nucleus, information originating in __ is encoded as a sequence of bases in __, which is synthesized by the
enzyme __ that is embedded in the __. This process is called __.
B. During development, cell differentiation occurs, and the expression of genes is permanently switched off. Using the
model summarized above, explain where information flow is most effectively blocked.
C. A chemical message is received by the cell regulating the timing of events controlled by gene expression. Using the
model summarized above, explain where information flow is most effectively managed.
Chapter 15 | Genes and Proteins 683
54. Structure and function in biology result from both the presence of genetic information and the expression of that
information. Some genes are continually expressed, whereas the expression of most genes is regulated, commonly at the
level of transcription. At the initiation of transcription, the TATA-binding protein (TBP) provides access to the DNA strand
to be transcribed. The 5’TATAAA3’ sequence called the TATA box is found in prokaryotes, archaebacteria, and
eukaryotes. Even among eukarya, when the TATA box is not present among eukaryotes, the initiation of transcription
involves TBP. Scientists attribute this common characteristic to the relative thermostability of the A-T interaction.
Hydrogen bonds hold the two strands of the DNA double helix together. This type of bond has the smallest interaction
energy of all intermolecular forces; as temperature increases, these bonds are broken.
A. Explain the advantage, in terms of the energy required, which is provided by an AT-rich region in the sequence where
transcription is initiated.
B. The fact that the TATA box or the associated TBP are common to all domains provides evidence of common ancestry
among all life. Pose a scientific question that would need to be addressed by a valid alternative explanation of this fact.
C. A whole-genome survey of prokaryotes (Zheng and Wu, BMC Bioinformatics, 2010) showed that the relative amounts
of guanine and cytosine in DNA poorly predicted the temperature range conditions that are suitable for an organism.
Refine the question posed in part B, taking this result into account.
55. Only a fraction of DNA encodes proteins. The noncoding portion of a gene is referred to as the intron. The intron
fraction depends upon the gene. Introns are rare in prokaryotic and mitochondrial DNA; in human nuclear DNA, this
fraction is about 95%. The intron is transcribed into mRNA, but this noncoding mRNA is edited out before translation of
the coding portion, or exon, of a gene. The edited exon segments are then spliced together by a spliceosome, a very large
and complex collection of RNAs and proteins.
Although introns do not encode proteins, they have functions. In particular, they amplify expression of the exon, although
the mechanism is unknown. When introns are very long, which is common among mammalian genes with roles in
development, they can significantly extend the time required to complete transcription. Analysis of genes common to
different plant and animal species shows many shared intronic positions and base sequences, although in some organisms,
such as yeast, many introns have been deleted. Because introns do not encode proteins, mutations can remain silent and
accumulate.
A. As described above, introns are ancestral remnants that are replicated because they do not disadvantage the organism.
Consider the claim that introns are “junk DNA.” Evaluate the claim with supporting evidence.
B. Introns may be retained during transcription. Explain how the retention of a transcribed intron between two transcribed
exons within a gene could do the following:
• block expression of one polypeptide sequence
• increase expression of a polypeptide
• alter the polypeptide expressed
REFERENCES
16 | GENE REGULATION
Figure 16.1 The genetic content of each somatic cell in an organism is the same, but not all genes are expressed in
every cell. The control of which genes are expressed dictates whether a cell is (a) an eye cell or (b) a liver cell. It is the
differential gene expression patterns that arise in different cells that give rise to (c) a complete organism.
Chapter Outline
16.1: Regulation of Gene Expression
16.2: Prokaryotic Gene Regulation
16.3: Eukaryotic Epigenetic Gene Regulation
16.4: Eukaryotic Transcriptional Gene Regulation
16.5: Eukaryotic Post-transcriptional Gene Regulation
16.6: Eukaryotic Translational and Post-translational Gene Regulation
16.7: Cancer and Gene Regulation
Introduction
Most people know that regular exercise is important to maintain good health. It promotes cardiovascular health and helps
to prevent obesity. Scientists have now discovered that long-term endurance training also changes how genes are expressed
in muscle tissue. In a recent study, 23 healthy people each exercised one leg for 45 minutes four days a week while resting
the other leg. After three months, muscles from participants’ legs were biopsied, and scientists analyzed the activity level
of over 20,000 genes in the tissue samples.
They found that for each participant the exercised leg had reduced inflammation and improved metabolism compared
with the non-exercised leg. These differences were accompanied by changes in genes associated with metabolism and
inflammation. However, the actual nucleotide sequences of the genes weren’t changed. Instead, some genes were
methylated, which simply means methyl groups were attached to certain nucleotides along the sequence. This, essentially,
turned the genes off or otherwise changed how they were expressed. DNA methylation is an example of epigenetics, which
is a process that alters genes without affecting the nucleotide sequence of the genes. The full research article can be found
here (http://openstaxcollege.org/l/32endurance) .
686 Chapter 16 | Gene Regulation
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Expression of genetic information involves cellular and molecular mechanisms.
3.B
Essential
3.B.1 Gene regulation results in differential gene expression, leading to cell specialization
Knowledge
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.18 The student is able to describe the connection between the regulation of gene
Objective expression and observed differences between different kinds of organisms.
For a cell to function properly, necessary proteins must be synthesized at the proper time. All cells control or regulate the
synthesis of proteins from information encoded in their DNA. The process of turning on a gene to produce RNA and protein
Chapter 16 | Gene Regulation 687
is called gene expression. Whether in a simple unicellular organism or a complex multi-cellular organism, each cell controls
when and how its genes are expressed. For this to occur, there must be a mechanism to control when a gene is expressed to
make RNA and protein, how much of the protein is made, and when it is time to stop making that protein because it is no
longer needed.
The regulation of gene regulation is responsible for phenotypic differences between cells with similar or identical genomes.
For example, skin cells differ from hair cells even though they have the same genome because they are found in the same
person and because different genes are turned on or off in these cells. Similarly, chimpanzees share more than 98 percent
of their genomes with modern humans. However, chimpanzees have more hair over more body parts than humans. This
difference occurs because the genes that are responsible for the formation of hair follicles are turned on in more parts of the
skin during development in chimpanzees than in humans. Even organisms that share 100 percent identity in their genomes
can appear phenotypically different because of differential gene expression. For example, identical twins appear very similar
because they share the same genome. However, people familiar with them can often tell them apart due to slight differences
in birthmarks, wrinkles, or behavior. Many of these traits arise because gene expression is regulated slightly different in two
individuals with otherwise identical genomes.
The regulation of gene regulation is responsible for phenotypic differences between cells with similar or identical genomes.
For example, skin cells differ from hair cells even though they have the same genome because they are found in the same
person and because different genes are turned on or off in these cells. Similarly, chimpanzees share more than 98% of their
genomes with modern humans. However, chimpanzees have more hair over more body parts than humans. This difference
occurs because the genes that are responsible for the formation of hair follicles are turned on in more parts of the skin
during development in chimpanzees than in humans. Even organisms that share 100 percent identity in their genomes can
appear phenotypically different because of differential gene expression. For example, identical twins appear very similar
because they share the same genome. However, people familiar with them can often tell them apart due to slight differences
in birthmarks, wrinkles, or behavior. Many of these traits arise because gene expression is regulated slightly different in two
individuals with otherwise identical genomes.
The regulation of gene expression conserves energy and space. It would require a significant amount of energy for an
organism to express every gene at all times, so it is more energy efficient to turn on the genes only when they are required.
In addition, only expressing a subset of genes in each cell saves space because DNA must be unwound from its tightly
coiled structure to transcribe and translate the DNA. Cells would have to be enormous if every protein were expressed in
every cell all the time.
The control of gene expression is extremely complex. Malfunctions in this process are detrimental to the cell and can lead
to the development of many diseases.
Figure 16.2 Prokaryotic transcription and translation occur simultaneously in the cytoplasm, and regulation occurs at
the transcriptional level. Eukaryotic gene expression is regulated during transcription and RNA processing, which take
place in the nucleus, and during protein translation, which takes place in the cytoplasm. Further regulation may occur
through post-translational modifications of proteins.
The differences in the regulation of gene expression between prokaryotes and eukaryotes are summarized in Table 16.1.
The regulation of gene expression is discussed in detail in subsequent modules.
Table 16.1
Chapter 16 | Gene Regulation 689
Prokaryotic cells can only regulate gene expression by controlling the amount of transcription. As eukaryotic
cells evolved, the complexity of the control of gene expression increased. For example, with the evolution
of eukaryotic cells came compartmentalization of important cellular components and cellular processes. A
nuclear region that contains the DNA was formed. Transcription and translation were physically separated
into two different cellular compartments. It therefore became possible to control gene expression by
regulating transcription in the nucleus, and also by controlling the RNA levels and protein translation present
outside the nucleus.
Some cellular processes arose from the need of the organism to defend itself. Cellular processes such as
gene silencing developed to protect the cell from viral or parasitic infections. If the cell could quickly shut off
gene expression for a short period of time, it would be able to survive an infection when other organisms
could not. Therefore, the organism evolved a new process that helped it survive, and it was able to pass
this new development to offspring.
Cytochrome c oxidase is a highly conserved protein found in bacteria and in the mitochondria of eukaryotes. Based on
your knowledge of evolutionary relationships, which of the following statements would you expect to be true of the
cytochrome c oxidase protein sequence?
a. The bacterial protein will be more similar to the human protein than the yeast protein.
b. The yeast protein will be more similar to the human protein than the bacterial protein.
c. The bacterial protein will be more similar to the yeast protein than the human protein.
d. The bacterial and yeast proteins will share a similar sequence, but the human protein will be unrelated.
Think About It
How does controlling gene expression alter the overall protein level in the cell?
Section Summary
While all somatic cells within an organism contain the same DNA, not all cells within that organism express the same
proteins. Prokaryotic organisms express the entire DNA they encode in every cell, but not necessarily all at the same time.
Proteins are expressed only when they are needed. Eukaryotic organisms express a subset of the DNA that is encoded in
any given cell. In each cell type, the type and amount of protein is regulated by controlling gene expression. To express a
protein, the DNA is first transcribed into RNA, which is then translated into proteins. In prokaryotic cells, these processes
occur almost simultaneously. In eukaryotic cells, transcription occurs in the nucleus and is separate from the translation that
occurs in the cytoplasm. Gene expression in prokaryotes is regulated only at the transcriptional level, whereas in eukaryotic
cells, gene expression is regulated at the epigenetic, transcriptional, post-transcriptional, translational, and post-translational
levels.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Expression of genetic information involves cellular and molecular mechanisms.
Understanding 3.B
Essential 3.B.1 Gene regulation results in differential gene expression, leading to cell
Knowledge specialization
1.4 The student can use representations and models to analyze situations or solve
Science Practice
problems qualitatively and quantitatively
3.21 The student can use representations to describe how gene regulation influences
Learning Objective
cell products and function.
Essential 3.B.2 A variety of intercellular and intracellular signal transmissions mediate gene
Knowledge expression.
1.4 The student can use representations and models to analyze situations or solve
Science Practice
problems qualitatively and quantitatively.
3.23 The student can use representations to describe mechanisms of the regulation of
Learning Objective
gene expression.
The DNA of prokaryotes is organized into a circular chromosome supercoiled in the nucleoid region of the cell cytoplasm.
Proteins that are needed for a specific function, or that are involved in the same biochemical pathway, are encoded together
in blocks called operons. For example, all of the genes needed to use lactose as an energy source are coded next to each
other in the lactose (or lac) operon.
In prokaryotic cells, there are three types of regulatory molecules that can affect the expression of operons: repressors,
activators, and inducers. Repressors are proteins that suppress transcription of a gene in response to an external stimulus,
whereas activators are proteins that increase the transcription of a gene in response to an external stimulus. Finally, inducers
are small molecules that either activate or repress transcription depending on the needs of the cell and the availability of
substrate.
Chapter 16 | Gene Regulation 691
Figure 16.3 The five genes that are needed to synthesize tryptophan in E. coli are located next to each other in the trp
operon. When tryptophan is plentiful, two tryptophan molecules bind the repressor protein at the operator sequence.
This physically blocks the RNA polymerase from transcribing the tryptophan genes. When tryptophan is absent, the
repressor protein does not bind to the operator and the genes are transcribed.
A DNA sequence that codes for proteins is referred to as the coding region. The five coding regions for the tryptophan
biosynthesis enzymes are arranged sequentially on the chromosome in the operon. Just before the coding region is the
transcriptional start site. This is the region of DNA to which RNA polymerase binds to initiate transcription. The promoter
sequence is upstream of the transcriptional start site; each operon has a sequence within or near the promoter to which
proteins (activators or repressors) can bind and regulate transcription.
A DNA sequence called the operator sequence is encoded between the promoter region and the first trp coding gene.
This operator contains the DNA code to which the repressor protein can bind. When tryptophan is present in the cell,
two tryptophan molecules bind to the trp repressor, which changes shape to bind to the trp operator. Binding of the
tryptophan–repressor complex at the operator physically prevents the RNA polymerase from binding, and transcribing the
downstream genes.
When tryptophan is not present in the cell, the repressor by itself does not bind to the operator; therefore, the operon is
active and tryptophan is synthesized. Because the repressor protein actively binds to the operator to keep the genes turned
off, the trp operon is negatively regulated and the proteins that bind to the operator to silence trp expression are negative
regulators.
692 Chapter 16 | Gene Regulation
Watch this video (http://openstaxcollege.org/l/trp_operon) to learn more about the trp operon.
What would happen if bacteria did not have trp R?
Figure 16.4 When glucose levels fall, E. coli may use other sugars for fuel but must transcribe new genes to do so. As
glucose supplies become limited, cAMP levels increase. This cAMP binds to the CAP protein, a positive regulator that
binds to an operator region upstream of the genes required to use other sugar sources.
inducible operon. As mentioned previously, E. coli is able to use other sugars as energy sources when glucose concentrations
are low. To do so, the cAMP-CAP protein complex serves as a positive regulator to induce transcription. One such sugar
source is lactose. The lac operon encodes the genes necessary to acquire and process the lactose from the local environment.
CAP binds to the operator sequence upstream of the promoter that initiates transcription of the lac operon. However, for the
lac operon to be activated, two conditions must be met. First, the level of glucose must be very low or non-existent. Second,
lactose must be present. Only when glucose is absent and lactose is present will the lac operon be transcribed (Figure 16.5).
This makes sense for the cell, because it would be energetically wasteful to create the proteins to process lactose if glucose
was plentiful or lactose was not available.
694 Chapter 16 | Gene Regulation
Figure 16.5 Transcription of the lac operon is carefully regulated so that its expression only occurs when glucose
is limited and lactose is present to serve as an alternative fuel source.
In E. coli, the trp operon is ON by default, while the lac operon is OFF. Why do you think that this is the case?
a. The trp operon is inducible and is positively regulated. Therefore it is ON by default whereas the lac operon
is repressible and is OFF by default.
b. The trp operon synthesizes tryptophan which is essential for the cell and therefore remains ON, whereas the
lac operon synthesizes enzymes for the breakdown of a sugar that is not always available and remains OFF
by default.
c. The trp operon is constitutive and remains ON by default, whereas the lac operon is repressible and therefore
is OFF by default.
d. The lac operon undergoes transcriptional attenuation and therefore is OFF by default, whereas the trp operon
is not regulated by any such mechanism and is ON by default.
If glucose is absent, then CAP can bind to the operator sequence to activate transcription. If lactose is absent, then the
repressor binds to the operator to prevent transcription. If either of these requirements is met, then transcription remains off.
Chapter 16 | Gene Regulation 695
Only when both conditions are satisfied is the lac operon transcribed (Table 16.2).
Table 16.2
Watch an animated tutorial (http://openstaxcollege.org/l/lac_operon) about the workings of lac operon here.
The E. coli bacteria can have several mutations that affect the lac operon system. One mutation inhibits the ability of
RNA polymerase to bind to the lac operon. How would this affect the cell?
Activity
Modeling the Operon. Use construction paper or more elaborate materials, such as Styrofoam noodles,
electrical tape, and Velcro tabs, to create a model of the lac and trp operons that include a regulator,
promoter, operator, and structural genes. Then use the model to show how the presence of substrate, for
example, allolactose or tryptophan, can change the activity of the operons. As an extension of the activity,
use the model to make predictions about the effects of mutations in any of the regions on gene expression.
Think About It
In E. coli, the trp operon is on by default, while the lac operon is off by default. Why do you think this is the case?
Section Summary
The regulation of gene expression in prokaryotic cells occurs at the transcriptional level. There are three ways to control
the transcription of an operon: repressive control, activator control, and inducible control. Repressive control, typified by
the trp operon, uses proteins bound to the operator sequence to physically prevent the binding of RNA polymerase and the
696 Chapter 16 | Gene Regulation
activation of transcription. Therefore, if tryptophan is not needed, the repressor is bound to the operator and transcription
remains off. Activator control, typified by the action of CAP, increases the binding ability of RNA polymerase to the
promoter when CAP is bound. In this case, low levels of glucose result in the binding of cAMP to CAP. CAP then binds
the promoter, which allows RNA polymerase to bind to the promoter better. In the last example—the lac operon—two
conditions must be met to initiate transcription. Glucose must not be present, and lactose must be available for the lac
operon to be transcribed. If glucose is absent, CAP binds to the operator. If lactose is present, the repressor protein does not
bind to its operator. Only when both conditions are met will RNA polymerase bind to the promoter to induce transcription.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Expression of genetic information involves cellular and molecular mechanisms.
3.B
Essential
3.B.1 Gene regulation results in differential gene expression, leading to cell specialization.
Knowledge
Science
7.1 The student can connect phenomena and models across spatial and temporal scales
Practice
Learning 3.19 The student is able to describe the connection between the regulation of gene
Objective expression and observed differences between individuals in a population
The DNA in the nucleus is precisely wound, folded, and compacted into chromosomes so that it will fit into the nucleus. It
is also organized so that specific segments can be accessed as needed by a specific cell type.
The first level of organization, or packing, is the winding of DNA strands around histone proteins. Histones package and
order DNA into structural units called nucleosome complexes, which can control the access of proteins to the DNA regions
(Figure 16.6a). Under the electron microscope, this winding of DNA around histone proteins to form nucleosomes looks
like small beads on a string (Figure 16.6b). These beads (histone proteins) can move along the string (DNA) and change
the structure of the molecule.
Figure 16.6 DNA is folded around histone proteins to create (a) nucleosome complexes. These nucleosomes control
the access of proteins to the underlying DNA. When viewed through an electron microscope (b), the nucleosomes look
like beads on a string. (credit micrograph: modification of work by Chris Woodcock)
If DNA encoding a specific gene is to be transcribed into RNA, the nucleosomes surrounding that region of DNA can slide
down the DNA to open that specific chromosomal region and allow for the transcriptional machinery (RNA polymerase)
to initiate transcription (Figure 16.7). Nucleosomes can move to open the chromosome structure to expose a segment of
DNA, but do so in a very controlled manner.
698 Chapter 16 | Gene Regulation
Figure 16.7 Nucleosomes can slide along DNA. When nucleosomes are spaced closely together (top),
transcription factors cannot bind and gene expression is turned off. When the nucleosomes are spaced far apart
(bottom), the DNA is exposed. Transcription factors can bind, allowing gene expression to occur. Modifications to
the histones and DNA affect nucleosome spacing.
In females, one of the two X chromosomes is inactivated during embryonic development because of epigenetic changes
to the chromatin. What impact do you think these changes would have on nucleosome packing?
a. Methylation of DNA and hypo-acetylation of histones causes the nucleosomes to pack loosely together,
inactivating one of the X chromosomes.
b. Methylation of histones and hyper-acetylation of DNA causes the nucleosomes to pack tightly together,
inactivating one of the X chromosome due to transcriptional repression.
c. Methylation of DNA and hypo-acetylation of histones causes the nucleosomes to pack tightly together,
inactivating one of the X chromosomes.
d. Acetylation of DNA and hyper-methylation of histones causes the nucleosomes to pack tightly together,
inactivating one of the X chromosomes.
How the histone proteins move is dependent on signals found on both the histone proteins and on the DNA. These signals
are tags added to histone proteins and DNA that tell the histones if a chromosomal region should be open or closed Figure
16.8 depicts modifications to histone proteins and DNA. These tags are not permanent, but may be added or removed as
needed. They are chemical modifications (phosphate, methyl, or acetyl groups) that are attached to specific amino acids in
the protein or to the nucleotides of the DNA. The tags do not alter the DNA base sequence, but they do alter how tightly
wound the DNA is around the histone proteins. DNA is a negatively charged molecule; therefore, changes in the charge of
the histone will change how tightly wound the DNA molecule will be. When unmodified, the histone proteins have a large
positive charge; by adding chemical modifications like acetyl groups, the charge becomes less positive.
The DNA molecule itself can also be modified. This occurs within very specific regions called CpG islands. These are
stretches with a high frequency of cytosine and guanine dinucleotide DNA pairs (CG) found in the promoter regions
of genes. When this configuration exists, the cytosine member of the pair can be methylated; that is, a methyl group
is added. This modification changes how the DNA interacts with proteins, including the histone proteins that control
Chapter 16 | Gene Regulation 699
access to the region. Highly methylated (hypermethylated) DNA regions with deacetylated histones are tightly coiled and
transcriptionally inactive.
Figure 16.8 Histone proteins and DNA nucleotides can be modified chemically. Modifications affect nucleosome
spacing and gene expression. (credit: modification of work by NIH)
This type of gene regulation is called epigenetic regulation. Epigenetic means around genetics. The changes that occur
to the histone proteins and DNA do not alter the nucleotide sequence and are not permanent. Instead, these changes are
temporary, although they often persist through multiple rounds of cell division, and alter the chromosomal structure (open
or closed) as needed. A gene can be turned on or off depending upon the location and modifications to the histone proteins
and DNA. If a gene is to be transcribed, the histone proteins and DNA are modified surrounding the chromosomal region
encoding that gene. This opens the chromosomal region to allow access for RNA polymerase and other proteins, called
transcription factors, to bind to the promoter region, located just upstream of the gene, and initiate transcription. If a
gene is to remain turned off, or silenced, the histone proteins and DNA have different modifications that signal a closed
chromosomal configuration. In this closed configuration, the RNA polymerase and transcription factors do not have access
to the DNA and transcription cannot occur (Figure 16.7).
Think About It
In females, one of the two X chromosomes is inactivated during embryonic development because of epigenetic changes
to the chromatin. What impact do you think these changes will have on nucleosome packaging and, consequently, gene
expression?
700 Chapter 16 | Gene Regulation
View this video (http://openstaxcollege.org/l/epigenetic_reg) that describes how epigenetic regulation controls gene
expression.
Explain how the study of epigenetics can lead to improved treatment of cancer.
a. Epigenetics would allow new body parts to be synthesized that could replace those damaged by cancer.
b. Epigenetics could change the genetic code of all cells in the body to prevent them from becoming cancerous.
c. New therapies could be made that changes the genetic code of harmful cancer genes.
d. New therapies could be made that do not require altering the cancer cell’s DNA.
Section Summary
In eukaryotic cells, the first stage of gene expression control occurs at the epigenetic level. Epigenetic mechanisms control
access to the chromosomal region to allow genes to be turned on or off. These mechanisms control how DNA is packed
into the nucleus by regulating how tightly the DNA is wound around histone proteins. The addition or removal of chemical
modifications to histone proteins or DNA signals to the cell to open or close a chromosomal region. Therefore, eukaryotic
cells can control whether a gene is expressed by controlling accessibility to transcription factors and the binding of RNA
polymerase to initiate transcription.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Expression of genetic information involves cellular and molecular mechanisms.
3.B
Chapter 16 | Gene Regulation 701
Essential
3.B.1 Gene regulation results in differential gene expression, leading to cell specialization
Knowledge
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.18 The student is able to describe the connection between the regulation of gene
Objective expression and observed differences between different kinds of organisms
Essential
3.B.1 Gene regulation results in differential gene expression, leading to cell specialization
Knowledge
Science
7.1 The student can connect phenomena and models across spatial and temporal scales
Practice
Learning 3.19 The student is able to describe the connection between the regulation of gene
Objective expression and observed differences between individuals in a population
Essential
3.B.1 Gene regulation results in differential gene expression, leading to cell specialization.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices
Learning 3.20 The student is able to explain how the regulation of gene expression is essential for
Objective the processes and structures that support efficient cell function.
Essential 3.B.1 1 Gene regulation results in differential gene expression, leading to cell
Knowledge specialization.
Science 1.4 The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
Learning 3.21 The student can use representations to describe how gene regulation influences cell
Objective products and function.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standard:
• [APLO 3.18]
Like prokaryotic cells, the transcription of genes in eukaryotes requires the actions of an RNA polymerase to bind to a
sequence upstream of a gene to initiate transcription. However, unlike prokaryotic cells, the eukaryotic RNA polymerase
requires other proteins, or transcription factors, to facilitate transcription initiation. Transcription factors are proteins
that bind to the promoter sequence and other regulatory sequences to control the transcription of the target gene. RNA
polymerase by itself cannot initiate transcription in eukaryotic cells. Transcription factors must bind to the promoter region
first and recruit RNA polymerase to the site for transcription to be established.
These transcriptional programs in eukaryotic organisms are responsible for the development of complex functions and
behaviors. For example, the development of primary sexual characteristics is regulated by the interaction of several key
genes (Figure 16.9). In Drosophila, the slx gene determines the sex. This gene is transcribed when there are two copies
of the X chromosome. When it is expressed, it binds to the RNA transcript of tra and regulates its splicing. When sxl is
present, the female form of tra is expressed which then binds to the transcript of dsx and fru, ultimately producing female
sexual characteristics. In males, tra does not regulate the transcription of dsx and fru, meaning that default splicing occurs
and different dsx and fru proteins are made, resulting in male sexual characteristics.
702 Chapter 16 | Gene Regulation
Figure 16.9 In Drosophila melanogaster, the sex is determined by a series of splicing events in sex determination
genes on a cell-by-cell basis without any involvement of sex hormones which circulate throughout the entire body. The
primary sex-determination gene is Sex lethal (Sxl), which is transcribed only when the X chromosome-to-autosome
ratio equals or exceeds 1. As females have two X chromosomes and males have one, Sxl is transcribed only in females
(see the figure, left part). Sxl is a splicing repressor and binds to its target, the primary RNA of the transformer (tra)
gene, which undergoes differential splicing depending on the presence (female) or absence (male) of Sxl, yielding a
protein-coding tra mRNA only in females. The Tra protein binds to the primary RNAs of doublesex (dsx) and fruitless
(fru). In females, Tra promotes splicing to occur near its binding site, whereas in males it uses an alternative, default
splice site. The dsx primary RNA thus produces female-specific mRNA and male-specific mRNA, both of which encode
functional Dsx proteins, DsxF and DsxM, respectively. The presence (female) and absence (male) of Tra similarly
results in female-type fru mRNA and male-type fru mRNA, but here, only the male-type fru mRNA encodes a functional
protein.
View the process of transcription—the making of RNA from a DNA template—at this site (http://openstaxcollege.org/
l/transcript_RNA) .
Describe the major events that occur during eukaryotic transcription.
a. DNA unwinds, transcription factors bind, the termination complex forms, and DNA polymerase adds
nucleotides to the mRNA.
b. DNA unwinds, transcription factors bind, and RNA polymerase adds nucleotides to the mRNA.
c. The transcription complex forms, transcription factors add nucleotides to the forming mRNA, and the mRNA
disconnects from the DNA.
d. Elongation occurs, followed by the formation of the transcription initiation complex and the disconnection
of the mRNA strand from DNA.
Chapter 16 | Gene Regulation 703
Figure 16.10 An enhancer is a DNA sequence that promotes transcription. Each enhancer is made up of short DNA
sequences called distal control elements. Activators bound to the distal control elements interact with mediator proteins
and transcription factors. Two different genes may have the same promoter but different distal control elements,
enabling differential gene expression.
In addition to the general transcription factors, other transcription factors can bind to the promoter to regulate gene
transcription. These transcription factors bind to the promoters of a specific set of genes. They are not general transcription
factors that bind to every promoter complex, but are recruited to a specific sequence on the promoter of a specific gene.
There are hundreds of transcription factors in a cell that each bind specifically to a particular DNA sequence motif. When
transcription factors bind to the promoter just upstream of the encoded gene, it is referred to as a cis-acting element, because
it is on the same chromosome just next to the gene. The region that a particular transcription factor binds to is called the
transcription factor-binding site. Transcription factors respond to environmental stimuli that cause the proteins to find
their binding sites and initiate transcription of the gene that is needed.
are not necessarily close to the genes they enhance. They can be located upstream of a gene, within the coding region of the
gene, downstream of a gene, or may be thousands of nucleotides away.
Enhancer regions are binding sequences, or sites, for transcription factors. When a DNA-bending protein binds, the shape
of the DNA changes (Figure 16.10). This shape change allows for the interaction of the activators bound to the enhancers
with the transcription factors bound to the promoter region and the RNA polymerase. Whereas DNA is generally depicted
as a straight line in two dimensions, it is actually a three-dimensional object. Therefore, a nucleotide sequence thousands of
nucleotides away can fold over and interact with a specific promoter.
Think About It
How can cells in a multicellular eukaryotic organism be of different types given that they all share the same genome?
Section Summary
To start transcription, general transcription factors, such as TFIID, TFIIH, and others, must first bind to the TATA box and
recruit RNA polymerase to that location. The binding of additional regulatory transcription factors to cis-acting elements
will either increase or prevent transcription. In addition to promoter sequences, enhancer regions help augment transcription.
Enhancers can be upstream, downstream, within a gene itself, or on other chromosomes. Transcription factors bind to
enhancer regions to increase or prevent transcription.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases, RNA are
Objective
the primary source of heritable information.
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.6 The student can predict how a change in a specific DNA or RNA sequence can result in
Objective changes in gene expression.
RNA is transcribed, but must be processed into a mature form before translation can begin. This processing after an RNA
molecule has been transcribed, but before it is translated into a protein, is called post-transcriptional modification. As with
the epigenetic and transcriptional stages of processing, this post-transcriptional step can also be regulated to control gene
expression in the cell. If the RNA is not processed, shuttled, or translated, then no protein will be synthesized.
Does alternative gene splicing increase or decrease the flexibility of gene expression? Explain your answer.
a. Flexibility increases because mRNA can be altered after transcription is completed.
b. Flexibility increases because genes can be divided and recombined into new genes.
c. Flexibility decreases because the mRNA molecule becomes smaller.
d. Flexibility decreases because DNA is degraded during alternative splicing.
Chapter 16 | Gene Regulation 707
Visualize how mRNA splicing happens by watching the process in action in this video (http://openstaxcollege.org/l/
mRNA_splicing) .
Several human diseases are caused by an error in mRNA splicing. Explain why this occurs.
Think About It
What is an evolutionary advantage of alternative gene splicing of introns during post-transcriptional modification of
mRNA?
Figure 16.13 The protein-coding region of mRNA is flanked by 5' and 3' untranslated regions (UTRs). The presence
of RNA-binding proteins at the 5' or 3' UTR influences the stability of the RNA molecule.
Section Summary
Post-transcriptional control can occur at any stage after transcription, including RNA splicing, nuclear shuttling, and RNA
stability. Once RNA is transcribed, it must be processed to create a mature RNA that is ready to be translated. This involves
the removal of introns that do not code for protein. Spliceosomes bind to the signals that mark the exon/intron border
to remove the introns and ligate the exons together. Once this occurs, the RNA is mature and can be translated. RNA is
created and spliced in the nucleus, but needs to be transported to the cytoplasm to be translated. RNA is transported to the
cytoplasm through the nuclear pore complex. Once the RNA is in the cytoplasm, the length of time it resides there before
being degraded, called RNA stability, can also be altered to control the overall amount of protein that is synthesized. The
RNA stability can be increased, leading to longer residency time in the cytoplasm, or decreased, leading to shortened time
and less protein synthesis. RNA stability is controlled by RNA-binding proteins (RPBs) and microRNAs (miRNAs). These
RPBs and miRNAs bind to the 5' UTR or the 3' UTR of the RNA to increase or decrease RNA stability. Depending on
the RBP, the stability can be increased or decreased significantly; however, miRNAs always decrease stability and promote
decay.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Chapter 16 | Gene Regulation 709
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.3 Interactions between external stimuli and regulated gene expression result in
Knowledge specialization of cells, tissues and organs.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 4.7 The student is able to refine representations to illustrate how interactions between
Objective external stimuli and gene expression result in specialization of cells, tissues, and organs.
After the RNA has been transported to the cytoplasm, it is translated into protein. Control of this process is largely
dependent on the RNA molecule. As previously discussed, the stability of the RNA will have a large impact on its
translation into a protein. As the stability changes, the amount of time that it is available for translation also changes.
Figure 16.14 Gene expression can be controlled by factors that bind the translation initiation complex.
An increase in phosphorylation levels of eIF-2 has been observed in patients with neurodegenerative diseases such as
Alzheimer’s, Parkinson’s and Huntington’s. What impact do you think this might have on protein synthesis?
a. It will increase the rate of translation.
b. It will not affect the translation process.
c. It will block the translation of certain proteins.
d. It will produce multiple fragments of polypeptides.
Figure 16.15 Proteins with ubiquitin tags are marked for degradation within the proteasome.
Think About It
How can environmental stimuli such as ultraviolet light exposure or nutrient deficiency modify gene expression?
Section Summary
Changing the status of the RNA or the protein itself can affect the amount of protein, the function of the protein, or how
long it is found in the cell. To translate the protein, a protein initiator complex must assemble on the RNA. Modifications
such as phosphorylation, of proteins in this complex can prevent proper translation from occurring. Once a protein has
been synthesized, it can be modified: phosphorylated, acetylated, methylated, or ubiquitinated. These post-translational
modifications can greatly impact the stability, degradation, or function of the protein.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
712 Chapter 16 | Gene Regulation
Enduring
Understanding Expression of genetic information involves cellular and molecular mechanisms.
3.B
Essential 3.B.2 A variety of intercellular and intracellular signal transmissions mediate gene
Knowledge expression.
6.2 The student can construct explanations of phenomena based on evidence produced
Science Practice
through scientific practices.
Learning 3.22 The student is able to explain how signal pathways mediate gene expression,
Objective including how this process can affect protein production.
Essential 3.B.2 A variety of intercellular and intracellular signal transmissions mediate gene
Knowledge expression.
1.4 The student can use representations and models to analyze situations or solve
Science Practice
problems qualitatively and quantitatively.
Learning 3.23 The student can use representations to describe mechanisms of the regulation of
Objective gene expression.
Cancer is not a single disease but includes many different diseases. In cancer cells, mutations modify cell-cycle control and
cells don’t stop growing as they normally would. Mutations can also alter the growth rate or the progression of the cell
through the cell cycle. One example of a gene modification that alters the growth rate is increased phosphorylation of cyclin
B, a protein that controls the progression of a cell through the cell cycle and serves as a cell-cycle checkpoint protein.
For cells to move through each phase of the cell cycle, the cell must pass through checkpoints. This ensures that the cell
has properly completed the step and has not encountered any mutation that will alter its function. Many proteins, including
cyclin B, control these checkpoints. The phosphorylation of cyclin B, a post-translational event, alters its function. As a
result, cells can progress through the cell cycle unimpeded, even if mutations exist in the cell and its growth should be
terminated. This post-translational change of cyclin B prevents it from controlling the cell cycle and contributes to the
development of cancer.
Watch this animation (http://openstaxcollege.org/l/p53_cancer) to learn more about the use of p53 in fighting cancer.
Treatment of cancer is often called a fight against biology. Explain why the use of p53 supports this statement.
a. because normal cells are often negatively affected by cancer treatments, including p53
b. because cancer cells are always affected by current cancer treatments, including p53
c. because normal cells are often negatively affected by cancer treatments, with the exception of p53
d. because cancer cells often aren’t affected by cancer treatments, with the exception of p53
Proto-oncogenes are positive cell-cycle regulators. When mutated, proto-oncogenes can become oncogenes and cause
cancer. Overexpression of the oncogene can lead to uncontrolled cell growth. This is because oncogenes can alter
transcriptional activity, stability, or protein translation of another gene that directly or indirectly controls cell growth. An
example of an oncogene involved in cancer is a protein called myc. Myc is a transcription factor that is aberrantly activated
in Burkett’s Lymphoma, a cancer of the lymph system. Overexpression of myc transforms normal B cells into cancerous
cells that continue to grow uncontrollably. High B-cell numbers can result in tumors that can interfere with normal bodily
function. Patients with Burkett’s lymphoma can develop tumors on their jaw or in their mouth that interfere with the ability
to eat.
that, in turn, activate many transcription factors that control genes involved in cell growth. New drugs that prevent the
activation of EGFR have been developed and are used to treat these cancers.
Think About It
New drugs are being developed that decrease DNA methylation and prevent the removal of acetyl groups from histone
proteins. Explain how these drugs could affect gene expression to help kill tumor cells.
How can understanding the gene expression in a cancer cell tell you something about that specific form of cancer?
Section Summary
Cancer can be described as a disease of altered gene expression. Changes at every level of eukaryotic gene expression can
be detected in some form of cancer at some point in time. In order to understand how changes to gene expression can
cause cancer, it is critical to understand how each stage of gene regulation works in normal cells. By understanding the
mechanisms of control in normal, non-diseased cells, it will be easier for scientists to understand what goes wrong in disease
states including complex ones like cancer.
716 Chapter 16 | Gene Regulation
KEY TERMS
3' UTR 3' untranslated region; region just downstream of the protein-coding region in an RNA molecule that is not
translated
5' cap a methylated guanosine triphosphate (GTP) molecule that is attached to the 5' end of a messenger RNA to protect
the end from degradation
5' UTR 5' untranslated region; region just upstream of the protein-coding region in an RNA molecule that is not translated
catabolite activator protein (CAP) protein that complexes with cAMP to bind to the promoter sequences of operons
that control sugar processing when glucose is not available
cis-acting element transcription factor binding sites within the promoter that regulate the transcription of a gene
adjacent to it
dicer enzyme that chops the pre-miRNA into the mature form of the miRNA
DNA methylation epigenetic modification that leads to gene silencing; commonly found in cancer cells
enhancer segment of DNA that is upstream, downstream, perhaps thousands of nucleotides away, or on another
chromosome that influence the transcription of a specific gene
epigenetic heritable changes that do not involve changes in the DNA sequence
eukaryotic initiation factor-2 (eIF-2) protein that binds first to an mRNA to initiate translation
gene expression processes that control the turning on or turning off of a gene
guanine diphosphate (GDP) molecule that is left after the energy is used to start translation
guanine triphosphate (GTP) energy-providing molecule that binds to eIF-2 and is needed for translation
histone acetylation epigenetic modification that leads to gene silencing; commonly found in cancer cells found in
cancer cells
inducible operon operon that can be activated or repressed depending on cellular needs and the surrounding
environment
lac operon operon in prokaryotic cells that encodes genes required for processing and intake of lactose
large 60S ribosomal subunit second, larger ribosomal subunit that binds to the RNA to translate it into protein
microRNA (miRNA) small RNA molecules (approximately 21 nucleotides in length) that bind to RNA molecules to
degrade them
operator region of DNA outside of the promoter region that binds activators or repressors that control gene expression in
prokaryotic cells
operon collection of genes involved in a pathway that are transcribed together as a single mRNA in prokaryotic cells
poly-A tail a series of adenine nucleotides that are attached to the 3' end of an mRNA to protect the end from degradation
post-transcriptional control of gene expression after the RNA molecule has been created but before it is translated into
protein
repressor protein that binds to the operator of prokaryotic genes to prevent transcription
RISC protein complex that binds along with the miRNA to the RNA to degrade it
RNA stability how long an RNA molecule will remain intact in the cytoplasm
RNA-binding protein (RBP) protein that binds to the 3' or 5' UTR to increase or decrease the RNA stability
small 40S ribosomal subunit ribosomal subunit that binds to the RNA to translate it into protein
trans-acting element transcription factor binding site found outside the promoter or on another chromosome that
influences the transcription of a particular gene
transcription factor protein that binds to the DNA at the promoter or enhancer region and that influences transcription of
a gene
transcription factor binding site sequence of DNA to which a transcription factor binds
tryptophan amino acid that can be synthesized by prokaryotic cells when necessary
untranslated region segment of the RNA molecule that are not translated into protein. These regions lie before
(upstream or 5') and after (downstream or 3') the protein-coding region
CHAPTER SUMMARY
16.1 Regulation of Gene Expression
While all somatic cells within an organism contain the same DNA, not all cells within that organism express the same
proteins. Prokaryotic organisms express the entire DNA they encode in every cell, but not necessarily all at the same time.
Proteins are expressed only when they are needed. Eukaryotic organisms express a subset of the DNA that is encoded in
any given cell. In each cell type, the type and amount of protein is regulated by controlling gene expression. To express a
protein, the DNA is first transcribed into RNA, which is then translated into proteins. In prokaryotic cells, these processes
occur almost simultaneously. In eukaryotic cells, transcription occurs in the nucleus and is separate from the translation
that occurs in the cytoplasm. Gene expression in prokaryotes is regulated only at the transcriptional level, whereas in
eukaryotic cells, gene expression is regulated at the epigenetic, transcriptional, post-transcriptional, translational, and post-
translational levels.
The regulation of gene expression in prokaryotic cells occurs at the transcriptional level. There are three ways to control
the transcription of an operon: repressive control, activator control, and inducible control. Repressive control, typified by
the trp operon, uses proteins bound to the operator sequence to physically prevent the binding of RNA polymerase and the
activation of transcription. Therefore, if tryptophan is not needed, the repressor is bound to the operator and transcription
remains off. Activator control, typified by the action of CAP, increases the binding ability of RNA polymerase to the
promoter when CAP is bound. In this case, low levels of glucose result in the binding of cAMP to CAP. CAP then binds
the promoter, which allows RNA polymerase to bind to the promoter better. In the last example—the lac operon—two
conditions must be met to initiate transcription. Glucose must not be present, and lactose must be available for the lac
operon to be transcribed. If glucose is absent, CAP binds to the operator. If lactose is present, the repressor protein does
not bind to its operator. Only when both conditions are met will RNA polymerase bind to the promoter to induce
transcription.
718 Chapter 16 | Gene Regulation
In eukaryotic cells, the first stage of gene expression control occurs at the epigenetic level. Epigenetic mechanisms control
access to the chromosomal region to allow genes to be turned on or off. These mechanisms control how DNA is packed
into the nucleus by regulating how tightly the DNA is wound around histone proteins. The addition or removal of
chemical modifications to histone proteins or DNA signals to the cell to open or close a chromosomal region. Therefore,
eukaryotic cells can control whether a gene is expressed by controlling accessibility to transcription factors and the
binding of RNA polymerase to initiate transcription.
To start transcription, general transcription factors, such as TFIID, TFIIH, and others, must first bind to the TATA box and
recruit RNA polymerase to that location. The binding of additional regulatory transcription factors to cis-acting elements
will either increase or prevent transcription. In addition to promoter sequences, enhancer regions help augment
transcription. Enhancers can be upstream, downstream, within a gene itself, or on other chromosomes. Transcription
factors bind to enhancer regions to increase or prevent transcription.
Post-transcriptional control can occur at any stage after transcription, including RNA splicing, nuclear shuttling, and RNA
stability. Once RNA is transcribed, it must be processed to create a mature RNA that is ready to be translated. This
involves the removal of introns that do not code for protein. Spliceosomes bind to the signals that mark the exon/intron
border to remove the introns and ligate the exons together. Once this occurs, the RNA is mature and can be translated.
RNA is created and spliced in the nucleus, but needs to be transported to the cytoplasm to be translated. RNA is
transported to the cytoplasm through the nuclear pore complex. Once the RNA is in the cytoplasm, the length of time it
resides there before being degraded, called RNA stability, can also be altered to control the overall amount of protein that
is synthesized. The RNA stability can be increased, leading to longer residency time in the cytoplasm, or decreased,
leading to shortened time and less protein synthesis. RNA stability is controlled by RNA-binding proteins (RPBs) and
microRNAs (miRNAs). These RPBs and miRNAs bind to the 5' UTR or the 3' UTR of the RNA to increase or decrease
RNA stability. Depending on the RBP, the stability can be increased or decreased significantly; however, miRNAs always
decrease stability and promote decay.
Changing the status of the RNA or the protein itself can affect the amount of protein, the function of the protein, or how
long it is found in the cell. To translate the protein, a protein initiator complex must assemble on the RNA. Modifications
such as phosphorylation, of proteins in this complex can prevent proper translation from occurring. Once a protein has
been synthesized, it can be modified: phosphorylated, acetylated, methylated, or ubiquitinated. These post-translational
modifications can greatly impact the stability, degradation, or function of the protein.
Cancer can be described as a disease of altered gene expression. Changes at every level of eukaryotic gene expression can
be detected in some form of cancer at some point in time. In order to understand how changes to gene expression can
cause cancer, it is critical to understand how each stage of gene regulation works in normal cells. By understanding the
mechanisms of control in normal, non-diseased cells, it will be easier for scientists to understand what goes wrong in
disease states including complex ones like cancer.
REVIEW QUESTIONS
1. Control of gene expression in eukaryotic cells occurs at which level(s)?
a. only the transcriptional level
b. epigenetic and transcriptional levels
c. epigenetic and transcriptional and translational levels
d. epigenetic and transcriptional, translational, and post-translational levels
2. What do Figures X and Y in the image illustrate?
Chapter 16 | Gene Regulation 719
Figure 16.16
a. Transcription and translation in a eukaryotic cell (Figure X) and a prokaryotic cell (Figure Y).
b. Transcription and translation in a prokaryotic cell (Figure X) and a eukaryotic cell (Figure Y).
c. Transcription in a eukaryotic cell (Figure X) and translation in a prokaryotic cell (Figure Y).
d. Transcription in a prokaryotic cell (Figure X) and translation in a eukaryotic cell (Figure Y)
3. If glucose is absent but lactose is present, the lac operon will be ________.
a. activated
b. repressed
c. partially activated
d. mutated
4. What would happen if the operator sequence of the lac operon contained a mutation that prevented the repressor protein
from binding the operator?
a. In the presence of lactose, the lac operon will not be transcribed.
b. In the absence of lactose, the lac operon will be transcribed.
c. The cAMP-CAP complex will not increase RNA synthesis.
d. The RNA polymerase will not bind the promoter.
5. What would happen if the operator sequence of the trp operon contained a mutation that prevented the repressor protein
from binding to the operator?
a. In the absence of tryptophan, the genes trpA–E will not be transcribed.
b. In the absence of tryptophan, only genes trpE and trpD will be transcribed.
c. In the presence of tryptophan, the genes trpA–E will be transcribed.
d. In the presence of tryptophan, the trpE gene will not be transcribed.
6. What are epigenetic modifications?
a. the addition of reversible changes to histone proteins and DNA
b. the removal of nucleosomes from the DNA
c. the addition of more nucleosomes to the DNA
d. mutation of the DNA sequence
7. Which of the following statements about epigenetic regulation is false?
720 Chapter 16 | Gene Regulation
a. Histone protein charge becomes more positive when acetyl groups are added.
b. DNA molecules are modified within CpG islands.
c. Methylation of DNA and histones causes nucleosomes to pack tightly together.
d. Histone acetylation results in the loose packing of nucleosomes.
8. Which of the following is true of epigenetic changes?
a. They only allow gene expression.
b. They allow movement of histones.
c. They change the DNA sequence.
d. They are always heritable.
9. The binding of what is required for transcription start?
a. a protein
b. DNA polymerase
c. RNA polymerase
d. a transcription factor
10. What would be the outcome of a mutation that prevented DNA binding proteins from being produced?
a. decreased transcription because transcription factors would not bind to transcription binding sites
b. decreased transcription because enhancers would not be able to bind to transcription factors
c. increased transcription because repressors would not be able to bind to promoter regions
d. increased transcription because RNA polymerase would be able to increase binding to promoter regions
11. What will result from the binding of a transcription factor to an enhancer region?
a. decreased transcription of an adjacent gene
b. increased transcription of a distant gene
c. alteration of the translation of an adjacent gene
d. initiation of the recruitment of RNA polymerase
12. Which of the following are involved in post-transcriptional control?
a. control of RNA splicing
b. ubiquitination
c. proteolytic cleavage
d. phosphorylation
13. Gene A is thought to be associated with color blindness. The protein corresponding to gene A is isolated. Analysis of
the protein recovered shows there are actually two different proteins that differ in molecular weight that correspond to
gene A. What is one reason why there may be two proteins corresponding to the gene?
a. One protein had a 5’ cap and a poly-A tail in its mRNA, and the other protein did not.
b. One protein had a 5’ UTR and a 3’ UTR in its RNA, and the other protein did not.
c. The gene was alternatively spliced.
d. The gene produced mRNA molecules with differing stability.
14. Binding of an RNA binding protein will change the stability of the RNA molecule in what way?
a. increase
b. decrease
c. neither increase nor decrease
d. either increase or decrease
15. A mutation in the 5’UTR that prevents any proteins from binding to the region will ________.
Chapter 16 | Gene Regulation 721
23. What are positive cell-cycle regulators that can cause cancer when mutated called?
a. transformation genes
b. tumor suppressor genes
c. oncogenes
d. mutated genes
a. In new seedlings, histone acetylations are present; upon cold exposure, methylation occurs.
b. In new seedlings, histone deacetylations are present; upon cold exposure, methylation occurs.
c. In new seedlings, histone methylations are present; upon cold exposure, acetylation occurs.
d. In new seedlings, histone methylations are present; upon cold exposure, deacetylation occurs.
31. A mutation within the promoter region can alter gene transcription. Describe how this can happen.
a. Mutated promoters decrease the rate of transcription by altering the binding site for the transcription factor.
b. Mutated promoters increase the rate of transcription by altering the binding site for the transcription factor.
c. Mutated promoters alter the binding site for transcription factors to increase or decrease the rate of transcription.
d. Mutated promoters alter the binding site for transcription factors and thereby cease transcription of the adjacent
gene.
32. The Wnt transcription pathway is responsible for key changes during animal development. The transcription pathway
shown in the figure uses arrows to represent activation and perpendicular symbols to represent repression of Wnt gene
products.
Based on the pathway, how would blocking Wnt gene expression affect the production of Bar-1?
Figure 16.17
33. What could happen if a cell had too much of an activating transcription factor present?
724 Chapter 16 | Gene Regulation
40. Explain what personalized medicine is and how it can be used to treat cancer.
a. Personalized medicines would vary based on the type of mutations and the gene’s expression pattern.
b. The medicines are given based on the type of tumor found in the body of an individual.
c. The personalized medicines are provided based only on the symptoms of the patient.
d. The medicines tend to vary depending on the severity and the stage of the cancer.
a.
b.
c.
d.
45. What would be the result of a mutation in the repressor protein that prevented it from binding lactose?
a. The repressor will bind to lactose when it is removed from the operator.
b. The repressor will bind the operator in the presence of lactose.
c. The repressor will not bind the operator in the presence of lactose.
d. The repressor will not bind the operator in the absence of lactose.
46. What type of modification might be observed in the GR gene in all newborn rats?
a. The DNA will have many methyl molecules.
b. The DNA will have many acetyl molecules.
c. The DNA will have few methyl groups.
d. The histones will have many acetyl groups.
47. What type of modification will be observed in the GR gene in the highly nurtured rats?
a. The DNA will have many methyl molecules.
b. The DNA will have many acetyl molecules.
c. The DNA will have few methyl groups.
d. The histones will have few acetyl groups.
48. The level of transcription of a gene is tested by creating deletions in the gene as shown in the illustration. These
modified genes are tested for their level of transcription: (++) normal transcription levels; (+) low transcription levels;
(+++) high transcription levels.
Chapter 16 | Gene Regulation 727
a. deletion 1
b. deletion 2
c. deletion 3
d. deletion 4
50. The diagram shows different regions (1–5) of a pre-mRNA molecule, a mature-mRNA molecule, and the protein
corresponding to the mRNA.
Figure 16.18
A mutation in which region is most likely to be damaging to the cell?
a. 1
b. 2
c. 3
d. 5
51. What do regions 1 and 5 correspond to?
Chapter 16 | Gene Regulation 729
a. exons
b. introns
c. promoters
d. untranslated regions
52. What are regions 1 through 5 in the diagram?
Figure 16.19
Based on your understanding of the ways in which signal transmission mediates cell function, which of the following
predictions is most consistent with this information given?
Chapter 16 | Gene Regulation 733
a. In an environment with low fixed nitrogen, treating the Anabaena cells with a calcium-binding compound
should prevent heterocyst differentiation.
b. A strain that overexpresses the patS gene should develop many more heterocysts in a low nitrogen environment.
c. In an environment with abundant fixed nitrogen, free calcium levels should be high in all cells, preventing
heterocysts from developing.
d. In environments with abundant fixed nitrogen, loss of the hetR gene should induce heterocyst development.
59. Which statement about Anabaena is false?
a. Decreasing the concentration of free calcium ions will prevent heterocyst development.
b. In the presence of fixed nitrogen, NtcA will not be expressed.
c. Low fixed nitrogen levels result in increased PatS levels.
d. A mutation in NtcA that makes it nonfunctional will also allow adjacent cells to develop as heterocysts.
17 | BIOTECHNOLOGY
AND GENOMICS
Figure 17.1 In genomics, the DNA of different organisms is compared, enabling scientists to create maps with which
to navigate the DNA of different organisms. (credit map: modification of photo by NASA)
Chapter Outline
17.1: Biotechnology
17.2: Mapping Genomes
17.3: Whole-Genome Sequencing
17.4: Applying Genomics
17.5: Genomics and Proteomics
Introduction
Some of the greatest accomplishments of biotechnology are in the fields of medicine and medical research. For example,
intestinal failure due to missing or abnormal intestinal tissue is a frequent problem in premature babies. Intestinal problems
are also common for people who have had parts of their small intestines removed for reasons , such as Crohn’s Disease,
cancer, and blockages. Complications from intestinal failure may include liver disease, bacterial overgrowth, dehydration,
and malnutrition.
Scientists have recently developed a way to engineer human intestines from human cells using mice. Using a mixture of
healthy mouse and human intestinal cells and placing it on scaffolding in the abdominal cavity of immunocompromised
mice, functional human intestinal cells grow within four weeks. This could be the breakthrough needed to help patients
suffering from intestinal failure. More details about this exciting research can be found here (http://openstaxcollege.org/l/
32grwinmouse) .
736 Chapter 17 | Biotechnology and Genomics
17.1 | Biotechnology
In this section, you will explore the following questions:
• What are examples of basic techniques used to manipulate genetic material (DNA and RNA)?
• What is the difference between molecular and reproductive cloning?
• What are examples of uses of biotechnology in medicine and agriculture?
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.5 The student can justify the claim that humans can manipulate heritable information by
Objective identifying an example of a commonly used technology.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Chapter 17 | Biotechnology and Genomics 737
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential
3.C.1 Changes in genotype can result in changes in phenotype.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.24 The student is able to predict how a change in genotype, when expressed as a
Objective phenotype, provides a variation that can be subject to natural selection.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.13]
• [APLO 3.23]
• [APLO 3.28]
• [APLO 3.24]
• [APLO 1.11]
• [APLO 3.5]
• [APLO 4.2]
• [APLO 4.8]
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
16 Bacterial Transformation
Biotechnology is the use of biological agents for technological advancement. Biotechnology was used for breeding
livestock and crops long before the scientific basis of these techniques was understood. Since the discovery of the structure
of DNA in 1953, the field of biotechnology has grown rapidly through both academic research and private companies. The
primary applications of this technology are in medicine, production of vaccines and antibiotics, and agriculture, genetic
modification of crops, such as to increase yields. Biotechnology also has many industrial applications, such as fermentation,
the treatment of oil spills, and the production of biofuels.
Figure 17.2 This diagram shows the basic method used for extraction of DNA.
RNA analysis is performed to study gene expression patterns in cells. RNA is naturally very unstable because RNAses are
commonly present in nature and very difficult to inactivate. Similar to DNA, RNA extraction involves the use of various
buffers and enzymes to inactivate macromolecules and preserve the RNA.
Gel Electrophoresis
Because nucleic acids are negatively charged ions at neutral or basic pH in an aqueous environment, they can be mobilized
by an electric field. Gel electrophoresis is a technique used to separate molecules on the basis of size, using this charge.
The nucleic acids can be separated as whole chromosomes or fragments. The nucleic acids are loaded into a slot near the
negative electrode of a semisolid, porous gel matrix and pulled toward the positive electrode at the opposite end of the gel.
Smaller molecules move through the pores in the gel faster than larger molecules; this difference in the rate of migration
separates the fragments on the basis of size. There are molecular weight standard samples that can be run alongside the
molecules to provide a size comparison. Nucleic acids in a gel matrix can be observed using various fluorescent or colored
dyes. Distinct nucleic acid fragments appear as bands at specific distances from the top of the gel (the negative electrode
end) on the basis of their size (Figure 17.3). A mixture of genomic DNA fragments of varying sizes appear as a long smear,
whereas uncut genomic DNA is usually too large to run through the gel and forms a single large band at the top of the gel.
Chapter 17 | Biotechnology and Genomics 739
Figure 17.3 Shown are DNA fragments from seven samples run on a gel, stained with a fluorescent dye, and viewed
under UV light. (credit: James Jacob, Tompkins Cortland Community College)
Figure 17.4 Polymerase chain reaction, or PCR, is used to amplify a specific sequence of DNA. Primers—short pieces
of DNA complementary to each end of the target sequence—are combined with genomic DNA, Taq polymerase, and
deoxynucleotides. Taq polymerase is a DNA polymerase isolated from the thermostable bacterium Thermus aquaticus
that is able to withstand the high temperatures used in PCR. Thermus aquaticus grows in the Lower Geyser Basin of
Yellowstone National Park. Reverse transcriptase PCR (RT-PCR) is similar to PCR, but cDNA is made from an RNA
template before PCR begins.
DNA fragments can also be amplified from an RNA template in a process called reverse transcriptase PCR (RT-PCR).
The first step is to recreate the original DNA template strand (called cDNA) by applying DNA nucleotides to the mRNA.
This process is called reverse transcription. This requires the presence of an enzyme called reverse transcriptase. After the
cDNA is made, regular PCR can be used to amplify it.
Chapter 17 | Biotechnology and Genomics 741
Deepen your understanding of the polymerase chain reaction by clicking through this interactive exercise
(http://openstaxcollege.org/l/PCR) .
Explain an advantage the polymerase chain reaction (PCR) has for DNA research.
a. The process of PCR can isolate a particular piece of DNA for copying, which allows scientists to copy
millions of strands of DNA in a short amount of time.
b. The process of PCR can purify a particular piece of DNA, and very small amounts of DNA can be used for
purification.
c. The process of PCR separates and analyzes DNA and its fragments, which requires very little DNA.
d. The process of PCR anneals DNA molecules to complementary DNA strands, which maintains the same
amount of DNA.
Figure 17.5 Southern blotting is used to find a particular sequence in a sample of DNA. DNA fragments are separated
on a gel, transferred to a nylon membrane, and incubated with a DNA probe complementary to the sequence of
interest. Northern blotting is similar to Southern blotting, but RNA is run on the gel instead of DNA. In western blotting,
proteins are run on a gel and detected using antibodies.
742 Chapter 17 | Biotechnology and Genomics
Molecular Cloning
In general, the word cloning means the creation of a perfect replica; however, in biology, the re-creation of a whole organism
is referred to as reproduction cloning. Long before attempts were made to clone an entire organism, researchers learned how
to reproduce desired regions or fragments of the genome, a process that is referred to as molecular cloning.
Cloning small fragments of the genome allows for the manipulation and study of specific genes, and their protein products,
or noncoding regions in isolation. A plasmid, also called a vector, is a small circular DNA molecule that replicates
independently of the chromosomal DNA. In cloning, the plasmid molecules can be used to provide a folder in which to
insert a desired DNA fragment. Plasmids are usually introduced into a bacterial host for proliferation. In the bacterial
context, the fragment of DNA from the human genome, or the genome of another organism that is being studied, referred
to as foreign DNA, or a transgene, to differentiate it from the DNA of the bacterium, which is called the host DNA.
Plasmids occur naturally in bacterial populations (such as Escherichia coli) and have genes that can contribute favorable
traits to the organism, such as antibiotic resistance (the ability to be unaffected by antibiotics). Plasmids have been
repurposed and engineered as vectors for molecular cloning and the large-scale production of important reagents, such as
insulin and human growth hormone. An important feature of plasmid vectors is the ease with which a foreign DNA fragment
can be introduced via the multiple cloning site (MCS). The MCS is a short DNA sequence containing multiple sites
that can be cut with different commonly available restriction endonucleases. Restriction endonucleases recognize specific
DNA sequences and cut them in a predictable manner; they are naturally produced by bacteria as a defense mechanism
against foreign DNA. Many restriction endonucleases make staggered cuts in the two strands of DNA, such that the cut
ends have a 2- or 4-base single-stranded overhang. Because these overhangs are capable of annealing with complementary
overhangs, these are called sticky ends. Addition of an enzyme called DNA ligase permanently joins the DNA fragments
via phosphodiester bonds. In this way, any DNA fragment generated by restriction endonuclease cleavage can be spliced
between the two ends of a plasmid DNA that has been cut with the same restriction endonuclease.
You are working in a molecular biology lab and, unbeknownst to you, your lab partner left the foreign genomic DNA
you are planning to clone on the lab bench overnight instead of storing it in the freezer. As a result, it was degraded
by nucleases, but still used in the experiment. The plasmid, on the other hand, is fine. What results would you expect
from your molecular cloning experiment?
a. There will be no colonies on the bacterial plate.
b. There will be blue colonies only.
c. There will be blue and white colonies.
d. The will be white colonies only.
744 Chapter 17 | Biotechnology and Genomics
a. Restriction enzymes restrict the recombination process. DNA ligase ligates the products of recombination
with each other.
b. DNA ligase splices DNA at a specific point, so the new piece of DNA can be inserted. Restriction enzymes
stitch together the new gene to the existing piece of DNA.
c. Restriction enzymes splice DNA at a specific point, so the new piece of DNA can be inserted. DNA ligase
stitches together the new foreign gene to the existing piece of DNA.
d. Restriction enzymes splice the existing piece of DNA only to accommodate the new piece of DNA. DNA
ligase ligates the new DNA with the existing DNA.
Activity
Cloning can be used to quickly replicate crop plants that have advantageous genes, such as greater disease
resistance or greater fruit production. However, cloning also produces crop plants that have little genetic
variation. In a group, discuss the advantages and disadvantages of using clones as human food sources in
an era where the Earth is undergoing a period of climate change. How well will cloned populations of crop
plants be able to adapt to climate change, compared to non-clone crop plants? Then, defend your group’s
position against those of other groups in a classroom debate.
Think About It
How would a scientist introduce a gene for herbicide resistance into a plant, such as corn?
Cellular Cloning
Unicellular organisms, such as bacteria and yeast, naturally produce clones of themselves when they replicate asexually by
binary fission; this is known as cellular cloning. The nuclear DNA duplicates by the process of mitosis, which creates an
exact replica of the genetic material.
Reproductive Cloning
Reproductive cloning is a method used to make a clone or an identical copy of an entire multicellular organism. Most
multicellular organisms undergo reproduction by sexual means, which involves genetic hybridization of two individuals
(parents), making it impossible for generation of an identical copy or a clone of either parent. Recent advances in
biotechnology have made it possible to artificially induce asexual reproduction of mammals in the laboratory.
Parthenogenesis, or virgin birth, occurs when an embryo grows and develops without the fertilization of the egg occurring;
this is a form of asexual reproduction. An example of parthenogenesis occurs in species in which the female lays an egg
and if the egg is fertilized, it is a diploid egg and the individual develops into a female; if the egg is not fertilized, it remains
Chapter 17 | Biotechnology and Genomics 745
a haploid egg and develops into a male. The unfertilized egg is called a parthenogenic, or virgin, egg. Some insects and
reptiles lay parthenogenic eggs that can develop into adults.
Sexual reproduction requires two cells; when the haploid egg and sperm cells fuse, a diploid zygote results. The zygote
nucleus contains the genetic information to produce a new individual. However, early embryonic development requires the
cytoplasmic material contained in the egg cell. This idea forms the basis for reproductive cloning. Therefore, if the haploid
nucleus of an egg cell is replaced with a diploid nucleus from the cell of any individual of the same species, or donor, it
will become a zygote that is genetically identical to the donor. Somatic cell nuclear transfer is the technique of transferring
a diploid nucleus into an enucleated egg. It can be used for either therapeutic cloning or reproductive cloning.
The first cloned animal was Dolly, a sheep who was born in 1996. The success rate of reproductive cloning at the time
was very low. Dolly lived for seven years and died of respiratory complications (Note). There is speculation that because
the cell DNA belongs to an older individual, the age of the DNA may affect the life expectancy of a cloned individual.
Since Dolly, several animals such as horses, bulls, and goats have been successfully cloned, although these individuals often
exhibit facial, limb, and cardiac abnormalities. There have been attempts at producing cloned human embryos as sources of
embryonic stem cells, sometimes referred to as cloning for therapeutic purposes. Therapeutic cloning produces stem cells to
attempt to remedy detrimental diseases or defects, unlike reproductive cloning, which aims to reproduce an organism. Still,
therapeutic cloning efforts have met with resistance because of bioethical considerations.
746 Chapter 17 | Biotechnology and Genomics
Genetic Engineering
Genetic engineering is the alteration of an organism’s genotype using recombinant DNA technology to modify an
organism’s DNA to achieve desirable traits. The addition of foreign DNA in the form of recombinant DNA vectors
generated by molecular cloning is the most common method of genetic engineering. The organism that receives the
recombinant DNA is called a genetically modified organism (GMO). If the foreign DNA that is introduced comes from a
different species, the host organism is called transgenic. Bacteria, plants, and animals have been genetically modified since
the early 1970s for academic, medical, agricultural, and industrial purposes. In the US, GMOs such as herbicide-resistant
soybeans and borer-resistant corn are part of many common processed foods.
Chapter 17 | Biotechnology and Genomics 747
Gene Targeting
Although classical methods of studying the function of genes began with a given phenotype and determined the genetic
basis of that phenotype, modern techniques allow researchers to start at the DNA sequence level and ask: "What does
this gene or DNA element do?" This technique, called reverse genetics, has resulted in reversing the classic genetic
methodology. This method would be similar to damaging a body part to determine its function. An insect that loses a wing
cannot fly, which means that the function of the wing is flight. The classical genetic method would compare insects that
cannot fly with insects that can fly, and observe that the non-flying insects have lost wings. Similarly, mutating or deleting
genes provides researchers with clues about gene function. The methods used to disable gene function are collectively called
gene targeting. Gene targeting is the use of recombinant DNA vectors to alter the expression of a particular gene, either
by introducing mutations in a gene, or by eliminating the expression of a certain gene by deleting a part or all of the gene
sequence from the genome of an organism.
Figure 17.6 Gene therapy using an adenovirus vector can be used to cure certain genetic diseases in which a person
has a defective gene. (credit: NIH)
Transgenic Animals
Although several recombinant proteins used in medicine are successfully produced in bacteria, some proteins require a
eukaryotic animal host for proper processing. For this reason, the desired genes are cloned and expressed in animals, such
as sheep, goats, chickens, and mice. Animals that have been modified to express recombinant DNA are called transgenic
animals. Several human proteins are expressed in the milk of transgenic sheep and goats, and some are expressed in the eggs
of chickens. Mice have been used extensively for expressing and studying the effects of recombinant genes and mutations.
Transgenic Plants
Manipulating the DNA of plants (i.e., creating GMOs) has helped to create desirable traits, such as disease resistance,
herbicide and pesticide resistance, better nutritional value, and better shelf-life (Figure 17.7). Plants are the most important
source of food for the human population. Farmers developed ways to select for plant varieties with desirable traits long
before modern-day biotechnology practices were established.
Chapter 17 | Biotechnology and Genomics 749
Figure 17.7 Corn, a major agricultural crop used to create products for a variety of industries, is often modified through
plant biotechnology. (credit: Keith Weller, USDA)
Plants that have received recombinant DNA from other species are called transgenic plants. Because they are not natural,
transgenic plants and other GMOs are closely monitored by government agencies to ensure that they are fit for human
consumption and do not endanger other plant and animal life. Because foreign genes can spread to other species in the
environment, extensive testing is required to ensure ecological stability. Staples like corn, potatoes, and tomatoes were the
first crop plants to be genetically engineered.
Transformation of Plants Using Agrobacterium tumefaciens
Gene transfer occurs naturally between species in microbial populations. Many viruses that cause human diseases act by
incorporating their DNA into the human genome. In plants, tumors caused by the bacterium Agrobacterium tumefaciens
occur by transfer of DNA from the bacterium to the plant. Although the tumors do not kill the plants, they make the plants
stunted and more susceptible to harsh environmental conditions. Many plants, such as walnuts, grapes, nut trees, and beets,
are affected by A. tumefaciens. The artificial introduction of DNA into plant cells is more challenging than in animal cells
because of the thick plant cell wall.
Researchers used the natural transfer of DNA from Agrobacterium to a plant host to introduce DNA fragments of their
choice into plant hosts. In nature, the disease-causing A. tumefaciens have a set of plasmids, called the Ti plasmids (tumor-
inducing plasmids), that contain genes for the production of tumors in plants. DNA from the Ti plasmid integrates into
the infected plant cell’s genome. Researchers manipulate the Ti plasmids to remove the tumor-causing genes and insert the
desired DNA fragment for transfer into the plant genome. The Ti plasmids carry antibiotic resistance genes to aid selection
and can be propagated in E. coli cells as well.
The Organic Insecticide Bacillus thuringiensis
Bacillus thuringiensis (Bt) is a bacterium that produces protein crystals during sporulation that are toxic to many insect
species that affect plants. Bt toxin has to be ingested by insects for the toxin to be activated. Insects that have eaten Bt toxin
stop feeding on the plants within a few hours. After the toxin is activated in the intestines of the insects, death occurs within
a couple of days. Modern biotechnology has allowed plants to encode their own crystal Bt toxin that acts against insects.
The crystal toxin genes have been cloned from Bt and introduced into plants. Bt toxin has been found to be safe for the
environment, non-toxic to humans and other mammals, and is approved for use by organic farmers as a natural insecticide.
Flavr Savr Tomato
The first GM crop was in 1994. It was a tomato that resisted rotting and maintained flavor for longer periods of time.
Antisense RNA technology was used to slow down the process of softening and rotting caused by fungal infections, which
750 Chapter 17 | Biotechnology and Genomics
led to increased shelf life of the GM tomatoes. Additional genetic modification improved the flavor of this tomato. This GM
tomato did not successfully stay in the market because of problems maintaining and shipping the crop.
Section Summary
Nucleic acids can be isolated from cells for the purposes of further analysis by breaking open the cells and enzymatically
destroying all other major macromolecules. Fragmented or whole chromosomes can be separated on the basis of size by
gel electrophoresis. Short stretches of DNA or RNA can be amplified by PCR. Southern and northern blotting can be used
to detect the presence of specific short sequences in a DNA or RNA sample. The term cloning may refer to cloning small
DNA fragments (molecular cloning), cloning cell populations (cellular cloning), or cloning entire organisms (reproductive
cloning). Genetic testing is performed to identify disease-causing genes, and gene therapy is used to cure an inheritable
disease.
Transgenic organisms possess DNA from a different species, usually generated by molecular cloning techniques. Vaccines,
antibiotics, and hormones are examples of products obtained by recombinant DNA technology. Transgenic plants are
usually created to improve characteristics of crop plants.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
6.4 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models.
Learning 3.5 The student can justify the claim that humans can manipulate heritable information by
Objective identifying examples of commonly used technologies.
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes
Knowledge that include the cell cycle and mitosis or meiosis.
Chapter 17 | Biotechnology and Genomics 751
Science Practice 7.1 The student can connect phenomena and models across spatial and temporal scales.
Learning 3.10 The student is able to represent the connection between meiosis and increased
Objective genetic diversity necessary for evolution.
Essential 3.A.3 The chromosomal basis of inheritance provides an understanding of the pattern of
Knowledge passage (transmission) of genes from parent to offspring.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 7.2 The student can connect concepts in and across domain(s) to generalize or
Objective extrapolate in and/or across enduring understandings and/or big ideas.
Genomics is the study of entire genomes, including the complete set of genes, their nucleotide sequence and organization,
and their interactions within a species and with other species. Genome mapping is the process of finding the locations of
genes on each chromosome. The maps created by genome mapping are comparable to the maps that we use to navigate
streets. A genetic map is an illustration that lists genes and their location on a chromosome. Genetic maps provide the big
picture (similar to a map of interstate highways) and use genetic markers (similar to landmarks). A genetic marker is a
gene or sequence on a chromosome that co-segregates (shows genetic linkage) with a specific trait. Early geneticists called
this linkage analysis. Physical maps present the intimate details of smaller regions of the chromosomes (similar to a detailed
road map). A physical map is a representation of the physical distance, in nucleotides, between genes or genetic markers.
Both genetic linkage maps and physical maps are required to build a complete picture of the genome. Having a complete
map of the genome makes it easier for researchers to study individual genes. Human genome maps help researchers in their
efforts to identify human disease-causing genes related to illnesses like cancer, heart disease, and cystic fibrosis. Genome
mapping can be used in a variety of other applications, such as using live microbes to clean up pollutants or even prevent
pollution. Research involving plant genome mapping may lead to producing higher crop yields or developing plants that
better adapt to climate change.
Genetic Maps
The study of genetic maps begins with linkage analysis, a procedure that analyzes the recombination frequency between
genes to determine if they are linked or show independent assortment. The term linkage was used before the discovery
of DNA. Early geneticists relied on the observation of phenotypic changes to understand the genotype of an organism.
Shortly after Gregor Mendel (the father of modern genetics) proposed that traits were determined by what are now known
as genes, other researchers observed that different traits were often inherited together, and thereby deduced that the genes
were physically linked by being located on the same chromosome. The mapping of genes relative to each other based on
linkage analysis led to the development of the first genetic maps.
Observations that certain traits were always linked and certain others were not linked came from studying the offspring of
crosses between parents with different traits. For example, in experiments performed on the garden pea, it was discovered
that the color of the flower and shape of the plant’s pollen were linked traits, and therefore the genes encoding these traits
were in close proximity on the same chromosome. The exchange of DNA between homologous pairs of chromosomes is
called genetic recombination, which occurs by the crossing over of DNA between homologous strands of DNA, such as
nonsister chromatids. Linkage analysis involves studying the recombination frequency between any two genes. The greater
the distance between two genes, the higher the chance that a recombination event will occur between them, and the higher
the recombination frequency between them. Two possibilities for recombination between two nonsister chromatids during
meiosis are shown in Figure 17.8. If the recombination frequency between two genes is less than 50 percent, they are said
to be linked.
752 Chapter 17 | Biotechnology and Genomics
Figure 17.8 Crossover may occur at different locations on the chromosome. Recombination between genes A and B
is more frequent than recombination between genes B and C because genes A and B are farther apart; a crossover is
therefore more likely to occur between them.
The generation of genetic maps requires markers, just as a road map requires landmarks, such as rivers and mountains.
Early genetic maps were based on the use of known genes as markers. More sophisticated markers, including those based
on non-coding DNA, are now used to compare the genomes of individuals in a population. Although individuals of a given
species are genetically similar, they are not identical; every individual has a unique set of traits. These minor differences in
the genome between individuals in a population are useful for the purposes of genetic mapping. In general, a good genetic
marker is a region on the chromosome that shows variability or polymorphism (multiple forms) in the population.
Some genetic markers used in generating genetic maps are restriction fragment length polymorphisms (RFLP), variable
number of tandem repeats (VNTRs), microsatellite polymorphisms, and the single nucleotide polymorphisms (SNPs).
RFLPs (sometimes pronounced “rif-lips”) are detected when the DNA of an individual is cut with a restriction endonuclease
that recognizes specific sequences in the DNA to generate a series of DNA fragments, which are then analyzed by gel
electrophoresis. The DNA of every individual will give rise to a unique pattern of bands when cut with a particular
set of restriction endonucleases; this is sometimes referred to as an individual’s DNA fingerprint Certain regions of the
chromosome that are subject to polymorphism will lead to the generation of the unique banding pattern. VNTRs are
repeated sets of nucleotides present in the non-coding regions of DNA. Non-coding, or junk, DNA has no known biological
function; however, research shows that much of this DNA is actually transcribed. While its function is uncertain, it is
certainly active, and it may be involved in the regulation of coding genes. The number of repeats may vary in individual
organisms of a population. Microsatellite polymorphisms are similar to VNTRs, but the repeat unit is very small. SNPs are
variations in a single nucleotide.
Because genetic maps rely completely on the natural process of recombination, mapping is affected by natural increases
or decreases in the level of recombination in any given area of the genome. Some parts of the genome are recombination
hotspots, whereas others do not show a propensity for recombination. For this reason, it is important to look at mapping
information developed by multiple methods.
Physical Maps
A physical map provides detail of the actual physical distance between genetic markers, as well as the number of
nucleotides. There are three methods used to create a physical map: cytogenetic mapping, radiation hybrid mapping, and
sequence mapping. Cytogenetic mapping uses information obtained by microscopic analysis of stained sections of the
chromosome (Figure 17.9). It is possible to determine the approximate distance between genetic markers using cytogenetic
mapping, but not the exact distance (number of base pairs). Radiation hybrid mapping uses radiation, such as x-rays, to
break the DNA into fragments. The amount of radiation can be adjusted to create smaller or larger fragments. This technique
overcomes the limitation of genetic mapping and is not affected by increased or decreased recombination frequency.
Sequence mapping resulted from DNA sequencing technology that allowed for the creation of detailed physical maps
with distances measured in terms of the number of base pairs. The creation of genomic libraries and complementary
Chapter 17 | Biotechnology and Genomics 753
DNA (cDNA) libraries, collections of cloned sequences or all DNA from a genome, has sped up the process of physical
mapping. A genetic site used to generate a physical map with sequencing technology, a sequence tagged site, or STS, is a
unique sequence in the genome with a known exact chromosomal location. An expressed sequence tag (EST) and a single
sequence length polymorphism (SSLP) are common STSs. An EST is a short STS that is identified with cDNA libraries,
while SSLPs are obtained from known genetic markers and provide a link between genetic maps and physical maps.
Figure 17.9 A cytogenetic map shows the appearance of a chromosome after it is stained and examined under a
microscope. (credit: National Human Genome Research Institute)
Online Mendelian Inheritance in Man (OMIM) is a searchable online catalog of human genes and genetic disorders. This
website shows genome mapping information, and also details the history and research of each trait and disorder. Click
this link (http://openstaxcollege.org/l/OMIM) to search for traits (such as handedness) and genetic disorders (such as
diabetes).
How can this database help to support and guide research for rare genetic conditions, like progeria?
b. The database provides all the information about genes for genetic diseases, their inheritance and their
expression. It also provides suggestions for some treatments.
d. The database provides information only about the early reported cases.
Think About It
Why is so much effort being poured into genome mapping applications? How could a genetic map of the human
genome help find a treatment for genetically based cancers?
Section Summary
Genome mapping is similar to solving a big, complicated puzzle with pieces of information coming from laboratories all
over the world. Genetic maps provide an outline for the location of genes within a genome, and they estimate the distance
between genes and genetic markers on the basis of recombination frequencies during meiosis. Physical maps provide
detailed information about the physical distance between the genes. The most detailed information is available through
sequence mapping. Information from all mapping and sequencing sources is combined to study an entire genome.
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Figure 17.10 A dideoxynucleotide is similar in structure to a deoxynucleotide, but is missing the 3' hydroxyl group
(indicated by the box). When a dideoxynucleotide is incorporated into a DNA strand, DNA synthesis stops.
Figure 17.11 Frederick Sanger's dideoxy chain termination method is illustrated. Using dideoxynucleotides, the DNA
fragment can be terminated at different points. The DNA is separated on the basis of size, and these bands, based on
the size of the fragments, can be read.
which is a group of automated techniques used for rapid DNA sequencing. These automated low-cost sequencers can
generate sequences of hundreds of thousands or millions of short fragments (25 to 500 base pairs) in the span of one day.
These sequencers use sophisticated software to get through the cumbersome process of putting all the fragments in order.
Comparing Sequences
A sequence alignment is an arrangement of proteins, DNA, or RNA; it is used to identify regions of similarity
between cell types or species, which may indicate conservation of function or structures. Sequence
alignments may be used to construct phylogenetic trees. The following website uses a software program
called BLAST (basic local alignment search tool) (http://openstaxcollege.org/l/32blast) .
Under “Basic Blast,” click “Nucleotide Blast.” Input the following sequence into the large "query sequence"
box: ATTGCTTCGATTGCA. Below the box, locate the "Species" field and type "human" or "Homo sapiens".
Then click “BLAST” to compare the inputted sequence against known sequences of the human genome.
The result is that this sequence occurs in over a hundred places in the human genome. Scroll down below
the graphic with the horizontal bars and you will see short description of each of the matching hits. Pick one
of the hits near the top of the list and click on "Graphics". This will bring you to a page that shows where
the sequence is found within the entire human genome. You can move the slider that looks like a green flag
back and forth to view the sequences immediately around the selected gene. You can then return to your
selected sequence by clicking the "ATG" button.
Cytochrome c oxidase is a highly conserved protein found in bacteria and in the mitochondria of eukaryotes. Based on
your knowledge of evolutionary relationships, which of the following statements would you expect to be true of the
cytochrome c oxidase protein sequence?
a. The bacterial protein will be more similar to the human protein than the yeast protein.
b. The yeast protein will be more similar to the human protein than the bacterial protein.
c. The bacterial protein will be more similar to the yeast protein than the human protein.
d. The bacterial and yeast protein will share a similar sequence, but the human protein will be unrelated.
a. Deep sequencing allows for much faster sequencing of short strands of DNA as compared to Sanger
sequencing which, reads only short sequences of DNA at a slow rate. Also, there is a high risk of chain
termination and problems with separation during Sanger sequencing.
c. Sanger sequencing is suitable when there is only one nucleotide different between chains whereas deep
sequencing is suitable when there is one or more than one nucleotide different between chains.
d. Sanger sequencing reads and sequences a genome multiple times whereas deep sequencing accurately
sequences the whole genome in a single time.
Section Summary
Whole-genome sequencing is the latest available resource to treat genetic diseases. Some doctors are using whole-
genome sequencing to save lives. Genomics has many industrial applications including biofuel development, agriculture,
pharmaceuticals, and pollution control. The basic principle of all modern-day sequencing strategies involves the chain
termination method of sequencing.
Although the human genome sequences provide key insights to medical professionals, researchers use whole-genome
sequences of model organisms to better understand the genome of the species. Automation and the decreased cost of whole-
genome sequencing may lead to personalized medicine in the future.
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Figure 17.12 PCA3 is a gene that is expressed in prostate epithelial cells and overexpressed in cancerous cells.
A high concentration of PCA3 in urine is indicative of prostate cancer. The PCA3 test is considered to be a better
indicator of cancer than the more well know PSA test, which measures the level of PSA (prostate-specific antigen)
in the blood.
In 2011, the U.S. Preventative Services Task Force recommended against using the PSA test to screen healthy men
for prostate cancer. Their recommendation is based on evidence that screening does not reduce the risk of death from
prostate cancer. Prostate cancer often develops very slowly and does not cause problems, while the cancer treatment
can have severe side effects. The PCA3 test is considered to be more accurate, but screening may still result in men
who would not have been harmed by the cancer itself suffering side effects from treatment. What do you think? Should
all healthy men be screened for prostate cancer using the PCA3 or PSA test? Should people in general be screened to
find out if they have a genetic risk for cancer or other diseases?
a. In general, all men should be screened as it is necessary to take the risk.
b. In general, all men should be given treatment irrespective of the presence or absence of cancer symptoms.
c. In general, only men suspecting cancer should be screened.
d. There is no requirement of any screening, as cancer shows no problems.
always the best way to study microorganisms. Metagenomics is the study of the collective genomes of multiple species
that grow and interact in an environmental niche. Metagenomics can be used to identify new species more rapidly and to
analyze the effect of pollutants on the environment (Figure 17.13).
Figure 17.13 Metagenomics involves isolating DNA from multiple species within an environmental niche.
Mitochondrial Genomics
Mitochondria are intracellular organelles that contain their own DNA. Mitochondrial DNA mutates at a rapid rate and is
often used to study evolutionary relationships. Another feature that makes studying the mitochondrial genome interesting is
that the mitochondrial DNA in most multicellular organisms is passed on from the mother during the process of fertilization.
For this reason, mitochondrial genomics is often used to trace genealogy.
Information and clues obtained from DNA samples found at crime scenes have been used as evidence in court cases, and
genetic markers have been used in forensic analysis. Genomic analysis has also become useful in this field. In 2001, the
first use of genomics in forensics was published. It was a collaborative attempt between academic research institutions
and the FBI to solve the mysterious cases of anthrax communicated via the US Postal Service. Using microbial genomics,
researchers determined that a specific strain of anthrax was used in all the mailings.
Genomics in Agriculture
Genomics can reduce the trials and failures involved in scientific research to a certain extent, which could improve the
quality and quantity of crop yields in agriculture. Linking traits to genes or gene signatures helps to improve crop breeding
to generate hybrids with the most desirable qualities. Scientists use genomic data to identify desirable traits, and then
transfer those traits to a different organism. Scientists are discovering how genomics can improve the quality and quantity
of agricultural production. For example, scientists could use desirable traits to create a useful product or enhance an existing
product, such as making a drought-sensitive crop more tolerant of the dry season.
Section Summary
Imagination is the only barrier to the applicability of genomics. Genomics is being applied to most fields of biology; it
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is being used for personalized medicine, prediction of disease risks at an individual level, the study of drug interactions
before the conduct of clinical trials, and the study of microorganisms in the environment as opposed to the laboratory. It
is also being applied to developments such as the generation of new biofuels, genealogical assessment using mitochondria,
advances in forensic science, and improvements in agriculture.
of systems biology data. Because proteins are the direct products of genes and reflect activity at the genomic level, it is
natural to use proteomes to compare the protein profiles of different cells to identify proteins and genes involved in disease
processes. Most pharmaceutical drug trials target proteins. Information obtained from proteomics is being used to identify
novel drugs and understand their mechanisms of action.
Figure 17.14 Two-hybrid screening is used to determine whether two proteins interact. In this method, a transcription
factor is split into a DNA-binding domain (BD) and an activator domain (AD). The binding domain is able to bind the
promoter in the absence of the activator domain, but it does not turn on transcription. A protein called the bait is
attached to the BD, and a protein called the prey is attached to the AD. Transcription occurs only if the prey catches
the bait.
The challenge of techniques used for proteomic analyses is the difficulty in detecting small quantities of proteins. Although
mass spectrometry is good for detecting small amounts of proteins, variations in protein expression in diseased states can
be difficult to discern. Proteins are naturally unstable molecules, which makes proteomic analysis much more difficult than
genomic analysis.
Cancer Proteomics
Genomes and proteomes of patients suffering from specific diseases are being studied to understand the genetic basis of
the disease. The most prominent disease being studied with proteomic approaches is cancer. Proteomic approaches are
being used to improve screening and early detection of cancer; this is achieved by identifying proteins whose expression
is affected by the disease process. An individual protein is called a biomarker, whereas a set of proteins with altered
expression levels is called a protein signature. For a biomarker or protein signature to be useful as a candidate for early
screening and detection of a cancer, it must be secreted in body fluids, such as sweat, blood, or urine, such that large-
scale screenings can be performed in a non-invasive fashion. The current problem with using biomarkers for the early
detection of cancer is the high rate of false-negative results. A false negative is an incorrect test result that should have
been positive. In other words, many cases of cancer go undetected, which makes biomarkers unreliable. Some examples of
protein biomarkers used in cancer detection are CA-125 for ovarian cancer and PSA for prostate cancer. Protein signatures
may be more reliable than biomarkers to detect cancer cells. Proteomics is also being used to develop individualized
treatment plans, which involves the prediction of whether or not an individual will respond to specific drugs and the side
effects that the individual may experience. Proteomics is also being used to predict the possibility of disease recurrence.
The National Cancer Institute has developed programs to improve the detection and treatment of cancer. The Clinical
Proteomic Technologies for Cancer and the Early Detection Research Network are efforts to identify protein signatures
specific to different types of cancers. The Biomedical Proteomics Program is designed to identify protein signatures and
design effective therapies for cancer patients.
Section Summary
Proteomics is the study of the entire set of proteins expressed by a given type of cell under certain environmental conditions.
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In a multicellular organism, different cell types will have different proteomes, and these will vary with changes in the
environment. Unlike a genome, a proteome is dynamic and in constant flux, which makes it both more complicated and
more useful than the knowledge of genomes alone.
Proteomics approaches rely on protein analysis; these techniques are constantly being upgraded. Proteomics has been used
to study different types of cancer. Different biomarkers and protein signatures are being used to analyze each type of cancer.
The future goal is to have a personalized treatment plan for each individual.
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KEY TERMS
antibiotic resistance ability of an organism to be unaffected by the actions of an antibiotic
chain termination method method of DNA sequencing using labeled dideoxynucleotides to terminate DNA
replication; it is also called the dideoxy method or the Sanger method
cytogenetic mapping technique that uses a microscope to create a map from stained chromosomes
DNA microarray method used to detect gene expression by analyzing an array of DNA fragments that are fixed to a glass
slide or a silicon chip to identify active genes and identify sequences
expressed sequence tag (EST) short STS that is identified with cDNA
false negative incorrect test result that should have been positive
foreign DNA DNA that belongs to a different species or DNA that is artificially synthesized
gel electrophoresis technique used to separate molecules on the basis of size using electric charge
gene targeting method for altering the sequence of a specific gene by introducing the modified version on a vector
gene therapy technique used to cure inheritable diseases by replacing mutant genes with good genes
genetic diagnosis diagnosis of the potential for disease development by analyzing disease-causing genes
genetic marker gene or sequence on a chromosome with a known location that is associated with a specific trait
genetically modified organism (GMO) organism whose genome has been artificially changed
genomic library collection of cloned DNA which represents all of the sequences and fragments from a genome
genomics study of entire genomes including the complete set of genes, their nucleotide sequence and organization, and
their interactions within a species and with other species
host DNA DNA that is present in the genome of the organism of interest
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linkage analysis procedure that analyzes the recombination of genes to determine if they are linked
lysis buffer solution used to break the cell membrane and release cell contents
metabolome complete set of metabolites which are related to the genetic makeup of an organism
metagenomics study of the collective genomes of multiple species that grow and interact in an environmental niche
microsatellite polymorphism variation between individuals in the sequence and number of repeats of microsatellite
DNA
model organism species that is studied and used as a model to understand the biological processes in other species
represented by the model organism
multiple cloning site (MCS) site that can be recognized by multiple restriction endonucleases
next-generation sequencing group of automated techniques used for rapid DNA sequencing
pharmacogenomics study of drug interactions with the genome or proteome; also called toxicogenomics
physical map representation of the physical distance between genes or genetic markers
probe small DNA fragment used to determine if the complementary sequence is present in a DNA sample
radiation hybrid mapping information obtained by fragmenting the chromosome with X-rays
recombinant DNA combination of DNA fragments generated by molecular cloning that does not exist in nature; also
known as a chimeric molecule
restriction endonuclease enzyme that can recognize and cleave specific DNA sequences
restriction fragment length polymorphism (RFLP) variation between individuals in the length of DNA fragments
generated by restriction endonucleases
reverse genetics method of determining the function of a gene by starting with the gene itself instead of starting with the
gene product
reverse transcriptase PCR (RT-PCR) PCR technique that involves converting RNA to DNA by reverse transcriptase
shotgun sequencing method used to sequence multiple DNA fragments to generate the sequence of a large piece of
DNA
systems biology study of whole biological systems (genomes and proteomes) based on interactions within the system
Ti plasmid plasmid system derived from Agrobacterium tumifaciens that has been used by scientists to introduce foreign
DNA into plant cells
variable number of tandem repeats (VNTRs) variation in the number of tandem repeats between individuals in the
population
whole-genome sequencing process that determines the DNA sequence of an entire genome
CHAPTER SUMMARY
17.1 Biotechnology
Nucleic acids can be isolated from cells for the purposes of further analysis by breaking open the cells and enzymatically
destroying all other major macromolecules. Fragmented or whole chromosomes can be separated on the basis of size by
gel electrophoresis. Short stretches of DNA or RNA can be amplified by PCR. Southern and northern blotting can be used
to detect the presence of specific short sequences in a DNA or RNA sample. The term cloning may refer to cloning small
DNA fragments (molecular cloning), cloning cell populations (cellular cloning), or cloning entire organisms (reproductive
cloning). Genetic testing is performed to identify disease-causing genes, and gene therapy is used to cure an inheritable
disease.
Transgenic organisms possess DNA from a different species, usually generated by molecular cloning techniques. Vaccines,
antibiotics, and hormones are examples of products obtained by recombinant DNA technology. Transgenic plants are
usually created to improve characteristics of crop plants.
Genome mapping is similar to solving a big, complicated puzzle with pieces of information coming from laboratories all
over the world. Genetic maps provide an outline for the location of genes within a genome, and they estimate the distance
between genes and genetic markers on the basis of recombination frequencies during meiosis. Physical maps provide
detailed information about the physical distance between the genes. The most detailed information is available through
sequence mapping. Information from all mapping and sequencing sources is combined to study an entire genome.
Whole-genome sequencing is the latest available resource to treat genetic diseases. Some doctors are using whole-genome
sequencing to save lives. Genomics has many industrial applications including biofuel development, agriculture,
pharmaceuticals, and pollution control. The basic principle of all modern-day sequencing strategies involves the chain
termination method of sequencing.
Although the human genome sequences provide key insights to medical professionals, researchers use whole-genome
sequences of model organisms to better understand the genome of the species. Automation and the decreased cost of
whole-genome sequencing may lead to personalized medicine in the future.
Imagination is the only barrier to the applicability of genomics. Genomics is being applied to most fields of biology; it is
being used for personalized medicine, prediction of disease risks at an individual level, the study of drug interactions
before the conduct of clinical trials, and the study of microorganisms in the environment as opposed to the laboratory. It is
also being applied to developments such as the generation of new biofuels, genealogical assessment using mitochondria,
768 Chapter 17 | Biotechnology and Genomics
Proteomics is the study of the entire set of proteins expressed by a given type of cell under certain environmental
conditions. In a multicellular organism, different cell types will have different proteomes, and these will vary with changes
in the environment. Unlike a genome, a proteome is dynamic and in constant flux, which makes it both more complicated
and more useful than the knowledge of genomes alone.
Proteomics approaches rely on protein analysis; these techniques are constantly being upgraded. Proteomics has been used
to study different types of cancer. Different biomarkers and protein signatures are being used to analyze each type of
cancer. The future goal is to have a personalized treatment plan for each individual.
REVIEW QUESTIONS
1. How are GMOs created?
a. introducing recombinant DNA into an organism by any means
b. in vitro fertilization methods
c. mutagenesis
d. plant breeding techniques
2. Which technique used to manipulate genetic material results in a significant increase in DNA or RNA fragments?
a. gel electrophoresis
b. nucleic acid extraction
c. nuclear hybridization
d. polymerase chain reaction (PCR)
3. What is the role of the plasmid in molecular cloning?
a. They are used to create clones.
b. They are used as vectors to insert genes into bacteria.
c. They are a functional part of binary fission.
d. They contain the circular chromosome of prokaryotic organisms.
4. What is meant by a recombinant DNA molecule?
a. chimeric molecules
b. bacteria transformed into another species
c. molecules that have been through the PCR process
d. the result of crossing over during cell reproduction
5. Bt toxin is considered to be what?
a. a gene for modifying insect DNA
b. an organic insecticide produced by bacteria
c. a nerve toxin in humans
d. a strain of genetically modified tomatoes
6. What is one trait of the Flavr Savr Tomato?
a. has a better shelf life
b. is not a variety of vine-ripened tomato in the supermarket
c. was not created to have better flavor
d. undergoes soft rot
7. What is the first step in isolating DNA?
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a. metagenomics
b. linkage analysis
c. genomics
d. shotgun sequencing
24. What is a biomarker?
a. the color coding of different genes
b. a protein uniquely produced in a diseased state
c. a molecule in the genome or proteome
d. a marker that is genetically inherited
25. What is a metabolome?
a. a provisional listing of the genome of a species
b. a unique metabolite used to identify an individual
c. a method used for protein analysis
d. the complete set of metabolites related to the genetic makeup of an organism
26. How would you describe a set of proteins with altered expression levels?
a. a group of biomarkers
b. a protein signature
c. the result of a defect in mRNA transcription
d. the results of crossing over during cell replication
27. What is a protein signature?
a. a protein expressed on the cell surface
b. a unique set of proteins present in a diseased state
c. the path followed by a protein after it is synthesized in the nucleus
d. the path followed by a protein in the cytoplasm
28. What word describes a protein that is uniquely produced in a diseased state?
a. a genomic protein
b. a genetic defect
c. a chimeric molecule
d. a biomarker
29. The metabolites that results from the anabolic and catabolic reactions of an organisms is called what?
a. genetic metabolic profile
b. metabolic signature
c. metabolome
d. metagenomics
a. Southern blotting is used to find particular DNA sequences. Fragments are separated on gel, incubated with
probes to check for the sequence of interest, and transferred to a nylon membrane.
b. Southern blotting is used to find particular DNA sequences. Fragments are separated on gel, transferred to a
nylon membrane, and incubated with probes to check for the sequence of interest.
c. Southern blotting is used to find particular RNA sequences. Fragments are separated on gel, transferred to nylon
membrane, and incubated with probes to check for sequence of interest.
d. Southern blotting is used to find particular RNA sequences. Fragments are separated on gel, incubated with
probes to check for the sequence of interest, and transferred to a nylon membrane.
31. A researcher wants to study cancer cells from a patient with breast cancer. Is cloning the cancer cells an option?
a. The cancer cells should be cloned along with a biomarker for better detection and study.
b. The cells should be screened first in order to assure their carcinogenic nature.
c. The cancer cells, being clones of each other already, should directly be grown in a culture media and then
studied.
d. The cancer cells should be extracted using the specific antibodies.
32. Discuss the uses of genome mapping.
a. Genome mapping is useful in identifying human disease-causing genes, developing microbes to clean up
pollutants, and increasing crop yield.
b. Genome mapping is directly required to produce recombinants, in FISH detection, and detecting the methylated
parts of genetic material.
c. Genome mapping is useful for knowing the pedigree of diseases in humans and tracing the movement of
transposons in plants.
d. Genome mapping identifies human disease-causing genes only.
33. If you had a chance to get your genome sequenced, what are some questions you might be able to have answered about
yourself?
a. One can determine the drugs that can rectify a disease, symptoms of the disease and its severity.
b. One can determine the ancestry and genetic origin of diseases and their susceptibility to drugs.
c. One can predict the symptoms of a disease, the vectors to be used in gene therapy and the causal organism of the
disease.
d. One can determine the pedigree of a disease, produce recombinants and detect the presence of extracellular
genes using FISH.
34. Describe an example of a genomic mapping method
a. The radiation mapping method is an example which uses radiation to break the DNA and is affected by changes
in recombination frequency.
b. Cytogenetic mapping obtains information from microscopic analysis of stained chromosomes. It can estimate
the approximate distance between markers.
c. In restriction mapping, the DNA fragments are cut by using the restriction enzymes and then stained fragments
are viewed on gel.
d. Cytogenetic mapping obtains information from microscopic analysis of stained chromosomes. It can estimate
the exact base pair distance between markers.
35. Describe three methods of gene sequencing.
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a. Chain termination method - automated sequencers are used to generate sequences of short fragments; Shotgun
sequencing method - incorporation of ddNTP during DNA replication; Next-generation sequencing - cutting
DNA into random fragments, sequencing using chain termination, and assembling overlapping sequences
b. Chain termination method - incorporation of ddNTP during DNA replication; Shotgun sequencing method -
cutting DNA into random fragments, sequencing using chain termination, and assembling overlapping
sequences; Next-generation sequencing - automated sequencers are used to generate sequences of short
fragments
c. Chain termination method - incorporation of ddNTP during DNA replication; Shotgun sequencing method -
automated sequencers are used to generate sequences of short fragments; Next-generation sequencing - cutting
DNA into random fragments, sequencing using chain termination, and assembling overlapping sequences
d. Chain termination method - automated sequencers are used to generate sequences of short fragments; Shotgun
sequencing method - cutting DNA into random fragments, sequencing using chain termination, and assembling
overlapping sequences; Next-generation sequencing - incorporation of ddNTP during DNA replication
36. What is the greatest challenge facing genome sequencing?
a. the lack of resources and use of chemicals for the sequencing of the DNA fragments
b. the ethical issues such as discrimination based on person’s genetics
c. the use of chemicals during the sequencing methods that could incorporate mutations
d. the scientific issues, like conserving the human genome sequences
37. How is shotgun sequencing performed?
a. The DNA is cut into fragments, sequencing is done using the chain termination method, fragments are analyzed
to see the overlapping sequences, and the entire fragment is reformed.
b. The DNA is cut into fragments, overlapping sequences are analyzed using a computer, sequencing is done using
the chain termination method, and the DNA fragment is reformed.
c. The DNA is cut into fragments, stained with fluorescent dye, sequenced using the chain termination method,
fragments are analyzed to see the overlapping sequences, and the entire DNA fragment is reformed.
d. The DNA is cut into fragments, sequencing is done using the chain termination method, the DNA is stained with
fluorescent dye, and a computer is used to analyze and reform the entire DNA fragment.
38. Coumadin is a drug frequently given to prevent excessive blood clotting in stroke or heart attack patients, which could
lead to another stroke or heart attack. Administration of the drug also can result in an overdose in some patients,
depending on the liver function of a patient. How could pharmacogenomics be used to assist these patients?
a. Pharmacogenomics will be able to provide a counter-acting drug to decrease the effect of Coumadin.
b. Pharmacogenomics will test every patient for their sensitivity to the drug.
c. Pharmacogenomics will not be able to provide any help to patients highly sensitive to the drug.
d. Pharmacogenomics will provide an overdose to each patient to test for the symptoms of the drug.
39. Why is so much effort being poured into genome mapping applications?
a. Genome mapping is necessary to know the base pair difference between the markers.
b. The mapping would help scientists understand the role of proteins in specific organelles.
c. The mapping technique identifies the role of transposons.
d. Genome mapping helps identify faulty alleles, which could cause diseases.
40. What is the reason for studying mitochondrial genomics that is most directly important for humans?
a. Mitochondria evolved from bacteria; therefore, their genome is important to study.
b. Mitochondria undergo rapid mutation and it is essential that this pattern be studied.
c. Mitochondria contain DNA, and it is passed on from mother to offspring, which renders it helpful in tracing
genealogy.
d. Mitochondria are the only ATP-producing organelles of the cell, thus their genome is important.
41. How can proteomics complement genomics?
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a. The genes are responsible for producing proteins, which implies that proteomics complements genomics.
b. Genomics is responsible for deciding the structure of the proteins and, thereby, the result of proteomic studies.
c. The genome is constant, but proteome is dynamic as different tissues possess the same genes but express
different genes, thereby complementing genomics.
d. The study of genes is incomplete without the study of their respective proteins, thus they complement each other.
42. How could a proteomic map of the human genome help find a cure for cancer?
a. A genetic map could help in identifying genes that could counteract the cause of cancer.
b. Metabolomics can be used to study the genes producing metabolites during cancer.
c. Proteomics detects biomarkers whose expression is affected by the disease process.
d. The mapping helps in analyzing the inheritance of cancer-causing genes.
43. What contributions have been made through the use of microbial genomics?
a. Microbial genomics has provided various tools to study the psychological behaviors of organisms.
b. Microbial genomics has been useful in producing antibiotics, enzymes, improved vaccines, disease treatments
and advanced cleanup techniques.
c. Microbial genomics has contributed resistance in other bacteria by horizontal and lateral gene transfer
mechanisms.
d. Microbial genomics has contributed to fighting global warming.
a. The foreign DNA and plasmid are cut with the same restriction enzyme and DNA is inserted within the lacZ
gene, whose product metabolizes lactose. The foreign DNA and vector are allowed to anneal. The vector is
transferred to a bacterial host that is ampicillin sensitive and those with a disrupted lacZ gene show inability to
metabolize X-gal.
b. The foreign DNA and plasmid are denatured using high heat, and DNA is inserted within the lacZ gene, whose
product metabolizes glucose. The foreign DNA and vector are allowed to anneal. The vector is transferred to a
bacterial host that is ampicillin sensitive and disrupted lacZ gene will metabolize X-gal
c. The foreign DNA and plasmid are cut with the same restriction enzyme and DNA is inserted randomly in the
plasmid. The foreign DNA and vector are allowed to anneal. The vector is transferred to a bacterial host that is
ampicillin sensitive and the disrupted lacZ gene shows inability to synthesize X-gal.
d. The foreign DNA and plasmid are cut with the same restriction enzyme and DNA is inserted within the lacZ
gene, whose product metabolizes lactose. The foreign DNA and vector are allowed to anneal. The vector is
transformed into a viral host that is ampicillin sensitive and the disrupted lacZ gene show inability to synthesize
X-gal.
48. There are three methods of creating maps to evaluate genomes: cytogenetic (staining chromosomes); radiation hybrid
maps (fragments with X-rays); and sequence maps (comparing DNA sequences). Which of the following accurately
describes the three methods?
a. Cytogenetic mapping - stained sections of chromosomes are analyzed using microscope, the distance between
genetic markers can be found; Radiation hybrid mapping - breaks DNA using radiation and is affected by
recombination frequency; Sequence mapping - DNA sequencing technology used to create physical maps
b. Cytogenetic mapping - stained sections of chromosomes are analyzed using microscope, the approximate
distance between genetic markers can be found; Radiation hybrid mapping - breaks DNA using radiation and is
unaffected by recombination frequency; Sequence mapping - DNA sequencing technology used to create
physical maps
c. Cytogenetic mapping - stained sections of chromosomes are analyzed using microscope, the distance in base
pairs between genetic markers can be found; Radiation hybrid mapping - breaks DNA using radiation and is
unaffected by recombination frequency; Sequence mapping - DNA sequencing technology used to create
physical maps.
d. Cytogenetic mapping - stained sections of chromosomes are analyzed using a telescope, the distance between
genetic markers can be found; Radiation hybrid mapping - breaks DNA using radiation and is affected by
recombination frequency; Sequence mapping - DNA sequencing technology used to create physical maps.
49. How many cells with different genetic variations are possible after a single round of meiosis?
a. 2
b. 3
c. 4
d. 8
Figure 17.15
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a. Use the diagram above to identify the components of a transcript-based response of bacteria to the presence of
viral DNA by placing the corresponding number next to each feature of the diagram: ___ viral DNA ___
degraded viral DNA ___ cell membrane
___ cellular DNA ___ cas protein ___ stored viral DNA template
___ excised viral DNA ___ cas protein-RNA complex
___ cas protein-RNA-viral DNA complex
The CRISPR system was discovered in cultures of yogurt in 2002. Subsequently, researchers developed a
technology based on the manipulation of this system. The code for the prokaryotic CRISPR/cas system is highly
conserved and is found in the human genome. DNA sequences are known to encode proteins responsible for
many heritable diseases. CRISPR/cas is a technology that allows DNA to be cleaved at the boundaries of a
nucleotide sequence, making the protein dysfunctional. The break in the strand is then recognized and replaced
with the code for the functional protein. If the editing is done with zygote-forming cells, the change is inherited.
Not only the patient, but all progeny of the patient, are cured. This technology is the first to easily make genomic
modifications of a germ line. In the words of a prominent molecular biologist, this technology, which was
recognized as the Breakthrough of 2015 in the journal Science, “democratizes genetic engineering.” Just as PCR
became a standard, widely used tool, any molecular biology lab is now able to apply this technology.
b. Pose three questions—whose pursuit would require an understanding of genetics—regarding the ethical and
social issues that accompany the use of this medical technology.
c. Explain the value of genetic variation within a population. Predict a possible effect that this technology could
have, if unregulated, on human genetic variation.
51. Gel electrophoresis of polymers and polymer fragments is an important element in many investigations. Samples of a
solution are pipetted into the wells of a gel. The gel is placed in a solution that maintains a constant pH, and an electric
field is applied over the length of the gel. Separated components are transferred to a substrate where they can be visualized
and identified by comparison with samples of standards. Application of this method to DNA is called a Southern blot,
named for the inventor of the technology. The method’s application to RNA is called a northern blot, another
demonstration that biologist have fun (there are also western, eastern, and far-eastern blots, but these techniques are not
named for their inventors).
Chapter 17 | Biotechnology and Genomics 777
a. Consider the three amino acids shown below and explain how, when pipetted into a gel and subjected to an
electric field, the amino acids move; how the amino acids are separated as they move; and which amino acid
moves furthest.
Figure 17.16
b. A biologist wants to determine whether a new protocol is successful in constructing and amplifying a molecular
clone of a segment of DNA introduced as a plasmid. After the procedure is complete, the bacterial cells
containing the plasmid with the inserted segment are lysed, and a gel is run into which samples of the lysate and
the sequences to be cloned have been pipetted. Use the data displayed in the developed gel shown below to
evaluate the question of whether the protocol was successful.
Figure 17.17
c. Design a plan to answer the question of whether the new DNA has been incorporated into the DNA of the host
organism.
52. Genetic engineering can be applied to heritable information to produce what is referred to as a “knockdown organism.”
Biotechnology also can be applied to produce nonheritable changes in a “knockdown gene.” Post-transcriptional strategies
target the mRNA product of a gene. One such strategy uses the conserved genes that encode RNA interference (RNAi)
proteins for the regulation of levels of mRNA transcription.
Some viral RNA is double stranded (dsRNA). A cell responds to the presence of double-stranded RNA by the attachment
of the enzyme DICER, which cuts dsRNA into short fragments. One strand of the fragment is transferred to the RNA-
induced silencing complex (RISC), which searches for an mRNA with a sequence matching that of the fragment strand.
When detected, this mRNA is degraded.
778 Chapter 17 | Biotechnology and Genomics
a. Common in cancer cells is a mutation of the gene that encodes the protein p53, whose role is to detect and repair
errors in DNA; if repairs cannot be made, p53 initiates apoptosis. Create a visual representation to explain
how the DICER-RISC system within the cell can be used to suppress the translation of a mutated form of the
gene encoding p53, potentially destroying a tumor.
b. Whole-genome sequences provide a library of potentially expressed proteins, but they do not provide
information on the functions of each protein. In an approach called reverse genetics, investigations attempt to
determine the function of the gene, often by silencing the gene using RNAi technology. Assume that you have
the ability to synthesize dsRNA from a DNA segment taken from an organism whose whole genome has been
determined. Design a plan for collecting data that could be used to assign a function to the protein encoded by
this sequence. (Hint: Don’t worry about the number of experiments that might need to be conducted to
implement your plan. An automated technique called high-throughput screening robotically supports thousands
of simultaneous experiments.)
Chapter 18 | Evolution and Origin of Species 779
18 | EVOLUTION AND
ORIGIN OF SPECIES
Figure 18.1 All organisms are products of evolution adapted to their environment. (a) Saguaro (Carnegiea gigantea)
can soak up 750 liters of water in a single rain storm, enabling these cacti to survive the dry conditions of the Sonora
desert in Mexico and the Southwestern United States. (b) The Andean semiaquatic lizard (Potamites montanicola)
discovered in Peru in 2010 lives between 1,570 to 2,100 meters in elevation, and, unlike most lizards, is nocturnal and
swims. Scientists still do no know how these ectotherms, which rely on external sources of body heat, are able to move
in the cold (10 to 15°C) temperatures of the Andean night. (credit a: modification of work by Gentry George, U.S. Fish
and Wildlife Service; credit b: modification of work by Germán Chávez and Diego Vásquez, ZooKeys)
Chapter Outline
18.1: Understanding Evolution
18.2: Formation of New Species
18.3: Reconnection and Rates of SpeciationReconnection and Rates of Speciation
Introduction
The field of biology is a diverse one that includes the study of organisms from the small and simple to the large and
complex. From biological molecules to biomes, the one theme that remains consistent is evolution. All species of living
organisms are descended from a common ancestor. Although it may seem that living things today stay much the same, this
is not the case. Evolution is actually an ongoing process. Additionally, new species are discovered regularly. For example,
scientists have used a method called fluorescent in situ hybridization, which uses fluorescent probes to locate specific genes
on chromosomes, to discover a green sea slug that can perform photosynthesis just like a plant. The slug obtains genes
related to photosynthesis from the algae it eats through a process called horizontal gene transfer. In this process, genes can
be transferred directly from one cell to another. The algal genes code for products that repair and maintain chloroplasts eaten
by the slug. You can read more about it at this website (http://openstaxcollege.org/l/32slug) .
780 Chapter 18 | Evolution and Origin of Species
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
Chapter 18 | Evolution and Origin of Species 781
5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Science Practice
scientific question.
Learning 1.9 The student is able to evaluate evidence provided by data from many scientific
Objective disciplines that support biological evolution.
Essential
1.A.2 Natural selection acts on phenotypic variations in populations.
Knowledge
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 1.5 The student is able to connect evolutionary changes in a population over time to a
Objective change in the environment.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines,
Knowledge including mathematics.
2.2 The student can apply mathematical routines to quantities that describe natural
Science Practice
phenomena.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines,
Knowledge including mathematics.
5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Science Practice
scientific question.
Learning 1.12 The student is able to connect scientific evidence from many scientific disciplines to
Objective support the modern concept of evolution.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines,
Knowledge including mathematics.
Science Practice 5.2 The student can refine observations and measurements based on data analysis.
Learning 1.10 The student is able to refine evidence based on data from many scientific disciplines
Objective that support biological evolution.
Enduring
Understanding Life continues to evolve within a changing environment.
1.C
Essential
1.C.3 Populations of organisms continue to evolve.
Knowledge
Science Practice 7.1 The student can connect phenomena and models across spatial and temporal scales.
Learning 1.26 The student is able to evaluate given data sets that illustrate evolution as an ongoing
Objective processes.
Essential
1.C.3 Populations of organisms continue to evolve.
Knowledge
Science Practice 7.1 The student can connect phenomena and models across spatial and temporal scales.
Learning
1.25 The student is able to describe a model that represents evolution within a population.
Objective
Essential
1.C.3 Populations of organisms continue to evolve.
Knowledge
Science Practice 7.1 The student can connect phenomena and models across spatial and temporal scales.
Learning 1.4 The student is able to evaluate data-based evidence that describes evolutionary
Objective changes in the genetic makeup of a population over time.
782 Chapter 18 | Evolution and Origin of Species
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.10]
• [APLO 1.12]
• [APLO 1.13]
• [APLO 1.31]
• [APLO 1.32]
• [APLO 1.27]
• [APLO 1.28]
• [APLO 1.30]
• [APLO 1.14]
• [APLO 1.29]
• [APLO 1.26]
• [APLO 4.8]
Figure 18.2 Darwin observed that beak shape varies among finch species. He postulated that the beak of an ancestral
species had adapted over time to equip the finches to acquire different food sources.
Wallace and Darwin both observed similar patterns in other organisms and they independently developed the same
explanation for how and why such changes could take place. Darwin called this mechanism natural selection. Natural
selection, also known as survival of the fittest, is the more prolific reproduction of individuals with favorable traits that
survive environmental change because of those traits; this leads to evolutionary change.
For example, a population of giant tortoises found in the Galapagos Archipelago was observed by Darwin to have longer
necks than those that lived on other islands with dry lowlands. These tortoises were selected because they could reach
more leaves and access more food than those with short necks. In times of drought when fewer leaves would be available,
those that could reach more leaves had a better chance to eat and survive than those that couldn’t reach the food source.
Consequently, long-necked tortoises would be more likely to be reproductively successful and pass the long-necked trait to
their offspring. Over time, only long-necked tortoises would be present in the population.
Natural selection, Darwin argued, was an inevitable outcome of three principles that operated in nature. First, most
characteristics of organisms are inherited, or passed from parent to offspring. Although no one, including Darwin and
Wallace, knew how this happened at the time, it was a common understanding. Second, more offspring are produced than
are able to survive, so resources for survival and reproduction are limited. The capacity for reproduction in all organisms
outstrips the availability of resources to support their numbers. Thus, there is competition for those resources in each
generation. Both Darwin and Wallace’s understanding of this principle came from reading an essay by the economist
Thomas Malthus who discussed this principle in relation to human populations. Third, offspring vary among each other in
regard to their characteristics and those variations are inherited. Darwin and Wallace reasoned that offspring with inherited
characteristics which allow them to best compete for limited resources will survive and have more offspring than those
individuals with variations that are less able to compete. Because characteristics are inherited, these traits will be better
represented in the next generation. This will lead to change in populations over generations in a process that Darwin
called descent with modification. Ultimately, natural selection leads to greater adaptation of the population to its local
environment; it is the only mechanism known for adaptive evolution.
Papers by Darwin and Wallace (Figure 18.3) presenting the idea of natural selection were read together in 1858 before
the Linnean Society in London. The following year Darwin’s book, “On the Origin of Species”, was published. His book
outlined in considerable detail his arguments for evolution by natural selection.
784 Chapter 18 | Evolution and Origin of Species
Figure 18.3 Both (a) Charles Darwin and (b) Alfred Wallace wrote scientific papers on natural selection that were
presented together before the Linnean Society in 1858.
Demonstrations of evolution by natural selection are time consuming and difficult to obtain. One of the best examples has
been demonstrated in the very birds that helped to inspire Darwin’s theory: the Galápagos finches. Peter and Rosemary
Grant and their colleagues have studied Galápagos finch populations every year since 1976 and have provided important
demonstrations of natural selection. The Grants found changes from one generation to the next in the distribution of beak
shapes with the medium ground finch on the Galápagos island of Daphne Major. The birds have inherited variation in the
bill shape with some birds having wide deep bills and others having thinner bills. During a period in which rainfall was
higher than normal because of an El Niño, the large hard seeds that large-billed birds ate were reduced in number; however,
there was an abundance of the small soft seeds which the small-billed birds ate. Therefore, survival and reproduction were
much better in the following years for the small-billed birds. In the years following this El Niño, the Grants measured beak
sizes in the population and found that the average bill size was smaller. Since bill size is an inherited trait, parents with
smaller bills had more offspring and the size of bills had evolved to be smaller. As conditions improved in 1987 and larger
seeds became more available, the trend toward smaller average bill size ceased.
Chapter 18 | Evolution and Origin of Species 785
Field Biologist
Many people hike, explore caves, scuba dive, or climb mountains for recreation. People often participate
in these activities hoping to see wildlife. Experiencing the outdoors can be incredibly enjoyable and
invigorating. What if your job was to be outside in the wilderness? Field biologists by definition work outdoors
in the field. The term field in this case refers to any location outdoors, even under water. A field biologist
typically focuses research on a certain species, group of organisms, or a single habitat (Figure 18.4).
Figure 18.4 A field biologist tranquilizes a polar bear for study. (credit: Karen Rhode)
One objective of many field biologists includes discovering new species that have never been recorded.
Not only do such findings expand our understanding of the natural world, but they also lead to important
innovations in fields such as medicine and agriculture. Plant and microbial species, in particular, can reveal
new medicinal and nutritive knowledge. Other organisms can play key roles in ecosystems or be considered
rare and in need of protection. When discovered, these important species can be used as evidence for
environmental regulations and laws.
Many of these adaptations are the result of thousands of generations of evolutionary changes and thus involve multiple
genes. However, the mutation of just one gene can result in a phenotypic change that can increase or decrease an organism’s
adaptation to its environment. For example, a single nucleotide change can change the color of a field mouse from black to
white. In a single generation, this new mouse would be more adapted to survive in snowy terrains than its parents.
Whether or not a trait is favorable depends on the environmental conditions at the time. The same traits are not always
selected because environmental conditions can change. For example, consider a species of plant that grew in a moist climate
and did not need to conserve water. Large leaves were selected because they allowed the plant to obtain more energy from
the sun. Large leaves require more water to maintain than small leaves, and the moist environment provided favorable
conditions to support large leaves. After thousands of years, the climate changed, and the area no longer had excess water.
The direction of natural selection shifted so that plants with small leaves were selected because those populations were able
to conserve water to survive the new environmental conditions.
The evolution of species has resulted in enormous variation in form and function. Sometimes, evolution gives rise to groups
of organisms that become tremendously different from each other. When two species evolve in diverse directions from a
common point, it is called divergent evolution. Such divergent evolution can be seen in the forms of the reproductive organs
of flowering plants which share the same basic anatomies; however, they can look very different as a result of selection in
different physical environments and adaptation to different kinds of pollinators (Figure 18.5).
Figure 18.5 Flowering plants evolved from a common ancestor. Notice that the (a) dense blazing star (Liatrus spicata)
and the (b) purple coneflower (Echinacea purpurea) vary in appearance, yet both share a similar basic morphology.
(credit a: modification of work by Drew Avery; credit b: modification of work by Cory Zanker)
In other cases, similar phenotypes evolve independently in distantly related species. For example, flight has evolved in both
bats and insects, and they both have structures we refer to as wings, which are adaptations to flight. However, the wings
of bats and insects have evolved from very different original structures. This phenomenon is called convergent evolution,
where similar traits evolve independently in species that do not share a recent common ancestry. The two species came to
the same function, flying, but did so separately from each other.
These physical changes occur over enormous spans of time and help explain how evolution occurs. Natural selection acts on
individual organisms, which in turn can shape an entire species. Although natural selection may work in a single generation
on an individual, it can take thousands or even millions of years for the genotype of an entire species to evolve. It is over
these large time spans that life on earth has changed and continues to change.
Evidence of Evolution
The evidence for evolution is compelling and extensive. Looking at every level of organization in living systems, biologists
see the signature of past and present evolution. Darwin dedicated a large portion of his book, “On the Origin of Species”, to
identifying patterns in nature that were consistent with evolution, and since Darwin, our understanding has become clearer
and broader.
Fossils
Fossils provide solid evidence that organisms from the past are not the same as those found today, and fossils show a
progression of evolution. Scientists determine the age of fossils and categorize them from all over the world to determine
when the organisms lived relative to each other. The resulting fossil record tells the story of the past and shows the evolution
of form over millions of years (Figure 18.6). For example, scientists have recovered highly detailed records showing the
evolution of humans and horses.
Chapter 18 | Evolution and Origin of Species 787
Figure 18.6 In this (a) display, fossil hominids are arranged from oldest (bottom) to newest (top). As hominids evolved,
the shape of the skull changed. An artist’s rendition of (b) extinct species of the genus Equus reveals that these ancient
species resembled the modern horse (Equus ferus) but varied in size.
Figure 18.7 The similar construction of these appendages indicates that these organisms share a common ancestor.
Some structures exist in organisms that have no apparent function at all, and appear to be residual parts from a past common
ancestor. These unused structures without function are called vestigial structures. Examples of vestigial structures include
wings on flightless birds, leaves on some cacti, and hind leg bones in whales.
788 Chapter 18 | Evolution and Origin of Species
Visit this interactive site (http://openstaxcollege.org/l/bone_structures) to guess which bones structures are
homologous and which are analogous, and see examples of evolutionary adaptations to illustrate these concepts.
What is the basic difference between things that are homologous and things that are analogous?
a. Things that are analogous look similar and things that are homologous do not.
b. Things that are analogous have the same function and things that are homologous have different functions.
c. Things that are analogous are not a result of evolution, whereas things that are homologous are.
d. Things that are analogous result from convergence and things that are homologous result from common
ancestry
Another evidence of evolution is the convergence of form in organisms that share similar environments. For example,
species of unrelated animals, such as the arctic fox and ptarmigan, living in the arctic region have been selected for seasonal
white phenotypes during winter to blend with the snow and ice (Figure 18.8ab). These similarities occur not because of
common ancestry, but because of similar selection pressures—the benefits of not being seen by predators.
Figure 18.8 The white winter coat of the (a) arctic fox and the (b) ptarmigan’s plumage are adaptations to their
environments. (credit a: modification of work by Keith Morehouse)
Embryology, the study of the development of the anatomy of an organism to its adult form, also provides evidence
of relatedness between now widely divergent groups of organisms. Mutational tweaking in the embryo can have such
magnified consequences in the adult that embryo formation tends to be conserved. As a result, structures that are absent
in some groups often appear in their embryonic forms and disappear by the time the adult or juvenile form is reached. For
example, all vertebrate embryos, including humans, exhibit gill slits and tails at some point in their early development.
These disappear in the adults of terrestrial groups but are maintained in adult forms of aquatic groups such as fish and some
amphibians. Great ape embryos, including humans, have a tail structure during their development that is lost by the time of
birth.
Biogeography
The geographic distribution of organisms on the planet follows patterns that are best explained by evolution in conjunction
with the movement of tectonic plates over geological time. Broad groups that evolved before the breakup of the
Chapter 18 | Evolution and Origin of Species 789
supercontinent Pangaea, about 200 million years ago, are distributed worldwide. Groups that evolved since the breakup
appear uniquely in regions of the planet, such as the unique flora and fauna of northern continents that formed from the
supercontinent Laurasia and of the southern continents that formed from the supercontinent Gondwana. The presence of
members of the plant family Proteaceae in Australia, southern Africa, and South America, for example, is best explained by
their presence prior to the southern supercontinent Gondwana breaking up.
The great diversification of marsupials in Australia and the absence of other mammals reflect Australia’s long isolation.
Australia has an abundance of endemic species—species found nowhere else—which is typical of islands whose isolation
by expanses of water prevents species from migrating. Over time, these species diverge evolutionarily into new species that
look very different from their ancestors that may exist on the mainland. The marsupials of Australia, the finches on the
Galápagos, and many species on the Hawaiian Islands are all unique to their one point of origin, yet they display distant
relationships to ancestral species on mainlands.
Molecular Biology
Like anatomical structures, the structures of the molecules of life reflect descent with modification. Evidence of a common
ancestor for all of life is reflected in the universality of DNA as the genetic material and in the near universality of
the genetic code and the machinery of DNA replication and expression. Fundamental divisions in life between the three
domains are reflected in major structural differences in otherwise conservative structures such as the components of
ribosomes and the structures of membranes. In general, the relatedness of groups of organisms is reflected in the similarity
of their DNA sequences—exactly the pattern that would be expected from descent and diversification from a common
ancestor.
DNA sequences have also shed light on some of the mechanisms of evolution. For example, it is clear that the evolution of
new functions for proteins commonly occurs after gene duplication events that allow the free modification of one copy by
mutation, selection, or drift (changes in a population’s gene pool resulting from chance), while the second copy continues
to produce a functional protein.
Direct Observations
Evolution has also been well documented in direct observations made by scientists. For mammalian species such as humans
with long reproductive cycles, it takes thousands if not millions of years for significant changes in allelic frequency to be
observed in the gene pool. However, in species such as bacteria with faster reproductive cycles, it is possible to observe
natural selection at work. When bacteria are exposed to antibiotics, for example, the alleles that help bacteria resist the
antibiotic increase rapidly Figure 18.9. This is because non-resistant individuals quickly die off, leaving only resistant
individuals in the population.
Figure 18.9
Misconceptions of Evolution
Although the theory of evolution generated some controversy when it was first proposed, it was almost universally accepted
by biologists, particularly younger biologists, within 20 years after publication of “On the Origin of Species”. Nevertheless,
the theory of evolution is a difficult concept and misconceptions about how it works abound.
This site (http://openstaxcollege.org/l/misconceptions) addresses some of the main misconceptions associated with the
theory of evolution.
>Select one misconception about evolution and explain what you might say to someone to dispel it.
b. Misconception—Humans are not currently evolving. Correction—The environmental pressures humans face
are different than the ones they faced several thousands of years ago, but they are still there, and they are still
producing evolutionary change.
Activity
Using information from a book or online resource such as Jonathan Weiner’s “The Beak of the Finch”,
explain how contemporary evidence drawn from multiple scientific disciplines supports the observations
of Charles Darwin regarding evolution by natural selection. Then, in small groups or as a whole class
discussion or debate, present an argument to dispel misconceptions about evolution and how it works.
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based, Investigation 8: Biotechnology: Bacterial Transformation.
You will explore how genetic engineering techniques can be used to manipulate heritable information by
inserting plasmids into bacterial cells.
Think About It
What selection pressures may affect the survival and reproduction of a group of pea seeds scattered by a person along
the ground?
792 Chapter 18 | Evolution and Origin of Species
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Life continues to evolve within a changing environment.
1.C
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Knowledge
Chapter 18 | Evolution and Origin of Species 793
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 1.20 The student is able to analyze data related to questions of speciation and extinction
Objective throughout Earth’s history.
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s
Knowledge
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Learning 1.21 The student is able to design a plan for collecting data to investigate the scientific claim
Objective that speciation and extinction have occurred throughout Earth’s history.
Essential 1.C.2 Speciation may occur when two populations become reproductively isolated from each
Knowledge other.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 1.22 The student is able to use data from a real or simulated population(s), based on graphs
Objective or models of types of selection, to predict what will happen to the population in the future.
Essential 1.C.2 Speciation may occur when two populations become reproductively isolated from each
Knowledge other.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 1.23 The student is able to justify the selection of data that address questions related to
Objective reproductive isolation and speciation.
Essential 1.C.2 Speciation may occur when two populations become reproductively isolated from each
Knowledge other.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 1.24 The student is able to describe speciation in an isolated population and connect it to
Objective change in gene frequency, change in environment, natural selection, and/or genetic drift.
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential
3.C.1 Changes in genotype can result in changes in phenotype.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 3.24 The student is able to predict how a change in genotype, when expressed as a
Objective phenotype, provides a variation that can be subject to natural selection.
Essential
3.C.1 Changes in genotype can result in changes in phenotype.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.26 The student is able to explain the connection between genetic variations in organisms
Objective and phenotypic variations in populations.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
794 Chapter 18 | Evolution and Origin of Species
Figure 18.10 The (a) poodle and (b) cocker spaniel can reproduce to produce a breed known as (c) the cockapoo.
(credit a: modification of work by Sally Eller, Tom Reese; credit b: modification of work by Jeremy McWilliams; credit c:
modification of work by Kathleen Conklin)
In other cases, individuals may appear similar although they are not members of the same species. For example, even though
bald eagles (Haliaeetus leucocephalus) and African fish eagles (Haliaeetus vocifer) are both birds and eagles, each belongs
to a separate species group (Figure 18.11). If humans were to artificially intervene and fertilize the egg of a bald eagle with
the sperm of an African fish eagle and a chick did hatch, that offspring, called a hybrid (a cross between two species), would
probably be infertile—unable to successfully reproduce after it reached maturity. Different species may have different genes
that are active in development; therefore, it may not be possible to develop a viable offspring with two different sets of
directions. Thus, even though hybridization may take place, the two species still remain separate.
Figure 18.11 The (a) African fish eagle is similar in appearance to the (b) bald eagle, but the two birds are members of
different species. (credit a: modification of work by Nigel Wedge; credit b: modification of work by U.S. Fish and Wildlife
Service)
Populations of species share a gene pool: A collection of all the variants of genes in the species. Again, the basis to
Chapter 18 | Evolution and Origin of Species 795
any changes in a group or population of organisms must be genetic for this is the only way to share and pass on traits.
When variations occur within a species, they can only be passed to the next generation along two main pathways: asexual
reproduction or sexual reproduction. The change will be passed on asexually simply if the reproducing cell possesses
the changed trait. For the changed trait to be passed on by sexual reproduction, a gamete, such as a sperm or egg cell,
must possess the changed trait. In other words, sexually-reproducing organisms can experience several genetic changes
in their body cells, but if these changes do not occur in a sperm or egg cell, the changed trait will never reach the next
generation. Only heritable traits can evolve. Therefore, reproduction plays a paramount role for genetic change to take root
in a population or species. In short, organisms must be able to reproduce with each other to pass new traits to offspring.
Until recently, these three species of short-tailed pythons, Python curtus, Python brongersmai (middle), and
Python breitensteini were considered one species. However, due to the different locations in which they are
found, they have become three distinct species.
Figure 18.12
Until recently, these three species of short-tailed pythons, Python curtus, Python brongersmai (middle), and Python
breitensteini were considered one species. However, due to the different locations in which they are found, they have
become three distinct species. What is this an example of?
a. divergent evolution
b. sympatric speciation
c. allopatric speciation
d. variation
Speciation
The biological definition of species, which works for sexually reproducing organisms, is a group of actually or potentially
interbreeding individuals. There are exceptions to this rule. Many species are similar enough that hybrid offspring are
possible and may often occur in nature, but for the majority of species this rule generally holds. In fact, the presence in
nature of hybrids between similar species suggests that they may have descended from a single interbreeding species, and
the speciation process may not yet be complete.
Given the extraordinary diversity of life on the planet there must be mechanisms for speciation: the formation of two
species from one original species. Darwin envisioned this process as a branching event and diagrammed the process in the
only illustration found in “On the Origin of Species” (Figure 18.13a). Compare this illustration to the diagram of elephant
evolution (Figure 18.13b), which shows that as one species changes over time, it branches to form more than one new
species, repeatedly, as long as the population survives or until the organism becomes extinct.
796 Chapter 18 | Evolution and Origin of Species
Figure 18.13 The only illustration in Darwin's “On the Origin of Species” is (a) a diagram showing speciation events
leading to biological diversity. The diagram shows similarities to phylogenetic charts that are drawn today to illustrate
the relationships of species. (b) Modern elephants evolved from the Palaeomastodon, a species that lived in Egypt
35–50 million years ago.
For speciation to occur, two new populations must be formed from one original population and they must evolve in such
a way that it becomes impossible for individuals from the two new populations to interbreed. Biologists have proposed
mechanisms by which this could occur that fall into two broad categories. Allopatric speciation (allo- = other; -patric
= homeland) involves geographic separation of populations from a parent species and subsequent evolution. Sympatric
speciation (sym- = same; -patric = homeland) involves speciation occurring within a parent species remaining in one
location.
Biologists think of speciation events as the splitting of one ancestral species into two descendant species. There is no reason
why there might not be more than two species formed at one time except that it is less likely and multiple events can be
conceptualized as single splits occurring close in time.
Allopatric Speciation
A geographically continuous population has a gene pool that is relatively homogeneous. Gene flow, the movement of alleles
across the range of the species, is relatively free because individuals can move and then mate with individuals in their new
location. Thus, the frequency of an allele at one end of a distribution will be similar to the frequency of the allele at the other
end. When populations become geographically discontinuous, that free-flow of alleles is prevented. When that separation
lasts for a period of time, the two populations are able to evolve along different trajectories. Thus, their allele frequencies
at numerous genetic loci gradually become more and more different as new alleles independently arise by mutation in
each population. Typically, environmental conditions, such as climate, resources, predators, and competitors for the two
populations will differ causing natural selection to favor divergent adaptations in each group.
Isolation of populations leading to allopatric speciation can occur in a variety of ways: A river forming a new branch,
erosion forming a new valley, a group of organisms traveling to a new location without the ability to return, or seeds floating
over the ocean to an island. The nature of the geographic separation necessary to isolate populations depends entirely on
the biology of the organism and its potential for dispersal. If two flying insect populations took up residence in separate
nearby valleys, chances are, individuals from each population would fly back and forth continuing gene flow. However, if
two rodent populations became divided by the formation of a new lake, continued gene flow would be unlikely; therefore,
speciation would be more likely.
Biologists group allopatric processes into two categories: dispersal and vicariance. Dispersal is when a few members of a
species move to a new geographical area, and vicariance is when a natural situation arises to physically divide organisms.
Scientists have documented numerous cases of allopatric speciation taking place. For example, along the west coast of
the United States, two separate sub-species of spotted owls exist. The northern spotted owl has genetic and phenotypic
differences from its close relative: the Mexican spotted owl, which lives in the south (Figure 18.14).
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Figure 18.14 The northern spotted owl and the Mexican spotted owl inhabit geographically separate locations with
different climates and ecosystems. The owl is an example of allopatric speciation. (credit northern spotted owl:
modification of work by John and Karen Hollingsworth; credit Mexican spotted owl: modification of work by Bill Radke)
Additionally, scientists have found that the farther the distance between two groups that once were the same species, the
more likely it is that speciation will occur. This seems logical because as the distance increases, the various environmental
factors would likely have less in common than locations in close proximity. Consider the two owls: In the north, the climate
is cooler than in the south; the types of organisms in each ecosystem differ, as do their behaviors and habits; also, the hunting
habits and prey choices of the southern owls vary from the northern owls. These variances can lead to evolved differences
in the owls, and speciation likely will occur.
Adaptive Radiation
In some cases, a population of one species disperses throughout an area, and each population finds a distinct niche or
isolated habitat. Over time, the varied demands of their new lifestyles lead to multiple speciation events originating from a
single species. This is called adaptive radiation because many adaptations evolve from a single point of origin; thus, causing
the species to radiate into several new ones. Island archipelagos like the Hawaiian Islands provide an ideal context for
adaptive radiation events because water surrounds each island which leads to geographical isolation for many organisms.
The Hawaiian honeycreeper illustrates one example of adaptive radiation. From a single species, called the founder species,
numerous species have evolved, including the six shown in Figure 18.15.
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Figure 18.15 The honeycreeper birds illustrate adaptive radiation. From one original species of bird, multiple others
evolved, each with its own distinctive characteristics.
Notice the differences in the species’ beaks in Figure 18.15. Evolution in response to natural selection based on specific
food sources in each new habitat led to evolution of a different beak suited to the specific food source. The seed-eating bird
has a thicker, stronger beak which is suited to break hard nuts. The nectar-eating birds have long beaks to dip into flowers
to reach the nectar. The insect-eating birds have beaks like swords, appropriate for stabbing and impaling insects. Darwin’s
finches are another example of adaptive radiation in an archipelago.
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Click through this interactive site (http://openstaxcollege.org/l/bird_evolution) to see how island birds evolved in
evolutionary increments from 5 million years ago to today.
Name three examples of adaptive radiation, and provide a brief statement about each one.
a. Domestic dogs – There are over 300 distinct dog breeds. Cows – There are over 800 cow breeds recognized
worldwide. Domestic cats – Cats have changed drastically in just a few thousand years.
b. Whales and fish – Although it has been roughly 400 million years since fish and mammals diverged,
whales and fish are morphologically similar. Birds and butterflies – Although the common ancestor between
vertebrates and insects lived even longer ago than the common ancestor between whales and fish, birds and
butterflies both developed flight. Rabbits and kangaroos – Although it has been over 150 million years since
their divergence, rabbits and kangaroos both developed powerful jumping legs.
c. Hawaiian silverswords-There are about 30 species evolved from one parent species. Madagascar lemurs-
Their common ancestor likely arrived to Madagascar over 60 million years ago. Hawaiian fruit fly-There are
500 species of fruit fly from one parent species.
d. Beetles – There are about 350,000 species of beetles that we know of. Birds – There are almost 10,000
species of birds in existence. Frogs – There are almost 5,000 species of frogs worldwide.
Sympatric Speciation
Can divergence occur if no physical barriers are in place to separate individuals who continue to live and reproduce in
the same habitat? The answer is yes. The process of speciation within the same space is called sympatric speciation; the
prefix sym means same, so sympatric means same homeland in contrast to allopatric meaning other homeland. A number
of mechanisms for sympatric speciation have been proposed and studied.
One form of sympatric speciation can begin with a serious chromosomal error during cell division. In a normal cell division
event chromosomes replicate, pair up, and then separate so that each new cell has the same number of chromosomes.
However, sometimes the pairs separate and the end cell product has too many or too few individual chromosomes in a
condition called aneuploidy (Figure 18.16).
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Figure 18.16 Aneuploidy results when the gametes have too many or too few chromosomes due to nondisjunction
during meiosis. In the example shown here, the resulting offspring will have 2n+1 or 2n-1 chromosomes
Polyploidy is a condition in which a cell or organism has an extra set, or sets, of chromosomes. Scientists have identified
two main types of polyploidy that can lead to reproductive isolation of an individual in the polyploidy state. Reproductive
isolation is the inability to interbreed. In some cases, a polyploid individual will have two or more complete sets of
chromosomes from its own species in a condition called autopolyploidy (Figure 18.17). The prefix auto- means self, so
the term means multiple chromosomes from one’s own species. Polyploidy results from an error in meiosis in which all of
the chromosomes move into one cell instead of separating.
For example, if a plant species with 2n = 6 produces autopolyploid gametes that are also diploid (2n = 6, when they should
be n = 3), the gametes now have twice as many chromosomes as they should have. These new gametes will be incompatible
with the normal gametes produced by this plant species. However, they could either self-pollinate or reproduce with other
autopolyploid plants with gametes having the same diploid number. In this way, sympatric speciation can occur quickly by
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forming offspring with 4n called a tetraploid. These individuals would immediately be able to reproduce only with those of
this new kind and not those of the ancestral species.
The other form of polyploidy occurs when individuals of two different species reproduce to form a viable offspring called
an allopolyploid. The prefix allo- means other (recall from allopatric): Therefore, an allopolyploid occurs when gametes
from two different species combine. Figure 18.18 illustrates one possible way an allopolyploid can form. Notice how it
takes two generations, or two reproductive acts, before the viable fertile hybrid results.
Figure 18.18 Alloploidy results when two species mate to produce viable offspring. In the example shown, a normal
gamete from one species fuses with a polyploidy gamete from another. Two matings are necessary to produce viable
offspring.
The cultivated forms of wheat, cotton, and tobacco plants are all allopolyploids. Although polyploidy occurs occasionally
in animals, it takes place most commonly in plants. Animals with any of the types of chromosomal aberrations described
here are unlikely to survive and produce normal offspring. Scientists have discovered more than half of all plant species
studied relate back to a species evolved through polyploidy. With such a high rate of polyploidy in plants, some scientists
hypothesize that this mechanism takes place more as an adaptation than as an error.
Activity
Create a visual representation such as a diagram with annotation to explain how island chains provide ideal
conditions for allopatric speciation and adaptive radiation to occur. Then design a plan for collecting data to
support the claim that speciation has occurred.
Think About It
• Two species of fish had recently undergone sympatric speciation. The males of each species had a different
coloring through which the females could identify and choose a partner from her own species. After some time,
pollution made the lake so cloudy that it was hard for females to distinguish colors. What might take place in this
situation?
• In a lake where most fish of a single species exhibit colorful stripes, a few individual animals have muted colors.
The local fisherman receives a large order to catch the most colorful fish for a local aquarium store. The fisherman
casts wide nets across the lake to catch a large number of the fish. He then keeps the colorful fish for the aquarium
and throws back the dull colored fish. How will this single event change the make-up of the fish population?
Reproductive Isolation
Given enough time, the genetic and phenotypic divergence between populations will affect characters that influence
reproduction: If individuals of the two populations were to be brought together, mating would be less likely, but if mating
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occurred, offspring would be nonviable or infertile. Many types of diverging characters may affect the reproductive
isolation, the inability to interbreed, of the two populations.
Reproductive isolation can take place in a variety of ways. Scientists organize them into two groups: prezygotic barriers and
postzygotic barriers. Recall that a zygote is a fertilized egg: The first cell of the development of an organism that reproduces
sexually. Therefore, a prezygotic barrier is a mechanism that blocks reproduction from taking place; this includes barriers
that prevent fertilization when organisms attempt reproduction. A postzygotic barrier occurs after zygote formation; this
includes organisms that don’t survive the embryonic stage and those that are born sterile.
Some types of prezygotic barriers prevent reproduction entirely. Many organisms only reproduce at certain times of the
year, often just annually. Differences in breeding schedules, called temporal isolation, can act as a form of reproductive
isolation. For example, two species of frogs inhabit the same area, but one reproduces from January to March, whereas the
other reproduces from March to May (Figure 18.19).
Figure 18.19 These two related frog species exhibit temporal reproductive isolation. (a) Rana aurora breeds earlier in
the year than (b) Rana boylii. (credit a: modification of work by Mark R. Jennings, USFWS; credit b: modification of
work by Alessandro Catenazzi)
In some cases, populations of a species move or are moved to a new habitat and take up residence in a place that no longer
overlaps with the other populations of the same species. This situation is called habitat isolation. Reproduction with the
parent species ceases, and a new group exists that is now reproductively and genetically independent. For example, a cricket
population that was divided after a flood could no longer interact with each other. Over time, the forces of natural selection,
mutation, and genetic drift will likely result in the divergence of the two groups (Figure 18.20).
Figure 18.20 Speciation can occur when two populations occupy different habitats. The habitats need not be far apart.
The cricket (a) Gryllus pennsylvanicus prefers sandy soil, and the cricket (b) Gryllus firmus prefers loamy soil. The two
species can live in close proximity, but because of their different soil preferences, they became genetically isolated.
Behavioral isolation occurs when the presence or absence of a specific behavior prevents reproduction from taking place.
For example, male fireflies use specific light patterns to attract females. Various species of fireflies display their lights
differently. If a male of one species tried to attract the female of another, she would not recognize the light pattern and would
not mate with the male.
Other prezygotic barriers work when differences in their gamete cells, eggs and sperm, prevent fertilization from taking
place; this is called a gametic barrier. Similarly, in some cases closely related organisms try to mate, but their reproductive
structures simply do not fit together. For example, damselfly males and females of different species have differently shaped
reproductive organs. If one species tries to mate with another, their body parts simply do not fit together (Figure 18.21).
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Figure 18.21 The shape of the male reproductive organ varies among male damselfly species, and is only compatible
with the female of the same species. Reproductive organ incompatibility keeps each species reproductively isolated.
In plants, certain structures aimed to attract one type of pollinator simultaneously prevent a different pollinator from
accessing the pollen. The tunnel through which an animal must access nectar can vary widely in length and diameter, which
prevents the plant from being cross-pollinated with a different species (Figure 18.22).
Figure 18.22 Some flowers have evolved to attract certain pollinators. The (a) wide foxglove flower is adapted for
pollination by bees, while the (b) long, tube-shaped trumpet creeper flower is adapted for pollination by hummingbirds.
When fertilization takes place and a zygote forms, postzygotic barriers can prevent reproduction. Hybrid individuals in
many cases cannot form normally in the womb and simply do not survive past the embryonic stages. This is called hybrid
inviability because the hybrid organisms simply are not viable. In another postzygotic situation, reproduction leads to the
birth and growth of a hybrid that is sterile and unable to reproduce offspring of their own; this is called hybrid sterility.
Habitat Influence on Speciation
Sympatric speciation may also take place in ways other than polyploidy. For example, consider a species of fish that lives in
a lake. As the population grows, competition for food also grows. Under pressure to find food, suppose that a group of these
fish had the genetic flexibility to discover and feed off another resource that was unused by the other fish. What if this new
food source was found at a different depth of the lake? Over time, those feeding on the second food source would interact
more with each other than the other fish; therefore, they would breed together as well. Offspring of these fish would likely
behave as their parents: feeding and living in the same area and keeping separate from the original population. If this group
of fish continued to remain separate from the first population, eventually sympatric speciation might occur as more genetic
differences accumulated between them.
This scenario does play out in nature, as do others that lead to reproductive isolation. One such place is Lake Victoria in
Africa, famous for its sympatric speciation of cichlid fish. Researchers have found hundreds of sympatric speciation events
in these fish, which have not only happened in great number, but also over a short period of time. Figure 18.23 shows
this type of speciation among a cichlid fish population in Nicaragua. In this locale, two types of cichlids live in the same
geographic location but have come to have different morphologies that allow them to eat various food sources.
Figure 18.23 Cichlid fish from Lake Apoyeque, Nicaragua, show evidence of sympatric speciation. Lake Apoyeque,
a crater lake, is 1,800 years old, but genetic evidence indicates that the lake was populated only 100 years ago by
a single population of cichlid fish. Nevertheless, two populations with distinct morphologies and diets now exist in the
lake, and scientists believe these populations may be in an early stage of speciation.
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Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Life continues to evolve within a changing environment.
Understanding 1.C
Essential Knowledge 1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Science Practice 5.1 The student can analyze data to identify patterns or relationships.
1.20 The student is able to analyze data related to questions of speciation and
Learning Objective
extinction throughout Earth’s history.
Speciation occurs over a span of evolutionary time, so when a new species arises, there is a transition period during which
the closely related species continue to interact.
Reconnection
After speciation, two species may continue interacting indefinitely or even recombine. Individual organisms will mate
with any nearby individual who they are capable of breeding with. An area where two closely related species continue to
interact and reproduce, forming hybrids, is called a hybrid zone. Over time, the hybrid zone may change depending on the
fitness of the hybrids and the reproductive barriers (Figure 18.24). If the hybrids are less fit than the parents, reinforcement
of speciation occurs, and the species continue to diverge until they can no longer mate and produce viable offspring. If
reproductive barriers weaken, fusion occurs and the two species become one. Barriers remain the same if hybrids are fit and
reproductive: Stability may occur and hybridization continues.
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Figure 18.24 After speciation has occurred, the two separate but closely related species may continue to
produce offspring in an area called the hybrid zone. Reinforcement, fusion, or stability may result, depending on
reproductive barriers and the relative fitness of the hybrids.
What are three different pathways that species evolution may take in hybrid zones?
a. stability, fusion, reinforcement
b. allopatric speciation, sympatric speciation, fusion
c. convergent evolution, divergent evolution, no evolution
d. natural selection, genetic drift, gene flow
Hybrids can be either less fit than the parents, more fit, or about the same. Usually hybrids tend to be less fit; therefore, such
reproduction diminishes over time, nudging the two species to diverge further in a process called reinforcement. This term
is used because the low success of the hybrids reinforces the original speciation. If the hybrids are as fit or more fit than the
parents, the two species may fuse back into one species (Figure 18.25). Scientists have also observed that sometimes two
species will remain separate but also continue to interact to produce some hybrid individuals; this is classified as stability
because no real net change is taking place.
Figure 18.25 In (a) gradual speciation, species diverge at a slow, steady pace as traits change incrementally. In
(b) punctuated equilibrium, species diverge quickly and then remain unchanged for long periods of time.
The primary influencing factor on changes in speciation rate is environmental conditions. Under some conditions, selection
occurs quickly or radically. Consider a species of snails that had been living with the same basic form for many thousands
of years. Layers of their fossils would appear similar for a long time. When a change in the environment takes place—such
as a drop in the water level—a small number of organisms are separated from the rest in a brief period of time, essentially
forming one large and one tiny population. The tiny population faces new environmental conditions. Because its gene pool
quickly became so small, any variation that surfaces and that aids in surviving the new conditions becomes the predominant
form.
Chapter 18 | Evolution and Origin of Species 807
Visit this website (http://openstaxcollege.org/l/snails) to continue the speciation story of the snails.
808 Chapter 18 | Evolution and Origin of Species
KEY TERMS
acquired characteristics modifications caused by an individual’s environment that can be inherited by its offspring
adaptation heritable trait or behavior in an organism that aids in its survival and reproduction in its present environment
adaptive radiation speciation when one species radiates out to form several other species
aneuploidy condition of a cell having an extra chromosome or missing a chromosome for its species
behavioral isolation type of reproductive isolation that occurs when a specific behavior or lack of one prevents
reproduction from taking place
convergent evolution process by which groups of organisms independently evolve to similar forms
dispersal allopatric speciation that occurs when a few members of a species move to a new geographical area
divergent evolution process by which groups of organisms evolve in diverse directions from a common point
gametic barrier prezygotic barrier occurring when closely related individuals of different species mate, but differences in
their gamete cells (eggs and sperm) prevent fertilization from taking place
gradual speciation model model that shows how species diverge gradually over time in small steps
habitat isolation reproductive isolation resulting when populations of a species move or are moved to a new habitat,
taking up residence in a place that no longer overlaps with the other populations of the same species
homologous structures parallel structures in diverse organisms that have a common ancestor
hybrid offspring of two closely related individuals, not of the same species
hybrid zone area where two closely related species continue to interact and reproduce, forming hybrids
natural selection reproduction of individuals with favorable genetic traits that survive environmental change because of
those traits, leading to evolutionary change
postzygotic barrier reproductive isolation mechanism that occurs after zygote formation
prezygotic barrier reproductive isolation mechanism that occurs before zygote formation
punctuated equilibrium model for rapid speciation that can occur when an event causes a small portion of a population
to be cut off from the rest of the population
reinforcement continued speciation divergence between two related species due to low fitness of hybrids between them
reproductive isolation situation that occurs when a species is reproductively independent from other species; this may
be brought about by behavior, location, or reproductive barriers
temporal isolation differences in breeding schedules that can act as a form of prezygotic barrier leading to reproductive
Chapter 18 | Evolution and Origin of Species 809
isolation
theory of evolution explains how populations change over time and how life diversifies the origin of species
vestigial structure physical structure present in an organism but that has no apparent function and appears to be from a
functional structure in a distant ancestor
vicariance allopatric speciation that occurs when something in the environment separates organisms of the same species
into separate groups
CHAPTER SUMMARY
18.1 Understanding Evolution
Evolution is the process of adaptation through mutation which allows more desirable characteristics to be passed to the
next generation. Over time, organisms evolve more characteristics that are beneficial to their survival. For living
organisms to adapt and change to environmental pressures, genetic variation must be present. With genetic variation,
individuals have differences in form and function that allow some to survive certain conditions better than others. These
organisms pass their favorable traits to their offspring. Eventually, environments change, and what was once a desirable,
advantageous trait may become an undesirable trait and organisms may further evolve. Evolution may be convergent with
similar traits evolving in multiple species or divergent with diverse traits evolving in multiple species that came from a
common ancestor. Evidence of evolution can be observed by means of DNA code and the fossil record, and also by the
existence of homologous and vestigial structures.
Speciation occurs along two main pathways: geographic separation (allopatric speciation) and through mechanisms that
occur within a shared habitat (sympatric speciation). Both pathways isolate a population reproductively in some form.
Mechanisms of reproductive isolation act as barriers between closely related species, enabling them to diverge and exist as
genetically independent species. Prezygotic barriers block reproduction prior to formation of a zygote, whereas
postzygotic barriers block reproduction after fertilization occurs. For a new species to develop, something must cause a
breach in the reproductive barriers. Sympatric speciation can occur through errors in meiosis that form gametes with extra
chromosomes (polyploidy). Autopolyploidy occurs within a single species, whereas allopolyploidy occurs between closely
related species.
Speciation is not a precise division: Overlap between closely related species can occur in areas called hybrid zones.
Organisms reproduce with other similar organisms. The fitness of these hybrid offspring can affect the evolutionary path
of the two species. Scientists propose two models for the rate of speciation: One model illustrates how a species can
change slowly over time; the other model demonstrates how change can occur quickly from a parent generation to a new
species. Both models continue to follow the patterns of natural selection.
REVIEW QUESTIONS
1. Which scientific concept did Charles Darwin and Alfred Wallace independently discover?
a. mutation
b. natural selection
c. overbreeding
d. sexual reproduction
2. Which of these statements about a natural principle that points to the inevitability of natural selection is false?
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a. The bacteria develops resistance to the antibiotic in direct response to its application.
b. The bacteria’s genetic material mutates in response to the antibiotic, resulting in resistance.
c. A gene for resistance, already present in the population, decreases in frequency.
d. A gene for resistance, already present in the population, increases in frequency.
11. Which is the best definition of species?
a. A group of individual organisms with significant genetic similarities
b. a group of individual organisms with significant genetic similarities that share external and internal
characteristics
c. a group of individual organisms that interbreed
d. a group of individual organisms that interbreed and produce viable, fertile offspring
12. What do scientists focus on to distinguish between species?
a. ecological niches
b. morphological differences
c. reproductive barriers
d. genetic changes
13. Which are two primary sources of genetic variation?
a. mutations and sexual reproduction
b. isolation and sexual reproduction
c. sexual reproduction and asexual reproduction
d. migration and sexual reproduction
14. Which statement best describes the relationship between genetic variation and speciation?
a. Without genetic variation, speciation would occur more slowly.
b. Without genetic variation, speciation would not be possible.
c. Genetic variation influences sympatric speciation, but not allopatric speciation.
d. There is no relationship between genetic variation and any form of speciation.
15. Which statement about postzygotic barriers is false?
a. They occur after fertilization.
b. They include hybrids that are sterile.
c. They include hybrid organisms that don’t survive the embryonic stage.
d. They include reproductive organ incompatibility.
16. Which situation is an example of a prezygotic barrier?
a. Two species of fish produce sterile offspring.
b. Two species of flowers attract different pollinators.
c. Two species of insects mate, but the zygote does not survive.
d. Two species of lizards mate, but the offspring dies before reproducing.
17. Which situation would most likely lead to allopatric speciation?
a. A flood causes the formation of a new lake
b. A storm causes several large trees to fall down.
c. A mutation causes a new trait to develop.
d. An injury causes an organism to seek out a new food source.
18. What is the main difference between an autopolyploid individual and an allopolyploid individual?
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a. When the theory of evolution was first proposed, it met with a lot of criticism and disbelief, but it is widely
supported today. Theories that have withstood a larger amount of criticism are more credible than those that are
accepted easily
b. The theory of evolution has its foundation in both biological and geological observations, making it a more
credible theory because it can explain more about the world
c. The theory of evolution relies on the heritability of traits, but the mechanism of this inheritance was not
understood when the theory was developed. This reduces the credibility of the theory because the people who
created it did not understand how it worked
d. It is meaningful that two naturalists working independently from each other offered the same explanation for the
same set of phenomena. When two people independently look at the same evidence and come to the same
conclusion, this reinforces the credibility of that conclusion
26. Describe how an adaptation, such as better running speed, relates to natural selection.
a. Natural selection produces beneficial adaptations, such as better running speed, in individuals that run more
frequently
b. Natural selection randomly mutates individuals’ genetic code until it produces beneficial adaptations, such as
better running speed
c. Natural selection produces adaptations, such as better running speed, to help individuals survive and reproduce
d. Natural selection reproduces individuals with favorable genetic traits-such as the adaptation of better running
speed-over time.
27. Give an example of convergent evolution and explain how it supports the theory of evolution by natural selection.
a. An example of convergent evolution is the development of the same function, swimming, in organisms that live
in different parts of the globe, such as Arctic beluga whales and Antarctic right whales. The fact that organisms
that do not come in contact with each other have developed the same traits suggests that natural selection can
produce similar adaptations in organisms who share a similar environment
b. An example of convergent evolution is the set of adaptations, such as better running speed or more efficient
hunting, developed by a species in response to competition with a new species that moves into the same region.
The fact that a species adapts after it comes into contact with a competitor suggests that natural selection works
more quickly with higher selective pressures.
c. An example of convergent evolution is the development of an ancestral structure, a limb, into two different
modern structures, such as a hand and a flipper. The fact that natural selection can cause a structure to develop
down two different pathways due to different environmental conditions supports the theory of evolution
d. An example of convergent evolution is the development of the same function, flying, in organisms that do not
share a recent common ancestry, such as insects and birds. The fact that wings that allow flight have developed
from very different original structures suggests that the process of natural selection can produce similar
adaptations in two very different types of organisms who share a similar environment
28. Why do scientists consider vestigial structures evidence for evolution?
a. Vestigial structures are the result of convergent evolution, so they are good evidence that natural selection act
similarly in similar environmental conditions.
b. Vestigial structures are the result of common ancestry, so they are good evidence that different populations of
organisms evolved from a common point.
c. Vestigial structures are the result of convergent evolution, so they are good evidence for an end goal to
evolution.
d. Vestigial structures are the result of common ancestry, so they are good evidence for a common origin of all life.
29. How does the scientific meaning of theory differ from the common vernacular meaning?
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a. A scientific theory is a hypothesis that needs to be tested, whereas people often use theory to mean a simple
guess.
b. A scientific theory is a statement that has been proven correct, while people often use it to mean a statement that
has not yet been verified.
c. A scientific theory is a thoroughly tested set of explanations for a body of observations of nature, while people
often use it to mean a guess or speculation.
d. A scientific theory is a random guess, while people often use it to mean a statement that is somewhat based in
fact.
30. Reproduction occurs when a gamete fertilizes another gamete. This occurs through a number of mechanisms. In fish,
sperm and ova are released directly into the water. The sperm can swim to fertilize the ova. Explain what evolutionary
adaptations are needed for fertilization to occur in terrestrial flowers, mentioning both the roles of the gametophytes and
the roles of the gametes.
31. Sickle cell anemia is caused by a mutation in the gene for hemoglobin, which follows a Mendelian inheritance pattern.
To have sickle cell anemia, an individual must inherit two copies of this mutation. However, having only one copy of the
mutation provides malaria resistance. Predict how this mutation would affect the reproductive potential of humans in
countries with endemic malaria.
32. Why is having a way of defining species and distinguishing between them important for the study of evolution?
a. A distinction between species allows scientists to understand the common origin of all species.
b. A common definition of species allows scientists to agree on all aspects of the theory of evolution.
c. Divergence can only occur at the species level: It does not occur to larger taxa. Therefore it is important to know
which groups are distinct species.
d. In the study of evolution, the species is the unit over which change is measured.
33. If a population stopped reproducing sexually, but still reproduced asexually, how would its genetic variation be
affected over time? Could speciation occur in this situation?
a. Genetic variation would increase and speciation would be possible
b. Genetic variation would increase and speciation would not be possible.
c. Genetic variation would decrease and speciation would be possible.
d. Genetic variation would decrease and speciation would not be possible.
34. What role do prezygotic and postzygotic barriers play in speciation?
a. Prezygotic and postzygotic barriers allow for the formation of less-fit hybrids that reinforces speciation.
b. Prezygotic and postzygotic barriers prevent interbreeding of species such that there is no gene flow between
them.
c. Prezygotic and postzygotic barriers prevent migration of the two species, causing them to remain in contact with
each other and begin to interbreed.
d. Prezygotic and postzygotic barriers are present only in newly formed species, allowing scientists to identify the
time of divergence of the species.
35. Which type of speciation, allopatric or sympatric, is more common? Why?
a. Allopatric speciation is more common because it prevents gene flow between the species.
b. Allopatric speciation is more common because it involves stronger prezygotic barriers.
c. Sympatric speciation is more common because it prevents gene flow between the species.
d. Sympatric speciation is more common because it involves stronger prezygotic barriers.
36. Use adaptive radiation to explain the diversification of the finches Darwin observed in the Galapagos.
Chapter 18 | Evolution and Origin of Species 815
a. The finches likely shared a common ancestor when they came to the island, but exhibited different traits. Each
species of finch settled the island where its particular traits would be the most adaptive.
b. The finches likely originated as one parent species, but over time mutations caused them to develop reproductive
barriers and separate into different species. To reduce competition, the species then radiated out to inhabit
different islands.
c. The finches likely dispersed from one parent species, and natural selection based on different food sources in
differing habitats led to adaptive changes, evidenced in the different beak shapes of the different species-each
suited to a different food type.
d. It is likely that a series of cataclysmic events caused an original finch species to diverge into the many finch
species that inhabited the islands when Darwin observed them. The different species then radiated out to the
different islands and adapted to the different conditions on each.
37. A population of flowers was separated into two when a new river cut through the plain in which they were growing.
The number of interbreeding events per year for the two groups of flowers is shown in the graph below. Twenty-four years
after the new river, can you conclude that the two populations of flowers have become new species? Why or why not?
Figure 18.26
38. Describe a situation where hybrid reproduction would cause two species to fuse into one.
a. Separate species cannot interbreed, so hybrid reproduction does not occur in nature
b. If the hybrid offspring are more fit than the parents, reproduction would likely continue between both species
and the hybrids, eventually bringing all organisms under the umbrella of one species
c. Two species that have recently diverged from each other can reproduce with each other, creating hybrid
individuals that belong to the species of the parents’ common ancestor.
d. If two species occupy the same niche in the same area, they can either compete or they can collaborate and
reproduce with each other, eventually fusing into a single species
39. What do both rate of speciation models have in common?
a. Both models ignore the influence of gene flow for simplicity’s sake.
b. Both models apply only to island chains.
c. Both models require the influence of cataclysmic events which precipitate rapid adaptation and speciation
d. Both models conform to the rules of natural selection and the influences of gene flow, genetic drift, and mutation
40. Describe a situation where hybrid reproduction would cause two species to continue divergence.
a. If two closely related species continue to produce hybrids, the hybrids will compete with both species, causing
them to find new niches which will further their divergence
b. If two closely related species continue to produce hybrids, they will develop reproductive barriers to prevent
production of hybrids, to ensure that they remain separate species.
c. If two closely related species continue to produce hybrids that are less fit than the parent species, there would be
reinforcement of divergence.
d. If two closely related species continue to produce hybrids they will always converge into a single species
816 Chapter 18 | Evolution and Origin of Species
a. an increase in the number of dark moths and a decrease in the number of light moths
b. an increase in the number of moths overall
c. an approximately equal number of light moths and dark moths
d. an increase in the number of light moths and a decrease in the number of dark moths
43. Prior to 1800 in England, the typical moth of the species Biston betularia (peppered moth) had a light pattern. Dark
colored moths were rare. By the late nineteenth century, the light-colored moths were rare, and the moths with dark
patterns were abundant.
The cause of this change was hypothesized to be selective predation by birds (Tutt, 1896). During the industrial revolution,
soot and other wastes from industrial processes killed tree lichens and darkened tree trunks. Thus, prior to the pollution of
the industrial revolution, dark moths stood out on light-colored trees and were vulnerable to predators. With the rise of
pollution, however, the coloring of moths vulnerable to predators changed to light.
Commonly used in biology text books, the peppered moth is a classic example of evolutionary change in action. The
example describes changes in a population’s allele frequencies-a small scale change, evolutionarily speaking. The presence
of both light and dark forms within the gene pool is demonstrated by the story, but the peppered moth stays a peppered
moth.
Which scenario, if it were to occur, would be a model for large scale evolutionary change?
a. Conditions change such that the dark form of the moth is favored and the light form is diminished in the
population due to predation. Conditions change again, the dark form is vulnerable, and the light form returns to
prevalence.
b. Conditions change such that the dark form of the moth is favored and the light form is eradicated in the
population due to predation. Conditions change again, the dark form is vulnerable, and the dark form is
eradicated due to predation.
c. Conditions change such that dark form of the moth is favored and the light form is diminished in the population
due to predation. Conditions change again, and both forms have equal prevalence.
d. Conditions change such that dark form of the moth is favored and the light form is eradicated in the population
due to predation. Conditions change again, the dark form is vulnerable. It develops an adaptation that shields it
from predation.
44. Given your understanding of evolutionary theory and the relationship between evolution and the genetic makeup of
Chapter 18 | Evolution and Origin of Species 817
a. Both artificial selection and natural selection are the differential reproduction of individual organisms with
favored traits. In artificial selection, humans have actively modified plants and animals by selecting and
breeding individuals with traits deemed desirable. In natural selection, the most successful individuals in a
species are selected by the species to reproduce.
b. Both artificial selection and natural selection are processes that result in better-adapted individuals within a
species. In artificial selection, humans have actively modified plants and animals by selecting beneficial genes
from other organisms and inserting them into the target organisms. In natural selection, natural processes such as
mutations and viruses introduce new genes to a population.
c. Both artificial selection and natural selection are processes that cause organisms to be better adapted over time.
In artificial selection, humans have trained animals to be more successful in completing tasks that the humans
want completed. In natural selection, organisms train the functions that they will need to survive and reproduce.
d. Both artificial selection and natural selection are the differential reproduction of individual organisms with
favored traits. In artificial selection, humans have actively modified plants and animals by selecting and
breeding individuals with traits deemed desirable. In natural selection, individuals are selected naturally as its
traits deem it more fit for survival and reproduction.
50. Genes important in the embryonic development of animals have been relatively well conserved during evolution. This
means they are more similar among different species than many other genes. What explains this genetic conservation
across animal species?
a. Changes in the genes that are important to embryonic development have been relatively minor because there are
no selective pressures on an individual before it is born.
b. Changes in the genes that are important to embryonic development have been relatively minor because not much
time has elapsed since the divergence of the various animal taxa.
c. Changes in the genes that are important to embryonic development have been relatively minor because early
embryos are very fragile and even small mutations can result in death.
d. Changes in the genes that are important to embryonic development have been relatively minor because
mutational tweaking in the embryo has magnified consequences in the adult.
51. The upper forelimbs of humans and cats have fairly similar structures. In contrast, the upper forelimbs of whales (their
flippers) have bones with a different shape and proportion from both cats and humans. Interestingly, genetic data suggests
that all three organisms have a common ancestor from about the same point in time. What is a likely explanation for these
data?
a. Cats and humans are more closely related to each other than either are to whales.
b. The shape of the whale forelimb arose a result of disadvantageous mutations
c. The whale flipper is an adaptive characteristic unique to its water environment.
d. The whale flipper is a vestigial structure.
52. Biogeography is the study of biological species as they relate to geographical space and geological time. The fossil
record shows that dinosaurs originated about 200 to 250 million years ago. Would you expect the geographic distribution
of early dinosaur fossils to be broad (on many continents) or narrow (on one or a few continents)? Explain.
a. broad because dinosaurs originated before the breakup of Pangaea
b. broad because some dinosaurs could fly between continents
c. narrow because they went extinct too quickly to disperse very far
d. narrow because they lived so long ago that the fossils have mostly broken down or disappeared
53. The term microevolution describes evolution on its smallest scale: The change in allele frequencies in a population
over generations. DDT is a pesticide that was widely in use in the United States from the 1940s until 1972. The table
below summarizes a particular allele frequency in laboratory strains of the common fruit fly, Drosophila melanogaster.
Chapter 18 | Evolution and Origin of Species 819
Strains Collected from Flies in the Strains Collected from Flies in the
Wild in the 1930s Wild in the 1960s
Frequency of allele conferring
0% 40%
DDT resistance
Table 18.1
Using this information, describe a model in which natural selection improved the match between D. mealanogaster and its
environment through microevolution.
a. DDT killed off a large proportion of the population, and the alleles present in the surviving fruit flies differed
from those in the original population
b. Mutations from the application of DDT caused the allele conferring DDT resistance to appear in the population.
c. Female mosquitoes chose to mate with male mosquitoes that had the allele conferring DDT resistance because it
would make their offspring more fit.
d. The wide use of DDT meant that fruit flies with DDT resistance were more evolutionarily fit than their
counterparts without DDT resistance.
54. In 1795, a Scottish geologist named Charles Hutton suggested that Earth’s geologic features could be explained by
gradual processes that were still operating. This was in direct contrast to other scientific thought at the time, which
included well-accepted proposals that geologic layers were representative of catastrophic events caused by processes no
longer operating in the present time. Hutton proposed geologic features as the result of slow and consistent change, such as
valleys formed by rivers wearing through rock. Hutton’s ideas were incorporated in the work of Charles Lyell, a geologist
working in Darwin’s time. Lyell advocated a principle called uniformitarianism, the consistency of mechanisms of change
over time. In other words, Lyell argued that the same geologic processes operating in the present had operated in the past,
and at the same rate.
The ideas of Hutton and Lyell influenced the work of Charles Darwin. How do Hutton’s and Lyell’s ideas connect to and
provide support for Darwin’s theory of evolutionary change?
a. The idea that the same processes that operate in the present also operated in the past, and at the same rate,
supported Darwin’s hypothesis of natural selection because humans could select for desirable traits and produce
change very rapidly, so natural selection would also be fast enough to produce the full range of diversity in
living organisms.
b. The idea that the same processes that operate in the present also operated in the past, and at the same rate,
connects to Darwin’s hypothesis of natural selection because he had observed it happening in the present.
c. The idea that geologic change is the result of slow, continuous processes rather than sudden, substantial change
connects to Darwin’s support of gradualism rather than punctuated equilibrium as the process that guided
evolution.
d. The idea that geologic change is the result of slow, continuous processes rather than sudden, substantial change
connects directly to Darwin’s hypothesis that, given enough time, slow and subtle processes could produce
substantial biological change.
55. The human immunodeficiency virus (HIV) reproduces very quickly. A single virus can replicate itself a billion times in
one 24-hour period. In a hypothetical treatment situation, a patient’s HIV population consists entirely of drug-resistant
viruses after just a few weeks of treatment. How can this treatment result best be explained? How does this explanation
illustrate that evolution is an ongoing process?
820 Chapter 18 | Evolution and Origin of Species
a. The resistant viruses passed their genes to the non-resistant viruses so that 100 percent of the viruses became
resistant. This illustrates evolution as an ongoing process because the genes of the population changed in real
time.
b. The non-resistant viruses died, and the resistant ones survived and rapidly reproduced. This illustrates evolution
as an ongoing process because the change in the HIV population is the result of natural selection.
c. The viruses developed resistance to the drug after repeated exposure to it. This illustrates evolution as an
ongoing process because the viruses were able to adapt to changing conditions.
d. The drug-resistant viruses were more fit than their non-resistant counterparts to begin with, and over time they
dominated the population. This illustrates evolution as an ongoing process because natural selection favored one
phenotype over another.
56. A friend says: “Natural selection is about the survival of the very fittest in a population. The fittest are those that are
strongest, largest, fastest.”
Would you agree with that statement? What evidence from scientific disciplines can you offer to support your agreement
or your disagreement?
a. The statement is true. If an organism is not strong and fast, it will not survive long enough to reproduce and pass
on its genes, and if it is not large and fitter than the other individuals around it then it will not be able to compete
for a mate. Many seal species, for example, have only a single male who gets to mate. He must be the very fittest
seal to win all the females.
b. The very fittest organisms are not necessarily the ones that survive. Sometimes it is the least fit organisms that
survive and reproduce. For example, in one generation the mice who are bad at foraging for seeds may
reproduce prolifically and dominate the mice who are good at foraging. In this case, natural selection will select
for the less-fit phenotype and spread it in the population.
c. The definition of fitness is not correct. The strongest and fastest organisms are more fit than the weaker and
slower ones, but large individuals are often at a disadvantage to smaller ones because they are easily spotted by
predators. For example, a large rabbit will stick out on a field more than a small one and will get eaten by a
hawk.
d. What is meant by fittest is not necessarily strong, large, and fast. Fitness, as defined in evolutionary terms, has to
do with survival and the reproduction of genetic material. For example, a small but showy male bird may be
selected by female birds to reproduce, while a large but less colorful one is not.
57. A student placed 20 tobacco seeds of the same species on moist paper towels in each of two petri dishes. Dish A was
wrapped completely in an opaque cover to exclude all light. Dish B was not wrapped. The dishes were placed equidistant
from a light source set to a cycle of 14 hours of light and 10 hours of dark. All other conditions were the same for both
dishes. The dishes were examined after seven days, and the opaque cover was permanently removed from dish A. Both
dishes were returned to the light and examined again at 14 days. The following data were obtained.
Chapter 18 | Evolution and Origin of Species 821
Figure 18.27
Which of the following best supports the hypothesis that the difference in leaf color is genetically controlled?
a. the number of yellow-leaved seedlings in dish A on day 7
b. the number of germinated seeds in dish A on days 7 and 14
c. the death of all the yellow-leaved seedings
d. the existence of yellow-leaved seedlings as well as green-leaved ones on day 14 in dish B
58. A student placed 20 tobacco seeds of the same species on moist paper towels in each of two petri dishes. Dish A was
wrapped completely in an opaque cover to exclude all light. Dish B was not wrapped. The dishes were placed equidistant
from a light source set to a cycle of 14 hours of light and 10 hours of dark. All other conditions were the same for both
dishes. The dishes were examined after seven days, and the opaque cover was permanently removed from dish A. Both
dishes were returned to the light and examined again at 14 days. The following data were obtained.
822 Chapter 18 | Evolution and Origin of Species
Figure 18.28
Which best describes the usefulness of the yellow-leaved phenotype as a variation subject to natural selection?
a. The yellow-leaved phenotype can germinate in environments without light.
b. The germination of the yellow-leaved phenotype is unaffected by light intensity.
c. The germination of the yellow-leaved phenotype is accelerated as compared to the green-leaved phenotype.
d. The yellow-leaved phenotype cannot germinate in environments with light.
59. A student placed 20 tobacco seeds of the same species on moist paper towels in each of two petri dishes. Dish A was
wrapped completely in an opaque cover to exclude all light. Dish B was not wrapped. The dishes were placed equidistant
from a light source set to a cycle of 14 hours of light and 10 hours of dark. All other conditions were the same for both
dishes. The dishes were examined after seven days, and the opaque cover was permanently removed from dish A. Both
dishes were returned to the light and examined again at 14 days. The following data were obtained.
Chapter 18 | Evolution and Origin of Species 823
Figure 18.29
Yellow-leaved seedlings are unable to convert light energy to chemical energy. Which observation is most likely to be
made on day 21?
a. a few yellow-leaved seedlings alive in dish A, but none in dish B
b. a few yellow-leaved seedlings alive in dish B, but none in dish A
c. no yellow-leaved seedlings alive in dish A or dish B
d. a few yellow-leaved seedlings alive in dish A and dish B
60. Populations of a nocturnal toad live along a long river. On the other side of a band of territory that is about 10
kilometers wide, there are populations of a toad that appear similar. Which of the following data would provide
compelling evidence that the two populations represent different species?
a. The populations of toads on the other side of the banded territory are not completely nocturnal.
b. Fertile hybrid populations of toads are found between the two other populations.
c. There appear to be some hybrid toads between the two populations, but they are few and frail.
d. The two populations of toads enact very different mating behaviors.
61.
824 Chapter 18 | Evolution and Origin of Species
A group of students summarized information on five great extinction events. The students are sampling a site in search of
fossils from the Devonian period. Based on the chart, which of the following would be the most reasonable plan for the
students to follow?
a. searching horizontal rock layers in any class of rock and trying to find those that contain the greatest number of
fossils
b. collecting fossils from rock layers deposited prior to the Permian period that contain some early vertebrate bones
c. looking in sedimentary layers next to bodies of water in order to find marine fossils of bivalves and trilobites
d. using relative dating techniques to determine the geological ages of the fossils found so they can calculate the
rate of speciation of early organisms
62. Populations of a plant species have been found growing in the mountains at altitudes above 2,500 meters. Populations
of a plant that appears similar, with slight differences, have been found in the same mountains at altitudes below 2,300
meters.
Describe a plan for collecting two kinds of data that could provide a direct answer to the question: Do the populations
growing above 2,500 meters and the populations growing below 2,300 meters represent a single species?
a. Scientists could take the genetic code of a plant from each altitude and determine whether the two sets of DNA
are identical. They could also insert genes from one plant into the cells from the other and see if the cells survive
b. Scientists could look in the fossil record to find the plants’ most recent common ancestor. They could also check
the surrounding mountains to determine if the most recent common ancestor is still living.
c. Scientists could breed the two groups in the same environment and observe whether, over several generations,
they begin to look more similar. They could also switch the groups, growing the high-altitude plants at low
altitude and the low-altitude plants at high altitude, and observe whether the former begin to look like
lowaltitude plants and the latter begin to look like high-altitude plants.
d. Scientists could collect seeds and test whether they might be cross-pollinated to produce fertile offspring. They
could also investigate the area between 2,500 meters and 2,300 meters to see if fertile hybrid populations might
be found living between the two other populations of plants.
63. Populations of a plant species have been found growing in the mountains at altitudes above 2,500 meters. Populations
of a plant that appears similar, with slight differences, have been found in the same mountains at altitudes below 2,300
meters.
Explain how the two types of data you suggested provide a direct answer to the question of whether speciation has taken
place.
Chapter 18 | Evolution and Origin of Species 825
a. If the plants become more similar when grown in the same environment, or if the high-altitude plants respond to
low altitude in the same way that low-altitude plants have, and low-altitude plants respond to high altitude the
same way that high-altitude plants have, then the two groups have the same underlying genetic structure and
belong to one species.
b. If the seeds from the plants can be cross fertilized and developed into fertile offspring, the two populations are
not yet reproductively isolated and remain one species. If hybrid forms are found, the two populations are not
reproductively isolated and hybrids are both viable and successful.
c. If the genetic codes of the two plants are identical, then they must belong to the same species. Also, if genes
transplanted between the plants function successfully, then the plants must be similar enough to each other to
belong to the same species.
d. If scientists are able to find the common ancestor of the two groups in the fossil record or in neighboring
communities, then they can determine whether the plants have diverged into separate species or remain a single
species.
64. Assuming a population that has genetic variation and is under the influence of natural selection, place the following
events in the order in which they would occur:
• Genetic frequencies within the population change.
• A change occurs in the population’s environment.
• Phenotypic variations shift.
• Individuals who are well-adapted leave more offspring than individuals who are poorly adapted.
• Individuals who are poorly adapted do not survive at the same rate as individuals who are well adapted.
a. 1. A change occurs in the population’s environment.
2. Individuals who are poorly adapted do not survive at the same rate as individuals who are well adapted.
3. Individuals who are well-adapted leave more offspring than individuals who are poorly adapted.
4. Genetic frequencies within the population change.
5. Phenotypic variations shift.
b. 1. A change occurs in the population’s environment.
2. Genetic frequencies within the population change.
3. Phenotypic variations shift.
4. Individuals who are poorly adapted do not survive at the same rate as individuals who are well adapted.
5. Individuals who are well-adapted leave more offspring than individuals who are poorly adapted.
c. 1. Phenotypic variations shift.
2. A change occurs in the population’s environment.
3. Genetic frequencies within the population change.
4. Individuals who are poorly adapted do not survive at the same rate as individuals who are well adapted.
5. Individuals who are well-adapted leave more offspring than individuals who are poorly adapted.
d. 1. Individuals who are well-adapted leave more offspring than individuals who are poorly adapted.
2. Individuals who are poorly adapted do not survive at the same rate as individuals who are well adapted.
3. Phenotypic variations shift.
4. Genetic frequencies within the population change.
5. A change occurs in the population’s environment.
65. A biologist studies a population of voles for 20 years. During almost the entire research period, the population stays
between 50 and 75 individuals. Additionally, fewer than half of the voles born do not survive to reproduce, due to
predation and competition for food. Then, in one generation, 80 percent of the voles born live to reproduce. The
population increases to 110 individuals. What inferences about food and predation can you make for the singular
generation in which 80 percent of offspring survived? What prediction can you make about the genetic and phenotypic
variation of future populations for this group of voles?
826 Chapter 18 | Evolution and Origin of Species
a. Either there was fewer food available or the degree of predation increased. The future generations of this group
of voles should evidence fewer genetic variation.
b. Either there was fewer food available or the degree of predation increased. The future generations of this group
of voles should evidence greater genetic variation.
c. Either there was more food available or the degree of predation decreased. The future generations of this group
of voles should evidence less genetic variation.
d. Either there was more food available or the degree of predation decreased. The future generations of this group
of voles should evidence greater genetic variation.
66. There are years of drought in a small, relatively isolated community. During the drought, small seeds with thin shells
become rare. Large seeds with hard cases become increasingly common. The large, tough seeds are successfully eaten by
birds with large and broad beaks. Assuming that the drought continues and the population of birds in the community stays
isolated, what predictions for the population can you make under the influence of natural selection?
a. The birds with small, thin beaks will grow larger, broader beaks to be able to eat the larger seeds. This will result
in subsequent generations having a higher percentage of birds with large, broad beaks.
b. There will be more birds with small, thin beaks dying and more birds with large, broad beaks surviving.
Differential reproduction of birds with large, broad beaks will result in subsequent generations having a higher
percentage of birds with large, broad beaks.
c. The species will diverge into two species, one with small, thin beaks and one with large, broad beaks. The two
species will then compete for resources.
d. There will be neither phenotypic nor genotypic changes in the population.
67. At one time, avian researchers in the Sulawesi region of Indonesia described the Flowerpecker populations on the
mainland and the Wakatobi archipelago as one species. A recent reassessment of the Wakatobi populations resulted in the
suggested reclassification of these populations as a distinct species, the Wakatobi Flowerpecker. Which of the following
pieces of evidence, if true, would be cause for this reclassification?
a. The populations have become dependent on the island food sources.
b. The populations have become morphologically distinct from the mainland species.
c. The populations have become adapted to the island habitat.
d. The populations have become reproductively isolated from the mainland species.
68. What pattern in the fossil record would you expect to see to support the model of gradual speciation? How would you
expect this pattern to differ from a pattern in the fossil record that supports the model of punctuated equilibrium? Explain.
a. In the case of gradual speciation, the fossil record would show only a few hybrid individuals, followed by
individuals of the two distinct species. For the case of punctuated equilibrium, the fossil record would show
many hybrid individuals persisting through several geological layers.
b. In the case of gradual speciation, the fossil record would show the parent species in a single location, such that
the newly diverged species remained in contact with each other. For the case of punctuated equilibrium, the
fossil record would show a geographic divide within the parent species that caused it to diverge into multiple
new species.
c. In the case of gradual speciation, the fossil record would show many intermediate forms. For the case of
punctuated equilibrium, the fossil record would show new forms that persist essentially unchanged through
several geological layers, then disappear just as a new form appears.
d. Gradual speciation would be undetectable in the fossil record. For the case of punctuated equilibrium, the fossil
record would show a steady progression of distinct forms.
69. Until recently, these three species of short-tailed pythons, Python curtus, Python brongersmai (middle), and Python
breitensteini were considered one species. However, due to the different locations in which they are found, they have
become three distinct species. What is this an example of?
a. divergent evolution
b. sympatric speciation
c. allopatric speciation
d. variation
Chapter 18 | Evolution and Origin of Species 827
70. Consider two species of birds that diverged while separated geographically but resumed their contact before
reproductive isolation was complete. Which describes the first step in what would happen over time if the two species
mated extensively and their hybrid offspring survived and reproduced more poorly than offspring from intra-species
matings?
a. Natural selection would cause prezygotic barriers to reproduction between the parent species to strengthen over
time.
b. The production of unfit hybrids would increase and the speciation process would complete.
c. The extensive mating between the species would continue to produce large numbers of hybrids.
d. The gene pools of the parent species would fuse over time, reversing the speciation process.
Figure 18.30
B. Using a molecular clock constructed from 32 conserved proteins, Hedges and colleagues (Battistuzzi et al, BMC Evol.
Biol. 2004) estimated the times during which key biological processes evolved. A diagram based on their work is shown.
Connect the time of the origin of life inferred from this diagram with the age of the oldest fossil stromatolites and the age
of the oldest exposed rock to show how evidence from different scientific disciplines provides support for the concept of
evolution. Evaluate the legitimacy of claims drawn from these different disciplines (biology, geology, and mathematics)
regarding the origin of life on Earth.
828 Chapter 18 | Evolution and Origin of Species
Figure 18.31
The oldest known rocks are exposed at three locations: Greenland, Australia, and Swaziland. The following application of
mathematical methods provides the essential evidence of the minimum age of Earth. The mathematics is appropriate for
students who have completed a second year of algebra. However, it is not illustrative of the type of item that could appear
on the AP Biology Exam.
The exposed rocks contain a radioactive isotope of rubidium, 87Rb, which decays into a stable isotope of strontium, 87Sr.
An 87Rb atom with 37 protons and 50 neutrons decays when a proton is converted into a neutron to produce an atom, 87Sr,
with 36 protons and 51 neutrons. As time passed, the number of each isotope changed from its initial value. When a
crystal containing 87Rb atoms formed from the molten surface of the hot, early Earth during the Hadean eon, the number
of these atoms at that initial time can be represented as N87Rb,0. As time passed, the number of atoms of this isotope
changed to N87Rb.
C. Justify the relationship between the number of each isotope at any time and the number of each at the time that the
molten rock solidified (denoted by the subscript 0):
N 87 = N 87 + N 87 − N 87
Sr Sr, 0 Rb, 0 Rb
The decay of unstable radioisotopes is exponential with a half-life of T1/2, which for 87Rb is 4.88 × 1010 years:
N 87 = N 87 e /
− 0.693t T 1 / 2
Rb Rb, 0
This can be used to replace the initial number of 87Rb atoms, which cannot be measured, with the present-day value:
N 87 sr N 87 sr, 0 − 0.693t / T1 / 2
N 87
Rb
= + (e − 1)
N 86 sr N 86 sr N 86 sr
When the measurements of the numbers of 87Rb and 87Sr were made (Moorbath et al, Nature, 1972), measurements of a
second stable isotope of strontium, 86Sr, also were made. The ratio of the initial number of 87Sr and 86Sr atoms is the
same as today, since the isotopes are both stable. The value of this ratio is 0.71.
This is a linear equation in the form y = ax + b , where a is the term in parenthesis containing the half-life of 87Rb. If
Y = N 87
Sr /N 86 Sr is graphed versus N 87
Rb /N 86 Sr ,the slope can be used to determine the time, t , that has passed
Table 18.2
The solidification of the molten surface of Earth at the end of the Hadean eon (4 to 4.6 billion years ago) and the
condensation of liquid oceans provided a medium from which life emerged. The most ancient fossils are colonial,
photosynthetic cyanobacteria called stromatolites. As climate change melted the perennial snow covering Greenland, new
geologic evidence of the time of that origin was obtained (Nutman et al, Nature 2016) with the discovery of the most
ancient stromatolites. These fossils record communities of photosynthetic bacteria embedded in Isua sediments 3.7 billion
years ago. Worldwide stromatolite fossils show a decline between 1 and 1.3 billion years ago.
72. In 1952, the Miller-Urey experiment showed that an electrical discharge in a gas-phase mixture of ammonia, hydrogen,
methane, and water produced five amino acids. When the experiment was conducted, evidence indicated that this mixture
was representative of the Hadean (early Earth) atmosphere. The experiment was repeated in the presence of jets of hot
steam, simulating Hadean volcanic eruptions and producing an even larger variety of amino acids.
A. Consider the following criticisms of the “organic soup” model and justify the selection of data that other experiments
might provide regarding the origin of life on Earth.
• Biopolymers on Earth have a left-hand symmetry at the carbon adjacent to the carboxylic acid carbon, and these
experiments produced mixtures of both left- and right-hand symmetries.
• No peptide bonds between amino acids were observed.
• Early Earth’s atmospheric oxygen concentration is known to have been very low, implying the absence of an ozone
layer to filter high-energy ultraviolet (uv) radiation.
• Ammonia decomposes when it absorbs high-energy uv radiation, but diatomic nitrogen does not.
Models of the abiotic synthesis of biomolecules suffer from a “chicken and egg” dilemma. Proteins are needed to
synthesize DNA and RNA, and DNA and RNA are needed to synthesize proteins. Which molecules came first?
B. In light of the following observations, evaluate the hypothesis that nucleotides arose from a prebiotic mixture.
• Nuclei acids are not found in experiments like those of Miller and Urey.
• Purines and pyrimidines decompose at high temperature, and Earth was bombarded by meteors and comets during
the Hadean eon.
• Bonds in the purine and pyrimidine rings of nucleic acids are broken by high-energy uv radiation.
• Carl Sagan and colleagues synthesized ATP from a mixture of adenosine, ribose, and phosphate when exposed to uv
radiation.
• Ribose has never been synthesized in experiments like those conducted by Miller and Urey.
• Ribose has a left/right symmetry, and the right-handed form occurs in Earth organisms.
Continuing with the analogy, if neither the chicken nor the egg came first, then both must have arisen together. Some
regard simultaneous innovations in both catalysis and information storage and retrieval as too improbable. In samples of
meteorites, both amino acids and nucleic acids have been found. The amino acids are mixtures of left- and right-handed
symmetries, although some have shown a significant bias toward the left-handed form (J. Elisa et al, ACS Central Science,
2016). The arrival from space of the seeds of biomolecules is called panspermia. Carl Sagan (1966) and Francis Crick
830 Chapter 18 | Evolution and Origin of Species
(1973), one of the first to describe the structure of DNA, regarded panspermia as the only plausible origin of life on Earth.
In fact, their belief was in directed panspermia, the intentional seeding by intelligent aliens.
C. Describe the questions that must be addressed for panspermia to be a scientific hypothesis about the origin of life on
Earth and describe the reasons for the directed panspermia revision of this hypothesis.
To avoid the conflicting chicken-and-egg claims that “protein catalyst was first” and “DNA information storage was first,”
two alternatives have emerged regarding the origin of life on Earth. Consider two simple ideas: 1) water blocks uv
radiation, and cracks in the ocean floor (hot vents) provide a temperature difference that generates a source of entropy; and
2) ribosomes are composed of RNA.
D. Describe one of the following as a hypothesis concerning the origin of life on Earth:
• Reactions among molecules in the vicinity of hot vents became organized in space and time, eventually developing
structures that foreshadow the proton gradient upon which metabolism is based. This alternative is the basis for what
is referred to as the metabolism-first hypothesis.
• The catalytic properties of the ribosome reflect the self-catalytic polymerization of nucleotides with sequential
structures conserved in modern DNA, the catalytic properties conserved in proteins, and the catalytic properties of
the ribosome whose core structure is RNA. This alternative is the basis for what is referred to as the RNA-first
hypothesis.
73. The radiant energy emitted by a star gradually increases after its birth. During the Hadean eon, while the molten Earth
cooled and life emerged, the Sun provided approximately 25% less radiant energy than it does now. Ignoring effects due to
differences in the composition of Earth's atmosphere between then and now, this means that the average surface
temperature of the surface would be about 25 °C below the freezing temperature of water. Evidence of liquid water on
Earth during the Hadean eon is provided by geologic structures known only to form in liquid water, such as lava pillows
and the stromatolites that are the fossilized layers of photosynthetic cyanobacteria.
Pose a scientific question that guides inquiry into early Earth conditions that supported the innovation of photosynthesis.
74. Connect the techniques of radiometric measurement, anatomy, and molecular biology to the supporting evidence of
the theory of evolution provided.
75. Describe reasons for the revision of scientific hypotheses of the origin of life on Earth.
76. Directed evolution is an inquiry strategy that is usually used to investigate gene expression or the function of proteins
that are expressed. The investigator imposes a selection pressure and observes the evolution of a population. In one
investigation, unicellular yeast was allowed to sediment in a column that contained nutrients at its bottom. Yeast that
reached the nutrients at the bottom were removed, weighed, and examined under the microscope. After 60 generations, it
was found that all of the removed yeast was multicellular. To test the claim that their selection pressure favored
multicellularity, the investigators performed another experiment. In one column, they provided a strong selection pressure,
in which they only allowed 5 min for yeast to settle before removing those that had traveled the farthest toward the
bottom. In a second column, they provided a weak selection pressure, where they allowed 25 min for the yeast to settle
before removal. Strong selection resulted in more massive clusters of multicellular yeast among the removed cells. Weak
selection resulted in less massive multicellular clusters among the removed cells.
A. Evaluate the claim that the use of both a strong and weak selection demonstrates that evolution is an ongoing process
that, under artificially imposed conditions, led to the emergence of multicellularity in a single-celled organism.
B. In this directed evolution study, the selection pressure imposed by the investigators led to a new phenotype. Consider a
situation in which there is a vertical variation in the density of nutritional resources. Analyze the advantages and
disadvantages of cooperative behavior, including changes in the likelihood of replication of the individual and population
genomes.
77. Selection processes in changing and unchanging environments differ. Connect the effects of negative and positive
selection pressures to changes in the environment.
78. Individual species are generally well defined by reproductive isolation, at least when horizontal gene transfer is not
taken into account. One way that new species may arise is through geographic isolation, as when a population is divided
by a natural disaster.
A. Aside from geographic isolation leading to reproductive isolation, predict two other mechanisms of speciation in a
population and suggest how these mechanisms could lead to a scientific definition of a subspecies.
B. If individuals of a species become separated by a natural disaster, they could become increasingly different. Assuming
that they could still interbreed, what would you predict about the consequences if females, but no males, from one
population (population A) were introduced to the other population (population B)? What would be the effects on
Chapter 18 | Evolution and Origin of Species 831
19 | THE EVOLUTION OF
POPULATIONS
Figure 19.1 Living things may be single-celled or complex, multicellular organisms. They may be plants, animals,
fungi, bacteria, or archaea. This diversity results from evolution. (credit wolf: modification of work by Gary Kramer;
credit coral: modification of work by William Harrigan, NOAA; credit river: modification of work by Vojtěch Dostál; credit
fish modification of work by Christian Mehlführer; credit mushroom: modification of work by Cory Zanker; credit tree:
modification of work by Joseph Kranak; credit bee: modification of work by Cory Zanker)
Chapter Outline
19.1: Population Evolution
19.2: Population Genetics
19.3: Adaptive Evolution
Introduction
Evolutionary medicine is an emerging field that applies evolutionary theory to modern medicine. Rather than just seeking
answers to how illness occurs, evolutionary medicine also asks why illness occurs. This approach to medicine has led to
many important advances. For example, endogenous retroviruses (ERVs) are pieces of retroviruses that began invading
mammalian genomes over 100 million years ago. While studying why smaller mammals tend to get cancer more frequently
than larger mammals, scientists discovered that larger mammals have had fewer ERVs invade their genome. Because
retroviral integration is associated with cancer, results from this research suggest the possibility that larger mammals are
able to control EVR replication until they reach post-reproductive age. More on this research can be found on the PLOS
Pathogens website (http://openstaxcollege.org/l/32mammalcancer) .
834 Chapter 19 | The Evolution of Populations
The mechanisms of inheritance, or genetics, were not understood at the time Charles Darwin and Alfred Russel Wallace
were developing their idea of natural selection. This lack of understanding was a stumbling block to understanding many
aspects of evolution. In fact, the predominant (and incorrect) genetic theory of the time, blending inheritance, made it
difficult to understand how natural selection might operate. Darwin and Wallace were unaware of the genetics work by
Austrian monk Gregor Mendel, which was published in 1866, not long after publication of Darwin's book, “On the Origin
of Species”. Mendel’s work was rediscovered in the early twentieth century at which time geneticists were rapidly coming
to an understanding of the basics of inheritance. Initially, the newly discovered particulate nature of genes made it difficult
for biologists to understand how gradual evolution could occur. But over the next few decades genetics and evolution were
integrated in what became known as the modern synthesis—the coherent understanding of the relationship between natural
selection and genetics that took shape by the 1940s and is generally accepted today. In sum, the modern synthesis describes
how evolutionary processes, such as natural selection, can affect a population’s genetic makeup, and, in turn, how this can
result in the gradual evolution of populations and species. The theory also connects this change of a population over time,
called microevolution, with the processes that gave rise to new species and higher taxonomic groups with widely divergent
characters, called macroevolution.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Chapter 19 | The Evolution of Populations 835
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
Science 1.5 The student can re-express key elements of natural phenomena across multiple
Practice representations in the domain.
1.1 The student is able to convert a data set from a table of numbers that reflect a change in
Science
the genetic makeup of a population over time and to apply mathematical methods and
Practice
conceptual understandings to investigate the cause(s) and effect(s) of this change.
1.1 The student is able to convert a data set from a table of numbers that reflect a change in
Learning
the genetic makeup of a population over time and to apply mathematical methods and
Objective
conceptual understandings to investigate the cause(s) and effect(s) of this change.
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.3 The student is able to apply mathematical methods to data from a real or simulated
Objective population to predict what will happen to the population in the future.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standard:
a. [APLO 1.1]
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
a. 17 Hardy-Weinberg Equation
b. 18 Natural Selection Simulation
836 Chapter 19 | The Evolution of Populations
Population Genetics
Recall that a gene for a particular character may have several alleles, or variants, that code for different traits associated
with that character. For example, in the ABO blood type system in humans, three alleles determine the particular blood-type
protein on the surface of red blood cells. Each individual in a population of diploid organisms can only carry two alleles
for a particular gene, but more than two may be present in the individuals that make up the population. Mendel followed
alleles as they were inherited from parent to offspring. In the early twentieth century, biologists in a field of study known
as population genetics began to study how selective forces change a population through changes in allele and genotypic
frequencies.
The allele frequency (or gene frequency) is the proportion of a specific allele within a population, relative to all other alleles
of that gene that are present in the population. Until now, we have ... discussed evolution as a change in the characteristics of
a population of organisms, but behind that phenotypic change is genetic change. In population genetics, the term evolution
is defined as a change in the frequency of an allele in a population. Using the ABO blood type system as an example, the
frequency of one of the alleles, IA, is the number of copies of that allele divided by all the copies of the ABO gene in the
population. For example, a study in Jordan found a frequency of IA to be 26.1 percent. The IB and I0 alleles made up 13.4
percent and 60.5 percent of the alleles respectively, and all of the frequencies added up to 100 percent. A change in this
frequency over time would constitute evolution in the population.
The allele frequency within a given population can change depending on environmental factors; therefore, certain alleles
become more widespread than others during the process of natural selection. Natural selection can alter the population’s
genetic makeup; for example, if a given allele confers a phenotype that allows an individual to better survive or have more
offspring. Because many of those offspring will also carry the beneficial allele, and often the corresponding phenotype,
they will have more offspring of their own that also carry the allele, thus, perpetuating the cycle. Over time, the allele will
spread throughout the population. Some alleles will quickly become fixed in this way, meaning that every individual of the
population will carry the allele, while detrimental mutations may be swiftly eliminated if derived from a dominant allele
from the gene pool. The gene pool is the sum of all the alleles in a population.
Sometimes, allele frequencies within a population change randomly with no advantage to the population over existing allele
Chapter 19 | The Evolution of Populations 837
frequencies. This phenomenon is called genetic drift. Natural selection and genetic drift usually occur simultaneously in
populations and are not isolated events. It is hard to determine which process dominates because it is often nearly impossible
to determine the cause of change in allele frequencies at each occurrence. An event that initiates an allele frequency change
in an isolated part of the population, which is not typical of the original population, is called the founder effect. Natural
selection, random drift, and founder effects can lead to significant changes in the genome of a population.
Figure 19.2 When populations are in the Hardy-Weinberg equilibrium, the allelic frequency is stable from
generation to generation and the distribution of alleles can be determined from the Hardy-Weinberg equation. If
the allelic frequency measured in the field differs from the predicted value, scientists can make inferences about
what evolutionary forces are at play.
In plants, violet flower color (V) is dominant over white (v). If p = 0.8 and q = 0.2 in a population of 500 plants,
how many individuals would you expect to be homozygous dominant (VV), heterozygous (Vv), and homozygous
recessive (vv)? How many plants would you expect to have violet flowers, and how many would have white flowers?
a. homozygous dominant: 320 heterozygous: 160 homozygous recessive: 20 violet: 480 white: 20
b. homozygous dominant: 320 heterozygous: 80 homozygous recessive: 20 violet: 400 white: 20
c. homozygous dominant: 400 heterozygous: 0 homozygous recessive: 100 violet: 400 white: 100
d. homozygous dominant: 480 heterozygous: 0 homozygous recessive: 20 violet: 480 white: 20
In theory, if a population is at equilibrium—that is, there are no evolutionary forces acting upon it—generation after
generation would have the same gene pool and genetic structure, and these equations would all hold true all of the time.
Chapter 19 | The Evolution of Populations 839
Of course, even Hardy and Weinberg recognized that no natural population is immune to evolution. Populations in nature
are constantly changing in genetic makeup due to drift, mutation, possibly migration, and selection. As a result, the only
way to determine the exact distribution of phenotypes in a population is to go out and count them. But the Hardy-Weinberg
principle gives scientists a mathematical baseline of a non-evolving population to which they can compare evolving
populations and thereby infer what evolutionary forces might be at play. If the frequencies of alleles or genotypes deviate
from the value expected from the Hardy-Weinberg equation, then the population is evolving.
a. random mating
b. mutations
c. large population
d. no natural selection
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based Approach, Investigation 2: Mathematical Modeling: Hardy-
Weinberg. In this lab investigation, you apply the Hardy-Weinberg equation and create a spreadsheet to
study changes in allele frequencies in a population and to examine possible causes for these changes.
Think About It
Imagine you are trying to determine if a population of flowers is undergoing microevolution. You suspect there is
selection pressure on the color of the flower because bees seem to cluster around red flowers more often than blue
flowers. In a separate experiment, you discover that blue flower color is dominant to red flower color. In a field, you
count 600 blue flowers and 200 red flowers. Based on the H-W equation, what are the expected allele frequencies for
flower color?
Two years later, you revisit the same field and discover that out of 1,000 flowers, 650 are blue. Use the H-W equation
to determine if the population of flowers is undergoing evolution.
840 Chapter 19 | The Evolution of Populations
Figure 19.3 The distribution of phenotypes in this litter of kittens illustrates population variation. (credit: Pieter Lanser)
As you learn in the chapter that discusses the evolution and origin of species, natural selection works by selecting for
phenotypes—and the alleles that determine them—that confer beneficial traits or behaviors. Deleterious qualities are
selected against. Genetic drift stems from the chance occurrence that some individuals have more offspring than others and,
thus, will pass on more of their genes to the next generation. Small and isolated populations are more susceptible to genetic
drift. Natural events, such as wildfires or hurricanes, can magnify genetic drift when a large portion of the population is
killed. Because a fire does not distinguish between the genotypes of various organisms, no particular genotype survives
the fire better than another. Therefore, the genetic structure of the surviving population may be very different from the
genetic structure of the original population. This is called the bottleneck effect. Another scenario in which populations
might experience a strong influence of genetic drift occurs when some portion of the population leaves to start a new
population in a new location or gets separated by a physical barrier of some kind. In this situation, those individuals are
unlikely to be representative of the entire population, a phenomenon called the founder effect. Both the bottleneck effect
and the founder effect reduce genetic variation within a population—and genetic variation is the basis for natural selection.
When individuals leave or join a population, they carry their alleles with them, resulting in changes in the population’s
allele frequencies. Allele frequencies also can change due to mutation in DNA and when individuals do not randomly mate
with others; when an individual selects a mate based on phenotype, the genotype is also selected. In summary, any of these
conditions can result in deviations from the Hardy-Weinberg equilibrium—and lead to the microevolution of a population.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 1 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
Chapter 19 | The Evolution of Populations 841
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Essential
1.A.2 Natural selection acts on phenotypic variations in populations.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 1.3 The student is able to apply mathematical methods to data from a real or simulated
Objective population to predict what will happen to the population in the future.
Essential
1.A.2 Natural selection acts on phenotypic variations in populations.
Knowledge
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.4 The student is able to evaluate data-based evidence that describes evolutionary changes
Objective in the genetic makeup of a population over time.
Essential
1.A.3 Evolutionary change is also driven by random processes.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 1.8 The student is able to make predictions about the effects of genetic drift, migration, and
Objective artificial selection on the genetic makeup of a population.
Essential
1.A.3 Evolutionary change is also driven by random processes.
Knowledge
Science 1.4 The student can use representatives and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
2.1 The student can justify the selection of a mathematical routine to solve problems.
Practice
1.6 The student is able to use data from mathematical models based on the Hardy-Weinberg
Learning
equilibrium to analyze genetic drift and the effects of selection in the evolution of specific
Objective
populations.
Essential
1.A.3 Evolutionary change is also driven by random processes.
Knowledge
Science
2.1 The student can justify the selection of a mathematical routine to solve problems.
Practice
1.7 The student is able to justify data from mathematical models based on the Hardy-
Learning
Weinberg equilibrium to analyze genetic drift and the effects of selection in the evolution of
Objective
specific populations.
842 Chapter 19 | The Evolution of Populations
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
a. [APLO 1.1]
b. [APLO 1.3]
c. [APLO 1.4]
d. [APLO 1.8]
e. [APLO 1.23]
f. [APLO 1.24]
g. [APLO 1.25]
h. [APLO 1.6]
i. [APLO 1.7]
j. [APLO 1.22]
Genetic Variance
Natural selection and some of the other evolutionary forces can only act on heritable traits, namely an organism’s genetic
code. Because alleles are passed from parent to offspring, those that confer beneficial traits or behaviors may be selected
for, while deleterious alleles may be selected against. Acquired traits, for the most part, are not heritable. For example, if an
athlete works out in the gym every day, building up muscle strength, the athlete’s offspring will not necessarily grow up to
be a body builder. If there is a genetic basis for the ability to run fast, on the other hand, this may be passed to a child.
Before Darwinian evolution became the prevailing theory of the field, French naturalist Jean-Baptiste Lamarck theorized
that acquired traits could, in fact, be inherited; while this hypothesis has largely been unsupported, scientists have recently
begun to realize that Lamarck was not completely wrong. Visit this site (http://openstaxcollege.org/l/epigenetic) to learn
more.
Explain naturalist Jean-Baptiste Lamarck’s theory on heritability.
a. Lamarck theorized that individuals more fit to their environment would me more likely to survive, reproduce,
and pass on their genes.
b. Lamarck theorized that traits that parents acquired in their lifetime could be inherited by offspring in an
attempt to improve.
c. Lamarck theorized that traits in offspring were a blend of traits from the two parents.
d. Lamarck theorized that inbreeding would lead to higher proportions of homozygous recessive genotypes,
potentially conferring recessive diseases onto offspring.
Heritability is the fraction of phenotype variation that can be attributed to genetic differences, or genetic variance, among
individuals in a population. The greater the hereditability of a population’s phenotypic variation, the more susceptible it is
to the evolutionary forces that act on heritable variation.
The diversity of alleles and genotypes within a population is called genetic variance. When scientists are involved in
the breeding of a species, such as with animals in zoos and nature preserves, they try to increase a population’s genetic
variance to preserve as much of the phenotypic diversity as they can. This also helps reduce the risks associated with
inbreeding, the mating of closely related individuals, which can have the undesirable effect of bringing together deleterious
recessive mutations that can cause abnormalities and susceptibility to disease. For example, a disease that is caused by a
Chapter 19 | The Evolution of Populations 843
rare, recessive allele might exist in a population, but it will only manifest itself when an individual carries two copies of
the allele. Because the allele is rare in a normal, healthy population with unrestricted habitat, the chance that two carriers
will mate is low, and even then, only 25 percent of their offspring will inherit the disease allele from both parents. While it
is likely to happen at some point, it will not happen frequently enough for natural selection to be able to swiftly eliminate
the allele from the population, and as a result, the allele will be maintained at low levels in the gene pool. However, if a
family of carriers begins to interbreed with each other, this will dramatically increase the likelihood of two carriers mating
and eventually producing diseased offspring, a phenomenon known as inbreeding depression.
Changes in allele frequencies that are identified in a population can shed light on how it is evolving. In addition to natural
selection, there are other evolutionary forces that could be in play: genetic drift, gene flow, mutation, nonrandom mating,
and environmental variances.
Genetic Drift
The theory of natural selection stems from the observation that some individuals in a population are more likely to survive
longer and have more offspring than others; thus, they will pass on more of their genes to the next generation. A big,
powerful male gorilla, for example, is much more likely than a smaller, weaker one to become the population’s silverback,
the pack’s leader who mates far more than the other males of the group. The pack leader will father more offspring, who
share half of his genes, and are likely to also grow bigger and stronger like their father. Over time, the genes for bigger size
will increase in frequency in the population, and the population will, as a result, grow larger on average. That is, this would
occur if this particular selection pressure, or driving selective force, were the only one acting on the population. In other
examples, better camouflage or a stronger resistance to drought might pose a selection pressure.
Another way a population’s allele and genotype frequencies can change is genetic drift (Figure 19.4), which is simply the
effect of chance. By chance, some individuals will have more offspring than others—not due to an advantage conferred
by some genetically-encoded trait, but just because one male happened to be in the right place at the right time (when the
receptive female walked by) or because the other one happened to be in the wrong place at the wrong time (when a fox was
hunting).
844 Chapter 19 | The Evolution of Populations
Figure 19.4 Genetic drift in a population can lead to the elimination of an allele from a population by chance.
In this example, rabbits with the brown coat color allele (B) are dominant over rabbits with the white coat color
allele (b). In the first generation, the two alleles occur with equal frequency in the population, resulting in p and q
values of 0.5. Only half of the individuals reproduce, resulting in a second generation with p and q values of 0.7
and 0.3, respectively. Only two individuals in the second generation reproduce, and by chance these individuals
are homozygous dominant for brown coat color. As a result, in the third generation the recessive b allele is lost.
This effect can be seen by observing the number of individuals in the population of given genotypes. As shown in
the table, with each successive generation, individuals with a recessive b allele decreases as a percentage of the
population.
Chapter 19 | The Evolution of Populations 845
Table 19.1
Explain why small populations are more vulnerable to the forces of genetic drift than large populations.
a. The fewer individuals in a population, the more room there is for new individuals to migrate into it.
b. The more individuals in a population, the more alleles are present in its gene pool.
c. The fewer individuals in a population, the more likely it is to go extinct.
d. The more individuals in a population, the larger and more stable is its gene pool.
Small populations are more susceptible to the forces of genetic drift. Large populations, on the other hand, are buffered
against the effects of chance. If one individual of a population of 10 individuals happens to die at a young age before it
leaves any offspring to the next generation, all of its genes—1/10 of the population’s gene pool—will be suddenly lost. In
a population of 100, that’s only 1 percent of the overall gene pool; therefore, it is much less impactful on the population’s
genetic structure.
Go to this site (http://openstaxcollege.org/l/genetic_drift) to watch an animation of random sampling and genetic drift
in action.
Describe an example of genetic drift.
a. Immigration of new individuals can cause genetic drift. For example, if several white rabbits migrate into a
population of mostly brown rabbits, the allele for white fur will increase within the population.
b. Introduction of new alleles through mutation can cause genetic drift. For example, if there are two alleles for
fur color in a rabbit population, and a mutation in one of them produces a third allele, the gene pool changes
to incorporate the new allele.
c. Chance events such as a natural disasters can cause genetic drift. For example, if the only white rabbits in a
population get killed by a storm, the allele for white fur will diminish or disappear in the population.
d. Differential survival and reproduction can cause genetic drift. For example, if all the white rabbits in a
population get eaten by wolves because their white fur stands out and is more visible, the proportion of the
allele for white fur in the population will decrease.
Genetic drift can also be magnified by natural events, such as a natural disaster that kills—at random—a large portion of
the population. Known as the bottleneck effect, it results in a large portion of the genome suddenly being wiped out (Figure
19.5). In one fell swoop, the genetic structure of the survivors becomes the genetic structure of the entire population, which
may be very different from the pre-disaster population.
846 Chapter 19 | The Evolution of Populations
Figure 19.5 A chance event or catastrophe can reduce the genetic variability within a population.
Another scenario in which populations might experience a strong influence of genetic drift is if some portion of the
population leaves to start a new population in a new location or if a population gets divided by a physical barrier of
some kind. In this situation, those individuals are unlikely to be representative of the entire population, which results in
the founder effect. The founder effect occurs when the genetic structure changes to match that of the new population’s
founding fathers and mothers. The founder effect is believed to have been a key factor in the genetic history of the Afrikaner
population of Dutch settlers in South Africa, as evidenced by mutations that are common in Afrikaners but rare in most
other populations. This is likely due to the fact that a higher-than-normal proportion of the founding colonists carried
these mutations. As a result, the population expresses unusually high incidences of Huntington’s disease (HD) and Fanconi
anemia (FA), a genetic disorder known to cause blood marrow and congenital abnormalities.
Watch this short video (http://openstaxcollege.org/l/founder_bottle) to learn more about the founder and bottleneck
effects.
Compare and contrast the bottleneck and founder effects.
a. Both the bottleneck and founder effect are examples of gene flow. However, the bottleneck effect occurs
after a cataclysmic event, whereas the founder effect occurs when mutations introduce new alleles into a
population.
b. Both the bottleneck and founder effect are examples of genetic drift. However, the bottleneck effect is a
process in which a large portion of a genome is wiped out, whereas the founder effect occurs when members
of a larger population migrate to establish their own population.
c. Both the bottleneck and founder effect change the genetic structure of a population. However, the bottleneck
effect reduces or eliminates alleles within a population, whereas the founder effect introduces or increases
alleles.
d. Both the bottleneck and founder effect change the genetic structure of a population. However, the bottleneck
effect occurs when inbreeding depression kills off part of a population, whereas the founder effect relies on
nonrandom mating.
Chapter 19 | The Evolution of Populations 847
Gene Flow
Another important evolutionary force is gene flow: the flow of alleles in and out of a population due to the migration of
individuals or gametes (Figure 19.6). While some populations are fairly stable, others experience more flux. Many plants,
for example, send their pollen far and wide, by wind or by bird, to pollinate other populations of the same species some
distance away. Even a population that may initially appear to be stable, such as a pride of lions, can experience its fair share
of immigration and emigration as developing males leave their mothers to seek out a new pride with genetically unrelated
females. This variable flow of individuals in and out of the group not only changes the gene structure of the population, but
it can also introduce new genetic variation to populations in different geological locations and habitats.
Figure 19.6 Gene flow can occur when an individual travels from one geographic location to another.
Mutation
Mutations are changes to an organism’s DNA and are an important driver of diversity in populations. Species evolve
because of the accumulation of mutations that occur over time. The appearance of new mutations is the most common
way to introduce novel genotypic and phenotypic variance. Some mutations are unfavorable or harmful and are quickly
848 Chapter 19 | The Evolution of Populations
eliminated from the population by natural selection. Others are beneficial and will spread through the population. Whether
or not a mutation is beneficial or harmful is determined by whether it helps an organism survive to sexual maturity and
reproduce. Some mutations do not do anything and can linger, unaffected by natural selection, in the genome. Some can
have a dramatic effect on a gene and the resulting phenotype.
Nonrandom Mating
If individuals nonrandomly mate with their peers, the result can be a changing population. There are many reasons
nonrandom mating occurs. One reason is simple mate choice; for example, female peahens may prefer peacocks with
bigger, brighter tails. Traits that lead to more matings for an individual become selected for by natural selection. One
common form of mate choice, called assortative mating, is an individual’s preference to mate with partners who are
phenotypically similar to themselves.
Another cause of nonrandom mating is physical location. This is especially true in large populations spread over large
geographic distances where not all individuals will have equal access to one another. Some might be miles apart through
woods or over rough terrain, while others might live immediately nearby.
Environmental Variance
Genes are not the only players involved in determining population variation. Phenotypes are also influenced by other
factors, such as the environment (Figure 19.7). For example, sun exposure is an environmental factor, as a person who
spends more time in the sun will likely have darker skin than a person who spends most of their time indoors (assuming
both people had similarly colored skin to start with). Some major characteristics, such as gender, are determined by the
environment for some species. For example, some turtles and other reptiles have temperature-dependent sex determination
(TSD). TSD means that individuals develop into males if their eggs are incubated within a certain temperature range, or
females at a different temperature range.
Figure 19.7 The sex of the American alligator (Alligator mississippiensis) is determined by the temperature at which the
eggs are incubated. Eggs incubated at 30 °C produce females, and eggs incubated at 33 °C produce males. (credit:
Steve Hillebrand, USFWS)
Geographic separation between populations can lead to differences in the phenotypic variation between those populations.
Such geographical variation is seen between most populations and can be significant. One type of geographic variation,
called a cline, can be seen as populations of a given species vary gradually across an ecological gradient. Species of warm-
blooded animals, for example, tend to have larger bodies in the cooler climates closer to the earth’s poles, allowing them to
better conserve heat. This is considered a latitudinal cline. Alternatively, flowering plants tend to bloom at different times
depending on where they are along the slope of a mountain, known as an altitudinal cline.
If there is gene flow between the populations, the individuals will likely show gradual differences in phenotype along the
cline. Restricted gene flow, on the other hand, can lead to abrupt differences, even speciation.
Chapter 19 | The Evolution of Populations 849
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based Approach, Investigation 1: Artificial Selection. Using
Wisconsin Fast Plants, you explore evolution by conducting an artificial selection investigation to increase
or decrease genetic variation in a population and then determine if extreme selection can change the
expression of a quantitative trait.
Think About It
• Do you think genetic drift would happen more quickly on an island or on the mainland? Provide reasoning for
your answer.
• Consider the population of red and blue flowers you analyzed in Section 1 to determine if they were undergoing
microevolution. Recall that you counted 600 blue flowers and 200 red flowers.
• Imagine that you return four years after your initial visit, and the flowers at the site have been split into two
different populations by a newly formed river, which isolates the two populations. In population 1, you counted
125 blue flowers and 10 red flowers. In population 2, you counted 450 blue flowers and 300 red flowers. Did
genetic drift or natural selection likely cause these change in allele frequencies in population 1? What about
population 2? Explain how you know for each population.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential
1.A.1 Natural selection is a major mechanism of evolution.
Knowledge
2.2 The student can apply mathematical routines to quantities that describe natural
Science Practice
phenomena.
5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Science Practice
scientific question.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Essential
1.A.2 Natural selection acts on phenotypic variations in populations.
Knowledge
Science Practice 7.1 The student can connect phenomena and models across spatial and temporal scales.
Learning 1.5 The student is able to connect evolutionary changes in a population over time to a
Objective change in the environment.
Natural selection only acts on the population’s heritable traits: selecting for beneficial alleles and thus increasing their
frequency in the population, while selecting against deleterious alleles and thereby decreasing their frequency—a process
known as adaptive evolution. Natural selection does not act on individual alleles, however, but on entire organisms. An
individual may carry a very beneficial genotype with a resulting phenotype that, for example, increases the ability to
reproduce (fecundity), but if that same individual also carries an allele that results in a fatal childhood disease, that fecundity
phenotype will not be passed on to the next generation because the individual will not live to reach reproductive age. Natural
selection acts at the level of the individual; it selects for individuals with greater contributions to the gene pool of the next
generation, known as an organism’s evolutionary (Darwinian) fitness.
Fitness is often quantifiable and is measured by scientists in the field. However, it is not the absolute fitness of an individual
that counts, but rather how it compares to the other organisms in the population. This concept, called relative fitness, allows
researchers to determine which individuals are contributing additional offspring to the next generation, and thus, how the
population might evolve.
There are several ways selection can affect population variation: stabilizing selection, directional selection, diversifying
selection, frequency-dependent selection, and sexual selection. As natural selection influences the allele frequencies in a
population, individuals can either become more or less genetically similar and the phenotypes displayed can become more
similar or more disparate.
Stabilizing Selection
If natural selection favors an average phenotype, selecting against extreme variation, the population will undergo stabilizing
selection (Figure 19.9). In a population of mice that live in the woods, for example, natural selection is likely to favor
individuals that best blend in with the forest floor and are less likely to be spotted by predators. Assuming the ground is a
fairly consistent shade of brown, those mice whose fur is most closely matched to that color will be most likely to survive
and reproduce, passing on their genes for their brown coat. Mice that carry alleles that make them a bit lighter or a bit darker
will stand out against the ground and be more likely to fall victim to predation. As a result of this selection, the population’s
genetic variance will decrease.
Directional Selection
When the environment changes, populations will often undergo directional selection (Figure 19.9), which selects for
phenotypes at one end of the spectrum of existing variation. A classic example of this type of selection is the evolution
of the peppered moth in eighteenth- and nineteenth-century England. Prior to the Industrial Revolution, the moths were
predominately light in color, which allowed them to blend in with the light-colored trees and lichens in their environment.
But as soot began spewing from factories, the trees became darkened, and the light-colored moths became easier for
predatory birds to spot. Over time, the frequency of the melanic form of the moth increased because they had a higher
Chapter 19 | The Evolution of Populations 851
survival rate in habitats affected by air pollution because their darker coloration blended with the sooty trees.
Scientist can observe directional selection. Suppose populations of rabbits that eat flowers is introduced into an environment
with flowering plants. Once the flowers are eaten, the plants cannot reproduce. Over time, the height of the flowers will
shift higher so that the rabbits cannot reach them Figure 19.8.
Figure 19.8 The introduction of small herbivores that eat flowers often results in directional selection for increased
flower height.
In science, sometimes things are believed to be true, and then new information comes to light that changes our
understanding. The story of the peppered moth is an example: the facts behind the selection toward darker moths have
recently been called into question. Read this article (http://openstaxcollege.org/l/peppered_moths) to learn more.
c. successful reproduction
Diversifying Selection
Sometimes two or more distinct phenotypes can each have their advantages and be selected for by natural selection, while
the intermediate phenotypes are, on average, less fit. Known as diversifying selection (Figure 19.9), this is seen in many
populations of animals that have multiple male forms. Large, dominant alpha males obtain mates by brute force, while small
males can sneak in for furtive copulations with the females in an alpha male’s territory. In this case, both the alpha males and
the sneaking males will be selected for, but medium-sized males, which can’t overtake the alpha males and are too big to
sneak copulations, are selected against. Diversifying selection can also occur when environmental changes favor individuals
on either end of the phenotypic spectrum. Imagine a population of mice living at the beach where there is light-colored sand
interspersed with patches of tall grass. In this scenario, light-colored mice that blend in with the sand would be favored,
as well as dark-colored mice that can hide in the grass. Medium-colored mice, on the other hand, would not blend in with
either the grass or the sand, and would thus be more likely to be eaten by predators. The result of this type of selection is
increased genetic variance as the population becomes more diverse.
Chapter 19 | The Evolution of Populations 853
Figure 19.9 Different types of natural selection can impact the distribution of phenotypes within a population. In
(a) stabilizing selection, an average phenotype is favored. In (b) directional selection, a change in the environment
shifts the spectrum of phenotypes observed. In (c) diversifying selection, two or more extreme phenotypes are
selected for, while the average phenotype is selected against.
Before the Industrial revolution light-colored moths were able to blend in with the environment and better avoid
predators. Since the Industrial Revolution, dark-colored moths are better camouflaged than light-colored moths. The
number of dark-colored moths has increased to be the most common color. This is an example of what?
a. directional selection
b. stabilizing selection
c. frequency-dependent selection
d. diversifying selection
Frequency-dependent Selection
Another type of selection, called frequency-dependent selection, favors phenotypes that are either common (positive
frequency-dependent selection) or rare (negative frequency-dependent selection). An interesting example of this type of
selection is seen in a unique group of lizards of the Pacific Northwest. Male common side-blotched lizards come in three
throat-color patterns: orange, blue, and yellow. Each of these forms has a different reproductive strategy: Orange males
are the strongest and can fight other males for access to their females; blue males are medium-sized and form strong pair
bonds with their mates; and yellow males (Figure 19.10) are the smallest, and look a bit like females, which allows them
854 Chapter 19 | The Evolution of Populations
to sneak copulations. Like a game of rock-paper-scissors, orange beats blue, blue beats yellow, and yellow beats orange in
the competition for females; that is, the big, strong orange males can fight off the blue males to mate with the blue’s pair-
bonded females, the blue males are successful at guarding their mates against yellow sneaker males, and the yellow males
can sneak copulations from the potential mates of the large, polygynous orange males.
Figure 19.10 A yellow-throated side-blotched lizard is smaller than either the blue-throated or orange-throated males
and appears a bit like the females of the species, allowing it to sneak copulations. (credit: tinyfroglet/Flickr)
In this scenario, orange males will be favored by natural selection when the population is dominated by blue males, blue
males will thrive when the population is mostly yellow males, and yellow males will be selected for when orange males are
the most populous. As a result, populations of side-blotched lizards cycle in the distribution of these phenotypes—in one
generation, orange might be predominant, and then yellow males will begin to rise in frequency. Once yellow males make
up a majority of the population, blue males will be selected for. Finally, when blue males become common, orange males
will once again be favored.
Negative frequency-dependent selection serves to increase the population’s genetic variance by selecting for rare
phenotypes, whereas positive frequency-dependent selection usually decreases genetic variance by selecting for common
phenotypes.
Sexual Selection
Males and females of certain species are often quite different from one another in ways beyond the reproductive organs.
Males are often larger, for example, and display many elaborate colors and adornments, like the peacock’s tail, while
females tend to be smaller and duller in decoration. Such differences are known as sexual dimorphisms (Figure 19.11),
which arise from the fact that in many populations, particularly animal populations, there is more variance in the
reproductive success of the males than there is of the females; that is, some males—often the bigger, stronger, or more
decorated males—get the vast majority of the total matings, while others receive none. This can occur because the males
are better at fighting off other males, or because females will choose to mate with the bigger or more decorated males. In
either case, this variation in reproductive success generates a strong selection pressure among males to get those matings,
resulting in the evolution of bigger body size and elaborate ornaments to get the females’ attention. Females, on the other
hand, tend to get a handful of selected matings; therefore, they are more likely to select more desirable males.
Sexual dimorphism varies widely among species, of course, and some species are even sex-role reversed. In such cases,
females tend to have a greater variance in their reproductive success than males and are correspondingly selected for the
bigger body size and elaborate traits usually characteristic of males.
Chapter 19 | The Evolution of Populations 855
Figure 19.11 Sexual dimorphism is observed in (a) peacocks and peahens, (b) Argiope appensa spiders (the female
spider is the large one), and in (c) wood ducks. (credit spiders: modification of work by Sanba38/Wikimedia Commons;
credit duck: modification of work by Kevin Cole)
The selection pressures on males and females to obtain matings is known as sexual selection; it can result in the
development of secondary sexual characteristics that do not benefit the individual’s likelihood of survival but help to
maximize its reproductive success. Sexual selection can be so strong that it selects for traits that are actually detrimental
to the individual’s survival. Think, once again, about the peacock’s tail. While it is beautiful and the male with the largest,
most colorful tail is more likely to win the female, it is not the most practical appendage. In addition to being more visible
to predators, it makes the males slower in their attempted escapes. There is some evidence that this risk, in fact, is why
females like the big tails in the first place. The speculation is that large tails carry risk, and only the best males survive that
risk: the bigger the tail, the more fit the male. This idea is known as the handicap principle.
The good genes hypothesis states that males develop these impressive ornaments to show off their efficient metabolism
or their ability to fight disease. Females then choose males with the most impressive traits because it signals their genetic
superiority, which they will then pass on to their offspring. Though it might be argued that females should not be picky
because it will likely reduce their number of offspring, if better males father more fit offspring, it may be beneficial. Fewer,
healthier offspring may increase the chances of survival more than many, weaker offspring.
856 Chapter 19 | The Evolution of Populations
In 1915, biologist Ronald Fisher proposed another model of sexual selection: the Fisherian runaway model
(http://openstaxcollege.org/l/sexual_select) , which suggests that selection of certain traits is a result of sexual
preference.
Explain the handicap principle.
a. The peacock’s tail is an example of the handicap principle. Having a healthy, beautiful tail discourages
predation, helping in survival. This means that those individuals are most likely to survive and produce
offspring.
b. The peacock’s tail is an example of the handicap principle. It appears that the tail makes the males more
visible to predators and less able to escape, making it a disadvantage to the birds’ survival. However, traits
cannot evolve in a population if they serve as a handicap to the individuals that express that trait. Therefore,
the tail must actually be an advantage.
c. The peacock’s tail is an example of the handicap principle. The tail makes the males more visible to predators
and less able to escape, so the birds with the longest and most extravagant tails get eaten and do not
reproduce. This causes the average tail length for males within the population to decrease over time due to
natural selection.
d. The peacock’s tail is an example of the handicap principle. The tail, which makes the males more visible
to predators and less able to escape, is clearly a disadvantage to the birds’ survival. But because it is a
disadvantage, only the most fit males should be able to survive with it. Thus, the tail serves as an honest
signal of quality to the females of the population; therefore, the male will earn more matings and greater
reproductive success.
In both the handicap principle and the good genes hypothesis, the trait is said to be an honest signal of the males’ quality,
thus giving females a way to find the fittest mates— males that will pass the best genes to their offspring.
No Perfect Organism
Natural selection is a driving force in evolution and can generate populations that are better adapted to survive and
successfully reproduce in their environments. But natural selection cannot produce the perfect organism. Natural selection
can only select on existing variation in the population; it does not create anything from scratch. Thus, it is limited by a
population’s existing genetic variance and whatever new alleles arise through mutation and gene flow.
Natural selection is also limited because it works at the level of individuals, not alleles, and some alleles are linked due
to their physical proximity in the genome, making them more likely to be passed on together (linkage disequilibrium).
Any given individual may carry some beneficial alleles and some unfavorable alleles. It is the net effect of these alleles,
or the organism’s fitness, upon which natural selection can act. As a result, good alleles can be lost if they are carried
by individuals that also have several overwhelmingly bad alleles; likewise, bad alleles can be kept if they are carried by
individuals that have enough good alleles to result in an overall fitness benefit.
Furthermore, natural selection can be constrained by the relationships between different polymorphisms. One morph may
confer a higher fitness than another, but may not increase in frequency due to the fact that going from the less beneficial
to the more beneficial trait would require going through a less beneficial phenotype. Think back to the mice that live at
the beach. Some are light-colored and blend in with the sand, while others are dark and blend in with the patches of grass.
The dark-colored mice may be, overall, more fit than the light-colored mice, and at first glance, one might expect the light-
colored mice be selected for a darker coloration. But remember that the intermediate phenotype, a medium-colored coat, is
very bad for the mice—they cannot blend in with either the sand or the grass and are more likely to be eaten by predators.
As a result, the light-colored mice would not be selected for a dark coloration because those individuals that began moving
in that direction (began being selected for a darker coat) would be less fit than those that stayed light.
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Finally, it is important to understand that not all evolution is adaptive. While natural selection selects the fittest individuals
and often results in a more fit population overall, other forces of evolution, including genetic drift and gene flow, often do
the opposite: introducing deleterious alleles to the population’s gene pool. Evolution has no purpose—it is not changing
a population into a preconceived ideal. It is simply the sum of the various forces described in this chapter and how they
influence the genetic and phenotypic variance of a population.
Think About It
In recent years, factories have been cleaner, and less soot is released into the environment. What impact do you think
this has had on the distribution of moth color in the population?
858 Chapter 19 | The Evolution of Populations
KEY TERMS
adaptive evolution increase in frequency of beneficial alleles and decrease in deleterious alleles due to selection
allele frequency (also, gene frequency) rate at which a specific allele appears within a population
assortative mating when individuals tend to mate with those who are phenotypically similar to themselves
directional selection selection that favors phenotypes at one end of the spectrum of existing variation
evolutionary fitness (also, Darwinian fitness) individual’s ability to survive and reproduce
fitness measure of successful reproduction, the passing on alleles to the next generation
founder effect event that initiates an allele frequency change in part of the population, which is not typical of the original
population
frequency-dependent selection selection that favors phenotypes that are either common (positive frequency-
dependent selection) or rare (negative frequency-dependent selection)
gene flow flow of alleles in and out of a population due to the migration of individuals or gametes
gene pool all of the alleles carried by all of the individuals in the population
genotype frequency the proportion of a specific genotype in a population relative to all other genotypes for those genes
that are present in the population
geographical variation differences in the phenotypic variation between populations that are separated geographically
good genes hypothesis theory of sexual selection that argues individuals develop impressive ornaments to show off
their efficient metabolism or ability to fight disease
handicap principle theory of sexual selection that argues only the fittest individuals can afford costly traits
Hardy-Weinberg principle of equilibrium a stable, non-evolving state of a population in which allelic frequencies are
stable over time
heritability fraction of population variation that can be attributed to its genetic variance
modern synthesis overarching evolutionary paradigm that took shape by the 1940s and is generally accepted today
Chapter 19 | The Evolution of Populations 859
nonrandom mating changes in a population’s gene pool due to mate choice or other forces that cause individuals to mate
with certain phenotypes more than others
population genetics study of how selective forces change the allele frequencies in a population over time
relative fitness individual’s ability to survive and reproduce relative to the rest of the population
selective pressure environmental factor that causes one phenotype to be better than another
sexual dimorphism phenotypic difference between the males and females of a population
CHAPTER SUMMARY
19.1 Population Evolution
The modern synthesis of evolutionary theory grew out of the cohesion of Darwin’s, Wallace’s, and Mendel’s thoughts on
evolution and heredity, along with the more modern study of population genetics. It describes the evolution of populations
and species, from small-scale changes among individuals to large-scale changes over paleontological time periods. To
understand how organisms evolve, scientists can track populations’ allele frequencies over time. If they differ from
generation to generation, scientists can conclude that the population is not in Hardy-Weinberg equilibrium, and is thus
evolving.
Both genetic and environmental factors can cause phenotypic variation in a population. Different alleles can confer
different phenotypes, and different environments can also cause individuals to look or act differently. Only those
differences encoded in an individual’s genes, however, can be passed to its offspring and, thus, be a target of natural
selection. Natural selection works by selecting for alleles that confer beneficial traits or behaviors, while selecting against
those for deleterious qualities. Genetic drift stems from the chance occurrence that some individuals in the germ line have
more offspring than others. When individuals leave or join the population, allele frequencies can change as a result of gene
flow. Mutations to an individual’s DNA may introduce new variation into a population. Allele frequencies can also be
altered when individuals do not randomly mate with others in the group.
Because natural selection acts to increase the frequency of beneficial alleles and traits while decreasing the frequency of
deleterious qualities, it is adaptive evolution. Natural selection acts at the level of the individual, selecting for those that
have a higher overall fitness compared to the rest of the population. If the fit phenotypes are those that are similar, natural
selection will result in stabilizing selection, and an overall decrease in the population’s variation. Directional selection
works to shift a population’s variance toward a new, fit phenotype, as environmental conditions change. In contrast,
diversifying selection results in increased genetic variance by selecting for two or more distinct phenotypes.
Other types of selection include frequency-dependent selection, in which individuals with either common (positive
frequency-dependent selection) or rare (negative frequency-dependent selection) are selected for. Finally, sexual selection
results from the fact that one sex has more variance in the reproductive success than the other. As a result, males and
females experience different selective pressures, which can often lead to the evolution of phenotypic differences, or sexual
dimorphisms, between the two.
REVIEW QUESTIONS
1. What is the ultimate source of all variation in and among populations?
860 Chapter 19 | The Evolution of Populations
a. sexual selection
b. diversifying selection
c. sexual dimorphism
d. a cline
a. Population variation is a description of the diversity of different forms of life. An example of population
variation would be the different forms and functions of prokaryotes versus eukaryotes.
b. Population variation is the geographic distribution of different phenotypes in a population. An example of
population variation would be the fact that warm-blooded mammals that live near the poles tend to be larger than
their southern counterparts to conserve heat.
c. Population variation is the distribution of phenotypes in a population. An example of population variation would
be the many different fur colors and patterns found in domestic dogs.
d. Population variation is the distribution of genotypes in a population. An example of population variation would
be Mendel’s pea plants that were homozygous dominant, heterozygous and homozygous recessive for various
traits.
21. People who breed domesticated animals try to avoid inbreeding even though most domesticated animals are
indiscriminate. Evaluate why this is a good practice.
a. A breeder would not allow close relatives to mate because inbreeding increases the likelihood of fatal mutations
in offspring.
b. A breeder would not allow close relatives to mate because inbreeding prevents gene flow which can bring new,
successful genes into the population.
c. A breeder would not allow close relatives to mate because inbreeding causes diversifying selection, which
dilutes the breeder’s desired genes in the population.
d. A breeder would not allow close relatives to mate because inbreeding can bring together deleterious recessive
mutations that can cause abnormalities and susceptibility to disease.
22. Explain the founder effect and identify the best example.
a. The founder effect is an event that isolates part of a population, generating an allele frequency which is not
typical of the original population. An example of the founder effect is the Amish population. The Amish
population was established from about 200 German immigrants. Individuals of this founding population carried
gene mutations that cause inherited disorders such as Ellis-van Creveld syndrome. This form of dwarfism is
found in a large concentration in the Amish population today because the immigrants that established the
population had a high concentration of the disorder in a very small population.
b. The founder effect is an event that kills off a significant proportion of a population, generating an allele
frequency which is not typical of the original population. An example of the founder effect is the Northern
elephant seal. At one point, hunting of these seals had reduced their numbers to less than 50 individuals. The
population has since rebounded, but still contains less genetic variation than the related Southern elephant seal
due to the loss of some alleles.
c. The founder effect is when only a few males within a population are selected by females to reproduce,
generating an allele frequency which is different from the original population. An example of the founder effect
is the reproductive pattern of mountain gorillas. Mountain gorillas tend to have a single dominant male, the
silverback, who gets the vast majority of the matings in the population. This leads to the next generation
expressing mainly genes from the silverback and very few genes from the other males, changing the genetic
structure of the population.
d. The founder effect occurs when the selective pressure on a trait varies depending on the alleles expressed within
the population, generating varying allele frequencies based on the genetic makeup of the original population. An
example of the founder effect is the cyclical dominance of three throat-color patterns in side-blotched lizards.
23. Explain what a cline is and identify an example.
864 Chapter 19 | The Evolution of Populations
a. A cline is a type of geographic variation that is seen in populations of a given species that vary gradually across
an ecological gradient. For example, endothermic animals tend to have larger bodies in the cooler climates closer
to Earth’s poles, allowing them to better conserve heat.
b. A cline is a change in ecological conditions over a geographic distance. For example, a latitudinal cline is the
decrease in temperature towards Earth’s poles, and an altitudinal cline is the decrease in temperature with
increase in altitude.
c. A cline is the specific set of traits in a population of a given species that have been influenced by the local
environment. For example, a population of warm-blooded animals that lived in a cooler climate closer to the
North Pole would have larger bodies, allowing them to better conserve heat.
d. A cline is the specific set of ecological conditions in a geographic region. For example, towards the North Pole it
is cold and there is little precipitation. This will influence the traits of the organisms that live there.
24. The table shows data for a small population of squirrels on an island. The squirrels are either brown or black in color.
Table 19.2
Is the squirrel population experiencing genetic drift with respect to the fur color locus? Explain.
25. The large alpha male elephant seal is constantly fending off the advances of medium-sized males. Small males are then
able to sneak copulation with females and successfully pass on their genes. What is this an example of? Explain.
a. This is an example of sexual selection. The females are selecting the small males over the large male.
b. This is an example of genetic drift. Because there are so many medium-sized males to compete with the large
alpha male, the small males are able to mate and cause the gene pool to shift towards smaller individuals.
c. This is an example of positive frequency-dependent selection, which is selection that favors phenotypes that are
either common or rare. The sneaky males (rare) are favored in this case.
d. This is an eample of directional selection. Because only the smallest males are mating, the next generation will
have a higher proportion of alleles for small size, making the seals smaller over time.
26. Explain why there is no perfect organism despite natural selection.
a. because natural selection works on a geographic level
b. because natural selection works in a random manner like mutations
c. because of limitations due to a population’s existing variation in genes
d. because natural selection is limited to sexual dimorphism
27. During a drought, the vegetation on an island became scarce. As a result, the body size of a population of mice on the
island grew smaller and smaller. Draw a histogram that can represent this change in body size.
28. Mefloquine is a very effective antimalarial drug that is regularly used to combat malaria around the world. The World
Health Organization recently found a reduction in the efficacy of this drug. The graph shows the percent of malaria cases
successfully treated with mefloquine between 1976 and 1992. What type of selection are malaria parasites most likely
experiencing as a result of mefloquine?
Chapter 19 | The Evolution of Populations 865
Figure 19.12
Table 19.3
Does this provide evidence of natural selection in this population? Why or why not?
a. No, because the genotype frequencies, not allele frequencies, have to change for evolution to occur.
b. No, because the allele frequencies are changing randomly, suggesting that genetic drift is occurring, not natural
selection.
c. Yes, because it shows that the previously favorable or neutral allele A is now being selected against in favor of
allele B.
d. Yes, because it is showing that the frequency of both alleles are changing over time.
30. A scientist is studying two large populations of deer that are centralized in nearby forests. She takes blood samples
from all of the deer in each population and records in how many individuals she finds allele A. She then computes the
frequency of the alleles in each population. The frequencies observed over five years are shown in the tables below.
866 Chapter 19 | The Evolution of Populations
Which forms of evolution are most likely occurring in populations A and B? Explain your answer.
a. In population A, genetic drift is likely occurring, causing allele A to become more prevalent than allele B. In
population B, mutation apparently occurred, introducing allele A to population B. Allele A also appears to be
increasing due to genetic drift in population B.
b. In population A, natural selection is likely occurring, with allele A being favored over allele B. In population B,
gene flow apparently occurred, allowing allele A to become established in population B. Allele A also appears to
be favored by selection in population B.
c. In population A, gene flow apparently occurred, allowing allele B to become established in population A. Allele
A also appears to be favored by selection in population A. In population B genetic drift is likely occurring,
causing allele A to become more prevalent than allele B.
d. In population A, mutation apparently occurred, introducing allele B to population A. Allele A also appears to be
increasing due to genetic drift in population A. In population B natural selection is likely occurring, with allele
A being favored over allele B.
31. A land manager mows a section of annual grass at the end of July. Over the years, he recorded the date of flowering
from the mown field as well as a similar grass field that was not mown. What is the most likely explanation for this trend?
Chapter 19 | The Evolution of Populations 867
Table 19.4
a. Mowing stimulates flowering, so the grass adapts by flowering after mowing occurs.
b. Mowing stabilizes the flowering time, which follows a steady trend in the mowed field but not in the unmowed
field.
c. The mowing is preventing the grass from reproducing, causing the mowed field to adapt by flowering earlier.
d. The grass typically flowers earlier and earlier every year as it becomes older with each passing year.
32. A scientist observed two populations of insects for 10 years. They took data on the length, in mm , of the insect’s
mouthparts. Their data is shown in the graphs below.
Figure 19.13
How is this population evolving and what agent of evolution is most likely at work?
868 Chapter 19 | The Evolution of Populations
a. Inbreeding, because the gene distributions are becoming less similar among the population.
b. Genetic drift, as the distribution of traits has become more random.
c. Gene flow, as the population has likely gained new mouthpart traits through immigration.
d. Natural selection, as insects that have mid-sized mouthparts are being favored.
33. Researchers believe that in a fish species, individuals with the recessive genotype aa are predisposed to disease.
Homozygous dominant (AA) individuals and heterozygous (Aa) individuals are not believed to be susceptible to this
disease. A pond was stocked with 100 fish of the AA genotype and 100 fish of the aa phenotype, and the fish were allowed
to breed. In the next generation, 35 percent of the fish had the dominant (AA) phenotype. What does this result indicate?
a. The homozygous dominant phenotype is higher than expected, indicating that evolution has occurred.
b. The homozygous dominant phenotype is lower than expected, indicating that evolution has occurred.
c. The homozygous dominant phenotype is higher than expected, indicating that evolution has not occurred.
d. The homozygous dominant phenotype is lower than expected, indicating that evolution not occurred.
34. Heterozygote advantage is a condition in which heterozygotes are favored by natural selection. How would the value
of 2pq likely change if the population was undergoing heterozygote advantage?
a. It would remain in equilibrium because the value of p and q would remain the same.
b. It would remain in equilibrium because the value of 2pq would remain the same.
c. It would not remain in equilibrium because the value of 2pq would likely increase.
d. It would not remain in equilibrium because the value of 2pq would likely decrease.
35. The graph below shows the change in gene frequency of the two alleles of a gene: A and a. The population being
studies has no emigration or immigration. Which type of evolution is likely occurring here and is the allele selected for,
neutral, or selected against by natural selection?
Figure 19.14
a. nonrandom mating; both alleles are favored
b. gene flow; allele A is favored
c. genetic drift; both alleles are neutral
d. natural selection; allele a is not favored
36. The figure below shows the change in gene frequency of the two alleles: A and B. These alleles are located on separate
genes that do not influence each other in any way. The population being studied has no emigration or immigration. Which
type of evolution is likely occurring here, if at all? Explain how you know.
Chapter 19 | The Evolution of Populations 869
Figure 19.15
37. The graph below shows the current frequencies of two genotypes of the same gene: AA and aa. What would most
likely happen to the frequencies of A and a if heterozygous individuals were favored by natural selection?
870 Chapter 19 | The Evolution of Populations
Figure 19.16
a. Both AA and aa will drop in frequency by the same amount.
b. Both AA and aa will drop, but aa will drop more.
c. AA will increase in frequency and aa will drop in frequency.
d. Genotype aa will increase in frequency and AA will drop in frequency.
38. The diagram below shows the frequency of alleles on two species of wind-pollinated plants, as well as the prevailing
wind direction. These frequencies have been fairly stable for around 10 years. However, climate change has created a new
prevailing wind direction, as shown in the diagram. How will the two populations likely evolve in the future?
Chapter 19 | The Evolution of Populations 871
Figure 19.17
a. an increase in gene flow between the two populations
b. a decrease in gene flow between the two populations
c. an increase in nonrandom mating between the two populations
d. a decrease in nonrandom mating between the two populations
40. Antibiotics are medicines that are designed to kill disease-causing organisms, or pathogens. However, some pathogens
evolve antibiotic resistance, where they gain traits that allow them to survive in the presence of antibiotics. The ability of
bacteria to adapt to antibiotics so quickly has created a huge concern over whether antibiotics are being overused. What
form of evolution is antibiotic resistance an example of, and why?
a. gene flow because the bacteria are passing on the resistant trait within their populations
b. natural selection, because the bacteria is adapting to a new environmental condition: the presence of the
antibiotic
c. genetic drift because medical workers cannot follow the randomly-fluctuating gene frequencies of bacterial
populations
d. mutation, because each bacteria must mutate to an antibody-resistant form in order to survive
Chapter 19 | The Evolution of Populations 873
Genotype C1 C1 C2 C2 C3 C3 C1 C2 C1 C3 C2 C3 Total
Observed 120 230 112 175 198 165 1,000
Table 19.5
D. The calculated allelic frequencies pC1, pC2, and pC3 are closest to ___.
a. pC1 = 0.57 pC2 = 0.57 pC3 = 0.59
b. pC1 = 0.29 pC2 = 0.29 pC3 = 0.42
c. pC1 = 0.61 pC2 = 0.80 pC3 = 0.59
d. pC1 = 0.31 pC2 = 0.40 pC3 = 0.29
E. In order to investigate the presence of selection at the cellulase locus due to changing temperature, a biologist should:
874 Chapter 19 | The Evolution of Populations
a. calculate the values of the sums pC1 + pC2 + pC3 and (pC1 + pC2 + pC3)2. If these numbers are not equal to 1, the
gene is not in Hardy-Weinberg equilibrium, and the gene is evolving.
b. return next year and repeat this examination of the enzyme, calculating frequencies of each allele each year.
Then calculate the values of the sums pC1 + pC2 + pC3 and (pC1 + pC2 + pC3)2. If these numbers are not the
same each year, the gene is not in Hardy-Weinberg equilibrium, and the gene is evolving.
c. return each year for several years and repeat this examination of the enzyme, calculating frequencies of each
allele each year. If the allele frequencies are changing, the gene is not in Hardy-Weinberg equilibrium, and
temperature is exerting a selection pressure.
d. return each year for several years and repeat this examination of the enzyme, calculating frequencies of each
allele each year. If the allele frequencies are changing, the gene is not in Hardy-Weinberg equilibrium. Analysis
of the dependence of allele frequencies on temperature could indicate selection.
42. Calamus finmarchicus is the dominant copepod in the Gulf of Maine. The polymorphic aminopeptidase locus, Lap-1,
has been shown to be useful for the genetic differentiation of populations of this organism. By examining the population
dynamics of copepods, the dynamics of the fin fish on which they feed can be predicted. The aerial photograph shows a
landmass separating two coastal estuarine habits, the mud flats of Egypt Bay and the Mount Desert Narrows. For the past
40 years, transport between the two habits has been hindered by a dam over the Carrying Place Inlet. However, small
volumes of water occasionally crest the dam.
Figure 19.18
To evaluate the geographic isolation of invertebrate populations in these two habitats, copepods are sampled at the points
labeled 1 and 2 on the photograph. These points lie at either ends of the Carrying Place Inlet. Enzymes encoded by three
alleles, labeled A, B, and C, were determined by gel electrophoresis of equal numbers of the organisms collected at the
two sites. Numbers of each genotype are given in the following table:
Site AA AB AC BB BC CC Total
1 82 114 102 74 98 30 500
2 96 108 92 54 110 40 500
Table 19.6
A. Calculate the frequencies, f, of each allele and complete the following table:
Chapter 19 | The Evolution of Populations 875
Table 19.7
B. Using a χ 2 test, evaluate these data to determine if the aminopeptidase gene in these two populations is evolving.
State your conclusion as claims supported by evidence at both the 95% and 99% confidence levels. The formula for the
χ 2 test is provided on the AP Biology Exam.
(o − e) 2
χ2 = ∑ e
This table of critical p values is also provided on the AP Biology Exam.
P 1 2 3 4 5 6 7 8
0.05 3.84 5.99 7.82 9.49 11.07 12.59 14.07 15.51
0.01 6.64 9.32 11.34 13.28 15.09 16.81 18.48 20.09
C. Based on these data, predict, with justification, changes over time in the aminopeptidase enzyme for these populations.
D. The B form of this aminopeptidase is slightly more efficient at extracting nutritional leucine from a protein than the A
and C forms but slightly less efficient at extracting valine and serine. Describe an investigation of the two habitats that
could suggest a causal relationship between changes in allele frequency and characteristics of the environment.
E. Single-nucleotide mutations are neutral when they encode changes in proteins that result in no significant differential
selection. If differences in environmental factors between sites 1 and 2 are not observed, predict what other factors could
result in departures from Hardy-Weinberg equilibrium for aminopeptidase.
43. Bioluminescence is an example of convergent evolution; 30 distinct lineages have acquired this characteristic, and all
involve some form of a class of molecules called luciferins. Sexual selection pressures are strong for light-emitting
organisms. Ellis and Oakley (Curr Biol, 2016) examined the number of species that lack luminosity in groups of closest
evolutionary relation (sister linear) with those species that are luminous. Similarly, scientists made the same comparison
between groups that use luminosity for concealment (counter-illumination) and their sister lineages. The graphs
summarize their results, comparing the natural logarithm of the number of species in each lineage.
876 Chapter 19 | The Evolution of Populations
Figure 19.19
Based on the data shown in the graphs, describe a model that can account for the increased speciation of bioluminescent
lineages, including the mechanism of speciation.
44. A biologist is using a simulation to model populations of African hornbills (Bycanistes spp. and Ceratogymna spp.), a
keystone species of the savanna. Populations of the birds are declining due to habitat loss. The hornbill’s diet consists
primarily of termites and fruit. A critical component of termite digestion is chitin deacetylase, an enzyme whose mutation
rate is a model parameter. The other model parameter is population size, N. In the results of the simulation study shown
above, there is no selection, and the mutation rate is fixed. Although both population size and mutation rate are fixed,
randomness results in the five different outcomes shown in each graph above.
Figure 19.20
A. Select the graph displaying the results that are closer to Hardy-Weinberg equilibrium. Justify the selection of the graph.
B. Based on these simulations, predict the future heterozygosity, 2pq, of the smaller populations, as shown in graph A.
C. Justify the use of a simulation study with no selection under environmental conditions in which the availability of both
termites and fruit is high.
Chapter 19 | The Evolution of Populations 877
D. If a change in the environment occurs suddenly, such as an increase in average temperature, where fruit production
declines, analyze the effect of the change on allele frequency in the large and small populations.
REFERENCES
19.0 Introduction
Katzourakis A. et al. (2014, July 17). Larger mammalian body size leads to lower retroviral activity. PLoS Pathog, 10(7),
e1004214. doi: 10.1371/journal.ppat.1004214.
20 | EVOLUTIONARY
RELATIONSHIPS OF LIFE
ON EARTH
Figure 20.1 The life of a bee is very different from the life of a flower, but the two organisms are related. Both are
members of the domain Eukarya and have cells containing many similar organelles, genes, and proteins. (credit:
modification of work by John Beetham)
Chapter Outline
20.1: Organizing Life on Earth
20.2: Determining Evolutionary Relationships
20.3: Perspectives on the Phylogenetic Tree
Introduction
This bee and Echinacea flower (Figure 20.1) could not look more different, yet they are related, as are all living
organisms on Earth. By following pathways of similarities and changes—both visible and genetic—scientists seek to map
the evolutionary past of how life developed from single-celled organisms to the tremendous variety of creatures that have
germinated, crawled, floated, swam, flown, and walked on this planet.
New species are discovered with frequent regularity, but it’s not too common to discover a new large mammal. However,
that’s what scientists did in Australia when they named a new species of cetacean the Australian humpback dolphin, Souse
sahulensis. The dolphin had originally been classified as another closely related species, but a closer look at its coloration,
skeletal structure, habitat, and DNA determined that it was in fact a separate species.
For more information, read the research article (http://openstaxcollege.org/l/32dolphin) yourself.
880 Chapter 20 | Evolutionary Relationships of Life on Earth
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.14 The student is able to pose scientific questions that correctly identify essential
Objective properties of shared, core life processes that provide insight into the history of life on Earth.
Essential 1.B.1 Phylogenetic trees and cladograms are graphical representations (models) of
Knowledge evolutionary history that can be tested.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Chapter 20 | Evolutionary Relationships of Life on Earth 881
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 1.16 The student is able to justify the scientific claim that organisms share many conserved
Objective core processes and features that evolved and are widely distributed among organisms today.
Essential 1.B.2 Phylogenetic trees and cladograms are graphical representations (models) of
Knowledge evolutionary history that can be tested.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.17 The student is able to pose scientific questions about a group of organisms whose
Objective relatedness is described by a phylogenetic tree or cladogram.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.20]
• [APLO 1.26]
Phylogenetic Trees
Scientists use a tool called a phylogenetic tree to show the evolutionary pathways and connections among organisms. A
phylogenetic tree is a diagram used to reflect evolutionary relationships among organisms or groups of organisms. Scientists
consider phylogenetic trees to be a hypothesis of the evolutionary past since one cannot go back to confirm the proposed
relationships. In other words, a tree of life can be constructed to illustrate when different organisms evolved and to show the
relationships among different organisms (Figure 20.2).
Unlike a taxonomic classification diagram, a phylogenetic tree can be read like a map of evolutionary history. Many
phylogenetic trees have a single lineage at the base representing a common ancestor. Scientists call such trees rooted, which
means there is a single ancestral lineage (typically drawn from the bottom or left) to which all organisms represented in the
diagram relate. Notice in the rooted phylogenetic tree that the three domains— Bacteria, Archaea, and Eukarya—diverge
from a single point and branch off. The small branch that plants and animals (including humans) occupy in this diagram
shows how recent and miniscule these groups are compared with other organisms. Unrooted trees don’t show a common
ancestor but do show relationships among species.
Figure 20.2 Both of these phylogenetic trees shows the relationship of the three domains of life—Bacteria, Archaea,
and Eukarya—but the (a) rooted tree attempts to identify when various species diverged from a common ancestor
while the (b) unrooted tree does not. (credit a: modification of work by Eric Gaba)
In a rooted tree, the branching indicates evolutionary relationships (Figure 20.3). The point where a split occurs, called
a branch point, represents where a single lineage evolved into a distinct new one. A lineage that evolved early from the
root and remains unbranched is called basal taxon. When two lineages stem from the same branch point, they are called
882 Chapter 20 | Evolutionary Relationships of Life on Earth
sister taxa. A branch with more than two lineages is called a polytomy and serves to illustrate where scientists have not
definitively determined all of the relationships. It is important to note that although sister taxa and polytomy do share an
ancestor, it does not mean that the groups of organisms split or evolved from each other. Organisms in two taxa may have
split apart at a specific branch point, but neither taxa gave rise to the other.
Figure 20.3 The root of a phylogenetic tree indicates that an ancestral lineage gave rise to all organisms on the tree.
A branch point indicates where two lineages diverged. A lineage that evolved early and remains unbranched is a basal
taxon. When two lineages stem from the same branch point, they are sister taxa. A branch with more than two lineages
is a polytomy.
The diagrams above can serve as a pathway to understanding evolutionary history. The pathway can be traced from the
origin of life to any individual species by navigating through the evolutionary branches between the two points. Also, by
starting with a single species and tracing back towards the trunk of the tree, one can discover that species' ancestors, as well
as where lineages share a common ancestry. In addition, the tree can be used to study entire groups of organisms.
Another point to mention on phylogenetic tree structure is that rotation at branch points does not change the information.
For example, if a branch point was rotated and the taxon order changed, this would not alter the information because the
evolution of each taxon from the branch point was independent of the other.
Many disciplines within the study of biology contribute to understanding how past and present life evolved over time; these
disciplines together contribute to building, updating, and maintaining the tree of life. Information is used to organize and
classify organisms based on evolutionary relationships in a scientific field called systematics. Data may be collected from
fossils, from studying the structure of body parts or molecules used by an organism, and by DNA analysis. By combining
data from many sources, scientists can put together the phylogeny of an organism; since phylogenetic trees are hypotheses,
they will continue to change as new types of life are discovered and new information is learned.
Figure 20.4 This ladder-like phylogenetic tree of vertebrates is rooted by an organism that lacked a vertebral column.
At each branch point, organisms with different characters are placed in different groups based on the characteristics
they share.
Another aspect of phylogenetic trees is that, unless otherwise indicated, the branches do not account for length of time, only
the evolutionary order. In other words, the length of a branch does not typically mean more time passed, nor does a short
branch mean less time passed— unless specified on the diagram. For example, in Figure 20.4, the tree does not indicate
how much time passed between the evolution of amniotic eggs and hair. What the tree does show is the order in which
things took place. Again using Figure 20.4, the tree shows that the oldest trait is the vertebral column, followed by hinged
jaws, and so forth. Remember that any phylogenetic tree is a part of the greater whole, and like a real tree, it does not grow
in only one direction after a new branch develops. So, for the organisms in Figure 20.4, just because a vertebral column
evolved does not mean that invertebrate evolution ceased, it only means that a new branch formed. Also, groups that are not
closely related, but evolve under similar conditions, may appear more phenotypically similar to each other than to a close
relative.
Head to this website (http://openstaxcollege.org/l/tree_of_life) to see interactive exercises that allow you to explore the
evolutionary relationships among species.
What is the main function of the ITOL (Interactive Tree of Life) website?
a. a. ITOL is a website that provides the history about the Tree of Life.
b. b. ITOL is a website that provides guidelines for researching data to create a phylogenetic tree.
c. c. ITOL is an online tool that provides the display and manipulation of pre-computed phylogenetic trees, and
you can upload and display your own trees and data.
Think About It
How does a phylogenetic tree relate to the passing of time? What other questions about the evolutionary history of an
organism and its relatedness to other organisms can a phylogenetic tree answer?
Figure 20.5 The taxonomic classification system uses a hierarchical model to organize living organisms into
increasingly specific categories. The common dog, Canis lupus familiaris, is a subspecies of Canis lupus, which also
includes the wolf and dingo. (credit dog: modification of work by Janneke Vreugdenhil)
The kingdom Animalia stems from the Eukarya domain. For the common dog, the classification levels would be as shown
in Figure 20.5. Therefore, the full name of an organism technically has eight terms. For the dog, it is: Eukarya, Animalia,
Chordata, Mammalia, Carnivora, Canidae, Canis, and lupus. Notice that each name is capitalized except for species, and
the genus and species names are italicized. Scientists generally refer to an organism only by its genus and species, which is
886 Chapter 20 | Evolutionary Relationships of Life on Earth
its two-word scientific name, in what is called binomial nomenclature. Therefore, the scientific name of the dog is Canis
lupus. The name at each level is also called a taxon. In other words, dogs are in order Carnivora. Carnivora is the name of
the taxon at the order level; Canidae is the taxon at the family level, and so forth. Organisms also have a common name
that people typically use, in this case, dog. Note that the dog is additionally a subspecies: the “familiaris” in Canis lupus
familiaris. Subspecies are members of the same species that are capable of mating and reproducing viable offspring, but
they are considered separate subspecies due to geographic or behavioral isolation or other factors.
Figure 20.6 shows how the levels move toward specificity with other organisms. Notice how the dog shares a domain
with the widest diversity of organisms, including plants and butterflies. At each sublevel, the organisms become more
similar because they are more closely related. Historically, scientists classified organisms using characteristics, but as DNA
technology developed, more precise phylogenies have been determined.
Chapter 20 | Evolutionary Relationships of Life on Earth 887
Figure 20.6 At each sublevel in the taxonomic classification system, organisms become more similar. Dogs
and wolves are the same species because they can breed and produce viable offspring, but they are different
enough to be classified as different subspecies. (credit plant: modification of work by berduchwal/Flickr; credit
insect: modification of work by Jon Sullivan; credit fish: modification of work by Christian Mehlführer; credit rabbit:
modification of work by Aidan Wojtas; credit cat: modification of work by Jonathan Lidbeck; credit fox: modification
of work by Kevin Bacher, NPS; credit jackal: modification of work by Thomas A. Hermann, NBII, USGS; credit
wolf: modification of work by Robert Dewar; credit dog: modification of work by digital_image_fan/Flickr)
At what levels are cats and dogs considered to be part of the same group?
a. Cats and dogs are only found together in the Domain level.
b. Cats and dogs are in the same group beginning at the Domain level and including the sublevels Kingdom,
Phylum, Class, and Order.
c. Cats and dogs are in the same group beginning at the Family level.
d. Cats and dogs are part of the same group beginning with the Order: Carnivora level.
888 Chapter 20 | Evolutionary Relationships of Life on Earth
Visit this website (http://openstaxcollege.org/l/classify_life) to classify three organisms—bear, orchid, and sea
cucumber—from kingdom to species. To launch the game, under Classifying Life, click the picture of the bear or the
Launch Interactive button.
Using the taxonomic classification system, which Kingdom category best describes a bear?
b. Animalia: Multicellular organismsthat get their energy through ingesting other organisms.
c. Fungi: Single-celled and multi-celled organisms that get their energy mainly by absorbing nutrients from
their surroundings and not through photosynthesis.
Recent genetic analysis and other advancements have found that some earlier phylogenetic classifications do not align with
the evolutionary past; therefore, changes and updates must be made as new discoveries occur. Recall that phylogenetic trees
are hypotheses and are modified as data becomes available. In addition, classification historically has focused on grouping
organisms mainly by shared characteristics and does not necessarily illustrate how the various groups relate to each other
from an evolutionary perspective. For example, despite the fact that a hippopotamus resembles a pig more than a whale, the
hippopotamus may be the closest living relative of the whale.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 1 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines, including
Knowledge mathematics.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.9 The student is able to evaluate evidence provided by data from many scientific
Objective disciplines that support biological evolution.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines, including
Knowledge mathematics.
Science
5.2 The student can refine observations and measurements based on data analysis.
Practice
Learning 1.10 The student is able to refine evidence based on data from many scientific disciplines
Objective that support biological evolution.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines, including
Knowledge mathematics.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
1.11 The student is able to design a plan to answer scientific questions regarding how
Learning
organisms have changed over time using information from morphology, biochemistry, and
Objective
geology.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines, including
Knowledge mathematics.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 1.12 The student is able to connect scientific evidence from many scientific disciplines to
Objective support the modern concept of evolution.
Essential 1.A.4 Biological evolution is supported by scientific evidence from many disciplines, including
Knowledge mathematics.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
2.1 The student can justify the selection of a mathematical routine to solve problems.
Practice
Learning 1.13 The student is able to construct and/or justify mathematical models, diagrams or
Objective simulations that represent processes of biological evolution.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
890 Chapter 20 | Evolutionary Relationships of Life on Earth
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.14 The student is able to pose scientific questions that correctly identify essential
Objective properties of shared, core life processes that provide insight into the history of life on Earth.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 1.16 The student is able to justify the scientific claim that organisms share many conserved
Objective core processes and features that evolved and are widely distributed among organisms today.
Essential 1.B.2 Phylogenetic trees and cladograms are graphical representations (models) of
Knowledge evolutionary history that can be tested.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.17 The student is able to pose scientific questions about a group of organisms whose
Objective relatedness is described by a phylogenetic tree or cladogram.
Essential 1.B.2 Phylogenetic trees and cladograms are graphical representations (models) of
Knowledge evolutionary history that can be tested.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.18 The student is able to evaluate evidence provided by a data set in conjunction with a
Objective phylogenetic tree or simple cladogram to determine evolutionary history and speciation.
Essential 1.B.2 Phylogenetic trees and cladograms are graphical representations (models) of
Knowledge evolutionary history that can be tested.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
2.1 The student can justify the selection of a mathematical routine to solve problems.
Practice
Learning 1.19 The student is able to create a phylogenetic tree or simple cladogram that correctly
Objective represents evolutionary history and speciation from a provided data set.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 1.15]
• [APLO 1.16]
• [APLO 1.18]
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• [APLO 1.17]
• [APLO 1.19]
• [APLO 1.26]
Figure 20.7 Bat and bird wings are homologous structures, indicating that bats and birds share a common evolutionary
past. (credit a: modification of work by Steve Hillebrand, USFWS; credit b: modification of work by U.S. DOI BLM)
Notice it is not simply a single bone, but rather a grouping of several bones arranged in a similar way. The more complex
the feature, the more likely any kind of overlap is due to a common evolutionary past. Imagine two people from different
countries both inventing a car with all the same parts and in exactly the same arrangement without any previous or shared
knowledge. That outcome would be highly improbable. However, if two people both invented a hammer, it would be
reasonable to conclude that both could have the original idea without the help of the other. The same relationship between
complexity and shared evolutionary history is true for homologous structures in organisms.
Misleading Appearances
Some organisms may be very closely related, even though a minor genetic change caused a major morphological difference
to make them look quite different. Similarly, unrelated organisms may be distantly related, but appear very much alike. This
usually happens because both organisms were in common adaptations that evolved within similar environmental conditions.
When similar characteristics occur because of environmental constraints and not due to a close evolutionary relationship,
it is called an analogy or homoplasy. For example, insects use wings to fly like bats and birds, but the wing structure and
embryonic origin is completely different. These are called analogous structures (Figure 20.8).
Similar traits can be either homologous or analogous. Homologous structures share a similar embryonic origin; analogous
organs have a similar function. For example, the bones in the front flipper of a whale are homologous to the bones in the
human arm. These structures are not analogous. The wings of a butterfly and the wings of a bird are analogous but not
homologous. Some structures are both analogous and homologous: the wings of a bird and the wings of a bat are both
homologous and analogous. Scientists must determine which type of similarity a feature exhibits to decipher the phylogeny
of the organisms being studied.
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Figure 20.8 The (c) wing of a honeybee is similar in shape to a (b) bird wing and (a) bat wing, and it serves the same
function. However, the honeybee wing is not composed of bones and has a distinctly different structure and embryonic
origin. These wing types (insect versus bat and bird) illustrate an analogy—similar structures that do not share an
evolutionary history. (credit a: modification of work by Steve Hillebrand, USFWS; credit b: modification of work by U.S.
DOI BLM; credit c: modification of work by Jon Sullivan)
This website (http://openstaxcollege.org/l/relationships) has several examples to show how appearances can be
misleading in understanding the phylogenetic relationships of organisms.
James Lake of the UCLA/NASA Astrobiology Institute presented new evidence regarding the evolution of eukaryotic
cells. He hypothesized that eukaryotes developed from an endosymbiotic gene fusion between the two other domains
of life. What kind of genetic evidence would best support this hypothesis?
d. Some eukaryotic genes resemble those of Archaea, while some resemble those of Bacteria and some are
unlike the genes of either domain.
Molecular Comparisons
With the advancement of DNA technology, the area of molecular systematics, which describes the use of information
on the molecular level including DNA analysis, has blossomed. New computer programs not only confirm many earlier
classified organisms, but also uncover previously made errors. As with physical characteristics, even the DNA sequence can
be tricky to read in some cases. For some situations, two very closely related organisms can appear unrelated if a mutation
Chapter 20 | Evolutionary Relationships of Life on Earth 893
occurred that caused a shift in the genetic code. An insertion or deletion mutation would move each nucleotide base over
one place, causing two similar codes to appear unrelated.
Sometimes two segments of DNA code in distantly related organisms randomly share a high percentage of bases in
the same locations, causing these organisms to appear closely related when they are not. For both of these situations,
computer technologies have been developed to help identify the actual relationships, and, ultimately, the coupled use of
both morphologic and molecular information is more effective in determining phylogeny.
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Figure 20.9 Dalbergia sissoo is in the Fabaceae, or legume family. Scientists found that D. sissoo shares a DNA
marker with species within the Fabaceae family that have antifungal properties. Subsequently, D. sissoo was
shown to have fungicidal activity, supporting the idea that DNA markers can be used to screen for plants with
potential medicinal properties.
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Part b of the figure shows a hypothetical model of the evolution of the cell membrane of gram-negative bacteria,
which has a double membrane. If this hypothesis is true, what does it suggest about the evolution of mitochondria and
chloroplasts in eukaryotic cells and why?
a. Chloroplasts and mitochondria did not come about through endosymbiosis with gram-negative bacteria
because these organelles have a single membrane.
b. Chloroplasts and mitochondria likely evolved later in eukaryotic cells, as these organelles show no
similarities to prokaryotes.
c. Chloroplasts and mitochondria came about through endosymbiosis with Archaea and gram positive bacteria
because these organelles have prokaryote-like DNA.
d. Chloroplasts and mitochondria came about through endosymbiosis with gram-negative bacteria because
these organelles have a double membrane.
Figure 20.10 Lizards, rabbits, and humans all descend from a common ancestor that had an amniotic egg. Thus,
lizards, rabbits, and humans all belong to the clade Amniota. Vertebrata is a larger clade that also includes fish
and lamprey.
Eukaryotic mitochondria contain their own DNA, known as mitochondrial DNA, or mtDNA. Nuclear and
mitochondrial DNA are thought to be of different (separate) evolutionary origin, with the mitochondrial DNA being
derived from the circular chromosomes of bacteria that were engulfed by ancient prokaryotic cells. Does the presence
of mitochondrial DNA suggest that organisms share many conserved core processes and features that evolved and are
widely distributed among organisms today? Why or why not?
a. Yes, because it shows the prokaryotes and eukaryotes use similar organelles, namely, mitochondria.
b. Yes, because it suggests the eukaryotes possess traits that were likely conserved from prokaryotic ancestors.
c. No, because mitochondrial DNA is very different from the DNA within a eukaryote’s nucleus.
d. No, because mitochondrial DNA is not used by the eukaryotic cells.
Clades can vary in size depending on which branch point is being referenced. The important factor is that all of the
organisms in the clade or monophyletic group stem from a single point on the tree. This can be remembered because
monophyletic breaks down into mono, meaning one, and phyletic, meaning evolutionary relationship. Figure 20.11 shows
various examples of clades. Notice how each clade comes from a single point, whereas the non-clade groups show branches
that do not share a single point.
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Figure 20.11 All the organisms within a clade stem from a single point on the tree. A clade may contain multiple
groups, as in the case of animals, fungi and plants, or a single group, as in the case of flagellates. Groups that
diverge at a different branch point, or that do not include all groups in a single branch point, are not considered
clades.
Glycolysis, or the breakdown of glucose, is a process used by almost all organisms as a way to release energy stored
within glucose molecules. This energy can then be stored in cells as ATP, which powers cell processes when needed.
What does this show, in terms of the evolutionary history of cells using glycolysis?
a. Glycolysis has been conserved despite the independent evolution of the three domains of life.
b. Prokaryotes would likely not benefit from the Krebs cycle or the ETC.
c. Prokaryotes likely evolved after eukaryotes.
d. Glycolysis is the only way in which living things can break down glucose.
Shared Characteristics
Organisms evolve from common ancestors and then diversify. Scientists use the phrase “descent with modification” because
even though related organisms have many of the same characteristics and genetic codes, changes occur. This pattern repeats
over and over as one goes through the phylogenetic tree of life:
1. A change in the genetic makeup of an organism leads to a new trait which becomes prevalent in the group.
2. Many organisms descend from this point and have this trait.
3. New variations continue to arise: some are adaptive and persist, leading to new traits.
4. With new traits, a new branch point is determined (go back to step 1 and repeat).
If a characteristic is found in the ancestor of a group, it is considered a shared ancestral character because all of the
organisms in the taxon or clade have that trait. The vertebrate in Figure 20.10 is a shared ancestral character. Now consider
the amniotic egg characteristic in the same figure. Only some of the organisms in Figure 20.10 have this trait, and to those
that do, it is called a shared derived character because this trait derived at some point but does not include all of the
ancestors in the tree.
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The tricky aspect to shared ancestral and shared derived characters is the fact that these terms are relative. The same trait
can be considered one or the other depending on the particular diagram being used. Returning to Figure 20.10, note that the
amniotic egg is a shared ancestral character for the Amniota clade, while having hair is a shared derived character for some
organisms in this group. These terms help scientists distinguish between clades in the building of phylogenetic trees.
Choosing the Right Relationships
Imagine being the person responsible for organizing all of the items in a department store properly—an overwhelming task.
Organizing the evolutionary relationships of all life on Earth proves much more difficult: scientists must span enormous
blocks of time and work with information from long-extinct organisms. Trying to decipher the proper connections,
especially given the presence of homologies and analogies, makes the task of building an accurate tree of life extraordinarily
difficult. Add to that the advancement of DNA technology, which now provides large quantities of genetic sequences to be
used and analyzed. Taxonomy is a subjective discipline: many organisms have more than one connection to each other, so
each taxonomist will decide the order of connections.
To aid in the tremendous task of describing phylogenies accurately, scientists often use a concept called maximum
parsimony, which means that events occurred in the simplest, most obvious way. For example, if a group of people entered
a forest preserve to go hiking, based on the principle of maximum parsimony, one could predict that most of the people
would hike on established trails rather than forge new ones.
For scientists deciphering evolutionary pathways, the same idea is used: the pathway of evolution probably includes the
fewest major events that coincide with the evidence at hand. Starting with all of the homologous traits in a group of
organisms, scientists look for the most obvious and simple order of evolutionary events that led to the occurrence of those
traits.
Head to this website (http://openstaxcollege.org/l/32species) to learn how maximum parsimony is used to create
phylogenetic trees.
What do phylogenetic relationships refer to?
d. the relative times in the past that species shared common ancestors
These tools and concepts are only a few of the strategies scientists use to tackle the task of revealing the evolutionary history
of life on Earth. Recently, newer technologies have uncovered surprising discoveries with unexpected relationships, such as
the fact that people seem to be more closely related to fungi than fungi are to plants. Sound unbelievable? As the information
about DNA sequences grows, scientists will become closer to mapping the evolutionary history of all life on Earth.
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Activity
Using a data set provided by your teacher or other sources, construct a phylogenetic tree or cladogram to
reflect the evolutionary history among a group of organisms based on shared characteristics. Then share
the phylogenetic tree or cladogram with peers for review and revision.
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based Approach, Investigation 3: Comparing DNA Sequences to
Understand Evolutionary Relationships with BLAST. Students will learn to use a common tool, BLAST, to
compare several genes from different organisms and then use this information to construct a cladogram
to determine evolutionary relatedness among species. Then students will use BLAST to track a gene(s)
of choice through several species. Bioinformatics has many applications, including understanding genetic
disease.
Think About It
Why must scientists distinguish between homologous and analogous characteristics before building phylogenetic
trees? Do more closely related organisms share homologous or analogous traits? Which type of trait is used to support
convergent or divergent evolution?
Big Idea 1 The process of evolution drives the diversity and unity of life.
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Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science
3.1 The student can pose scientific questions.
Practice
Learning 1.14 The student is able to pose scientific questions that correctly identify essential
Objective properties of shared, core life processes that provide insight into the history of life on Earth.
Essential 1.B.1 Organisms share many conserved core processes and features that evolved and are
Knowledge widely distributed among organisms today.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
1.15 The student is able to describe specific examples of conserved core biological
Learning processes and features shared by all domains or within one domain of life, and how these
Objective shared, conserved core processes and features support the concept of common ancestry for
all organisms.
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential
3.C.2 Biological systems have multiple processes that increase genetic variation.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.27 The student is able to construct an explanation of processes that increase variation
Objective within a population.
The concepts of phylogenetic modeling are constantly changing. It is one of the most dynamic fields of study in all of
biology. Over the last several decades, new research has challenged scientists’ ideas about how organisms are related. New
models of these relationships have been proposed for consideration by the scientific community.
Many phylogenetic trees have been shown as models of the evolutionary relationship among species. Phylogenetic trees
originated with Charles Darwin, who sketched the first phylogenetic tree in 1837 (Figure 20.12a), which served as a pattern
for subsequent studies for more than a century. The concept of a phylogenetic tree with a single trunk representing a
common ancestor, with the branches representing the divergence of species from this ancestor, fits well with the structure
of many common trees, such as the oak (Figure 20.12b). However, evidence from modern DNA sequence analysis and
newly developed computer algorithms has caused skepticism about the validity of the standard tree model in the scientific
community.
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Figure 20.12 The (a) concept of the tree of life goes back to an 1837 sketch by Charles Darwin. Like an (b) oak tree,
the tree of life has a single trunk and many branches. (credit b: modification of work by Amada44/Wikimedia Commons)
Table 20.1
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Table 20.1
HGT in Prokaryotes
The mechanism of HGT has been shown to be quite common in the prokaryotic domains of Bacteria and Archaea,
significantly changing the way their evolution is viewed. The majority of evolutionary models, such as in the Endosymbiont
Theory, propose that eukaryotes descended from multiple prokaryotes, which makes HGT all the more important to
understanding the phylogenetic relationships of all extant and extinct species.
The fact that genes are transferred among common bacteria is well known to microbiology students. These gene transfers
between species are the major mechanism whereby bacteria acquire resistance to antibiotics. Classically, this type of transfer
has been thought to occur by three different mechanisms:
1. Transformation: Naked DNA is taken up by a bacteria.
2. Transduction: Genes are transferred using a virus.
3. Conjugation: A hollow tube called a pilus is used to transfer genes between organisms.
More recently, a fourth mechanism of gene transfer between prokaryotes has been discovered. Small, virus-like particles
called gene transfer agents (GTAs) transfer random genomic segments from one species of prokaryote to another. GTAs
have been shown to be responsible for genetic changes, sometimes at a very high frequency compared to other evolutionary
processes. The first GTA was characterized in 1974 using purple, non-sulfur bacteria. These GTAs, which are thought to be
bacteriophages that lost the ability to reproduce on their own, carry random pieces of DNA from one organism to another.
The ability of GTAs to act with high frequency has been demonstrated in controlled studies using marine bacteria. Gene
transfer events in marine prokaryotes, either by GTAs or by viruses, have been estimated to be as high as 1013 per year in
the Mediterranean Sea alone. GTAs and viruses are thought to be efficient HGT vehicles with a major impact on prokaryotic
evolution.
As a consequence of this modern DNA analysis, the idea that eukaryotes evolved directly from Archaea has fallen out of
favor. While eukaryotes share many features that are absent in bacteria, such as the TATA box (found in the promoter region
of many genes), the discovery that some eukaryotic genes were more homologous with bacterial DNA than Archaea DNA
made this idea less tenable. Furthermore, the fusion of genomes from Archaea and Bacteria by endosymbiosis has been
proposed as the ultimate event in eukaryotic evolution.
HGT in Eukaryotes
Although it is easy to see how prokaryotes exchange genetic material by HGT, it was initially thought that this process
was absent in eukaryotes. After all, prokaryotes are but single cells exposed directly to their environment, whereas the
sex cells of multicellular organisms are usually sequestered in protected parts of the body. It follows from this idea that
the gene transfers between multicellular eukaryotes should be more difficult. Indeed, it is thought that this process is
rarer in eukaryotes and has a much smaller evolutionary impact than in prokaryotes. In spite of this fact, HGT between
distantly related organisms has been demonstrated in several eukaryotic species, and it is possible that more examples will
be discovered in the future.
In plants, gene transfer has been observed in species that cannot cross-pollinate by normal means. Transposons or jumping
genes have been shown to transfer between rice and millet plant species. Furthermore, fungal species feeding on yew trees,
from which the anti-cancer drug paclitaxel is derived from the bark, have acquired the ability to make paclitaxel themselves,
a clear example of gene transfer.
In animals, a particularly interesting example of HGT occurs within the aphid species (Figure 20.13). Aphids are insects
that vary in color based on carotenoid content. Carotenoids are pigments made by a variety of plants, fungi, and microbes,
and they serve a variety of functions in animals, who obtain these chemicals from their food. Humans require carotenoids
Chapter 20 | Evolutionary Relationships of Life on Earth 903
to synthesize vitamin A, and we obtain them by eating orange fruits and vegetables: carrots, apricots, mangoes, and sweet
potatoes. On the other hand, aphids have acquired the ability to make the carotenoids on their own. According to DNA
analysis, this ability is due to the transfer of fungal genes into the insect by HGT, presumably as the insect consumed fungi
for food. A carotenoid enzyme called a desaturase is responsible for the red coloration seen in certain aphids, and it has
been further shown that when this gene is inactivated by mutation, the aphids revert back to their more common green color
(Figure 20.13).
Figure 20.13 (a) Red aphids get their color from red carotenoid pigment. Genes necessary to make this pigment are
present in certain fungi, and scientists speculate that aphids acquired these genes through HGT after consuming fungi
for food. If genes for making carotenoids are inactivated by mutation, the aphids revert back to (b) their green color.
Red coloration makes the aphids a lot more conspicuous to predators, but evidence suggests that red aphids are more
resistant to insecticides than green ones. Thus, red aphids may be more fit to survive in some environments than green
ones. (credit a: modification of work by Benny Mazur; credit b: modification of work by Mick Talbot)
904 Chapter 20 | Evolutionary Relationships of Life on Earth
Figure 20.14
in that they contain two lipid bilayer membranes, indeed resulted from an endosymbiotic fusion of archaeal and bacterial
species. The double membrane would be a direct result of the endosymbiosis, with the endosymbiont picking up the second
membrane from the host as it was internalized. This mechanism has also been used to explain the double membranes
found in mitochondria and chloroplasts. Lake’s work is not without skepticism, and the ideas are still debated within the
biological science community. In addition to Lake’s hypothesis, there are several other competing theories as to the origin
of eukaryotes. How did the eukaryotic nucleus evolve? One theory is that the prokaryotic cells produced an additional
membrane that surrounded the bacterial chromosome. Some bacteria have the DNA enclosed by two membranes; however,
there is no evidence of a nucleolus or nuclear pores. Other proteobacteria also have membrane-bound chromosomes. If the
eukaryotic nucleus evolved this way, we would expect one of the two types of prokaryotes to be more closely related to
eukaryotes.
Figure 20.15 The theory that mitochondria and chloroplasts are endosymbiotic in origin is now widely accepted. More
controversial is the proposal that (a) the eukaryotic nucleus resulted from the fusion of archaeal and bacterial genomes,
and that (b) Gram-negative bacteria, which have two membranes, resulted from the fusion of Archaea and Gram-
positive bacteria, each of which has a single membrane.
The nucleus-first hypothesis proposes that the nucleus evolved in prokaryotes first (Figure 20.16a), followed by a later
fusion of the new eukaryote with bacteria that became mitochondria. The mitochondria-first hypothesis proposes that
mitochondria were first established in a prokaryotic host (Figure 20.16b), which subsequently acquired a nucleus, by fusion
or other mechanisms, to become the first eukaryotic cell. Most interestingly, the eukaryote-first hypothesis proposes that
prokaryotes actually evolved from eukaryotes by losing genes and complexity (Figure 20.16c). All of these hypotheses are
testable. Only time and more experimentation will determine which hypothesis is best supported by data.
906 Chapter 20 | Evolutionary Relationships of Life on Earth
Figure 20.16 Three alternate hypotheses of eukaryotic and prokaryotic evolution are (a) the nucleus-first hypothesis,
(b) the mitochondrion-first hypothesis, and (c) the eukaryote-first hypothesis.
Figure 20.17 In the (a) phylogenetic model proposed by W. Ford Doolittle, the tree of life arose from a community
of ancestral cells, has multiple trunks, and has connections between branches where horizontal gene transfer has
occurred. Visually, this concept is better represented by (b) the multi-trunked Ficus than by the single trunk of the oak
similar to the tree drawn by Darwin Figure 20.12. (credit b: modification of work by psyberartist/Flickr)
Figure 20.18 According to the ring of life phylogenetic model, the three domains of life evolved from a pool of primitive
prokaryotes.
In summary, the tree of life model proposed by Darwin must be modified to include HGT. Does this mean abandoning the
tree model completely? Even Lake argues that all attempts should be made to discover some modification of the tree model
to allow it to accurately fit his data, and only the inability to do so will sway people toward his ring proposal.
908 Chapter 20 | Evolutionary Relationships of Life on Earth
This doesn’t mean a tree, web, or a ring will correlate completely to an accurate description of phylogenetic relationships
of life. A consequence of the new thinking about phylogenetic models is the idea that Darwin’s original conception of the
phylogenetic tree is too simple, but made sense based on what was known at the time. However, the search for a more
useful model moves on: Each model serving as hypotheses to be tested with the possibility of developing new models. This
is how science advances. These models are used as visualizations to help construct hypothetical evolutionary relationships
and understand the massive amount of data being analyzed.
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KEY TERMS
analogy (also, homoplasy) characteristic that is similar between organisms by convergent evolution, not due to the same
evolutionary path
basal taxon branch on a phylogenetic tree that has not diverged significantly from the root ancestor
binomial nomenclature system of two-part scientific names for an organism, which includes genus and species names
branch point node on a phylogenetic tree where a single lineage splits into distinct new ones
gene transfer agent (GTA) bacteriophage-like particle that transfers random genomic segments from one species of
prokaryote to another
genus division of family in the taxonomic classification system; the first part of the binomial scientific name
horizontal gene transfer (HGT) (also, lateral gene transfer) transfer of genes between unrelated species
maximum parsimony applying the simplest, most obvious way with the least number of steps
mitochondria-first hypothesis proposal that prokaryotes acquired a mitochondrion first, followed by nuclear
development
nucleus-first hypothesis proposal that prokaryotes acquired a nucleus first, and then the mitochondrion
parsimony the simplest, most straightforward way of constructing phylogenetic and evolutionary relationships between
organisms
phylogenetic tree diagram used to reflect the evolutionary relationships among organisms or groups of organisms
polytomy branch on a phylogenetic tree with more than two groups or taxa
ring of life phylogenetic model where all three domains of life evolved from a pool of primitive prokaryotes
rooted single ancestral lineage on a phylogenetic tree to which all organisms represented in the diagram relate
shared ancestral character describes a characteristic on a phylogenetic tree that is shared by all organisms on the tree
shared derived character describes a characteristic on a phylogenetic tree that is shared only by a certain clade of
910 Chapter 20 | Evolutionary Relationships of Life on Earth
organisms
sister taxa two lineages that diverged from the same branch point
taxonomic classification system hierarchical system of classifying organisms, including the classification of domain,
kingdom, phylum, class, order, family, genus, and species
web of life phylogenetic model that attempts to incorporate the effects of horizontal gene transfer on evolution
CHAPTER SUMMARY
20.1 Organizing Life on Earth
Scientists continually gain new information that helps understand the evolutionary history of life on Earth. Each group of
organisms went through its own evolutionary journey, called its phylogeny. Each organism shares relatedness with others,
and based on morphologic and genetic evidence, scientists attempt to map the evolutionary pathways of all life on Earth.
Historically, organisms were organized into a taxonomic classification system. However, today many scientists build
phylogenetic trees to illustrate evolutionary relationships.
To build phylogenetic trees, scientists must collect accurate information that allows them to make evolutionary
connections between organisms. Using morphologic and molecular data, scientists work to identify homologous
characteristics and genes. Similarities between organisms can stem either from shared evolutionary history (homologies)
or from separate evolutionary paths (analogies). Newer technologies can be used to help distinguish homologies from
analogies. After homologous information is identified, scientists use cladistics to organize these events as a means to
determine an evolutionary timeline. Scientists apply the concept of maximum parsimony, which states that the order of
events probably occurred in the most obvious and simple way with the least amount of steps. For evolutionary events, this
would be the path with the least number of major divergences that correlate with the evidence.
The phylogenetic tree, first used by Darwin, is the classic tree of life model describing phylogenetic relationships among
species, and the most common model used today. New ideas about HGT and genome fusion have caused some to suggest
revising the model to resemble webs or rings.
REVIEW QUESTIONS
1. Who devised a commonly used classification system?
a. Carl Linnaeus
b. Darwin
c. Plato
d. Aristotle
2. Which of the following uses a hierarchial model to classify organisms?
a. analogy
b. taxonomic classification system
c. Order
d. systematics
3. Correctly list the hierarchy of taxonomy.
Chapter 20 | Evolutionary Relationships of Life on Earth 911
Figure 20.19
a. Rabbits have hair, which evolved before the amniotic egg. ?
b. Rabbits and lizards have hair, which evolved after the amniotic egg. ??
c. Rabbits have hair, which evolved after the amniotic egg. ??
d. Rabbits and lizards have hair, which evolved before the amniotic egg.?
11. What is the largest clade in the preceding diagram?
Figure 20.20
Chapter 20 | Evolutionary Relationships of Life on Earth 913
a. The ring of life model is a phylogenetic model where the three domains of life started as distinct groups that
could swap genes horizontally with each other in all directions.
b. The ring of life model is a phylogenetic model where all three domains of life are said to have developed from a
pool of primitive prokaryotes.
c. The ring of life model is a phylogenetic model where bacterial and archaeal cells fused to form eukaryotic cells.
d. The ring of life model is a phylogenetic model where there is only a single domain of life due to modern DNA
analysis.
17.
In a transformation experiment, a sample of E. coli bacteria was mixed with a plasmid containing the gene for resistance to
the antibiotic ampicillin (ampr). Plasmid was not added to the second sample. Samples were plated on nutrient agar plates,
some of which were supplemented with the antibiotic ampicillin. The results of E. coli growth are summarized below. The
shaded area represents extensive growth of bacteria; dots represent individual colonies of bacteria. Plates that have only
ampicillin resistant bacteria include which of the following?
a. I only
b. III only
c. IV only
d. I and II
Figure 20.21
28. Two cultures of bacteria are separated by a filter that blocks the movement of cells but allows free exchange of
anything smaller than a bacterial cell. On one side of the filter, a sample of penicillin-resistant cells in culture broth is
added, on the second side of the tube, a culture of penicillin-sensitive cells in culture is added. After 24 hours, resistant
cells appear on the side with the cells sensitive to penicillin. Which three genetic mechanisms can account for appearance
of the penicillin-resistant cells?
a. a. transformation, transduction, and conjugation
b. b. transformation, transduction, and mutation
c. c. transformation, conjugation, and mutation
d. d. transduction, conjugation, and mutation
b)
What evolutionary question is better addressed by the fig-shaped evolutionary tree (a) as opposed to the more typical,
single-trunk phylogenetic tree (b)?
a. What was the single organism from which all other forms of life on Earth arose?
b. Did animals evolve from fungi?
c. In which species of eukaryote did chloroplasts first appear?
d. Were chloroplasts and mitochondria transferred to eukaryotic cells through horizontal gene transfer?
30. Which question, relating to the endosymbiotic hypothesis and the evolution of eukaryotes, is NOT answered by the
eukaryote-first hypothesis, based on the figures?
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Figure 20.22
a. Which evolved first, the nucleus or prokaryotes?
b. Which evolved first, mitochondria or prokaryotes?
c. How and when did the nucleus evolve in eukaryotes?
d. How and when did prokaryotes evolve?
31. The phylogeny shows the evolution of traits in vertebrates.
Chapter 20 | Evolutionary Relationships of Life on Earth 919
Figure 20.23
Based on this phylogeny, a student asks “Does this mean that lizards, frogs and rabbits all possessed hair and an egg with
amnion at some point in their evolution?” Based on the phylogeny, how should you respond to the student?
a. Hair and an amniotic egg were both possessed by all three species at some point in their evolution.
b. Hair is only a characteristic found in the rabbit evolutionary history. The amniotic egg was possessed by both the
rabbit and lizard, but not frogs, at some point in their evolutionary history.
c. Hair is a characteristic only found in the rabbit evolutionary history. The amniotic egg was possessed by all three
species at some point in their evolutionary history.
d. Hair was possessed by all three species at some point in their evolutionary history. The amniotic egg was
possessed by both the lizard and frog, but not the rabbit at some point in their evolutionary history.
32. The tree shows the phylogenetic relationships between four species.
Figure 20.24
920 Chapter 20 | Evolutionary Relationships of Life on Earth
A scientist wishes to perform a genetic analysis on all four species in which she determines the number of genetic
similarities between all four species. What would she likely find regarding the genetic similarities between species A, B,
D, and E?
a. Species D and E would share more genetic similarities with each other than with species A and B, and vice
versa.
b. Species A and E would share more genetic similarities with each other than with species B and D, and vice
versa.
c. Species D and A would share more genetic similarities with each other than with species A and B, and vice
versa.
d. Species D and B would share more genetic similarities with each other than with species A and E.
33. What is the aim of scientists applying the maximum parsimony concept when creating phylogenetic trees?
a. The scientists spend more time creating the phylogenetic table.
b. Scientists find the shortest tree with the smallest number of changes.
c. A complex, detailed phylogenetic tree diagram is created.
d. The scientists spend more time researching the data for evolutionary connections.
34. Dolphins and fish have similar body shapes. Is this feature more likely a homologous or analogous trait? Explain your
answer.
a. Analogous: Dolphins are mammals and fish are not, thus their evolutionary paths are quite separate. They have
similar body shapes because of their similar environment.
b. Analogous: Dolphins and fish are both vertebrates, thus they share an evolutionary history, causing them to have
similar body shapes.
c. Homologous: Dolphins and fish are both vertebrates, thus they share an evolutionary history, causing them to
have similar body shapes.
d. Homologous: Dolphins are mammals and fish are not, thus their evolutionary paths are quite separate. They
have similar body shapes because of their similar environment.
35. What effect has the advancement of DNA technology had on determining phylogeny?
a. Morphologic and molecular information often disagree.
b. Scientists are struggling with molecular systematics.
c. Information is not reliable because organisms appear to be closely related when they are not.
d. Computer programs help determine relatedness using DNA sequencing, and morphologic and molecular
information is more effective in determining phylogeny.
36. Describe what maximum parsimony is used for in evolutionary biology.
a. Maximum parsimony hypothesizes that organisms that share the most traits are the most likely to share a
common ancestor.
b. Maximum parsimony hypothesizes that organisms that share a common ancestor are more likely to have many
traits in common.
c. Maximum parsimony hypothesizes that events occurred in the simplest, most obvious way, and the pathway of
evolution probably includes the fewest major events that coincide with the evidence at hand.
d. Maximum parsimony hypothesizes that organisms that display homologous structures are closely related, while
organisms that display analogous structures must have diverged much farther in the past.
37. The emu in Australia and ostrich in Africa are flightless birds that look similar. One proposed hypothesis was the birds
descend from an early common ancestor that spread when the continents were connected. DNA analysis shows that emus
and ostriches share more genetic homology with flying birds which live in the same region than with each other. What is
the best explanation for these findings?
Chapter 20 | Evolutionary Relationships of Life on Earth 921
What would be the most likely change in the coloration of the beetle population after pollution and why?
a. The coloration range shifted toward more light-colored beetles, as in diagram I. The pollution helped the
predators find the darkened tree trunks.
b. The coloration in the population split into two extremes, as in diagram II. Both the light-colored and the dark-
colored beetles were able to hide on the darker tree trunks.
c. The coloration range became narrower, as in diagram III. The predators selected beetles at the color extremes.
d. The coloration in the population shifted toward more dark-colored beetles, as in diagram IV. The light-colored
beetles were found more easily by the predators than were the dark-colored beetles.
40. A population of rodents settles on the shore of an island close to the Arctic Circle. The landscape consists mainly of
rocks. If the individuals are too large, they cannot hide in crevices to escape hawks. On the other hand, small bodies do not
maintain internal temperature in cold weather. Show diagrammatically the change in the population and explain what
selective pressures took place.
41. Five new species of bacteria were discovered in Antarctic ice core samples. The nucleotide (base sequences of rRNA
subunits were determined for the new species. The table below shows the number of nucleotide differences between the
species.
Species 1 2 3 4 5
1 - 3 19 18 27
2 - 19 18 26
3 - 1 27
4 - 27
Table 20.2
Which of the following phylogenetic trees is most consistent with the data?
922 Chapter 20 | Evolutionary Relationships of Life on Earth
a.
b.
c.
Chapter 20 | Evolutionary Relationships of Life on Earth 923
d.
42. Draw the phylogenetic tree for the species below. Identify where on the tree each feature evolved.
a. The ostrich branched off first, followed by the snake, then the frog, then the shark and then the lancelet.
b. The shark branched off first, followed by the lancelet, then the frog, then the ostrich and then the snake.
c. The lancelet branched off first, followed by the shark, then the frog, then the snake and then the ostrich.
d. The lancelet branched off first, followed by the shark, then the ostrich, then the snake and then the frog.
43. Barbara McClintock discovered transposons while working on maize genetics. What are the transposons composed of
when they are able to shift from one location to another?
a. a. segments of RNA
b. b. plasmids
c. c. segments of DNA
d. d. proteins
44. What is horizontal gene transder (HGT)?
a. a. the proposal that eukaryotes developed a nucleus first, and then their mitochondrion
b. b. the transmission of genetic material from one species to another through mechanisms other than from parent
to offspring
c. c. the fusion of two prokaryotic genomes
d. d. the division of kingdom in the taxonomic classification
45. What is referred to as the transfer of genes by a mechanism that does not involve asexual reproduction?
924 Chapter 20 | Evolutionary Relationships of Life on Earth
a. web of life
b. meiosis
c. gene fusion
d. horizontal gene transfer
46. Which of the following describes small, virus-like particles that act as a mechanism of gene transfer between
prokaryotes?
a. gene transfer agents
b. horizontal gene transfer
c. vertical gene transfer
d. basal taxon
Figure 20.25
A. The fact that evolution is an ongoing process is illustrated by these data. Whether the process displays a pattern
involving regular intervals is a question that has been raised. Of those who believe periodicity is present, a period of 26
million years is favored. A wave with this periodicity is drawn on the figure. Evaluate the evidence provided in terms of
agreement and disagreement with the marine extinction record.
The Cretaceous and Jurassic were periods of warm landmasses covered by a shallow sea. The ends of these periods are
known to be due to asteroids that left a sedimentary trace. At the end of the Triassic, there is no evidence of an asteroid
Chapter 20 | Evolutionary Relationships of Life on Earth 925
impact. Instead, there was massive volcanism associated with the opening of the Atlantic Ocean, a four-fold increase in
carbon dioxide, and a 3–6 °C temperature rise (A. Marzoli et al., Science, 1999). Macrofossil, spore, and pollen data show
that marine animal species declined much more than marine plant species (L. Mander et al., Proc Natl Acad Sci, 2010).
The cause of the end of the Permian period is less uncertain, but an 8-°C temperature rise has been established (McElwain
and Punyasena, Trends in Ecology and Evolution, 2007). Both terrestrial and marine taxa were affected.
B. The graph estimates the number of distinct families, including both marine and terrestrial, as a function of time before
the present. Note that the time scale for this graph is much longer than that of the previous graph.
Figure 20.26
Analyze this graph by:
• identifying times of mass extinctions
• posing a question regarding any difference between the graph of extinctions of marine life and the graph of family-
level diversity
• explaining the slope of the graph of family diversity following a mass extinction event
48. Lactate dehydrogenase, an enzyme involved in glycolysis, from several species are compared using a Southern blot
technique in the figure on the left: (A) yeast; (B) snail; (C) mouse; (D) rat; and (E) human (after K. Webster, Journal of
Experimental Biology 2003).
926 Chapter 20 | Evolutionary Relationships of Life on Earth
Figure 20.27
A. Justify the claim that these data provide evidence that supports glycolysis as a conserved core property.
There are three forms of lactate dehydrogenase whose roles vary within an organism: LDH-A, -B, and -C. The question
arises as to the origins of each. The cladogram on the right (after S. Tsuji et al., Proc Natl Acad Sci 1994) displays a
proposed relatedness of variations in LDHs over many species.
Chapter 20 | Evolutionary Relationships of Life on Earth 927
Figure 20.28
B. Based on these data, describe the differences between the likely evolutionary sequences of LDH-A, -B, and -C in the
African frog and in humans.
C. Evaluate the claim that in both species (African frog and human), LDH-C is the most recently evolved form of the
enzyme.
49. Nucleotide-repeat sequences often occur within the intron, and sequence variation is neutral, that is, there is no
selection. For example, the nucleotide-repeat sequence labeled A might be ACGGGC, and the repeat sequence labeled B
might be ACTGGT. Repeat sequences evolve by single-step duplication, deletion, and inversion, rather than by single-
nucleotide substitution. Because these repeat sequences can be used to infer phylogeny, a phylogenetic tree can be
hypothesized based on the principle of parsimony—the simplest explanation is the best explanation. Consider the repeat
sequences A, B, C, D, and E shown in the list in which only inversions have occurred among five different species.
• Species 1: ABCDE
• Species 2: ADCBE
• Species 3: BACED
• Species 4: DACBE
• Species 5: ABCED
• Species 6: DEBCA
A. Pose three questions that can be used to infer the evolution of these five species.
928 Chapter 20 | Evolutionary Relationships of Life on Earth
B. Draw lines between nearest relatives to construct a cladogram that displays the relationships inferred by answers to
your questions.
Figure 20.29
Carson (Drosophila Genetics 1983) used inversions in intron-repeat sequences of the fruit fly to infer evolution among the
Hawaiian Drosophila. He further assigned the chronological sequence of islands on which the flies appeared by assuming
(parsimoniously) that the geologically oldest of the volcanic islands was home to the oldest fly ancestor. When a fly or
flies arrived on a newer island, speciation occurred, which, after a time, stabilized until another island hop occurred.
C. Evaluate Carson’s reasoning for speciation and ongoing evolution.
D. Pose two questions whose pursuit could provide additional evidence of Carson’s hypothesized evolutionary sequence.
Chapter 21 | Viruses 929
21 | VIRUSES
Figure 21.1 The tobacco mosaic virus (left), seen here by transmission electron microscopy, was the first virus to be
discovered. The virus causes disease in tobacco and other plants, such as the orchid (right). (credit a: USDA ARS;
credit b: modification of work by USDA Forest Service, Department of Plant Pathology Archive North Carolina State
University; scale-bar data from Matt Russell)
Chapter Outline
21.1: Viral Evolution, Morphology, and Classification
21.2: Virus Infections and Hosts
21.3: Prevention and Treatment of Viral Infections
21.4: Other Acellular Entities: Prions and Viroids
Introduction
Have you ever had the measles? Like many other diseases, it begins with a fever, runny nose, and sore throat. Soon after,
a rash begins to cover the body. In about 30 percent of measles cases other complications develop, such as pneumonia,
encephalitis (swelling of the brain), and even death. Though the first recorded account of the measles was in the ninth
century, it was not until 1912 that healthcare providers in the United States began reporting cases. Between 1912 and
1922, there were over 6,000 deaths related to the measles. This trend continued until 1963, when the first measles vaccine
became available. The measles was declared eliminated from the United States in 2000 primarily due to the fact that the
vast majority of children were receiving two doses of the vaccine. On January 23, 2015, the Centers for Disease Control
and Prevention (CDC) issued a health advisory about an outbreak of measles in several states . The outbreak originated at a
popular theme park in California in December 2014 when an infected tourist from another country visited the theme park.
Many of the people who became infected were not vaccinated or had not received the second dose of the vaccination. You
can read more about the health advisory at the CDC website (http://Openstaxcollege.org/l/32measles) .
No one knows exactly when viruses emerged or from where they came, since viruses do not leave historical footprints such
as fossils. Modern viruses are thought to be a mosaic of bits and pieces of nucleic acids picked up from various sources
along their respective evolutionary paths. Viruses are acellular, parasitic entities that are not classified within any kingdom.
Unlike most living organisms, viruses are not cells and cannot divide. Instead, they infect a host cell and use the host’s
replication processes to produce identical progeny virus particles. Viruses infect organisms as diverse as bacteria, plants,
and animals. They exist in a netherworld between a living organism and a nonliving entity. Living things grow, metabolize,
and reproduce. Viruses replicate, but to do so, they are entirely dependent on their host cells. They do not metabolize or
grow, but are assembled in their mature form.
930 Chapter 21 | Viruses
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential
3.A.1 DNA, and in some cases RNA, is the primary source of heritable information.
Knowledge
Science
6.5 The student can evaluate alternative scientific explanations.
Practice
3.1 The student is able to construct scientific explanations that use the structures and
Learning
mechanisms of DNA and RNA to support the claim that DNA and, in some cases, that RNA
Objective
are the primary sources of heritable information.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.20]
• [APLO 3.3]
• [APLO 3.29]
Chapter 21 | Viruses 931
• [APLO 3.30]
• [APLO 2.22]
• [APLO 2.26]
• [APLO 1.31]
• [APLO 1.27]
• [APLO 1.30]
Figure 21.2 In these transmission electron micrographs, (a) a virus is dwarfed by the bacterial cell it infects, while (b)
these E. coli cells are dwarfed by cultured colon cells. (credit a: modification of work by U.S. Dept. of Energy, Office of
Science, LBL, PBD; credit b: modification of work by J.P. Nataro and S. Sears, unpub. data, CDC; scale-bar data from
Matt Russell)
Evolution of Viruses
Although biologists have accumulated a significant amount of knowledge about how present-day viruses evolve, much
less is known about how viruses originated in the first place. When exploring the evolutionary history of most organisms,
scientists can look at fossil records and similar historic evidence. However, viruses do not fossilize, so researchers must
932 Chapter 21 | Viruses
conjecture by investigating how today’s viruses evolve and by using biochemical and genetic information to create
speculative virus histories.
While most findings agree that viruses don’t have a single common ancestor, scholars have yet to find a single hypothesis
about virus origins that is fully accepted in the field. One such hypothesis, called devolution or the regressive hypothesis,
proposes to explain the origin of viruses by suggesting that viruses evolved from free-living cells. However, many
components of how this process might have occurred are a mystery. A second hypothesis (called escapist or the progressive
hypothesis) accounts for viruses having either an RNA or a DNA genome and suggests that viruses originated from RNA
and DNA molecules that escaped from a host cell. A third hypothesis posits a system of self-replication similar to that of
other self-replicating molecules, likely evolving alongside the cells they rely on as hosts; studies of some plant pathogens
support this hypothesis.
As technology advances, scientists may develop and refine further hypotheses to explain the origin of viruses. The emerging
field called virus molecular systematics attempts to do just that through comparisons of sequenced genetic material. These
researchers hope to one day better understand the origin of viruses, a discovery that could lead to advances in the treatments
for the ailments they produce.
Viral Morphology
Viruses are acellular, meaning they are biological entities that do not have a cellular structure. They therefore lack most of
the components of cells, such as organelles, ribosomes, and the plasma membrane. A virion consists of a nucleic acid core,
an outer protein coating or capsid, and sometimes an outer envelope made of protein and phospholipid membranes derived
from the host cell. Viruses may also contain additional proteins, such as enzymes. The most obvious difference between
members of viral families is their morphology, which is quite diverse. An interesting feature of viral complexity is that the
complexity of the host does not correlate with the complexity of the virion. Some of the most complex virion structures are
observed in bacteriophages, viruses that infect the simplest living organisms, bacteria.
Morphology
Viruses come in many shapes and sizes, but these are consistent and distinct for each viral family. All virions have a nucleic
acid genome covered by a protective layer of proteins, called a capsid. The capsid is made up of protein subunits called
capsomeres. Some viral capsids are simple polyhedral spheres, whereas others are quite complex in structure.
In general, the shapes of viruses are classified into four groups: filamentous, isometric (or icosahedral), enveloped, and head
and tail. Filamentous viruses are long and cylindrical. Many plant viruses are filamentous, including TMV. Isometric viruses
have shapes that are roughly spherical, such as poliovirus or herpesviruses. Enveloped viruses have membranes surrounding
capsids. Animal viruses, such as HIV, are frequently enveloped. Head and tail viruses infect bacteria and have a head that is
similar to icosahedral viruses and a tail shape like filamentous viruses.
Many viruses use some sort of glycoprotein to attach to their host cells via molecules on the cell called viral receptors
(Figure 21.3). For these viruses, attachment is a requirement for later penetration of the cell membrane, so they can
complete their replication inside the cell. The receptors that viruses use are molecules that are normally found on cell
surfaces and have their own physiological functions. Viruses have simply evolved to make use of these molecules for their
own replication. For example, HIV uses the CD4 molecule on T lymphocytes as one of its receptors. CD4 is a type of
molecule called a cell adhesion molecule, which functions to keep different types of immune cells in close proximity to
each other during the generation of a T lymphocyte immune response.
Chapter 21 | Viruses 933
Figure 21.3 The KSHV virus binds the xCT receptor on the surface of human cells. xCT receptors protect cells against
stress. Stressed cells express more xCT receptors than non-stressed cells. The KSHV virion causes cells to become
stressed, thereby increasing expression of the receptor to which it binds. (credit: modification of work by NIAID, NIH)
Among the most complex virions known, the T4 bacteriophage, which infects the Escherichia coli bacterium, has a tail
structure that the virus uses to attach to host cells and a head structure that houses its DNA.
Adenovirus, a nonenveloped animal virus that causes respiratory illnesses in humans, uses glycoprotein spikes protruding
from its capsomeres to attach to host cells. Nonenveloped viruses also include those that cause polio (poliovirus), plantar
warts (papillomavirus), and hepatitis A (hepatitis A virus).
Enveloped virions like HIV, the causative agent in AIDS, consist of nucleic acid (RNA in the case of HIV) and capsid
proteins surrounded by a phospholipid bilayer envelope and its associated proteins. Glycoproteins embedded in the viral
envelope are used to attach to host cells. Other envelope proteins are the matrix proteins that stabilize the envelope and
often play a role in the assembly of progeny virions. Chickenpox, influenza, and mumps are examples of diseases caused
by viruses with envelopes. Because of the fragility of the envelope, nonenveloped viruses are more resistant to changes in
temperature, pH, and some disinfectants than enveloped viruses.
Overall, the shape of the virion and the presence or absence of an envelope tell us little about what disease the virus may
cause or what species it might infect, but they are still useful means to begin viral classification (Figure 21.4).
934 Chapter 21 | Viruses
Figure 21.4 Viruses can be either complex in shape or relatively simple. This figure shows three relatively
complex virions: the bacteriophage T4, with its DNA-containing head group and tail fibers that attach to host cells;
adenovirus, which uses spikes from its capsid to bind to host cells; and HIV, which uses glycoproteins embedded
in its envelope to bind to host cells. Notice that HIV has proteins called matrix proteins, internal to the envelope,
which help stabilize virion shape. (credit bacteriophage, adenovirus: modification of work by NCBI, NIH; credit HIV
retrovirus: modification of work by NIAID, NIH)
Virus Classification
To understand the features shared among different groups of viruses, a classification scheme is necessary. As most viruses
are not thought to have evolved from a common ancestor, however, the methods that scientists use to classify living things
are not very useful. Biologists have used several classification systems in the past, based on the morphology and genetics
of the different viruses. However, these earlier classification methods grouped viruses differently, based on which features
of the virus they were using to classify them. The most commonly used classification method today is called the Baltimore
classification scheme and is based on how messenger RNA (mRNA) is generated in each particular type of virus.
Past Systems of Classification
Viruses are classified in several ways: by factors such as their core content (Table 21.1 and Figure 21.3), the structure
of their capsids, and whether they have an outer envelope. The type of genetic material (DNA or RNA) and its structure
(single- or double-stranded, linear or circular, and segmented or non-segmented) are used to classify the virus core
structures.
Table 21.1
936 Chapter 21 | Viruses
Figure 21.5 Viruses are classified based on their core genetic material and capsid design. (a) Rabies virus has a
single-stranded RNA (ssRNA) core and an enveloped helical capsid, whereas (b) variola virus, the causative agent
of smallpox, has a double-stranded DNA (dsDNA) core and a complex capsid. Rabies transmission occurs when
saliva from an infected mammal enters a wound. The virus travels through neurons in the peripheral nervous system
to the central nervous system where it impairs brain function, and then travels to other tissues. The virus can infect
any mammal, and most die within weeks of infection. Smallpox is a human virus transmitted by inhalation of the
variola virus, localized in the skin, mouth, and throat, which causes a characteristic rash. Before its eradication in
1979, infection resulted in a 30–35 percent mortality rate. (credit rabies diagram: modification of work by CDC; rabies
micrograph: modification of work by Dr. Fred Murphy, CDC; credit small pox micrograph: modification of work by Dr.
Fred Murphy, Sylvia Whitfield, CDC; credit smallpox photo: modification of work by CDC; scale-bar data from Matt
Russell)
Viruses can also be classified by the design of their capsids (Figure 21.4 and Figure 21.5). Capsids are classified as naked
icosahedral, enveloped icosahedral, enveloped helical, naked helical, and complex (Figure 21.6 and Figure 21.7). The
type of genetic material (DNA or RNA) and its structure (single- or double-stranded, linear or circular, and segmented or
nonsegmented) are used to classify the virus core structures (Table 21.2).
Figure 21.6 Adenovirus (left) is depicted with a double-stranded DNA genome enclosed in an icosahedral capsid that
is 90–100 nm across. The virus, shown clustered in the micrograph (right), is transmitted orally and causes a variety of
illnesses in vertebrates, including human eye and respiratory infections. (credit adenovirus: modification of work by Dr.
Richard Feldmann, National Cancer Institute; credit micrograph: modification of work by Dr. G. William Gary, Jr., CDC;
scale-bar data from Matt Russell)
Chapter 21 | Viruses 937
Table 21.2
Figure 21.7 Transmission electron micrographs of various viruses show their structures. The capsid of the (a) polio
virus is naked icosahedral; (b) the Epstein-Barr virus capsid is enveloped icosahedral; (c) the mumps virus capsid is
an enveloped helix; (d) the tobacco mosaic virus capsid is naked helical; and (e) the herpesvirus capsid is complex.
(credit a: modification of work by Dr. Fred Murphy, Sylvia Whitfield; credit b: modification of work by Liza Gross; credit
c: modification of work by Dr. F. A. Murphy, CDC; credit d: modification of work by USDA ARS; credit e: modification of
work by Linda Stannard, Department of Medical Microbiology, University of Cape Town, South Africa, NASA; scale-bar
data from Matt Russell)
Baltimore Classification
The most commonly used system of virus classification was developed by Nobel Prize-winning biologist David Baltimore
in the early 1970s. In addition to the differences in morphology and genetics mentioned above, the Baltimore classification
scheme groups viruses according to how the mRNA is produced during the replicative cycle of the virus.
Group I viruses contain double-stranded DNA (dsDNA) as their genome. Their mRNA is produced by transcription in
much the same way as with cellular DNA. Group II viruses have single-stranded DNA (ssDNA) as their genome. They
convert their single-stranded genomes into a dsDNA intermediate before transcription to mRNA can occur. Group III
viruses use dsRNA as their genome. The strands separate, and one of them is used as a template for the generation of mRNA
using the RNA-dependent RNA polymerase encoded by the virus. Group IV viruses have ssRNA as their genome with a
positive polarity. Positive polarity means that the genomic RNA can serve directly as mRNA. Intermediates of dsRNA,
called replicative intermediates, are made in the process of copying the genomic RNA. Multiple, full-length RNA strands
938 Chapter 21 | Viruses
of negative polarity (complementary to the positive-stranded genomic RNA) are formed from these intermediates, which
may then serve as templates for the production of RNA with positive polarity, including both full-length genomic RNA
and shorter viral mRNAs. Group V viruses contain ssRNA genomes with a negative polarity, meaning that their sequence
is complementary to the mRNA. As with Group IV viruses, dsRNA intermediates are used to make copies of the genome
and produce mRNA. In this case, the negative-stranded genome can be converted directly to mRNA. Additionally, full-
length positive RNA strands are made to serve as templates for the production of the negative-stranded genome. Group
VI viruses have diploid (two copies) ssRNA genomes that must be converted, using the enzyme reverse transcriptase, to
dsDNA; the dsDNA is then transported to the nucleus of the host cell and inserted into the host genome. Then, mRNA can
be produced by transcription of the viral DNA that was integrated into the host genome. Group VII viruses have partial
dsDNA genomes and make ssRNA intermediates that act as mRNA, but are also converted back into dsDNA genomes by
reverse transcriptase, necessary for genome replication. The characteristics of each group in the Baltimore classification are
summarized in Table 21.3 with examples of each group.
Baltimore Classification
Group Characteristics Mode of mRNA Production Example
Double-stranded Herpes simplex
I mRNA is transcribed directly from the DNA template
DNA (herpesvirus)
Canine
Single-stranded DNA is converted into double-stranded form before RNA
II parvovirus
DNA is transcribed
(parvovirus)
Childhood
Double-stranded
III mRNA is transcribed from the RNA genome gastroenteritis
RNA
(rotavirus)
Single-stranded Common cold
IV Genome functions as mRNA
RNA (+) (pircornavirus)
Single-stranded Rabies
V mRNA is transcribed from the RNA genome
RNA (-) (rhabdovirus)
Single-stranded
Reverse transcriptase makes DNA from the RNA Human
RNA viruses with
VI genome; DNA is then incorporated in the host genome; immunodeficiency
reverse
mRNA is transcribed from the incorporated DNA virus (HIV)
transcriptase
Double-stranded
The viral genome is double-stranded DNA, but viral DNA
DNA viruses with Hepatitis B virus
VII is replicated through an RNA intermediate; the RNA may
reverse (hepadnavirus)
serve directly as mRNA or as a template to make mRNA
transcriptase
Table 21.3
Section Summary
Viruses are tiny, acellular entities that can usually only be seen with an electron microscope. Their genomes contain either
DNA or RNA—never both—and they replicate using the replication proteins of a host cell. Viruses are diverse, infecting
archaea, bacteria, fungi, plants, and animals. Viruses consist of a nucleic acid core surrounded by a protein capsid with or
without an outer lipid envelope. The capsid shape, presence of an envelope, and core composition dictate some elements
of the classification of viruses. The most commonly used classification method, the Baltimore classification, categorizes
viruses based on how they produce their mRNA.
Chapter 21 | Viruses 939
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential 3.C.3 Viral replication results in genetic variation, and viral infection can introduce genetic
Knowledge variation into the hosts.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.29 The student is able to construct an explanation of how viruses introduce genetic
Objective variation in host organisms.
Essential 3.C.3 Viral replication results in genetic variation, and viral infection can introduce genetic
Knowledge variation into the hosts.
Science 1.4 The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
940 Chapter 21 | Viruses
Learning 3.30 The student is able to use representations and appropriate models to describe how
Objective viral replication introduces genetic variation in the viral population.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.1]
• [APLO 3.27]
• [APLO 3.29]
• [APLO 1.3]
• [APLO 2.38]
• [APLO 3.40]
• [APLO 3.30]
a. When the virus capsule makes contact with the cell, it bursts, and then the virions attach to the cell.
b. If a key on the virus fits a lock on the surface of the cell, the virus will attach to the cell.
Entry
The nucleic acid of bacteriophages enters the host cell naked, leaving the capsid outside the cell. Plant and animal viruses
can enter through endocytosis, in which the cell membrane surrounds and engulfs the entire virus. Some enveloped viruses
enter the cell when the viral envelope fuses directly with the cell membrane. Once inside the cell, the viral capsid is
degraded, and the viral nucleic acid is released, which then becomes available for replication and transcription.
Replication and Assembly
The replication mechanism depends on the viral genome. DNA viruses usually use host cell proteins and enzymes to make
additional DNA that is transcribed to messenger RNA (mRNA), which is then used to direct protein synthesis. RNA viruses
usually use the RNA core as a template for synthesis of viral genomic RNA and mRNA. The viral mRNA directs the host
cell to synthesize viral enzymes and capsid proteins, and assemble new virions. Of course, there are exceptions to this
pattern. If a host cell does not provide the enzymes necessary for viral replication, viral genes supply the information to
direct synthesis of the missing proteins. Retroviruses have an RNA genome that must be reverse transcribed into DNA,
which then is incorporated into the host cell genome. They are within group VI of the Baltimore classification scheme.
To convert RNA into DNA, retroviruses must contain genes that encode the virus-specific enzyme reverse transcriptase
that transcribes an RNA template to DNA. Reverse transcription never occurs in uninfected host cells—the needed enzyme
reverse transcriptase is only derived from the expression of viral genes within the infected host cells. The fact that some
retroviruses produces some of its own enzymes not found in the host has allowed researchers to develop drugs that
inhibit these enzymes. These drugs inhibit replication by reducing the activity of the enzyme without affecting the host’s
metabolism. This approach has led to the development of a variety of drugs used to treat these viruses and has been effective
at reducing the number of infectious virions (copies of viral RNA) in the blood to non-detectable levels in people affected
with the virus.
Egress
The last stage of viral replication is the release of the new virions produced in the host organism, where they are able to
infect adjacent cells and repeat the replication cycle. As you’ve learned, some viruses are released when the host cell dies,
and other viruses can leave infected cells by budding through the membrane without directly killing the cell.
942 Chapter 21 | Viruses
Figure 21.8 In influenza virus infection, glycoproteins attach to a host epithelial cell. As a result, the virus is
engulfed. RNA and proteins are made and assembled into new virions.
Influenza virus is packaged in a viral envelope that fuses with the plasma membrane. This way, the virus can exit the
host cell without killing it. What advantage does the virus gain by keeping the host cell alive?
a. The virus can live dormant in the host cell.
b. The virus capsid is upgraded.
c. Lysis causes the host cell to die.
d. The host cell can continue to make new virus particles.
Chapter 21 | Viruses 943
a. To get inside the host cell, the virus forces the cell to lyse, or break open.
b. To get inside a host cell, he virus produces proteins and copies its genome.
c. To get inside a host cell, the virus attaches to a specific receptor site on the host cell.
d. To get inside a host cell, the virus can fuse the membrane of the cell.
Bacteriophages
Figure 21.9 This transmission electron micrograph shows bacteriophages attached to a bacterial cell. (credit:
modification of work by Dr. Graham Beards; scale-bar data from Matt Russell)
Bacteriophages are viruses that infect bacteria (Figure 21.9). When infection of a cell by a bacteriophage results in the
production of new virions, the infection is said to be productive. If the virions are released by bursting the cell, the virus
replicates by means of a lytic cycle (Figure 21.10). An example of a lytic bacteriophage is T4, which infects Escherichia
coli found in the human intestinal tract. Sometimes, however, a virus can remain within the cell without being released. For
example, when a temperate bacteriophage infects a bacterial cell, it replicates by means of a lysogenic cycle (Figure 21.10),
and the viral genome is incorporated into the genome of the host cell. When the phage DNA is incorporated into the host
cell genome, it is called a prophage. An example of a lysogenic bacteriophage is the λ (lambda) virus, which also infects
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the E. coli bacterium. Viruses that infect plant or animal cells may also undergo infections where they are not producing
virions for long periods. An example is the animal herpesviruses, including herpes simplex viruses, the cause of herpes in
humans. In a process called latency, these viruses can exist in nervous tissue for long periods of time without producing
new virions, only to leave latency periodically and cause lesions in the skin where the virus replicates. Even though there are
similarities between lysogeny and latency, the term lysogenic cycle is usually reserved to describe bacteriophages. Latency
will be described in more detail below.
Figure 21.10 A temperate bacteriophage has both lytic and lysogenic cycles. In the lytic cycle, the phage
replicates and lyses the host cell. In the lysogenic cycle, phage DNA is incorporated into the host genome,
where it is passed on to subsequent generations. Environmental stressors such as starvation or exposure to toxic
chemicals may cause the prophage to excise and enter the lytic cycle.
Animal Viruses
Animal viruses, unlike the viruses of plants and bacteria, do not have to penetrate a cell wall to gain access to the host cell.
Nonenveloped or naked animal viruses may enter cells in two different ways. As a protein in the viral capsid binds to its
receptor on the host cell, the virus may be taken inside the cell via a vesicle during the normal cell process of receptor-
mediated endocytosis. An alternative method of cell penetration used by nonenveloped viruses is for capsid proteins to
undergo shape changes after binding to the receptor, creating channels in the host cell membrane. The viral genome is then
injected into the host cell through these channels in a manner analogous to that used by many bacteriophages. Enveloped
Chapter 21 | Viruses 945
viruses also have two ways of entering cells after binding to their receptors: receptor-mediated endocytosis, or fusion. Many
enveloped viruses enter the cell by receptor-mediated endocytosis in a fashion similar to some nonenveloped viruses. On the
other hand, fusion only occurs with enveloped virions. These viruses, which include HIV among others, use special fusion
proteins in their envelopes to cause the envelope to fuse with the plasma membrane of the cell, thus releasing the genome
and capsid of the virus into the cell cytoplasm.
After making their proteins and copying their genomes, animal viruses complete the assembly of new virions and exit
the cell. Enveloped animal viruses may bud from the cell membrane as they assemble themselves, taking a piece of the
cell’s plasma membrane in the process. On the other hand, nonenveloped viral progeny, such as rhinoviruses, accumulate in
infected cells until there is a signal for lysis or apoptosis, and all virions are released together.
As you will learn in the next module, animal viruses are associated with a variety of human diseases. Some of them follow
the classic pattern of acute disease, where symptoms get increasingly worse for a short period followed by the elimination
of the virus from the body by the immune system and eventual recovery from the infection. Examples of acute viral
diseases are the common cold and influenza. Other viruses cause long-term chronic infections, such as the virus causing
hepatitis C, whereas others, like herpes simplex virus, only cause intermittent symptoms. Still other viruses, such as
human herpesviruses 6 and 7, which in some cases can cause the minor childhood disease roseola, often successfully cause
productive infections without causing any symptoms at all in the host, and thus we say these patients have an asymptomatic
infection.
In hepatitis C infections, the virus grows and reproduces in liver cells, causing low levels of liver damage. The damage is
so low that infected individuals are often unaware that they are infected, and many infections are detected only by routine
blood work on patients with risk factors. On the other hand, since many of the symptoms of viral diseases are caused by
immune responses, a lack of symptoms is an indication of a weak immune response to the virus. This allows for the virus to
escape elimination by the immune system and persist in individuals for years, all the while producing low levels of progeny
virions in what is known as a chronic viral disease.
As already discussed, herpes simplex virus can remain in a state of latency in nervous tissue for months, even years. As
the virus hides in the tissue and makes few if any viral proteins, there is nothing for the immune response to act against,
and immunity to the virus slowly declines. Under certain conditions, including various types of physical and psychological
stress, the latent herpes simplex virus may be reactivated and undergo a lytic replication cycle in the skin, causing the lesions
associated with the disease. Once virions are produced in the skin and viral proteins are synthesized, the immune response
is again stimulated and resolves the skin lesions in a few days by destroying viruses in the skin. As a result of this type
of replicative cycle, appearances of cold sores outbreaks only occur intermittently, even though the viruses remain in the
nervous tissue for life. Latent infections are common with other herpesviruses as well, including the varicella-zoster virus
that causes chickenpox. After having a chickenpox infection in childhood, the varicella-zoster virus can remain latent for
many years and reactivate in adults to cause the painful condition known as shingles (Figure 21.11ab).
Figure 21.11 (a) Varicella-zoster, the virus that causes chickenpox, has an enveloped icosahedral capsid visible in this
transmission electron micrograph. Its double-stranded DNA genome becomes incorporated in the host DNA and can
reactivate after latency in the form of (b) shingles, often exhibiting a rash. (credit a: modification of work by Dr. Erskine
Palmer, B. G. Martin, CDC; credit b: modification of work by rosmary/Flickr; scale-bar data from Matt Russell)
Some animal-infecting viruses, including the hepatitis C virus discussed above, are known as oncogenic viruses: They
have the ability to cause cancer. These viruses interfere with the normal regulation of the host cell cycle either by either
introducing genes that stimulate unregulated cell growth (oncogenes) or by interfering with the expression of genes that
946 Chapter 21 | Viruses
inhibit cell growth. Oncogenic viruses can be either DNA or RNA viruses. Cancers known to be associated with viral
infections include cervical cancer caused by human papillomavirus (HPV) (Figure 21.12), liver cancer caused by hepatitis
B virus, T-cell leukemia, and several types of lymphoma.
Figure 21.12 HPV, or human papillomavirus, has a naked icosahedral capsid visible in this transmission electron
micrograph and a double-stranded DNA genome that is incorporated into the host DNA. The virus, is oncogenic and
can lead to cervical cancer. (credit: modification of work by NCI, NIH; scale-bar data from Matt Russell)
Visit the interactive animations (http://openstaxcollege.org/l/animal_viruses) showing the various stages of the
replicative cycles of animal viruses and click on the flash animation links.
Before a virus can replicate in a host cell, the capsid or envelope must be released. This process is sometimes referred to
as ________.
b. viral entry
c. uncoating
d. viral replication
Plant Viruses
Plant viruses, like other viruses, contain a core of either DNA or RNA. You have already learned about one of these, the
tobacco mosaic virus. As plant viruses have a cell wall to protect their cells, these viruses do not use receptor-mediated
endocytosis to enter host cells as is seen with animal viruses. For many plant viruses to be transferred from plant to plant,
damage to some of the plants’ cells must occur to allow the virus to enter a new host. This damage is often caused by
weather, insects, animals, fire, or human activities like farming or landscaping. Additionally, plant offspring may inherit
Chapter 21 | Viruses 947
viral diseases from parent plants. Plant viruses can be transmitted by a variety of vectors, through contact with an infected
plant’s sap, by living organisms such as insects and nematodes, and through pollen. When plants viruses are transferred
between different plants, this is known as horizontal transmission, and when they are inherited from a parent, this is called
vertical transmission.
Symptoms of viral diseases vary according to the virus and its host (Table 21.4). One common symptom is hyperplasia, the
abnormal proliferation of cells that causes the appearance of plant tumors known as galls. Other viruses induce hypoplasia,
or decreased cell growth, in the leaves of plants, causing thin, yellow areas to appear. Still other viruses affect the plant by
directly killing plant cells, a process known as cell necrosis. Other symptoms of plant viruses include malformed leaves,
black streaks on the stems of the plants, altered growth of stems, leaves, or fruits, and ring spots, which are circular or linear
areas of discoloration found in a leaf.
Table 21.4
Plant viruses can seriously disrupt crop growth and development, significantly affecting our food supply. They are
responsible for poor crop quality and quantity globally, and can bring about huge economic losses annually. Others viruses
may damage plants used in landscaping. Some viruses that infect agricultural food plants include the name of the plant
they infect, such as tomato spotted wilt virus, bean common mosaic virus, and cucumber mosaic virus. In plants used for
landscaping, two of the most common viruses are peony ring spot and rose mosaic virus. There are far too many plant
viruses to discuss each in detail, but symptoms of bean common mosaic virus result in lowered bean production and stunted,
unproductive plants. In the ornamental rose, the rose mosaic disease causes wavy yellow lines and colored splotches on the
leaves of the plant.
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Plant viruses can be spread through sap, insects, organisms living in the soil, seeds, and pollen. They cause
damage to fruit, leaves, and stems, which has a large economic impact. For example, estimated yields from
barley infected with the barley stripe mosaic virus as pictured below, can be 35–40 percent less. This virus
is transmitted by a parasite that lives in the plant’s roots.
What symptoms of plant viral diseases do you see in this light micrograph of the cells of a plant root?
a. hyperplasia
b. abnormal growth patterns
c. discoloration
d. hypoplasia
Activity
Create a visual representation to describe how viruses differ from bacteria in their modes of reproduction.
What characteristics do viruses share with living organisms? How do they differ? What evidence supports
the claim that viruses do not fit our usual definition of life?
Think About It
The influenza virus that causes seasonal flu is packaged in a viral envelope that fuses with the plasma membrane. This
way, the virus can exit the host cell without killing it. What advantage does the virus gain by keeping the host alive?
Section Summary
Viral replication within a living cell always produces changes in the cell, sometimes resulting in cell death and sometimes
slowly killing the infected cells. There are six basic stages in the virus replication cycle: attachment, penetration, uncoating,
replication, assembly, and release. A viral infection may be productive, resulting in new virions, or nonproductive, which
means that the virus remains inside the cell without producing new virions. Bacteriophages are viruses that infect bacteria.
They have two different modes of replication: the lytic cycle, where the virus replicates and bursts out of the bacteria, and
the lysogenic cycle, which involves the incorporation of the viral genome into the bacterial host genome. Animal viruses
cause a variety of infections, with some causing chronic symptoms (hepatitis C), some intermittent symptoms (latent viruses
such a herpes simplex virus 1), and others that cause very few symptoms, if any (human herpesviruses 6 and 7). Oncogenic
viruses in animals have the ability to cause cancer by interfering with the regulation of the host cell cycle. Viruses of plants
Chapter 21 | Viruses 949
are responsible for significant economic damage in both agriculture and plants used for ornamentation.
Figure 21.14 Viruses can cause dozens of ailments in humans, ranging from mild illnesses to serious diseases. (credit:
modification of work by Mikael Häggström)
Live viral vaccines are designed in the laboratory to cause few symptoms in recipients while giving them protective
immunity against future infections. Polio was one disease that represented a milestone in the use of vaccines. Mass
immunization campaigns in the 1950s (killed vaccine) and 1960s (live vaccine) significantly reduced the incidence of the
disease, which caused muscle paralysis in children and generated a great amount of fear in the general population when
regional epidemics occurred. The success of the polio vaccine paved the way for the routine dispensation of childhood
vaccines against measles, mumps, rubella, chickenpox, and other diseases.
The danger of using live vaccines, which are usually more effective than killed vaccines, is the low but significant
danger that these viruses will revert to their disease-causing form by back mutations. Live vaccines are usually made by
attenuating (weakening) the wild-type (disease-causing) virus by growing it in the laboratory in tissues or at temperatures
different from what the virus is accustomed to in the host. Adaptations to these new cells or temperatures induce mutations
in the genomes of the virus, allowing it to grow better in the laboratory while inhibiting its ability to cause disease when
reintroduced into conditions found in the host. These attenuated viruses thus still cause infection, but they do not grow very
well, allowing the immune response to develop in time to prevent major disease. Back mutations occur when the vaccine
undergoes mutations in the host such that it readapts to the host and can again cause disease, which can then be spread to
other humans in an epidemic. This type of scenario happened as recently as 2007 in Nigeria where mutations in a polio
vaccine led to an epidemic of polio in that country.
Some vaccines are in continuous development because certain viruses, such as influenza, have a high mutation rate
compared to other viruses and normal host cells. With influenza, mutations in the surface molecules of the virus help the
organism evade the protective immunity that may have been obtained in a previous influenza season, making it necessary
for individuals to get vaccinated every year. Other viruses, such as those that cause the childhood diseases measles, mumps,
and rubella, mutate so infrequently that the same vaccine is used year after year.
Figure 21.15 Vaccinations are designed to boost immunity to a virus to prevent infection. (credit: USACE Europe
District)
Chapter 21 | Viruses 951
Watch this NOVA video (http://openstaxcollege.org/l/1918_flu) to learn how microbiologists are attempting to replicate
the deadly 1918 Spanish influenza virus so they can understand more about virology.
The Avian virus and the 1918 Spanish influenza virus both infect the ________ system.
a. nervous
b. respiratory
c. cardio vascular
d. digestive
Figure 21.16 (a) Oseltamivir inhibits a viral enzyme called neuraminidase (NA) found in the influenza viral envelope.
(b) Neuraminidase cleaves the connection between viral hemagglutinin (HA), also found in the viral envelope, and
glycoproteins on the host cell surface. Inhibition of neuraminidase prevents the virus from detaching from the host cell,
thereby blocking further infection. (credit a: modification of work by M. Eickmann)
By far, the most successful use of antivirals has been in the treatment of the retrovirus HIV, which causes a disease that, if
untreated, is usually fatal within 10–12 years after infection. Anti-HIV drugs have been able to control viral replication to
the point that individuals receiving these drugs survive for a significantly longer time than the untreated.
Anti-HIV drugs inhibit viral replication at many different phases of the HIV replicative cycle (Figure 21.17). Drugs
have been developed that inhibit the fusion of the HIV viral envelope with the plasma membrane of the host cell (fusion
inhibitors), the conversion of its RNA genome into double-stranded DNA (reverse transcriptase inhibitors), the integration
of the viral DNA into the host genome (integrase inhibitors), and the processing of viral proteins (protease inhibitors).
Chapter 21 | Viruses 953
Figure 21.17 HIV, an enveloped, icosahedral virus, attaches to the CD4 receptor of an immune cell and fuses with
the cell membrane. Viral contents are released into the cell, where viral enzymes convert the single-stranded RNA
genome into DNA and incorporate it into the host genome. (credit: NIAID, NIH)
When any of these drugs are used individually, the high mutation rate of the virus allows it to easily and rapidly develop
resistance to the drug, limiting the drug’s effectiveness. The breakthrough in the treatment of HIV was the development of
HAART, highly active antiretroviral therapy, which involves a mixture of different drugs, sometimes called a drug cocktail.
By attacking the virus at different stages of its replicative cycle, it is much more difficult for the virus to develop resistance
to multiple drugs at the same time. Still, even with the use of combination HAART therapy, there is concern that, over time,
the virus will develop resistance to this therapy. Thus, new anti-HIV drugs are constantly being developed with the hope of
continuing the battle against this highly fatal virus.
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Applied Virology
The study of viruses has led to the development of a variety of new ways to treat non-viral diseases.
Viruses have been used in gene therapy. Gene therapy is used to treat genetic diseases such as severe
combined immunodeficiency (SCID), a heritable, recessive disease in which children are born with severely
compromised immune systems. One common type of SCID is due to the lack of an enzyme, adenosine
deaminase (ADA), which breaks down purine bases. To treat this disease by gene therapy, bone marrow
cells are taken from a SCID patient and the ADA gene is inserted. This is where viruses come in, and
their use relies on their ability to penetrate living cells and bring genes in with them. Viruses such as
adenovirus, an upper respiratory human virus, are modified by the addition of the ADA gene, and the virus
then transports this gene into the cell. The modified cells, now capable of making ADA, are then given
back to the patients in the hope of curing them. Gene therapy using viruses as carrier of genes (viral
vectors), although still experimental, holds promise for the treatment of many genetic diseases. Still, many
technological problems need to be solved for this approach to be a viable method for treating genetic
disease.
Another medical use for viruses relies on their specificity and ability to kill the cells they infect. Oncolytic
viruses are engineered in the laboratory specifically to attack and kill cancer cells. A genetically modified
adenovirus known as H101 has been used since 2005 in clinical trials in China to treat head and neck
cancers. The results have been promising, with a greater short-term response rate to the combination of
chemotherapy and viral therapy than to chemotherapy treatment alone. This ongoing research may herald
the beginning of a new age of cancer therapy, where viruses are engineered to find and specifically kill
cancer cells, regardless of where in the body they may have spread.
A third use of viruses in medicine relies on their specificity and involves using bacteriophages in the
treatment of bacterial infections. Bacterial diseases have been treated with antibiotics since the 1940s.
However, over time, many bacteria have developed resistance to antibiotics. A good example is methicillin-
resistant Staphylococcus aureus (MRSA, pronounced mersa), an infection commonly acquired in hospitals.
This bacterium is resistant to a variety of antibiotics, making it difficult to treat. The use of bacteriophages
specific for such bacteria would bypass their resistance to antibiotics and specifically kill them. Although
phage therapy is in use in the Republic of Georgia to treat antibiotic-resistant bacteria, its use to treat
human diseases has not been approved in most countries. However, the safety of the treatment was
confirmed in the United States when the U.S. Food and Drug Administration approved spraying meats
with bacteriophages to destroy the food pathogen Listeria. As more and more antibiotic-resistant strains
of bacteria evolve, the use of bacteriophages might be a potential solution to the problem, and the
development of phage therapy is of much interest to researchers worldwide.
How can viruses be used in gene therapy?
a. Viruses are used to attack and kill specific cells.
b. Bacteriophages are used to treat bacterial infections.
c. Viruses are used to transport a gene into a cell.
d. Viruses are used to destroy the food pathogen Listeria.
Section Summary
Viruses cause a variety of diseases in humans. Many of these diseases can be prevented by the use of viral vaccines, which
stimulate protective immunity against the virus without causing major disease. Viral vaccines may also be used in active
viral infections, boosting the ability of the immune system to control or destroy the virus. A series of antiviral drugs that
target enzymes and other protein products of viral genes have been developed and used with mixed success. Combinations
of anti-HIV drugs have been used to effectively control the virus, extending the lifespans of infected individuals. Viruses
have many uses in medicines, such as in the treatment of genetic disorders, cancer, and bacterial infections.
Chapter 21 | Viruses 955
Prions
Prions, so-called because they are proteinaceous, are infectious particles—smaller than viruses—that contain no nucleic
acids (neither DNA nor RNA). Historically, the idea of an infectious agent that did not use nucleic acids was considered
impossible, but pioneering work by Nobel Prize-winning biologist Stanley Prusiner has convinced the majority of biologists
that such agents do indeed exist.
Fatal neurodegenerative diseases, such as kuru in humans and bovine spongiform encephalopathy (BSE) in cattle
(commonly known as mad cow disease) were shown to be transmitted by prions. The disease was spread by the consumption
of meat, nervous tissue, or internal organs between members of the same species. Kuru, native to humans in Papua New
Guinea, was spread from human to human via ritualistic cannibalism. BSE, originally detected in the United Kingdom, was
spread between cattle by the practice of including cattle nervous tissue in feed for other cattle. Individuals with kuru and
BSE show symptoms of loss of motor control and unusual behaviors, such as uncontrolled bursts of laughter with kuru,
followed by death. Kuru was controlled by inducing the population to abandon its ritualistic cannibalism.
On the other hand, BSE was initially thought to only affect cattle. Cattle dying of the disease were shown to have developed
lesions or holes in the brain, causing the brain tissue to resemble a sponge. Later on in the outbreak, however, it was shown
that a similar encephalopathy in humans known as variant Creutzfeldt-Jakob disease (CJD) could be acquired from eating
beef from animals with BSE, sparking bans by various countries on the importation of British beef and causing considerable
economic damage to the British beef industry (Figure 21.18). BSE still exists in various areas, and although a rare disease,
individuals that acquire CJD are difficult to treat. The disease can be spread from human to human by blood, so many
countries have banned blood donation from regions associated with BSE.
The cause of spongiform encephalopathies, such as kuru and BSE, is an infectious structural variant of a normal cellular
protein called PrP (prion protein). It is this variant that constitutes the prion particle. PrP exists in two forms, PrPc, the
normal form of the protein, and PrPsc, the infectious form. Once introduced into the body, the PrPsc contained within the
prion binds to PrPc and converts it to PrPsc. This leads to an exponential increase of the PrPsc protein, which aggregates.
PrPsc is folded abnormally, and the resulting conformation (shape) is directly responsible for the lesions seen in the brains
of infected cattle. Thus, although not without some detractors among scientists, the prion seems likely to be an entirely new
form of infectious agent, the first one found whose transmission is not reliant upon genes made of DNA or RNA.
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Figure 21.18 (a) Endogenous normal prion protein (PrPc) is converted into the disease-causing form (PrPsc) when it
encounters this variant form of the protein. PrPsc may arise spontaneously in brain tissue, especially if a mutant form
of the protein is present, or it may occur via the spread of misfolded prions consumed in food into brain tissue. (b) This
prion-infected brain tissue, visualized using light microscopy, shows the vacuoles that give it a spongy texture, typical
of transmissible spongiform encephalopathies. (credit b: modification of work by Dr. Al Jenny, USDA APHIS; scale-bar
data from Matt Russell)
Viroids
Viroids are plant pathogens: small, single-stranded, circular RNA particles that are much simpler than a virus. They do not
have a capsid or outer envelope, but like viruses can reproduce only within a host cell. Viroids do not, however, manufacture
any proteins, and they only produce a single, specific RNA molecule. Human diseases caused by viroids have yet to be
identified.
Viroids are known to infect plants (Figure 21.19) and are responsible for crop failures and the loss of millions of dollars
in agricultural revenue each year. Some of the plants they infect include potatoes, cucumbers, tomatoes, chrysanthemums,
avocados, and coconut palms.
Figure 21.19 These potatoes have been infected by the potato spindle tuber viroid (PSTV), which is typically spread
when infected knives are used to cut healthy potatoes, which are then planted. (credit: Pamela Roberts, University of
Florida Institute of Food and Agricultural Sciences, USDA ARS)
Chapter 21 | Viruses 957
Virologist
Virology is the study of viruses, and a virologist is an individual trained in this discipline. Training in virology
can lead to many different career paths. Virologists are actively involved in academic research and teaching
in colleges and medical schools. Some virologists treat patients or are involved in the generation and
production of vaccines. They might participate in epidemiologic studies (Figure 21.20) or become science
writers, to name just a few possible careers.
Figure 21.20 This virologist is engaged in fieldwork, sampling eggs from this nest for avian influenza. (credit: Don
Becker, USGS EROS, U.S. Fish and Wildlife Service)
If you think you may be interested in a career in virology, find a mentor in the field. Many large medical
centers have departments of virology, and smaller hospitals usually have virology labs within their
microbiology departments. Volunteer in a virology lab for a semester or work in one over the summer.
Discussing the profession and getting a first-hand look at the work will help you decide whether a career in
virology is right for you. The American Society of Virology’s website (http://openstaxcollege.org/l/asv) is
a good resource for information regarding training and careers in virology.
Section Summary
Prions are infectious agents that consist of protein, but no DNA or RNA, and seem to produce their deadly effects by
duplicating their shapes and accumulating in tissues. They are thought to contribute to several progressive brain disorders,
including mad cow disease and Creutzfeldt-Jakob disease. Viroids are single-stranded RNA pathogens that infect plants.
Their presence can have a severe impact on the agriculture industry.
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KEY TERMS
acellular lacking cells
acute disease disease where the symptoms rise and fall within a short period of time
asymptomatic disease disease where there are no symptoms and the individual is unaware of being infected unless lab
tests are performed
AZT anti-HIV drug that inhibits the viral enzyme reverse transcriptase
back mutation when a live virus vaccine reverts back to it disease-causing phenotype
budding method of exit from the cell used in certain animal viruses, where virions leave the cell individually by capturing
a piece of the host plasma membrane
chronic infection describes when the virus persists in the body for a long period of time
fusion method of entry by some enveloped viruses, where the viral envelope fuses with the plasma membrane of the host
cell
gene therapy treatment of genetic disease by adding genes, using viruses to carry the new genes inside the cell
group VI virus virus with a ssRNA genomes converted into dsDNA by reverse transcriptase
group VII virus virus with a single-stranded mRNA converted into dsDNA for genome replication
latency virus that remains in the body for a long period of time but only causes intermittent symptoms
lysogenic cycle type of virus replication in which the viral genome is incorporated into the genome of the host cell
lytic cycle type of virus replication in which virions are released through lysis, or bursting, of the cell
matrix protein envelope protein that stabilizes the envelope and often plays a role in the assembly of progeny virions
oncolytic virus virus engineered to specifically infect and kill cancer cells
phage therapy treatment of bacterial diseases using bacteriophages specific to a particular bacterium
positive polarity ssRNA virus with a genome that contains the same base sequences and codons found in their mRNA
prion infectious particle that consists of proteins that replicate without DNA or RNA
prophage phage DNA that is incorporated into the host cell genome
retrovirus virus with an RNA genome that must be reverse transcribed into DNA before being incorporated into the host
cell genome
reverse transcriptase enzyme found in Baltimore groups VI and VII that converts single-stranded RNA into double-
stranded DNA
vaccine weakened solution of virus components, viruses, or other agents that produce an immune response
viral receptor glycoprotein used to attach a virus to host cells via molecules on the cell
CHAPTER SUMMARY
21.1 Viral Evolution, Morphology, and Classification
Viruses are tiny, acellular entities that can usually only be seen with an electron microscope. Their genomes contain either
DNA or RNA—never both—and they replicate using the replication proteins of a host cell. Viruses are diverse, infecting
archaea, bacteria, fungi, plants, and animals. Viruses consist of a nucleic acid core surrounded by a protein capsid with or
without an outer lipid envelope. The capsid shape, presence of an envelope, and core composition dictate some elements
of the classification of viruses. The most commonly used classification method, the Baltimore classification, categorizes
viruses based on how they produce their mRNA.
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Viral replication within a living cell always produces changes in the cell, sometimes resulting in cell death and sometimes
slowly killing the infected cells. There are six basic stages in the virus replication cycle: attachment, penetration,
uncoating, replication, assembly, and release. A viral infection may be productive, resulting in new virions, or
nonproductive, which means that the virus remains inside the cell without producing new virions. Bacteriophages are
viruses that infect bacteria. They have two different modes of replication: the lytic cycle, where the virus replicates and
bursts out of the bacteria, and the lysogenic cycle, which involves the incorporation of the viral genome into the bacterial
host genome. Animal viruses cause a variety of infections, with some causing chronic symptoms (hepatitis C), some
intermittent symptoms (latent viruses such a herpes simplex virus 1), and others that cause very few symptoms, if any
(human herpesviruses 6 and 7). Oncogenic viruses in animals have the ability to cause cancer by interfering with the
regulation of the host cell cycle. Viruses of plants are responsible for significant economic damage in both agriculture and
plants used for ornamentation.
Viruses cause a variety of diseases in humans. Many of these diseases can be prevented by the use of viral vaccines, which
stimulate protective immunity against the virus without causing major disease. Viral vaccines may also be used in active
viral infections, boosting the ability of the immune system to control or destroy the virus. A series of antiviral drugs that
target enzymes and other protein products of viral genes have been developed and used with mixed success. Combinations
of anti-HIV drugs have been used to effectively control the virus, extending the lifespans of infected individuals. Viruses
have many uses in medicines, such as in the treatment of genetic disorders, cancer, and bacterial infections.
Prions are infectious agents that consist of protein, but no DNA or RNA, and seem to produce their deadly effects by
duplicating their shapes and accumulating in tissues. They are thought to contribute to several progressive brain disorders,
including mad cow disease and Creutzfeldt-Jakob disease. Viroids are single-stranded RNA pathogens that infect plants.
Their presence can have a severe impact on the agriculture industry.
REVIEW QUESTIONS
1. Viruses were first discovered after the development of the porcelain filter, called the Chamberland-Pasteur filter. How
did the porcelain filter enable scientists to discover viruses?
a. The porcelain filter removed diseases from a liquid sample.
b. The porcelain filter removed virions from a liquid sample.
c. The porcelain filter removed bacteria from a liquid sample.
d. The porcelain filter removed a disease from tobacco plants.
2. In the late 1930s, scientists got their first good view of viruses. How did this happen?
a. The development of the light microscope helped scientists discover many viruses of all types of living
organisms.
b. The development of the viral receptor helped scientists discover many viruses of all types of living organisms.
c. The development of the porcelain filter helped scientists discover many viruses of all types of living organisms.
d. The development of the electron microscope helped scientists discover many viruses of all types of living
organisms.
3. Determining the origins of viruses is challenging. The ________ hypothesis proposes to explain the origin of viruses by
suggesting that viruses evolved from free-living cells.
a. escapist or the progressive
b. system of self-replication
c. devolution or the regressive
d. virus molecular systematics
4. Which statement best describes what biologists know about the evolution of viruses?
Chapter 21 | Viruses 961
a. lytic
b. lysogenic
c. cytopathic
d. latency
13. How is the lytic cycle different from the lysogenic cycle?
a. The phage infects a cell in the lytic cycle.
b. The lytic cycle contains the formation of a prophage.
c. In the lytic cycle, new phages are produced; immediately in the lysogenic cycle phage DNA is merged into the
host genome.
d. The phages move on to infect other cells in the lysogenic phase.
14. Which of the following statements is false?
a. Enveloped viruses and naked viruses both may enter cells using the fusion method.
b. Many enveloped viruses enter the cell by receptor-mediated endocytosis.
c. Naked viruses enter the cell by receptor-mediated endocytosis.
d. Undergoing shape changes and creating channels in the host cell membrane is an alternative method of cell
penetration used by naked viruses.
15. An apple tree has yellow splotches on the leaves. This is a symptom of ________.
a. cell necrosis
b. discoloration
c. hyperplasia
d. hypoplasia
16. What happens during the release step in the lytic or lysogenic cycle of replication?
a. During the release step, genetic information is transferred through the lytic and lysogenic cycles.
b. During the release step, DNA is transcribed to messenger RNA.
c. During the release step, the nucleic acid is released from the viral capsid or envelope.
d. During the release step, the new virions are able to infect adjacent cells and repeat the replication cycle.
17. Why does the HIV virus use reverse transcriptase in the replication process?
a. The HIV virus uses reverse transcriptase to replicate cells and build proteins.
b. The HIV virus uses reverse transcriptase to erase mutated virions.
c. The HIV virus uses reverse transcriptase because it is a retrovirus.
d. The HIV virus uses reverse transcriptase because it has a DNA genome.
18. What are the symptoms of the herpes simplex virus?
a. The herpes simplex virus causes eye infections.
b. The herpes simplex virus causes pneumonia.
c. The herpes simplex virus causes pancreatitis.
d. The herpes simplex virus can cause septicemia.
19. Which of the following statements accurately describes the measles virus?
a. The measles virus causes nasal and lung infections.
b. The measles virus causes pancreas and liver infections.
c. The measles virus causes mouth and gum infections.
d. The measles virus causes brain and skin infections.
20. Which of the following statements best describes vaccines?
Chapter 21 | Viruses 963
a. After filtering a liquid plant extract, the scientists could see the virions using the light microscope.
b. After filtering a liquid plant extract, the disease was still transferred to a healthy plant.
c. After filtering a liquid plant extract, the virus cells multiplied.
d. After filtering a liquid plant extract, scientists were able to trace historical footprints.
29. Scientists have a few hypotheses about virus origins. Why might they develop and refine further hypotheses to explain
the origin of viruses?
a. Advances in technology provide historic evidence.
b. Biochemical and genetic information provide historic evidence.
c. Advances in technology provide new information for scientists.
d. Advances in technology have proven that viruses have a single common ancestor.
30. Why don’t dogs catch the measles?
a. Measles is a DNA virus, and DNA viruses cause human diseases.
b. Dogs do not have glycoproteins.
c. The virus can’t attach to dog cells.
d. Dogs do not get RNA viruses.
31. The Baltimore classification system groups viruses according to how the mRNA is produced. When classified this
way, the viruses in each group ________.
a. behave in a similar manner
b. look very similar
c. connect with living things
d. are based on the type of disease they cause
32. Researchers have been able to develop a variety of anti-HIV drugs, such as the drug AZT. How does the drug AZT
work?
a. AZT blocks the enzyme called HIV protease, which the virus uses to reproduce itself.
b. AZT blocks the HIV integrase enzyme, which the virus uses to insert its viral DNA into the DNA of the host
cell.
c. AZT prevents reverse transcriptase and HIV protease enzyme from functioning inside the body.
d. AZT prevents reverse transcriptase from making DNA from the viral RNA genome.
33. Compare the lytic and lysogenic cycles and explain which cycle has the potential to produce the most virions.
a. The lytic cycle can theoretically produce more virions as the viral genome takes over the host cell, resulting in
the large-scale release of virions.
b. The lysogenic cycle can theoretically produce more virions as the reproductive cycle of viruses undergoing
lysogeny is much faster than the reproductive cycle of viruses following lytic cycle.
c. The lysogenic cycle can theoretically produce more virions as the viral genome is incorporated into the host
cell’s genome replicating along with the host cell.
d. The lytic cycle can theoretically produce more virions as the prophage following lysogenic cycle ultimately gets
excised from the host cell’s genome and enter the lytic cycle.
34. Would a person who has never been in contact with the varicella-zoster virus be at risk of developing chickenpox or
shingles if they come in close contact with a person with shingles? Explain your reasoning.
Chapter 21 | Viruses 965
a. The person is at risk of developing chickenpox. Chickenpox is the first infection with the virus before it enters
latency in the host.
b. The person is at risk of developing shingles. Shingles is the first infection with the virus before it enters latency
in the host.
c. The person is at risk of developing chickenpox. Chickenpox is the first infection with the virus that is already
latent in the body.
d. The person is at risk of developing shingles. The virus enters the person and gets activated when a person with
shingles comes in close contact.
35. Which step in the replication cycle of viruses do you think is most critical for the virus to infect cells? Explain why.
a. The attachment step is the most critical, as infection cannot begin if virus does not attach to the host cell.
b. The replication step is the most critical as this step directs protein synthesis.
c. The assembly step is the most critical because new virions are assembled to infect cells.
d. The entry step is the most critical as nucleic acid of virus needs to enter the host cell naked, leaving the capsid
outside.
36. For most people, the measles virus does not cause a serious illness. Symptoms include fever and a rash, but the
symptoms are usually gone in about a week. However, for some, the measles virus can be much more serious. How can the
measles virus cause a potentially fatal illness?
a. Measles can cause meningococcal disease, which causes severe headaches, seizures and in severe cases can be
life-threatening.
b. Measles can cause variant Creutzfeldt-Jakob disease, which causes severe headaches, seizures and in severe
cases can be life-threatening.
c. Measles can cause encephalitis/meningitis, which causes severe headaches, seizures and in severe cases can be
life-threatening.
d. Measles can cause Legionnaires’ disease, which causes severe headaches, seizures and in severe cases can be
life-threatening.
37. Why is immunization after being bitten by a rabid animal so effective and why aren’t people vaccinated for rabies like
dogs and cats are?
a. It takes a month for the virus to travel from the site of the bite to the central nervous system. People are not
vaccinated beforehand as routine vaccination of domestic animals makes it unlikely that humans will contract
rabies from an animal bite.
b. It takes a week for the virus to travel from the site of the bite to the peripheral nervous system. People are not
vaccinated beforehand as routine vaccination of domestic animals makes it unlikely that humans will contract
rabies from an animal bite.
c. It takes a week for the virus to travel from the site of the bite to the central nervous system. People are not
vaccinated beforehand as routine vaccination of domestic animals makes it unlikely that humans will contract
rabies from an animal bite.
d. It takes a week for the virus to travel from the site of the bite to the central nervous system. People are not
vaccinated beforehand, as routine vaccination of domestic animals makes it fully sure that humans will contract
rabies from an animal bite.
38. Why don’t dogs and cats catch human colds from humans?
a. As cats and dogs have different proteins than humans, the virus that causes colds in humans cannot find
receptors in dogs and cats.
b. As cats and dogs have different receptors than humans, the virus that causes colds in humans cannot find
receptors in dogs and cats.
c. As cats and dogs’ immune system attacks the virus unlike humans, so the virus that causes colds in humans
cannot find receptors in dogs and cats.
d. As natural killer cells of cats and dogs attack the virus, the virus that causes colds in humans cannot find
receptors in dogs and cats.
39. Prions are responsible for variant CJD (Creutzfeldt-Jakob Disease). How has this disease been documented to spread
966 Chapter 21 | Viruses
Figure 21.21
What is the difference between how Group I and Group III viruses reproduce?
a. In Group I, RNA is transcribed from an RNA genome while in Group III, RNA is transcribed from a DNA
genome.
b. In Group I, RNA is transcribed from a DNA genome while in Group III, RNA is transcribed from an RNA
genome.
c. In Group I, DNA is transcribed from a DNA genome while in Group III, RNA is transcribed from an RNA
genome.
d. In Group I, DNA is transcribed from an RNA genome while in Group III, RNA is transcribed from a DNA
genome.
43. The table below shows the Baltimore Classification used to classify viruses based on their genetic material.
968 Chapter 21 | Viruses
Figure 21.22
What is a similar or different between the genome of Group I and Group VI, as well as how the two virus types reproduce?
a. Group I and VI viruses use RNA as their genome. Group I viruses reproduce by transcribing RNA from their
DNA genome, while Group VI viruses first synthesize their RNA genome using reverse transcriptase before
they can reproduce.
b. Group I and VI viruses use DNA as their genome. Group I viruses reproduce by transcribing RNA from their
DNA genome while group VI viruses first synthesize their DNA genome using reverse transcriptase before they
can reproduce.
c. Group I and VI viruses use DNA as their genome. Group I viruses reproduce by transcribing RNA from their
DNA genome, while group VI viruses first synthesize RNA genome using reverse transcriptase before they can
reproduce.
d. Group I viruses use DNA as their genome while group VI use RNA. Group I viruses reproduce by transcribing
RNA from their DNA genome while group VI viruses synthesize DNA from RNA using reverse transcriptase
before they can reproduce.
44. The diagram below shows the stages during which a virus infects a host cell.
Chapter 21 | Viruses 969
Figure 21.23
During which of the numbered steps does the amount of viral genetic material begin to change within the host cell and
why?
a. 1. virus enters the cell
b. 2. virus RNA enters the nucleus
c. 3. new viruses assemble within the cell
d. 4. viruses leave the cell
45. The diagram below shows the stages during which a virus infects a host cell.
970 Chapter 21 | Viruses
Figure 21.24
How could the influenza virus change the function of a host cell? Which has the potential to produce the most copies of
the virus?
a. because it replicates its DNA within the cell and reproduces, which could interfere with cell processes.
b. because it replicates RNA within the cell and reproduces which could interfere with cell processes.
c. because it attacks the immune system of the host cell, which would in turn interfere with cell processes.
d. because it replicates its protein within the cell and reproduces, which could interfere with cell processes.
46. The diagrams below model the lytic and lysogenic reproductive cycles of viruses.
Chapter 21 | Viruses 971
Figure 21.25
Which cycle would maintain the DNA of the virus over several generations, and why?
a. lysogenic, because the viral DNA can be excised from the host cell’s DNA when under stress
b. lytic, because the viral DNA can be excised from the host cell’s DNA when under stress
c. lytic, because the viral DNA can be passed on when the host cell replicates
d. lysogenic, because the viral DNA can be passed on when the host cell replicates
47. The diagrams below model the lytic and lysogenic reproductive cycles of viruses.
972 Chapter 21 | Viruses
Figure 21.26
Based on the diagram, identify whether the following statement is true or false, and explain why or why not: “The
lysogenic cycle allows viruses to preserve their genome during unfavorable conditions.”
a. True, because when the host cell experiences unfavorable conditions, it stops dividing and stays in the same
state.
b. True, because the host cell in both the replication stage and during unfavorable conditions stays in the lysogenic
cycle as it is more preferable over the lytic cycle.
c. False, because when the host cell experiences unfavorable conditions, the prophage exits the genome and enters
the lytic cycle.
d. False, because when the host cell experiences unfavorable conditions, the virus enters latency period.
Figure 21.27
B. Describe influenza A viral replication as a process regulated by either positive or negative feedback and justify your
selection.
C. The human-acquired immunodeficiency syndrome (AIDS) and many cancers are cause by double-stranded RNA
retroviruses.
Contrast the processes of viral replication of HIV and influenza A virus.
D. Explain the difference in the effects of infection by HIV and influenza A virus on host genetic variability.
E. Measured mutation rates for influenza A virus and HIV are nearly identical (Sanjuan et al., Jour. Virology, 2010).
Explain this observation even though host error-checking operates in one of these replication modes.
49. A. Three-dimensional (3D) structures, or folding, of proteins have been shown to contain more information about
evolutionary relationships than the sequences of DNA nucleotides that encode the proteins. Amino acid sequences of
rabbit skeletal muscle actin (375 amino acids) and bovine ATPase (386 amino acids) have only 39 locations in common.
However, the 3D structure of these proteins are nearly identical (Flaherty et al., Proc. Natl. Acad. Sci. USA, 1991). As
information about the 3D folding of proteins and the number of sequenced whole genomes has increased, folding has been
shown to be an evolutionarily conserved property.
Analyze these data to refine the following model: The evolutionary history of life on Earth can be inferred from variations
over time of the nucleotide sequence of a gene.
B. By applying a classification scheme based on protein folding, Nasir and Caetano-Anollés (Sci. Adv. 2015) have
determined the number of folding families that viruses share with the three domains. Approximately 60% of the folding
patterns found in viruses were common to all three domains, as shown below. Fewer than 10% were unique to viruses.
974 Chapter 21 | Viruses
Figure 21.28
Viruses are acellular, and, consequently, they lie outside of the three domains of cellular life. However, their exclusion is
increasingly challenged. Since 2012, several very large viruses have been discovered, each a double-stranded DNA virus
with more than one million bases, with some encoding nucleotides and amino acids. However, none encode ribosomes, so
these viruses are still dependent on a marine bacteriovore (amoeba or flagellate) host for replication.
Hypotheses regarding the origin of life on Earth need to account for the relationship between proteins and genetic
information. Proteins are required to read and write genetic information, but genetic information is required to synthesize
proteins. Which of these systems evolved first, and if neither came first, how could they evolve simultaneously? The
RNA-first model is based on the idea that ribosomal RNA both encodes and synthesizes proteins.
Describe a hypothesis for the origin of life on Earth that combines the dual functionality of RNA and the function of
retroviral reverse transcriptase to propose a mechanism leading to an ancient, acellular lineage of very large, double-
stranded DNA viruses and a first DNA-based cellular life form.
C. Like viruses, the nucleus of a eukaryote uses the machinery of the cell to transcribe DNA and synthesize proteins.
Evaluate the possibility of the origin of Eukarya by specialization of a very large double-stranded DNA virus.
50. Viruses evolve but leave no fossil evidence that can be used to construct phylogenies. However, viral DNA, especially
that of retroviruses, is commonly found in the host genome. By comparing sequences from the same virus integrated at
different points in time, the evolutionary history of the virus can be constructed. The viral genomes are typically found
incomplete, in segments, and interrupted by stop codons. In jawed vertebrates, retroviral sequences or sequences that have
been derived from them are a significant fraction of the whole genome.
A. Explain why retroviral DNA rather than the genomes of single-stranded or double-stranded DNA or single-stranded
RNA viruses are found in host DNA.
B. Exaptation occurs when gene expression provides a function that is independent of the selection pressures that have
acted on the gene. For example, a pigment that provided selective advantage by reducing damage from solar radiation
becomes an element of mating behavior. Feathers that evolved under selection to prevent heat loss become a means of
flight.
In a study of viral evolution within host genomes of primates, Katzuorakis and Gifford (PLOS Genetics, 2010) found that
viral genomes within the host were surprisingly stable; with computer simulation, they estimated the probability of such
constancy at 1 in 100,000.
Explain in terms of selection how viral genetic information that no longer replicates the virus is maintained by the host.
C. Distemper is an incurable disease of cats, dogs, and their sister lineages caused by a parvovirus. The virus exploits the
host’s transferrin, a membrane-bound protein used for iron transport, to attach to the cell. The phylogeny of the
Parvoviridae family has been constructed (J. Kaebler, PLOS Pathogens, 2012). That study revealed the evolution of both
Chapter 21 | Viruses 975
the virus and the host protein through selection to resist infection. About 54 million years ago when the lineage of cats
(Feliformia) diverged from that of dogs (Caniformia), the parvovirus envelope diverged as well, conforming to changes in
the host’s transferrin. In 1978, a worldwide disease in dogs due to a parvovirus suddenly appeared.
Explain how this pandemic could have originated in the cat population.
51. A. A simple calculation of the rate of spread of a pox virus (virion) led researchers at Imperial College London to a
new insight. Virions communicate with other virions. The researchers observed that the radius of an approximately circular
plaque of infected cells grew to 1.45 mm in just 3 days. They measured the distance between adjacent cells to be 0.037
mm to obtain the apparent time for the lytic cycle (from infection to lysis). They compared this time to the actual rate at
which new virions are formed: 5 to 6 hours.
Predict the radius of infection if the infection process involved a sequence of entry, replication, lysis, and infection of an
adjacent cell.
To account for this discrepancy between observed and predicted growth rates, the researchers examined the viral entry
process and discovered that the actin protein on the host cell’s surface that provided the viral receptor was modified by
attachment. They then found a mutant virus that did not modify the cell surface protein. The dependence of the growth of
plaque radius on time for the wild type and mutant are shown in the graph.
Figure 21.29
B. Analyze these data and compare the infection rates calculated with those predicted in part A.
C. Use the results of this experiment to support the claim that responses to information and communication of
information affect natural selection.
52. Describe how viral replication introduces genetic variation in the viral population.
976 Chapter 21 | Viruses
Chapter 22 | Prokaryotes: Bacteria and Archaea 977
22 | PROKARYOTES:
BACTERIA AND
ARCHAEA
Figure 22.1 Certain prokaryotes can live in extreme environments such as the Morning Glory pool, a hot spring in
Yellowstone National Park. The spring’s vivid blue color is from the prokaryotes that thrive in its very hot waters. (credit:
modification of work by Jon Sullivan)
Chapter Outline
22.1: Prokaryotic Diversity
22.2: Structure of Prokaryotes
22.3: Prokaryotic Metabolism
22.4: Bacterial Diseases in Humans
22.5: Beneficial Prokaryotes
Introduction
Most people think of bacteria as disease-causing organisms. Although some bacteria are pathogens, many are not. For
example, the commensal bacteria that inhabit our skin and gastrointestinal tract do a host of good things for us. They protect
us from pathogens, help us digest our food, and produce some of our vitamins and other nutrients. These activities have
been known for a long time. More recently, scientists have gathered evidence that these bacteria may also help regulate our
moods, influence our activity levels, and even help control weight by affecting our food choices and absorption patterns.
The Human Microbiome Project has begun the process of cataloging our normal bacteria—and archaea—so we can better
understand these functions. You can learn more about the Human Microbiome Project here (http://openstaxcollege.org/l/
32microbiome) .
978 Chapter 22 | Prokaryotes: Bacteria and Archaea
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding The origin of living systems is explained by natural processes.
1.D
Essential 1.D.1 There are several hypotheses about the natural origin of life on Earth, each with
Knowledge supporting scientific evidence.
6.3 The student can articulate the reasons that scientific explanations and theories are
Science Practice
refined or replaced.
Learning 1.29 The student is able to describe the reasons for revisions of scientific hypotheses of
Objective the origin of life on Earth.
Essential 1.D.1 There are several hypotheses about the natural origin of life on Earth, each with
Knowledge supporting scientific evidence.
Science Practice 6.5 The student can evaluate alternative scientific explanations.
Learning 1.30 The student is able to evaluate scientific hypotheses about the origin of life on
Objective Earth.
Chapter 22 | Prokaryotes: Bacteria and Archaea 979
Essential 1.D.1 There are several hypotheses about the natural origin of life on Earth, each with
Knowledge supporting scientific evidence.
Science Practice 4.4 The student can evaluate sources of data to answer a particular scientific question.
Learning 1.31 The student is able to evaluate the accuracy and legitimacy of data to answer
Objective scientific questions about the origin of life on Earth.
Essential
1.D.2 Life on Earth evolved between 3.5 and 4.5 billion years ago.
Knowledge
4.1 The student can justify the selection of the kind of data needed to answer a particular
Science Practice
scientific question.
Learning 1.32 The student is able to justify the selection of geological, physical, and chemical data
Objective that reveal early Earth conditions.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.35]
• [APLO 2.36]
• [APLO 2.37]
Prokaryotes are ubiquitous. They cover every imaginable surface where there is sufficient moisture, and they live on and
inside of other living things. In the typical human body, prokaryotic cells outnumber human body cells by about 10 to one.
They comprise the majority of living things in all ecosystems. Some prokaryotes thrive in environments that are inhospitable
for most living things. Prokaryotes recycle nutrients—essential substances, such as carbon and nitrogen—and they drive
the evolution of new ecosystems, some of which are natural and others man-made. Prokaryotes have been on Earth since
long before multicellular life appeared.
Figure 22.2 This (a) microbial mat, about one meter in diameter, grows over a hydrothermal vent in the Pacific
Ocean in a region known as the Pacific Ring of Fire. The mat helps retain microbial nutrients. Chimneys such as the
one indicated by the arrow allow gases to escape. (b) In this micrograph, bacteria are visualized using fluorescence
microscopy. (credit a: modification of work by Dr. Bob Embley, NOAA PMEL, Chief Scientist; credit b: modification of
work by Ricardo Murga, Rodney Donlan, CDC; scale-bar data from Matt Russell)
Stromatolites
Fossilized microbial mats represent the earliest record of life on Earth. A stromatolite is a sedimentary structure formed
when minerals are precipitated out of water by prokaryotes in a microbial mat (Figure 22.3). Stromatolites form layered
rocks made of carbonate or silicate. Although most stromatolites are artifacts from the past, there are places on Earth where
stromatolites are still forming. For example, growing stromatolites have been found in the Anza-Borrego Desert State Park
in San Diego County, California.
Figure 22.3 (a) These living stromatolites are located in Shark Bay, Australia. (b) These fossilized stromatolites, found
in Glacier National Park, Montana, are nearly 1.5 billion years old. (credit a: Robert Young; credit b: P. Carrara, NPS)
Figure 22.4 This hot spring in Yellowstone National Park flows toward the foreground. Cyanobacteria in the spring are
green, and as water flows down the gradient, the intensity of the color increases as cell density increases. The water
is cooler at the edges of the stream than in the center, causing the edges to appear greener. (credit: Graciela Brelles-
Mariño)
Early Earth was inhospitable to most life as we know it today, with a substantial amount of geological
upheaval, volcanic activity, and an anoxic atmosphere (which means it lacked oxygen). Therefore, the origin
of life on Earth is of great interest to scientists.
One of the earliest hypotheses of how life originated on Earth was by panspermia, which dates back to the
century B.C. Panspermia is the idea that life is distributed to different parts of the universe on objects such
as meteoroids and asteroids. If this were to occur, organic compounds and microorganisms would be able
to survive the extreme conditions of space.
However, in the 1960s, scientists Stanley Miller and Harold Urey conducted laboratory experiments that
showed it was possible for organic compounds, including amino acids, to be formed under certain conditions
from inorganic molecules and energy, both of which would have been present in the early conditions of
Earth. Subsequently, fossilized evidence of microbial mats by deep sea hydrothermal vents that dates back
3.5 billion years was discovered. Consequently, there are now several hypotheses regarding how life could
have evolved on Earth.
Activity
Perform internet research using reliable webpages containing current scientific evidence supporting the
ideas that 1) life originated on Earth, and 2) that life arrived on Earth from an extraterrestrial object, such
as an asteroid or comet. Then decide which idea has more supporting evidence. Be able to justify your
conclusion.
Think About It
If organic compounds, which eventually formed organisms, could have formed both extraterrestrially and on Earth,
why would it be less complicated, and thus more likely, that life formed on Earth?
Think About It
Even though Miller and Urey showed that organic molecules could be produced from conditions of early Earth, why
are there still different hypotheses about how life could have originated on Earth?
982 Chapter 22 | Prokaryotes: Bacteria and Archaea
Table 22.1
Chapter 22 | Prokaryotes: Bacteria and Archaea 983
Figure 22.5 Deinococcus radiodurans, visualized in this false color transmission electron micrograph, is a prokaryote
that can tolerate very high doses of ionizing radiation. It has developed DNA repair mechanisms that allow it to
reconstruct its chromosome even if it has been broken into hundreds of pieces by radiation or heat. (credit: modification
of work by Michael Daly; scale-bar data from Matt Russell)
Figure 22.6 (a) The Dead Sea is hypersaline. Nevertheless, salt-tolerant bacteria thrive in this sea. (b) These
halobacteria cells can form salt-tolerant bacterial mats. (credit a: Julien Menichini; credit b: NASA; scale-bar data from
Matt Russell)
whose use persists in today’s laboratories. Koch worked primarily with the Mycobacterium tuberculosis bacterium that
causes tuberculosis and developed postulates to identify disease-causing organisms that continue to be widely used in the
medical community. Koch’s postulates include that an organism can be identified as the cause of disease when it is present in
all infected samples and absent in all healthy samples, and it is able to reproduce the infection after being cultured multiple
times. Today, cultures remain a primary diagnostic tool in medicine and other areas of molecular biology.
Figure 22.7 In these agar plates, the growth medium is supplemented with red blood cells. Blood agar becomes
transparent in the presence of hemolytic Streptococcus, which destroys red blood cells and is used to diagnose
Streptococcus infections. The plate on the left is inoculated with nonhemolytic Staphylococcus—large white
colonies—and the plate on the right is inoculated with hemolytic Streptococcus—tiny clear colonies. If you look closely
at the right plate, you can see that the agar surrounding the bacteria has turned clear. (credit: Bill Branson, NCI)
Some prokaryotes, however, cannot grow in a laboratory setting. In fact, over 99 percent of bacteria and archaea are
unculturable. For the most part, this is due to a lack of knowledge as to what to feed these organisms and how to grow them;
they have special requirements for growth that remain unknown to scientists, such as needing specific micronutrients, pH,
temperature, pressure, cofactors, or cometabolites. Some bacteria cannot be cultured because they are obligate intracellular
parasites and cannot be grown outside a host cell.
In other cases, culturable organisms become unculturable under stressful conditions, even though the same organism could
be cultured previously. Those organisms that cannot be cultured but are not dead are in a viable-but-nonculturable
(VBNC) state. The VBNC state occurs when prokaryotes respond to environmental stressors by entering a dormant state
that allows their survival. The criteria for entering into the VBNC state are not completely understood. In a process called
resuscitation, the prokaryote can go back to normal life when environmental conditions improve.
Is the VBNC state an unusual way of living for prokaryotes? In fact, most of the prokaryotes living in the soil or in oceanic
waters are nonculturable. It has been said that only a small fraction, perhaps one percent, of prokaryotes can be cultured
under laboratory conditions. If these organisms are nonculturable, then how is it known whether they are present and alive?
Microbiologists use molecular techniques, such as the polymerase chain reaction (PCR), to amplify selected portions of
DNA of prokaryotes, demonstrating their existence. Recall that PCR can make billions of copies of a DNA segment in a
process called amplification.
Figure 22.8 Five stages of biofilm development are shown. During stage 1, initial attachment, bacteria adhere to
a solid surface via weak van der Waals interactions. During stage 2, irreversible attachment, hairlike appendages
called pili permanently anchor the bacteria to the surface. During stage 3, maturation I, the biofilm grows through
cell division and recruitment of other bacteria. An extracellular matrix composed primarily of polysaccharides
holds the biofilm together. During stage 4, maturation II, the biofilm continues to grow and takes on a more
complex shape. During stage 5, dispersal, the biofilm matrix is partly broken down, allowing some bacteria to
escape and colonize another surface. Micrographs of a Pseudomonas aeruginosa biofilm in each of the stages of
development are shown. (credit: D. Davis, Don Monroe, PLoS)
Section Summary
Prokaryotes existed for billions of years before plants and animals appeared. Hot springs and hydrothermal vents may have
been the environments in which life began. Microbial mats are thought to represent the earliest forms of life on Earth, and
there is fossil evidence of their presence about 3.5 billion years ago. A microbial mat is a multi-layered sheet of prokaryotes
that grows at interfaces between different types of material, mostly on moist surfaces. During the first 2 billion years, the
atmosphere was anoxic and only anaerobic organisms were able to live. Cyanobacteria evolved from early phototrophs
and began the oxygenation of the atmosphere. The increase in oxygen concentration allowed the evolution of other life
forms. Fossilized microbial mats are called stromatolites and consist of laminated organo-sedimentary structures formed by
precipitation of minerals by prokaryotes. They represent the earliest fossil record of life on Earth.
Bacteria and archaea grow in virtually every environment. Those that survive under extreme conditions are called
extremophiles—extreme lovers. Some prokaryotes cannot grow in a laboratory setting, but they are not dead. They are in
the viable-but-non culturable (VBNC) state. The VBNC state occurs when prokaryotes enter a dormant state in response
to environmental stressors. Most prokaryotes are social and prefer to live in communities where interactions take place. A
biofilm is a microbial community held together in a gummy-textured matrix.
membrane, the composition of which can vary among groups, and many have additional structures such as flagella and pili.
Prokaryotes also have ribosomes, where protein synthesis occurs. For the purpose of AP®, you do not have to memorize the
various groups of bacteria. You should, however, be able to distinguish between prokaryotes and eukaryotes and know the
domains.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 2 and Big Idea 3
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A Learning Objective merges required content with one or more of the seven Science Practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction and dynamic homeostasis require that cell create and maintain
Understanding
internal environments that are different form their external environment.
2.B
Essential
2.B.3 Archaea and Bacteria generally lack internal membranes and organelles.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
Learning 2.14 The student is able to use representations and models to describe differences in
Objective prokaryotic and eukaryotic cells.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding The processing of genetic information is imperfect and is a source of genetic variation.
3.C
Essential
3.C.2 Prokaryotes contain circular chromosomes and plasmid DNA.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.27 The student is able to compare and contrast processes by which genetic variation is
Objective produced and maintained in organisms from multiple domains.
Essential
3.C.2 Prokaryotes contain circular chromosomes and plasmid DNA.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 3.28 The student is able to construct an explanation of the multiple processes that increase
Objective variation within a population.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.5]
• [APLO 2.13]
• [APLO 2.14]
• [APLO 4.9]
There are many differences between prokaryotic and eukaryotic cells. However, all cells have four common structures: the
plasma membrane, which functions as a barrier for the cell and separates the cell from its environment; the cytoplasm, a
jelly-like substance inside the cell; nucleic acids, the genetic material of the cell; and ribosomes, where protein synthesis
Chapter 22 | Prokaryotes: Bacteria and Archaea 987
takes place. Prokaryotes come in various shapes, but many fall into three categories: cocci (spherical), bacilli (rod-shaped),
and spirilli (spiral-shaped) (Figure 22.9).
Figure 22.9 Prokaryotes fall into three basic categories based on their shape, visualized here using scanning electron
microscopy: (a) cocci, or spherical—a pair is shown—(b) bacilli, or rod-shaped; and (c) spirilli, or spiral-shaped. (credit
a: modification of work by Janice Haney Carr, Dr. Richard Facklam, CDC; credit c: modification of work by Dr. David
Cox; scale-bar data from Matt Russell)
Recall that prokaryotes are divided into two different domains, Bacteria and Archaea, which together with Eukarya,
comprise the three domains of life (Figure 22.11).
988 Chapter 22 | Prokaryotes: Bacteria and Archaea
Figure 22.11 Bacteria and Archaea are both prokaryotes but differ enough to be placed in separate domains. An
ancestor of modern Archaea is believed to have given rise to Eukarya, the third domain of life. Archaeal and bacterial
phyla are shown; the evolutionary relationship between these phyla is still open to debate.
The composition of the cell wall differs significantly between the domains Bacteria and Archaea. The composition of their
cell walls also differs from the eukaryotic cell walls found in plants—cellulose—or fungi and insects—chitin. The cell
wall functions as a protective layer, and it is responsible for the organism’s shape. Some bacteria have an outer capsule
outside the cell wall. Other structures are present in some prokaryotic species, but not in others (Table 22.2). For example,
the capsule found in some species enables the organism to attach to surfaces, protects it from dehydration and attack by
phagocytic cells, and makes pathogens more resistant to our immune responses. Some species also have flagella (singular,
flagellum) used for locomotion, and pili (singular, pilus) used for attachment to surfaces. Plasmids, which consist of extra-
chromosomal DNA, are also present in many species of bacteria and archaea.
Characteristics of phyla of Bacteria are described in Figure 22.12 and Figure 22.13; Archaea are described in Figure 22.14.
Chapter 22 | Prokaryotes: Bacteria and Archaea 989
Figure 22.12 Phylum Proteobacteria is one of up to 52 bacteria phyla. Proteobacteria is further subdivided into five
classes, Alpha through Epsilon. (credit Rickettsia rickettsia: modification of work by CDC; credit Spirillum minus:
modification of work by Wolframm Adlassnig; credit Vibrio cholera: modification of work by Janice Haney Carr, CDC;
credit Desulfovibrio vulgaris: modification of work by Graham Bradley; credit Campylobacter: modification of work by
De Wood, Pooley, USDA, ARS, EMU; scale-bar data from Matt Russell)
990 Chapter 22 | Prokaryotes: Bacteria and Archaea
Figure 22.13 Chlamydia, Spirochetes, Cyanobacteria, and Gram-positive bacteria are described in this table. Note
that bacterial shape is not phylum-dependent; bacteria within a phylum may be cocci, rod-shaped, or spiral. (credit
Chlamydia trachomatis: modification of work by Dr. Lance Liotta Laboratory, NCI; credit Treponema pallidum:
modification of work by Dr. David Cox, CDC; credit Phormidium: modification of work by USGS; credit Clostridium
difficile: modification of work by Lois S. Wiggs, CDC; scale-bar data from Matt Russell)
Chapter 22 | Prokaryotes: Bacteria and Archaea 991
Figure 22.14 Archaea are separated into four phyla: the Korarchaeota, Euryarchaeota, Crenarchaeota, and
Nanoarchaeota. (credit Halobacterium: modification of work by NASA; credit Nanoarchaeotum equitans: modification
of work by Karl O. Stetter; credit korarchaeota: modification of work by Office of Science of the U.S. Dept. of Energy;
scale-bar data from Matt Russell)
Figure 22.15 Archaeal phospholipids differ from those found in Bacteria and Eukarya in two ways. First, they have
branched phytanyl sidechains instead of linear ones. Second, an ether bond instead of an ester bond connects the
lipid to the glycerol.
Figure 22.16 Bacteria are divided into two major groups: Gram positive and Gram negative. Both groups have
a cell wall composed of peptidoglycan: In Gram-positive bacteria, the wall is thick, whereas in Gram-negative
bacteria, the wall is thin. In Gram-negative bacteria, the cell wall is surrounded by an outer membrane that
contains lipopolysaccharides and lipoproteins. Porins are proteins in this cell membrane that allow substances to
pass through the outer membrane of Gram-negative bacteria. In Gram-positive bacteria, lipoteichoic acid anchors
the cell wall to the cell membrane. (credit: modification of work by Franciscosp2/Wikimedia Commons)
Archaean cell walls do not have peptidoglycan. There are four different types of Archaean cell walls. One type is
composed of pseudopeptidoglycan, which is similar to peptidoglycan in morphology but contains different sugars in the
polysaccharide chain. The other three types of cell walls are composed of polysaccharides, glycoproteins, or pure protein.
Table 22.2
Reproduction
Reproduction in prokaryotes is asexual and usually takes place by binary fission. Recall that the DNA of a prokaryote exists
as a single, circular chromosome. Prokaryotes do not undergo mitosis. Rather the chromosome is replicated and the two
resulting copies separate from one another, due to the growth of the cell. The prokaryote, now enlarged, is pinched inward at
its equator and the two resulting cells, which are clones, separate. Binary fission does not provide an opportunity for genetic
recombination or genetic diversity, but prokaryotes can share genes by three other mechanisms.
994 Chapter 22 | Prokaryotes: Bacteria and Archaea
In transformation, the prokaryote takes in DNA found in its environment that is shed by other prokaryotes. If a
nonpathogenic bacterium takes up DNA for a toxin gene from a pathogen and incorporates the new DNA into its own
chromosome, it too may become pathogenic. In transduction, bacteriophages, the viruses that infect bacteria, sometimes
also move short pieces of chromosomal DNA from one bacterium to another. Transduction results in a recombinant
organism. Archaea are not affected by bacteriophages but instead have their own viruses that translocate genetic material
from one individual to another. In conjugation, DNA is transferred from one prokaryote to another by means of a pilus,
which brings the organisms into contact with one another. The DNA transferred can be in the form of a plasmid or as a
hybrid, containing both plasmid and chromosomal DNA. These three processes of DNA exchange are shown in Figure
22.17.
Reproduction can be very rapid: a few minutes for some species. This short generation time coupled with mechanisms of
genetic recombination and high rates of mutation result in the rapid evolution of prokaryotes, allowing them to respond to
environmental changes, such as the introduction of an antibiotic, very quickly.
Figure 22.17 Besides binary fission, there are three other mechanisms by which prokaryotes can exchange DNA. In
(a) transformation, the cell takes up prokaryotic DNA directly from the environment. The DNA may remain separate as
plasmid DNA or be incorporated into the host genome. In (b) transduction, a bacteriophage injects DNA into the cell
that contains a small fragment of DNA from a different prokaryote. In (c) conjugation, DNA is transferred from one cell
to another via a mating bridge that connects the two cells after the sex pilus draws the two bacteria close enough to
form the bridge.
Think About It
What features and metabolic processes do all cells, both prokaryotes and eukaryotes, have in common? How do
prokaryotes and eukaryotes differ?
Section Summary
Prokaryotes, domains Archaea and Bacteria, are single-celled organisms lacking a nucleus. They have a single piece of
circular DNA in the nucleoid area of the cell. Most prokaryotes have a cell wall that lies outside the boundary of the plasma
membrane. Some prokaryotes may have additional structures such as a capsule, flagella, and pili. Bacteria and Archaea
differ in the lipid composition of their cell membranes and the characteristics of the cell wall. In archaeal membranes,
phytanyl units, rather than fatty acids, are linked to glycerol. Some archaeal membranes are lipid monolayers instead of
bilayers.
The cell wall is located outside the cell membrane and prevents osmotic lysis. The chemical composition of cell walls varies
between species. Bacterial cell walls contain peptidoglycan. Archaean cell walls do not have peptidoglycan, but they may
have pseudopeptidoglycan, polysaccharides, glycoproteins, or protein-based cell walls. Bacteria can be divided into two
major groups—Gram positive and Gram negative—based on the Gram stain reaction. Gram-positive organisms have a thick
cell wall, together with teichoic acids. Gram-negative organisms have a thin cell wall and an outer envelope containing
lipopolysaccharides and lipoproteins.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
996 Chapter 22 | Prokaryotes: Bacteria and Archaea
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
2.A.2 Prokaryotes have evolved multiple energy-capturing strategies, and photosynthesis
Essential
first evolved in prokaryotes and was responsible for the production of an oxygenated
Knowledge
atmosphere.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science
3.1 The student can pose scientific questions.
Practice
Learning 2.4 The student is able to use representations to pose scientific questions about what
Objective mechanisms and structural features allow organisms to capture, store, and use free energy.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
2.A.2 Prokaryotes have evolved multiple energy-capturing strategies, and photosynthesis
Essential
first evolved in prokaryotes and was responsible for the production of an oxygenated
Knowledge
atmosphere.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store, or use free energy.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 4.7]
• [APLO 4.10]
• [APLO 4.23]
• [APLO 2.28]
Needs of Prokaryotes
The diverse environments and ecosystems on Earth have a wide range of conditions in terms of temperature, available
nutrients, acidity, salinity, and energy sources. Prokaryotes are very well equipped to make their living out of a vast array of
nutrients and conditions. To live, prokaryotes need a source of energy, a source of carbon, and some additional nutrients.
Macronutrients
Cells are essentially a well-organized assemblage of macromolecules and water. Recall that macromolecules are produced
by the polymerization of smaller units called monomers. For cells to build all of the molecules required to sustain life, they
need certain substances, collectively called nutrients. When prokaryotes grow in nature, they obtain their nutrients from
the environment. Nutrients that are required in large amounts are called macronutrients, whereas those required in smaller
or trace amounts are called micronutrients. Just a handful of elements are considered macronutrients—carbon, hydrogen,
oxygen, nitrogen, phosphorus, and sulfur. A mnemonic for remembering these elements is the acronym CHONPS.
Why are these macronutrients needed in large amounts? They are the components of organic compounds in cells, including
water. Carbon is the major element in all macromolecules: carbohydrates, proteins, nucleic acids, lipids, and many other
compounds. Carbon accounts for about 50 percent of the composition of the cell. Nitrogen represents 12 percent of the total
dry weight of a typical cell and is a component of proteins, nucleic acids, and other cell constituents. Most of the nitrogen
available in nature is either atmospheric nitrogen (N2) or another inorganic form. Diatomic (N2) nitrogen, however, can
be converted into an organic form only by certain organisms, called nitrogen-fixing organisms. Both hydrogen and oxygen
are part of many organic compounds and of water. Phosphorus is required by all organisms for the synthesis of nucleotides
and phospholipids. Sulfur is part of the structure of some amino acids such as cysteine and methionine, and is also present
Chapter 22 | Prokaryotes: Bacteria and Archaea 997
in several vitamins and coenzymes. Other important macronutrients are potassium (K), magnesium (Mg), calcium (Ca),
and sodium (Na). Although these elements are required in smaller amounts, they are very important for the structure and
function of the prokaryotic cell.
Micronutrients
In addition to these macronutrients, prokaryotes require various metallic elements in small amounts. These are referred
to as micronutrients or trace elements. For example, iron is necessary for the function of the cytochromes involved in
electron-transport reactions. Some prokaryotes require other elements—such as boron (B), chromium (Cr), and manganese
(Mn)—primarily as enzyme cofactors.
The Ways in Which Prokaryotes Obtain Energy
Prokaryotes can use different sources of energy to assemble macromolecules from smaller molecules. Phototrophs—or
phototrophic organisms—obtain their energy from sunlight. Chemotrophs—or chemosynthetic organisms—obtain their
energy from chemical compounds. Chemotrophs that can use organic compounds as energy sources are called
chemoorganotrophs. Those that can also use inorganic compounds as energy sources are called chemolithotrophs.
The Ways in Which Prokaryotes Obtain Carbon
Prokaryotes not only can use different sources of energy but also different sources of carbon compounds. Recall that
organisms that are able to fix inorganic carbon are called autotrophs. Autotrophic prokaryotes synthesize organic molecules
from carbon dioxide. In contrast, heterotrophic prokaryotes obtain carbon from organic compounds. To make the picture
more complex, the terms that describe how prokaryotes obtain energy and carbon can be combined. Thus, photoautotrophs
use energy from sunlight, and carbon from carbon dioxide and water, whereas chemoheterotrophs obtain energy and carbon
from an organic chemical source. Chemolitoautotrophs obtain their energy from inorganic compounds, and they build
their complex molecules from carbon dioxide. The table below (Table 22.3) summarizes carbon and energy sources in
prokaryotes.
Table 22.3
In aqueous environments and their anoxic sediments, there is another carbon cycle taking place. In this case, the cycle is
based on one-carbon compounds. In anoxic sediments, prokaryotes, mostly archaea, produce methane (CH4). This methane
moves into the zone above the sediment, which is richer in oxygen and supports bacteria called methane oxidizers that
oxidize methane to carbon dioxide, which then returns to the atmosphere.
Figure 22.18 Prokaryotes play a significant role in continuously moving carbon through the biosphere. (credit:
modification of work by John M. Evans and Howard Perlman, USGS)
Figure 22.19 Prokaryotes play a key role in the nitrogen cycle. (credit: Environmental Protection Agency)
c. Ammonification is the process by which ammonium ion (NH4+) is released from decomposing organic
compounds.
d. Nitrification is the process by which nitrites (NO2-) are converted to ammonium ion (NH4+).
Think About It
Prokaryotes inhabit many diverse environments. Think about the conditions—temperature, light, pressure, and organic
and inorganic materials—that you may find in a deep-sea hydrothermal vent. What types of prokaryotes, in terms of
their metabolic needs—autotrophs, phototrophs, chemotrophs, and so on—would expect to find there? What features
of these prokaryotes would make it possible for them to inhabit such an extreme environment?
Section Summary
Prokaryotes are the most metabolically diverse organisms; they flourish in many different environments with various
carbon energy and carbon sources, variable temperature, pH, pressure, and water availability. Nutrients required in large
amounts are called macronutrients, whereas those required in trace amounts are called micronutrients or trace elements.
Macronutrients include C, H, O, N, P, S, K, Mg, Ca, and Na. In addition to these macronutrients, prokaryotes require various
metallic elements for growth and enzyme function. Prokaryotes use different sources of energy to assemble macromolecules
from smaller molecules. Phototrophs obtain their energy from sunlight, whereas chemotrophs obtain energy from chemical
compounds.
1000 Chapter 22 | Prokaryotes: Bacteria and Archaea
Prokaryotes play roles in the carbon and nitrogen cycles. Carbon is returned to the atmosphere by the respiration of
animals and other chemoorganotrophic organisms. Consumers use organic compounds generated by producers and release
carbon dioxide into the atmosphere. The most important contributor of carbon dioxide to the atmosphere is microbial
decomposition of dead material. Nitrogen is recycled in nature from organic compounds to ammonia, ammonium ions,
nitrite, nitrate, and nitrogen gas. Gaseous nitrogen is transformed into ammonia through nitrogen fixation. Ammonia
is anaerobically catabolized by some prokaryotes, yielding N2 as the final product. Nitrification is the conversion of
ammonium into nitrite. Nitrification in soils is carried out by bacteria. Denitrification is also performed by bacteria and
transforms nitrate from soils into gaseous nitrogen compounds, such as N2O, NO, and N2.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Life continues to evolve within a changing environment.
1.C
Essential 1.C.3 Scientific evidence supports the idea that evolution in all organisms, including
Knowledge prokaryotes, continues to occur.
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning
1.25 The student is able to describe a model that represents evolution within a population.
Objective
Essential 1.C.3 Scientific evidence supports the idea that evolution in all organisms, including
Knowledge prokaryotes, continues to occur.
5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Science Practice
scientific question.
Learning 1.26 The student is able to evaluate given data sets that illustrate evolution as an ongoing
Objective process.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1001
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to
Understanding
maintain dynamic homeostasis.
2.C
Essential
3.C.1 Genetic changes that affect phenotypes are subject to selection.
Knowledge
6.4 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models.
7.2 The student can connect concepts in and across domain(s) to generalize or
Science Practice
extrapolate in and/or across enduring understandings and/or big ideas.
Learning 3.24 The student is able to predict how a change in genotype, when expressed as a
Objective phenotype, provides a variation that is subject to natural selection.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 3.3]
• [APLO 3.27]
• [APLO 2.8]
• [APLO 2.9]
• [APLO 2.24]
• [APLO 4.14]
• [APLO 4.21]
Devastating pathogen-borne diseases and plagues, both viral and bacterial in nature, have affected humans since the
beginning of human history. The true cause of these diseases was not understood at the time, and some people thought
that diseases were a spiritual punishment. Over time, people came to realize that staying apart from afflicted persons, and
disposing of the corpses and personal belongings of victims of illness, reduced their own chances of getting sick.
Epidemiologists study how diseases affect a population. An epidemic is a disease that occurs in an unusually high number
of individuals in a population at the same time. A pandemic is a widespread, usually worldwide, epidemic. An endemic
disease is a disease that is constantly present, usually at low incidence, in a population.
Figure 22.20 Salmonella enterica serovar Typhi, the causative agent of Typhoid fever, is a Gram-negative, rod-
shaped gamma protobacterium. Typhoid fever, which is spread through feces, causes intestinal hemorrhage, high
fever, delirium, and dehydration. Today, between 16 and 33 million cases of this re-emerging disease occur annually,
resulting in over 200,000 deaths. Carriers of the disease can be asymptomatic. In a famous case in the early 1900s,
a cook named Mary Mallon unknowingly spread the disease to over 50 people, three of whom died. Other Salmonella
serotypes cause food poisoning. (credit: modification of work by NCI, CDC)
Bubonic Plagues
From 541 to 750, an outbreak of what was likely a bubonic plague—the Plague of Justinian—eliminated one-quarter to
one-half of the human population in the eastern Mediterranean region. The population in Europe dropped by 50 percent
during this outbreak. Bubonic plague would strike Europe more than once.
One of the most devastating pandemics was the Black Death (1346 to 1361) that is believed to have been another outbreak
of bubonic plague caused by the bacterium Yersinia pestis. It is thought to have originated initially in China and spread
along the Silk Road, a network of land and sea trade routes, to the Mediterranean region and Europe, carried by rat fleas
living on black rats that were always present on ships. The Black Death reduced the world’s population from an estimated
450 million to about 350 to 375 million. Bubonic plague struck London hard again in the mid-1600s (Figure 22.21). In
modern times, approximately 1,000 to 3,000 cases of plague arise globally each year. Although contracting bubonic plague
before antibiotics meant almost certain death, the bacterium responds to several types of modern antibiotics, and mortality
rates from plague are now very low.
Figure 22.21 The (a) Great Plague of London killed an estimated 200,000 people, or about 20 percent of the city’s
population. The causative agent, the (b) bacterium Yersinia pestis, is a Gram-negative, rod-shaped bacterium from
the class Gamma Proteobacteria. The disease is transmitted through the bite of an infected flea, which is infected
by a rodent. Symptoms include swollen lymph nodes, fever, seizure, vomiting of blood, and (c) gangrene. (credit b:
Rocky Mountain Laboratories, NIAID, NIH; scale-bar data from Matt Russell; credit c: Textbook of Military Medicine,
Washington, D.C., U.S. Dept. of the Army, Office of the Surgeon General, Borden Institute)
Chapter 22 | Prokaryotes: Bacteria and Archaea 1003
How were researchers able to use modern science to determine the agent of disease for the bubonic plague of the
fourteenth century?
a. The amino acid sequence of proteins, extracted from the samples taken from skeletons buried in a cemetery
from the fourteenth century, was constructed and compared to that of modern strain of the bacterium Y.
enterocolitica and found a close match.
b. The genomic sequence of the DNA, extracted from the samples taken from skeletons buried in a cemetery
from the fourteenth century, was constructed and compared to that of modern strain of the bacterium Y.
enterocolitica and found a close match.
c. The gene sequence of 16S rRNA, extracted from the samples taken from skeletons buried in a cemetery from
the fourteenth century, was constructed and compared to that of modern strain of the bacterium Y. pestis and
found a close match.
d. The genomic sequence of the DNA, extracted from the samples taken from skeletons buried in a cemetery
from the fourteenth century, was constructed and compared to that of modern strain of the bacterium Y. pestis
and found a close match.
Figure 22.22 The map shows regions where bacterial diseases are emerging or reemerging. (credit: modification of
work by NIH)
Some of the present emerging diseases are not actually new, but are diseases that were catastrophic in the past (Figure
22.23). They devastated populations and became dormant for a while, just to come back, sometimes more virulent than
before, as was the case with bubonic plague. Other diseases, like tuberculosis, were never eradicated but were under control
in some regions of the world until coming back, mostly in urban centers with high concentrations of immunocompromised
people. The WHO has identified certain diseases whose worldwide re-emergence should be monitored. Among these are
two viral diseases—dengue fever and yellow fever—and three bacterial diseases—diphtheria, cholera, and bubonic plague.
The war against infectious diseases has no foreseeable end.
Figure 22.23 Lyme disease often, but not always, results in (a) a characteristic bullseye rash. The disease is caused
by a (b) Gram-negative spirochete bacterium of the genus Borrelia. The bacteria (c) infect ticks, which in turns infect
mice. Deer are the preferred secondary host, but the ticks also may feed on humans. Untreated, the disease causes
chronic disorders in the nervous system, eyes, joints, and heart. The disease is named after Lyme, Connecticut, where
an outbreak occurred in 1995, and has subsequently spread. The disease is not new, however. Genetic evidence
suggests that Ötzi the Iceman, a 5,300-year-old mummy found in the Alps, was infected with Borrelia. (credit a: James
Gathany, CDC; credit b: CDC; scale-bar data from Matt Russell)
tend to be resistant to most of the methods used to control microbial growth, including antibiotics. Biofilms respond poorly
or only temporarily to antibiotics; it has been said that they can resist up to 1,000 times the antibiotic concentrations used
to kill the same bacteria when they are free-living or planktonic. An antibiotic dose that large would harm the patient;
therefore, scientists are working on new ways to get rid of biofilms.
In your own words, what is the problem with administering antibiotics to livestock when they are not in need of them?
a. Development of antibiotic-susceptible bacteria that can be transferred to humans, and their presence makes
treatment of disease with antibiotics—in animals or humans—much more difficult.
b. Development of antibiotic-resistant bacteria that cannot be transferred to humans, and their presence makes
treatment of disease with antibiotics—in animals or humans—much more difficult.
c. Development of antibiotic-resistant bacteria that can be transferred to humans, and their presence makes
treatment of disease with antibiotics—in animals or humans—much more difficult.
d. Development of antibiotic-susceptible bacteria that cannot be transferred to humans, and their presence
makes treatment of disease with antibiotics—in animals or humans—much more difficult.
Figure 22.24 This scanning electron micrograph shows methicillin-resistant Staphylococcus aureus bacteria,
commonly known as MRSA. S. aureus is not always pathogenic, but can cause diseases such as food poisoning and
skin and respiratory infections. (credit: modification of work by Janice Haney Carr; scale-bar data from Matt Russell)
In summary, the medical community is facing an antibiotic crisis. Some scientists believe that after years of being protected
from bacterial infections by antibiotics, we may be returning to a time in which a simple bacterial infection could again
devastate the human population. Researchers are developing new antibiotics, but it takes many years to of research and
clinical trials, plus financial investments in the millions of dollars, to generate an effective and approved drug.
Foodborne Diseases
Prokaryotes are everywhere: They readily colonize the surface of any type of material, and food is not an exception. Most of
the time, prokaryotes colonize food and food-processing equipment in the form of a biofilm. Outbreaks of bacterial infection
related to food consumption are common. A foodborne disease—colloquially called food poisoning—is an illness resulting
from the consumption the pathogenic bacteria, viruses, or other parasites that contaminate food. Although the United States
has one of the safest food supplies in the world, the U.S. Centers for Disease Control and Prevention (CDC) has reported
that “76 million people get sick, more than 300,000 are hospitalized, and 5,000 Americans die each year from foodborne
illness.”
The characteristics of foodborne illnesses have changed over time. In the past, it was relatively common to hear about
sporadic cases of botulism, the potentially fatal disease produced by a toxin from the anaerobic bacterium Clostridium
botulinum. Some of the most common sources for this bacterium were nonacidic canned foods, homemade pickles, and
processed meat and sausages. The can, jar, or package created a suitable anaerobic environment where Clostridium could
grow. Proper sterilization and canning procedures have reduced the incidence of this disease.
While people may tend to think of foodborne illnesses as associated with animal-based foods, most cases are now linked
to produce. There have been serious, produce-related outbreaks associated with raw spinach in the United States and with
vegetable sprouts in Germany, and these types of outbreaks have become more common. The raw spinach outbreak in
2006 was produced by the bacterium E. coli serotype O157:H7. A serotype is a strain of bacteria that carries a set of
similar antigens on its cell surface, and there are often many different serotypes of a bacterial species. Most E. coli are not
particularly dangerous to humans, but serotype O157:H7 can cause bloody diarrhea and is potentially fatal.
All types of food can potentially be contaminated with bacteria. Recent outbreaks of Salmonella reported by the CDC
occurred in foods as diverse as peanut butter, alfalfa sprouts, and eggs. A deadly outbreak in Germany in 2011 was caused
by E. coli contamination of vegetable sprouts (Figure 22.25). The strain that caused the outbreak was found to be a new
serotype not previously involved in other outbreaks, which indicates that E. coli is continuously evolving.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1007
Figure 22.25 (a) Vegetable sprouts grown at an organic farm were the cause of an (b) E. coli outbreak that killed
32 people and sickened 3,800 in Germany in 2011. The strain responsible, E. coli O104:H4, produces Shiga toxin,
a substance that inhibits protein synthesis in the host cell. The toxin (c) destroys red blood cells resulting in bloody
diarrhea. Deformed red blood cells clog the capillaries of the kidney, which can lead to kidney failure, as happened to
845 patients in the 2011 outbreak. Kidney failure is usually reversible, but some patients experience kidney problems
years later. (credit c: NIDDK, NIH)
Epidemiologist
Epidemiology is the study of the occurrence, distribution, and determinants of health and disease in a
population. It is, therefore, part of public health. An epidemiologist studies the frequency and distribution of
diseases within human populations and environments.
Epidemiologists collect data about a particular disease and track its spread to identify the original mode
of transmission. They sometimes work in close collaboration with historians to try to understand the way
a disease evolved geographically and over time, tracking the natural history of pathogens. They gather
information from clinical records, patient interviews, surveillance, and any other available means. That
information is used to develop strategies, such as vaccinations (Figure 22.26), and design public health
policies to reduce the incidence of a disease or to prevent its spread. Epidemiologists also conduct rapid
investigations in case of an outbreak to recommend immediate measures to control it.
An epidemiologist has a bachelor’s degree, plus a master’s degree in public health (MPH). Many
epidemiologists are also physicians—and have an M.D.—or they have a Ph.D. in an associated field, such
as biology or microbiology.
Figure 22.26 Vaccinations can slow the spread of communicable diseases. (credit: modification of work by Daniel
Paquet)
1008 Chapter 22 | Prokaryotes: Bacteria and Archaea
Think About It
How can a strain of bacteria that was previously sensitive to an antibiotic become resistant to the same antibiotic? Why
has this become a major global problem?
Section Summary
Devastating diseases and plagues have been among us since early times. There are records about microbial diseases as far
back as 3000 B.C. Infectious diseases remain among the leading causes of death worldwide. Emerging diseases are those
rapidly increasing in incidence or geographic range. They can be new or re-emerging diseases that were previously under
control. Many emerging diseases affecting humans, such as brucellosis, are zoonoses. The WHO has identified a group
of diseases whose re-emergence should be monitored: Those caused by bacteria include bubonic plague, diphtheria, and
cholera.
Biofilms are considered responsible for diseases such as bacterial infections in patients with cystic fibrosis, Legionnaires’
disease, and otitis media. They produce dental plaque; colonize catheters, prostheses, transcutaneous, and orthopedic
devices; and infect contact lenses, open wounds, and burned tissue. Biofilms also produce foodborne diseases because they
colonize the surfaces of food and food-processing equipment. Biofilms are resistant to most of the methods used to control
microbial growth. The excessive use of antibiotics has resulted in a major global problem, since resistant forms of bacteria
have been selected over time. A very dangerous strain, methicillin-resistant Staphylococcus aureus (MRSA), has wreaked
havoc recently. Foodborne diseases result from the consumption of contaminated food, pathogenic bacteria, viruses, or
parasites that contaminate food.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1009
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Essential 4.B.2 Interactions among prokaryotes and between prokaryotes and other organisms lead to
Knowledge increased efficiency and utilization of energy and matter.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 4.18 The student is able to use representations and models to analyze how cooperative
Objective interactions within organisms promote efficiency in the use of energy and matter.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.6]
• [APLO 2.28]
• [APLO 2.42]
• [APLO 4.9]
• [APLO 4.1]
Not all prokaryotes are pathogenic. On the contrary, pathogens represent only a very small percentage of the diversity of
the microbial world. In fact, our life would not be possible without prokaryotes. Just think about the role of prokaryotes in
biogeochemical cycles.
where Pi stands for inorganic phosphate. The total fixed nitrogen through BNF is about 100 to 180 million metric tons per
year. Biological processes contribute 65 percent of the nitrogen used in agriculture.
Cyanobacteria are the most important nitrogen fixers in aquatic environments. In soil, members of the genus Clostridium
are examples of free-living, nitrogen-fixing bacteria. Other bacteria live symbiotically with legume plants, providing the
most important source of BNF. Symbionts may fix more nitrogen in soils than free-living organisms by a factor of 10. Soil
bacteria, collectively called rhizobia, are able to symbiotically interact with legumes to form nodules, specialized structures
where nitrogen fixation occurs (Figure 22.27). Nitrogenase, the enzyme that fixes nitrogen, is inactivated by oxygen, so
the nodule provides an oxygen-free area for nitrogen fixation to take place. This process provides a natural and inexpensive
plant fertilizer, as it reduces atmospheric nitrogen to ammonia, which is easily usable by plants. The use of legumes is an
excellent alternative to chemical fertilization and is of special interest to sustainable agriculture, which seeks to minimize
the use of chemicals and conserve natural resources. Through symbiotic nitrogen fixation, the plant benefits from using an
endless source of nitrogen: the atmosphere. Bacteria benefit from using photosynthates—carbohydrates produced during
photosynthesis—from the plant and having a protected niche. Additionally, the soil benefits from being naturally fertilized.
Therefore, the use of rhizobia as biofertilizers is a sustainable practice.
Why are legumes so important? Some, like soybeans, are key sources of agricultural protein. Some of the most important
grain legumes are soybean, peanuts, peas, chickpeas, and beans. Other legumes, such as alfalfa, are used to feed cattle.
1010 Chapter 22 | Prokaryotes: Bacteria and Archaea
Figure 22.27 Soybean (Glycine max) is a legume that interacts symbiotically with the soil bacterium Bradyrhizobium
japonicum to form specialized structures on the roots called nodules where nitrogen fixation occurs. (credit: USDA)
Figure 22.28 (a) Cleaning up oil after the Valdez spill in Alaska, workers hosed oil from beaches and then used a
floating boom to corral the oil, which was finally skimmed from the water surface. Some species of bacteria are able
to solubilize and degrade the oil. (b) One of the most catastrophic consequences of oil spills is the damage to fauna.
(credit a: modification of work by NOAA; credit b: modification of work by GOLUBENKOV, NGO: Saving Taman)
A particularly fascinating example of our normal flora relates to our digestive systems. People who take
high doses of antibiotics tend to lose many of their normal gut bacteria, allowing a naturally antibiotic-
resistant strain called Clostridium difficile to overgrow and cause severe gastric problems, especially chronic
diarrhea. Obviously, trying to treat this problem with antibiotics only makes it worse. However, it has been
successfully treated by giving the patients fecal transplants from healthy donors to reestablish the normal
intestinal microbial community. Scientists are also discovering that the absence of certain key microbes
from our intestinal tract may set us up for a variety of problems including obesity, insulin resistance, and
autoimmune disorders. Pictured here is a scanning electron micrograph of Clostridium, a Gram-positive,
rod-shaped bacterium that causes severe diarrhea. Infection commonly occurs after the normal gut fauna is
eradicated by antibiotics.
Figure 22.29 (credit: modification of work by CDC, HHS; scale-bar data from Matt Russell)
What treatment is possible for people who have too much C. difficile in their digestive system?
a. Taking antibiotics like metronidazole as a treatment.
b. They can have a fecal transplant from a healthy donor.
c. They can have urine transplant from a healthy donor.
d. Taking probiotic supplements to restore microbial intestinal community.
1012 Chapter 22 | Prokaryotes: Bacteria and Archaea
Think About It
One of your classmates claims that prokaryotes are always detrimental and pathogenic. How would you explain to him
that his claim is incorrect?
Section Summary
Pathogens are only a small percentage of all prokaryotes. In fact, our life would not be possible without prokaryotes.
Nitrogen is usually the most limiting element in terrestrial ecosystems; atmospheric nitrogen, the largest pool of available
nitrogen, is unavailable to eukaryotes. Nitrogen can be fixed, or converted into ammonia (NH3) either biologically or
abiotically. Biological nitrogen fixation (BNF) is exclusively carried out by prokaryotes. After photosynthesis, BNF is the
second most important biological process on Earth. The most important source of BNF is the symbiotic interaction between
soil bacteria and legume plants.
Microbial bioremediation is the use of microbial metabolism to remove pollutants. Bioremediation has been used to remove
agricultural chemicals that leach from soil into groundwater and the subsurface. Toxic metals and oxides, such as selenium
and arsenic compounds, can also be removed by bioremediation. Probably one of the most useful and interesting examples
of the use of prokaryotes for bioremediation purposes is the cleanup of oil spills.
Human life is only possible due to the action of microbes, both those in the environment and those species that call us home.
Internally, they help us digest our food, produce crucial nutrients for us, protect us from pathogenic microbes, and help train
our immune systems to function correctly.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1013
KEY TERMS
acidophile organism with optimal growth pH of three or below
ammonification process by which ammonia is released during the decomposition of nitrogen-containing organic
compounds
antibiotic biological substance that, in low concentration, is antagonistic to the growth of prokaryotes
biological nitrogen fixation conversion of atmospheric nitrogen into ammonia exclusively carried out by prokaryotes
biotechnology any technological application that uses living organisms, biological systems, or their derivatives to
produce or modify other products
Black Death devastating pandemic that is believed to have been an outbreak of bubonic plague caused by the bacterium
Yersinia pestis
botulism disease produce by the toxin of the anaerobic bacterium Clostridium botulinum
capsule external structure that enables a prokaryote to attach to surfaces and protects it from dehydration
conjugation process by which prokaryotes move DNA from one individual to another using a pilus
cyanobacteria bacteria that evolved from early phototrophs and oxygenated the atmosphere; also known as blue-green
algae
denitrification transformation of nitrate from soil to gaseous nitrogen compounds such as N2O, NO, and N2
emerging disease disease making an initial appearance in a population or that is increasing in incidence or geographic
range
endemic disease disease that is constantly present, usually at low incidence, in a population
epidemic disease that occurs in an unusually high number of individuals in a population at the same time
foodborne disease any illness resulting from the consumption of contaminated food, or of the pathogenic bacteria,
viruses, or other parasites that contaminate food
Gram negative bacterium whose cell wall contains little peptidoglycan but has an outer membrane
Gram positive bacterium that contains mainly peptidoglycan in its cell walls
hydrothermal vent fissure in Earth’s surface that releases geothermally heated water
1014 Chapter 22 | Prokaryotes: Bacteria and Archaea
microbial mat multi-layered sheet of prokaryotes that may include bacteria and archaea
MRSA methicillin-resistant Staphylococcus aureus; very dangerous Staphylococcus aureus strain resistant to multiple
antibiotics
nitrogen fixation process by which gaseous nitrogen is transformed, or fixed into more readily available forms such as
ammonia
nodule novel structure on the roots of certain plants—legumes—that results from the symbiotic interaction between the
plant and soil bacteria, is the site of nitrogen fixation
phototroph organism that is able to make its own food by converting solar energy to chemical energy
pilus surface appendage of some prokaryotes used for attachment to surfaces including other prokaryotes
pseudopeptidoglycan component of archaea cell walls that is similar to peptidoglycan in morphology but contains
different sugars
resuscitation process by which prokaryotes that are in the VBNC state return to viability
S-layer surface-layer protein present on the outside of cell walls of archaea and bacteria
serotype strain of bacteria that carries a set of similar antigens on its cell surface, often many in a bacterial species
stromatolite layered sedimentary structure formed by precipitation of minerals by prokaryotes in microbial mats
teichoic acid polymer associated with the cell wall of Gram-positive bacteria
transduction process by which a bacteriophage moves DNA from one prokaryote to another
transformation process by which a prokaryote takes in DNA found in its environment that is shed by other prokaryotes
viable-but-non culturable (VBNC) state survival mechanism of bacteria facing environmental stress conditions
CHAPTER SUMMARY
22.1 Prokaryotic Diversity
Prokaryotes existed for billions of years before plants and animals appeared. Hot springs and hydrothermal vents may
have been the environments in which life began. Microbial mats are thought to represent the earliest forms of life on Earth,
and there is fossil evidence of their presence about 3.5 billion years ago. A microbial mat is a multi-layered sheet of
prokaryotes that grows at interfaces between different types of material, mostly on moist surfaces. During the first 2 billion
years, the atmosphere was anoxic and only anaerobic organisms were able to live. Cyanobacteria evolved from early
Chapter 22 | Prokaryotes: Bacteria and Archaea 1015
phototrophs and began the oxygenation of the atmosphere. The increase in oxygen concentration allowed the evolution of
other life forms. Fossilized microbial mats are called stromatolites and consist of laminated organo-sedimentary structures
formed by precipitation of minerals by prokaryotes. They represent the earliest fossil record of life on Earth.
Bacteria and archaea grow in virtually every environment. Those that survive under extreme conditions are called
extremophiles—extreme lovers. Some prokaryotes cannot grow in a laboratory setting, but they are not dead. They are in
the viable-but-non culturable (VBNC) state. The VBNC state occurs when prokaryotes enter a dormant state in response to
environmental stressors. Most prokaryotes are social and prefer to live in communities where interactions take place. A
biofilm is a microbial community held together in a gummy-textured matrix.
Prokaryotes, domains Archaea and Bacteria, are single-celled organisms lacking a nucleus. They have a single piece of
circular DNA in the nucleoid area of the cell. Most prokaryotes have a cell wall that lies outside the boundary of the
plasma membrane. Some prokaryotes may have additional structures such as a capsule, flagella, and pili. Bacteria and
Archaea differ in the lipid composition of their cell membranes and the characteristics of the cell wall. In archaeal
membranes, phytanyl units, rather than fatty acids, are linked to glycerol. Some archaeal membranes are lipid monolayers
instead of bilayers.
The cell wall is located outside the cell membrane and prevents osmotic lysis. The chemical composition of cell walls
varies between species. Bacterial cell walls contain peptidoglycan. Archaean cell walls do not have peptidoglycan, but
they may have pseudopeptidoglycan, polysaccharides, glycoproteins, or protein-based cell walls. Bacteria can be divided
into two major groups—Gram positive and Gram negative—based on the Gram stain reaction. Gram-positive organisms
have a thick cell wall, together with teichoic acids. Gram-negative organisms have a thin cell wall and an outer envelope
containing lipopolysaccharides and lipoproteins.
Prokaryotes are the most metabolically diverse organisms; they flourish in many different environments with various
carbon energy and carbon sources, variable temperature, pH, pressure, and water availability. Nutrients required in large
amounts are called macronutrients, whereas those required in trace amounts are called micronutrients or trace elements.
Macronutrients include C, H, O, N, P, S, K, Mg, Ca, and Na. In addition to these macronutrients, prokaryotes require
various metallic elements for growth and enzyme function. Prokaryotes use different sources of energy to assemble
macromolecules from smaller molecules. Phototrophs obtain their energy from sunlight, whereas chemotrophs obtain
energy from chemical compounds.
Prokaryotes play roles in the carbon and nitrogen cycles. Carbon is returned to the atmosphere by the respiration of
animals and other chemoorganotrophic organisms. Consumers use organic compounds generated by producers and release
carbon dioxide into the atmosphere. The most important contributor of carbon dioxide to the atmosphere is microbial
decomposition of dead material. Nitrogen is recycled in nature from organic compounds to ammonia, ammonium ions,
nitrite, nitrate, and nitrogen gas. Gaseous nitrogen is transformed into ammonia through nitrogen fixation. Ammonia is
anaerobically catabolized by some prokaryotes, yielding N2 as the final product. Nitrification is the conversion of
ammonium into nitrite. Nitrification in soils is carried out by bacteria. Denitrification is also performed by bacteria and
transforms nitrate from soils into gaseous nitrogen compounds, such as N2O, NO, and N2.
Devastating diseases and plagues have been among us since early times. There are records about microbial diseases as far
back as 3000 B.C. Infectious diseases remain among the leading causes of death worldwide. Emerging diseases are those
rapidly increasing in incidence or geographic range. They can be new or re-emerging diseases that were previously under
control. Many emerging diseases affecting humans, such as brucellosis, are zoonoses. The WHO has identified a group of
diseases whose re-emergence should be monitored: Those caused by bacteria include bubonic plague, diphtheria, and
cholera.
Biofilms are considered responsible for diseases such as bacterial infections in patients with cystic fibrosis, Legionnaires’
disease, and otitis media. They produce dental plaque; colonize catheters, prostheses, transcutaneous, and orthopedic
devices; and infect contact lenses, open wounds, and burned tissue. Biofilms also produce foodborne diseases because they
colonize the surfaces of food and food-processing equipment. Biofilms are resistant to most of the methods used to control
microbial growth. The excessive use of antibiotics has resulted in a major global problem, since resistant forms of bacteria
have been selected over time. A very dangerous strain, methicillin-resistant Staphylococcus aureus (MRSA), has wreaked
havoc recently. Foodborne diseases result from the consumption of contaminated food, pathogenic bacteria, viruses, or
parasites that contaminate food.
1016 Chapter 22 | Prokaryotes: Bacteria and Archaea
Pathogens are only a small percentage of all prokaryotes. In fact, our life would not be possible without prokaryotes.
Nitrogen is usually the most limiting element in terrestrial ecosystems; atmospheric nitrogen, the largest pool of available
nitrogen, is unavailable to eukaryotes. Nitrogen can be fixed, or converted into ammonia (NH3) either biologically or
abiotically. Biological nitrogen fixation (BNF) is exclusively carried out by prokaryotes. After photosynthesis, BNF is the
second most important biological process on Earth. The most important source of BNF is the symbiotic interaction
between soil bacteria and legume plants.
Microbial bioremediation is the use of microbial metabolism to remove pollutants. Bioremediation has been used to
remove agricultural chemicals that leach from soil into groundwater and the subsurface. Toxic metals and oxides, such as
selenium and arsenic compounds, can also be removed by bioremediation. Probably one of the most useful and interesting
examples of the use of prokaryotes for bioremediation purposes is the cleanup of oil spills.
Human life is only possible due to the action of microbes, both those in the environment and those species that call us
home. Internally, they help us digest our food, produce crucial nutrients for us, protect us from pathogenic microbes, and
help train our immune systems to function correctly.
REVIEW QUESTIONS
1. Which is the best evidence that prokaryotes evolved about 3 billion years ago?
a. Scientists believe photosynthesis evolved about 3.0 billion years ago.
b. There is fossil evidence of mammalian forms going back about 4.0 billion years.
c. Earth and its Moon are thought to be about 4.5 billion years old.
d. There is fossil evidence of microbial mats—large multi-layered sheets of prokaryotes—starting about 3.5 billion
years ago.
2. Which statement describing the environment of early Earth is false?
a. The atmosphere contained much less molecular oxygen.
b. Strong volcanic activity was common.
c. It was subject to mutagenic radiation from the Sun.
d. There was little to no geologic activity.
3. Which type of extremophile grows optimally at temperatures of –15 to 10 ºC or lower?
a. alkaliphiles
b. thermophiles
c. hyperthermophiles
d. psychrophiles
4. Which is an example of a relatively moderate environmental condition to which some prokaryotes are adapted and can
survive as spores?
a. extremely low temperature
b. hypersalinity
c. high doses of radiation
d. normal drought
5. Over ________ percent of bacteria and archaea cannot be successfully cultured in a laboratory setting.
a. 9
b. 19
c. 91
d. 99
6. The most substantial difficulty in culturing prokaryotes in laboratory settings is related to ________.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1017
a. eukaryotic cells
b. bacterial prokaryotic cells
c. archaean prokaryotic cells
d. bacterial and archaean prokaryotic cells
14. The cell wall, a feature of most prokaryotes, is ________.
a. interior to the cell membrane
b. exterior to the cell membrane
c. a part of the cell membrane
d. interior or exterior, depending on the particular cell
15. Which statement summarizes what is known about macronutrient needs of prokaryotes?
a. Boron is required in small amounts by some prokaryotic organisms.
b. Manganese is required in small amounts by some prokaryotic organisms.
c. Iron is required in small amounts by some prokaryotic organisms.
d. Sulfur is needed in large amounts by prokaryotic organisms. It is part of the structure of some amino acids and is
also present in some vitamins and coenzymes.
16. Which statement about the importance of particular nutrients is false?
a. Carbon is a macronutrient and major element in all macromolecules.
b. Nitrogen is a macronutrient and necessary component of proteins and nucleic acids.
c. Hydrogen is a macronutrient and key component of many organic compounds, including water.
d. Iron is a macronutrient necessary for the function of cytochromes.
17. What are prokaryotes that obtain their energy from chemical compounds called?
a. phototrophs
b. autotrophs
c. chemotrophs
d. heterotrophs
18. What uses organic compounds as both an energy source and as a carbon source?
a. chemolithotrophs
b. photoautotrophs
c. photoheterotrophs
d. chemoorganotrophs
19. A primary role of many prokaryotes in the carbon cycle is that of ________.
a. producers
b. decomposers
c. fixers
d. synthesizers
20. Ammonification is the process by which ________.
a. ammonia is released during the decomposition of nitrogen-containing organic compounds
b. ammonium is converted in to nitrite and nitrate in soils
c. nitrate from soil is transformed to gaseous nitrogen compounds
d. gaseous nitrogen is fixed to yield ammonia
21. Which is a macronutrient needed by prokaryotes?
Chapter 22 | Prokaryotes: Bacteria and Archaea 1019
a. phosphorus
b. iron
c. chromium
d. boron
22. A disease that is constantly present in a population is called ________.
a. pandemic
b. endemic
c. emerging
d. re-emerging
23. Which set of terms names diseases caused by bacteria?
a. diphtheria, bubonic plague, yellow fever
b. yellow fever, dengue fever, bubonic plague
c. bubonic plague, diphtheria, cholera
d. cholera, diphtheria, dengue fever
24. Which of the following health issues is caused by biofilm colonization?
a. dental plaque
b. dry scalp
c. skin rash
d. prosthetic discomfort
25. Which of the statements about the loci of biofilm-related disease is false?
a. Biofilms are related to foodborne illnesses because they colonize food surfaces and food-processing equipment.
b. In healthcare environments, biofilms grow on ventilators, shunts, and other medical equipment.
c. Biofilms tend to colonize medical devices such as prostheses, contact lenses, and catheters.
d. Biofilms form in open wounds, burned tissue, or internal medical devices such as pacemakers.
26. Which best describes the crisis related to antibiotics?
a. It is becoming too expensive to manufacture effective antibiotics.
b. It takes too much time to develop effective antibiotics; infections spread before treatment is available.
c. Bacteria are increasingly resistant to antibiotics used to treat and eradicate infections.
d. People are increasingly allergic to antibiotics commonly used in treatment.
27. Which statement about the cause of resistant bacteria is false?
a. The excessive use of antibiotics has resulted in the natural selection of resistant forms of bacteria.
b. Antibiotics are used by patients with colds or the flu, the treatment for which antibiotics are useless.
c. There is excessive use of antibiotics in livestock and in animal feed.
d. Antibiotics are used by patients of different ages and the fact that their ages differ increases resistance.
28. Which statement about diseases is false?
a. An epidemic is a disease that occurs in a high number of individuals in a population at a time.
b. A pandemic is a widespread, usually worldwide, epidemic.
c. An endemic disease is a disease that is constantly present, usually at high incidence, in a population.
d. An emerging disease is a disease that has appeared in a population for the first time.
29. Which statement best explains which organisms need nitrogen fixation and why?
1020 Chapter 22 | Prokaryotes: Bacteria and Archaea
a. Prokaryotes cannot use gaseous nitrogen to synthesize macromolecules, so it must be converted into ammonia.
b. Prokaryotes cannot use ammonia to synthesize macromolecules, so it must be converted into gaseous nitrogen.
c. Eukaryotes cannot use ammonia to synthesize macromolecules, so it must be converted into gaseous nitrogen.
d. Eukaryotes cannot use gaseous nitrogen to synthesize macromolecules, so it must be converted into ammonia.
30. Which statement about nitrogen fixation is false?
a. It can be accomplished abiotically, as a result of lightning.
b. It can be accomplished abiotically, as a result of industrial processes.
c. It can be accomplished biologically, by algae.
d. It can be accomplished biologically, by cyanobacteria.
31. Which are three foods for which prokaryotes are used in their processing?
a. cheese, yogurt, and milk
b. cheese, yogurt, and bread
c. wine, bread, and butter
d. milk, wine, and beer
32. What was the initial benefit for humans in processing foods with prokaryotes?
a. The foods taste better.
b. Nutrients are preserved.
c. The food is less stable.
d. Nutrients were safer.
33. Which best defines bioremediation?
a. the use of microbial metabolism to clean up oil spills
b. the use of microbial metabolism to ferment food
c. the use of microbial metabolism to remove pollutants
d. the use of microbial metabolism to fix nitrogen
34. Which statement about bioremediation is false?
a. It includes removing agricultural chemicals.
b. It includes removing industrial by-products.
c. It includes cleaning up oil spills.
d. It includes cleaning up ammonia in soil.
35. Nitrogen is an essential element that is widely available in the atmosphere. Because eukaryotes cannot use nitrogen in
its gaseous form, they benefit from prokaryotes’ conversion of gaseous nitrogen to ________.
a. nitrates, a form of nitrogen they can use
b. phosphate, a different essential element they can use
c. ammonia, a form of nitrogen they can use
d. hydrogen, a different essential element they can use
a. Phototrophic organisms appeared during the first two billion years of Earth’s existence. Anaerobic organisms
appeared within one billion years of Earth’s formation. From these organisms evolved the cyanobacteria which
that produce oxygen as a by-product of photosynthesis, leading to the oxygenation of the atmosphere.
b. For the first two billion years of Earth’s existence, the atmosphere had no molecular oxygen. Thus, the first
organisms were anaerobic. Cyanobacteria appeared within one billion years of Earth’s formation. From these
evolved the phototrophic organisms that produce oxygen as a by-product of photosynthesis, leading to the
oxygenation of the atmosphere.
c. For the first two billion years of Earth’s existence, the atmosphere had no molecular oxygen. Thus, the first
organisms were anaerobic. Phototrophic organisms appeared within one billion years of Earth’s formation. From
these organisms evolved the cyanobacteria, which produce oxygen as a by-product of photosynthesis, leading to
the oxygenation of the atmosphere.
d. For the first two billion years of Earth’s existence, the atmosphere had no molecular oxygen. Thus, the first
organisms were anaerobic. Cyanobacteria that produce oxygen as a by-product of photosynthesis, leading to the
oxygenation of the atmosphere, appeared within one billion years of Earth’s formation. From these organisms
evolved phototrophic organisms.
37. Describe briefly how you would detect the presence of a non culturable prokaryote in an environmental sample.
a. Recombinant DNA techniques are used to detect the presence of a nonculturable prokaryote in an environmental
sample. Polymerase chain reaction is used to amplify selected portions of prokaryotic DNA.
b. Molecular biology techniques are used to detect the presence of a nonculturable prokaryote in an environmental
sample. Electrophoresis is used to amplify selected portions of prokaryotic DNA.
c. Molecular biology techniques are used to detect the presence of a nonculturable prokaryote in an environmental
sample. Polymerase chain reaction is used to amplify selected portions of prokaryotic DNA.
d. Recombinant DNA techniques are used to detect the presence of a nonculturable prokaryote in an environmental
sample. Electrophoresis is used to amplify selected portions of prokaryotic DNA.
38. Why do scientists believe that the first organisms on Earth were extremophiles?
a. Earth’s early environment was full of extreme places with much oxygen in the atmosphere, no ozone to shield
Earth’s surface from mutagenic radiation, much geologic upheaval, and volcanic activity. Extremophiles are
bacteria and archaea that are adapted to grow in extreme environments.
b. Earth’s early environment was full of extreme places with little oxygen in the atmosphere, no ozone to shield
Earth’s surface from mutagenic radiation, much geologic upheaval, and volcanic activity. Extremophiles are
bacteria and archaea that are adapted to grow in extreme environments.
c. Earth’s early environment was full of extreme places with little oxygen in the atmosphere, no ozone to shield
Earth’s surface from mutagenic radiation, less geologic upheaval, and volcanic activity. Extremophiles are
bacteria and archaea that are adapted to grow in extreme environments.
d. For the first two billion years of Earth’s existence, the atmosphere had no molecular oxygen.
39. Describe a typical prokaryotic cell.
a. It has a cell wall enclosing cell membrane, cytoplasm, ribosomes, and nucleoid region with genetic material. It
may have a protective capsule, flagellum, pili, and plasmids.
b. It has a cell wall enclosing cell membrane, cytoplasm, ribosomes, and nucleus containing genetic material. It
may have a protective capsule, flagellum, pili, and plasmids.
c. It has a cell wall enclosing nuclear membrane, cytoplasm, ribosomes, and nucleoid region with genetic material.
It may have a protective capsule, flagellum, pili, and plasmids.
d. It has a cell wall enclosing nuclear membrane, cytoplasm, mitochondria, vacuoles, and nucleoid region with
genetic material. It may have a protective capsule, flagellum, pili, and plasmids.
40. Explain the statement that both Archaea and Bacteria have the same basic structures, but these structures are built from
different chemical components.
1022 Chapter 22 | Prokaryotes: Bacteria and Archaea
a. Typical cells in Archaea and Bacteria contain a cell wall, cell membrane, nucleoid region, ribosomes, and often a
capsule, flagellum, and pili. However, these are sometimes made from different chemical compounds make
them. Cell walls of Bacteria contain peptidoglycan while Archaea do not. Plasma membrane lipids of Bacteria
are fatty acids while those of Archaea are phytanyl groups.
b. Typical cells in Archaea and Bacteria contain a cell wall, cell membrane, nucleoid region, and often a capsule,
flagellum, and pili, but in some instances, different chemical compounds make them. Cell walls of Bacteria
contain peptidoglycan while Archaea do not. Bacteria contain 70S ribosomes while Archaea contain 80S
ribosomes.
c. Typical cells in Archaea and Bacteria contain a cell wall, nuclear membranes, nucleoid region, and often a
capsule, flagellum, and pili, but in some instances, different chemical compounds make them. Cell walls of
Bacteria contain peptidoglycan while Archaea do not. Plasma membrane lipids of bacteria are fatty acids, while
the plasma membrane lipids of Archaea are phytanyl groups.
d. Typical cells in Archaea and Bacteria contain a cell wall, cell membrane, nucleoid region, and often a capsule,
flagellum, and pili, but in some instances, different chemical compounds make them. Cell walls of Bacteria
contain peptidoglycan while Archaea do not. Plasma membrane lipids of Bacteria are phytanyl groups, while the
plasma membrane lipids of Archaea are fatty acids.
41. Three basic prokaryotic categories are cocci, spirilli, and bacilli. Describe the basic structural features of each category.
a. These three prokaryote groups have similar basic structural features. They typically have cell walls enclosing
nuclear membranes, cytoplasm, ribosomes, mitochondria, and nucleoid region with genetic material. They may
have a protective capsule, flagellum, pili, and plasmids.
b. Cocci and spirilli have similar basic structural features. They typically have cell walls enclosing cell membranes,
a flagellum for locomotion, and pili for attachment. Bacilli are rod shaped which contain ribosomes and a
nucleoid region with genetic material.
c. These three prokaryote groups have similar basic structural features. They typically have cell walls enclosing
cell membranes, cytoplasm, ribosomes, and a nucleoid region with chromosomes. They may have a protective
capsule, flagellum, pili, and plasmids.
d. Bacilli and spirilli have similar basic structural features. They typically have cell walls enclosing nuclear
membranes, a flagellum for locomotion, and pili for attachment. Cocci are spherical containing ribosomes and a
nucleoid region with genetic material.
42. Which macronutrient do you think is most important? What evidence can you offer to support your choice?
a. Carbon because it represents 12 percent of the total dry weight of a typical cell and is a component of all
macromolecules.
b. Oxygen because it is necessary and is a major component for all macromolecules. It also accounts for 50 percent
of the total composition of a cell.
c. Carbon because it is necessary and is a major component for all macromolecules. It also accounts for 50 percent
of the total composition of a cell.
d. Nitrogen because it is necessary and is a major component for all macromolecules. It also accounts for 50
percent of the total composition of a cell.
43. A bacterium requires only a particular amino acid as an organic nutrient and lives in a completely lightless
environment. What mode of nutrition—free energy and carbon—does it use? Justify your response.
a. Chemoheterotroph, as it must rely on chemical sources of energy living in a lightless environment and a
heterotroph if it uses organic compounds for its carbon source.
b. Chemoorganotroph, as it must rely on chemical sources of energy living in a lightless environment and an
organotroph if it uses organic compounds other than carbon dioxide for its carbon source.
c. Chemolitoautotroph, as it must rely on chemical sources of energy living in a lightless environment and an
autotroph if it uses organic compounds other than carbon dioxide for its carbon source.
d. Chemoheterotroph, as it must rely on chemical sources of energy living in a lightless environment and a
heterotroph if it uses organic compounds other than carbon dioxide for its carbon source.
44. Assuming that you could synthesize all of the nitrogen-containing compounds needed if you had nitrogen, what might
you eat for a typical meal if you could fix nitrogen like some prokaryotes?
Chapter 22 | Prokaryotes: Bacteria and Archaea 1023
a. My meal might be fruits or vegetables, bread, and water as nitrogen is present in the highest amount in water.
b. My meal might be fruits or vegetables, water, bread, and air as atmospheric nitrogen could be simply absorbed.
c. My meal might be fruits or vegetables, cheese, meat, water, bread, and air as atmospheric nitrogen could be
simply absorbed.
d. My meal might be cheese or meat, water, bread, and air as atmospheric nitrogen could be simply absorbed.
45. Identify and discuss a bacterial disease that caused a historically important plague or epidemic. What is the modern
distribution of this disease?
a. Bubonic plague caused by Yersinia pestis was a pandemic that occurred in the fourteenth century. In modern
times, there are only about 100 cases of bubonic plague each year. The bacterium responds well to modern
antibiotics.
b. Bubonic plague caused by Yersinia enterocolitica was a pandemic that occurred in the fourteenth century. In
modern times, there are about 1,000 to 3,000 cases of bubonic plague each year. The bacterium responds well to
modern antibiotics.
c. Pneumonic plague caused by Yersinia pestis was a pandemic that occurred in the fourteenth century. In modern
times, there are about 1,000 to 3,000 cases of pneumonic plague each year. The bacterium responds well to
modern antibiotics.
d. Bubonic plague caused by Yersinia pestis was a pandemic that occurred in the fourteenth century. In modern
times, there are about 1,000 to 3,000 cases of bubonic plague each year. The bacterium responds well to modern
antibiotics.
46. Have foodborne illnesses related to biofilms changed over time? Explain.
a. Yes, better sterilization and canning procedures have reduced the incidence of botulism. Most cases of foodborne
illness now are related to small-scale food production.
b. No, better sterilization and canning procedures have reduced the incidence of botulism. Most cases of foodborne
illness now are related to small-scale food production.
c. No, better sterilization and canning procedures have increased the incidence of botulism. Most cases of
foodborne illnesses now are related to large-scale food production.
d. Yes, better sterilization and canning procedures have reduced the incidence of botulism. Most cases of foodborne
illnesses now are related to large-scale food production.
47. What was the Plague of Athens? What is the modern distribution of this disease?
a. The Plague of Athens was a disease caused by Yersinia pestis that killed one-quarter of Athenian troops in 430
B.C. Between 10 and 15 million cases of typhoid fever occur today, resulting in over 10, 000 deaths annually.
b. The Plague of Athens was a disease caused by Salmonella entericaserovar typhi that killed one-quarter of
Athenian troops in 430 B.C. Between 5 and 10 million cases of typhoid fever occur today, resulting in over
20,000 deaths annually.
c. The Plague of Athens was a disease caused by Yersinia pestis that killed one-quarter of Athenian troops in 430
B.C. Between 16 and 33 million cases of typhoid fever occur today, resulting in over 200,000 deaths annually.
d. The Plague of Athens was a disease caused by Salmonella entericaserovar typhi that killed one-quarter of
Athenian troops in 430 B.C. Between 16 and 33 million cases of typhoid fever occur today, resulting in over
200,000 deaths annually.
48. Why is the processing of foods with prokaryotes considered an example of early biotechnology?
a. Prokaryotes have been used to only make specific food products like cheese, wine, bread, beer, and yogurt since
before the term biotechnology was coined.
b. Prokaryotes have been used to make and alter specific food products like cheese, wine, single cell proteins, beer,
and yogurt since before the term biotechnology was coined.
c. As prokaryotes have been used to make and alter specific food products like cheese, wine, bread, beer, and
yogurt since before the term biotechnology was coined.
d. As prokaryotes have been used to alter specific food products like cheese, wine, bread, beer, and yogurt since
before the term biotechnology was coined.
49. On what does the success of bioremediation of oil spills depend?
1024 Chapter 22 | Prokaryotes: Bacteria and Archaea
a. Success depends on the presence of only aromatic and highly branched hydrocarbon chain compounds and the
temperature.
b. Success depends on the presence of less nonvolatile and more aromatic and highly branched hydrocarbon chain
compounds and the temperature.
c. Success depends on the type of oil compounds, the presence of naturally occurring oil-solubilizing prokaryotes
in the ocean, and the type of water body.
d. Success depends on the type of oil compounds, the presence of naturally occurring oil-solubilizing prokaryotes
in the ocean and the temperature.
50. Why is the relationship between sustainable agriculture and nitrogen fixers called a mutualism?
a. Due to agrobacterium, which are nitrogen fixers, plants benefit from an endless supply of nitrogen; soils benefit
from being naturally fertilized; and bacteria benefit from using photosynthates from plants.
b. Due to rhizobia, which are nitrogen fixers, plants benefit from an endless supply of nitrogen; soils benefit from
being naturally fertilized; and bacteria benefit from using photosynthates from plants.
c. Due to rhizobia, which are nitrogen fixers, plants benefit from an endless supply of nitrogen; soils benefit from
being naturally fertilized; and bacteria benefit from using potassium from plants.
d. Due to rhizobia, which are nitrogen fixers, plants benefit from a limited supply of nitrogen; soils benefit from
being naturally fertilized; and bacteria benefit from using potassium from plants.
a. plant cell
b. animal cell
c. bacterial cell
d. fungal cell
55. Which option best describes the function and presence of cell organelles among prokaryotes and eukaryotes?
a. Ribosomes are the sites of protein synthesis found in prokaryotic and eukaryotic cells. The cell wall is a
protective layer, present in most prokaryotic cells and in some eukaryotes. Chromosomal DNA, the genetic
material of the cell, is present in a nucleoid region in prokaryotes while enclosed in a nucleus in eukaryotes.
b. Ribosomes are the sites of protein synthesis found in prokaryotic and eukaryotic cells. The cell wall is a
protective layer found in a few prokaryotic and eukaryotic cells. Chromosomal DNA is the genetic material of
the cell that is present in a nucleoid region in prokaryotes while in eukaryotes, it is enclosed in a nucleus.
c. Ribosomes are sites of ATP production found in both prokaryotic and eukaryotic cells. The cell wall is a
protective layer, typically found in prokaryotic cells and in some eukaryotes. Chromosomal DNA is present in a
nucleoid region while enclosed in a nucleus in eukaryotes. It is the genetic material of the cell.
d. Ribosomes are the sites of protein synthesis found in prokaryotic and eukaryotic cells. The cell wall is a
protective layer, typically found in prokaryotic cells and in some eukaryotes. Chromosomal DNA, the genetic
material of the cell is present in a nucleus in prokaryotes, while it is enclosed in a nucleoid region in eukaryotes.
56. A nonpathogenic bacterium acquires resistance to antibiotics. Which of the following scenarios describing how this
strain could pose a health risk to people is false?
a. Genes for antibiotic resistance are transferred from the nonpathogenic bacterium to a pathogenic bacterium via
transduction.
b. Genes for antibiotic resistance are transferred from the nonpathogenic bacterium to a pathogenic bacterium via
transformation.
c. Genes for antibiotic resistance are transferred from the nonpathogenic bacterium to a pathogenic bacterium via
conjugation.
d. Genes for antibiotic resistance are transferred from the nonpathogenic bacterium to a pathogenic bacterium via
binary fission.
57. In a rapidly changing environment, which prokaryotic population would you hypothesize likely to be more successful:
one that included individuals capable of conjugation or one that did not?
1026 Chapter 22 | Prokaryotes: Bacteria and Archaea
a. A population including individuals capable of conjugation would be more successful, because all of its members
would form recombinant cells having new gene combinations advantageous in a new environment.
b. A population including individuals capable of conjugation would be more successful, as some members could
form recombinant cells having new gene combinations advantageous in a new environment.
c. A population including individuals not capable of conjugation would be more successful, as the members
undergoing conjugation would form new recombinant cells having gene combinations lethal in the new
environment.
d. A population including individuals not capable of conjugation would be more successful, because conjugation
will result in an increase in genetic diversity of the prokaryotic population, which will be disadvantageous in a
new population.
58. Given your understanding of the experiment and of bacterial genetic recombination, explain why there are fewer
colonies on plate IV than on plate III.
a. All E. coli cells were not successfully transformed on plate IV.
b. The nutrient agar medium inhibited the growth of some bacteria on plate IV.
c. All E. coli cells were successfully transformed on plate IV.
d. The bacteria in plate III were naturally resistant to ampicillin.
59. Which of the labeled structures in the diagram allows you to positively identify the cell as a prokaryote?
while, continuing to replenish growth medium and pollutant as necessary. Which statement describes the results you would
expect to see in the growth of the flasks after some time?
a. The growth in flask A will continue to exceed that of flask B.
b. The growth in flask B will exceed continue to exceed that of flask A.
c. Eventually, the difference in the growth in each flask will lessen.
d. Eventually, will be little to no growth in each flask.
66. How does resistance spread in bacteria?
a. by undergoing genetic recombination through conjugation, transduction, and transformation
b. by undergoing reproduction through binary fission
c. by undergoing genetic recombination through conjugation and transformation only
d. Reproduction among bacteria through any mechanism results in the spread of antibiotic resistance genes.
67. Human intestines are home to hundreds of species of bacteria. One of these, Bacteriodes thetaiotaomicron, has the
capability of digesting complex plant materials that human enzymes cannot digest. Its presence in the human guts makes a
significant contribution to human metabolic processes.Which term best describes the relationship between humans and B.
thetaiotaomicron?
a. commensalistic
b. mutualistic
c. parasitic
d. pathogenic
68. More than 100 bacterial species live on the surface of the human body. Bacteria cover portions of human skin in
concentrations of up to 8 million cells per square centimeter. In particular, human sebaceous glands support the growth of
the bacterium Propionibacterium acnes, which uses oil from the glands for food. Two strains of P. acnes are associated
with the development of acne on human skin, but other strains are associated with healthy skin. Which statement best
describes the relationship between humans and P. acnes?
a. In some cases it is commensal and in others it is parasitic.
b. In some cases it is mutualistic and in others it is commensalistic.
c. It is almost always parasitic.
d. It is almost always mutualistic.
Figure 22.30
A. Other modifications displayed in the diagram maintain an anaerobic state and synthesize ammonia from N 2. Identify
four modifications of vegetative cells, either by their addition to or omission from the heterocyst. Refine the
representation by drawing a line between each of the three numbered circles and the feature.
B. Further refine the representation by providing a brief description of the role of each modification in either regulating
oxygen or synthesizing ammonia.
The Krebs cycle in prokaryotes and eukaryotes differs. In prokaryotes, the Krebs cycle occurs in the cytoplasm and the
intermediate 2-oxoglutarate (α-ketoglutarate) is absent.
C. Construct a representation of the regulation of genes encoding the nitrogen fixation system using the elements below.
The irregular shapes are either metabolites or transcription factors, NtcA, HetR, and PatS. In your representation, label
each shape using the names on the left in the figure below. Your representation must account for these observations:
• when nitrogen is limiting, 2-oxoglutarate concentration in the cytoplasm increases
• HetR is transcribed when 2-oxoglutarate concentrations are low
• PatS is transcribed when 2-oxoglutarate concentrations are low
• nitrogenase is transcribed when HetR concentrations are high and PatS concentrations are low
• when PatS concentrations are high, nifX genes are not transcribed
Figure 22.31
D. Heterocysts form along the filament separated by a fixed number of vegetative cells. Based on your model of the
regulation of heterocyst development, make and support a claim that accounts for this pattern.
70. Gram-negative bacteria have an inner cytoplasmic membrane separated by a peptidoglycan layer from a second outer
membrane. In addition, transport proteins called efflux pumps span this double membrane and actively eliminate
chemicals such as antibiotics that pass through porins on the outer membrane. These efflux pumps can confer multi-drug
resistance, a situation that is threatening human health.
A. Explain how combining a drug that disrupts ATP synthesis in bacteria with antibiotics is a possible strategy for the
treatment of bacterial infections caused by antibiotic-resistant gram-negative bacteria.
ATP synthesis in prokaryotes is accomplished by a protein that connects the extracellular space to the cytoplasm. In gram-
negative bacteria, the proton gradient that supplies the free energy to convert ADP into ATP is established across the inner
membrane.
B. Predict differences in the interactions of eukaryotic and prokaryotic cells with a drug molecule that successfully targets
1030 Chapter 22 | Prokaryotes: Bacteria and Archaea
Figure 22.32
A. Justify the claim of the third model by i) rejecting the two alternative claims, using the fact that growth rate depends
on the availability of resources and considering that regulation of expression at a critical volume would require
measurement of total volume by the cell, and ii) arguing that adding a constant volume before each cell division would
narrow the cell size distribution.
B. Design a plan to test both the most recent model and the timer model.
72. Escherichia coli Strain A is able to grow in a minimal medium only when supplemented with methionine and biotin.
Strain B is able to grow in a minimal medium only when supplemented with threonine, leucine, and thiamine. The two
strains are incubated together in a medium containing each supplement. They are then transferred to a minimal medium
with no supplements, and each strain is able to grow under these conditions.
A. Describe the evidence that supports information exchange between Strain A and Strain B, and the mechanisms that can
account for this behavior demonstrated by Lederberg and Tatum (Nature, 1946).
Colistin is regarded as a last-resort antibiotic in the treatment of multi-drug-resistant, gram-negative bacteria. The MCR-1
gene that confers colistin resistance was recently detected in a plasmid found in E. coli from the intestines of human
patients (Liu et al, Lancet Infect. Dis., 2016). Colistin is cheap to produce, is often used as a feed supplement for
domesticated animals (12,000 metric tons per year in 2015), and its use is increasing. Colistin is also unstable in water
(Healan et al., Antimicrob. Agents Chemother, 2012).
B. Describe the possible biological consequences of an immediate ban on the use of colistin in agriculture.
73. Life on Earth is sustained by four processes that are unique to prokaryotes: 1) methanogens reduce hydrogen or carbon
atoms to produce methane; 2) methanotrophs combine methane with oxygen to form formaldehyde; 3) nitrogen fixation
converts N2 into ammonia; and 4) nitrification converts ammonia into nitrates. These processes recycle matter,
maintaining the carbon (1 and 2) and nitrogen (3 and 4) cycles.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1031
Methanogens are strictly anaerobic. Estimates of global fluxes of methane from major sources (Kirschke, Nature
Geoscience, 2013, in units of 1012 g C/year) are shown in the figure below. Agricultural sources are predominately the
microbiomes of ruminants (cows, goats, etc.) and rice cultivated in shallow ponds where anoxic compost and crop residues
promote methanogen growth on roots. Other major human activities that contribute to atmospheric methane levels are
landfills and natural gas drilling.
Figure 22.33
The fate of this methane is also shown. Most reacts with OH in the lower atmosphere to make formic acid, which then
decomposes into carbon dioxide and water. Methanotrophs consume the remaining methane.
Methane is a component of the carbon cycle, but it is much less significant than carbon dioxide, whose major fluxes are
shown in units of 1015 g C/year (NASA, 2015). Oceanic uptake and loss of CO2 are primarily abiotic. Prokaryotic marine
organisms account for approximately 50% of the biotic exchanges.
Figure 22.34
A. Compare quantitatively the rates of carbon cycling as methane between the biosphere and atmosphere. Calculate the
percentage of methane production that is anthropocentric (due to human actions).
B. Assuming that the rates of carbon dioxide exchange shown in the diagram are accurate, analyze these data to identify a
missing contribution to the carbon budget.
Recently, it was discovered that ruminants fed nitrooxypropanoic acid reduced their methane release from digestion by
approximately 50% and increased the rate of meat production by as much as 80% (E. Duin et al., Proc. Natl. Acad. Sci,
2016).
C. Since methane is a greenhouse gas, its release into the atmosphere further increases global temperatures. It has been
claimed that a feed supplement program will reduce the effects of climate change. Predict the consequences of such a
program and provide reasoning for your prediction.
A vertical profile of methane and oxygen below the surface of a rice paddy are shown in the graph below (Lee et al.,
Front. Microbiol, 25, 2015). Also shown are estimates of the relative abundance of all genera of methanotrophs (red line)
and methanogens (blue line) as a function of depth. Rice paddies are the largest contributor to agricultural methane
production. The estimates were based on extraction and analysis of ribosomal RNA from the soil.
1032 Chapter 22 | Prokaryotes: Bacteria and Archaea
Figure 22.35
D. Justify the selection of these measurements of the concentrations of two types of microbes and the gases that are
consumed or produced to the development of a quantitative understanding of the habitat range of both groups and the
control of methane release from rice fields.
74. The human gut provides a habitat for approximately 100 trillion bacteria. Some sources claim that the surface area of
the cells lining the small and large intestines is between 150 and 300 square meters and compare this area to that of a
tennis court. Recent measurements, however, show that the surface area of the gut is closer to that of a studio apartment
(Helander and Fandriks, Jour. Gastro, 2014) and is roughly 50 square meters.
A. Calculate the cellular surface area of the 100 trillion (1014) microbes in the typical human gut, assuming that the cells
are spherical with an average radius of 0.001 mm. Use this calculated surface area to predict the relative rates of
procurement of nutrients by both microbes and the host cells lining the large and small intestines.
Humans compete with microbes for nutrients, but the relationship is mutually beneficial. Between 10 and 30% of ingested
food remains undigested before reaching the large intestine. Some microbial waste products, particularly H2 and CH4, are
not resources for the host. But short-chain fatty acids like acetic, propionic, and butyric acids are resources that microbes
extract from the undigested fraction. The large intestine of the adult human has a length of approximately 1.5 meters with
a volume between 6 and 7 liters. The total volume of gut microbes is just a few hundred milliliters.
B. Predict the length of a large intestine with equivalent recovery of resources and the same transit times through the
bowel if, rather than 100 trillion organisms with a total volume of 1 L, there were 100 billion (1011) organisms, each with
a volume of 10-8 mL (the approximate volume of the epithelial cells lining the intestine).
The relationship between gut microbes and their host is more complex than simple resource recovery, as shown in the
figure of the microbiome below. PYY is a hormone that works with the enteric nervous system lining the intestinal wall to
cause changes in the period of contractions of muscles (motility) that push material through the intestine.
C. Based on the diagram, summarize the regulation of appetite by the microbiome and the elimination of waste by the
host in terms of feedback loops and chemical signaling.
Chapter 22 | Prokaryotes: Bacteria and Archaea 1033
Figure 22.36
The microbial population of the intestine is referred to as the microbiome. Undernutrition and obesity are both symptoms
of malnutrition, and populations of the microbiome vary with the type of malnutrition (Brown et al., Nutr Clin Pract,
2012). The microbiome of humans can be transplanted into germ-free (GF) mice to observe the effects of diet in a
controlled experiment of relatively short duration. The microbiomes of healthy and undernourished 6-month-old children
were transplanted into GF mice whose growth is graphed below. Growth in both length and weight were reduced when the
source of the microbiome was the undernourished child (after Blanton et al., Science, 2016). Both groups of mice were
provided with the same nutritional resources.
Figure 22.37
D. Pose two scientific questions that, when investigated, could lead to a solution for the stunting of growth caused by
undernourishment in early infancy that affects millions of children.
1034 Chapter 22 | Prokaryotes: Bacteria and Archaea
Human growth hormone stimulates the release of insulin-like growth factor 1 (IGF-1). IGF-1 is a messenger that activates
the production of bone cells called osteocytes. The data (after Schwarzer et al., Science, 2016) show concentrations of this
growth factor in mice with no microbiome (GF), wild-type mice whose microbiome and growth provide a control (WT),
and mice whose microbiome population is composed entirely of Lactobacillus plantarum (two strains labeled L1 and L2).
Lactobacillus is one of many hundred genera of microbial inhabitants of a healthy human intestine.
Figure 22.38
E. Analyze these data in terms of the potential for disruption of human bone growth due to loss or reduction in diversity of
the microbiome.
REFERENCES
Papagrigorakis, M. J, Synodinos, P. N., & Yapijakis, C. (2007, Jan.). Ancient typhoid epidemic reveals possible ancestral
strain of Salmonella enterica serovar Typhi. Infect Genet Evol 7(1), 126–7. doi: 10.1016/j.meegid.2006.04.006.
Figure 23.1 A locust leaf consists of leaflets arrayed along a central midrib. Each leaflet is a complex photosynthetic
machine, exquisitely adapted to capture sunlight and carbon dioxide. An intricate vascular system supplies the leaf
with water and minerals, and exports the products of photosynthesis. (credit: modification of work by Todd Petit)
Chapter Outline
23.1: The Plant Body
23.2: Stems
23.3: Roots
23.4: Leaves
23.5: Transport of Water and Solutes in Plants
23.6: Plant Sensory Systems and Responses
Introduction
Plants are as essential to human existence as land, water, and air. Without plants, our day-to-day lives would be impossible
because without oxygen from photosynthesis, aerobic life cannot be sustained. From providing food and shelter to serving
as a source of medicines, oils, perfumes, and industrial products, plants provide humans with numerous valuable resources.
When you think of plants, those that first come to mind are likely to be vascular plants. These plants have tissues that
conduct food and water—the word vascular means having vessels). While each vascular plant species is unique, all
are made up of a plant body consisting of stems, roots, and leaves. They also all transport water, minerals, and sugars
produced through photosynthesis through the plant body using the same mechanism, and they all respond to environmental
factors, such as light, gravity, competition, temperature, and predation. Scientists recently discovered that two plants, the
giant goldenrod and spicebush, each make five different compounds that disrupt the life cycles of insect pests. Further
investigation into the chemicals could lead to a new class of pesticides. You can read more about it in ScienceNews
magazine (http://openstaxcollege.org/l/32pest) .
Lee, S. et al. (2015, Feb. 10). Identification of plant compounds that disrupt the insect juvenile hormone receptor complex.
PNAS, 112(6), 1733–1738. doi: 10.1073/pnas.1424386112.
1038 Chapter 23 | Plant Form and Physiology
When the link opens to the page Botany Without Borders click on the menu item, Plants Are Cool Too! View the video
Angiosperms: The Secrets of Flowers, by Botanical Society of America (BSA) member Kate March, and answer the
question below. Which group of plants dominates the landscape on Earth?
a. conifers
b. mosses
c. ferns
d. flowering plants
Figure 23.2 The shoot system of a plant consists of leaves, stems, flowers, and fruits. The root system anchors the
plant while absorbing water and minerals from the soil.
Plant Tissues
Plants are multicellular eukaryotes with tissue systems made of various cell types that carry out specific functions. Plant
tissue systems fall into one of two general types: meristematic tissue and permanent, or nonmerstematic tissue. Cells of the
meristematic tissue are found in meristems, which are plant regions of continuous cell division and growth. Meristematic
tissue cells are either undifferentiated or incompletely differentiated, and they continue to divide and contribute to the
growth of the plant. In contrast, permanent tissue consists of plant cells that are no longer actively dividing.
Meristematic tissues consist of three types, based on their location in the plant. Apical meristems contain meristematic
tissue located at the tips of stems and roots, which enable a plant to extend in length. Lateral meristems facilitate growth
in thickness or girth in a maturing plant. Intercalary meristems occur only in monocots, at the bases of leaf blades and at
nodes—the areas where leaves attach to a stem. This tissue enables the monocot leaf blade to increase in length from the
leaf base; for example, it allows lawn grass leaves to elongate even after repeated mowing.
Meristems produce cells that quickly differentiate, or specialize, and become permanent tissue. Such cells take on specific
roles and lose their ability to divide further. They differentiate into three main types: dermal, vascular, and ground tissue.
Dermal tissue covers and protects the plant, and vascular tissue transports water, minerals, and sugars to different parts of
the plant. Ground tissue serves as a site for photosynthesis, provides a supporting matrix for the vascular tissue, and helps
to store water and sugars.
Secondary tissues are either simple. composed of similar cell types, or complex, composed of different cell types. Dermal
tissue, for example, is a simple tissue that covers the outer surface of the plant and controls gas exchange. Vascular tissue
is an example of a complex tissue, and is made of two specialized conducting tissues: xylem and phloem. Xylem tissue
transports water and nutrients from the roots to different parts of the plant, and includes three different cell types: vessel
elements and tracheids—both of which conduct water—and xylem parenchyma. Phloem tissue, which transports organic
compounds from the site of photosynthesis to other parts of the plant, consists of four different cell types: sieve cells, which
conduct photosynthates, companion cells, phloem parenchyma, and phloem fibers. Unlike xylem conducting cells, phloem
conducting cells are alive at maturity. The xylem and phloem always lie adjacent to each other (Figure 23.3). In stems, the
xylem and the phloem form a structure called a vascular bundle; in roots, this is termed the vascular stele or vascular
cylinder.
Chapter 23 | Plant Form and Physiology 1041
Figure 23.3 This light micrograph shows a cross section of a squash (Curcurbita maxima) stem. Each teardrop-shaped
vascular bundle consists of large xylem vessels toward the inside and smaller phloem cells toward the outside. Xylem
cells, which transport water and nutrients from the roots to the rest of the plant, are dead at functional maturity. Phloem
cells, which transport sugars and other organic compounds from photosynthetic tissue to the rest of the plant, are
living. The vascular bundles are encased in ground tissue and surrounded by dermal tissue. (credit: modification of
work by "(biophotos)"/Flickr; scale-bar data from Matt Russell)
Section Summary
A vascular plant consists of two organ systems: the shoot system and the root system. The shoot system includes the
aboveground vegetative portions—stems and leaves—and reproductive parts—flowers and fruits. The root system supports
the plant and is usually underground. A plant is composed of two main types of tissue: meristematic tissue and permanent
tissue. Meristematic tissue consists of actively dividing cells found in root and shoot tips. As growth occurs, meristematic
tissue differentiates into permanent tissue, which is categorized as either simple or complex. Simple tissues are made up of
similar cell types; examples include dermal tissue and ground tissue. Dermal tissue provides the outer covering of the plant.
Ground tissue is responsible for photosynthesis; it also supports vascular tissue and may store water and sugars. Complex
tissues are made up of different cell types. Vascular tissue, for example, is made up of xylem and phloem cells.
23.2 | Stems
In this section, you will explore the following questions:
• What is the main function and basic structure of a plant stem?
• What are the roles of dermal tissues, vascular tissues, and ground tissues?
• What is the difference between primary growth and secondary growth in stems?
• What is the origin of annual rings in stems? How are annual rings used to approximate the age of a tree?
• What are examples of modified stems?
highlighted, does not align to the content and AP® Learning Objectives outlined in the AP® Curriculum Framework.
Stems are a part of the shoot system of a plant. They may range in length from a few millimeters to hundreds of meters,
and also vary in diameter, depending on the plant type. Stems are usually above ground, although the stems of some plants,
such as the potato, also grow underground. Stems may be herbaceous, soft, or woody in nature. Their main function is to
provide support to the plant, holding leaves, flowers and buds; in some cases, stems also store food for the plant. A stem
may be unbranched, like that of a palm tree, or it may be highly branched, like that of a magnolia tree. The stem of the plant
connects the roots to the leaves, helping to transport absorbed water and minerals to different parts of the plant. It also helps
to transport the products of photosynthesis, namely sugars, from the leaves to the rest of the plant.
Plant stems, whether above or below ground, are characterized by the presence of nodes and internodes (Figure 23.4).
Nodes are points of attachment for leaves, aerial roots, and flowers. The stem region between two nodes is called an
internode. The stalk that extends from the stem to the base of the leaf is the petiole. An axillary bud is usually found in
the axil—the area between the base of a leaf and the stem—where it can give rise to a branch or a flower. The apex, or tip,
of the shoot contains the apical meristem within the apical bud.
Figure 23.4 Leaves are attached to the plant stem at areas called nodes. An internode is the stem region between two
nodes. The petiole is the stalk connecting the leaf to the stem. The leaves just above the nodes arose from axillary
buds.
Stem Anatomy
The stem and other plant organs arise from the ground tissue, and are primarily made up of simple tissues formed from three
types of cells: parenchyma, collenchyma, and sclerenchyma cells.
Parenchyma cells are the most common plant cells (Figure 23.5). They are found in the stem, the root, the inside of the
leaf, and the pulp of the fruit. Parenchyma cells are responsible for metabolic functions, such as photosynthesis, and they
help repair and heal wounds. Some parenchyma cells also store starch.
Chapter 23 | Plant Form and Physiology 1043
Figure 23.5 The stem of common St John's Wort (Hypericum perforatum) is shown in cross-section in this light
micrograph. The central pith (greenish-blue, in the center) and peripheral cortex (narrow zone 3–5 cells thick just inside
the epidermis) are composed of parenchyma cells. Vascular tissue composed of xylem (red) and phloem tissue (green,
between the xylem and cortex) surrounds the pith. (credit: Rolf-Dieter Mueller)
Collenchyma cells are elongated cells with unevenly thickened walls (Figure 23.6). They provide structural support,
mainly to the stem and leaves. These cells are alive at maturity and are usually found below the epidermis. The strings of a
celery stalk are an example of collenchyma cells.
Figure 23.6 Collenchyma cell walls are uneven in thickness, as seen in this light micrograph. They provide support to
plant structures. (credit: modification of work by Carl Szczerski; scale-bar data from Matt Russell)
Sclerenchyma cells also provide support to the plant, but unlike collenchyma cells, many of them are dead at maturity.
There are two types of sclerenchyma cells: fibers and sclereids. Both types have secondary cell walls that are thickened
with deposits of lignin, an organic compound that is a key component of wood. Fibers are long, slender cells; sclereids are
smaller-sized. Sclereids give pears their gritty texture. Humans use sclerenchyma fibers to make linen and rope (Figure
23.7).
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Figure 23.7 The central pith and outer cortex of the (a) flax stem are made up of parenchyma cells. Inside the
cortex is a layer of sclerenchyma cells, which make up the fibers in flax rope and clothing. Humans have grown
and harvested flax for thousands of years. In (b) this drawing, fourteenth-century women prepare linen. The (c)
flax plant is grown and harvested for its fibers, which are used to weave linen, and for its seeds, which are the
source of linseed oil. (credit a: modification of work by Emmanuel Boutet based on original work by Ryan R.
MacKenzie; credit c: modification of work by Brian Dearth; scale-bar data from Matt Russell)
Students are examining stem cross-sections under the microscope and sketching their observations. As they are
labeling the different tissues, they realize that they labeled different parts of the stem as parenchyma. Which part of the
stem is made of parenchyma cells?
a. The cortex and pith are made of parenchyma cells.
b. The companion cells of the phloem are parenchyma cells.
c. Fiber cells of the sclerenchyma
d. Sieve elements and tracheids of the xylem
Like the rest of the plant, the stem has three tissue systems: dermal, vascular, and ground tissue. Each is distinguished by
characteristic cell types that perform specific tasks necessary for the plant’s growth and survival.
Dermal Tissue
The dermal tissue of the stem consists primarily of epidermis, a single layer of cells covering and protecting the underlying
tissue. Woody plants have a tough, waterproof outer layer of cork cells commonly known as bark, which further protects
the plant from damage. Epidermal cells are the most numerous and least differentiated of the cells in the epidermis. The
epidermis of a leaf also contains openings known as stomata, through which the exchange of gases takes place (Figure
Chapter 23 | Plant Form and Physiology 1045
23.8). Two cells, known as guard cells, surround each leaf stoma, controlling its opening and closing and thus regulating
the uptake of carbon dioxide and the release of oxygen and water vapor. Trichomes are hair-like structures on the epidermal
surface. They help to reduce transpiration—the loss of water by aboveground plant parts—increase solar reflectance, and
store compounds that defend the leaves against predation by herbivores.
Figure 23.8 Openings called stomata (singular is called a stoma) allow a plant to take up carbon dioxide and release
oxygen and water vapor. The (a) colorized scanning-electron micrograph shows a closed stoma of a dicot. Each
stoma is flanked by two guard cells that regulate its (b) opening and closing. The (c) guard cells sit within the layer
of epidermal cells (credit a: modification of work by Louisa Howard, Rippel Electron Microscope Facility, Dartmouth
College; credit b: modification of work by June Kwak, University of Maryland; scale-bar data from Matt Russell)
Vascular Tissue
The xylem and phloem that make up the vascular tissue of the stem are arranged in distinct strands called vascular bundles,
which run up and down the length of the stem. When the stem is viewed in cross section, the vascular bundles of dicot
stems are arranged in a ring. In plants with stems that live for more than one year, the individual bundles grow together
and produce the characteristic growth rings. In monocot stems, the vascular bundles are randomly scattered throughout the
ground tissue (Figure 23.9).
Figure 23.9 In (a) dicot stems, vascular bundles are arranged around the periphery of the ground tissue. The xylem
tissue is located toward the interior of the vascular bundle, and phloem is located toward the exterior. Sclerenchyma
fibers cap the vascular bundles. In (b) monocot stems, vascular bundles composed of xylem and phloem tissues are
scattered throughout the ground tissue.
Xylem tissue has three types of cells: xylem parenchyma, tracheids, and vessel elements. The latter two types conduct water
and are dead at maturity. Tracheids are xylem cells with thick secondary cell walls that are lignified. Water moves from one
tracheid to another through regions on the side walls known as pits, where secondary walls are absent. Vessel elements are
1046 Chapter 23 | Plant Form and Physiology
xylem cells with thinner walls; they are shorter than tracheids. Each vessel element is connected to the next by means of a
perforation plate at the end walls of the element. Water moves through the perforation plates to travel up the plant.
Phloem tissue is composed of sieve-tube cells, companion cells, phloem parenchyma, and phloem fibers. A series of sieve-
tube cells, also called sieve-tube elements, are arranged end to end to make up a long sieve tube, which transports organic
substances such as sugars and amino acids. The sugars flow from one sieve-tube cell to the next through perforated sieve
plates, which are found at the end junctions between two cells. Although still alive at maturity, the nucleus and other cell
components of the sieve-tube cells have disintegrated. Companion cells are found alongside the sieve-tube cells, providing
them with metabolic support. The companion cells contain more ribosomes and mitochondria than the sieve-tube cells,
which lack some cellular organelles.
Ground Tissue
Ground tissue is mostly made up of parenchyma cells, but may also contain collenchyma and sclerenchyma cells that help
support the stem. The ground tissue towards the interior of the vascular tissue in a stem or root is known as pith, while the
layer of tissue between the vascular tissue and the epidermis is known as the cortex.
Growth in Stems
Growth in plants occurs as the stems and roots lengthen. Some plants, especially those that are woody, also increase in
thickness during their life span. The increase in length of the shoot and the root is referred to as primary growth, and is the
result of cell division in the shoot apical meristem. Secondary growth is characterized by an increase in thickness or girth
of the plant, and is caused by cell division in the lateral meristem. Figure 23.10 shows the areas of primary and secondary
growth in a plant. Herbaceous plants mostly undergo primary growth, with hardly any secondary growth or increase in
thickness. Secondary growth or wood is noticeable in woody plants; it occurs in some dicots, but occurs very rarely in
monocots.
Figure 23.10 In woody plants, primary growth is followed by secondary growth, which allows the plant stem to increase
in thickness or girth. Secondary vascular tissue is added as the plant grows, as well as a cork layer. The bark of a tree
extends from the vascular cambium to the epidermis.
Some plant parts, such as stems and roots, continue to grow throughout a plant’s life: a phenomenon called indeterminate
growth. Other plant parts, such as leaves and flowers, exhibit determinate growth, which ceases when a plant part reaches a
particular size.
Primary Growth
Most primary growth occurs at the apices, or tips, of stems and roots. Primary growth is a result of rapidly dividing cells in
the apical meristems at the shoot tip and root tip. Subsequent cell elongation also contribute to primary growth. The growth
of shoots and roots during primary growth enables plants to continuously seek water—roots—or sunlight—shoots.
Chapter 23 | Plant Form and Physiology 1047
The influence of the apical bud on overall plant growth is known as apical dominance, which diminishes the growth of
axillary buds that form along the sides of branches and stems. Most coniferous trees exhibit strong apical dominance,
thus producing the typical conical Christmas tree shape. If the apical bud is removed, then the axillary buds will start
forming lateral branches. Gardeners make use of this fact when they prune plants by cutting off the tops of branches, thus
encouraging the axillary buds to grow out, giving the plant a bushy shape.
Watch this BBC Nature video (http://openstaxcollege.org/l/motion_plants) showing how time-lapse photography
captures plant growth at high speed.
The video you watched showed time lapse photography of the growth of a stem. Which of these is a fast response in a
plant that was not recorded in the video?
a. opening of a flower
Secondary Growth
The increase in stem thickness that results from secondary growth is due to the activity of the lateral meristems, which are
lacking in herbaceous plants. Lateral meristems include the vascular cambium and, in woody plants, the cork cambium—see
Figure 23.10. The vascular cambium is located just outside the primary xylem and to the interior of the primary phloem.
The cells of the vascular cambium divide and form secondary xylem—tracheids and vessel elements—to the inside,
and secondary phloem—sieve elements and companion cells—to the outside. The thickening of the stem that occurs in
secondary growth is due to the formation of secondary phloem and secondary xylem by the vascular cambium, plus the
action of cork cambium, which forms the tough outermost layer of the stem. The cells of the secondary xylem contain
lignin, which provides hardiness and strength.
In woody plants, cork cambium is the outermost lateral meristem. It produces cork cells, or bark, containing a waxy
substance known as suberin that can repel water. The bark protects the plant against physical damage and helps reduce water
loss. The cork cambium also produces a layer of cells known as phelloderm, which grows inward from the cambium. The
cork cambium, cork cells, and phelloderm are collectively termed the periderm. The periderm substitutes for the epidermis
in mature plants. In some plants, the periderm has many openings, known as lenticels, which allow the interior cells to
exchange gases with the outside atmosphere (Figure 23.11). This supplies oxygen to the living and metabolically active
cells of the cortex, xylem, and phloem.
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Figure 23.11 Lenticels on the bark of this cherry tree enable the woody stem to exchange gases with the surrounding
atmosphere. (credit: Roger Griffith)
Annual Rings
The activity of the vascular cambium gives rise to annual growth rings. During the spring growing season, cells of the
secondary xylem have a large internal diameter and their primary cell walls are not extensively thickened. This is known
as early wood, or spring wood. During the fall season, the secondary xylem develops thickened cell walls, forming late
wood, or autumn wood, which is denser than early wood. This alternation of early and late wood is due largely to a seasonal
decrease in the number of vessel elements and a seasonal increase in the number of tracheids. It results in the formation of
an annual ring, which can be seen as a circular ring in the cross section of the stem (Figure 23.12). An examination of the
number of annual rings and their nature, such as their size and cell wall thickness, can reveal the age of the tree and the
prevailing climatic conditions during each season.
Figure 23.12 The rate of wood growth increases in summer and decreases in winter, producing a characteristic ring
for each year of growth. Seasonal changes in weather patterns can also affect the growth rate—note how the rings
vary in thickness. (credit: Adrian Pingstone)
Stem Modifications
Some plant species have modified stems that are especially suited to a particular habitat and environment (Figure 23.13).
A rhizome is a modified stem that grows horizontally underground and has nodes and internodes. Vertical shoots may arise
from the buds on the rhizome of some plants, such as ginger and ferns. Corms are similar to rhizomes, except they are
Chapter 23 | Plant Form and Physiology 1049
more rounded and fleshy, such as in gladiolus. Corms contain stored food that enables some plants to survive the winter.
Stolons are stems that run almost parallel to the ground, or just below the surface, and can give rise to new plants at the
nodes. Runners are a type of stolon that runs above the ground and produces new clone plants at nodes at varying intervals:
strawberries are an example. Tubers are modified stems that may store starch, as seen in the potato (Solanum spp.). Tubers
arise as swollen ends of stolons, and contain many adventitious or unusual buds—familiar to us as the eyes on potatoes. A
bulb, which functions as an underground storage unit, is a modification of a stem that has the appearance of enlarged fleshy
leaves emerging from the stem or surrounding the base of the stem, as seen in the iris.
Figure 23.13 Stem modifications enable plants to thrive in a variety of environments. Shown are (a) ginger (Zingiber
officinale) rhizomes, (b) a carrion flower (Amorphophallus titanum) corm (c) Rhodes grass (Chloris gayana) stolons,
(d) strawberry (Fragaria ananassa) runners, (e) potato (Solanum tuberosum) tubers, and (f) red onion (Allium) bulbs.
(credit a: modification of work by Maja Dumat; credit c: modification of work by Harry Rose; credit d: modification of
work by Rebecca Siegel; credit e: modification of work by Scott Bauer, USDA ARS; credit f: modification of work by
Stephen Ausmus, USDA ARS)
Watch botanist Wendy Hodgson, of Desert Botanical Garden in Phoenix, Arizona, explain how agave plants were
cultivated for food hundreds of years ago in the Arizona desert in this video: (http://openstaxcollege.org/l/
ancient_crop) Finding the Roots of an Ancient Crop.
Agave plants were cultivated for hundreds of years by Pre-Columbian American populations. The sap was considered
a good source of _____.
Some aerial modifications of stems are tendrils and thorns (Figure 23.14). Tendrils are slender, twining strands that enable
a plant—like a vine or pumpkin—to seek support by climbing on other surfaces. Thorns are modified branches appearing
as sharp outgrowths that protect the plant; common examples include roses, Osage orange, and devil’s walking stick.
1050 Chapter 23 | Plant Form and Physiology
Figure 23.14 Found in southeastern United States, (a) buckwheat vine (Brunnichia ovata) is a weedy plant that climbs
with the aid of tendrils. This one is shown climbing up a wooden stake. (b) Thorns are modified branches. (credit a:
modification of work by Christopher Meloche, USDA ARS; credit b: modification of work by “macrophile”/Flickr)
Section Summary
The stem of a plant bears the leaves, flowers, and fruits. Stems are characterized by the presence of nodes—the points of
attachment for leaves or branches—and internodes—regions between nodes.
Plant organs are made up of simple and complex tissues. The stem has three tissue systems: dermal, vascular, and ground
tissue. Dermal tissue is the outer covering of the plant. It contains epidermal cells, stomata, guard cells, and trichomes.
Vascular tissue is made up of xylem and phloem tissues and conducts water, minerals, and photosynthetic products. Ground
tissue is responsible for photosynthesis and support and is composed of parenchyma, collenchyma, and sclerenchyma cells.
Primary growth occurs at the tips of roots and shoots, causing an increase in length. Woody plants may also exhibit
secondary growth, or increase in thickness. In woody plants, especially trees, annual rings may form as growth slows at the
end of each season. Some plant species have modified stems that help to store food, propagate new plants, or discourage
predators. Rhizomes, corms, stolons, runners, tubers, bulbs, tendrils, and thorns are examples of modified stems.
23.3 | Roots
In this section, you will explore the following questions:
• What are the two types of root system?
• What are the three zones of the root tip and what is the role of each in root growth?
• What is the structure of the root?
• What are examples of modified roots?
does not align to the content and AP® Learning Objectives outlined in the AP® Curriculum Framework.
The roots of seed plants have three major functions: anchoring the plant to the soil, absorbing water and minerals and
transporting them upwards, and storing the products of photosynthesis. Some roots are modified to absorb moisture and
exchange gases. Most roots are underground. Some plants, however, also have adventitious roots, which emerge above the
ground from the shoot.
Figure 23.15 (a) Tap root systems have a main root that grows down, whereas (b) fibrous root systems consist of
many small roots. (credit b: modification of work by “Austen Squarepants”/Flickr)
Figure 23.16 A longitudinal view of the root reveals the zones of cell division, elongation, and maturation. Cell division
occurs in the apical meristem.
The root has an outer layer of cells called the epidermis, which surrounds areas of ground tissue and vascular tissue. The
epidermis provides protection and helps in absorption. Root hairs, which are extensions of root epidermal cells, increase
the surface area of the root, greatly contributing to the absorption of water and minerals.
Inside the root, the ground tissue forms two regions: the cortex and the pith (Figure 23.17). Compared to stems, roots
have lots of cortex and little pith. Both regions include cells that store photosynthetic products. The cortex is between the
epidermis and the vascular tissue, whereas the pith lies between the vascular tissue and the center of the root.
Figure 23.17 Staining reveals different cell types in this light micrograph of a wheat (Triticum) root cross-section.
Sclerenchyma cells of the exodermis and xylem cells stain red, and phloem cells stain blue. Other cell types stain
black. The stele, or vascular tissue, is the area inside endodermis—indicated by a green ring. Root hairs are visible
outside the epidermis. (credit: scale-bar data from Matt Russell)
The vascular tissue in the root is arranged in the inner portion of the root, which is called the stele (Figure 23.18). A layer
of cells known as the endodermis separates the stele from the ground tissue in the outer portion of the root. The endodermis
is exclusive to roots, and serves as a checkpoint for materials entering the root’s vascular system. A waxy substance called
suberin is present on the walls of the endodermal cells. This waxy region, known as the Casparian strip, forces water and
solutes to cross the plasma membranes of endodermal cells instead of slipping between the cells. This ensures that only
materials required by the root pass through the endodermis, while toxic substances and pathogens are generally excluded.
The outermost cell layer of the root’s vascular tissue is the pericycle, an area that can give rise to lateral roots. In dicot roots,
the xylem and phloem of the stele are arranged alternately in an X-shape whereas in monocot roots, the vascular tissue is
arranged in a ring around the pith.
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Figure 23.18 In (left) typical dicots, the vascular tissue forms an X shape in the center of the root. In (right) typical
monocots, the phloem cells and the larger xylem cells form a characteristic ring around the central pith.
Root Modifications
Root structures may be modified for specific purposes. For example, some roots are bulbous and store starch. Aerial roots
and prop roots are two forms of aboveground roots that provide additional support to anchor the plant. Tap roots, such as
carrots, turnips, and beets, are examples of roots that are modified for food storage (Figure 23.19).
Epiphytic roots enable a plant to grow on another plant. For example, the epiphytic roots of orchids develop a spongy tissue
to absorb moisture. The banyan tree (Ficus spp.) begins as an epiphyte, germinating in the branches of a host tree; aerial
roots develop from the branches and eventually reach the ground, providing additional support (Figure 23.20). In screwpine
(Pandanus spp.), a palm-like tree that grows in sandy tropical soils, aboveground prop roots develop from the nodes to
provide additional support.
1054 Chapter 23 | Plant Form and Physiology
Figure 23.20 The (a) banyan tree, also known as the strangler fig, begins life as an epiphyte in a host tree.
Aerial roots extend to the ground and support the growing plant, which eventually strangles the host tree. The (b)
screwpine develops aboveground roots that help support the plant in sandy soils. (credit a: modification of work by
"psyberartist"/Flickr; credit b: modification of work by David Eikhoff)
Section Summary
Roots help to anchor a plant, absorb water and minerals, and serve as storage sites for food. Taproots and fibrous roots are
the two main types of root systems. In a taproot system, a main root grows vertically downward with a few lateral roots.
Fibrous root systems arise at the base of the stem, where a cluster of roots forms a dense network that is shallower than a
taproot. The growing root tip is protected by a root cap. The root tip has three main zones: a zone of cell division—cells
are actively dividing—a zone of elongation—cells increase in length—and a zone of maturation—cells differentiate to form
different kinds of cells. Root vascular tissue conducts water, minerals, and sugars. In some habitats, the roots of certain
plants may be modified to form aerial roots or epiphytic roots.
23.4 | Leaves
In this section, you will explore the following questions:
• What are the parts of a typical leaf?
• What is the internal structure and function of a leaf?
• What are differences between simple leaves and compound leaves? Similarities?
• What are examples of modified leaves?
Within each leaf, the vascular tissue forms veins. The arrangement of veins in a leaf is called the venation pattern. Monocots
and dicots differ in their patterns of venation (Figure 23.22). Monocots have parallel venation; the veins run in straight
lines across the length of the leaf without converging at a point. In dicots, however, the veins of the leaf have a net-like
appearance, forming a pattern known as reticulate venation. One extant plant, the Ginkgo biloba, has dichotomous venation
where the veins fork.
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Figure 23.22 (a) Tulip (Tulipa), a monocot, has leaves with parallel venation. The netlike venation in this (b) linden
(Tilia cordata) leaf distinguishes it as a dicot. The (c) Ginkgo biloba tree has dichotomous venation. (credit a photo:
modification of work by “Drewboy64”/Wikimedia Commons; credit b photo: modification of work by Roger Griffith;
credit c photo: modification of work by "geishaboy500"/Flickr; credit abc illustrations: modification of work by Agnieszka
Kwiecień)
Leaf Arrangement
The arrangement of leaves on a stem is known as phyllotaxy. The number and placement of a plant’s leaves will vary
depending on the species, with each species exhibiting a characteristic leaf arrangement. Leaves are classified as either
alternate, spiral, or opposite. Plants that have only one leaf per node have leaves that are said to be either alternate—meaning
the leaves alternate on each side of the stem in a flat plane—or spiral, meaning the leaves are arrayed in a spiral along the
stem. In an opposite leaf arrangement, two leaves arise at the same point, with the leaves connecting opposite each other
along the branch. If there are three or more leaves connected at a node, the leaf arrangement is classified as whorled.
Leaf Form
Leaves may be simple or compound (Figure 23.23). In a simple leaf, the blade is either completely undivided—as in the
banana leaf—or it has lobes, but the separation does not reach the midrib, as in the maple leaf. In a compound leaf, the
leaf blade is completely divided, forming leaflets, as in the locust tree. Each leaflet may have its own stalk, but is attached
to the rachis. A palmately compound leaf resembles the palm of a hand, with leaflets radiating outwards from one point
Examples include the leaves of poison ivy, the buckeye tree, or the familiar houseplant Schefflera spp. (common name
umbrella plant). Pinnately compound leaves take their name from their feather-like appearance; the leaflets are arranged
along the midrib, as in rose leaves (Rosa spp.), or the leaves of hickory, pecan, ash, or walnut trees.
Chapter 23 | Plant Form and Physiology 1057
Figure 23.23 Leaves may be simple or compound. In simple leaves, the lamina is continuous. The (a) banana plant
(Musa spp.) has simple leaves. In compound leaves, the lamina is separated into leaflets. Compound leaves may be
palmate or pinnate. In (b) palmately compound leaves, such as those of the horse chestnut (Aesculus hippocastanum),
the leaflets branch from the petiole. In (c) pinnately compound leaves, the leaflets branch from the midrib, as on a scrub
hickory (Carya floridana). The (d) honey locust has double compound leaves, in which leaflets branch from the veins.
(credit a: modification of work by "BazzaDaRambler"/Flickr; credit b: modification of work by Roberto Verzo; credit c:
modification of work by Eric Dion; credit d: modification of work by Valerie Lykes)
Figure 23.24 Visualized at 500x with a scanning electron microscope, several stomata are clearly visible on (a) the
surface of this sumac (Rhus glabra) leaf. At 5,000x magnification, the guard cells of (b) a single stoma from lyre-leaved
sand cress (Arabidopsis lyrata) have the appearance of lips that surround the opening. In this (c) light micrograph
cross-section of an A. lyrata leaf, the guard cell pair is visible along with the large, sub-stomatal air space in the leaf.
(credit: modification of work by Robert R. Wise; part c scale-bar data from Matt Russell)
The epidermis is usually one cell layer thick; however, in plants that grow in very hot or very cold conditions, the epidermis
may be several layers thick to protect against excessive water loss from transpiration. A waxy layer known as the cuticle
covers the leaves of all plant species. The cuticle reduces the rate of water loss from the leaf surface. Other leaves may
have small hairs—trichomes—on the leaf surface. Trichomes help to deter herbivory by restricting insect movements, or by
storing toxic or bad-tasting compounds. They can also reduce the rate of transpiration by blocking air flow across the leaf
surface (Figure 23.25).
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Figure 23.25 Trichomes give leaves a fuzzy appearance as in this (a) sundew (Drosera spp.). Leaf trichomes include
(b) branched trichomes on the leaf of Arabidopsis lyrata and (c) multibranched trichomes on a mature Quercus
marilandica leaf. (credit a: John Freeland; credit b, c: modification of work by Robert R. Wise; scale-bar data from Matt
Russell)
Below the epidermis of dicot leaves are layers of cells known as the mesophyll, or middle leaf. The mesophyll of most
leaves typically contains two arrangements of parenchyma cells: the palisade parenchyma and spongy parenchyma (Figure
23.26). The palisade parenchyma, also called the palisade mesophyll, has column-shaped, tightly packed cells, and may
be present in one, two, or three layers. Below the palisade parenchyma are loosely arranged cells of an irregular shape.
These are the cells of the spongy parenchyma or spongy mesophyll. The air space found between the spongy parenchyma
cells allows gaseous exchange between the leaf and the outside atmosphere through the stomata. In aquatic plants, the
intercellular spaces in the spongy parenchyma help the leaf float. Both layers of the mesophyll contain many chloroplasts.
Guard cells are the only epidermal cells to contain chloroplasts.
Chapter 23 | Plant Form and Physiology 1059
Figure 23.26 In the (a) leaf drawing, the central mesophyll is sandwiched between an upper and lower epidermis. The
mesophyll has two layers: an upper palisade layer comprised of tightly packed, columnar cells, and a lower spongy
layer, comprised of loosely packed, irregularly shaped cells. Stomata on the leaf underside allow gas exchange. A
waxy cuticle covers all aerial surfaces of land plants to minimize water loss. These leaf layers are clearly visible in
the (b) scanning electron micrograph. The numerous small bumps in the palisade parenchyma cells are chloroplasts.
Chloroplasts are also present in the spongy parenchyma, but are not as obvious. The bumps protruding from the lower
surface of the leave are glandular trichomes, which differ in structure from the stalked trichomes in Figure 23.25. (credit
b: modification of work by Robert R. Wise)
Like the stem, the leaf contains vascular bundles composed of xylem and phloem (Figure 23.27). The xylem consists of
tracheids and vessels, which transport water and minerals to the leaves. The phloem transports the photosynthetic products
from the leaf to the other parts of the plant. A single vascular bundle, no matter how large or small, always contains both
xylem and phloem tissues.
1060 Chapter 23 | Plant Form and Physiology
Figure 23.27 This scanning electron micrograph shows xylem and phloem in the leaf vascular bundle from the lyre-
leaved sand cress (Arabidopsis lyrata). (credit: modification of work by Robert R. Wise; scale-bar data from Matt
Russell)
Leaf Adaptations
Coniferous plant species that thrive in cold environments, like spruce, fir, and pine, have leaves that are reduced in size and
needle-like in appearance. These needle-like leaves have sunken stomata and a smaller surface area: two attributes that aid
in reducing water loss. In hot climates, plants such as cacti have leaves that are reduced to spines, which in combination
with their succulent stems, help to conserve water. Many aquatic plants have leaves with wide lamina that can float on the
surface of the water and a thick waxy cuticle on the leaf surface that repels water.
Watch The Pale Pitcher Plant episode of the video (http://openstaxcollege.org/l/plants_cool_too) series Plants Are
Cool, Too, a Botanical Society of America video about a carnivorous plant species found in Louisiana.
How do pale pitcher plants (Sarracinia alata) make sure that insects do not escape after consuming the nectar that
attracted them?
• The insects are skewered on spikes and thorns that rim the funnel-shaped leaf.
• The insects ingest narcotics secreted by the leaf and fall into the funnel-shaped leaf.
• The insects are immobilized by sticky substances on the rim of the funnel-shaped leaf.
Chapter 23 | Plant Form and Physiology 1061
Figure 23.28 One of the most well known bromeliads is Spanish moss (Tillandsia usneoides) seen here in an oak
tree. (credit: Kristine Paulus)
Some plants have special adaptations that help them to survive in nutrient-poor environments. Carnivorous
plants, such as the Venus flytrap and the pitcher plant (Figure 23.29), grow in bogs where the soil is low
in nitrogen. In these plants, leaves are modified to capture insects. The insect-capturing leaves may have
evolved to provide these plants with a supplementary source of much-needed nitrogen.
1062 Chapter 23 | Plant Form and Physiology
Figure 23.29 The (a) Venus flytrap has modified leaves that can capture insects. When an unlucky insect touches
the trigger hairs inside the leaf, the trap suddenly closes. The opening of the (b) pitcher plant is lined with a
slippery wax. Insects crawling on the lip slip and fall into a pool of water in the bottom of the pitcher, where they
are digested by bacteria. The plant then absorbs the smaller molecules. (credit a: modification of work by Peter
Shanks; credit b: modification of work by Tim Mansfield)
Many swamp plants have adaptations that enable them to thrive in wet areas, where their roots grow
submerged underwater. In these aquatic areas, the soil is unstable and little oxygen is available to reach
the roots. Trees, such as mangroves (Rhizophora spp.) growing in coastal waters produce aboveground
roots that help support the tree (Figure 23.30). Some species of mangroves, as well as cypress trees,
have pneumatophores: upward-growing roots containing pores and pockets of tissue specialized for gas
exchange. Wild rice is an aquatic plant with large air spaces in the root cortex. The air-filled tissue—called
aerenchyma—provides a path for oxygen to diffuse down to the root tips, which are embedded in oxygen-
poor bottom sediments.
How do pale pitcher plants (Sarracinia alata) make sure that insects do not escape after consuming the nectar that
attracted them?
• The insects are skewered on spikes and thorns that rim the funnel-shaped leaf.
• The insects ingest narcotics secreted by the leaf and fall into the funnel-shaped leaf.
• The insects are poisoned by lethal compounds in the nectar.
• The insects are immobilized by sticky substances on the rim of the funnel-shaped leaf.
Figure 23.30 The branches of (a) mangrove trees develop aerial roots, which descend to the ground and
help to anchor the trees. (b) Cypress trees and some mangrove species have upward-growing roots called
pneumatophores that are involved in gas exchange. Aquatic plants such as (c) wild rice have large spaces in the
root cortex called aerenchyma, visualized here using scanning electron microscopy. (credit a: modification of work
by Roberto Verzo; credit b: modification of work by Duane Burdick; credit c: modification of work by Robert R.
Wise)
Chapter 23 | Plant Form and Physiology 1063
a. Growing under the rainforest’s canopy made these plants adapt to less water and nutrients.
b. With their narrow leaves, these plants are adapted to grow in low light.
c. With their broad leaves, these plants are adapted to grow in low light, like that usually found indoors.
d. Growing under the rainforest’s canopy provides the plants with more water and nutrients, which they also
need as indoor plants.
Section Summary
Leaves are the main site of photosynthesis. A typical leaf consists of a lamina—the broad part of the leaf, also called the
blade—and a petiole—the stalk that attaches the leaf to a stem. The arrangement of leaves on a stem, known as phyllotaxy,
enables maximum exposure to sunlight. Each plant species has a characteristic leaf arrangement and form. The pattern of
leaf arrangement may be alternate, opposite, or spiral, while leaf form may be simple or compound. Leaf tissue consists of
the epidermis, which forms the outermost cell layer, and mesophyll and vascular tissues, which make up the inner portion
of the leaf. In some plant species, leaf form is modified to form structures such as tendrils, spines, bud scales, and needles.
potential and transpiration influence how water is transported through the xylem.
Carbohydrates synthesized in photosynthesis, primarily sucrose, move from sources to sinks through the plant’s phloem.
Sucrose produced in the Calvin cycle is loaded into the sieve-tube elements of the phloem, and the increased solute
concentration causes water to move by osmosis from the xylem into the phloem.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 2 and Big Idea 4
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Molecules and atoms from the environment are necessary to build new molecules; the
Knowledge movement of water in a plant depends on the properties of water.
Science 4.1: The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
2.8 The student is able to justify the selection of data regarding the types of molecules that
Learning
an animal, plant or bacterium will take up as necessary building blocks and excrete as waste
Objective
products.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Molecules and atoms from the environment are necessary to build new molecules; the
Knowledge movement of water in a plant depends on the properties of water.
Science 1.1: The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 1.4: The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
2.9 The student is able to represent graphically or model quantitatively or qualitatively the
Learning exchange of molecules between an organism and its environment, and the subsequent use
Objective of these molecules to building new molecules that facilitate dynamic homeostasis, growth
and reproduction.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Interactions and coordination between organs and organ systems provide essential
Knowledge biological activities.
Science
3.3: The student can evaluate scientific questions.
Practice
Learning 4.8 The student is able to evaluate scientific questions concerning organisms that exhibit
Objective complex properties due to the interaction of their constituent parts.
Chapter 23 | Plant Form and Physiology 1065
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Interactions and coordination between organs and organ systems provide essential
Knowledge biological activities.
Science
3.3: The student can evaluate scientific questions.
Practice
Learning 4.9 The student is able to predict the effects of a change in the component(s) of a biological
Objective system on the functionality of an organism(s).
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Interactions and coordination between organs and organ systems provide essential
Knowledge biological activities.
Science 1.3: The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 6.4: The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity due
Objective to interactions of the constituent parts.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
the AP exam. These questions address the following standards:
• [APLO 2.40]
• [APLO 4.12]
• [APLO 2.1]
• [APLO 2.8]
• [APLO 2.9]
• [APLO 2.41]
• [APLO 1.2]
• [APLO 1.22]
• [APLO 1.25]
• [APLO 2.19]
• [APLO 2.32]
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 19 Plant Transpiration
The structure of plant roots, stems, and leaves facilitates the transport of water, nutrients, and photosynthates throughout the
plant. The phloem and xylem are the main tissues responsible for this movement. Water potential, evapotranspiration, and
stomatal regulation influence how water and nutrients are transported in plants. To understand how these processes work,
we must first understand the energetics of water potential.
1066 Chapter 23 | Plant Form and Physiology
Water Potential
Plants are phenomenal hydraulic engineers. Using only the basic laws of physics and the simple manipulation of potential
energy, plants can move water to the top of a 116-meter-tall tree (Figure 23.31a). Plants can also use hydraulics to generate
enough force to split rocks and buckle sidewalks (Figure 23.31b). Plants achieve this because of water potential.
Figure 23.31 With heights nearing 116 meters, (a) coastal redwoods (Sequoia sempervirens) are the tallest trees in the
world. Plant roots can easily generate enough force to (b) buckle and break concrete sidewalks, much to the dismay of
homeowners and city maintenance departments. (credit a: modification of work by Bernt Rostad; credit b: modification
of work by Pedestrians Educating Drivers on Safety, Inc.)
Water potential is a measure of the potential energy in water. Plant physiologists are not interested in the energy in
any one particular aqueous system, but are very interested in water movement between two systems. In practical terms,
therefore, water potential is the difference in potential energy between a given water sample and pure water at atmospheric
pressure and ambient temperature. Water potential is denoted by the Greek letter Ψ (psi) and is expressed in units of
pressure–pressure is a form of energy—called megapascals (MPa). The potential of pure water (Ψwpure H2O) is, by
convenience of definition, designated a value of zero, even though pure water contains plenty of potential energy, that
energy is ignored. Water potential values for the water in a plant root, stem, or leaf are therefore expressed relative to Ψwpure
H2O
.
The water potential in plant solutions is influenced by solute concentration, pressure, gravity, and factors called matrix
effects. Water potential can be broken down into its individual components using the following equation
Ψ system = Ψ total = Ψ s + Ψ p + Ψ g + Ψ m,
where Ψs, Ψp, Ψg, and Ψm refer to the solute, pressure, gravity, and matric potentials, respectively. System can refer to
the water potential of the soil water (Ψsoil), root water (Ψroot), stem water (Ψstem), leaf water (Ψleaf), or the water in the
atmosphere (Ψatmosphere): whichever aqueous system is under consideration. As the individual components change, they
raise or lower the total water potential of a system. When this happens, water moves to equilibrate, moving from the system
or compartment with a higher water potential to the system or compartment with a lower water potential. This brings the
difference in water potential between the two systems (ΔΨ) back to zero (ΔΨ = 0). Therefore, for water to move through
the plant from the soil to the air—a process called transpiration—Ψsoil must be > Ψroot > Ψstem > Ψleaf > Ψatmosphere.
Water only moves in response to ΔΨ, not in response to the individual components. However, because the individual
components influence the total Ψsystem, by manipulating the individual components, especially Ψs, a plant can control water
movement.
Solute Potential
Solute potential (Ψs), also called osmotic potential, is negative in a plant cell and zero in distilled water. Typical values for
cell cytoplasm are –0.5 to –1.0 MPa. Solutes reduce water potential, resulting in a negative Ψw, by consuming some of the
potential energy available in the water. Solute molecules can dissolve in water because water molecules can bind to them
via hydrogen bonds; a hydrophobic molecule like oil, which cannot bind to water, cannot go into solution. The energy in the
hydrogen bonds between solute molecules and water is no longer available to do work in the system because it is tied up in
the bond. In other words, the amount of available potential energy is reduced when solutes are added to an aqueous system.
Chapter 23 | Plant Form and Physiology 1067
Thus, Ψs decreases with increasing solute concentration. Because Ψs is one of the four components of Ψsystem or Ψtotal, a
decrease in Ψs will cause a decrease in Ψtotal. The internal water potential of a plant cell is more negative than pure water
because of the cytoplasm’s high solute content (Figure 23.32). Because of this difference in water potential water will move
from the soil into a plant’s root cells via the process of osmosis. This is why solute potential is sometimes called osmotic
potential.
Plant cells can metabolically manipulate Ψs and by extension, Ψtotal, by adding or removing solute molecules. Therefore,
plants have control over Ψtotal via their ability to exert metabolic control over Ψs.
Figure 23.32 In this example with a semipermeable membrane between two aqueous systems, water will move
from a region of higher to lower water potential until equilibrium is reached. Solutes (Ψs), pressure (Ψp), and
gravity (Ψg) influence total water potential for each side of the tube (Ψtotalright or left), and therefore, the difference
between Ψtotal on each side (ΔΨ). Ψm , the potential due to interaction of water with solid substrates, is ignored
in this example because glass is not especially hydrophilic. Water moves in response to the difference in water
potential between two systems—the left and right sides of the tube.
Positive water potential is applied on the left side of a tube by increasing Ψp so that the water level rises on the right
side. The equation for water potential is: Ψsystem = Ψtotal = Ψs + Ψp + Ψg + Ψm where Ψs, Ψp, Ψg, and Ψm refer to
the solute, pressure, gravity, and matric potentials, respectively. Could you equalize the water level on each side of the
tube by adding solute?
a. Yes, water level can be equalized by adding solute to the right side of the tube so that water moves toward
the left until the water levels are equal.
b. No, water level cannot be equalized on both sides of the tubes by adding solutes with no other action.
c. Yes, water level can be equalized by adding solute to the left side of the tube so that water moves toward the
left until the water levels are equal.
d. No, water level cannot be equalized by adding solutes because solutes are always pulled down by gravity,
thereby not letting water equalize.
1068 Chapter 23 | Plant Form and Physiology
Pressure Potential
Pressure potential (Ψp), also called turgor potential, may be positive or negative (Figure 23.32). Because pressure is
an expression of energy, the higher the pressure, the more potential energy in a system, and vice versa. Therefore, a
positive Ψp—compression—increases Ψtotal, and a negative Ψp—tension—decreases Ψtotal. Positive pressure inside cells
is contained by the cell wall, producing turgor pressure. Pressure potentials are typically around 0.6–0.8 MPa, but can reach
as high as 1.5 MPa in a well-watered plant. A Ψp of 1.5 MPa equates to 210 pounds per square inch, such that 1.5 MPa x
140 lb in.-2 MPa-1 = 210 lb/in.-2. As a comparison, most automobile tires are kept at a pressure of 30–34 psi. An example
of the effect of turgor pressure is the wilting of leaves and their restoration after the plant has been watered (Figure 23.33).
Water is lost from the leaves via transpiration—approaching Ψp = 0 MPa at the wilting point—and restored by uptake via
the roots.
A plant can manipulate Ψp via its ability to manipulate Ψs and by the process of osmosis. If a plant cell increases the
cytoplasmic solute concentration, Ψs will decline, Ψtotal will decline, the ΔΨ between the cell and the surrounding tissue
will decline, water will move into the cell by osmosis, and Ψp will increase. Ψp is also under indirect plant control via the
opening and closing of stomata. Stomatal openings allow water to evaporate from the leaf, reducing Ψp and Ψtotal of the
leaf and increasing ΔΨ between the water in the leaf and the petiole, thereby allowing water to flow from the petiole into
the leaf.
Figure 23.33 When (a) total water potential (Ψtotal) is lower outside the cells than inside, water moves out of the cells
and the plant wilts. When (b) the total water potential is higher outside the plant cells than inside, water moves into the
cells, resulting in turgor pressure (Ψp) and keeping the plant erect. (credit: modification of work by Victor M. Vicente
Selvas)
Gravity Potential
Gravity potential (Ψg) is always negative to zero in a plant with no height. It always removes or consumes potential energy
from the system. The force of gravity pulls water downwards to the soil, reducing the total amount of potential energy in
the water in the plant (Ψtotal). The taller the plant, the taller the water column, and the more influential Ψg becomes. On
a cellular scale and in short plants, this effect is negligible and easily ignored. However, over the height of a tall tree like
a giant coastal redwood, the gravitational pull of –0.1 MPa m-1 is equivalent to an extra 1 MPa of resistance that must be
overcome for water to reach the leaves of the tallest trees. Plants are unable to manipulate Ψ g.
Matric Potential
Matric potential (Ψm) is always negative to zero. In a dry system, it can be as low as –2 MPa in a dry seed, and it is zero in
a water-saturated system. The binding of water to a matrix always removes or consumes potential energy from the system.
Ψm is similar to solute potential because it involves tying up the energy in an aqueous system by forming hydrogen bonds
between the water and some other component. However, in solute potential, the other components are soluble, hydrophilic
solute molecules, whereas in Ψm, the other components are insoluble, hydrophilic molecules of the plant cell wall. Every
plant cell has a cellulosic cell wall and the cellulose in the cell walls is hydrophilic, producing a matrix for adhesion of
water: hence the name matric potential. Ψm is very large—negative—in dry tissues such as seeds or drought-affected soils.
However, it quickly goes to zero as the seed takes up water or the soil hydrates. Ψm cannot be manipulated by the plant and
is typically ignored in well-watered roots, stems, and leaves.
is the energy associated with a chemical reaction that can be used to do work. This is expressed as ΔΨ.
Transpiration is the loss of water from the plant through evaporation at the leaf surface. It is the main driver of water
movement in the xylem. Transpiration is caused by the evaporation of water at the leaf–atmosphere interface; it creates
negative pressure—tension—equivalent to –2 MPa at the leaf surface. This value varies greatly depending on the vapor
pressure deficit, which can be negligible at high relative humidity (RH) and substantial at low RH. Water from the roots is
pulled up by this tension. At night, when stomata shut and transpiration stops, the water is held in the stem and leaf by the
adhesion of water to the cell walls of the xylem vessels and tracheids, and the cohesion of water molecules to each other.
This is called the cohesion–tension theory of sap ascent.
Inside the leaf at the cellular level, water on the surface of mesophyll cells saturates the cellulose microfibrils of the primary
cell wall. The leaf contains many large intercellular air spaces for the exchange of oxygen for carbon dioxide, which is
required for photosynthesis. The wet cell wall is exposed to this leaf internal air space, and the water on the surface of the
cells evaporates into the air spaces, decreasing the thin film on the surface of the mesophyll cells. This decrease creates a
greater tension on the water in the mesophyll cells (Figure 23.34), thereby increasing the pull on the water in the xylem
vessels. The xylem vessels and tracheids are structurally adapted to cope with large changes in pressure. Rings in the vessels
maintain their tubular shape, much like the rings on a vacuum cleaner hose keep the hose open while it is under pressure.
Small perforations between vessel elements reduce the number and size of gas bubbles that can form via a process called
cavitation. The formation of gas bubbles in xylem interrupts the continuous stream of water from the base to the top of the
plant, causing a break termed an embolism in the flow of xylem sap. The taller the tree, the greater the tension forces needed
to pull water, and the more cavitation events. In larger trees, the resulting embolisms can plug xylem vessels, making them
non-functional.
1070 Chapter 23 | Plant Form and Physiology
Figure 23.34 The cohesion–tension theory of sap ascent is shown. Evaporation from the mesophyll cells
produces a negative water potential gradient that causes water to move upwards from the roots through the xylem.
Transpiration—the loss of water vapor to the atmosphere through stomata—is a passive process, meaning that metabolic
energy in the form of ATP is not required for water movement. The energy driving transpiration is the difference in energy
between the water in the soil and the water in the atmosphere. However, transpiration is tightly controlled.
Control of Transpiration
The atmosphere to which the leaf is exposed drives transpiration, but also causes massive water loss from the plant. Up to
90 percent of the water taken up by roots may be lost through transpiration.
Leaves are covered by a waxy cuticle on the outer surface that prevents the loss of water. Regulation of transpiration,
therefore, is achieved primarily through the opening and closing of stomata on the leaf surface. Stomata are surrounded by
two specialized cells called guard cells, which open and close in response to environmental cues such as light intensity and
quality, leaf water status, and carbon dioxide concentrations. Stomata must open to allow air containing carbon dioxide and
oxygen to diffuse into the leaf for photosynthesis and respiration. When stomata are open, however, water vapor is lost to
the external environment, increasing the rate of transpiration. Therefore, plants must maintain a balance between efficient
photosynthesis and water loss.
Chapter 23 | Plant Form and Physiology 1071
Plants have evolved over time to adapt to their local environment and reduce transpiration (Figure 23.35). Desert
plants—xerophytes—and plants that grow on other plants—epiphytes—have limited access to water. Such plants usually
have a much thicker waxy cuticle than those growing in more moderate, well-watered environments—mesophytes. Aquatic
plants—hydrophytes—also have their own set of anatomical and morphological leaf adaptations.
Figure 23.35 Plants are suited to their local environment. (a) Xerophytes, like this prickly pear cactus (Opuntia
spp.) and (b) epiphytes such as this tropical Aeschynanthus perrottetii have adapted to very limited water resources.
The leaves of a prickly pear are modified into spines, which lowers the surface-to-volume ratio and reduces water
loss. Photosynthesis takes place in the stem, which also stores water. (b) A. perottetii leaves have a waxy cuticle
that prevents water loss. (c) Goldenrod (Solidago spp.) is a mesophyte, well suited for moderate environments. (d)
Hydrophytes, like this fragrant water lily (Nymphaea odorata), are adapted to thrive in aquatic environments. (credit
a: modification of work by Jon Sullivan; credit b: modification of work by L. Shyamal/Wikimedia Commons; credit c:
modification of work by Huw Williams; credit d: modification of work by Jason Hollinger)
Xerophytes and epiphytes often have a thick covering of trichomes or of stomata that are sunken below the leaf’s surface.
Trichomes are specialized hair-like epidermal cells that secrete oils and substances. These adaptations impede air flow
across the stomatal pore and reduce transpiration. Multiple epidermal layers are also commonly found in these types of
plants.
Structures that produce photosynthates for the growing plant are referred to as sources. Sugars produced in sources, such
as leaves, need to be delivered to growing parts of the plant via the phloem in a process called translocation. The points of
sugar delivery, such as roots, young shoots, and developing seeds, are called sinks. Seeds, tubers, and bulbs can be either a
source or a sink, depending on the plant’s stage of development and the season.
The products from the source are usually translocated to the nearest sink through the phloem. For example, the highest
leaves will send photosynthates upward to the growing shoot tip, whereas lower leaves will direct photosynthates downward
to the roots. Intermediate leaves will send products in both directions, unlike the flow in the xylem, which is always
unidirectional—soil to leaf to atmosphere. The pattern of photosynthate flow changes as the plant grows and develops.
Photosynthates are directed primarily to the roots early on, to shoots and leaves during vegetative growth, and to seeds and
fruits during reproductive development. They are also directed to tubers for storage.
Translocation: Transport from Source to Sink
Photosynthates, such as sucrose, are produced in the mesophyll cells of photosynthesizing leaves. From there they are
translocated through the phloem to where they are used or stored. Mesophyll cells are connected by cytoplasmic channels
called plasmodesmata. Photosynthates move through these channels to reach phloem sieve-tube elements (STEs) in the
vascular bundles. From the mesophyll cells, the photosynthates are loaded into the phloem STEs. The sucrose is actively
transported against its concentration gradient—a process requiring ATP—into the phloem cells using the electrochemical
potential of the proton gradient. This is coupled to the uptake of sucrose with a carrier protein called the sucrose-H+
symporter.
Phloem STEs have reduced cytoplasmic contents, and are connected by a sieve plate with pores that allow for pressure-
driven bulk flow, or translocation, of phloem sap. Companion cells are associated with STEs. They assist with metabolic
activities and produce energy for the STEs (Figure 23.36).
Figure 23.36 Phloem is comprised of cells called sieve-tube elements. Phloem sap travels through perforations called
sieve tube plates. Neighboring companion cells carry out metabolic functions for the sieve-tube elements and provide
them with energy. Lateral sieve areas connect the sieve-tube elements to the companion cells.
Once in the phloem, the photosynthates are translocated to the closest sink. Phloem sap is an aqueous solution that contains
up to 30 percent sugar, minerals, amino acids, and plant growth regulators. The high percentage of sugar decreases Ψs,
which decreases the total water potential and causes water to move by osmosis from the adjacent xylem into the phloem
tubes, thereby increasing pressure. This increase in total water potential causes the bulk flow of phloem from source to
sink (Figure 23.37). Sucrose concentration in the sink cells is lower than in the phloem STEs because the sink sucrose has
been metabolized for growth, or converted to starch for storage or other polymers, such as cellulose, for structural integrity.
Unloading at the sink end of the phloem tube occurs by either diffusion or active transport of sucrose molecules from an
area of high concentration to one of low concentration. Water diffuses from the phloem by osmosis and is then transpired or
recycled via the xylem back into the phloem sap.
Chapter 23 | Plant Form and Physiology 1073
Figure 23.37 Sucrose is actively transported from source cells into companion cells and then into the sieve-tube
elements. This reduces the water potential, which causes water to enter the phloem from the xylem. The resulting
positive pressure forces the sucrose-water mixture down toward the roots, where sucrose is unloaded. Transpiration
causes water to return to the leaves through the xylem vessels.
Activity
Based on water’s molecular properties, create a visual diagram/model to illustrate how water travels up a
300-foot California redwood tree through xylem.
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based, Investigation 11: Transpiration. Design and conduct a series
of experiments to investigate the effects of environmental variables on transpiration rates.
Think About It
Desert travelers claim that cactus juice tastes sweeter during the day than at night. Based on your understanding of
photosynthesis, transpiration, and the regulation of stomata by guard cells in response to environmental conditions, is
there any validity to this claim?
Section Summary
Water potential (Ψ) is a measure of the difference in potential energy between a water sample and pure water. The water
potential in plant solutions is influenced by solute concentration, pressure, gravity, and matric potential. Water potential
and transpiration influence how water is transported through the xylem in plants. These processes are regulated by stomatal
opening and closing. Photosynthates, mainly sucrose, move from sources to sinks through the plant’s phloem. Sucrose is
actively loaded into the sieve-tube elements of the phloem. The increased solute concentration causes water to move by
osmosis from the xylem into the phloem. The positive pressure that is produced pushes water and solutes down the pressure
gradient. The sucrose is unloaded into the sink, and the water returns to the xylem vessels.
1074 Chapter 23 | Plant Form and Physiology
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Plants use negative and positive feedback mechanisms to maintain their internal
Knowledge environments and respond to external environmental changes.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Science
6.1 The student can justify claims with evidence.
Practice
Chapter 23 | Plant Form and Physiology 1075
Learning 2.17 The student is able to evaluate data that show the effect(s) of changes in
Objective concentrations of key molecules on negative feedback mechanisms.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Plants use negative and positive feedback mechanisms to maintain their internal
Knowledge environments and respond to external environmental changes.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.18 The student can make predictions about how organisms use negative feedback
Objective mechanisms to maintain their internal environments.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential
2.D.1 Cellular activity in plants is affected by interactions with biotic and abiotic factors.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
2.22 The student is able to refine scientific models and questions about the effect of complex
Learning
biotic and abiotic interactions on all biological systems, from cells and organisms to
Objective
populations, communities, and ecosystems.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.4 Plants have nonspecific immune responses to defend against infections and other
Knowledge threats.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
1076 Chapter 23 | Plant Form and Physiology
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.30 The student can create representations or models to describe nonspecific immune
Objective defenses in plants and animals.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Many biological processes involved in growth, reproduction, and dynamic homeostasis
Understanding
include temporal regulation and coordination.
2.E
Essential 2.E.3 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Science
6.1 The student can justify claims with evidence.
Practice
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.39 The student is able to justify scientific claims, using evidence, to describe how timing
Objective and coordination of behavioral events in organisms are regulated by several mechanisms.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Many biological processes involved in growth, reproduction, and dynamic homeostasis
Understanding
include temporal regulation and coordination.
2.E
Essential
2.E.3 Plant responses to stimuli are adaptations favored by natural selection.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.40 The student is able to connect concepts in and across domain(s) to predict how
Objective environmental factors affect responses to information and change behavior.
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Expression of genetic information involves cellular and molecular mechanisms.
3.B
Essential
3.B.2 Signal transmission within and between plant cells mediates gene expression.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.22 The student is able to explain how signal pathways mediate gene expression, including
Objective how this process can affect protein production.
The Science Practices Assessment Ancillary contains additional test questions for this section that will help you prepare for
Chapter 23 | Plant Form and Physiology 1077
Figure 23.38 The biologically inactive form of phytochrome (Pr) is converted into the biologically active form Pfr under
illumination with red light. Far-red light and darkness convert the molecule back into the inactive form.
Plants also use the phytochrome system to sense the change of season. Photoperiodism is a biological response to the timing
and duration of day and night. It controls flowering, setting of winter buds, and vegetative growth. Detection of seasonal
changes is crucial to plant survival. Although temperature and light intensity influence plant growth, they are not reliable
indicators of season because they may vary from one year to the next. Day length is a better indicator of the time of year.
As stated above, unfiltered sunlight is rich in red light but deficient in far-red light. Therefore, at dawn, all the phytochrome
molecules in a leaf quickly convert to the active Pfr form, and remain in that form until sunset. In the dark, the Pfr form takes
hours to slowly revert back to the Pr form. If the night is long as in winter, all of the Pfr form reverts. If the night is short as
in summer, a considerable amount of Pfr may remain at sunrise. By sensing the Pr/Pfr ratio at dawn, a plant can determine
the length of the day/night cycle. In addition, leaves retain that information for several days, allowing a comparison between
the length of the previous night and the preceding several nights. Shorter nights indicate springtime to the plant; when
the nights become longer, autumn is approaching. This information, along with sensing temperature and water availability,
allows plants to determine the time of the year and adjust their physiology accordingly. Short-day, long-night plants use this
information to flower in the late summer and early fall, when nights exceed a critical length—often eight or fewer hours.
Long-day, short-night plants flower during the spring, when darkness is less than a critical length—often eight to 15 hours.
Not all plants use the phytochrome system in this way. Flowering in day-neutral plants is not regulated by daylength.
Chapter 23 | Plant Form and Physiology 1079
Horticulturist
The word horticulturist comes from the Latin words for garden—hortus—and culture—cultura. This career
has been revolutionized by progress made in the understanding of plant responses to environmental stimuli.
Growers of crops, fruit, vegetables, and flowers were previously constrained by having to time their sowing
and harvesting according to the season. Now, horticulturists can manipulate plants to increase leaf, flower,
or fruit production by understanding how environmental factors affect plant growth and development.
Greenhouse management is an essential component of a horticulturist’s education. To lengthen the night,
plants are covered with a blackout shade cloth. Long-day plants are irradiated with red light in winter to
promote early flowering. For example, fluorescent, cool white light high in blue wavelengths encourages
leafy growth and is excellent for starting seedlings. Incandescent lamps—standard light bulbs—are rich in
red light, and promote flowering in some plants. The timing of fruit ripening can be increased or delayed
by applying plant hormones. Recently, considerable progress has been made in the development of plant
breeds that are suited to different climates and resistant to pests and transportation damage. Both crop
yield and quality have increased as a result of practical applications of the knowledge of plant responses to
external stimuli and hormones.
Horticulturists find employment in private and governmental laboratories, greenhouses, botanical gardens,
and in the production or research fields. They improve crops by applying their knowledge of genetics and
plant physiology. To prepare for a horticulture career, students take classes in botany, plant physiology, plant
pathology, landscape design, and plant breeding. To complement these traditional courses, horticulture
majors add studies in economics, business, computer science, and communications.
Figure 23.39 Azure bluets (Houstonia caerulea) display a phototropic response by bending toward the light. (credit:
Cory Zanker)
In 1913, Peter Boysen-Jensen demonstrated that a chemical signal produced in the plant tip was responsible for the bending
at the base. He cut off the tip of a seedling, covered the cut section with a layer of gelatin, and then replaced the tip. The
seedling bent toward the light when illuminated. However, when impermeable mica flakes were inserted between the tip and
the cut base, the seedling did not bend. A refinement of the experiment showed that the signal traveled on the shaded side
of the seedling. When the mica plate was inserted on the illuminated side, the plant did bend towards the light. Therefore,
the chemical signal was a growth stimulant because the phototropic response involved faster cell elongation on the shaded
side than on the illuminated side. We now know that as light passes through a plant stem, it is diffracted and generates
phototropin activation across the stem. Most activation occurs on the lit side, causing the plant hormone indole acetic acid
(IAA) to accumulate on the shaded side. Stem cells elongate under influence of IAA.
Cryptochromes are another class of blue-light absorbing photoreceptors that also contain a flavin-based chromophore.
Cryptochromes set the plants 24-hour activity cycle, also know as its circadian rhythem, using blue light cues. There is some
evidence that cryptochromes work together with phototropins to mediate the phototropic response.
Watch this video (http://openstaxcollege.org/l/plnts_n_motion) showing plant growth and movement in response to
various stimuli.
If green light was used rather than white light to irradiate a sunflower seedling, what would happen?
a. Green light is absorbed by the plant. The seedling would not bend, but it would grow tall and spindly as if
grown in the dark.
b. Green light is not absorbed by the plant. The seedling would not bend, but it would grow tall and spindly as
if grown in the dark.
c. Green light is not absorbed by the plant. The seedling would not grow tall and spindly, but it would bend.
d. Green light is absorbed by the plant. The seedling would not grow tall and spindly, but it would bend.
grow downward into the ground. A plant laid on its side in the dark will send shoots upward when given enough time.
Gravitropism ensures that roots grow into the soil and that shoots grow toward sunlight. Growth of the shoot apical tip
upward is called negative gravitropism, whereas growth of the roots downward is called positive gravitropism.
Amyloplasts, also known as statoliths, are specialized plastids that contain starch granules and settle downward in response
to gravity. Amyloplasts are found in shoots and in specialized cells of the root cap. When a plant is tilted, the statoliths drop
to the new bottom cell wall. A few hours later, the shoot or root will show growth in the new vertical direction.
The mechanism that mediates gravitropism is reasonably well understood. When amyloplasts settle to the bottom of the
gravity-sensing cells in the root or shoot, they physically contact the endoplasmic reticulum (ER), causing the release of
calcium ions from inside the ER. This calcium signaling in the cells causes polar transport of the plant hormone IAA to
the bottom of the cell. In roots, a high concentration of IAA inhibits cell elongation. The effect slows growth on the lower
side of the root, while cells develop normally on the upper side. IAA has the opposite effect in shoots, where a higher
concentration at the lower side of the shoot stimulates cell expansion, causing the shoot to grow up. After the shoot or root
begin to grow vertically, the amyloplasts return to their normal position. Other hypotheses—involving the entire cell in
the gravitropism effect—have been proposed to explain why some mutants that lack amyloplasts may still exhibit a weak
gravitropic response.
Growth Responses
A plant’s sensory response to external stimuli relies on chemical messengers—hormones. Plant hormones affect all aspects
of plant life, from flowering to fruit setting and maturation, and from phototropism to leaf fall. Potentially every cell in a
plant can produce plant hormones. They can act in their cell of origin or be transported to other portions of the plant body,
with many plant responses involving the synergistic or antagonistic interaction of two or more hormones. In contrast, animal
hormones are produced in specific glands and transported to a distant site for action, and they act alone.
Plant hormones are a group of unrelated chemical substances that affect plant morphogenesis. Five major plant hormones
are traditionally described: auxins, particularly IAA, cytokinins, gibberellins, ethylene, and abscisic acid. In addition, other
nutrients and environmental conditions can be characterized as growth factors.
Auxins
The term auxin is derived from the Greek word auxein, which means to grow. Auxins are the main hormones responsible for
cell elongation in phototropism and gravitropism. They also control the differentiation of meristem into vascular tissue, and
promote leaf development and arrangement. While many synthetic auxins are used as herbicides, IAA is the only naturally
occurring auxin that shows physiological activity. Apical dominance—the inhibition of lateral bud formation—is triggered
by auxins produced in the apical meristem. Flowering, fruit setting and ripening, and inhibitionx of abscission—leaf
falling—are other plant responses under the direct or indirect control of auxins. Auxins also act as a relay for the effects of
the blue light and red/far-red responses.
Commercial use of auxins is widespread in plant nurseries and for crop production. IAA is used as a rooting hormone
to promote growth of adventitious roots on cuttings and detached leaves. Applying synthetic auxins to tomato plants in
greenhouses promotes normal fruit development. Outdoor application of auxin promotes synchronization of fruit setting
and dropping to coordinate the harvesting season. Fruits such as seedless cucumbers can be induced to set fruit by treating
unfertilized plant flowers with auxins.
Cytokinins
The effect of cytokinins was first reported when it was found that adding the liquid endosperm of coconuts to developing
plant embryos in culture stimulated their growth. The stimulating growth factor was found to be cytokinin, a hormone that
promotes cytokinesis, or cell division. Almost 200 naturally occurring or synthetic cytokinins are known to date. Cytokinins
are most abundant in growing tissues, such as roots, embryos, and fruits, where cell division is occurring. Cytokinins are
known to delay senescence in leaf tissues, promote mitosis, and stimulate differentiation of the meristem in shoots and
roots. Many effects on plant development are under the influence of cytokinins, either in conjunction with auxin or another
hormone. For example, apical dominance seems to result from a balance between auxins that inhibit lateral buds, and
cytokinins that promote bushier growth.
Gibberellins
Gibberellins (GAs) are a group of about 125 closely related plant hormones that stimulate shoot elongation, seed
germination, and fruit and flower maturation. GAs are synthesized in the root and stem apical meristems, young leaves,
and seed embryos. In urban areas, GA antagonists are sometimes applied to trees under power lines to control growth and
reduce the frequency of pruning.
GAs break dormancy—a state of inhibited growth and development—in the seeds of plants that require exposure to cold or
light to germinate. Other effects of GAs include gender expression, seedless fruit development, and the delay of senescence
1082 Chapter 23 | Plant Form and Physiology
in leaves and fruit. Seedless grapes are obtained through standard breeding methods and contain inconspicuous seeds that
fail to develop. Because GAs are produced by the seeds, and because fruit development and stem elongation are under GA
control, these varieties of grapes would normally produce small fruit in compact clusters. Maturing grapes are routinely
treated with GA to promote larger fruit size, as well as looser bunches—longer stems—which reduces the instance of
mildew infection (Figure 23.40).
Figure 23.40 In grapes, application of gibberellic acid increases the size of fruit and loosens clustering. (credit: Bob
Nichols, USDA)
Abscisic Acid
The plant hormone abscisic acid (ABA) was first discovered as the agent that causes the abscission or dropping of cotton
bolls. However, more recent studies indicate that ABA plays only a minor role in the abscission process. ABA accumulates
as a response to stressful environmental conditions, such as dehydration, cold temperatures, or shortened day lengths. Its
activity counters many of the growth-promoting effects of GAs and auxins. ABA inhibits stem elongation and induces
dormancy in lateral buds.
ABA induces dormancy in seeds by blocking germination and promoting the synthesis of storage proteins. Plants adapted
to temperate climates require a long period of cold temperature before seeds germinate. This mechanism protects young
plants from sprouting too early during unseasonably warm weather in winter. As the hormone gradually breaks down over
winter, the seed is released from dormancy and germinates when conditions are favorable in spring. Another effect of ABA
is to promote the development of winter buds; it mediates the conversion of the apical meristem into a dormant bud. Low
soil moisture causes an increase in ABA, which causes stomata to close, reducing water loss in winter buds.
Ethylene
Ethylene is associated with fruit ripening, flower wilting, and leaf fall. Ethylene is unusual because it is a volatile gas
(C2H4). Hundreds of years ago, when gas street lamps were installed in city streets, trees that grew close to lamp posts
developed twisted, thickened trunks and shed their leaves earlier than expected. These effects were caused by ethylene
volatilizing from the lamps.
Aging tissues, especially senescing leaves, and nodes of stems produce ethylene. The best-known effect of the hormone,
however, is the promotion of fruit ripening. Ethylene stimulates the conversion of starch and acids to sugars. Some people
store unripe fruit, such as avocadoes, in a sealed paper bag to accelerate ripening; the gas released by the first fruit to
mature will speed up the maturation of the remaining fruit. Ethylene also triggers leaf and fruit abscission, flower fading
and dropping, and promotes germination in some cereals and sprouting of bulbs and potatoes.
Ethylene is widely used in agriculture. Commercial fruit growers control the timing of fruit ripening with application of
Chapter 23 | Plant Form and Physiology 1083
the gas. Horticulturalists inhibit leaf dropping in ornamental plants by removing ethylene from greenhouses using fans and
ventilation.
Nontraditional Hormones
Recent research has discovered a number of compounds that also influence plant development. Their roles are less
understood than the effects of the major hormones described so far.
Jasmonates play a major role in defense responses to herbivory. Their levels increase when a plant is wounded by a
predator, resulting in an increase in toxic secondary metabolites. They contribute to the production of volatile compounds
that attract natural enemies of predators. For example, chewing of tomato plants by caterpillars leads to an increase in
jasmonic acid levels, which in turn triggers the release of volatile compounds that attract predators of the pest.
Oligosaccharins also play a role in plant defense against bacterial and fungal infections. They act locally at the site of
injury, and can also be transported to other tissues. Strigolactones promote seed germination in some species and inhibit
lateral apical development in the absence of auxins. Strigolactones also play a role in the establishment of mycorrhizae, a
mutualistic association of plant roots and fungi. Brassinosteroids are important to many developmental and physiological
processes. Signals between these compounds and other hormones, notably auxin and GAs, amplifies their physiological
effect. Apical dominance, seed germination, gravitropism, and resistance to freezing are all positively influenced by
hormones. Root growth and fruit dropping are inhibited by steroids.
The mimosa plant is also known as the sensitive plant, because its leaves are sensitive to touch and will
fold inward and droop. Leaves in their normal state are shown on the left.
Figure 23.41
Thigmomorphogenesis is a slow developmental change in the shape of a plant subjected to continuous mechanical stress.
When trees bend in the wind, for example, growth is usually stunted and the trunk thickens. Strengthening tissue, especially
xylem, is produced to add stiffness to resist the wind’s force. Researchers hypothesize that mechanical strain induces growth
and differentiation to strengthen the tissues. Ethylene and jasmonate are likely involved in thigmomorphogenesis.
1084 Chapter 23 | Plant Form and Physiology
Use the menu at the left to navigate to three short movies: (http://openstaxcollege.org/l/nastic_mvmt) a Venus fly trap
capturing prey, the progressive closing of sensitive plant leaflets, and the twining of tendrils.
A Venus fly trap response is triggered by touching the leaves leaves ______.
c. in the center of the leaf, where the touch-sensitive hairs are located
d. on the petiole followed by the center of leaf which signal the presence of a wandering insect
Think About It
1. Owners and managers of plant nurseries have to plan a lighting schedule for a long-day plant that will flower
in February. What lighting periods will be most effective?
2. Storage facilities for fruits and vegetables are usually refrigerated and well ventilated. Why are these
conditions advantageous?
3. Stomata close in response to bacterial infection. Create a diagram to illustrate how this is a defense
mechanism for the plant.
Section Summary
Plants respond to light by changes in morphology and activity. Irradiation by red light converts the photoreceptor
phytochrome to its far-red light-absorbing form—Pfr. This form controls germination and flowering in response to length
of day, as well as triggers photosynthesis in dormant plants or those that just emerged from the soil. Blue-light receptors,
cryptochromes, and phototropins are responsible for phototropism. Amyloplasts, which contain heavy starch granules,
sense gravity. Shoots exhibit negative gravitropism, whereas roots exhibit positive gravitropism. Plant hormones—naturally
occurring compounds synthesized in small amounts—can act both in the cells that produce them and in distant tissues and
organs. Auxins are responsible for apical dominance, root growth, directional growth toward light, and many other growth
responses. Cytokinins stimulate cell division and counter apical dominance in shoots. Gibberellins inhibit dormancy of
seeds and promote stem growth. Abscisic acid induces dormancy in seeds and buds, and protects plants from excessive
water loss by promoting stomatal closure. Ethylene gas speeds up fruit ripening and dropping of leaves. Plants respond to
touch by rapid movements—thigmotropy and thigmonasty—and slow differential growth—thigmomorphogenesis. Plants
have evolved defense mechanisms against predators and pathogens. Physical barriers like bark and spines protect tender
tissues. Plants also have chemical defenses, including toxic secondary metabolites and hormones, which elicit additional
defense mechanisms.
1086 Chapter 23 | Plant Form and Physiology
KEY TERMS
abscisic acid (ABA) plant hormone that induces dormancy in seeds and other organs
abscission physiological process that leads to the fall of a plant organ, such as leaf or petal drop
adventitious root aboveground root that arises from a plant part other than the radicle of the plant embryo
apical meristem meristematic tissue located at the tips of stems and roots; enables a plant to extend in length
auxin plant hormone that influences cell elongation in phototropism, gravitropism, apical dominance and root growth
axillary bud bud located in the axil: the stem area where the petiole connects to the stem
bulb modified underground stem that consists of a large bud surrounded by numerous leaf scales
Casparian strip waxy coating that forces water to cross endodermal plasma membranes before entering the vascular
cylinder, instead of moving between endodermal cells
collenchyma cell elongated plant cell with unevenly thickened walls; provides structural support to the stem and leaves
companion cell phloem cell that is connected to sieve-tube cells; has large amounts of ribosomes and mitochondrion
compound leaf leaf in which the leaf blade is subdivided to form leaflets, all attached to the midrib
cortex ground tissue found between the vascular tissue and the epidermis in a stem or root
cryptochrome protein that absorbs light in the blue and ultraviolet regions of the light spectrum
cuticle waxy covering on the outside of the leaf and stem that prevents the loss of water
dermal tissue protective plant tissue covering the outermost part of the plant; controls gas exchange
endodermis layer of cells in the root that forms a selective barrier between the ground tissue and the vascular tissue,
allowing water and minerals to enter the root while excluding toxins and pathogens
epidermis single layer of cells found in plant dermal tissue; covers and protects underlying tissue
ethylene volatile plant hormone that is associated with fruit ripening, flower wilting, and leaf fall
fibrous root system type of root system in which the roots arise from the base of the stem in a cluster, forming a dense
network of roots; found in monocots
gibberellin (GA) plant hormone that stimulates shoot elongation, seed germination, and the maturation and dropping of
fruit and flowers
ground tissue plant tissue involved in photosynthesis; provides support, and stores water and sugars
guard cells paired cells on either side of a stoma that control stomatal opening and thereby regulate the movement of
gases and water vapor
Chapter 23 | Plant Form and Physiology 1087
intercalary meristem meristematic tissue located at nodes and the bases of leaf blades; found only in monocots
jasmonates small family of compounds derived from the fatty acid linoleic acid
lateral meristem meristematic tissue that enables a plant to increase in thickness or girth
lenticel opening on the surface of mature woody stems that facilitates gas exchange
meristematic tissue tissue containing cells that constantly divide; contributes to plant growth
node point along the stem at which leaves, flowers, or aerial roots originate
oligosaccharin hormone important in plant defenses against bacterial and fungal infections
palmately compound leaf leaf type with leaflets that emerge from a point, resembling the palm of a hand
parenchyma cell most common type of plant cell; found in the stem, root, leaf, and in fruit pulp; site of photosynthesis
and starch storage
pericycle outer boundary of the stele from which lateral roots can arise
periderm outermost covering of woody stems; consists of the cork cambium, cork cells, and the phelloderm
permanent tissue plant tissue composed of cells that are no longer actively dividing
photoperiodism occurrence of plant processes, such as germination and flowering, according to the time of year
phototropin blue-light receptor that promotes phototropism, stomatal opening and closing, and other responses that
promote photosynthesis
phytochrome plant pigment protein that exists in two reversible forms—Pr and Pfr—and mediates morphologic changes
in response to red light
pinnately compound leaf leaf type with a divided leaf blade consisting of leaflets arranged on both sides of the midrib
pith ground tissue found towards the interior of the vascular tissue in a stem or root
primary growth growth resulting in an increase in length of the stem and the root; caused by cell division in the shoot or
root apical meristem
rhizome modified underground stem that grows horizontally to the soil surface and has nodes and internodes
root cap protective cells covering the tip of the growing root
1088 Chapter 23 | Plant Form and Physiology
root hair hair-like structure that is an extension of epidermal cells; increases the root surface area and aids in absorption of
water and minerals
root system belowground portion of the plant that supports the plant and absorbs water and minerals
runner stolon that runs above the ground and produces new clone plants at nodes
sclerenchyma cell plant cell that has thick secondary walls and provides structural support; usually dead at maturity
secondary growth growth resulting in an increase in thickness or girth; caused by the lateral meristem and cork
cambium
sessile leaf without a petiole that is attached directly to the plant stem
shoot system aboveground portion of the plant; consists of non-reproductive plant parts, such as leaves and stems, and
reproductive parts, such as flowers and fruits
sieve-tube cell phloem cell arranged end to end to form a sieve tube that transports organic substances such as sugars and
amino acids
simple leaf leaf type in which the lamina is completely undivided or merely lobed
sink growing parts of a plant, such as roots and young leaves, which require photosynthate
statolith also, amyloplast; plant organelle that contains heavy starch granules
stele inner portion of the root containing the vascular tissue; surrounded by the endodermis
stipule small green structure found on either side of the leaf stalk or petiole
stolon modified stem that runs parallel to the ground and can give rise to new plants at the nodes
strigolactone hormone that promotes seed germination in some species and inhibits lateral apical development in the
absence of auxins
tap root system type of root system with a main root that grows vertically with few lateral roots; found in dicots
tendril modified stem consisting of slender, twining strands used for support or climbing
thigmonastic directional growth of a plant independent of the direction in which contact is applied
thorn modified stem branch appearing as a sharp outgrowth that protects the plant
tracheid xylem cell with thick secondary walls that helps transport water
tuber modified underground stem adapted for starch storage; has many adventitious buds
vascular tissue tissue made up of xylem and phloem that transports food and water throughout the plant
Chapter 23 | Plant Form and Physiology 1089
venation pattern of veins in a leaf; may be parallel as in monocots, reticulate as in dicots, or dichotomous as in Gingko
biloba
vessel element xylem cell that is shorter than a tracheid and has thinner walls
water potential (Ψw) the potential energy of a water solution per unit volume in relation to pure water at atmospheric
pressure and ambient temperature
whorled pattern of leaf arrangement in which three or more leaves are connected at a node
CHAPTER SUMMARY
23.1 The Plant Body
A vascular plant consists of two organ systems: the shoot system and the root system. The shoot system includes the
aboveground vegetative portions—stems and leaves—and reproductive parts—flowers and fruits. The root system
supports the plant and is usually underground. A plant is composed of two main types of tissue: meristematic tissue and
permanent tissue. Meristematic tissue consists of actively dividing cells found in root and shoot tips. As growth occurs,
meristematic tissue differentiates into permanent tissue, which is categorized as either simple or complex. Simple tissues
are made up of similar cell types; examples include dermal tissue and ground tissue. Dermal tissue provides the outer
covering of the plant. Ground tissue is responsible for photosynthesis; it also supports vascular tissue and may store water
and sugars. Complex tissues are made up of different cell types. Vascular tissue, for example, is made up of xylem and
phloem cells.
23.2 Stems
The stem of a plant bears the leaves, flowers, and fruits. Stems are characterized by the presence of nodes—the points of
attachment for leaves or branches—and internodes—regions between nodes.
Plant organs are made up of simple and complex tissues. The stem has three tissue systems: dermal, vascular, and ground
tissue. Dermal tissue is the outer covering of the plant. It contains epidermal cells, stomata, guard cells, and trichomes.
Vascular tissue is made up of xylem and phloem tissues and conducts water, minerals, and photosynthetic products.
Ground tissue is responsible for photosynthesis and support and is composed of parenchyma, collenchyma, and
sclerenchyma cells.
Primary growth occurs at the tips of roots and shoots, causing an increase in length. Woody plants may also exhibit
secondary growth, or increase in thickness. In woody plants, especially trees, annual rings may form as growth slows at
the end of each season. Some plant species have modified stems that help to store food, propagate new plants, or
discourage predators. Rhizomes, corms, stolons, runners, tubers, bulbs, tendrils, and thorns are examples of modified
stems.
23.3 Roots
Roots help to anchor a plant, absorb water and minerals, and serve as storage sites for food. Taproots and fibrous roots are
the two main types of root systems. In a taproot system, a main root grows vertically downward with a few lateral roots.
Fibrous root systems arise at the base of the stem, where a cluster of roots forms a dense network that is shallower than a
taproot. The growing root tip is protected by a root cap. The root tip has three main zones: a zone of cell division—cells
are actively dividing—a zone of elongation—cells increase in length—and a zone of maturation—cells differentiate to
form different kinds of cells. Root vascular tissue conducts water, minerals, and sugars. In some habitats, the roots of
certain plants may be modified to form aerial roots or epiphytic roots.
23.4 Leaves
Leaves are the main site of photosynthesis. A typical leaf consists of a lamina—the broad part of the leaf, also called the
blade—and a petiole—the stalk that attaches the leaf to a stem. The arrangement of leaves on a stem, known as phyllotaxy,
enables maximum exposure to sunlight. Each plant species has a characteristic leaf arrangement and form. The pattern of
leaf arrangement may be alternate, opposite, or spiral, while leaf form may be simple or compound. Leaf tissue consists of
the epidermis, which forms the outermost cell layer, and mesophyll and vascular tissues, which make up the inner portion
of the leaf. In some plant species, leaf form is modified to form structures such as tendrils, spines, bud scales, and needles.
1090 Chapter 23 | Plant Form and Physiology
Water potential (Ψ) is a measure of the difference in potential energy between a water sample and pure water. The water
potential in plant solutions is influenced by solute concentration, pressure, gravity, and matric potential. Water potential
and transpiration influence how water is transported through the xylem in plants. These processes are regulated by
stomatal opening and closing. Photosynthates, mainly sucrose, move from sources to sinks through the plant’s phloem.
Sucrose is actively loaded into the sieve-tube elements of the phloem. The increased solute concentration causes water to
move by osmosis from the xylem into the phloem. The positive pressure that is produced pushes water and solutes down
the pressure gradient. The sucrose is unloaded into the sink, and the water returns to the xylem vessels.
Plants respond to light by changes in morphology and activity. Irradiation by red light converts the photoreceptor
phytochrome to its far-red light-absorbing form—Pfr. This form controls germination and flowering in response to length
of day, as well as triggers photosynthesis in dormant plants or those that just emerged from the soil. Blue-light receptors,
cryptochromes, and phototropins are responsible for phototropism. Amyloplasts, which contain heavy starch granules,
sense gravity. Shoots exhibit negative gravitropism, whereas roots exhibit positive gravitropism. Plant
hormones—naturally occurring compounds synthesized in small amounts—can act both in the cells that produce them and
in distant tissues and organs. Auxins are responsible for apical dominance, root growth, directional growth toward light,
and many other growth responses. Cytokinins stimulate cell division and counter apical dominance in shoots. Gibberellins
inhibit dormancy of seeds and promote stem growth. Abscisic acid induces dormancy in seeds and buds, and protects
plants from excessive water loss by promoting stomatal closure. Ethylene gas speeds up fruit ripening and dropping of
leaves. Plants respond to touch by rapid movements—thigmotropy and thigmonasty—and slow differential
growth—thigmomorphogenesis. Plants have evolved defense mechanisms against predators and pathogens. Physical
barriers like bark and spines protect tender tissues. Plants also have chemical defenses, including toxic secondary
metabolites and hormones, which elicit additional defense mechanisms.
REVIEW QUESTIONS
1. Students are sketching diagrams of the shoot system of angiosperms for a plant anatomy class. These lists describe
diagrams made by four students. Which diagram represents the shoot system incorrectly?
a. leaves, stem, fruit, flowers
b. stem, fruit, leaves, branches
c. flowers, leaves, branches, stem
d. stem, hair roots, leaves, flowers, branches
2. An herbicide causes roots to shrivel and die. What is the most direct consequence for a plant treated with the herbicide?
a. The plant will grow normally but will not bloom.
b. The plant will dry out because water is not reaching all its organs.
c. New leaves will form to compensate for the dying of roots
d. The plant will grow normally but will not produce fruit
3. Scientists label cells in the lateral meristem of a sapling with a dye to follow the developmental fate of the cells. After
several weeks, sections are prepared from the sapling and observed under the microscope. Which tissues are most likely to
be stained by the dye that was injected into the lateral meristem?
a. Vascular tissue to transport nutrients and water
b. The tip of plant to promote growth of plant
c. Secondary xylem to increase girth of stem
d. Epidermis to cover the plant
4. A lab technician is looking for a slide that shows an example of permanent tissue. Which slide is the best choice?
Chapter 23 | Plant Form and Physiology 1091
a.
b.
c.
d.
14. A student examines a plant part and concludes that it is part of a stem. The presence of ________ fully justifies the
student’s conclusion.
a. vascular tissue
b. nodes and internodes
c. epidermal layer
d. stored carbohydrates
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15. A student reported vascular tissue while inspecting a cross-section of a plant stem under the microscope. Which cells
would allow the student to identify vascular tissue?
a. tracheids, vessel elements, sieve-tube cells, and companion cells
b. cells actively dividing at the apex of the stem
c. parenchyma cells at the center of the section
d. cells covered by a cuticle at the outside edge of the section
16. While using a microscope to observe a stem section stained with a dye that binds lignin, a student notices that some
cells with thick cell walls and large hollow centers are preferentially stained. He concludes that those cells belong to the
________.
a. meristematic tissue
b. vascular tissue
c. ground tissue
d. dermal tissue
17. Scientists are cataloguing slides of plant cross-sections. They are interested in finding examples of secondary growth.
Which example contributes to secondary growth?
a. apical meristem, which contributes to increase in length
b. vascular cambium, which contributes to increase in thickness or girth
c. root region, which shows an increase in root hairs
d. stems, which show an increase in number of leaves
18. Where is the vascular cambium located in an established woody plant?
a. between the primary xylem and the primary phloem
b. between the secondary xylem and the primary phloem
c. between the secondary xylem and the secondary phloem
d. between the primary xylem and the secondary phloem
19. Dendrochronology is the science of dating the age of a tree by counting the annual rings in a tree trunk. If scientists are
determining the age of a tree by dendrochronology, what tissue are they looking at?
a. primary xylem
b. secondary xylem
c. primary phloem
d. vascular cambium
20. While examining the stump of a recently cut tree, you count four thick rings alternating with four rings that are much
narrower and appear denser. From this observation, you should conclude that the tree is ________.
a. two years old, because each ring corresponds to a season
b. three years old, because the first ring you observe is the primary xylem
c. four years old, because secondary xylem grows only in the spring and fall of each year
d. eight years old, because there are eight rings in all
21. Many forms of modified organs exist in plants. What is a rhizome?
a. an underground stem with fleshy leaves modified for food storage as in onions
b. a solid, underground stem covered with scales formed by some plants such as crocuses
c. an aboveground stem with buds as seen in strawberry plants
d. a modified horizontal stem that grows underground as seen in irises
22. Modified organs are part of survival strategies of plants. Which of these plants has a flattened, photosynthetic stem that
could be mistaken for a leaf?
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a. fern
b. cactus
c. potato
d. iris
23. Analyzing cross-sections of different parts of a plant in a plant anatomy class, students categorized the most frequently
encountered types of cells in plant tissues. Which student gave the most accurate report?
a. Student A reported that meristematic cells were the most abundant.
b. Student B tallied mostly collenchyma cells.
c. Student C noticed mostly sclerenchyma cells.
d. Student D observed that parenchyma cells were the most abundant.
24. A carrot is an example of a tap root. Which of these can also be classified as a tap root?
a. the large network of superficial roots of a cactus
b. a dandelion anchored by a long main root that penetrates deep into the soil
c. a banyan tree’s system of roots that dangle from the branches
d. a round organ that stores carbohydrates
25. Some weeds are anchored by taproots. They cause problems to gardeners because they are ________.
a. easy to pull up because the root system is shallow
b. difficult to pull up because their taproots penetrate deep into the soil
c. difficult to pull up because they are anchored by an extensive network of roots
d. easy to pull up because there is not a large network to anchor the plant
26. One of the major concepts of biology is that form follows function. If that is so, what can be deduced from the shape
and location of the root cap?
a. It provides protection to the root tip.
b. It absorbs water and minerals.
c. It acts as a storage tissue.
d. It replicates actively to elongate the root.
27. A technician is preparing microscope slides that will display the different stages of mitosis from root samples. He
compares sections from several areas of the root. Which is the best prediction of his observation?
a. The technician will see mostly mitotic cells in the root cap.
b. The technician will observe mitotic figures in the meristematic tissue below the cap.
c. The technician will observe cell division in the elongation zone.
d. The technician will see that most mitotic cells are in the maturation zone.
28. Selective uptake of minerals in the root is measured and the results are analyzed. If you analyze the data, what should
you see?
a. Pericycle is the tissue where selectivity takes place.
b. The endodermis acts as a selective barrier for minerals taken up by the root.
c. The epidermis acts as a selective barrier for minerals.
d. The root cap functions as a selective barrier for minerals taken up by the root.
29. Sudan Red dye stains primarily waxy, hydrophobic material. A root is soaked in Sudan Red and analyzed for stain
retention. What is a scientist observing sections of the root under a microscope likely to see?
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a. palmately compound
b. pinnately compound
c. simple whorled
d. simple spiral
37. Chlorophyll, the primary photosynthetic pigment, emits light in the red region of the visible spectrum. The presence of
chlorophyll correlates with photosynthetic capacity. Under a fluorescent microscope, what part of a leaf would fluoresce in
the red region of the spectrum?
a. vascular bundle
b. epidermis
c. mesophyll
d. cuticle
38. A pulse of radioactive carbon dioxide (CO2) is provided to isolated leaves. In which tissue would you expect to see
radioactive glucose appear first?
a. in the cells of the mesophyll
b. in the sieve elements of the phloem
c. epidermis
d. vessels of the xylem
39. Which adaptation is most likely to be found in a desert environment?
a. broad leaves to capture sunlight
b. spines instead of leaves
c. needle-like leaves
d. wide, flat leaves that can float
40. In the collection of a botanical garden, plants are classified according to the environments in which they thrive. What
plant would have large leaves covered with a thick upper cuticle and wide flat blades and possess large air
spaces—chambers—within its mesophyll tissue?
a. a water lily floating on water
b. a pine tree growing in the cold and dry taiga
c. a cactus growing in a hot, sunny, and dry environment
d. an orchid hanging from a tree in a tropical forest
41. If a gardener trims leaves off of the stem of a rose, which part of the leaf is cut?
a. petiole
b. lamina
c. stipule
d. midrib
42. On a field trip, students collect a few samples to analyze back in their classroom. One student picks a blade of grass in
the field and identifies it as a dicot leaf, but his partner thinks it is a monocot. Which explanation supports his partner’s
opinion?
a. The leaf displays a thin lamina.
b. There is no petiole.
c. The margins are serrated.
d. The venation is parallel.
43. Which of the following physical components of the total water potential cannot be manipulated by the plant because it
represents the interaction between water and hydrophilic molecules lining the vessels and tracheids?
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a. pressure
b. solute concentration
c. gravity
d. matric potential
44. If the concentration of solute increases in a cell, the water potential will _______ inside the cell and water will move
________ the cell.
a. increase; out of
b. increase; into
c. decrease; into
d. decrease; out of
45. Plants can modify their water potential by opening and closing their stomata to modulate the rate of respiration
according to environmental conditions. Which of the following environmental conditions would cause the stomata to
close?
a. increased temperature
b. high oxygen concentration
c. high relative humidity
d. high light levels
46. Plants regulate their internal water potential by opening and closing stomata. Which events take place when stomata
open?
a. Water vapor is lost to the external environment, increasing the rate of transpiration.
b. Water vapor is lost to the external environment, decreasing the rate of transpiration.
c. Water vapor enters the spaces in the mesophyll, increasing the rate of transpiration.
d. The rate of photosynthesis drops when stomata open.
47. A pulse of sugars labelled with a fluorescent dye is supplied to leaves of young plants. After a brief interval, tissue
sections are obtained from the plant and examined under the fluorescence microscope. Tissues are scored for the presence
of fluorescence and ranked from very high to low fluorescence. Which cells would contain the most fluorescence?
a. xylem
b. companion cells
c. sieve elements
d. epidermis
48. Sugars produced in the leaf are distributed throughout the plant body. An experimenter supplies plants with a pulse of
radiolabeled CO2 in a control chamber. The movement of radioactively labeled sugar is monitored in the plant by
analyzing different cells content over time. Where will the radiolabeled sugar appear immediately after detection in the
leaf cells?
a. tracheids and vessel elements
b. tracheids and companion cells
c. vessel elements and companion cells
d. sieve-tube elements and companion cells
49. Solute potential decreases when solutes are added to a cell. The consequence is to draw water into the cell. Which of
these terms corresponds to solute potential?
a. water potential
b. pressure potential
c. osmotic potential
d. negative potential
50. Plants have many light responses, including photosynthesis, photoperiodism, and phototropism (growing toward a
1098 Chapter 23 | Plant Form and Physiology
light source). Specific wavelengths of light absorbed by different photoreceptors trigger responses. This table shows some
of the most common photoreceptors and pigments and the major regions of the spectrum in which they are active.
Figure 23.42
Research shows that plants bend toward blue light. Even mutant plants that lack carotenoids will bend toward blue light.
The photoreceptor is likely ________.
a. phytochrome
b. chlorophyll
c. phototropin
d. carotenoids
51. Plant flowering is an example of photoperiodism, the response to the length of nights or periods of darkness. A plant
that responds to short nights followed by increasingly longer nights will most likely flower in ________.
a. spring
b. summer
c. autumn
d. winter
52. Gravitropism is plant growth in response to gravity. A dahlia stem was toppled by the wind and is lying lies on the
ground. After a few days, you would likely notice that ________.
a. the stem is growing by curving toward the roots
b. the stem is growing by trailing on the ground
c. the stem is growing by curving upward
d. the plant is wilting
53. Plants most likely detect gravity by sensing the direction in which some components respond to gravity. A mutant
plant has roots that grow in all directions. Which organelle would you expect to be missing in the cell?
a. mitochondria
b. amyloplast
c. chloroplast
d. nucleus
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54. In an experiment to release seeds from dormancy, several hormones were applied to seeds and germination rates were
computed. The table lists the hormones.
59. Many secondary alkaloids are poisonous to the nervous system. What organisms are targeted by the alkaloids?
a. bacteria
b. herbivores
c. fungi
d. viruses
60. Red light converts phytochrome red (Pr) to __________.
a. an inactive form of Pr
b. a breakdown product
c. the far red light absorbing form called Pfr
d. cryptochrome
61. Circadian rhythm refers to a pattern of behavior that recurs on a daily schedule in the absence of an external stimulus.
Flowers open and close according to a circadian rhythm. If a plant is transferred to a dark environment, what will happen?
a. Flowers will stay closed.
b. Flowers will stay open.
c. Flowers will open and close every day at the same time.
d. Flowers will open and close at random times.
65. In an experiment on transport in plants, seedlings are exposed to radiolabeled minerals. In a second experiment, plants
are provided with CO2 that is labeled with 14C. At the end of each experiment, tissue slices are analyzed for the presence
of radiolabeled minerals and radioactive sucrose. Which plant tissue would show the presence of labeled minerals and
which would show the presence of radioactive sucrose?
a. Phloem tissue would show the presence of labeled minerals, and xylem tissue would show the presence of
radioactive sucrose.
b. Xylem tissue would show the presence of labeled minerals, and phloem tissue would show the presence of
radioactive sucrose.
c. Parenchyma would show the presence of labeled minerals, and sclerenchyma would show the presence of
radioactive sucrose.
d. Sclerenchyma would show the presence of labeled minerals, and parenchyma would show the presence of
radioactive sucrose.
66. How could the morphology of cells observed microscopically indicate that the specimen is probably simple tissue?
a. Simple tissue is made of cells that have different shapes, so the specimen will show oval, polygonal, and other
shapes.
b. Simple tissue is made of cells that have intercellular spaces, so the specimen will contain spaces.
c. Simple tissue is made of cells that are elongated and tapered, so the specimen will show elongated cells.
d. Simple tissue is made of cells that are morphologically similar, so the specimen will appear uniform.
67. Which statements list two advantages of a taproot?
a. It anchors the plant, so that it is not easily uprooted by predators or wind. It is a sink for proteins that is protected
from herbivores by being underground.
b. It anchors the plant, so that it is not easily uprooted by predators or wind. It is a source of starches that is
protected from herbivores by being underground.
c. It anchors the plant, so that it cannot be uprooted by predators or wind. It is a sink for starches that is protected
from herbivores by being underground.
d. It anchors the plant, so that it is not easily uprooted by predators or wind. It is a sink for starches that is protected
from herbivores by being underground.
68. Students observe several slides of tissue cross-sections under the microscope. They are asked to develop a key system
to classify the slides as coming from either monocot or dicots. What key system should the students develop?
a. In monocots, the vascular bundles form a distinct ring. In dicots, the vascular bundles are scattered in the ground
tissue.
b. In monocots, the vascular tissue forms a characteristic X shape in the center. In dicots, the phloem and xylem
cells are scattered in the pith.
c. In monocots, the vascular bundles are scattered in the ground tissue. In dicots the vascular bundles form a
distinct ring.
d. In monocot roots, the pith is absent or very small. In dicots, the pith is large and well developed.
69. What are the functions of stomata and guard cells, and what would happen to a plant if these cells did not function
correctly?
1102 Chapter 23 | Plant Form and Physiology
a. Guard cells allow carbon dioxide to enter and exit the plant. Stomata regulate the opening and closing of guard
cells. If the cells didn’t function, photosynthesis and transpiration would cease, which would interfere with the
necessary continuous flow of water upward from roots to leaves.
b. Stomata allow oxygen to enter and exit the plant. Guard cells regulate the opening and closing of stomata. If the
cells didn’t function, photosynthesis would continue but transpiration would cease, which would interfere with
the necessary continuous flow of water upward from roots to leaves.
c. Guard cells allow carbon dioxide to enter and exit the plant. Stomata regulate the opening and closing of guard
cells. Transpiration and in turn, photosynthesis would not occur, which is necessary to maintain a continuous
flow of water upwards from the roots to the leaves.
d. Stomata allow gases to enter and exit the plant. Guard cells regulate the opening and closing of stomata.
Photosynthesis and, in turn, transpiration, would not occur, which is necessary to maintain a continuous flow of
water upwards from the roots to the leaves.
70. An herbicide is developed that impairs the function of the cork cambium in woody plants. Which changes in the plant
should be monitored to gauge the effectiveness of the herbicide?
a. Cork will not be produced and the plant will not increase in girth.
b. Excess cork will be produced and annual rings will not be formed.
c. Cork will not be produced and the plant will not be able to exchange gases.
d. Excess cork will be produced and the plant will not increase in girth.
71. Besides the age of a tree, what additional information can annual rings reveal?
a. Annual rings can also indicate the height of the tree.
b. Annual rings can also indicate the climatic conditions that prevailed during each growing season.
c. Annual rings can also indicate in which season the tree was sown.
d. Annual rings can also give an estimation of how long a particular tree is going to live.
72. Modified stems give an advantage to plants. What advantage do rhizomes, stolons, and runners provide? What
advantages do corms, tubers, and bulbs provide?
a. Rhizomes, stolons, and runners give rise to new plants that are the clones of the parents and they store food.
Corms, tubers, and bulbs can also produce new plants.
b. Rhizomes, stolons, and runners give rise to new plants that are the different from the parents. Corms, tubers, and
bulbs can also produce new plants as well as store food.
c. Rhizomes, stolons, and runners give rise to new plants that are the clones of the parents. Corms, tubers, and
bulbs can also produce new plants as well as store food.
d. Rhizomes, stolons, and runners give rise to new plants that are similar to the parents but show genetic variability.
Corms, tubers, and bulbs can also produce new plants as well as store food.
73. A time course is developed to follow the fate of the vascular bundles in the stem of dicots. Sections along the stem are
fixed, stained, and observed under a microscope. What happens to the vascular bundles in the stem of a dicot as the plant
matures?
a. The vascular bundles join to form growth rings.
b. The vascular bundles divide into primary xylem and primary phloem.
c. The vascular bundles divide into secondary xylem and primary phloem.
d. The vascular bundles die out.
74. Which description correctly compares a tap root system with a fibrous root system?
Chapter 23 | Plant Form and Physiology 1103
a. A tap root system, such as that of carrots, has a single main root that grows down. A fibrous root system, such as
that of wheat, forms a dense network of roots that is closer to the soil surface. Fibrous root systems are found in
monocots, and tap root systems are found in dicots.
b. A fibrous root system, such as that of a carrot, has a single main root that grows down. A taproot system, such as
that of wheat, forms a dense network of roots that is closer to the soil surface. Fibrous root systems are found in
monocots, and tap root systems are found in dicots.
c. A taproot system, such as that of rice, has a single main root that grows down. A fibrous root system, such as
that of a carrot, forms a dense network of roots that is closer to the soil surface. Fibrous root systems are found
in monocots, and tap root systems are found in dicots.
d. A taproot system, such as that of a carrot, has a single main root that grows down. A fibrous root system, such as
that of wheat, forms a dense network of roots that is closer to the soil surface. Taproot systems are found in
monocots, and fibrous root systems are found in dicots.
75. What is the advantage of a root cap covering the apical meristem of a root?
a. It provides protection and helps in absorption.
b. It increases the surface area of root for absorption of water and minerals.
c. It protects meristem against injury and provides lubrication for the growing root to dig through soil.
d. It protects the meristem against injury and helps in absorption.
76. How does selective uptake of water and mineral take place in a root?
a. Water and minerals must follow entirely a path between cells, where selectivity occurs.
b. Water and minerals must follow entirely a path between cells, where no selectivity occurs.
c. Water and minerals must cross the endodermis.
d. Water and minerals must cross the tracheids of the xylem.
77. What are the advantages to a plant of storing a food reserve underground?
a. Food reserves are more nutritious underground. The soil conditions make these food reserves abundant.
b. Food reserves underground are hidden from potential predators. The soil conditions make these food reserves
abundant.
c. Food reserves are more nutritious underground. The soil conditions such as moisture and temperature are less
variable.
d. Food reserves underground are hidden from potential predators. Soil conditions such as moisture and
temperature are less variable.
78. Some desert plants have taproots that extend up to 20–30 feet underground. Others have fibrous root systems that
cover wide areas. What are the advantages of a deep taproot and the advantages of a fibrous root system in a desert?
a. A deep taproot can reach the deeper soil regions that stay moist after several rainfalls. A shallow fibrous system
provides additional support to anchor the plant in the desert.
b. A deep taproot provides additional support to anchor the plant in the desert. A shallow fibrous system increases
the amount of water that can be absorbed after a light rainfall when the soil dries quickly in the desert.
c. A deep taproot increases the amount of water that can be absorbed after a light rainfall when the soil dries
quickly in the desert. A shallow fibrous system can reach the deeper soil regions that stay moist after several
rainfalls.
d. A deep taproot can reach the deeper soil regions that stay moist after several rainfalls. A shallow fibrous system
increases the amount of water that can be absorbed after a light rainfall when the soil dries quickly in the desert.
79. Samples of leaves from monocots and dicots are piled on the table in a laboratory and students are sorting the leaves.
What information will help them know which leaves to identify as monocots?
1104 Chapter 23 | Plant Form and Physiology
a. Cork cambium cells are usually absent from monocots, whereas they are present on the upper epidermis of dicot
leaves.
b. Monocots have leaves with parallel venation, and dicot leaves have reticulate, net-like venation.
c. Bilateral symmetry is observed in monocot leaves, whereas isobilateral symmetry is observed in dicot leaves.
d. Monocots have leaves with reticulate, net-like venation, and dicot leaves have parallel venation.
80. How does a compound leaf give a selective advantage to avoid herbivory?
a. Compound leaves produce certain types of chemical compounds that are harmful to herbivores.
b. It is more efficient for large herbivores to eat large, simple leaves.
c. Compound leaves are thicker than simple leaves.
d. It is more efficient for large herbivores to eat the small leaflets of compound leaves.
81. Stomata are usually found in higher numbers on the abaxial or bottom surface of a leaf. What is the advantage of such
an arrangement?
a. Presence of stomata on the abaxial or bottom surface ensures that no, or very little, water is lost due to guttation.
b. The abaxial or bottom surface receives more sunlight, and water evaporates faster by transpiration.
c. Herbivores do not prefer to eat leaves with stomata on the abaxial or bottom surface.
d. The adaxial or upper surface receives more sunlight, and water evaporates faster by transpiration.
82. Which plants have leaves that are adapted to cold temperatures?
a. Conifers such as spruce, fir, and pine have oval-shaped leaves with sunken stomata, helping to reduce water loss.
b. Succulents such as aloes and agaves have waxy cuticles with sunken stomata, helping to reduce water loss.
c. Conifers such as spruce, orchids, and pine have needle-shaped leaves with sunken stomata, helping to reduce
water loss.
d. Conifers such as spruce, fir, and pine have needle-shaped leaves with sunken stomata, helping to reduce water
loss.
83. How is a leaf different from a leaflet?
a. A leaf petiole attaches directly to the stem at a bud node, whereas a leaflet petiole is attached to the main petiole
or the midrib, not the stem.
b. A leaf has reticulate venation, whereas leaflets show parallel venation.
c. A leaf petiole attaches to the main petiole or the midrib, not the stem, whereas a leaflet petiole attaches directly
to the stem at a bud node.
d. A leaf has parallel venation, whereas leaflets show reticulate venation.
84. Scientists on a new project to restore a damaged salt marsh are investigating several plants that could be introduced.
Plant X is considered a possible candidate. Before the decision is made, the following data are examined. Assume that the
contribution of gravity and matric potential are negligible and can be ignored. Recall that the overall water potential for a
system is represented by the equation Ψsystem = Ψtotal = Ψs + Ψp + Ψg + Ψm;
overall Ψ of the soil is -2.1MPa, the solute potential of the plant’s cell contents is -0.12MPa, and the pressure potential
(Ψp) of the plant’s cells and -2.3 MPa
Is Plant X a good candidate for introduction to the salt marsh?
a. Yes, because the overall water potential of the plant is less negative than the water potential of the soil.
b. No, because the overall water potential of the plant is less negative than the water potential of the soil.
c. Yes, because the overall water potential of the plant is more negative than the water potential of the soil.
d. No, because the overall water potential of the plant is more negative than the water potential of the soil.
85. When organisms transitioned to land, they developed different mechanisms to provide water to their cells and tissues.
How are plant adaptations to land different from mammalian adaptations to land with respect to the mechanisms by which
they obtained water for their cells?
86. Programmed cell death or apoptosis occurs in plant development in tissues such as xylem. It also is an important
process in animal development. How do you suppose apoptosis contributes to the development of hands in humans?
Chapter 23 | Plant Form and Physiology 1105
87. A florist decided to paint the leaves of poinsettia with a gold paint to embellish them. The plant soon wilted and the
leaves drooped. What explains this damage?
a. The paint clogged the stomata. Without photosynthesis, the plant could not pull water from the soil.
b. The paint clogged the stomata. Without transpiration, the plant could not pull water from the soil.
c. The paint clogged the hydathodes. Without transpiration, the plant could not pull water from the soil.
d. The paint clogged the stomata. Without guttation, the plant could not pull water from the soil.
88. The process of bulk flow transports fluids in a plant. What are the two main bulk flow processes?
a. Movement of water up the xylem and movement of solutes up and down the phloem
b. Movement of water up the phloem and movement of solutes up and down the xylem.
c. Movement of water up and down the xylem and movement of solutes up the phloem
d. Movement of solutes up the xylem and movement of water up and down the phloem
89. During a severe drought, the soil becomes dry and its water potential decreases. Many plants will wilt in such an
environment. Consider that the overall water potential for a system is represented by the equation Ψsystem = Ψtotal = Ψs+
Ψp + Ψg + Ψm. What is one reason that plants are unable to draw water from the soil?
a. The water potential of the soil becomes lower than the water potential of the plants.
b. The water potential of the soil becomes lower than the solute potential of the plants.
c. The water potential of the soil becomes higher than the water potential of the plants.
d. The solute potential of the soil becomes lower than the water potential of the plants.
90. A botanist compares the number of stomata between two plants. One plant, a eucalyptus, has stomata equally
distributed on both sides of the leaf. The other plant has most of its stomata on the underside of the leaf. What does the
positioning of the stomata indicate about which leaf surfaces on the two plants receive light in their natural environment?
a. The first plant receives light only on the upper surface of the leaves, whereas the leaves of the second plant are
equally exposed to sunlight.
b. The first plant receives light only on the lower surface, whereas the second plant receives light only on the upper
surface.
c. The first plant receives light only on the upper surface, whereas the second plant receives light only on the lower
surface.
d. The first plant has leaves that are equally exposed to sunlight, whereas the second plant receives light only on
the upper surface.
91. In the Northern Hemisphere, owners and managers of plant nurseries have to plan lighting schedules for a long-day
plant that will flower in February. What lighting periods and color will be most effective?
a. long periods of illumination with light enriched in the red range of the spectrum
b. short periods of illumination with light enriched in the red range of the spectrum
c. long periods of illumination with light enriched in the far-red range of the spectrum
d. short periods of illumination with light enriched in the far-red range of the spectrum
92. Why do plants that cannot detect gravity show stunted growth with tangled roots and trailing stems?
a. Without gravitropism, both roots and seedlings would grow upward.
b. Without gravitropism, roots would grow in all directions and seedlings would grow upward.
c. Without gravitropism, roots would grow upward but seedlings would not grow upward toward the surface.
d. Without gravitropism, roots would grow in all directions but seedlings would not grow upward toward the
surface.
93. Storage facilities for fruits and vegetables are usually refrigerated and well ventilated. Why are these conditions
advantageous?
1106 Chapter 23 | Plant Form and Physiology
a. Refrigeration slows chemical reactions, including fruit ripening. Ventilation adds the ethylene gas that speeds up
fruit maturation.
b. Refrigeration slows chemical reactions, including fruit maturation. Ventilation removes the ethylene gas that
reduces fruit ripening.
c. Refrigeration slows chemical reactions, including fruit maturation. Ventilation removes the ethylene gas that
speeds up fruit ripening.
d. Refrigeration removes the ethylene gas that speeds up fruit ripening. Ventilation slows chemical reactions,
including fruit maturation.
94. A Venus fly trap has a very low sensitivity threshold, yet it can tell the difference between the light touch of an insect
and a drop of rainwater or wind. How can the Venus fly trap differentiate between a random stimulus and an actual prey?
a. Hair-like appendages on the surface of the leaves respond to repeated contact.
b. Hair-like appendages on the surface of the leaves respond to a single contact.
c. Hair-like appendages on the surface of the leaves respond to chemical stimulus from the insect.
d. Hair-like appendages on the surface of the leaves respond to the electrical stimulus from the insect.
95. Stomata close in response to bacterial infection. This response is a defense mechanism because it ________, and the
hormone involved is ________.
a. restricts the entry of O2; gibberellin
b. restricts the entry of CO2; abscisic acid
c. prevents further entry of pathogens; auxin
d. prevents further entry of pathogens; abscisic acid
96. Why is shade avoidance an important survival mechanism for plants? Would you expect seeds with large energy
storage to display as strong a response of shade avoidance as small seeds with limited reserves?
a. A seedling growing in the shade of a mature plant will not have enough light to promote meristematic growth. A
seed with large storage will be able to sustain growth until its seedling can reach enough light for
photosynthesis.
b. A seedling growing in the shade of a mature plant will not have enough light to promote photosynthesis. Small
seeds with limited reserve will be able to sustain growth until seedlings can reach enough light for
photosynthesis.
c. A seedling growing in the shade of a mature plant will not have enough light to promote photosynthesis. A seed
with large storage will be able to sustain growth until its seedling can reach enough light for photosynthesis.
d. A seedling growing in the shade of a mature plant will not have enough light to promote respiration. Small seeds
with limited reserve will be able to sustain growth until their seedlings can reach enough light for
photosynthesis.
stomata. Excess loss of water has severe consequences and may be fatal for the plant. The table shows data collected on a
sunny day.
Figure 23.43
What is the best explanation for the transpiration rates leveling off and declining at temperature higher than 27 °C?
a. The plant ran out of water.
b. The plant needs less water as temperature increases, so transpiration slows down to limit water uptake by the
roots.
c. Stomata close to conserve water, slowing down transpiration.
d. The amount of water in the leaves decreases at high temperature and less is available for evaporation.
99. Humidity is an environmental factor that affects transpiration rate. Which statement accurately explains the shape of
the curve obtained when increasing humidity is plotted against constant temperature to find the rate of transpiration?
a. Increasing humidity leads to reduced evaporation rates due to increased difference in water vapor pressure
between leaf and atmosphere.
b. Increasing humidity leads to reduced evaporation rates due to decreased difference in water vapor pressure
between leaf and soil.
c. Increasing humidity leads to reduced evaporation rates due to decreased difference in water vapor pressure
between leaf and atmosphere.
d. Increasing humidity leads to increased evaporation rates due to decreased difference in water vapor pressure
between leaf and atmosphere.
100. Plants sense drought through the decrease in water potential in the ground. This graph shows concentrations of
several hormones that were measured during a drought period and plotted versus time. According to the data in the graph,
which hormone shows the strongest response to drought?
1108 Chapter 23 | Plant Form and Physiology
a. auxin
b. abscisic acid
c. cytokinin
d. gibberellins
101. When drought conditions are forecast, fields are sprayed with a hormone that will promote a stress response .
According to the graph below, which hormone should be sprayed and why?
Chapter 23 | Plant Form and Physiology 1109
Figure 23.44
a. gibberellins, to promote plant growth before the plants are damaged
b. abscisic acid, to promote plant growth before the plants are damaged
c. abscisic acid, to promote protective response to drought before the plants are damaged
d. gibberellins, to promote protective response to drought before the plants are damaged
102. Seeds were germinated in the dark on three plates. Plate A was irradiated with a short pulse of red light; plate B was
irradiated with a short pulse of red light followed by a pulse of far-red light; and plate C was the control and was
maintained in the dark. After three days, the plates were scored for percentage of germination, as shown in this table.
dark. After three days, the plates were scored for percentage of germination, as shown in this table.
Figure 23.45
What hypothesis, regarding the mechanism of action of red light, is best supported by the results?
a. Red light converts the phytochrome to its active form Pr which can be converted to the inactive form Pfr by far
red light. After one hour, cascade of events initiated by Pfr has already begun promoting germination, and hence,
it cannot be reversed even by the pulse of far light.
b. Red light converts the phytochrome to its active form Pfr, which can be converted to the inactive form Pr by
farred light. After one hour, cascade of events initiated by Pr has already begun promoting germination, and
hence, it cannot be reversed even by the pulse of far light.
c. Far red light converts the phytochrome to its active form Pfr, which can be converted to the inactive form Pr by
red light. After one hour, the cascade of events initiated by Pr has already begun promoting germination, and
hence, it cannot be reversed even by the pulse of far light.
d. Red light converts the phytochrome to its active form Pfr which can be converted to the inactive form Pr by far
red light. After one hour, the cascade of events initiated by Pfr has already begun promoting germination, and
hence, it cannot be reversed even by the pulse of far light.
104. After branches of woody saplings were trimmed, half of the cuts were covered with a sealant and the other half were
left untouched. The plants with sealed cuts fared much better after several weeks. What is the likely reason?
a. The sealant stopped evaporation.
b. The plants with sealed cuts grew new branches.
c. The plants with unsealed cuts were infected by pathogens that entered through the cuts.
d. The plants with unsealed cuts lost photosynthates through bleeding of sap
105. Jasmonate is produced in plants as a response to injury. Researchers compared the response to infection of mutant
plants that were unable to produce jasmonate (Ja–) with the response of normal plants (Ja+) from the same species. Leaves
were inoculated with spores from pathogenic molds. The size of the wounds was examined 48 h after application. The
plants were also infected with moths and the weight of the larvae was determined after 48 h. This table shows the results.
Chapter 23 | Plant Form and Physiology 1111
According to the results of the experiment, what conclusion can the researchers draw about the specificity of jasmonate
protection?
a. Jasmonate protects against infection from a variety of pathogens.
b. Jasmonate protects against infection from one pathogen.
c. Jasmonate cannot provide protection against infection.
d. Jasmonate provides specific defense in winters and the defense is non-specific in summers.
106. In the Northern Hemisphere, a florist grows shrubs of the same species of woody plant under two different light
schedules for three weeks. The first set is maintained under 15 hours of light and nine hours of dark daily. The second set
is maintained under nine hours of light followed by 14 hours of dark daily. The first set of plants does not form flowers,
but the second set of plants blooms. What can you conclude about these plants?
a. This species of shrub does not flower if the day is short.
b. They bloom early in the year around February.
c. They bloom mid-summer around June.
d. The critical dark period is nine hours.
107. Heliotropism is the description of a response to the light of the sun. Seedlings of sunflowers were exposed to sunlight
for 15 days. Following the 15 days of exposure to sunlight, the seedlings were transferred to complete darkness and their
movement was monitored. This graph plots the movement of the seedlings in the dark versus time.
1112 Chapter 23 | Plant Form and Physiology
Figure 23.46
What conclusion can be drawn about the light dependence of the movement of sunflowers from the graph?
a. The movement does require light once it is set but it will eventually slow down, suggesting that a clock molecule
is degraded over time.
b. The movement does not require light once it is set and it will keep showing this upward and downward trend in
the same manner.
c. The movement does not require light once it is set and it will eventually slow down, suggesting that a clock
molecule never degrades.
d. The movement does not require light once it is set and it will eventually slow down, suggesting that a clock
molecule is degraded over time.
108. A student randomly chose 40 tobacco seeds of the same species from a packet. He placed 20 seeds on moist paper
towels in each of two petri dishes. He wrapped dish A completely in an opaque cover to exclude all light. He did not wrap
dish B. He placed the dishes equidistant from a light source set to a cycle of 14 h of light and 10 h of dark. All other
conditions were the same for the two dishes. He examined the dishes after 7 days, and permanently removed the opaque
cover from dish A. This table shows the student’s data.
Figure 23.47
The most probable cause for the difference in mean stem length between plants in dish A and plants in dish B is ________.
a. shortening of cells in the stem in response to the lack of light
b. elongation of the stem in response to the lack of light
c. enhancement of stem elongation by light
d. genetic differences between the seeds
109. Groups of 20 seedlings from the same plant species were treated with gibberellins. Each group received a different
concentration of hormone. The seedlings were grown under the same environmental conditions. After 15 days of growth,
the internode distances between the first and second sets of leaves were measured in each group of seedlings. On this
Chapter 23 | Plant Form and Physiology 1113
graph, the mean internode distance for each group is plotted against the concentration of gibberellins that the group
received.
According to the results, why is this effect of gibberellins on internode length used in agriculture to spray grapes with
oversized fruit?
a. to lengthen the internode distance and accommodate larger fruit
b. to shorten the internode distance and accommodate larger fruit
c. to lengthen the internode distance and accommodate more flowers
d. to shorten the internode distance and accommodate smaller fruit
Figure 23.48
B. When the dependences on temperature of photosynthetic and respiration rates of a vascular plant are measured, the
results depend on the species but have the general form shown in the figure. In these measurements, the temperature is
maintained for several hours. The plant is then returned to 25 °C for several hours before the next set of measurements is
made at a slightly higher temperature.
Figure 23.49
Evaluate these data to approximately predict the quantitative effect on the NPP and free energy availability in a
deciduous forest ecosystem with a 3–5-°C increase in temperature. This is the expected temperature increase by the year
2100. Assume the current average summer temperature of the forest ecosystem is 25 °C.
C. In other experiments, rather than returning the plants to 25 °C, the plant is grown for several days at a constant higher
temperature. Under these conditions, the maximum photosynthetic rate shifts towards the temperature of the new growing
conditions. However, there is little change in the temperature dependence of respiration rate. This is referred to as
temperature acclimation, an effect of great importance to predictions of future climate change.
Pose two scientific questions whose pursuit could lead to either an improved understanding of the mechanisms of
temperature acclimation or improvements in models of atmospheric carbon dioxide concentrations that control
temperature.
According to the graph, growth is predicted to increase when acclimation is taken into account and the average
temperature increases of Earth’s surface increases by the expected 3-5°C. Growth enhancement may be reduced, however,
if respiration increases more rapidly than photosynthesis, particularly under periods of drought and stress. Thus, climate
warming may result in positive, negative, or potentially no effect on the free energy availability in forest ecosystems.
D. In the figure below, the response to temperate change in terms of the rates of photosynthesis and respiration are
sketched as a function of time from the very short-term (seconds) to the longer-term (decades) changes. Acclimation in the
laboratory occurs in days. Analyze the graphs; in the box bounded by a dashed line, sketch curves for responses of both
processes beyond the acclimation observed in the laboratory that are consistent with a neutral effect on free energy
availability and provide your reasoning.
Chapter 23 | Plant Form and Physiology 1115
Figure 23.50
E. Analyze the long-term effect of a rate of respiration that exceeds the rate of photosynthesis in terms of dynamic
homeostasis.
111. A disruption of dynamic homeostasis in the relationship between vascular plants and insects is occurring as global
climate changes. The reduction in the yield of soybeans is plotted against leaf area removed by two insects, beetles and
aphids. Soybean blooms begin to develop in the week of 13 July. Prior to that time, there is no effect of leaf removal on
yield, even with complete loss of leaves. In the week of 18 August, plants are beginning to form seeds, and loss of leaves
can be devastating.
Figure 23.51
A. One observed effect of climate change is the shift toward earlier development in many insects. Quantitatively describe
the worst possible consequences for yield, assuming plant developmental timing is not altered by warming temperatures, if
the peak abundance of Japanese beetles is shifted from 18 July to 13 July, and 80% of leaf area is lost.
B. The expression of genes involved in seed development is temperature dependent, unlike the scenario suggested in part
1116 Chapter 23 | Plant Form and Physiology
A. More than 90% of soybean seeds planted in 2015 in the soybean-corn ecosystem of the central United States are the
herbicide-resistant, genetically modified “Roundup Ready” variety. The seed has a patented genome. It produces seeds that
are sterile and must be purchased each spring from the patent holder.
Predict how the use of Roundup Ready seeds affects the selection of expression regulated in response to increasing
temperature.
Roundup is an herbicide whose active chemical component is glyphosphate. This molecule disrupts the synthesis of
phenylalanine, tyrosine, and tryptophan. By inserting a gene from Agrobacteria, a Roundup Ready seed can synthesize
these amino acids in the presence of the herbicide.
C. Pose two scientific questions that must be considered to estimate the long-term effectiveness of this strategy for weed
management.
112. A. By increasing the photosynthetic surface area, a plant increases the rate of capture of free energy. For every carbon
atom fixed into carbohydrates, between 200 and 400 water molecules are released through stomata to the atmosphere. A
simple geometric model can be used to estimate the minimum number of leaves on a tree, as shown.
Figure 23.52
Identify and justify the data needed to describe the relationship between the free energy captured and the water
transpired by a tree with dimensions D, L, and W. Use these data to construct a mathematical model of the relationship
between transpiration rate and the rate of free energy captured when a single carbon atom is fixed.
B. The diversity of vascular plants decreases with increasing latitude. Equatorial ecosystems have greater plant diversity
than do ecosystems further south or north. One of several explanations offered to account for this observation is the
energy-equivalence model—as free energy increases, population size increases. As population size increases, mutations
increase. One bit of evidence for the energy-equivalence model is the correlation of family-level diversity with actual
evapotranspiration, the sum of water transferred by both transpiration and evaporation of surface water. This property is
reported in mm of water per square meter of surface area.
Explain the relationship between free energy exchange and latitude that is the basis of the energy-equivalence model.
C. Shared ancestry is indicated by taxonomic classification in which a family of organisms contains many genera, and
within each genus there are many species. A survey of tree flora (Latham and Ricklefs, Oikos, 67, 1993) at comparable
latitudes in a temperate eastern Asia forest ecosystem (729 species in 177 genera and 67 families) and an eastern North
America forest ecosystem (253 species in 90 genera and 46 families) had no species in common, but there were 20
common genera and 40 common families. Actual evapotranspiration for the two ecosystems are 850 ± 200 mm (eastern
North America) and 730 ± 160 mm (eastern Asia).
Analyze these data to test the validity of the energy-equivalence model.
113. The evolution of vascular plants followed the colonization of terrestrial habitats by ancestors of Chlorophyta, green
algae, during the Devonian period (which began about 400 million years ago). The three most significant structural
innovations in that process are responses to selection through the availability of water resources: 1) the cuticle, a waxy
covering of the epidermis that retains water; 2) stomata, openings that penetrate the cuticle through which water and
carbon dioxide are transported; and 3) a vascular system, plant tissues through which water moves.
Chapter 23 | Plant Form and Physiology 1117
Measurements of gases trapped in ice cores provide atmospheric concentrations of the distant, as well as the recent, past.
Life must adapt to changes in the environment. Woodward examined samples from the Cambridge herbarium of several
trees (Nature, 327, 1987) to determine the stomatal index (percentage of epidermal cells that contain a stoma). In 1720,
when the herbarium samples were collected, the carbon dioxide concentration in Earth’s atmosphere was 225 ppm. In the
year of the study, 1987, it was 340 ppm (it is 370 ppm in 2016). The following table presents some of Woodward’s
reported results.
Table 23.1
Teng and co-workers (PLoS ONE, 2009) followed the dependence of Arabidopsis, a member of the Brassica family of
vascular plants, grown under a range of elevated CO2 concentrations for 15 generations. They found elevated stomatal
densities for each generation that were not heritable.
Engineer and co-workers (Nature, 513, 2014) discovered a mutant Arabidopsis in which stomatal density increases as CO2
concentration increases. Measurements of a component of the set of mRNA molecules for epidermal patterning factor 2
(EPF2), responsible for stomatal density, are shown for plants grown in low and high CO2 concentrations.
Figure 23.53
A. Analyze these data in terms of the likelihood that the effect of carbon dioxide concentration on stomatal density
involves negative feedback at the level of i) translation, ii) post-transcription, or iii) changes in genotype.
B. Changes in precipitation patterns are expected to accompany an increase in atmospheric carbon dioxide. Predict the
effect on a forest where trees that have matured over decades are suddenly under drought stress. Justify your prediction in
terms of positive or negative feedback where stomatal density is high and a drought occurs.
C. In a favorable environment, trees continue to accumulate biomass and increase in height until the flow rate of water
1118 Chapter 23 | Plant Form and Physiology
through the xylem (plant vascular tissue that transports water and minerals from roots to shoots) is no longer sufficient to
support the negative water potential at the interface between root and soil. Fluid dynamic models predict that increasing
the diameter, d, of the xylem greatly increases the rate of flow of water, leading to greater productivity when water is
abundant. Under conditions of drought stress, the water potential is reduced, and an air bubble can disrupt the flow of
water in that vessel entirely. A larger stem diameter permits a larger number of small vessels.
Describe a model of the evolution of xylem in trees in terms of selection under conditions of unlimited and limited water
resources.
D. Olson and Rosell (New Phytologist, 197, 2013) investigated the question of whether xylem diameter was determined by
water availability or by plant height and, consequently, stem diameter. A summary of their data is shown on the left with
lines of best fit through data with the corresponding color.
Figure 23.54
Analyze these data and summarize the pattern that addresses their question. Note: As x increases, log(x) increases.
114. Like the animal intestine, the organ system principally responsible for nutrient and water uptake, the plant root
system, is home to a microbiome upon which the host depends. One important role for the root microbiome is innate
immunity. Wheat take-all is a disease caused by the fungus Gaeumannomyces graminis that attacks plant roots and blocks
root water channels. When a major outbreak occurs in a wheat field, susceptibility remains high in the following year. But
after four to six continued crops of wheat in the same field, susceptibility to the disease declines. This resistance can be
transferred with the soil. Burning the soil surface or rotation with another crop returns susceptibility to the next wheat
crop. The Fusarium (a fungus) wilt disease of strawberries and potato scab caused by Streptomyces scabies (a bacteria)
show a similar disease progression and transferability of resistance (Weller, Ann. Rev. Plant Phytopath, 26, 1988).
A. Plants, like animals, have immune defenses that may involve cooperative interactions between organisms. Describe a
model of immune response that accounts for these behaviors.
In plants, the first line of defense is the cell wall. Animal cells lack this protective barrier. Adaptive immunity of
vertebrates to pathogens uses specific defenses that are transportable within the organism, such as T-cells, and retains
information about earlier infections, such as T-cell receptors. Unlike adaptive immunity, the innate responses of plants are
much less effective in defending against necrotrophic (colonizing dead tissue) than against biotrophic (infecting living
tissue) pathogens. In animal tissue, the response to infection is inflammation, the recruitment of resources to protect the
tissue. In plant tissue, the response is apoptosis.
Chapter 23 | Plant Form and Physiology 1119
B. Describe contrasting models of defense strategies for plants and animals that express each of these differences in terms
of these strategies: cell boundary, immunological memory, and tissue repair.
1120 Chapter 23 | Plant Form and Physiology
Chapter 24 | The Animal Body: Basic Form and Function 1121
Figure 24.1 An arctic fox is a complex animal, well adapted to its environment. It changes coat color with the seasons,
and has longer fur in winter to trap heat. (credit: modification of work by Keith Morehouse, USFWS)
Chapter Outline
24.1: Animal Form and Function
24.2: Animal Primary Tissues
24.3: Homeostasis
Introduction
The structures of animals consist of primary tissues that make up more complex organs and organ systems. Homeostasis
allows an animal to maintain a balance between its internal and external environments.
The arctic fox is an example of a complex animal that is well adapted to its environment and illustrates the relationships
between an animal’s form and function. According to researchers, animals living millions of years ago in the Himalayan
Mountains of Tibet are ancestors to many of today’s cold-adapted animals. For example, a type of Tibetan fox from three to
five million years ago is the ancestor to the arctic fox. More about this research can be found at the Science Daily website
(http://openstaxcollege.org/l/32arcticfox) .
References
Wang, X. et al. (2014, July 22). From ‘third pole’ to north pole: A Himalayan origin for the arctic fox. Proceedings of the
1122 Chapter 24 | The Animal Body: Basic Form and Function
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow and to
Objective
reproduce.
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Chapter 24 | The Animal Body: Basic Form and Function 1123
Science
6.1 The student can justify claims with evidence.
Practice
2.2 The student is able to justify a scientific claim that free energy is required for living
Learning
systems to maintain organization, to grow, or to reproduce, but that multiple strategies exist
Objective
in different living systems.
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Learning 2.35 The student is able to design a plan for collecting data to support the scientific claim
Objective that timing and coordination of physiological events involve regulation
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science
6.1 The student can justify claims with evidence.
Practice
Learning 2.36 The student is able to justify scientific claims with evidence to show how timing and
Objective coordination of physiological events involve regulation.
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.37 The student is able to connect concepts that describe mechanisms that regulate the
Objective timing and coordination of physiological events.
In addition, content from this chapter is addressed in the OSX AP Biology Laboratory Manual in the following lab(s):
• 20 Animal Physiology
Animals vary in form and function. From a sponge to a worm to a goat, an organism has a distinct body plan that limits its
size and shape. Animals’ bodies are also designed to interact with their environments, whether in the deep sea, a rainforest
canopy, or the desert. Therefore, a large amount of information about the structure of an organism's body—anatomy—and
the function of its cells, tissues and organs—physiology—can be learned by studying that organism's environment.
Body Plans
Figure 24.2 Animals exhibit different types of body symmetry. The sponge is asymmetrical, the sea anemone has
radial symmetry, and the goat has bilateral symmetry.
Animal body plans follow set patterns related to symmetry. They are asymmetrical, radial, or bilateral in form as illustrated
1124 Chapter 24 | The Animal Body: Basic Form and Function
in Figure 24.2. Asymmetrical animals are animals with no pattern or symmetry; an example of an asymmetrical animal is
a sponge. Radial symmetry, as illustrated in Figure 24.2, describes when an animal has an up-and-down orientation: Any
plane cut along its longitudinal axis through the organism produces equal halves, but not a definite right or left side. This
plan is found mostly in aquatic animals, especially organisms that attach themselves to a base, like a rock or a boat, and
extract their food from the surrounding water as it flows around the organism. Bilateral symmetry is illustrated in the same
figure by a goat. The goat also has an upper and lower component to it, but a plane cut from front to back separates the
animal into definite right and left sides. Additional terms used when describing positions in the body are anterior, or front,
posterior, or rear, dorsal, or toward the back, and ventral, or toward the stomach. Bilateral symmetry is found in both land-
based and aquatic animals; it enables a high level of mobility.
Table 24.1
Most animals have an exoskeleton, including insects, spiders, scorpions, horseshoe crabs, centipedes, and crustaceans.
Scientists estimate that, of insects alone, there are over 30 million species on our planet. The exoskeleton is a hard covering
or shell that provides benefits to the animal, such as protection against damage from predators and from water loss for land
animals; it also provides for the attachments of muscles.
As the tough and resistant outer cover of an arthropod, the exoskeleton may be constructed of a tough polymer such as chitin
and is often biomineralized with materials such as calcium carbonate. This is fused to the animal’s epidermis. Ingrowths of
the exoskeleton, called apodemes, function as attachment sites for muscles, similar to tendons in more advanced animals
(Figure 24.3). In order to grow, the animal must first synthesize a new exoskeleton underneath the old one and then shed
or molt the original covering. This limits the animal’s ability to grow continually, and may limit the individual’s ability
to mature if molting does not occur at the proper time. The thickness of the exoskeleton must be increased significantly
to accommodate any increase in weight. It is estimated that a doubling of body size increases body weight by a factor of
eight. The increasing thickness of the chitin necessary to support this weight limits most animals with an exoskeleton to a
relatively small size. The same principles apply to endoskeletons, but they are more efficient because muscles are attached
on the outside, making it easier to compensate for increased mass.
Chapter 24 | The Animal Body: Basic Form and Function 1125
Figure 24.3 Apodemes are ingrowths on arthropod exoskeletons to which muscles attach. The apodemes on this crab
leg are located above and below the fulcrum of the claw. Contraction of muscles attached to the apodemes pulls the
claw closed.
An animal with an endoskeleton has its size determined by the amount of skeletal system it needs in order to support the
other tissues and the amount of muscle it needs for movement. As the body size increases, both bone and muscle mass
increase. The speed achievable by the animal is a balance between its overall size and the bone and muscle that provide
support and movement.
Visit this interactive site (http://openstaxcollege.org/l/nanoscopy) to see an entire animal—a zebrafish embryo—at the
cellular and sub cellular level. Use the zoom and navigation functions for a virtual nanoscopy exploration.
Zebrafish have bilateral symmetry. What does that mean?
a. Bilaterally symmetric means that a plane cut from the front to back of the organism produces distinct left and
right sides that are mirror images of each other.
b. Bilaterally symmetric means that a plane cut from the top to the bottom of the organism produces distinct
left and right sides that are mirror images of each other.
c. Bilaterally symmetric means that a plane cut from the front to back of the organism produces distinct left and
right sides that are not mirror images of each other.
d. Bilaterally symmetric means that a plane cut along its longitudinal axis produces equal halves, but not
definite right or left sides.
Animal Bioenergetics
All animals must obtain their energy from food they ingest or absorb. These nutrients are converted in to adenosine
triphosphate (ATP) for short-term storage and use by all cells. Some animals store energy for slightly longer times as
glycogen, and others store energy for much longer times in the form of triglycerides housed in specialized adipose tissues.
No energy system is one hundred percent efficient, and an animal’s metabolism produces waste energy in the form of heat.
If an animal can conserve that heat and maintain a relatively constant body temperature, it is classified as a warm-blooded
animal and called an endotherm. The insulation used to conserve the body heat comes in the forms of fur, fat, or feathers.
The absence of insulation in ectothermic animals increases their dependence on the environment for body heat.
The amount of energy expended by an animal over a specific time is called its metabolic rate. The rate is measured variously
in joules, calories, or kilocalories (1,000 calories). Carbohydrates and proteins contain about 4.5–5.0 kcal/g, and fat contains
about 9 kcal/g. Metabolic rate is estimated as the basal metabolic rate (BMR) in endothermic animals at rest and as the
standard metabolic rate (SMR) in ectotherms. Human males have a BMR of 1,600–1,800 kcal/day, and human females
have a BMR of 1,300–1,500 kcal/day. Even with insulation, endothermal animals require extensive amounts of energy to
maintain a constant body temperature. An ectotherm such as an alligator has an SMR of 60 kcal/day.
Energy Requirements Related to Body Size
Smaller endothermic animals have a greater surface area for their mass than larger ones (Figure 24.4). Therefore, smaller
animals lose heat at a faster rate than larger animals and require more energy to maintain a constant internal temperature.
This results in a smaller endothermic animal having a higher BMR, per body weight, than a larger endothermic animal.
Chapter 24 | The Animal Body: Basic Form and Function 1127
Figure 24.4 The mouse has a much higher metabolic rate than the elephant. (credit “mouse:” modification of work by
Magnus Kjaergaard; credit “elephant:” modification of work by “TheLizardQueen”/Flickr)
Activity
Read about how scientists developed a method using today’s technology to collect data on heart rates
in hibernating bears at this website (http://openstaxcollege.org/l/32bears) . Design an experiment that
would allow you to collect body temperature and heart rate at the same time. Discuss how combining data
on body temperature with heart rate can give you information on the animal’s overall metabolism.
Think About It
• Small mammals, such as squirrels need to eat at least once a week during hibernation. Why is it impossible for
them to go through the entire winter without eating, as bears do? Also, why must smaller mammals, like squirrels,
store food for the winter while larger mammals, like bears, do not?
• Hummingbirds lower their metabolic rate and body temperature at night, an example of torpor. What advantage
does torpor provide hummingbirds on a nightly basis? Think about the high metabolic rates of hummingbirds.
portions. A midsagittal plane divides the body exactly in the middle, making two equal right and left halves. A frontal
plane—also called a coronal plane—separates the belly—ventral—or stomach from the back—dorsal. A transverse
plane—or, horizontal plane—is perpendicular to the sagittal planes and the long axis of the body. This is sometimes called
a cross-section, and, if the transverse cut is at an angle, it is called an oblique plane. Figure 24.5 illustrates these planes on
a goat—a four-legged animal—and a human being.
Figure 24.5 Shown are the planes of a quadruped goat and a bipedal human. The midsagittal plane divides the body
exactly in half, into right and left portions. The frontal plane divides the front and back, and the transverse plane divides
the body into upper and lower portions.
Vertebrate animals have a number of defined body cavities, as illustrated in Figure 24.6. Two of these are major cavities
that contain smaller cavities within them. The dorsal cavity contains the cranial and the vertebral or spinal cavities. The
ventral cavity contains the thoracic cavity, which in turn contains the pleural cavity around the lungs and the pericardial
cavity, which surrounds the heart. The ventral cavity also contains the abdominopelvic cavity, which can be separated into
the abdominal and the pelvic cavities.
Chapter 24 | The Animal Body: Basic Form and Function 1129
Figure 24.6 Vertebrate animals have two major body cavities. The dorsal cavity, indicated in green, contains the cranial
and the spinal cavity. The ventral cavity, indicated in yellow, contains the thoracic cavity and the abdominopelvic cavity.
The thoracic cavity is separated from the abdominopelvic cavity by the diaphragm. The thoracic cavity is separated
into the abdominal cavity and the pelvic cavity by an imaginary line parallel to the pelvis bones. (credit: modification of
work by NCI)
Physical Anthropologist
Physical anthropologists study the adaption, variability, and evolution of human beings, plus their living and
fossil relatives. They can work in a variety of settings, although most will have an academic appointment at
a university, usually in an anthropology department or a biology, genetics, or zoology department.
Non-academic positions are available in the automotive and aerospace industries where the focus is
on human size, shape, and anatomy. Research by these professionals might range from studies of
how the human body reacts to car crashes to exploring how to make seats more comfortable. Other
non-academic positions can be obtained in museums of natural history, anthropology, archaeology, or
science and technology. These positions involve educating students from grade school through graduate
school. Physical anthropologists serve as education coordinators, collection managers, writers for museum
publications, and as administrators. Zoos employ these professionals, especially if they have an expertise
in primate biology; they work in collection management and captive breeding programs for endangered
species. Forensic science utilizes physical anthropology expertise in identifying human and animal remains,
assisting in determining the cause of death, and for expert testimony in trials.
Section Summary
Animal bodies come in a variety of sizes and shapes. Limits on animal size and shape include impacts to their movement.
Diffusion affects their size and development. Bioenergetics describes how animals use and obtain energy in relation to their
body size, activity level, and environment.
1130 Chapter 24 | The Animal Body: Basic Form and Function
Epithelial Tissues
Epithelial tissues cover the outside of organs and structures in the body and line the lumens of organs in a single layer
or multiple layers of cells. The types of epithelia are classified by the shapes of cells present and the number of layers of
cells. Epithelia composed of a single layer of cells is called simple epithelia; epithelial tissue composed of multiple layers
is called stratified epithelia. Table 24.2 summarizes the different types of epithelial tissues.
Table 24.2
Squamous Epithelia
Squamous epithelial cells are generally round, flat, and have a small, centrally located nucleus. The cell outline is
slightly irregular, and cells fit together to form a covering or lining. When the cells are arranged in a single layer—simple
epithelia—they facilitate diffusion in tissues, such as the areas of gas exchange in the lungs and the exchange of nutrients
and waste at blood capillaries.
Chapter 24 | The Animal Body: Basic Form and Function 1131
Figure 24.7 Squamous epithelia cells (a) have a slightly irregular shape, and a small, centrally located nucleus. These
cells can be stratified into layers, as in (b) this human cervix specimen. (credit b: modification of work by Ed Uthman;
scale-bar data from Matt Russell)
Figure 24.7a illustrates a layer of squamous cells with their membranes joined together to form an epithelium. Image
Figure 24.7b illustrates squamous epithelial cells arranged in stratified layers, where protection is needed on the body from
outside abrasion and damage. This is called a stratified squamous epithelium and occurs in the skin and in tissues lining the
mouth and vagina.
Cuboidal Epithelia
Cuboidal epithelial cells, shown in Figure 24.8, are cube-shaped with a single, central nucleus. They are most commonly
found in a single layer representing a simple epithelia in glandular tissues throughout the body where they prepare and
secrete glandular material. They are also found in the walls of tubules and in the ducts of the kidney and liver.
Figure 24.8 Simple cuboidal epithelial cells line tubules in the mammalian kidney, where they are involved in filtering
the blood.
Columnar Epithelia
Columnar epithelial cells are taller than they are wide: They resemble a stack of columns in an epithelial layer and are
most commonly found in a single-layer arrangement. The nuclei of columnar epithelial cells in the digestive tract appear to
be lined up at the base of the cells, as illustrated in Figure 24.9. These cells absorb material from the lumen of the digestive
tract and prepare it for entry into the body through the circulatory and lymphatic systems.
1132 Chapter 24 | The Animal Body: Basic Form and Function
Figure 24.9 Simple columnar epithelial cells absorb material from the digestive tract. Goblet cells secret mucous into
the digestive tract lumen.
Columnar epithelial cells lining the respiratory tract appear to be stratified. However, each cell is attached to the base
membrane of the tissue and, therefore, are simple tissues. The nuclei are arranged at different levels in the layer of cells,
making it appear as though there is more than one layer, as seen in Figure 24.10. This is called pseudostratified, columnar
epithelia. This cellular covering has cilia at the apical, or free, surface of the cells. The cilia enhance the movement of
mucous and trapped particles out of the respiratory tract, helping to protect the system from invasive microorganisms and
harmful material that has been breathed into the body. Goblet cells are interspersed in some tissues, such as the lining of
the trachea. The goblet cells contain mucous that traps irritants, which, in the case of the trachea, keep these irritants from
getting into the lungs.
Figure 24.10 Pseudostratified columnar epithelia line the respiratory tract. They exist in one layer, but the arrangement
of nuclei at different levels makes it appear that there is more than one layer. Goblet cells interspersed between the
columnar epithelial cells secrete mucous into the respiratory tract.
Transitional Epithelia
Transitional or uroepithelial cells appear only in the urinary system, primarily in the bladder and ureter. These cells are
arranged in a stratified layer, but they have the capability of appearing to pile up on top of each other in a relaxed, empty
bladder, as illustrated in Figure 24.11. As the urinary bladder fills, the epithelial layer unfolds and expands to hold the
volume of urine introduced into it. As the bladder fills, it expands and the lining becomes thinner. In other words, the tissue
transitions from thick to thin.
Chapter 24 | The Animal Body: Basic Form and Function 1133
Figure 24.11 Transitional epithelia of the urinary bladder undergo changes in thickness, depending on how full
the bladder is.
An empty bladder is composed of piled up transitional cells with a folded epithelial lining. What would you predict
happens to those cells as the bladder fills with urine?
a. The epithelial lining unfolds and becomes thicker.
b. The epithelial lining remains folded with the cells piled up.
c. The epithelial lining unfolds and becomes thinner.
d. The epithelial lining unfolds but remains the same thickness.
Connective Tissues
Connective tissues are made up of a matrix consisting of living cells and a nonliving substance, called the ground
substance. The ground substance is made of an organic substance, usually a protein, and an inorganic substance, usually a
mineral or water. The principal cell of connective tissues is the fibroblast. This cell makes the fibers found in nearly all of
the connective tissues. Fibroblasts are motile, able to carry out mitosis, and can synthesize whichever connective tissue is
needed. Macrophages, lymphocytes, and, occasionally, leukocytes can be found in some of the tissues. Some tissues have
specialized cells that are not found in the others. The matrix in connective tissues gives the tissue its density. When a
connective tissue has a high concentration of cells or fibers, it has proportionally a less dense matrix.
The organic portion or protein fibers found in connective tissues are either collagen, elastic, or reticular fibers. Collagen
fibers provide strength to the tissue, preventing it from being torn or separated from the surrounding tissues. Elastic fibers
are made of the protein elastin; this fiber can stretch to one and one half of its length and return to its original size and shape.
Elastic fibers provide flexibility to the tissues. Reticular fibers are the third type of protein fiber found in connective tissues.
This fiber consists of thin strands of collagen that form a network of fibers to support the tissue and other organs to which
it is connected. The various types of connective tissues, the types of cells and fibers they are made of, and sample locations
of the tissues is summarized in Table 24.3.
1134 Chapter 24 | The Animal Body: Basic Form and Function
Connective Tissues
Tissue Cells Fibers Location
Fibroblasts, macrophages,
Few: collagen, elastic, Around blood vessels;
Loose/areolar some lymphocytes, some
reticular anchors epithelia
neutrophils
Dense, fibrous
Irregular: skin regular:
connective Fibroblasts, macrophages, Mostly collagen
tendons, ligaments
tissue
Hyaline: few collagen Shark skeleton, fetal bones,
Cartilage Chondrocytes, chondroblasts fibrocartilage: large amount human ears, intervertebral
of collagen discs
Osteoblasts, osteocytes,
Bone Some: collagen, elastic Vertebrate skeletons
osteoclasts
Adipose Adipocytes Few Adipose (fat)
Red blood cells, white blood
Blood None Blood
cells
Table 24.3
Figure 24.12 Loose connective tissue is composed of loosely woven collagen and elastic fibers. The fibers and other
components of the connective tissue matrix are secreted by fibroblasts.
bones.
Figure 24.13 Fibrous connective tissue from the tendon has strands of collagen fibers lined up in parallel.
Cartilage
Cartilage is a connective tissue with a large amount of the matrix and variable amounts of fibers. The cells, called
chondrocytes, make the matrix and fibers of the tissue. Chondrocytes are found in spaces within the tissue called lacunae.
A cartilage with few collagen and elastic fibers is hyaline cartilage, illustrated in Figure 24.14. The lacunae are randomly
scattered throughout the tissue and the matrix takes on a milky or scrubbed appearance with routine histological stains.
Sharks have cartilaginous skeletons, as does nearly the entire human skeleton during a specific pre-birth developmental
stage. A remnant of this cartilage persists in the outer portion of the human nose. Hyaline cartilage is also found at the ends
of long bones, reducing friction and cushioning the articulations of these bones.
Figure 24.14 Hyaline cartilage consists of a matrix with cells called chondrocytes embedded in it. The chondrocytes
exist in cavities in the matrix called lacunae.
Elastic cartilage has a large amount of elastic fibers, giving it tremendous flexibility. The ears of most vertebrate animals
contain this cartilage as do portions of the larynx, or voice box. Fibrocartilage contains a large amount of collagen fibers,
giving the tissue tremendous strength. Fibrocartilage comprises the intervertebral discs in vertebrate animals. Hyaline
cartilage found in movable joints such as the knee and shoulder becomes damaged as a result of age or trauma. Damaged
hyaline cartilage is replaced by fibrocartilage and results in the joints becoming stiff.
Bone
Bone, or osseous tissue, is a connective tissue that has a large amount of two different types of matrix material. The organic
matrix is similar to the matrix material found in other connective tissues, including some amount of collagen and elastic
fibers. This gives strength and flexibility to the tissue. The inorganic matrix consists of mineral salts—mostly calcium
1136 Chapter 24 | The Animal Body: Basic Form and Function
salts—that give the tissue hardness. Without adequate organic material in the matrix, the tissue breaks; without adequate
inorganic material in the matrix, the tissue bends.
There are three types of cells in bone: osteoblasts, osteocytes, and osteoclasts. Osteoblasts are active in making bone
for growth and remodeling. Osteoblasts deposit bone material into the matrix and, after the matrix surrounds them, they
continue to live, but in a reduced metabolic state as osteocytes. Osteocytes are found in lacunae of the bone. Osteoclasts
are active in breaking down bone for bone remodeling, and they provide access to calcium stored in tissues. Osteoclasts are
usually found on the surface of the tissue.
Bone can be divided into two types: compact and spongy. Compact bone is found in the shaft—or diaphysis—of a long
bone and the surface of the flat bones, while spongy bone is found in the end—or epiphysis—of a long bone. Compact bone
is organized into subunits called osteons, as illustrated in Figure 24.15. A blood vessel and a nerve are found in the center
of the structure within the Haversian canal, with radiating circles of lacunae around it known as lamellae. The wavy lines
seen between the lacunae are microchannels called canaliculi; they connect the lacunae to aid diffusion between the cells.
Spongy bone is made of tiny plates called trabeculae these plates serve as struts to give the spongy bone strength. Over
time, these plates can break causing the bone to become less resilient. Bone tissue forms the internal skeleton of vertebrate
animals, providing structure to the animal and points of attachment for tendons.
Chapter 24 | The Animal Body: Basic Form and Function 1137
Figure 24.15 (a) Compact bone is a dense matrix on the outer surface of bone. Spongy bone, inside the compact
bone, is porous with web-like trabeculae. (b) Compact bone is organized into rings called osteons. Blood vessels,
nerves, and lymphatic vessels are found in the central Haversian canal. Rings of lamellae surround the Haversian
canal. Between the lamellae are cavities called lacunae. Canaliculi are microchannels connecting the lacunae together.
(c) Osteoblasts surround the exterior of the bone. Osteoclasts bore tunnels into the bone and osteocytes are found in
the lacunae.
Adipose Tissue
Adipose tissue, or fat tissue, is considered a connective tissue even though it does not have fibroblasts or a real matrix
and only has a few fibers. Adipose tissue is made up of cells called adipocytes that collect and store fat in the form of
triglycerides, for energy metabolism. Adipose tissues additionally serve as insulation to help maintain body temperatures,
allowing animals to be endothermic, and they function as cushioning against damage to body organs. Under a microscope,
adipose tissue cells appear empty due to the extraction of fat during the processing of the material for viewing, as seen in
Figure 24.16. The thin lines in the image are the cell membranes, and the nuclei are the small, black dots at the edges of the
cells.
1138 Chapter 24 | The Animal Body: Basic Form and Function
Figure 24.16 Adipose is a connective tissue is made up of cells called adipocytes. Adipocytes have small nuclei
localized at the cell edge.
Blood
Blood is considered a connective tissue because it has a matrix, as shown in Figure 24.17. The living cell types are red
blood cells (RBCs), also called erythrocytes, and white blood cells (WBCs), also called leukocytes. The fluid portion of
whole blood, its matrix, is commonly called plasma.
Figure 24.17 Blood is a connective tissue that has a fluid matrix, called plasma, and no fibers. Erythrocytes, or red
blood cells, the predominant cell type, are involved in the transport of oxygen and carbon dioxide. Also present are
various leukocytes, or white blood cells, involved in immune response.
The cell found in greatest abundance in blood is the erythrocyte. Erythrocytes are counted in millions in a blood sample: The
average number of red blood cells in primates is 4.7–5.5 million cells per microliter. Erythrocytes are consistently the same
size in a species, but vary in size between species. For example, the average diameter of a primate red blood cell is 7.5 μm,
a dog is close at 7.0 μm, but a cat’s RBC diameter is 5.9 μm. Sheep erythrocytes are even smaller at 4.6 μm. Mammalian
erythrocytes lose their nuclei and mitochondria when they are released from the bone marrow where they are made. Fish,
amphibian, and avian red blood cells maintain their nuclei and mitochondria throughout the cell’s life. The principal job of
an erythrocyte is to carry and deliver oxygen to the tissues.
Leukocytes are the predominant white blood cells found in the peripheral blood. Leukocytes are counted in the thousands
in the blood with measurements expressed as ranges: Primate counts range from 4,800–10,800 cells per µl, dogs from
5,600–19,200 cells per µl, cats from 8,000–25,000 cells per µl, cattle from 4,000–12,000 cells per µl, and pigs from
11,000–22,000 cells per µl.
Lymphocytes function primarily in the immune response to foreign antigens or material. Different types of lymphocytes
make antibodies tailored to the foreign antigens and control the production of those antibodies. Neutrophils are phagocytic
cells and they participate in one of the early lines of defense against microbial invaders, aiding in the removal of bacteria
that has entered the body. Another leukocyte that is found in the peripheral blood is the monocyte. Monocytes give rise to
Chapter 24 | The Animal Body: Basic Form and Function 1139
phagocytic macrophages that clean up dead and damaged cells in the body, whether they are foreign or from the host animal.
Two additional leukocytes in the blood are eosinophils and basophils—both help to facilitate the inflammatory response.
The slightly granular material among the cells is a cytoplasmic fragment of a cell in the bone marrow. This is called a
platelet or thrombocyte. Platelets participate in the stages leading up to coagulation of the blood to stop bleeding through
damaged blood vessels. Blood has a number of functions, but primarily it transports material through the body to bring
nutrients to cells and remove waste material from them.
Muscle Tissues
There are three types of muscle in animal bodies: smooth, skeletal, and cardiac. They differ by the presence or absence of
striations or bands, the number and location of nuclei, whether they are voluntarily or involuntarily controlled, and their
location within the body. Table 24.4 summarizes these differences.
Types of Muscles
Type of Muscle Striations Nuclei Control Location
Smooth No Single, in center Involuntary Visceral organs
Skeletal Yes Many, at periphery Voluntary Skeletal muscles
Cardiac Yes Single, in center Involuntary Heart
Table 24.4
Smooth Muscle
Smooth muscle does not have striations in its cells. It has a single, centrally located nucleus, as shown in Figure 24.18.
Constriction of smooth muscle occurs under involuntary, autonomic nervous control and in response to local conditions in
the tissues. Smooth muscle tissue is also called nonstriated as it lacks the banded appearance of skeletal and cardiac muscle.
The walls of blood vessels, the tubes of the digestive system, and the tubes of the reproductive systems are composed of
mostly smooth muscle.
Figure 24.18 Smooth muscle cells do not have striations, while skeletal muscle cells do. Cardiac muscle cells have
striations, but, unlike the multinucleate skeletal cells, they have only one nucleus. Cardiac muscle tissue also has
intercalated discs, specialized regions running along the plasma membrane that join adjacent cardiac muscle cells and
assist in passing an electrical impulse from cell to cell.
Skeletal Muscle
Skeletal muscle has striations across its cells caused by the arrangement of the contractile proteins actin and myosin. These
muscle cells are relatively long and have multiple nuclei along the edge of the cell. Skeletal muscle is under voluntary,
somatic nervous system control and is found in the muscles that move bones. Figure 24.18 illustrates the histology of
skeletal muscle.
Cardiac Muscle
Cardiac muscle, shown in Figure 24.18, is found only in the heart. Like skeletal muscle, it has cross striations in its cells, but
cardiac muscle has a single, centrally located nucleus. Cardiac muscle is not under voluntary control but can be influenced
by the autonomic nervous system to speed up or slow down. An added feature to cardiac muscle cells is a line than extends
along the end of the cell as it abuts the next cardiac cell in the row. This line is called an intercalated disc: It assists in
passing electrical impulse efficiently from one cell to the next and maintains the strong connection between neighboring
cardiac cells.
Nervous Tissues
Nervous tissues are made of cells specialized to receive and transmit electrical impulses from specific areas of the body
and to send them to specific locations in the body. The main cell of the nervous system is the neuron, illustrated in Figure
1140 Chapter 24 | The Animal Body: Basic Form and Function
24.19. The large structure with a central nucleus is the cell body of the neuron. Projections from the cell body are either
dendrites specialized in receiving input or a single axon specialized in transmitting impulses. Some glial cells are also
shown. Astrocytes regulate the chemical environment of the nerve cell, and oligodendrocytes insulate the axon so the
electrical nerve impulse is transferred more efficiently. Other glial cells that are not shown support the nutritional and waste
requirements of the neuron. Some of the glial cells are phagocytic and remove debris or damaged cells from the tissue. A
nervous tissue consists of neurons and glial cells.
Figure 24.19 The neuron has projections called dendrites that receive signals and projections called axons that send
signals. Also shown are two types of glial cells: astrocytes regulate the chemical environment of the nerve cell, and
oligodendrocytes insulate the axon so the electrical nerve impulse is transferred more efficiently.
Click through the interactive review (http://openstaxcollege.org/l/tissues) to learn more about epithelial tissues.
Why would a single layer of flat epithelial cells rather than cuboidal cells—cube-shaped—cells function more efficiently
in diffusion?
a. As a single layer of flat epithelia are more tightly knit than cuboidal cells.
b. As diffusion of nutrients and gas is easier across a single layer of flat epithelial cells than cuboidal cells.
c. As diffusion of only gases is easier across a single layer of flat epithelial cells than cuboidal cells.
d. As active transport of nutrients and gas is easier across a single layer of flat epithelial cells than cuboidal
cells.
Chapter 24 | The Animal Body: Basic Form and Function 1141
Pathologist
A pathologist is a medical doctor or veterinarian who has specialized in the laboratory detection of disease
in animals, including humans. These professionals complete medical school education and follow it with an
extensive post-graduate residency at a medical center. A pathologist may oversee clinical laboratories for
the evaluation of body tissue and blood samples for the detection of disease or infection. They examine
tissue specimens through a microscope to identify diseases. Some pathologists perform autopsies to
determine the cause of death and the progression of disease.
Section Summary
The basic building blocks of complex animals are four primary tissues. These are combined to form organs, which have a
specific, specialized function within the body, such as the skin or kidney. Organs are organized together to perform common
functions in the form of systems. The four primary tissues are epithelia, connective tissues, muscle tissues, and nervous
tissues.
24.3 | Homeostasis
In this section, you will explore the following questions:
• What is homeostasis?
• What factors affect homeostasis?
• What are differences between negative and positive feedback mechanisms used in homeostasis?
• What are differences between thermoregulation mechanisms in endothermic and ectothermic animals?
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.16 The student is able to connect how organisms use negative feedback to maintain their
Objective internal environments.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 2.17 The student is able to evaluate data that show the effect(s) of changes in
Objective concentrations of key molecules on negative-feedback mechanisms.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 2.18 The student is able to make predictions about how organisms use negative-feedback
Objective mechanisms to maintain their international environments.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 2.19 The student is able to make predictions about how positive-feedback mechanisms
Objective amplify activities and processes in organisms based on scientific theories and models.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 2.20 The student is able to justify that positive-feedback mechanisms amplify responses in
Objective organisms.
Animal organs and organ systems constantly adjust to internal and external changes through a process called
homeostasis—steady state. These changes might be in the level of glucose or calcium in blood or in external temperatures.
Homeostasis means to maintain dynamic equilibrium in the body. It is dynamic because it is constantly adjusting to the
changes that the body’s systems encounter. It is equilibrium because body functions are kept within specific ranges. Even
an animal that is apparently inactive is maintaining this homeostatic equilibrium.
Homeostatic Process
The goal of homeostasis is the maintenance of equilibrium around a point or value called a set point. While there are normal
fluctuations from the set point, the body’s systems will usually attempt to go back to this point. A change in the internal or
external environment is called a stimulus and is detected by a receptor; the response of the system is to adjust the deviation
parameter toward the set point. For instance, if the body becomes too warm, adjustments are made to cool the animal. If the
blood’s glucose rises after a meal, adjustments are made to lower the blood glucose level by getting the nutrient into tissues
that need it or to store it for later use.
Chapter 24 | The Animal Body: Basic Form and Function 1143
Control of Homeostasis
When a change occurs in an animal’s environment, an adjustment must be made. The receptor senses the change in the
environment, then sends a signal to the control center, in most cases, the brain, which in turn generates a response that is
signaled to an effector. The effector is a muscle that contracts or relaxes or a gland that secretes. Homeostatsis is maintained
by negative-feedback loops. Positive-feedback loops actually push the organism further out of homeostasis, but may be
necessary for life to occur. Homeostasis is controlled by the nervous and endocrine system of mammals.
Negative-Feedback Mechanisms
Any homeostatic process that changes the direction of the stimulus is a negative-feedback loop. It may either increase or
decrease the stimulus, but the stimulus is not allowed to continue as it did before the receptor sensed it. In other words, if a
level is too high, the body does something to bring it down, and conversely, if a level is too low, the body does something
to make it go up, hence, the term negative feedback. An example is animal maintenance of blood glucose levels. When
an animal has eaten, blood glucose levels rise. This is sensed by the nervous system. Specialized cells in the pancreas
sense this, and the hormone insulin is released by the endocrine system. Insulin causes blood glucose levels to decrease,
as would be expected in a negative-feedback system, as illustrated in Figure 24.20. However, if an animal has not eaten
and blood glucose levels decrease, this is sensed in another group of cells in the pancreas, and the hormone glucagon is
released causing glucose levels to increase. This is still a negative-feedback loop, but not in the direction expected by the
use of the term negative. Another example of an increase as a result of the feedback loop is the control of blood calcium.
If calcium levels decrease, specialized cells in the parathyroid gland sense this and release parathyroid hormone (PTH),
causing an increased absorption of calcium through the intestines and kidneys and, possibly, the breakdown of bone in order
to liberate calcium. The effects of PTH are to raise blood levels of the element. Negative-feedback loops are the predominant
mechanism used in homeostasis.
Figure 24.20 Blood sugar levels are controlled by a negative-feedback loop. (credit: modification of work by Jon
Sullivan)
Positive-Feedback Loop
A positive-feedback loop maintains the direction of the stimulus, possibly accelerating it. Few examples of positive-
feedback loops exist in animal bodies, but one is found in the cascade of chemical reactions that result in blood clotting,
or coagulation. As one clotting factor is activated, it activates the next factor in sequence until a fibrin clot is achieved.
The direction is maintained, not changed, so this is positive feedback. Another example of positive feedback is uterine
contractions during childbirth, as illustrated in Figure 24.21. The hormone oxytocin, made by the endocrine system,
stimulates the contraction of the uterus. This produces pain sensed by the nervous system. Instead of lowering the oxytocin
and causing the pain to subside, more oxytocin is produced until the contractions are powerful enough to produce childbirth.
1144 Chapter 24 | The Animal Body: Basic Form and Function
Figure 24.21 The birth of a human infant is the result of positive feedback.
State whether each of the following processes is regulated by a positive- or negative-feedback loop.
a. A person feels satiated after eating a large meal.
b. The blood has plenty of red blood cells. As a result, erythropoietin, a hormone that stimulates the production of new
red blood cells, is no longer released from the kidney.
a. a. This is regulated by a positive-feedback loop as the stimulus (hunger) has changed direction in response
to a signal (fullness).
b. This is regulated by a positive-feedback loop as the stimulus (red blood cell release) has changed direction
in response to a signal (presence of enough red blood cells).
b. a. This is regulated by a negative-feedback loop as the stimulus (hunger) has changed direction in response
to a signal (fullness).
b. This is regulated by a positive-feedback loop as the direction of the stimulus has been maintained.
c. a. This is regulated by a positive-feedback loop as the stimulus (hunger) has changed direction in response
to a signal (fullness).
b. This is regulated by a negative-feedback loop as the stimulus (red blood cell release) has changed direction
in response to a signal (presence of enough red blood cells).
d. a. This is regulated by a negative-feedback loop as the stimulus (hunger) changed direction in response to a
signal (fullness).
b. This is regulated by a negative-feedback loop as the stimulus (red blood cell release) changed direction in
response to a signal (presence of enough red blood cells).
Set Point
It is possible to adjust a system’s set point. When this happens, the feedback loop works to maintain the new setting. An
example of this is blood pressure: Over time, the normal or set point for blood pressure can increase as a result of continued
increases in blood pressure. The body no longer recognizes the elevation as abnormal and no attempt is made to return to
the lower set point. The result is the maintenance of an elevated blood pressure that can have harmful effects on the body.
Medication can lower blood pressure and lower the set point in the system to a more healthy level. This is called a process
of alteration of the set point in a feedback loop.
Changes can be made in a group of body organ systems in order to maintain a set point in another system. This is called
acclimatization. This occurs, for instance, when an animal migrates to a higher altitude than it is accustomed to. To adjust
to the lower oxygen levels at the new altitude, the body increases the number of red blood cells circulating in the blood to
Chapter 24 | The Animal Body: Basic Form and Function 1145
ensure adequate oxygen delivery to the tissues. Another example of acclimatization is animals that have seasonal changes
in their coats: A heavier coat in the winter ensures adequate heat retention, and a light coat in summer assists in keeping
body temperature from rising to harmful levels.
Feedback mechanisms can be understood in terms of driving a race car along a track: Watch a short video lesson
(http://openstaxcollege.org/l/feedback_loops) on positive- and negative-feedback loops.
Voltage-gated sodium channels occur in the cell membranes of nerve cells. They open in response to sodium entering the
cell, which in turn, allows more sodium to enter the cell. Is this a positive- or negative-feedback loop and why?
a. This is a positive-feedback loop as voltage-gated sodium channels open in response to sodium influx and
then close when enough sodium has entered through the channels.
b. This is a negative-feedback loop as voltage-gated sodium channels open in response to sodium influx and
then close when enough sodium has entered through the channels.
c. This is a positive-feedback loop as voltage-gated sodium channels open in response to sodium influx, which
allows more sodium to go in through the channels.
d. This is a negative-feedback loop as voltage-gated sodium channels open in response to sodium influx, which
allows more sodium to go in through the channels.
Think About It
How are negative feedback loops used to regulate body homeostasis? How is a condition such as diabetes a good
example of the failure of a set point in humans? Hypothesize and draw a diagram that shows what you think is the
feedback failure for a person with diabetes.
Homeostasis: Thermoregulation
Body temperature affects body activities. Generally, as body temperature rises, enzyme activity rises as well. For every 10
°C rise in temperature, enzyme activity doubles, up to a point. Body proteins, including enzymes, begin to denature and lose
their function with high heat—around 50 °C for mammals). Enzyme activity will decrease by half for every 10 °C drop in
temperature, to the point of freezing, with a few exceptions. Some fish can withstand freezing solid and return to normal
with thawing.
1146 Chapter 24 | The Animal Body: Basic Form and Function
a. Loose skin is thicker, which allows the excess heat to dissipate quickly through the skin.
b. Loose skin brings more heat and blood to the body surface, facilitating heat loss.
c. Loose skin contains greater skin area, which allows excess heat to dissipate as heat loss occurs through the
skin.
d. Loose skin has smaller skin area, which allows excess heat to dissipate as heat loss occurs through the skin.
Figure 24.22 Heat can be exchanged by four mechanisms: (a) radiation, (b) evaporation, (c) convection, or (d)
conduction. (credit b: modification of work by “Kullez”/Flickr; credit c: modification of work by Chad Rosenthal; credit d:
modification of work by “stacey.d”/Flickr)
Figure 24.23 The body temperature of ectotherms varies with the environment. For that reason, reptiles, such as
this American alligator, bask in the sun to warm themselves.
If an American alligator has been basking but gets too hot, how might the alligator cool itself?
a. increase vasodilation
b. sweat
c. move into shade
d. increase metabolic rate
1148 Chapter 24 | The Animal Body: Basic Form and Function
Figure 24.24 The body is able to regulate temperature in response to signals from the nervous system.
When bacteria are destroyed by leukocytes, pyrogens are released into the blood. Pyrogens reset the body’s thermostat
to a higher temperature, resulting in fever. How do pyrogens cause body temperature to rise?
a. Pyrogens circulate to the hypothalamus to reset the body’s thermostat, causing a rise in temperature.
b. Pyrogens circulate to the thalamus to reset the body’s thermostat, causing a rise in temperature.
c. Pyrogens cause an increase in the activity of the animal’s enzymes, which results in the temperature rise.
d. Pyrogens entering the blood release some lipid substances, which ultimately cause the rise in temperature.
The hypothalamus maintains the set point for body temperature through reflexes that cause vasodilation and sweating when
the body is too warm, or vasoconstriction and shivering when the body is too cold. It responds to chemicals from the body.
When a bacterium is destroyed by phagocytic leukocytes, chemicals called endogenous pyrogens are released into the blood.
These pyrogens circulate to the hypothalamus and reset the thermostat. This allows the body’s temperature to increase in
what is commonly called a fever. An increase in body temperature causes iron to be conserved, which reduces a nutrient
needed by bacteria. An increase in body heat also increases the activity of the animal’s enzymes and protective cells while
inhibiting the enzymes and activity of the invading microorganisms. Finally, heat itself may also kill the pathogen. A fever
that was once thought to be a complication of an infection is now understood to be a normal defense mechanism.
Section Summary
Homeostasis is a dynamic equilibrium that is maintained in body tissues and organs. It is dynamic because it is constantly
adjusting to the changes that the systems encounter. It is in equilibrium because body functions are kept within a normal
range, with some fluctuations around a set point for the processes.
1150 Chapter 24 | The Animal Body: Basic Form and Function
KEY TERMS
acclimatization alteration in a body system in response to environmental change
apodeme ingrowth of an animal’s exoskeleton that functions as an attachment site for muscles
canaliculus microchannel that connects the lacunae and aids diffusion between cells
cartilage type of connective tissue with a large amount of ground substance matrix, cells called chondrocytes, and some
amount of fibers
columnar epithelia epithelia made of cells taller than they are wide, specialized in absorption
connective tissue type of tissue made of cells, ground substance matrix, and fibers
dorsal cavity body cavity on the posterior or back portion of an animal; includes the cranial and vertebral cavities
epithelial tissue tissue that either lines or covers organs or other tissues
estivation torpor in response to extremely high temperatures and low water availability
fibrous connective tissue type of connective tissue with a high concentration of fibers
frontal (coronal) plane plane cutting through an animal separating the individual into front and back portions
fusiform animal body shape that is tubular and tapered at both ends
loose (areolar) connective tissue type of connective tissue with small amounts of cells, matrix, and fibers; found
around blood vessels
matrix component of connective tissue made of both living and nonliving—ground substances—cells
midsagittal plane plane cutting through an animal separating the individual into even right and left sides
negative feedback loop feedback to a control mechanism that increases or decreases a stimulus instead of maintaining
it
positive feedback loop feedback to a control mechanism that continues the direction of a stimulus
sagittal plane plane cutting through an animal separating the individual into right and left sides
Chapter 24 | The Animal Body: Basic Form and Function 1151
squamous epithelia type of epithelia made of flat cells, specialized in aiding diffusion or preventing abrasion
torpor decrease in activity and metabolism that allows an animal to survive adverse conditions
trabecula tiny plate that makes up spongy bone and gives it strength
transitional epithelia epithelia that can transition for appearing multilayered to simple; also called uroepithelial
transverse (horizontal) plane plane cutting through an animal separating the individual into upper and lower portions
ventral cavity body cavity on the anterior or front portion of an animal that includes the thoracic cavities and the
abdominopelvic cavities
CHAPTER SUMMARY
24.1 Animal Form and Function
Animal bodies come in a variety of sizes and shapes. Limits on animal size and shape include impacts to their movement.
Diffusion affects their size and development. Bioenergetics describes how animals use and obtain energy in relation to
their body size, activity level, and environment.
The basic building blocks of complex animals are four primary tissues. These are combined to form organs, which have a
specific, specialized function within the body, such as the skin or kidney. Organs are organized together to perform
common functions in the form of systems. The four primary tissues are epithelia, connective tissues, muscle tissues, and
nervous tissues.
24.3 Homeostasis
Homeostasis is a dynamic equilibrium that is maintained in body tissues and organs. It is dynamic because it is constantly
adjusting to the changes that the systems encounter. It is in equilibrium because body functions are kept within a normal
range, with some fluctuations around a set point for the processes.
REVIEW QUESTIONS
1. The pleural cavity is part of which cavity?
a. dorsal
b. thoracic
c. abdominal
d. pericardial
2. A plane that divides an animal into dorsal and ventral portions is the ________ plane.
a. sagittal
b. midsagittal
c. frontal
d. transverse
3. What is the term for a hard covering or shell that provides protection and muscle attachment?
1152 Chapter 24 | The Animal Body: Basic Form and Function
a. apodeme
b. fusiform
c. exoskeleton
d. endotherm
4. Which organism has a fusiform shape?
a. elephant
b. dolphin
c. spider
d. human
5. Which type of animal maintains a constant internal body temperature?
a. endotherm
b. ectotherm
c. poikilotherm
d. fusiform
6. Smaller endothermic animals have ________ surface area for their mass compared with larger endothermic animals.
a. equal
b. greater
c. less
d. no
7. What is the term for epithelial cells that are composed of multiple layers?
a. simple
b. stratified
c. squamous
d. transitional
8. Which type of epithelial cell is best adapted to aid diffusion?
a. squamous
b. cuboidal
c. columnar
d. transitional
9. Why do osteoclasts need to break down bone?
a. to deposit bone material into the bone matrix
b. to facilitate osteoclast persistence without using excess energy
c. to provide access to calcium in the tissue
d. to facilitate compact bone structure
10. Plasma is the ________.
a. fibers in the blood
b. matrix of the blood
c. cell that phagocytizes bacteria
d. cell that functions in response to antigens
11. Why is it necessary for most muscle cells to be under voluntary control?
Chapter 24 | The Animal Body: Basic Form and Function 1153
a. positive
b. negative
c. acclimatization
d. receptor
20. Which is an example of negative feedback?
a. lowering of blood glucose after a meal
b. blood clotting after an injury
c. lactation during nursing
d. uterine contractions during labor
21. Which method of heat exchange occurs during direct contact between the source and the animal?
a. radiation
b. evaporation
c. convection
d. conduction
22. Which of the following is a strategy that may be employed by an ectotherm to immediately increase body temperature?
a. BMR decreases with body size, because larger animals require more energy to maintain their size. However,
smaller animals have relatively higher BMRs per body weight because they have greater surface area.
b. BMR increases with body size, because smaller animals require more energy to maintain their size. However,
larger animals have relatively higher BMRs per body weight because they have greater surface area.
c. BMR increases with body size, because larger animals require more energy to maintain their size. However,
smaller animals have relatively higher BMRs per body weight because they have greater surface area for their
mass.
d. BMR decreases with body size, because smaller animals require more energy to maintain their size. However,
larger animals have relatively higher BMRs per body weight because they have greater surface area for their
mass.
26. Radial symmetry is typically found in aquatic organisms. What is radial symmetry and why is it advantageous to
certain aquatic organisms?
a. Radially symmetric means that a plane cut from the front to back of the organism produces distinct left and right
sides that are mirror images of each other. It helps certain aquatic organisms to extract food from surrounding
environments.
b. Radially symmetric means that a plane cut from the front to back of the organism produces distinct left and right
sides that are mirror images of each other. It helps certain aquatic organisms to perform photosynthesis.
c. Radially symmetric means that a plane cut along its longitudinal axis will produce equal halves, and there is no
distinct left or right. It helps certain aquatic organisms to perform photosynthesis.
d. Radially symmetric means that a plane cut along its longitudinal axis to produce equal halves, and there is no
distinct left or right. It helps certain aquatic organisms to extract food from surrounding environments.
27. Columnar epithelial cells, which are typically found in a single-layer arrangement, are found along the digestive tract.
What is the role of columnar epithelial cells in digestion?
a. Columnar epithelial cells absorb material from the lumen of the digestive tract to prepare the material for entry
into the body.
b. Columnar epithelial cells release mucus for lubrication as well as antimicrobial agents in the digestive tract.
c. Columnar epithelial cells secrete enzymes like salivary amylase which aid in digestion by the breakdown of
carbohydrates in the body.
d. Columnar epithelial cells help in the propulsion of food by peristalsis in the digestive tract of the body.
28. In vertebrates, cartilage is found in fetal bones, ears, and intervertebral discs, whereas bone is found in the skeleton.
What are the similarities between cartilage and bone?
a. Both are types of connective tissue in the body and cells of both are known as chondrocytes.
b. Both are types of connective tissue in the body and have non-vascular organic matrix material that provides
strength and flexibility.
c. Both are types of connective tissue in the body and have organic matrix material that provides strength and
flexibility.
d. Both consist of bone marrow and have organic matrix material that provides strength and flexibility.
29. A friend sneaks up behind you and scares you, speeding up your heart rate. How and why did this event influence
cardiac muscle contraction?
a. Muscle contraction speed increases as the enteric nervous system responds to local conditions and makes muscle
contraction speed up or slow down.
b. Muscle contraction speed increases as the autonomic nervous system responds to local conditions and makes
muscle contraction speed up or slow down.
c. Muscle contraction speed increases as the somatic nervous system responds to local conditions and makes
muscle contraction speed up or slow down.
d. Muscle contraction speed increases as the central nervous system responds to local conditions and makes muscle
contraction speed up or slow down.
30. Neurons have several specialized structures, including dendrites. What might happen if an individual has malformed
dendrites?
1156 Chapter 24 | The Animal Body: Basic Form and Function
a. Vasodilation allows for radiation and evaporative heat loss, and vasoconstriction brings blood to the core to
conserve heat by vital organs.
b. Vasodilation brings blood to the core to conserve heat by vital organs, and vasoconstriction results in radiation
and evaporative heat loss.
c. Vasodilation results in the formation of an insulating layer between skin and internal organs, causing heat
conservation and brings blood to the core to conserve heat.
d. Vasodilation results in radiation and evaporative heat loss, and vasoconstriction transfers heat from arteries to
veins to warm blood returning to the heart.
a. increase vasodilation
b. sweat
c. move into shade
d. increase metabolic rate
41. During torpor, arctic ground squirrels reduce their energy requirements by reducing their core body temperature and
metabolic rate, as shown in the graph.
Why would an active ground squirrel’s ATP synthesis also increase in proportion to metabolic rate when temperatures fall
below 0°?
a. Colder temperatures causes ATP to degrade.
b. ATP is synthesized through cellular respiration, which provides body heat.
c. ATP synthesis is needed to provide more oxygen to the cells.
d. ATP is consumed by the cells to generate body heat.
42. Why is hibernation not a good option for small animals like the hummingbirds to help reduce its metabolic rate and
conserve its need for food?
a. Hummingbirds have a fast metabolic rate and a large surface area to volume ratio.
b. Hummingbirds are unable to lower their metabolic rate and body temperature to enter hibernation.
c. Hummingbirds migrate south for the winter.
d. Hummingbirds live a short life.
43. How does hibernation differ in small animals such as ground squirrels and larger animalssuch as bears?
a. Smaller animals can engage in torpor, while larger animals cannot.
b. Larger animals can engage in torpor, while smaller animals cannot.
c. Smaller animals cannot remain inactive throughout the entire winter, while larger animals can.
d. Larger animals cannot remain inactive throughout the entire winter, while smaller animals can.
44. In the data table, BM is body mass; CD, cool-down time; WU, warm-up time; NBT, normal body temperature; and
Chapter 24 | The Animal Body: Basic Form and Function 1159
Figure 24.25
What can you conclude from the data collected on five different animals as shown in the table above?
a. The time it takes for animals to change body temperature is directly related to body size.
b. The time it takes for animals to change their body temperature is indirectly related to their size.
c. Larger animals hibernate for longer periods of time.
d. Smaller animals hibernate for shorter periods of time.
45. In the data table, BM is body mass; CD, cool-down time; WU, warm-up time; NBT, normal body temperature; and
BTH, body temperature during hibernation.
1160 Chapter 24 | The Animal Body: Basic Form and Function
Figure 24.26
What can you conclude from about the time it takes to cool down versus the time it takes to warm up?
a. Larger animals consume more energy to maintain their body temperatures.
b. Smaller animals can survive hibernation with less food reserves than larger animals.
c. Smaller animals require more time to alter their body temperature.
d. Larger animals require more time to alter their body temperature.
46. The endocrine system incorporates feedback mechanisms that maintain homeostasis. Which of the following
demonstrates negative feedback by the endocrine system?
a. During labor, the fetus exerts pressure on the uterine wall, inducing the production of oxytocin, which stimulates
uterine wall contraction. The contractions cause the fetus to further push on the wall, increasing the production
of oxytocin.
b. After a meal, blood glucose levels become elevated, stimulating beta cells of the pancreas to release insulin into
the blood. Excess glucose is then converted to glycogen in the liver, reducing blood glucose levels.
c. At high elevation, atmospheric oxygen is scarcer. In response to signals that oxygen is low, the brain decreases
an individual’s rate of respiration to compensate for the difference.
d. A transcription factor binds to the regulating region of a gene, blocking the binding of another transcription
factor required for expression.
47. This figure depicts the process of calcium homeostasis.
Chapter 24 | The Animal Body: Basic Form and Function 1161
Figure 24.27
Describe how blood calcium control is an example of a negative-feedback loop.
a. Cells in the parathyroid gland sense calcium decrease causing parathyroid hormone release and stimulating
calcium absorption. Bone may also break down to release calcium.
b. Cells in the parathyroid gland sense calcium decrease causing calcitonin release and stimulating calcium
absorption. Bone may also break down to release calcium.
c. Cells in the thyroid gland sense calcium decrease causing calcitonin release and stimulating calcium absorption.
Bone may also break down to release calcium.
d. Cells in the parathyroid gland sense calcium increase causing parathyroid hormone release and stimulating
calcium absorption. Bone may also break down to release calcium.
48. In organisms, homeostasis of various bodily processes, such as body temperature, blood glucose levels, and blood
calcium levels, is essential for the maintenance of proper body functions. What role does insulin play in homeostasis?
a. When a fetus pushes against the uterine wall, insulin is released by the brain to stimulate uterine contractions.
b. In the presence of decreased blood glucose levels, insulin is produced by the parathyroid to increase calcium
absorption.
c. Insulin activation activates other clotting factors until a fibrin clot is produced.
d. Insulin is secreted by the pancreas in response to elevated blood glucose levels to remove glucose from the
blood.
1162 Chapter 24 | The Animal Body: Basic Form and Function
49. Proper blood glucose levels are necessary to maintain cellular function, because glucose is fuel for cells. Glucagon is
an important component of blood glucose homeostasis, which is maintained by a negative feedback loop. Describe the role
of glucagon in blood glucose homeostasis.
a. When blood sugar is low, glucose and ATP produce glycogen. Excess blood sugar stimulates the release of
glucagon, which in turn stimulates glycogen release to increase blood glucose levels.
b. When there is excess blood sugar, excess glucose and ATP produce glucagon. A drop in blood glucose level
stimulates the release of glycogen, which in turn stimulates glycogen release to increase blood glucose levels.
c. When there is excess blood sugar, the excess glucose and ATP produce glycogen. A drop in blood glucose level
stimulates the release of glucagon, which in turn stimulates the release of glycogen to increase blood glucose
levels.
d. When there is excess blood sugar, the excess glucose and ATP produce glycogen. A drop in blood glucose level
stimulates the release of glucagon, which in releases more glucagon to increase blood glucose levels.
50. One process that is under the control of a negative-feedback loop is red blood cell production. These cells carry oxygen
to all of the body cells, and remove some carbon dioxide. What would most likely happen if an individual had a sufficient
number of red blood cells?
a. The individual would have increased red blood cell production.
b. The individual’s body would start destroying the red blood cells.
c. The individual’s body would cease production of new red blood cells.
d. The individual would produce the same amount of red blood cells.
51. Diabetes results when either insulin cannot be produced or does not function properly. Consequently, diabetes can
produce complications such as blindness, heart disease, and kidney disease. To help manage diabetes, a patient can get
insulin injections. How do insulin injections promote a negative feedback loop to help maintain blood glucose production?
a. Insulin injections allow transport and storage of glucose to increase blood glucose levels after consuming a large
or high-glucose meal.
b. Insulin injections allow only storage of glucose to decrease blood glucose levels after consuming a large or high-
glucose meal.
c. Insulin injections allow transport and storage of glucose to increase blood glucose levels before consuming a
meal.
d. Insulin injections allow transport and storage of glucose to decrease blood glucose levels after consuming a large
or high-glucose meal.
52. Positive feedback loops amplify processes in organisms. Which of the following statements describes the role of the
hormone oxytocin in a positive feedback loop for childbirth?
a. Oxytocin halts uterine contractions when the fetus pushes on the uterine wall.
b. Oxytocin maintains pain levels as the child is pushed through the birth canal.
c. Oxytocin stimulates uterine contractions when the fetus pushes on the uterine wall.
d. Oxytocin decreases pain levels as the child is pushed through the birth canal.
53. Birth is one of the few positive-feedback loops observed in humans and is essential for the proper delivery of babies.
Describe how a baby pushing against a pregnant woman’s cervix stimulates a positive-feedback loop.
a. Stretching stimulates nerve impulses to be sent to the brain, which releases oxytocin from the pituitary, which in
turn causes uterine contractions.
b. Stretching stimulates nerve impulses to be sent to the brain, which releases estrogen from the pituitary, which in
turn causes uterine contractions.
c. Stretching stimulates nerve impulses to be sent to the brain, which releases oxytocin from the parathyroid gland,
which in turn causes uterine contractions.
d. Stretching stimulates nerve impulses to be sent to the brain which releases progesterone from the pituitary,
which in turn causes uterine contractions.
54. Negative-feedback mechanisms are far more prevalent in the human body than positive-feedback loops because they
Chapter 24 | The Animal Body: Basic Form and Function 1163
help regulate homeostasis. However, there are some instances of positive-feedback loops that can be observed in animals.
Regulation of which of the following is an example of a positive-feedback loop?
a. When body temperature gets too high, signals are sent to reduce body temperature.
b. Increased blood glucose levels stimulate insulin production, which in turn sequesters glucose from the blood.
c. Decreased calcium levels stimulate increased calcium absorption.
d. Activation of one clotting factor stimulates production of other clotting factors until a fibrin clot is produced.
55. Both negative and positive-feedback loops are essential for maintaining proper body functions. Blood calcium and
blood clotting are under the control of different feedback loops. Which of these processes is maintained by a positive-
feedback loop and why?
a. Blood clotting is maintained by a positive-feedback loop, as clotting is amplified in response by increasing the
amount of clotting factors when clotting factors are present.
b. Blood clotting is maintained by a positive-feedback loop, as clotting factors are maintained in a specific range
and a positive loop helps return the conditions to the set point.
c. Blood calcium is maintained by a positive-feedback loop, as calcium levels are amplified in response by
increasing the amount of calcium levels when calcium is present.
d. Blood calcium is maintained by a positive-feedback loop, as calcium levels are maintained in a specific range
and a positive-feedback loop helps return the conditions to the set point.
1164 Chapter 24 | The Animal Body: Basic Form and Function
Chapter 25 | Animal Nutrition and the Digestive System 1165
25 | ANIMAL NUTRITION
AND THE DIGESTIVE
SYSTEM
Figure 25.1 For humans, fruits and vegetables are important in maintaining a balanced diet. (Credit: modification of
work by Julie Rybarczyk)
Chapter Outline
25.1: Digestive Systems
25.2: Nutrition and Energy Production
25.3: Digestive System Processes
25.4: Digestive System Regulation
Introduction
All living organisms need nutrients to survive. Animals obtain their nutrients by the consumption of other organisms. At
the cellular level, the biological molecules necessary for animal function are amino acids, lipid molecules, nucleotides, and
simple sugars. However, the food consumed consists of protein, fat, and complex carbohydrates. Animals must convert
these macromolecules into the simple molecules required for maintaining cellular functions, such as assembling new
molecules, cells, and tissues. The conversion of the food consumed to the nutrients required is a multi-step process involving
digestion and absorption. During digestion, food particles are broken down into smaller components; later, they are absorbed
by the body.
One of the challenges in human nutrition is maintaining a balance between food intake, storage, and energy expenditure.
Imbalances can have serious health consequences. For example, eating too much food while not expending much energy
1166 Chapter 25 | Animal Nutrition and the Digestive System
leads to obesity; this in turn will increase the risk of developing illnesses such as type 2 diabetes and cardiovascular disease.
The recent rise in obesity and related diseases makes understanding the role of diet and nutrition in maintaining good
health all the more important. Many health experts believe that nutrition education will improve the overall health of the
entire population. In fact, according to Williams et al. (2014), one nutrition education program, the Supplemental Nutrition
Assistance Program (SNAP), focused on pre-school-aged children enrolled in a low-cost childcare setting and found that
participating children were significantly more likely to eat more vegetables at home. You can read more about SNAP here
(http://openstaxcollege.org/l/32SNAP) .
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Chapter 25 | Animal Nutrition and the Digestive System 1167
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 2.6 The student is able to use calculated surface area-to-volume ratios to predict which
Objective cell(s) might eliminate wastes or procure nutrients faster by diffusion.
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.7 The student will be able to explain how cell size and shape affects the overall rate of
Objective nutrient intake and the rate of waste elimination.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
4.A Interactions within biological systems lead to complex properties.
Understanding
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science
3.3 The student can evaluate scientific questions.
Practice
Learning 4.8 The student is able to evaluate scientific questions concerning organisms that exhibit
Objective complex properties due to the interaction of their constituent parts.
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.9 The student is able to predict the effects of a change in a component(s) of a biological
Objective system on the functionality of an organism(s).
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity due
Objective to interactions of the constituent parts.
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Essential 4.B.2 Cooperative interactions within organisms promote efficiency in the use of energy and
Knowledge matter.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 4.18 The student is able to use representations and models to analyze how cooperative
Objective interactions within organisms promote efficiency in the use of matter and energy.
Animals obtain their nutrition by consuming other organisms. Depending on their diet, animals can be classified into the
following categories: plant eaters or herbivores, meat eaters or carnivores, and those that eat both plants and animals more
commonly known as omnivores. The nutrients and macromolecules present in food are not immediately accessible to the
1168 Chapter 25 | Animal Nutrition and the Digestive System
cells. There are a number of processes that modify food within the animal body to make the nutrients and organic molecules
accessible for cellular function. As animals evolved in complexity of form and function, their digestive systems have also
evolved to accommodate their various dietary needs.
Figure 25.2 Herbivores, like this (a) mule deer and (b) monarch caterpillar, eat primarily plant material. (Credit a:
modification of work by Bill Ebbesen; Credit b: modification of work by Doug Bowman)
Carnivores are animals that eat other animals. The word carnivore is derived from Latin and literally means meat eater.
Wild cats such as lions, shown in Figure 25.3 (a) and tigers are examples of vertebrate carnivores, as are snakes and sharks,
while invertebrate carnivores include sea stars, spiders, and ladybugs, shown in Figure 25.3 (b). Obligate carnivores are
those that rely entirely on animal flesh to obtain their nutrients; examples of obligate carnivores are members of the cat
family such as lions and cheetahs. Facultative carnivores are those that also eat non-animal food in addition to animal
food. Note that there is no clear line that differentiates facultative carnivores from omnivores; dogs would be considered
facultative carnivores.
Figure 25.3 Carnivores like the (a) lion eat primarily meat. The (b) ladybug is also a carnivore that consumes small
insects called aphids. (Credit a: modification of work by Kevin Pluck; Credit b: modification of work by Jon Sullivan)
Chapter 25 | Animal Nutrition and the Digestive System 1169
Omnivores are animals that eat both plant- and animal-derived food. In Latin, omnivore means to eat everything. Humans,
bears, and chickens are example of vertebrate omnivores; invertebrate omnivores include cockroaches and crayfish.
Figure 25.4 Omnivores like the (a) bear and (b) crayfish eat both plant and animal based food. (Credit a: modification
of work by Dave Menke; Credit b: modification of work by Jon Sullivan)
Figure 25.5 (a) A gastrovascular cavity has a single opening through which food is ingested and waste is excreted, as
shown in this hydra and in this jellyfish medusa. (b) An alimentary canal has two openings: a mouth for ingesting food,
and an anus for eliminating waste, as shown in this nematode.
Figure 25.6 (a) Humans and herbivores, such as the (b) rabbit, have a monogastric digestive system. However, in
the rabbit the small intestine and cecum are enlarged to allow more time to digest plant material. The enlarged organ
provides more surface area for absorption of nutrients. Rabbits digest their food twice: the first time food passes
through the digestive system, it collects in the cecum, and then it passes through the anus as soft feces called
cecotrophes. The rabbit re-ingests these cecotrophes to further digest them.
Avian
Birds face special challenges when it comes to obtaining nutrition from food. They do not have teeth and so their digestive
system, shown in Figure 25.7, must be able to process un-masticated food. Birds have evolved a variety of beak types that
reflect the vast variety in their diet, ranging from seeds and insects to fruits and nuts. Because most birds fly, their metabolic
rates are high in order to efficiently process food and keep their body weight low. The stomach of birds has two chambers:
the proventriculus, where gastric juices are produced to digest the food before it enters the stomach, and the gizzard,
where the food is stored, soaked, and mechanically ground. The undigested material forms food pellets that are sometimes
regurgitated. Most of the chemical digestion and absorption happens in the intestine and the waste is excreted through the
cloaca.
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Figure 25.7 The avian esophagus has a pouch, called a crop, which stores food. Food passes from the crop to
the first of two stomachs, called the proventriculus, which contains digestive juices that break down food. From the
proventriculus, the food enters the second stomach, called the gizzard, which grinds food. Some birds swallow stones
or grit, which are stored in the gizzard, to aid the grinding process. Birds do not have separate openings to excrete
urine and feces. Instead, uric acid from the kidneys is secreted into the large intestine and combined with waste from
the digestive process. This waste is excreted through an opening called the cloaca.
Chapter 25 | Animal Nutrition and the Digestive System 1173
Avian Adaptations
Birds have a highly efficient, simplified digestive system. Recent fossil evidence has shown that the
evolutionary divergence of birds from other land animals was characterized by streamlining and simplifying
the digestive system. Unlike many other animals, birds do not have teeth to chew their food. In place of
lips, they have sharp pointy beaks. The horny beak, lack of jaws, and the smaller tongue of the birds can
be traced back to their dinosaur ancestors. The emergence of these changes seems to coincide with the
inclusion of seeds in the bird diet. Seed-eating birds have beaks that are shaped for grabbing seeds and
the two-compartment stomach allows for delegation of tasks. Since birds need to remain light in order to fly,
their metabolic rates are very high, which means they digest their food very quickly and need to eat often.
Contrast this with the ruminants, where the digestion of plant matter takes a very long time.
Although both birds and humans are vertebrates, birds have a relatively higher metabolic rate than humans.
i. Why is the metabolic rate of birds relatively higher than that of humans?
ii. How do birds compensate for such a high metabolism?
a. i. Birds have smaller surfaces to lose heat than humans, so their metabolic rate must be higher.
ii. Birds need to eat greater amounts of food since they digest food quickly.
b. i. Birds need to be light to fly, so they need to digest their food faster than humans.
ii. Birds need to eat greater amounts of food since they digest food quickly.
c. i. Birds have smaller surfaces to lose heat than humans, so their metabolic rate must be higher.
ii. Birds need to eat often to maintain energy since they digest food quickly.
d. i. Birds need to be light to fly, so they need to digest their food faster than humans.
ii. Birds need to eat often to maintain energy since they digest food quickly.
Ruminants
Ruminants are mainly herbivores like cows, sheep, and goats, whose entire diet consists of eating large amounts of
roughage or fiber. They have evolved digestive systems that help them digest vast amounts of cellulose. An interesting
feature of the ruminants’ mouth is that they do not have upper incisor teeth. They use their lower teeth, tongue and lips to
tear and chew their food. From the mouth, the food travels to the esophagus and on to the stomach.
To help digest the large amount of plant material, the stomach of the ruminants is a multi-chambered organ, as illustrated
in Figure 25.8. The four compartments of the stomach are called the rumen, reticulum, omasum, and abomasum. These
chambers contain many microbes that break down cellulose and ferment ingested food. The abomasum is the true stomach
and is the equivalent of the monogastric stomach chamber where gastric juices are secreted. The four-compartment gastric
chamber provides larger space and the microbial support necessary to digest plant material in ruminants. The fermentation
process produces large amounts of gas in the stomach chamber, which must be eliminated. As in other animals, the small
intestine plays an important role in nutrient absorption, and the large intestine helps in the elimination of waste.
1174 Chapter 25 | Animal Nutrition and the Digestive System
Figure 25.8 Ruminant animals, such as goats and cows, have four stomachs. The first two stomachs, the rumen and
the reticulum, contain prokaryotes and protists that are able to digest cellulose fiber. The ruminant regurgitates cud
from the reticulum, chews it, and swallows it into a third stomach, the omasum, which removes water. The cud then
passes onto the fourth stomach, the abomasum, where it is digested by enzymes produced by the ruminant.
Pseudo-ruminants
Some animals, such as camels and alpacas, are pseudo-ruminants. They eat a lot of plant material and roughage. Digesting
plant material is not easy because plant cell walls contain the polymeric sugar molecule cellulose. The digestive enzymes of
these animals cannot break down cellulose, but microorganisms present in the digestive system can. Therefore, the digestive
system must be able to handle large amounts of roughage and break down the cellulose. Pseudo-ruminants have a three-
chamber stomach in the digestive system. However, their cecum—a pouched organ at the beginning of the large intestine
containing many microorganisms that are necessary for the digestion of plant materials—is large and is the site where the
roughage is fermented and digested. These animals do not have a rumen but have an omasum, abomasum, and reticulum.
the stomach. The trachea has an opening called the glottis, which is covered by a cartilaginous flap called the epiglottis.
When swallowing, the epiglottis closes the glottis and food passes into the esophagus and not the trachea. This arrangement
allows food to be kept out of the trachea.
Figure 25.9 Digestion of food begins in the (a) oral cavity. Food is masticated by teeth and moistened by saliva
secreted from the (b) salivary glands. Enzymes in the saliva begin to digest starches and fats. With the help of the
tongue, the resulting bolus is moved into the esophagus by swallowing. (Credit: modification of work by the National
Cancer Institute)
Esophagus
The esophagus is a tubular organ that connects the mouth to the stomach. The chewed and softened food passes through the
esophagus after being swallowed. The smooth muscles of the esophagus undergo a series of wave like movements called
peristalsis that push the food toward the stomach, as illustrated in Figure 25.10. The peristalsis wave is unidirectional;
it moves food from the mouth to the stomach, and reverse movement is not possible. The peristaltic movement of the
esophagus is an involuntary reflex; it takes place in response to the act of swallowing.
Figure 25.10 The esophagus transfers food from the mouth to the stomach through peristaltic movements.
A ring-like muscle called a sphincter forms valves in the digestive system. The gastro-esophageal sphincter is located at
the stomach end of the esophagus. In response to swallowing and the pressure exerted by the bolus of food, this sphincter
opens, and the bolus enters the stomach. When there is no swallowing action, this sphincter is shut and prevents the contents
of the stomach from traveling up the esophagus. Many animals have a true sphincter; however, in humans, there is no true
sphincter, but the esophagus remains closed when there is no swallowing action. Acid reflux or heartburn occurs when the
acidic digestive juices escape into the esophagus.
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Stomach
A large part of digestion occurs in the stomach, shown in Figure 25.11. The stomach is a saclike organ that secretes gastric
digestive juices. The pH in the stomach is between 1.5 and 2.5. This highly acidic environment is required for the chemical
breakdown of food and the extraction of nutrients. When empty, the stomach is a rather small organ; however, it can expand
to up to 20 times its resting size when filled with food. This characteristic is particularly useful for animals that need to eat
when food is available.
Figure 25.11 The human stomach has an extremely acidic environment where most of the protein gets digested.
(Credit: modification of work by Mariana Ruiz Villareal)
The stomach is the major site for protein digestion in animals other than ruminants. Protein digestion is mediated by an
enzyme called pepsin in the stomach chamber. Pepsin is secreted by the chief cells in the stomach in an inactive form
called pepsinogen. Pepsin breaks peptide bonds and cleaves proteins into smaller polypeptides; it also helps activate more
pepsinogen, starting a positive feedback mechanism that generates more pepsin. Another cell type—parietal cells—secretes
hydrogen and chloride ions, which combine in the lumen to form hydrochloric acid, the primary acidic component of the
stomach juices. Hydrochloric acid helps to convert the inactive pepsinogen to pepsin. The highly acidic environment also
kills many microorganisms in the food and, combined with the action of the enzyme pepsin, results in the hydrolysis of
protein in the food. Chemical digestion is facilitated by the churning action of the stomach. Contraction and relaxation of
smooth muscles mixes the stomach contents about every 20 minutes. The partially digested food and gastric juice mixture
is called chyme. Chyme passes from the stomach to the small intestine. Further protein digestion takes place in the small
intestine. Gastric emptying occurs within two to six hours after a meal. Only a small amount of chyme is released into the
small intestine at a time. The movement of chyme from the stomach into the small intestine is regulated by the pyloric
sphincter.
When digesting protein and some fats, the stomach lining must be protected from getting digested by pepsin. There are
two points to consider when describing how the stomach lining is protected. First, as previously mentioned, the enzyme
pepsin is synthesized in the inactive form. This protects the chief cells, because pepsinogen does not have the same enzyme
functionality of pepsin. Second, the stomach has a thick mucus lining that protects the underlying tissue from the action of
the digestive juices. When this mucus lining is ruptured, ulcers can form in the stomach. Ulcers are open wounds in or on
Chapter 25 | Animal Nutrition and the Digestive System 1177
an organ caused by the bacteria Helicobacter pylori when the mucus lining is ruptured and fails to reform.
Small Intestine
Chyme moves from the stomach to the small intestine. The small intestine is the organ where the digestion of protein,
fats, and carbohydrates is completed. The small intestine is a long tube-like organ with a highly folded surface containing
finger-like projections called the villi. The apical surface of each villus has many microscopic projections called microvilli.
These structures, illustrated in Figure 25.12, are lined with epithelial cells on the luminal side and allow for the nutrients to
be absorbed from the digested food and absorbed into the bloodstream on the other side. The villi and microvilli, with their
many folds, increase the surface area of the intestine and increase absorption efficiency of the nutrients. Absorbed nutrients
in the blood are carried into the hepatic portal vein, which leads to the liver. There, the liver regulates the distribution of
nutrients to the rest of the body and removes toxic substances, including drugs, alcohol, and some pathogens.
Figure 25.12 Villi are folds on the small intestine lining that increase the surface area to facilitate the absorption
of nutrients.
The human small intestine is more than 6 m long and is divided into three parts: the duodenum, the jejunum, and the ileum.
The C-shaped, fixed part of the small intestine is called the duodenum and is shown in Figure 25.11. The duodenum
is separated from the stomach by the pyloric sphincter which opens to allow chyme to move from the stomach to the
duodenum. In the duodenum, chyme is mixed with pancreatic juices in an alkaline solution rich in bicarbonate that
neutralizes the acidity of chyme and acts as a buffer. Pancreatic juices also contain several digestive enzymes. Digestive
juices from the pancreas, liver, and gallbladder, as well as from gland cells of the intestinal wall itself, enter the duodenum.
Bile is produced in the liver and stored and concentrated in the gallbladder. Bile contains bile salts which emulsify lipids
while the pancreas produces enzymes that catabolize starches, disaccharides, proteins, and fats. These digestive juices break
down the food particles in the chyme into glucose, triglycerides, and amino acids. Some chemical digestion of food takes
place in the duodenum. Absorption of fatty acids also takes place in the duodenum.
The second part of the small intestine is called the jejunum, shown in Figure 25.11. Here, hydrolysis of nutrients is
continued while most of the carbohydrates and amino acids are absorbed through the intestinal lining. The bulk of chemical
digestion and nutrient absorption occurs in the jejunum.
The ileum, also illustrated in Figure 25.11, is the last part of the small intestine and where the bile salts and vitamins are
1178 Chapter 25 | Animal Nutrition and the Digestive System
absorbed into bloodstream. The undigested food is sent to the colon from the ileum via peristaltic movements of the muscle.
The ileum ends and the large intestine begins at the ileocecal valve. The vermiform, worm-like, appendix is located at the
ileocecal valve. The appendix of humans secretes no enzymes and has an insignificant role in immunity.
Figure 25.13 Transmission electron microscope image of a thin section cut through an epithelial cell from a human
jejunum, which is a segment of the small intestine. The image shows the apical end of an absorptive cell with
some of the densely packed microvilli that make up the striated border. Each microvillus is approximately 1 μm
long by 0.1 μm in diameter and contains a core of actin microfilaments. (Credit: “Microvilli,” Wikimedia Commons)
Large Intestine
The large intestine, illustrated in Figure 25.14, reabsorbs the water from the undigested food material and processes the
waste material. The human large intestine is much smaller in length compared to the small intestine but larger in diameter.
It has three parts: the cecum, the colon, and the rectum. The cecum joins the ileum to the colon and is the receiving pouch
for the waste matter. The colon is home to many bacteria or intestinal flora that aid in the digestive processes. The colon
can be divided into four regions: the ascending colon, the transverse colon, the descending colon, and the sigmoid colon.
The main functions of the colon are to extract the water and mineral salts from undigested food, and to store waste material.
Carnivorous mammals have a shorter large intestine compared to herbivorous mammals due to their diet.
Chapter 25 | Animal Nutrition and the Digestive System 1179
Figure 25.14 The large intestine reabsorbs water from undigested food and stores waste material until it is eliminated.
Activity
Create a mini-poster that shows the procurement, digestion, absorption, and distribution of nutrients through
the digestive systems of one invertebrate animal and one vertebrate animal. Explain how the organs of the
system promote efficiency in the use of matter and energy.
Think About It
Explain how the villi and microvilli aid in the absorption of nutrients from the small intestine into the circulatory
system.
Section Summary
Different animals have evolved different types of digestive systems specialized to meet their dietary needs. Humans and
many other animals have monogastric digestive systems with a single-chambered stomach. Birds have evolved a digestive
system that includes a gizzard where the food is crushed into smaller pieces. This compensates for their inability to
1180 Chapter 25 | Animal Nutrition and the Digestive System
masticate. Ruminants that consume large amounts of plant material have a multi-chambered stomach that digests roughage.
Pseudo-ruminants have similar digestive processes as ruminants but do not have the four-compartment stomach. Processing
food involves ingestion (eating), digestion (mechanical and enzymatic breakdown of large molecules), absorption (cellular
uptake of nutrients), and elimination (removal of undigested waste as feces).
Many organs work together to digest food and absorb nutrients. The mouth is the point of ingestion and the location where
both mechanical and chemical breakdown of food begins. Saliva contains an enzyme called amylase that breaks down
carbohydrates. The food bolus travels through the esophagus by peristaltic movements to the stomach. The stomach has an
extremely acidic environment. An enzyme called pepsin digests protein in the stomach. Further digestion and absorption
take place in the small intestine. The large intestine reabsorbs water from the undigested food and stores waste until
elimination.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Chapter 25 | Animal Nutrition and the Digestive System 1181
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.2 Organisms capture and store free energy for use in biological processes.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.5 The student is able to construct explanations of the mechanisms and structural features
Objective of cells that allow organisms to capture, store or use free energy.
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 2.8 The student is able to justify the selection of data regarding the types of molecules that
Objective an animal will take up as necessary building blocks.
Given the diversity of animal life on our planet, it is not surprising that the animal diet would also vary substantially.
The animal diet is the source of materials needed for building DNA and other complex molecules needed for growth,
maintenance, and reproduction; collectively these processes are called biosynthesis. The diet is also the source of materials
for ATP production in the cells. The diet must be balanced to provide the minerals and vitamins that are required for cellular
function.
Food Requirements
What are the fundamental requirements of the animal diet? The animal diet should be well-balanced and provide nutrients
required for bodily function, and the minerals and vitamins required for maintaining structure and regulation necessary for
good health and reproductive capability. These requirements for a human are illustrated graphically in Figure 25.15
Figure 25.15 For humans, a balanced diet includes fruits, vegetables, grains, and protein. (Credit: United States
Department of Agriculture)
1182 Chapter 25 | Animal Nutrition and the Digestive System
The first step in ensuring that you are meeting the food requirements of your body is an awareness of the food groups
and the nutrients they provide. To learn more about each food group and the recommended daily amounts, explore this
interactive site (http://openstaxcollege.org/l/food_groups) by the United States Department of Agriculture. (USDA)
How many cups of vegetables per day are recommended for a 61-year-old woman who does not exercise on a regular
basis?
a. 1.5 cups
b. 2 cups
c. 2.5 cups
d. 3 cups
Organic Precursors
The organic molecules required for building cellular material and tissues must come from food. Carbohydrates or sugars
are the primary source of organic carbons in the animal body. During digestion, digestible carbohydrates are ultimately
broken down into glucose and used to provide energy through metabolic pathways. Complex carbohydrates, including
polysaccharides, can be broken down into glucose through biochemical modification; however, humans do not produce
the enzyme cellulase and lack the ability to derive glucose from the polysaccharide cellulose. In humans, these molecules
provide the fiber required for moving waste through the large intestine and a healthy colon. The intestinal flora in the human
gut are able to extract some nutrition from these plant fibers. The excess sugars in the body are converted into glycogen
and stored in the liver and muscles for later use. Glycogen stores are used to fuel prolonged exertions, such as long-distance
running, and to provide energy during food shortage. Excess glycogen can be converted to fats, which are stored in the lower
layer of the skin of mammals for insulation and energy storage. Excess digestible carbohydrates are stored by mammals in
order to survive famine and aid in mobility.
Chapter 25 | Animal Nutrition and the Digestive System 1183
Another important requirement is that of nitrogen. Protein catabolism provides a source of organic nitrogen. Amino acids
are the building blocks of proteins and protein breakdown provides amino acids that are used for cellular function. The
carbon and nitrogen derived from these become the building block for nucleotides, nucleic acids, proteins, cells, and tissues.
Excess nitrogen must be excreted as it is toxic. Fats add flavor to food and promote a sense of satiety or fullness. Fatty foods
are also significant sources of energy because one gram of fat contains nine calories. Fats are required in the diet to aid the
absorption of fat-soluble vitamins and the production of fat-soluble hormones.
Essential Nutrients
While the animal body can synthesize many of the molecules required for function from the organic precursors, there are
some nutrients that need to be consumed from food. These nutrients are termed essential nutrients, meaning they must be
eaten, and the body cannot produce them.
The omega-3 alpha-linolenic acid and the omega-6 linoleic acid are essential fatty acids needed to make some membrane
phospholipids. Vitamins are another class of essential organic molecules that are required in small quantities for many
enzymes to function and, for this reason, are considered to be co-enzymes. Absence or low levels of vitamins can have
a dramatic effect on health, as outlined in Table 25.1 and Table 25.2. Both fat-soluble and water-soluble vitamins must
be obtained from food. Minerals, listed in Table 25.3, are inorganic essential nutrients that must be obtained from food.
Among their many functions, minerals help in structure and regulation and are considered co-factors. Certain amino acids
also must be procured from food and cannot be synthesized by the body. These amino acids are the essential amino acids.
The human body can synthesize only 11 of the 20 required amino acids; the rest must be obtained from food. The essential
amino acids are listed in Table 25.4.
Table 25.1
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Table 25.1
Table 25.2
Chapter 25 | Animal Nutrition and the Digestive System 1185
Figure 25.16 A healthy diet should include a variety of foods to ensure that needs for essential nutrients are met.
(Credit: Keith Weller, USDA Agricultural Research Service)
Table 25.3 Minerals and Their Function in the Human Body make GREEN
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Table 25.3 Minerals and Their Function in the Human Body make GREEN
Amino acids that must be consumed Amino acids anabolized by the body
isoleucine alanine
leucine selenocysteine
lysine aspartate
methionine cysteine
phenylalanine glutamate
tryptophan glycine
valine proline
histidine* serine
threonine tyrosine
arginine* asparagine
*The human body can synthesize histidine and arginine, but not in the quantities required, especially for
growing children.
Table 25.4
Chapter 25 | Animal Nutrition and the Digestive System 1187
Think About It
There are several nations where malnourishment is a common occurrence. What are some of the health challenges
posed by malnutrition? What are examples of diseases caused by nutrient deficiencies?
Obesity
Obesity is a major health concern in the United States, and there is a growing focus on reducing obesity and
the diseases it may lead to, such as Type 2 diabetes, cancers of the colon and breast, and cardiovascular
disease. How does the food consumed contribute to obesity?
Fatty foods are calorie-dense, meaning that they have more calories per unit mass than carbohydrates or
proteins. One gram of carbohydrates has four calories, one gram of protein has four calories, and one gram
of fat has nine calories. Animals tend to seek lipid-rich food for their higher energy content.
The signals of hunger (time to eat) and satiety (time to stop eating) are controlled in the hypothalamus
region of the brain. Foods that are rich in fatty acids tend to promote satiety more than foods that are rich
only in carbohydrates.
Excess carbohydrate and ATP are used by the liver to synthesize glycogen. The pyruvate produced during
glycolysis is used to synthesize fatty acids. When there is more glucose in the body than required, the
resulting excess pyruvate is converted into molecules that eventually result in the synthesis of fatty acids
within the body. These fatty acids are stored in adipose cells—the fat cells in the mammalian body whose
primary role is to store fat for later use.
It is important to note that some animals benefit from obesity. Polar bears and seals need body fat for
insulation and to keep them from losing body heat during Arctic winters. When food is scarce, stored body
fat provides energy for maintaining homeostasis. Fats prevent famine in mammals, allowing them to access
energy when food is not available on a daily basis; fats are stored when a large kill is made or lots of food
is available.
Which of the following statements about obesity is true?
a. Carbohydrate-rich foods satisfy hunger better than fatty acid–rich food.
b. Obesity is disadvantageous for organisms that live in cold climates.
c. Fat has more calories than protein or carbohydrates.
d. In the presence of excess blood glucose, fatty acids are synthesized and stored in skeletal muscle.
Section Summary
An animal's diet should be balanced and meet the needs of the body. Carbohydrates, proteins, and fats are the primary
components of food. Some essential nutrients are required for cellular function but cannot be produced by the animal body.
These include vitamins, minerals, some fatty acids, and some amino acids. Food intake in more than necessary amounts
is stored as glycogen in the liver and muscle cells, and in fat cells. Excess adipose storage can lead to obesity and serious
health problems. ATP is the energy currency of the cell and is obtained from the metabolic pathways. Excess carbohydrates
and energy are stored as glycogen in the body.
Ingestion
The large molecules found in intact food cannot pass through the cell membranes. Food needs to be broken into smaller
particles so that animals can harness the nutrients and organic molecules. The first step in this process is ingestion. Ingestion
is the process of taking in food through the mouth. In vertebrates, the teeth, saliva, and tongue play important roles in
mastication, which is preparing the food into bolus. While the food is being mechanically broken down, the enzymes in
saliva begin to chemically process the food as well. The combined action of these processes modifies the food from large
particles to a soft mass that can be swallowed and can travel the length of the esophagus.
Figure 25.17 Digestion of carbohydrates is performed by several enzymes. Starch and glycogen are broken down into
glucose by amylase and maltase. Sucrose or table sugar, and lactose or milk sugar, are broken down by sucrase and
lactase, respectively.
Digestion of Carbohydrates
Site of Substrate
Enzyme Produced By End Products
Action Acting On
Polysaccharides Disaccharides (maltose),
Salivary amylase Salivary glands Mouth
(starch) oligosaccharides
Small Polysaccharides Disaccharides (maltose),
Pancreatic amylase Pancreas
intestine (starch) monosaccharides
Monosaccharides (e.g.,
Lining of the intestine; Small
Oligosaccharidases Disaccharides glucose, fructose, galactose,
brush border membrane intestine
etc.)
Table 25.5
Protein
A large part of protein digestion takes place in the stomach. The enzyme pepsin plays an important role in the digestion
of proteins by breaking down the intact protein to peptides, which are short chains of four to nine amino acids. In the
duodenum, other enzymes—trypsin, elastase, and chymotrypsin act on the peptides reducing them to smaller peptides.
Trypsin elastase, carboxypeptidase, and chymotrypsin are produced by the pancreas and released into the duodenum where
they act on the chyme. Further breakdown of peptides to single amino acids is aided by enzymes called peptidases (those
that break down peptides). Specifically, carboxypeptidase, dipeptidase, and aminopeptidase play important roles in
reducing the peptides to free amino acids. The amino acids are absorbed into the bloodstream through the small intestines.
The steps in protein digestion are summarized in Figure 25.18 and Table 25.6.
Chapter 25 | Animal Nutrition and the Digestive System 1191
Figure 25.18 Protein digestion is a multistep process that begins in the stomach and continues through the intestines.
Digestion of Protein
Produced Site of Substrate Acting
Enzyme End Products
By Action On
Stomach chief
Pepsin Stomach Proteins Peptides
cells
Trypsin
Elastase Pancreas Small intestine Proteins Peptides
Chymotrypsin
Table 25.6
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Lipids
Lipid digestion begins in the stomach with the aid of lingual lipase and gastric lipase. However, the bulk of lipid digestion
occurs in the small intestine due to pancreatic lipase. When chyme enters the duodenum, the hormonal responses trigger
the release of bile, which is produced in the liver and stored in the gallbladder. Bile aids in the digestion of lipids, primarily
triglycerides by emulsification. Emulsification is a process in which large lipid globules are broken down into several small
lipid globules. These small globules are more widely distributed in the chyme rather than forming large aggregates. Lipids
are hydrophobic substances: in the presence of water, they will aggregate to form globules to minimize exposure to water.
Bile contains bile salts, which are amphipathic, meaning they contain hydrophobic and hydrophilic parts. Thus, the bile
salts hydrophilic side can interface with water on one side and the hydrophobic side interfaces with lipids on the other. By
doing so, bile salts emulsify large lipid globules into small lipid globules.
Why is emulsification important for digestion of lipids? Pancreatic juices contain enzymes called lipases, which are
enzymes that break down lipids. If the lipid in the chyme aggregates into large globules, very little surface area of the
lipids is available for the lipases to act on, leaving lipid digestion incomplete. By forming an emulsion, bile salts increase
the available surface area of the lipids many fold. The pancreatic lipases can then act on the lipids more efficiently and
digest them, as detailed in Figure 25.19. Lipases break down the lipids into fatty acids and glycerides. These molecules can
pass through the plasma membrane of the cell and enter the epithelial cells of the intestinal lining. The bile salts surround
long-chain fatty acids and monoglycerides forming tiny spheres called micelles. The micelles move into the brush border
of the small intestine absorptive cells where the long-chain fatty acids and monoglycerides diffuse out of the micelles into
the absorptive cells leaving the micelles behind in the chyme. The long-chain fatty acids and monoglycerides recombine
in the absorptive cells to form triglycerides, which aggregate into globules and become coated with proteins. These large
spheres are called chylomicrons. Chylomicrons contain triglycerides, cholesterol, and other lipids and have proteins on
their surface. The surface is also composed of the hydrophilic phosphate heads of phospholipids. Together, they enable the
chylomicron to move in an aqueous environment without exposing the lipids to water. Chylomicrons leave the absorptive
cells via exocytosis. Chylomicrons enter the lymphatic vessels, and then enter the blood in the subclavian vein.
Figure 25.19 Lipids are digested and absorbed in the small intestine.
Vitamins
Vitamins can be either water-soluble or lipid-soluble. Fat soluble vitamins are absorbed in the same manner as lipids. It is
important to consume some amount of dietary lipid to aid the absorption of lipid-soluble vitamins. Water-soluble vitamins
Chapter 25 | Animal Nutrition and the Digestive System 1193
This website (http://openstaxcollege.org/l/digest_enzymes) has an overview of the digestion of protein, fat, and
carbohydrates.
Which of the following events in digestion and absorption is incorrect?
d. Digested carbohydrate, fat, and protein molecules are absorbed by villi in the small intestine.
1194 Chapter 25 | Animal Nutrition and the Digestive System
Figure 25.20 Mechanical and chemical digestion of food takes place in many steps, beginning in the mouth and
ending in the rectum.
Elimination
The final step in digestion is the elimination of undigested food content and waste products. The undigested food material
enters the colon, where most of the water is reabsorbed. Recall that the colon is also home to the microflora called intestinal
flora that aid in the digestion process. The semi-solid waste is moved through the colon by peristaltic movements of the
muscle and is stored in the rectum. As the rectum expands in response to storage of fecal matter, it triggers the neural signals
required to set up the urge to eliminate. The solid waste is eliminated through the anus using peristaltic movements of the
rectum.
Chapter 25 | Animal Nutrition and the Digestive System 1195
Section Summary
Digestion begins with ingestion, where the food is taken in the mouth. Digestion and absorption take place in a series of
steps with special enzymes playing important roles in digesting carbohydrates, proteins, and lipids. Elimination describes
removal of undigested food contents and waste products from the body. While most absorption occurs in the small
intestines, the large intestine is responsible for the final removal of water that remains after the absorptive process of the
small intestines. The cells that line the large intestine absorb some vitamins as well as any leftover salts and water. The large
intestine, more commonly known as the colon, is also where feces is formed.
Figure 25.21 Seeing a plate of food triggers the secretion of saliva in the mouth and the production of HCl in the
stomach. (Credit: Kelly Bailey)
Digestive Phases
The response to food begins even before food enters the mouth. The first phase of ingestion, called the cephalic phase,
is controlled by the neural response to the stimulus provided by food. All aspects, such as sight, sense, and smell trigger
the neural responses resulting in salivation and secretion of gastric juices. The gastric and salivary secretion in the cephalic
phase can also take place due to the thought of food. Right now, if you think about a piece of chocolate or a crispy potato
chip, the increase in salivation is a cephalic phase response to the thought. The central nervous system prepares the stomach
to receive food.
The gastric phase begins once the food arrives in the stomach. It builds on the stimulation provided during the cephalic
phase. Gastric acids and enzymes process the ingested materials. The gastric phase is stimulated by (1) distension of the
stomach, (2) a decrease in the pH of the gastric contents, and (3) the presence of undigested material. This phase consists of
local, hormonal, and neural responses. These responses stimulate secretions and powerful contractions.
The intestinal phase begins when chyme enters the small intestine triggering digestive secretions. This phase controls the
rate of gastric emptying. In addition to gastric emptying, when chyme enters the small intestine, it triggers other hormonal
and neural events that coordinate the activities of the intestinal tract, pancreas, liver, and gallbladder.
Visit this website (http://openstaxcollege.org/l/enteric_endo) to learn more about the endocrine system. Review the
text and watch the animation of how control is implemented in the endocrine system.
Which of the following statements about the enteric endocrine system is true?
b. The enteric endocrine system includes all endocrine cells of the gastrointestinal tract.
c. All hormone-secreting cells in the enteric endocrine system are clustered together.
Another level of hormonal control occurs in response to the composition of food. Foods high in lipids take a long time
to digest. A hormone called gastric inhibitory peptide is secreted by the small intestine to slow down the peristaltic
movements of the intestine to allow fatty foods more time to be digested and absorbed.
Understanding the hormonal control of the digestive system is an important area of ongoing research. Scientists are
exploring the role of each hormone in the digestive process and developing ways to target these hormones.
Section Summary
The brain and the endocrine system control digestive processes. The brain controls the responses of hunger and satiety. The
endocrine system controls the release of hormones and enzymes required for digestion of food in the digestive tract.
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KEY TERMS
alimentary canal tubular digestive system with a mouth and anus
aminopeptidase protease that breaks down peptides to single amino acids; secreted by the brush border of small intestine
bile digestive juice produced by the liver; important for digestion of lipids
bolus mass of food resulting from chewing action and wetting by saliva
carboxypeptidase protease that breaks down peptides to single amino acids; secreted by the brush border of the small
intestine
cephalic phase first phase of digestion, controlled by the neural response to the stimulus provided by food
cholecystokinin hormone that stimulates the contraction of the gallbladder to release bile
digestion mechanical and chemical break down of food into small organic fragments
dipeptidase protease that breaks down peptides to single amino acids; secreted by the brush border of small intestine
duodenum first part of the small intestine where a large part of digestion of carbohydrates and fats occurs
endocrine system system that controls the response of the various glands in the body and the release of hormones at the
appropriate times
essential nutrient nutrient that cannot be synthesized by the body; it must be obtained from food
gastric inhibitory peptide hormone secreted by the small intestine in the presence of fatty acids and sugars; it also
inhibits acid production and peristalsis in order to slow down the rate at which food enters the small intestine
gastric phase digestive phase beginning once food enters the stomach; gastric acids and enzymes process the ingested
materials
ileum last part of the small intestine; connects the small intestine to the large intestine; important for absorption of B-12
intestinal phase third digestive phase; begins when chyme enters the small intestine triggering digestive secretions and
Chapter 25 | Animal Nutrition and the Digestive System 1199
lactase enzyme that breaks down lactose into glucose and galactose
large intestine digestive system organ that reabsorbs water from undigested material and processes waste matter
liver organ that produces bile for digestion and processes vitamins and lipids
mineral inorganic, elemental molecule that carries out important roles in the body
pepsin enzyme found in the stomach whose main role is protein digestion
secretin hormone which stimulates sodium bicarbonate secretion in the small intestine
small intestine organ where digestion of protein, fats, and carbohydrates is completed
somatostatin hormone released to stop acid secretion when the stomach is empty
sphincter band of muscle that controls movement of materials throughout the digestive tract
sucrase enzyme that breaks down sucrose into glucose and fructose
villi folds on the inner surface of the small intestine whose role is to increase absorption area
CHAPTER SUMMARY
25.1 Digestive Systems
Different animals have evolved different types of digestive systems specialized to meet their dietary needs. Humans and
many other animals have monogastric digestive systems with a single-chambered stomach. Birds have evolved a digestive
system that includes a gizzard where the food is crushed into smaller pieces. This compensates for their inability to
masticate. Ruminants that consume large amounts of plant material have a multi-chambered stomach that digests
1200 Chapter 25 | Animal Nutrition and the Digestive System
roughage. Pseudo-ruminants have similar digestive processes as ruminants but do not have the four-compartment stomach.
Processing food involves ingestion (eating), digestion (mechanical and enzymatic breakdown of large molecules),
absorption (cellular uptake of nutrients), and elimination (removal of undigested waste as feces).
Many organs work together to digest food and absorb nutrients. The mouth is the point of ingestion and the location where
both mechanical and chemical breakdown of food begins. Saliva contains an enzyme called amylase that breaks down
carbohydrates. The food bolus travels through the esophagus by peristaltic movements to the stomach. The stomach has an
extremely acidic environment. An enzyme called pepsin digests protein in the stomach. Further digestion and absorption
take place in the small intestine. The large intestine reabsorbs water from the undigested food and stores waste until
elimination.
An animal's diet should be balanced and meet the needs of the body. Carbohydrates, proteins, and fats are the primary
components of food. Some essential nutrients are required for cellular function but cannot be produced by the animal body.
These include vitamins, minerals, some fatty acids, and some amino acids. Food intake in more than necessary amounts is
stored as glycogen in the liver and muscle cells, and in fat cells. Excess adipose storage can lead to obesity and serious
health problems. ATP is the energy currency of the cell and is obtained from the metabolic pathways. Excess
carbohydrates and energy are stored as glycogen in the body.
Digestion begins with ingestion, where the food is taken in the mouth. Digestion and absorption take place in a series of
steps with special enzymes playing important roles in digesting carbohydrates, proteins, and lipids. Elimination describes
removal of undigested food contents and waste products from the body. While most absorption occurs in the small
intestines, the large intestine is responsible for the final removal of water that remains after the absorptive process of the
small intestines. The cells that line the large intestine absorb some vitamins as well as any leftover salts and water. The
large intestine, more commonly known as the colon, is also where feces is formed.
The brain and the endocrine system control digestive processes. The brain controls the responses of hunger and satiety.
The endocrine system controls the release of hormones and enzymes required for digestion of food in the digestive tract.
REVIEW QUESTIONS
1. When you eat an apple, it is first physically broken down into smaller fragments. What is the term for this process?
a. elimination
b. absorption
c. mastication
d. peristalsis
2. Which of the following statements is true?
a. The majority of water is reabsorbed by the small intestines.
b. Elimination is a process that occurs via diffusion.
c. Absorption is the process that chemically breaks down food.
d. The small intestines absorb nutrients.
3. Ruminants and pseudo-ruminants are both able to digest plant materials but have different mechanisms for doing so.
Which of the following is a pseudo-ruminant?
a. cow
b. goat
c. crow
d. camel
4. Which of the following statements about animal digestion is true?
Chapter 25 | Animal Nutrition and the Digestive System 1201
a. protein
b. fat
c. fiber
d. carbohydrates
21. Which of the following does not play a role in masticating food?
a. teeth
b. pharynx
c. saliva
d. tongue
22. Which of the following statements about the process of digestion is true?
a. Organisms absorb large molecules through digestive cells.
b. The last step of digestion is absorption.
c. Food is only mechanically broken down in the mouth.
d. Food is prepared into a bolus before it is swallowed.
23. Which of the following enzymes is involved in carbohydrate digestion?
a. pancreatic amylase
b. elastase
c. trypsin
d. pepsin
24. In protein digestion, what happens in the stomach?
a. Aminopeptidase and dipeptidase break peptides into amino acids.
b. Pepsin breaks proteins into peptides.
c. Trypsin, elastase, and chymotrypsin break proteins into peptides.
d. Carboxypeptidase breaks peptides into amino acids and peptides.
25. Water reabsorption is an essential component of processing food. Where is the majority of water reabsorbed?
a. small intestines
b. rectum
c. colon
d. anus
26. If you come down with the flu, you might experience emesis. What causes emesis?
a. stomach muscle contractions
b. neural signals that urge elimination
c. inadequate water reabsorption
d. excess water reabsorption
27. Not all organs involved in processing food are involved in digestion. Which of the following organs is not involved in
digestion?
a. mouth
b. anus
c. stomach
d. small intestine
28. Which of the following statements about digestion of food in the large intestine is true?
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a. Food is chewed in the mouth, then passes through the esophagus into the rumen and then the reticulum, which
contain microbes that break down cellulose and ferment the ingested plant material. The ruminant regurgitates
cud from the rumen, and the food is passed into the omasum for water removal and then into the small and large
intestines for nutrient and further water absorption. Waste is excreted through the anus.
b. Food is chewed in the mouth, then passes through the esophagus into the rumen and then the reticulum, which
contain microbes that break down cellulose and ferment the ingested plant material. The ruminant regurgitates
cud from the rumen, and the food is passed into the abomasum for water removal and then into the small and
large intestines for nutrient and further water absorption. Waste is excreted through the anus.
c. Food is chewed in the mouth, then passes through the esophagus into the rumen and then the reticulum, which
contain microbes that break down proteins and ferment the ingested plant material. Ruminants regurgitate cud
from the rumen, and the food is passed into the omasum for water removal and then into the small and large
intestines for nutrient and further water absorption. Waste is excreted through the anus.
d. Food is chewed in the mouth then passes through the esophagus into the reticulum and then the rumen, which
contain microbes that break down cellulose and ferment the ingested plant material. The ruminant regurgitates
cud from the rumen, and the food is passed into the omasum for water removal and then into the small and large
intestines for nutrient and further water absorption. Waste is excreted through the anus.
38. i. How does a stomach ulcer form?
ii. How could you prevent a stomach ulcer from forming in your stomach?
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a. i. When the serosa layer of stomach ruptures and does not reform, an open wound is formed. It may be caused
by bacteria
ii. Ulcers can be prevented by eliminating ingesting items that cause degradation of the mucus lining like foods
that irritate the stomach.
b. i. When the mucus lining of the stomach ruptures and does not reform, an open wound is formed. It may be
caused by a virus.
ii. Ulcers can be prevented by eliminating ingesting items that cause degradation of the mucus lining, like foods
that irritate the stomach.
c. i. When the mucus lining of the stomach ruptures and does not reform, an open wound is formed. It may be
caused by bacteria.
ii. Ulcers can be prevented by ingesting items that will increase the acid content of the stomach.
d. i. When the mucus lining of the stomach ruptures and does not reform, an open wound forms. It may be caused
by bacteria.
ii. Ulcers can be prevented by eliminating ingesting items that cause degradation of the mucus lining, such as
foods that irritate the stomach.
39. How is the gallbladder involved in digestion, even though it is considered an accessory organ?
a. The gallbladder secretes bile to the duodenum, which uses it to break down proteins. It is considered an
accessory organ because food does not directly pass through it.
b. The gallbladder secretes bile to the duodenum, which uses it to break down fats. It is considered an accessory
organ because food does not directly pass through it.
c. The gallbladder secretes bile to the ileum, which uses it to break down fats. It is considered an accessory organ
because food does not directly pass through it.
d. The gallbladder secretes bile to the ileum, which uses it to break down proteins. It is considered an accessory
organ because only a very small amount of digestion takes place in the gallbladder.
40. What is the role of saliva in the digestive system?
a. Saliva contains an enzyme called amylase, which starts the chemical digestion in the mouth by breaking down
proteins.
b. Saliva contains an enzyme called lipase, which starts chemical digestion in the mouth by breaking down
proteins.
c. Saliva contains an enzyme called maltase, which starts chemical digestion in the mouth by breaking down
carbohydrates.
d. Saliva contains an enzyme called amylase, which starts chemical digestion in the mouth by breaking down
carbohydrates.
41. What are the biological benefits of a balanced diet?
a. A balanced diet provides excess energy to be stored in the body and nutrients to maintain good health and
increase reproductive capability.
b. A balanced diet allows excess energy to be stored in the body, thereby increasing the rate of metabolic reactions.
c. A balanced diet provides nutrients needed to maintain proper bodily functions, and vitamins and minerals to
maintain good health and reproductive capability.
d. A balanced diet provides nutrients needed to maintain proper bodily functions, and vitamins and minerals to
maintain good health and increase reproductive capability.
42. Why is it important to eat carbohydrates, which provide organic carbons?
a. They are needed to provide insulation to mammals.
b. They help to fight infections.
c. They are needed to produce antibodies.
d. They are needed to build cells and tissues.
43. i. Why is it necessary to consume essential nutrients?
ii. What are two examples of fat-soluble essential vitamins, and what are their functions in the human body?
Chapter 25 | Animal Nutrition and the Digestive System 1207
a. i. Essential nutrients are not synthesized by the body and are not necessary for proper body function.
ii. Vitamins B and C are two fat-soluble essential vitamins. Vitamin B helps maintain eyesight, and vitamin C is
essential for blood clotting.
b. i. Essential nutrients are not synthesized by the body but are necessary for proper body function.
ii. Vitamins A and K are two fat-soluble essential vitamins. Vitamin A helps maintain connective tissue, and
vitamin K is essential for blood clotting.
c. i. Essential nutrients are synthesized by the body and are necessary for proper body function.
ii. Vitamins D and K are two fat-soluble essential vitamins. Vitamin D helps maintain a stable nervous system,
and vitamin K is essential for blood clotting.
d. i. Essential nutrients are not synthesized by the body but are necessary for proper body function.
ii. Vitamins A and K are two fat-soluble essential vitamins. Vitamin A helps maintain eyesight, and vitamin K is
essential for blood clotting.
44. What happens to glycogen when blood sugar drops?
a. It stimulates the release of insulin, which can regulate the blood sugar level.
b. It is released from the liver and converted to glucose to increase blood sugar levels.
c. It is converted to starch, which breaks down to form glucose and increase blood sugar levels.
d. It is released from the liver and converted to pyruvate, which can then form glucose to increase blood sugar
levels.
45. What is the evolutionary significance of glycogen production?
a. Excess ATP and glucose produce glycogen, which can be used at a later point in time to act as co-factor if, for
example, a good source is scarce.
b. Excess proteins and glucose produce glycogen, which can be used at a later point in time to produce energy if,
for example, food is scarce.
c. Excess ATP and glucose produce glycogen, which can be used at a later point in time to produce energy if, for
example, food is scarce.
d. Excess proteins and fats produce glycogen, which can be used at a later point in time to act as source of nitrogen
if, for example, a good source is scarce.
46. How can eating too much bread and pasta physiologically promote obesity?
a. Excess blood glucose increases the amount of urea, which is converted into fatty acids. Fatty acids are stored in
areolar cells, which increase the amount of body fat.
b. Excess blood glucose increases the amount of pyruvate, which is converted into fatty acids. Fatty acids are
stored in adipose cells, which increase the amount of body fat.
c. Bread and pasta are rich in fats. Their digestion produces fatty acids and glycerol. Fatty acids are stored in
adipose cells, which increase the amount of body fat.
d. Bread and pasta are rich in fats. Their digestion produces fatty acids and glycerol. Fatty acids are stored in
areolar cells, which increase the amount of body fat.
47. How do ingestion and digestion differ?
a. Ingestion is taking food in through mouth, where mechanical digestion begins. Chemical digestion begins in the
stomach, where food is further broken down into smaller molecules that can be absorbed and used by the body.
b. Ingestion is the process of taking in food through the mouth, where mechanical and chemical digestion begins to
break down the food into smaller molecules that can be absorbed and used by the body.
c. Ingestion is taking food in through the mouth, where mechanical and chemical digestion begins. Digestion in the
stomach breaks down proteins and fats present in food into smaller molecules that can be absorbed and used by
the body.
d. Ingestion is the transfer of food from the mouth to the esophagus, where mechanical and chemical digestion
begin to break down the food into smaller molecules that can be absorbed and used by the body.
48. Why are some dietary lipids a necessary part of a balanced diet?
1208 Chapter 25 | Animal Nutrition and the Digestive System
a. Dietary lipids aid in the absorption of water-soluble vitamins, including B and C, which are needed for various
bodily functions.
b. Dietary lipids aid in the absorption of some minerals, including folic acid, iron, and magnesium, which are
needed for various bodily functions.
c. Dietary lipids aid in the absorption of vitamins, including A, B, C, D, E, and K, which are needed for various
bodily functions
d. Dietary lipids aid in the absorption of fat-soluble vitamins, including A, D, E, and K, which are needed for
various bodily functions.
49. What happens to undigested food after the water is reabsorbed?
a. Undigested food is moved through the colon, where intestinal flora aid in digestion by peristalsis, and then
stored in the rectum until elimination through the anus.
b. Undigested food is moved through the colon, where intestinal flora aid in digestion by peristalsis; further
absorption takes place in the rectum, after which it stores the food until elimination through the anus.
c. Undigested food is moved through the colon, where intestinal flora aid in digestion by segmentation, and then it
is stored in the rectum until elimination through the anus.
d. Undigested food is moved through the ileum, where intestinal flora aid in digestion by peristalsis, and then it is
stored in the rectum until elimination through the anus.
50. i. What are micelles?
ii. Why are micelles integral to lipid absorption?
a. i. Micelles are lipoproteins designed for the transport of lipids that enter lacteals.
ii. Micelles facilitate absorption by microvilli, where the fatty acids and proteins diffuse out to form lipoproteins.
b. i. Micelles are lipoproteins designed for the transport of lipids that enter lacteals.
ii. Micelles facilitate absorption by microvilli, where the fatty acids and monoglycerides diffuse out to form
triglycerides.
c. i. Micelles are bile salt–surrounded fatty acids and phospholipids.
ii. Micelles facilitate absorption by microvilli, where the fatty acids and monoglycerides diffuse out to form
triglycerides.
d. i. Micelles are bile salt–surrounded fatty acids and monoglycerides.
ii. Micelles facilitate absorption by microvilli, where the fatty acids and monoglycerides diffuse out to form
triglycerides.
51. On a cellular level, why must food be broken down?
a. Large molecules present in intact food pass through the digestive epithelium and enter the cell through the
membrane, thereby damaging the nuclear membrane. Hence it must be broken down.
b. Fats present in intact food contain very large molecules, which cannot pass through cell membranes. Fats need to
be passed through the digestive epithelium to be utilized.
c. Large molecules present in intact food cannot pass through cell membranes. Nutrients need to be passed through
the digestive epithelium to be utilized.
d. Large molecules, if not broken down, produce toxic substances that pass through the epithelium of the digestive
tract and are utilized by the cells. This can be lethal to the cell.
52. What is the importance of neural responses to food stimuli?
a. Neural responses facilitate secretion of fumarase needed for chemical digestion of food as well as other
involuntary responses like peristalsis.
b. Neural responses facilitate secretion of enzymes needed to digest or break down food as well as other
involuntary responses like segmentation in the stomach.
c. Neural responses facilitate secretion of enzymes needed to digest or break down food as well as other
involuntary responses like peristalsis.
d. Neural responses facilitate secretion of salivary amylase needed to digest or break down food as well as
secretion of hormones like secretin and gastrin.
53. How do hormones regulate digestion?
Chapter 25 | Animal Nutrition and the Digestive System 1209
a. Hormones regulate aspects of digestion such as increasing the peristaltic movements in the esophagus when food
is sensed.
b. Hormones regulate digestion by signaling when the stomach is full or empty so that an individual will consume
food or stop eating.
c. Hormones like gastrin, secretin, adrenocorticotropic are released from the pituitary to regulate which digestive
secretions are released.
d. Hormones regulate aspects of digestion such as which digestive secretions are released as well as when they are
released.
54. When you are eating a meal, how do you know when you are full?
a. The pituitary gland release hormones when the stomach is full, which therefore reduces hunger.
b. The brain signals when the stomach is full that you are satiated, which therefore reduces hunger.
c. The stomach signals when it is full, which therefore reduces hunger.
d. Low blood-sugar levels stimulate a neurotransmitter, which sends a signal to the brain when the stomach is full
and therefore reduces hunger.
Figure 25.22
a. 10 µm
b. 20 µm
c. 30 µm
d. 40 µm
56. Celiac disease is dangerous in affected individuals, because ingesting gluten damages the villi of the small intestine.
Why is this potentially life threatening?
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a. The villi aid in mechanical digestion of food particles. When they are damaged, nutrients cannot be digested
properly in the body.
b. Villi increase the surface area of the small intestine, which aids in the absorption of bile salts. This nutrient
cannot be absorbed when they are damaged.
c. Villi decrease the surface area of the small intestine available for absorption. Nutrients cannot properly enter the
bloodstream when they are damaged.
d. Villi increase the surface area available for nutrient absorption. When villi are damaged, nutrients cannot
properly enter the bloodstream.
57. One of the key features of villi and microvilli in the digestive system is their finger-like projection shape. Which of the
following is an example of how the shape of microvilli can enhance nutrient absorption?
a. Nutrients can enter the bloodstream through the blood vessels that are located in middle of the microvilli.
b. Larger microvilli have more surface area over which more nutrients are absorbed.
c. The microvilli projections aid in mechanical digestion of food particles.
d. The finger-like projections prevent large particles of food from passing through the digestive system.
58. Microvilli greatly increase the efficiency of nutrient uptake in the small intestines. How do the size and shape of
microvilli promote this efficiency?
a. They have a greater surface area-to-volume ratio than larger cells. The finger-like projection shape provides
more surface area over the small intestines from which they absorb nutrients and contains blood vessels so
nutrients passing through them can enter the bloodstream readily.
b. They have a greater surface area-to-volume ratio than larger cells. The finger-like projection shape is present in
the middle of microvilli, which have more surface area over the small intestines from which they absorb
nutrients and also contains blood vessels so nutrients can enter the blood easily.
c. They have a greater surface area-to-volume ratio than larger cells. The finger-like projections prevent large
particles of food from passing through the digestive system and also contain blood vessels so nutrients passed
through them can readily enter the bloodstream.
d. They have a greater surface area-to-volume ratio than larger cells. The finger-like projections aid in mechanical
digestion of food particles and contain blood vessels so nutrients passing through them can enter the
bloodstream readily.
59. Birds have several unique physical differences from other vertebrates, and several pertain to how birds process food.
Some differences are obvious, such as the presence of a beak and no teeth, whereas other differences can be observed in
their internal features. For example, birds have a monogastric digestive system like most other vertebrates, but their
digestive system structure differs from that of most other monogastric vertebrates. Which of the following is true about
how birds process food?
a. Beak emergence coincided with insect inclusion in the bird diet.
b. The gizzard is the primary site of mechanical digestion.
c. Birds excrete nitrogenous waste and feces through separate openings.
d. Birds digest plant material more slowly than ruminants.
60. As shown in this figure, the oral cavity has several components that contribute to ingestion and the initial stages of
digestion. How do the components of the oral cavity work together to complete the first step of food processing?
Chapter 25 | Animal Nutrition and the Digestive System 1211
a. The teeth and jaw mechanically chew the food, and saliva from the salivary glands moistens the food and begins
chemical digestion. The tongue then physically moves the food to the pharynx, where peristalsis moves the food
into the stomach.
b. The teeth and jaw mechanically chew the food, and saliva from the salivary glands moistens the food and
initiates mechanical and chemical digestion. The tongue then physically moves the food to the pharynx, where
peristalsis moves the food into the stomach.
c. The teeth and jaw mechanically chew the food, and saliva from the salivary glands moistens the food and begins
chemical digestion. The tongue then physically moves the food to the larynx, where peristalsis moves the food
into the stomach.
d. The teeth and jaw mechanically chew the food, and saliva from the salivary glands moistens the food and
initiates mechanical and chemical digestion. The tongue then physically moves the food to the pharynx, where
segmentation moves the food into the stomach.
61. This figure shows the majority of the digestive tracts of two organisms that consume different food sources.
1212 Chapter 25 | Animal Nutrition and the Digestive System
Figure 25.23
Which digestive tract belongs to the herbivore? How did you determine this?
a. i. The top digestive tract belongs to the herbivore. ii. Herbivores have a shorter intestinal tract, which allows
stronger smooth muscle contractions called peristalsis in a shorter area, providing more opportunity for nutrients
to be obtained and absorbed.
b. i. The bottom digestive tract belongs to the herbivore. ii. Herbivores have a longer intestinal tract, which
provides more opportunity for nutrients to be obtained and absorbed, since plant material is difficult for animals
to break down.
c. i. The bottom digestive tract belongs to the herbivore. ii. Herbivores have a longer intestinal tract, which
provides more opportunity for the nutrients to react with the intestinal enzymes for better absorption, since plant
material is difficult for animals to break down.
d. i. The top digestive tract belongs to the herbivore. ii. Herbivores have a shorter intestinal tract, which provides
more opportunity for nutrients to be obtained and absorbed, since plant material is difficult for animals to break
down.
62. This figure shows the three main components of the large intestine.
Chapter 25 | Animal Nutrition and the Digestive System 1213
Figure 25.24
How do these three parts contribute to processing as food material passes through the large intestine?
a. The cecum receives semi-solid waste from the small intestine and absorbs water, vitamins, and minerals. Then,
the colon further digests some material. The rectum stores the fecal matter until it is excreted.
b. The cecum receives semi-solid waste from the small intestine. Then the colon digests some materials. The
rectum absorbs water and some vitamins and minerals and then stores the fecal matter until it is excreted.
c. The cecum receives semi-solid waste from small intestine. Then, the colon absorbs water and some vitamins and
minerals, and further digests some material. The rectum stores the fecal matter until it is excreted.
d. The cecum receives semi-solid waste from the small intestine. The colon is the only region where absorption of
vitamins takes place in the digestive system. The rectum stores the fecal matter until it is excreted.
63. This figure shows the digestive system of a ruminant animal. How does this polygastric digestive system enhance
digestion efficiency in ruminants?
1214 Chapter 25 | Animal Nutrition and the Digestive System
Figure 25.25
a. Multiple stomach chambers in ruminant animals contain microbes that have cellulase, which breaks down plant
material. Plant material is difficult to digest because animals lack cellulase to break down cellulose.
b. Multiple stomach chambers in ruminant animals allow stronger smooth muscle contractions, which break down
plant material. Plant material is difficult to digest because animals lack cellulase to break down cellulose.
c. Multiple stomach chambers present in ruminant animals contain cellulase, which break down plant material.
Plant material is difficult to digest because animals lack cellulase to break down cellulose.
d. Multiple stomach chambers in ruminant animals allow the food to stay in the stomach for a longer time so that
peristaltic movements and the action of enzymes on food particles occurs for a longer time.
64. An experiment to measure the rate of respiration in mice at 10 °C and 25 °C was performed using a respirometer, an
apparatus that measure changes in gas volume. Respiration was measure in milliliters of O2 consumed per gram of
organism over several 5-min trials, and the following data were obtained.
Figure 25.26
According to these data, mice at 10 °C demonstrated greater oxygen consumption per gram of tissue than mice at 25 °C.
Which of the following statements best explains the observation?
Chapter 25 | Animal Nutrition and the Digestive System 1215
a. The mice at 10 °C had a higher rate of ATP production than the mice at 25 °C.
b. The mice at 10 °C had a lower metabolic rate than the mice at 25 °C.
c. The mice at 25 °C weighed less than the mice at 10 °C.
d. The mice at 25 °C were more active than the mice at 10 °C.
65. ATP is essential for organisms because it provides energy to cells. How does ATP provide this energy on a
physiological level?
a. When energy is needed, ATP is converted to ADP and a phosphate group. Energy is released from the breaking
of the phosphodiester bonds.
b. When energy is needed, ATP is converted to ADP and a phosphate group. Energy is released from the breaking
of the glycosidic bonds.
c. When energy is needed, ATP is formed from ADP and a phosphate group. Energy is released from the breaking
of the phosphodiester bonds.
d. When energy is needed, ATP is formed from ADP and a phosphate group. Energy is released from the breaking
of the phosphoanhydride bonds.
66. An omnivore comes across potatoes, avocados, kale, and eggs and craves only the eggs. In what nutrient is the animal
likely deficient?
a. carbohydrates
b. protein
c. fiber
d. fatty acids
67. Carbohydrates often get a bad reputation for their role in promoting weight gain when consumed in excess. However,
carbohydrates are necessary for biological functions. Why is it important to consume carbohydrates?
a. Carbohydrates are broken down into glucose, which provides energy as ATP through metabolic pathways. ATP
helps to maintain connective tissue.
b. Carbohydrates are broken down into glucose, which is essential for blood clotting.
c. Carbohydrates, along with proteins, help maintain connective tissue and are essential to blood clotting.
d. Carbohydrates are broken down into glucose, which provides energy as ATP through metabolic pathways. ATP
is required for proper cellular function.
68. Excess ATP is combined with excess glucose and stored as glycogen in the liver and skeletal muscle. Under what
circumstance would glycogen storage in skeletal muscle prove beneficial for a rabbit?
a. A rabbit has not eaten recently and its blood sugar drops.
b. There is an overabundance of food available to a rabbit.
c. A rabbit spots a coyote and flees in response.
d. A young rabbit with an adequate food source is developing into an adult rabbit.
REFERENCES
25.0 Introduction
Williams, P. A. et al. (2014, July). Nutrition-education program improves preschoolers’ at-home diet: A group randomized
trial. Journal of the Academy of Nutrition and Dietetics, 114(7), 1001.
Chapter 26 | The Nervous System 1217
26 | THE NERVOUS
SYSTEM
Figure 26.1 An athlete’s nervous system is hard at work during the planning and execution of a movement as precise
as a high jump. Parts of the nervous system are involved in determining how hard to push off and when to turn, as well
as controlling the muscles throughout the body that make this complicated movement possible without knocking the
bar down—all in just a few seconds. (credit: modification of work by Shane T. McCoy, U.S. Navy)
Chapter Outline
26.1: Neurons and Glial Cells
26.2: How Neurons Communicate
26.3: The Central Nervous System
26.4: The Peripheral Nervous System
26.5: Nervous System Disorders
Introduction
While you’re reading this book, your nervous system is performing several functions simultaneously. The visual system
is processing what is seen on the page, the motor system controls the turn of the pages (or click of the mouse), and the
prefrontal cortex maintains attention. Even fundamental functions, like breathing and regulation of body temperature, are
controlled by the nervous system. A nervous system is an organism’s control center: It processes sensory information from
outside and inside the body, and controls all behaviors—from eating to sleeping to finding a mate.
Scientists have even discovered that certain individual neurons (a type of nerve cell) can multitask. Neuroscientists often use
the model organism of a worm called C. elegans to study neurons. While studying these worms, it was recently discovered
that one type of neuron called AIY regulates both speed and direction of movement. Even though humans have billions of
neurons compared to the 302 in C. elegans, it is thought that many perform multiple functions (University of Michigan,
2014). You can read more about this research at the Science Daily website (http://openstaxcollege.org/l/32neurons) .
1218 Chapter 26 | The Nervous System
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Transmission of information results in changes within and between biological systems.
3.E
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit
Knowledge and integrate information, and produce responses.
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 3.44 The student is able to describe how nervous systems detect external and internal
Objective signals.
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit
Knowledge and integrate information, and produce responses.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Chapter 26 | The Nervous System 1219
Learning 3.48 The student is able to create a visual representation to describe how nervous
Objective systems detect external and internal signals.
Nervous systems throughout the animal kingdom vary in structure and complexity, as illustrated by the variety of animals
shown in Figure 26.2. Some organisms, like sea sponges, lack a true nervous system. Others, like jellyfish, lack a true brain
and instead have a system of separate but connected nerve cells (neurons) called a nerve net. Echinoderms such as sea stars
have nerve cells that are bundled into fibers called nerves. Flatworms of the phylum Platyhelminthes have both a central
nervous system (CNS), made up of a small brain and two nerve cords, and a peripheral nervous system (PNS) containing a
system of nerves that extend throughout the body. The insect nervous system is more complex but also fairly decentralized.
It contains a brain, ventral nerve cord, and ganglia, which are clusters of connected neurons. These ganglia can control
movements and behaviors without input from the brain. Octopi may have the most complicated of invertebrate nervous
systems—they have neurons that are organized in specialized lobes and eyes that are structurally similar to vertebrate
species.
Figure 26.2 Nervous systems vary in structure and complexity. In (a) cnidarians, nerve cells form a decentralized nerve
net. In (b) echinoderms, nerve cells are bundled into fibers called nerves. In animals exhibiting bilateral symmetry
such as (c) planarians, neurons cluster into an anterior brain that processes information. In addition to a brain, (d)
arthropods have clusters of nerve cell bodies, called peripheral ganglia, located along the ventral nerve cord. Mollusks
such as squid and (e) octopi, which must hunt to survive, have complex brains containing millions of neurons. In (f)
vertebrates, the brain and spinal cord comprise the central nervous system, while neurons extending into the rest of
the body comprise the peripheral nervous system. (credit e: modification of work by Michael Vecchione, Clyde F.E.
Roper, and Michael J. Sweeney, NOAA; credit f: modification of work by NIH)
Compared to invertebrates, vertebrate nervous systems are more complex, centralized, and specialized. While there is great
diversity among different vertebrate nervous systems, they all share a basic structure: a CNS that contains a brain and spinal
cord and a PNS made up of peripheral sensory and motor nerves. One interesting difference between the nervous systems of
invertebrates and vertebrates is that the nerve cords of many invertebrates are located ventrally whereas the vertebrate spinal
1220 Chapter 26 | The Nervous System
cords are located dorsally. There is debate among evolutionary biologists as to whether these different nervous system plans
evolved separately or whether the invertebrate body plan arrangement somehow flipped during the evolution of vertebrates.
Watch this video (http://openstaxcollege.org/l/vertebrate_evol) of biologist Marc Kirschner discussing the flipping
phenomenon of vertebrate evolution.
The nervous system is made up of neurons, specialized cells that can receive and transmit chemical or electrical signals, and
glia, cells that provide support functions for the neurons by playing an information processing role that is complementary to
neurons. A neuron can be compared to an electrical wire because it transmits a signal from one place to another. Glia can be
compared to the workers at the electric company who make sure wires go to the right places, maintain the wires, and take
down wires that are broken. Although glia have been compared to workers, recent evidence suggests that they also usurp
some of the signaling functions of neurons.
There is great diversity in the types of neurons and glia that are present in different parts of the nervous system. There are
four major types of neurons and they share several important cellular components.
Neurons
The nervous system of the common laboratory fly, Drosophila melanogaster, contains around 100,000 neurons, the same
number as a lobster. This number compares to 75 million in the mouse and 300 million in the octopus. A human brain
contains around 86 billion neurons. Despite these very different numbers, the nervous systems of these animals control
many of the same behaviors, from basic reflexes to more complicated behaviors like finding food and courting mates. The
ability of neurons to communicate with each other as well as with other types of cells underlies all of these behaviors.
Most neurons share the same cellular components. But neurons are also highly specialized—different types of neurons have
different sizes and shapes that relate to their functional roles.
Parts of a Neuron
Like other cells, each neuron has a cell body, or soma, that contains a nucleus, smooth and rough endoplasmic reticulum,
Golgi apparatus, mitochondria, and other cellular components. Neurons also contain unique structures, illustrated in Figure
26.3 for receiving and sending the electrical signals that make neuronal communication possible. Dendrites are tree-like
structures that extend away from the cell body to receive messages from other neurons at specialized junctions called
synapses. Although some neurons do not have any dendrites, some types of neurons have multiple dendrites. Dendrites can
have small protrusions called dendritic spines, which further increase surface area for possible synaptic connections.
Once a signal is received by the dendrite, it then travels passively to the cell body. The cell body contains a specialized
structure, the axon hillock that integrates signals from multiple synapses and serves as a junction between the cell body and
an axon. An axon is a tube-like structure that propagates the integrated signal to specialized endings called axon terminals.
These terminals in turn synapse on other neurons, muscle, or target organs. Chemicals released at axon terminals allow
signals to be communicated to these other cells. Neurons usually have one or two axons, but some neurons, like amacrine
cells in the retina, do not contain any axons. Some axons are covered with myelin, which acts as an insulator to minimize
dissipation of the electrical signal as it travels down the axon, greatly increasing the speed on conduction. This insulation
is important as the axon from a human motor neuron can be as long as a meter, from the base of the spine to the toes. The
myelin sheath is not actually part of the neuron. Myelin is produced by glial cells. Along the axon there are periodic gaps in
the myelin sheath. These gaps are called nodes of Ranvier and are sites where the signal is recharged as it travels along the
axon.
It is important to note that a single neuron does not act alone—neuronal communication depends on the connections that
neurons make with one another, as well as with other cells, like muscle cells. Dendrites from a single neuron may receive
synaptic contact from many other neurons. For example, dendrites from a Purkinje cell in the cerebellum are thought to
receive contact from as many as 200,000 other neurons.
Chapter 26 | The Nervous System 1221
Figure 26.3 Neurons contain organelles common to many other cells, such as a nucleus and mitochondria. They
also have more specialized structures, including dendrites and axons.
Types of Neurons
There are different types of neurons, and the functional role of a given neuron is intimately dependent on its structure. There
is an amazing diversity of neuron shapes and sizes found in different parts of the nervous system and across species, as
illustrated by the neurons shown in Figure 26.4.
1222 Chapter 26 | The Nervous System
Figure 26.4 There is great diversity in the size and shape of neurons throughout the nervous system. Examples include
(a) a pyramidal cell from the cerebral cortex, (b) a Purkinje cell from the cerebellar cortex, and (c) olfactory cells from
the olfactory epithelium and olfactory bulb.
While there are many defined neuron cell subtypes, neurons are broadly divided into four basic types: unipolar, bipolar,
multipolar, and pseudounipolar. Figure 26.5 illustrates these four basic neuron types. Unipolar neurons have only one
structure that extends away from the soma. These neurons are not found in vertebrates but are found in insects where they
stimulate muscles or glands. A bipolar neuron has one axon and one dendrite extending from the soma. An example of
a bipolar neuron is a retinal bipolar cell, which receives signals from photoreceptor cells that are sensitive to light and
transmits these signals to ganglion cells that carry the signal to the brain. Multipolar neurons are the most common type of
neuron. Each multipolar neuron contains one axon and multiple dendrites. Multipolar neurons can be found in the CNC,
comprised of the brain and spinal cord. An example of a multipolar neuron is a Purkinje cell in the cerebellum, which has
many branching dendrites but only one axon. Pseudounipolar cells share characteristics with both unipolar and bipolar cells.
A pseudounipolar cell has a single process that extends from the soma, like a unipolar cell, but this process later branches
into two distinct structures, like a bipolar cell. Most sensory neurons are pseudounipolar and have an axon that branches
into two extensions: one connected to dendrites that receive sensory information and another that transmits this information
to the spinal cord.
Chapter 26 | The Nervous System 1223
Figure 26.5 Neurons are broadly divided into four main types based on the number and placement of axons: unipolar,
bipolar, multipolar, and pseudounipolar.
1224 Chapter 26 | The Nervous System
Neurogenesis
At one time, scientists believed that people were born with all the neurons they would ever have. Research
performed during the last few decades indicates that neurogenesis, the birth of new neurons, continues
into adulthood. Neurogenesis was first discovered in songbirds that produce new neurons while learning
songs. For mammals, new neurons also play an important role in learning: Each day, about 1,000 new
neurons develop in the hippocampus, which is the part of the brain involved in learning and memory.
While most of the new neurons will die, researchers found that an increase in the number of surviving new
neurons in the hippocampus correlated with how well rats learned a new task. Interestingly, exercise also
promotes neurogenesis in the hippocampus. Stress has the opposite effect. While neurogenesis is quite
limited compared to regeneration in other tissues, research in this area may lead to new treatments for
disorders such as Alzheimer’s, stroke, and epilepsy.
How do scientists identify new neurons? A researcher can inject a compound called bromodeoxyuridine
(BrdU) into the brain of an animal. While all cells will be exposed to BrdU, BrdU will only be incorporated
into the DNA of newly generated cells that are in S phase. A technique called immunohistochemistry can
be used to attach a fluorescent label to the incorporated BrdU, and a researcher can use fluorescent
microscopy to visualize the presence of BrdU, and thus new neurons, in brain tissue. Figure 26.6 is a
micrograph which shows fluorescently labeled neurons in the hippocampus of a rat.
Figure 26.6 This micrograph shows fluorescently labeled new neurons in a rat hippocampus. Cells that are
actively dividing have BrdU incorporated into their DNA and are labeled in red. Cells that express glial fibrillary
acidic protein (GFAP) are labeled in green. Astrocytes, but not neurons, express GFAP. Thus, cells that are
labeled both red and green are actively dividing astrocytes, whereas cells labeled red only are actively dividing
neurons. (credit: modification of work by Dr. Maryam Faiz, et. al., University of Barcelona; scale-bar data from
Matt Russell)
Think About It
How does the unique structure of the neuron allow it to detect and ultimately transmit incoming signals?
Glia
While glia are often thought of as the supporting cast of the nervous system, the number of glial cells in the brain actually
outnumbers the number of neurons by a factor of ten. Neurons would be unable to function without the vital roles that
are fulfilled by these glial cells. Glia guide developing neurons to their destinations, buffer ions and chemicals that would
otherwise harm neurons, and provide myelin sheaths around axons. Scientists have recently discovered that they also play
a role in responding to nerve activity and modulating communication between nerve cells.
Types of Glia
There are several different types of glia with different functions, two of which are shown in Figure 26.7. Astrocytes, shown
in Figure 26.8a make contact with both capillaries and neurons in the CNS. They provide nutrients and other substances
to neurons, regulate the concentrations of ions and chemicals in the extracellular fluid, and provide structural support
for synapses. Astrocytes also form the blood-brain barrier—a structure that blocks entrance of toxic substances into the
brain. Astrocytes, in particular, have been shown through calcium imaging experiments to become active in response to
nerve activity, transmit calcium waves between astrocytes, and modulate the activity of surrounding synapses. Satellite glia
provide nutrients and structural support for neurons in the PNS. Microglia scavenge and degrade dead cells and protect
the brain from invading microorganisms. Oligodendrocytes, shown in Figure 26.8b form myelin sheaths around axons
in the CNS. One axon can be myelinated by several oligodendrocytes, and one oligodendrocyte can provide myelin for
multiple neurons. This is distinctive from the PNS where a single Schwann cell provides myelin for only one axon as the
entire Schwann cell surrounds the axon. Radial glia serve as scaffolds for developing neurons as they migrate to their end
destinations. Ependymal cells line fluid-filled ventricles of the brain and the central canal of the spinal cord. They are
involved in the production of cerebrospinal fluid, which serves as a cushion for the brain, moves the fluid between the spinal
cord and the brain, and is a component for the choroid plexus.
Figure 26.7 Glial cells support neurons and maintain their environment. Glial cells of the (a) CNS include
oligodendrocytes, astrocytes, ependymal cells, and microglial cells. Oligodendrocytes form the myelin sheath around
axons. Astrocytes provide nutrients to neurons, maintain their extracellular environment, and provide structural
support. Microglia scavenge pathogens and dead cells. Ependymal cells produce cerebrospinal fluid that cushions the
neurons. Glial cells of the (b) PNS include Schwann cells, which form the myelin sheath, and satellite cells, which
provide nutrients and structural support to neurons.
1226 Chapter 26 | The Nervous System
Figure 26.8 (a) Astrocytes and (b) oligodendrocytes are glial cells of the CNS. (credit a: modification of work by
Uniformed Services University; credit b: modification of work by Jurjen Broeke; scale-bar data from Matt Russell)
Section Summary
The nervous system is made up of neurons and glia. Neurons are specialized cells that are capable of sending electrical as
well as chemical signals. Most neurons contain dendrites, which receive these signals, and axons that send signals to other
neurons or tissues. There are four main types of neurons: unipolar, bipolar, multipolar, and pseudounipolar. Glia are non-
neuronal cells in the nervous system that support neuronal development and signaling. There are several types of glia that
serve different functions.
between gaps of unmyelinated axons, called nodes of Ranvier; a phenomenon called saltatory conduction.
Transmission of a nerve impulse from one neuron to another or to another type of cell such as a muscle cell occurs across
a junction called a synapse. Synaptic vesicles at the axon terminal of the presynaptic neuron release chemical messengers
called neurotransmitters into the junction; neurotransmitters then bind to receptors embedded in the membrane of the
postsynaptic neuron. Neurotransmitters may be either excitatory such as acetylcholine or epinephrine, or inhibitory such
as serotonin or GABA, as they either increase or decrease the change of an action potential in the postsynaptic neuron.
Many drugs, including both pharmaceuticals and drugs of abuse, can induce changes in synaptic transmission; for example,
tetrahydrocannabinol, more commonly known as THC, in marijuana binds to a naturally occurring neurotransmitter
important to short-term memory.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A learning objective merges required content with one or more of the seven science practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Transmission of information results in changes within and between biological systems.
3.E
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit and
Knowledge integrate information, and produce responses.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
3.43 The student is able to construct an explanation, based on scientific theories and
Learning
models, about how nervous systems detect external and internal signals, transmit and
Objective
integrate information, and produce responses.
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit and
Knowledge integrate information, and produce responses.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning
3.45 The student is able to describe how nervous systems transmit information.
Objective
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit and
Knowledge integrate information, and produce responses.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
3.47 The student is able to create a visual representation of complex nervous systems to
Learning
describe/explain how these systems detect external and internal signals, transmit and
Objective
integrate information, and produce responses.
All functions performed by the nervous system, from a simple motor reflex to more advanced functions like making a
memory or a decision, require neurons to communicate with one another. While humans use words and body language to
communicate, neurons use electrical and chemical signals. Just like a person in a committee, one neuron usually receives
and synthesizes messages from multiple other neurons before making the decision to send the message on to other neurons.
charge.
Neuronal-charged Membranes
The lipid bilayer membrane that surrounds a neuron is impermeable to charged molecules or ions. To enter or exit the
neuron, ions must pass through special proteins called ion channels that span the membrane. Ion channels have different
configurations: open, closed, and inactive, as illustrated in Figure 26.9. Some ion channels need to be activated in order
to open and allow ions to pass into or out of the cell. These ion channels are sensitive to the environment and can change
their shape accordingly. Ion channels that change their structure in response to voltage changes are called voltage-gated ion
channels. Voltage-gated ion channels regulate the relative concentrations of different ions inside and outside the cell. The
difference in total charge between the inside and outside of the cell is called the membrane potential.
Figure 26.9 Voltage-gated ion channels open in response to changes in membrane voltage. After activation, they
become inactivated for a brief period and will no longer open in response to a signal.
This video (http://openstaxcollege.org/l/resting_neuron) discusses the basis of the resting membrane potential.
relative to the extracellular fluid. It should be noted that calcium ions (Cl–) tend to accumulate outside of the cell because
they are repelled by negatively-charged proteins within the cytoplasm.
Na+ 145 12 12
K+ 4 155 0.026
Cl− 120 4 30
Organic anions
— 100
(A−)
Table 26.1 The resting membrane potential is a result of different concentrations inside and outside the
cell.
1230 Chapter 26 | The Nervous System
Figure 26.10 The (a) resting membrane potential is a result of different concentrations of Na+ and K+ ions inside
and outside the cell. A nerve impulse causes Na+ to enter the cell, resulting in (b) depolarization. At the peak action
potential, K+ channels open and the cell becomes (c) hyperpolarized.
Action Potential
A neuron can receive input from other neurons and, if this input is strong enough, send the signal to downstream neurons.
Transmission of a signal between neurons is generally carried by a chemical called a neurotransmitter. Transmission of a
signal within a neuron from dendrite to axon terminal is carried by a brief reversal of the resting membrane potential, called
an action potential. When neurotransmitter molecules bind to receptors located on a neuron’s dendrites, ion channels open.
Chapter 26 | The Nervous System 1231
At excitatory synapses, this opening allows positive ions to enter the neuron and results in depolarization of the membrane,
which is a decrease in the difference in voltage between the inside and outside of the neuron. A stimulus from a sensory
cell or another neuron depolarizes the target neuron to its threshold potential (-55 mV). Na+ channels in the axon hillock
open, allowing positive ions to enter the cell as seen in Figure 26.10 and Figure 26.11. Once the sodium channels open, the
neuron completely depolarizes to a membrane potential of about +40 mV. Action potentials are considered an all-or nothing
event, in that, once the threshold potential is reached, the neuron always completely depolarizes. Once depolarization is
complete, the cell must now reset its membrane voltage back to the resting potential. To accomplish this, the Na+ channels
close and cannot be opened. This begins the neuron's refractory period, in which it cannot produce another action potential
because its sodium channels will not open. At the same time, voltage-gated K+ channels open, allowing K+ to leave the cell.
As K+ ions leave the cell, the membrane potential once again becomes negative. The diffusion of K+ out of the cell actually
hyperpolarizes the cell, in that the membrane potential becomes more negative than the cell's normal resting potential. At
this point, the sodium channels will return to their resting state, meaning they are ready to open again if the membrane
potential again exceeds the threshold potential. Eventually the extra K+ ions diffuse out of the cell through the potassium
leakage channels, bringing the cell from its hyperpolarized state, back to its resting membrane potential.
Figure 26.11 The formation of an action potential can be divided into five steps: (1) a stimulus from a sensory
cell or another neuron causes the target cell to depolarize toward the threshold potential; (2) if the threshold of
excitation is reached, all Na+ channels open and the membrane depolarizes; (3) at the peak action potential, K+
channels open and K+ begins to leave the cell, while at the same time, Na+ channels close; (4) the membrane
becomes hyperpolarized as K+ ions continue to leave the cell. The hyperpolarized membrane is in a refractory
period and cannot fire. (5) The K+ channels close and the Na+/K+ transporter restores the resting potential.
1232 Chapter 26 | The Nervous System
Figure 26.12 The action potential is conducted down the axon as the axon membrane depolarizes, then repolarizes.
Figure 26.13 Nodes of Ranvier are gaps in myelin coverage along axons. Nodes contain voltage-gated K+ and Na+
channels. Action potentials travel down the axon by jumping from one node to the next.
Synaptic Transmission
The synapse or gap is the place where information is transmitted from one neuron to another. Synapses usually form
between axon terminals and dendritic spines, but this is not universally true. There are also axon-to-axon, dendrite-to-
dendrite, and axon-to-cell body synapses. The neuron transmitting the signal is called the presynaptic neuron, and the
neuron receiving the signal is called the postsynaptic neuron. Note that these designations are relative to a particular
synapse—most neurons are both presynaptic and postsynaptic. There are two types of synapses: chemical and electrical.
Chemical Synapse
When an action potential reaches the axon terminal it depolarizes the membrane and opens voltage-gated Na+ channels.
Na+ ions enter the cell, further depolarizing the presynaptic membrane. This depolarization causes voltage-gated Ca2+
channels to open. Calcium ions entering the cell initiate a signaling cascade that causes small membrane-bound vesicles,
called synaptic vesicles, containing neurotransmitter molecules to fuse with the presynaptic membrane. Synaptic vesicles
are shown in Figure 26.14, which is an image from a scanning electron microscope.
Figure 26.14 This pseudocolored image taken with a scanning electron microscope shows an axon terminal that was
broken open to reveal synaptic vesicles, noted in blue and orange, inside the neuron. (credit: modification of work by
Tina Carvalho, NIH-NIGMS; scale-bar data from Matt Russell)
Fusion of a vesicle with the presynaptic membrane causes neurotransmitter to be released into the synaptic cleft, the
extracellular space between the presynaptic and postsynaptic membranes, as illustrated in Figure 26.15. The
neurotransmitter diffuses across the synaptic cleft and binds to receptor proteins on the postsynaptic membrane.
1234 Chapter 26 | The Nervous System
Figure 26.15 Communication at chemical synapses requires release of neurotransmitters. When the presynaptic
membrane is depolarized, voltage-gated Ca2+ channels open and allow Ca2+ to enter the cell. The calcium entry
causes synaptic vesicles to fuse with the membrane and release neurotransmitter molecules into the synaptic cleft.
The neurotransmitter diffuses across the synaptic cleft and binds to ligand-gated ion channels in the postsynaptic
membrane, resulting in a localized depolarization or hyperpolarization of the postsynaptic neuron.
The binding of a specific neurotransmitter causes particular ion channels, in this case ligand-gated channels, on the
postsynaptic membrane to open. Neurotransmitters can either have excitatory or inhibitory effects on the postsynaptic
membrane, as detailed in Table 26.1. For example, when acetylcholine is released at the synapse between a nerve and
muscle, called the neuromuscular junction, by a presynaptic neuron, it causes postsynaptic Na+ channels to open. Na+
enters the postsynaptic cell and causes the postsynaptic membrane to depolarize. This depolarization is called an excitatory
postsynaptic potential (EPSP) and makes the postsynaptic neuron more likely to fire an action potential. Release of
neurotransmitter at inhibitory synapses causes inhibitory postsynaptic potentials (IPSPs), a hyperpolarization of the
presynaptic membrane. For example, when the neurotransmitter GABA is released from a presynaptic neuron, it binds to
Chapter 26 | The Nervous System 1235
and opens Cl- channels. Cl- ions enter the cell and hyperpolarizes the membrane, making the neuron less likely to fire an
action potential.
Once neurotransmission has occurred, the neurotransmitter must be removed from the synaptic cleft so the postsynaptic
membrane can reset and be ready to receive another signal. This can be accomplished in three ways: the neurotransmitter
can diffuse away from the synaptic cleft, it can be degraded by enzymes in the synaptic cleft, or it can be recycled
(sometimes called reuptake) by the presynaptic neuron. Several drugs act at this step of neurotransmission. For example,
some drugs that are given to Alzheimer’s patients work by inhibiting acetylcholinesterase, the enzyme that degrades
acetylcholine. This inhibition of the enzyme essentially increases neurotransmission at synapses that release acetylcholine.
Once released, the acetylcholine stays in the cleft and can continually bind and unbind to postsynaptic receptors.
Table 26.2
Electrical Synapse
While electrical synapses are fewer in number than chemical synapses, they are found in all nervous systems and play
important roles. The mode of neurotransmission in electrical synapses is quite different from that in chemical synapses.
In an electrical synapse, the presynaptic and postsynaptic membranes are very close together and are actually physically
connected by channel proteins forming gap junctions. Gap junctions allow current to pass directly from one cell to the next.
In addition to the ions that carry this current, other molecules, such as ATP, can diffuse through the large gap junction pores.
There are key differences between chemical and electrical synapses. Because chemical synapses depend on the release
of neurotransmitter molecules from synaptic vesicles to pass on their signal, there is an approximately one millisecond
delay between when the axon potential reaches the presynaptic terminal and when the neurotransmitter leads to opening
of postsynaptic ion channels. Additionally, this signaling is unidirectional. Signaling in electrical synapses, in contrast,
is virtually instantaneous, which is important for synapses involved in key reflexes, and some electrical synapses are
bidirectional. Electrical synapses are also more reliable as they are less likely to be blocked, and they are important for
synchronizing the electrical activity of a group of neurons. For example, electrical synapses in the thalamus are thought to
regulate slow-wave sleep, and disruption of these synapses can cause seizures.
Signal Summation
Sometimes a single EPSP is strong enough to induce an action potential in the postsynaptic neuron, but often multiple
presynaptic inputs must create EPSPs around the same time for the postsynaptic neuron to be sufficiently depolarized to
fire an action potential. This process is called summation and occurs at the axon hillock, as illustrated in Figure 26.16.
Additionally, one neuron often has both excitatory and inhibitory inputs from many presynaptic neurons—some excitatory
and some inhibitory—so IPSPs can cancel out EPSPs and vice versa. It is the net change in postsynaptic membrane voltage
that determines whether the postsynaptic cell has reached its threshold of excitation needed to fire an action potential.
Together, synaptic summation and the threshold for excitation act as a filter so that random noise in the system is not
transmitted as important information.
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Figure 26.16 A single neuron can receive both excitatory and inhibitory inputs from multiple neurons, resulting in local
membrane depolarization (EPSP input) and hyperpolarization (IPSP input). All these inputs are added together at the
axon hillock. If the EPSPs are strong enough to overcome the IPSPs and reach the threshold of excitation, the neuron
will fire.
Chapter 26 | The Nervous System 1237
Brain-computer interface
Amyotrophic lateral sclerosis (ALS, also called Lou Gehrig’s Disease) is a neurological disease
characterized by the degeneration of the motor neurons that control voluntary movements. The disease
begins with muscle weakening and lack of coordination and eventually destroys the neurons that control
speech, breathing, and swallowing; in the end, the disease can lead to paralysis. At that point, patients
require assistance from machines to be able to breathe and to communicate. Several special technologies
have been developed to allow locked-in patients to communicate with the rest of the world. One technology,
for example, allows patients to type out sentences by twitching their cheek. These sentences can then be
read aloud by a computer.
A relatively new line of research for helping paralyzed patients, including those with ALS, to communicate
and retain a degree of self-sufficiency is called brain-computer interface (BCI) technology and is illustrated
in Figure 26.17. This technology sounds like something out of science fiction: It allows paralyzed patients
to control a computer using only their thoughts. There are several forms of BCI. Some forms use EEG
recordings from electrodes taped onto the skull. These recordings contain information from large
populations of neurons that can be decoded by a computer. Other forms of BCI require the implantation of
an array of electrodes smaller than a postage stamp in the arm and hand area of the motor cortex. This
form of BCI, while more invasive, is very powerful as each electrode can record actual action potentials
from one or more neurons. These signals are then sent to a computer, which has been trained to decode
the signal and feed it to a tool such as a cursor on a computer screen. This means that a patient with ALS
can use email read the internet and communicate with others by thinking of moving his or her hand or arm
even though the paralyzed patient cannot make that bodily movement. Recent advances have allowed a
paralyzed locked-in patient who suffered a stroke 15 years ago to control a robotic arm and even to feed
herself coffee using BCI technology.
Despite the amazing advancements in BCI technology, it also has limitations. The technology can require
many hours of training and long periods of intense concentration for the patient; it can also require brain
surgery to implant the devices.
Figure 26.17 With brain-computer interface technology, neural signals from a paralyzed patient are collected,
decoded, and then fed to a tool, such as a computer, a wheelchair, or a robotic arm.
1238 Chapter 26 | The Nervous System
Watch this video (http://openstaxcollege.org/l/paralyzation) in which a paralyzed woman use a brain-controlled robotic
arm to bring a drink to her mouth, among other images of brain-computer interface technology in action.
Synaptic Plasticity
Synapses are not static structures. They can be weakened or strengthened. They can be broken, and new synapses can be
made. Synaptic plasticity allows for these changes, which are all needed for a functioning nervous system. In fact, synaptic
plasticity is the basis of learning and memory. Two processes in particular, long-term potentiation (LTP) and long-term
depression (LTD) are important forms of synaptic plasticity that occur in synapses in the hippocampus, a brain region that
is involved in storing memories.
Long-term Potentiation (LTP)
Long-term potentiation (LTP) is a persistent strengthening of a synaptic connection. LTP is based on the Hebbian
principle: cells that fire together wire together. There are various mechanisms, none fully understood, behind the synaptic
strengthening seen with LTP. One known mechanism involves a type of postsynaptic glutamate receptor, called NMDA
(N-Methyl-D-aspartate) receptors, shown in Figure 26.18. These receptors are normally blocked by magnesium ions;
however, when the postsynaptic neuron is depolarized by multiple presynaptic inputs in quick succession, either from one
neuron or multiple neurons, the magnesium ions are forced out allowing Ca2+ ions to pass into the postsynaptic cell. Next,
Ca2+ ions entering the cell initiate a signaling cascade that causes a different type of glutamate receptor, called AMPA
(α-amino-3-hydroxy-5-methyl-4-isoxazolepropionic acid) receptors, to be inserted into the postsynaptic membrane, since
activated AMPA receptors allow positive ions to enter the cell. So, the next time glutamate is released from the presynaptic
membrane, it will have a larger excitatory effect on the postsynaptic cell because the binding of glutamate to these AMPA
receptors will allow more positive ions into the cell. The insertion of additional AMPA receptors strengthens the synapse
and means that the postsynaptic neuron is more likely to fire in response to presynaptic neurotransmitter release.
Long-term Depression (LTD)
Long-term depression (LTD) is essentially the reverse of LTP: It is a long-term weakening of a synaptic connection.
One mechanism known to cause LTD also involves AMPA receptors. In this situation, calcium that enters through NMDA
receptors initiates a different signaling cascade, which results in the removal of AMPA receptors from the postsynaptic
membrane, as illustrated in Figure 26.18. The decrease in AMPA receptors in the membrane makes the postsynaptic neuron
less responsive to glutamate released from the presynaptic neuron. While it may seem counterintuitive, LTD may be just
as important for learning and memory as LTP. The weakening and pruning of unused synapses allows for unimportant
connections to be lost and makes the synapses that have undergone LTP that much stronger by comparison.
Chapter 26 | The Nervous System 1239
Figure 26.18 Calcium entry through postsynaptic NMDA receptors can initiate two different forms of synaptic plasticity:
LTP and LTD. LTP arises when a single synapse is repeatedly stimulated. This stimulation causes a calcium- and
CaMKII-dependent cellular cascade, which results in the insertion of more AMPA receptors into the postsynaptic
membrane. The next time glutamate is released from the presynaptic cell, it will bind to both NMDA and the newly
inserted AMPA receptors, thus depolarizing the membrane more efficiently. LTD occurs when few glutamate molecules
bind to NMDA receptors at a synapse due to a low firing rate of the presynaptic neuron). The calcium that does flow
through NMDA receptors initiates a different calcineurin and protein phosphatase 1-dependent cascade, which results
in the endocytosis of AMPA receptors. This makes the postsynaptic neuron less responsive to glutamate released from
the presynaptic neuron.
Activity
Don’t Eat the Fugu: Understanding the Neuron. Create a model of a neuron to explain how the vertebrate
nervous system detects signals and transmits information. Then use the model to predict how abnormal cell
structure, drugs, and toxins such as tetrodotoxin found in fugu/pufferfish can affect impulse transmission.
Think About It
Potassium channel blockers, such as procainamide, are often used to treat abnormal activity in the heart. These
channel blocks impede the movement of K+ through voltage-gated K+ channels. What is the likely effect(s) of these
medications on action potentials?
Section Summary
Neurons have charged membranes because there are different concentrations of ions inside and outside of the cell. Voltage-
gated ion channels control the movement of ions into and out of a neuron. When a neuronal membrane is depolarized to
at least the threshold of excitation, an action potential is fired. The action potential is then propagated along a myelinated
axon to the axon terminals. In a chemical synapse, the action potential causes release of neurotransmitter molecules
into the synaptic cleft. Through binding to postsynaptic receptors, the neurotransmitter can cause excitatory or inhibitory
postsynaptic potentials by depolarizing or hyperpolarizing, respectively, the postsynaptic membrane. In electrical synapses,
the action potential is directly communicated to the postsynaptic cell through gap junctions—large channel proteins that
connect the pre-and postsynaptic membranes. Synapses are not static structures and can be strengthened and weakened.
Two mechanisms of synaptic plasticity are long-term potentiation and long-term depression.
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Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Transmission of information results in changes within and between biological systems.
3.E
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit
Knowledge and integrate information, and produce responses.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 3.49 The student is able to create a visual representation to describe how the vertebrate
Objective brain integrates information to produce a response.
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit
Knowledge and integrate information, and produce responses.
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Chapter 26 | The Nervous System 1241
Learning 3.46 The student is able to describe how the vertebrate brain integrates information to
Objective produce a response.
Essential 3.E.2 Animals have nervous systems that detect external and internal signals, transmit
Knowledge and integrate information, and produce responses.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 3.50 The student is able to create a visual representation to describe how the vertebrate
Objective brain integrates information to produce a response.
As mentioned above, the central nervous system (CNS) is made up of the brain, a part of which is shown in Figure 26.19
and spinal cord and is covered with three layers of protective coverings called meninges (Greek for membrane). The
outermost layer is the dura mater (Latin for hard mother). As the Latin suggests, the primary function for this thick layer is
to protect the brain and spinal cord. The dura mater also contains vein-like structures that carry blood from the brain back to
the heart. The middle layer is the web-like arachnoid mater. The last layer is the pia mater (Latin for soft mother), which
directly contacts and covers the brain and spinal cord like plastic wrap. The space between the arachnoid and pia maters
is filled with cerebrospinal fluid (CSF). CSF is produced by a tissue called choroid plexus in fluid-filled compartments
in the CNS called ventricles. The brain floats in CSF, which acts as a cushion and shock absorber and makes the brain
neutrally buoyant. CSF also functions to circulate chemical substances throughout the brain and into the spinal cord.
The entire brain contains only about 8.5 tablespoons of CSF, but CSF is constantly produced in the ventricles. This creates
a problem when a ventricle is blocked—the CSF builds up and creates swelling and the brain is pushed against the skull.
This swelling condition is called hydrocephalus or water head, and can cause seizures, cognitive problems, and even death
if a shunt is not inserted to remove the fluid and pressure.
Figure 26.19 The cerebral cortex is covered by three layers of meninges: the dura, arachnoid, and pia maters. (credit:
modification of work by Gray’s Anatomy)
Brain
The brain is the part of the central nervous system that is contained in the cranial cavity of the skull. It includes the cerebral
cortex, limbic system, basal ganglia, thalamus, hypothalamus, and cerebellum. There are three different ways that a brain
can be sectioned in order to view internal structures: a sagittal section cuts the brain left to right, as shown in Figure 26.21b;
a coronal section cuts the brain front to back, as shown in Figure 26.20a; and a horizontal section cuts the brain top to
bottom.
Cerebral Cortex
The outermost part of the brain is a thick piece of nervous system tissue called the cerebral cortex, which is folded into hills
called gyri (singular: gyrus) and valleys called sulci (singular: sulcus). The cortex is made up of two hemispheres—right
and left—which are separated by a large sulcus. A thick fiber bundle called the corpus callosum (Latin for tough body)
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connects the two hemispheres and allows information to be passed from one side to the other. Although there are some
brain functions that are localized more to one hemisphere than the other, the functions of the two hemispheres are largely
redundant. In fact, in rare cases, an entire hemisphere is removed to treat severe epilepsy. While patients do suffer some
deficits following the surgery, they can have surprisingly few problems, especially when the surgery is performed on
children who have very immature nervous systems.
(a) (b)
Figure 26.20 These illustrations show the (a) coronal and (b) sagittal sections of the human brain.
In other surgeries to treat severe epilepsy, the corpus callosum is cut instead of removing an entire hemisphere. This causes
a condition called split-brain, which gives insights into unique functions of the two hemispheres. For example, when an
object is presented to patients’ left visual field, they may be unable to verbally name the object, and may claim to not have
seen an object at all. This is because the visual input from the left visual field crosses and enters the right hemisphere and
cannot then signal to the speech center, which generally is found in the left side of the brain. Remarkably, if a split-brain
patient is asked to pick up a specific object out of a group of objects with the left hand, the patient will be able to do so but
will still be unable to vocally identify it.
See this website (http://openstaxcollege.org/l/split-brain) to learn more about split-brain patients and to play a game
where you can model the split-brain experiments yourself.
Each cortical hemisphere contains regions called lobes that are involved in different functions. Scientists use various
techniques to determine what brain areas are involved in different functions: they examine patients who have had injuries or
diseases that affect specific areas and see how those areas are related to functional deficits. They also conduct animal studies
where they stimulate brain areas and see if there are any behavioral changes. They use a technique called transmagnetic
stimulation (TMS) to temporarily deactivate specific parts of the cortex using strong magnets placed outside the head, and
they use functional magnetic resonance imaging (fMRI) to look at changes in oxygenated blood flow in particular brain
regions that correlate with specific behavioral tasks. These techniques and others have given great insight into the functions
of different brain regions, but have also showed that any given brain area can be involved in more than one behavior
or process, and any given behavior or process generally involves neurons in multiple brain areas. That being said, each
hemisphere of the mammalian cerebral cortex can be broken down into four functionally and spatially defined lobes: frontal,
parietal, temporal, and occipital. Figure 26.21 illustrates these four lobes of the human cerebral cortex.
Chapter 26 | The Nervous System 1243
Figure 26.21 The human cerebral cortex includes the frontal, parietal, temporal, and occipital lobes.
The frontal lobe is located at the front of the brain, over the eyes. This lobe contains the olfactory bulb, which processes
smells. The frontal lobe also contains the motor cortex, which is important for planning and implementing movement.
Areas within the motor cortex map to different muscle groups, and there is some organization to this map, as shown in
Figure 26.22. For example, the neurons that control movement of the fingers are next to the neurons that control movement
of the hand. Neurons in the frontal lobe also control cognitive functions like maintaining attention, speech, and decision-
making. Studies of humans who have damaged their frontal lobes show that parts of this area are involved in personality,
socialization, and assessing risk.
Figure 26.22 Different parts of the motor cortex control different muscle groups. Muscle groups that are neighbors in
the body are generally controlled by neighboring regions of the motor cortex as well. For example, the neurons that
control finger movement are near the neurons that control hand movement.
The parietal lobe is located at the top of the brain. Neurons in the parietal lobe are involved in speech and also reading.
Two of the parietal lobe’s main functions are processing somatosensation, touch sensations like pressure, pain, heat, cold,
and processing proprioception or the sense of how parts of the body are oriented in space. The parietal lobe contains a
somatosensory map of the body similar to the motor cortex.
The occipital lobe is located at the back of the brain. It is primarily involved in vision—seeing, recognizing, and identifying
the visual world.
The temporal lobe is located at the base of the brain by your ears and is primarily involved in processing and interpreting
sounds. It also contains the hippocampus (Greek for seahorse), which is a structure that processes memory formation. The
hippocampus is illustrated in Figure 26.24. The role of the hippocampus in memory was partially determined by studying
one famous epileptic patient, HM, who had both sides of his hippocampus removed in an attempt to cure his epilepsy. His
seizures went away, but he could no longer form new memories, although he could remember some facts from before his
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Cerebral Cortex
Compared to other vertebrates, mammals have exceptionally large brains for their body size. An entire
alligator’s brain, for example, would fill about one and a half teaspoons. This increase in brain to body
size ratio is especially pronounced in apes, whales, and dolphins. While this increase in overall brain size
doubtlessly played a role in the evolution of complex behaviors unique to mammals, it does not tell the
whole story. Scientists have found a relationship between the relatively high surface area of the cortex and
the intelligence and complex social behaviors exhibited by some mammals. This increased surface area is
due, in part, to increased folding of the cortical sheet (more sulci and gyri). For example, a rat cortex is very
smooth with very few sulci and gyri. Cat and sheep cortices have more sulci and gyri. Chimps, humans, and
dolphins have even more.
Figure 26.23 Mammals have larger brain-to-body ratios than other vertebrates. Within mammals, increased
cortical folding and surface area is correlated with complex behavior.
Basal Ganglia
Interconnected brain areas called the basal ganglia (or basal nuclei), shown in Figure 26.20b, play important roles in
movement control and posture. Damage to the basal ganglia, as in Parkinson’s disease, leads to motor impairments like a
shuffling gait when walking. The basal ganglia also regulate motivation. For example, when a wasp sting led to bilateral
basal ganglia damage in a 25-year-old businessman, he began to spend all his days in bed and showed no interest in anything
or anybody. But when he was externally stimulated such as when someone asked to play a card game with him, he was able
to function normally. Interestingly, he and other similar patients do not report feeling bored or frustrated by their state.
Thalamus
The thalamus (Greek for inner chamber), illustrated in Figure 26.24, acts as a gateway to and from the cortex. It receives
sensory and motor inputs from the body and also receives feedback from the cortex. This feedback mechanism can modulate
conscious awareness of sensory and motor inputs depending on the attention and arousal state of the animal. The thalamus
helps regulate consciousness, arousal, and sleep states. A rare genetic disorder called fatal familial insomnia causes the
degeneration of thalamic neurons and glia. This disorder prevents affected patients from being able to sleep, among other
symptoms, and is eventually fatal.
Chapter 26 | The Nervous System 1245
Figure 26.24 The limbic system regulates emotion and other behaviors. It includes parts of the cerebral cortex located
near the center of the brain, including the cingulate gyrus and the hippocampus as well as the thalamus, hypothalamus
and amygdala.
Hypothalamus
Below the thalamus is the hypothalamus, shown in Figure 26.24. The hypothalamus controls the endocrine system by
sending signals to the pituitary gland, a pea-sized endocrine gland that releases several different hormones that affect other
glands as well as other cells. This relationship means that the hypothalamus regulates important behaviors that are controlled
by these hormones. The hypothalamus is the body’s thermostat, and it makes sure key functions like food and water intake,
energy expenditure, and body temperature are kept at appropriate levels. Neurons within the hypothalamus also regulate
circadian rhythms, sometimes called sleep cycles.
Limbic System
The limbic system is a connected set of structures that regulates emotion, as well as behaviors related to fear and motivation.
It plays a role in memory formation and includes parts of the thalamus and hypothalamus as well as the hippocampus.
One important structure within the limbic system is a temporal lobe structure called the amygdala (Greek for almond),
illustrated in Figure 26.24. The two amygdala are important both for the sensation of fear and for recognizing fearful faces.
The cingulate gyrus helps regulate emotions and pain.
Cerebellum
The cerebellum (Latin for little brain), shown in Figure 26.21, sits at the base of the brain on top of the brainstem. The
cerebellum controls balance and aids in coordinating movement and learning new motor tasks.
Brainstem
The brainstem, illustrated in Figure 26.21, connects the rest of the brain with the spinal cord. It consists of the midbrain,
medulla oblongata, and the pons. Motor and sensory neurons extend through the brainstem allowing for the relay of signals
between the brain and spinal cord. Ascending neural pathways cross in this section of the brain allowing the left hemisphere
of the cerebrum to control the right side of the body and vice versa. The brainstem coordinates motor control signals sent
from the brain to the body. The brainstem controls several important functions of the body including alertness, arousal,
breathing, blood pressure, digestion, heart rate, swallowing, walking, and sensory and motor information integration.
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Activity
Create a representation to illustrate what parts of the brain allow you to perform a favorite daily activity, like
kicking a soccer ball, learning a new dance move, or reading the information in this section of the text and
jotting down a few notes.
Spinal Cord
Connecting to the brainstem and extending down the body through the spinal column is the spinal cord, shown in Figure
26.21. The spinal cord is a thick bundle of nerve tissue that carries information about the body to the brain and from the
brain to the body. The spinal cord is contained within the bones of the vertebrate column but is able to communicate signals
to and from the body through its connections with spinal nerves, which are of the peripheral nervous system. A cross-section
of the spinal cord looks like a white oval containing a gray butterfly-shape, as illustrated in Figure 26.25. Myelinated axons
make up the white matter and neuron and glial cell bodies make up the gray matter. Gray matter is also composed of
interneurons, which connect two neurons each located in different parts of the body. Axons and cell bodies in the dorsal
(facing the back of the animal) spinal cord convey mostly sensory information from the body to the brain. Axons and cell
bodies in the ventral (facing the front of the animal) spinal cord primarily transmit signals controlling movement from the
brain to the body.
The spinal cord also controls motor reflexes. These reflexes are quick, unconscious movements—like automatically
removing a hand from a hot object. Reflexes are so fast because they involve local synaptic connections. For example, the
knee reflex that a doctor tests during a routine physical is controlled by a single synapse between a sensory neuron and a
motor neuron. While a reflex may only require the involvement of one or two synapses, synapses with interneurons in the
spinal column transmit information to the brain to convey what happened such as if the knee jerked, or the hand was hot.
In the United States, there around 10,000 spinal cord injuries each year. Because the spinal cord is the information
superhighway connecting the brain with the body, damage to the spinal cord can lead to paralysis. The extent of the
paralysis depends on the location of the injury along the spinal cord and whether the spinal cord was completely severed.
For example, if the spinal cord is damaged at the level of the neck, it can cause paralysis from the neck down, whereas
damage to the spinal column further down may limit paralysis to the legs. Spinal cord injuries are notoriously difficult to
treat because spinal nerves do not regenerate, although ongoing research suggests that stem cell transplants may be able to
act as a bridge to reconnect severed nerves. Researchers are also looking at ways to prevent the inflammation that worsens
nerve damage after injury. One such treatment is to pump the body with cold saline to induce hypothermia. This cooling
can prevent swelling and other processes that are thought to worsen spinal cord injuries.
Figure 26.25 A cross-section of the spinal cord shows gray matter (containing cell bodies and interneurons) and white
matter (containing axons).
Section Summary
The vertebrate central nervous system contains the brain and the spinal cord, which are covered and protected by three
meninges. The brain contains structurally and functionally defined regions. In mammals, these include the cortex (which
can be broken down into four primary functional lobes: frontal, temporal, occipital, and parietal), basal ganglia, thalamus,
Chapter 26 | The Nervous System 1247
hypothalamus, limbic system, cerebellum, and brainstem—although structures in some of these designations overlap. While
functions may be primarily localized to one structure in the brain, most complex functions, like language and sleep, involve
neurons in multiple brain regions. The spinal cord is the information superhighway that connects the brain with the rest
of the body through its connections with peripheral nerves. It transmits sensory and motor input and also controls motor
reflexes.
Figure 26.26 In the autonomic nervous system, a preganglionic neuron of the CNS synapses with a
postganglionic neuron of the PNS. The postganglionic neuron, in turn, acts on a target organ. Autonomic
responses are mediated by the sympathetic and the parasympathetic systems, which are antagonistic to one
another. The sympathetic system activates the fight or flight response, while the parasympathetic system activates
the rest and digest response.
Which of the following statements about the autonomic nervous system is true?
a. The sympathetic pathway is responsible for resting the body, whereas the parasympathetic pathway is
responsible for preparing for an emergency.
b. Most preganglionic neurons in the sympathetic pathway originate in the spinal cord.
c. The slowing of the heartbeat is a sympathetic response.
d. Parasympathetic neurons are responsible for releasing norepinephrine on the target organ, whereas
sympathetic neurons are responsible for releasing acetylcholine.
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The autonomic nervous system serves as the relay between the CNS and the internal organs. It controls the lungs, the heart,
smooth muscle, and exocrine and endocrine glands. The autonomic nervous system controls these organs largely without
conscious control; it can continuously monitor the conditions of these different systems and implement changes as needed.
Signaling to the target tissue usually involves two synapses: a preganglionic neuron originating in the CNS synapses to a
neuron in a ganglion that, in turn, synapses on the target organ, as illustrated in Figure 26.26. There are two divisions of
the autonomic nervous system that often have opposing effects: the sympathetic nervous system and the parasympathetic
nervous system.
Sympathetic Nervous System
The sympathetic nervous system is responsible for the fight or flight response that occurs when an animal encounters
a dangerous situation. One way to remember this is to think of the surprise a person feels when encountering a snake
(snake and sympathetic both begin with “s”). Examples of functions controlled by the sympathetic nervous system include
an accelerated heart rate and inhibited digestion. These functions help prepare an organism’s body for the physical strain
required to escape a potentially dangerous situation or to fend off a predator.
Figure 26.27 The sympathetic and parasympathetic nervous systems often have opposing effects on target organs.
Most preganglionic neurons in the sympathetic nervous system originate in the spinal cord, as illustrated in Figure 26.27.
The axons of these neurons release acetylcholine on postganglionic neurons within sympathetic ganglia (the sympathetic
ganglia form a chain that extends alongside the spinal cord). The acetylcholine activates the postganglionic neurons.
Postganglionic neurons then release norepinephrine onto target organs. As anyone who has ever felt a rush before a
big test, speech, or athletic event can attest, the effects of the sympathetic nervous system are quite pervasive. This is
both because one preganglionic neuron synapses on multiple postganglionic neurons, amplifying the effect of the original
synapse, and because the adrenal gland also releases norepinephrine and the closely related hormone epinephrine into the
blood stream. The physiological effects of this norepinephrine release include dilating the trachea and bronchi, making it
easier for the animal to breathe; increasing heart rate; and moving blood from the skin to the heart, muscles, and brain so the
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animal can think and run. The strength and speed of the sympathetic response helps an organism avoid danger, and scientists
have found evidence that it may also increase LTP, allowing the animal to remember the dangerous situation and avoid it in
the future.
Parasympathetic Nervous System
While the sympathetic nervous system is activated in stressful situations, the parasympathetic nervous system allows
an animal to rest and digest. One way to remember this is to think that during a restful situation like a picnic, the
parasympathetic nervous system is in control (picnic and parasympathetic both start with “p”). Parasympathetic
preganglionic neurons have cell bodies located in the brainstem and in the sacral (toward the bottom) spinal cord, as shown
in Figure 26.27. The axons of the preganglionic neurons release acetylcholine on the postganglionic neurons, which are
generally located very near the target organs. Most postganglionic neurons release acetylcholine onto target organs, although
some release nitric oxide.
The parasympathetic nervous system resets organ function after the sympathetic nervous system is activated, which is that
common adrenaline dump you feel after a fight-or-flight event. Effects of acetylcholine release on target organs include
slowing of heart rate, lowered blood pressure, and stimulation of digestion.
Figure 26.28 The human brain contains 12 cranial nerves that receive sensory input and control motor output for the
head and neck.
Spinal nerves transmit sensory and motor information between the spinal cord and the rest of the body. Each of the 31
spinal nerves in humans contains both sensory and motor axons. The sensory neuron cell bodies are grouped in structures
called dorsal root ganglia and are shown in Figure 26.29. Each sensory neuron has one projection—with a sensory receptor
ending in skin, muscle, or sensory organs—and another that synapses with a neuron in the dorsal spinal cord. Motor neurons
have cell bodies in the ventral gray matter of the spinal cord that project to muscle through the ventral root. These neurons
are usually stimulated by interneurons within the spinal cord but are sometimes directly stimulated by sensory neurons.
Figure 26.29 Spinal nerves contain both sensory and motor axons. The somas of sensory neurons are located in
dorsal root ganglia. The somas of motor neurons are found in the ventral portion of the gray matter of the spinal cord.
Section Summary
The peripheral nervous system contains both the autonomic and sensory-somatic nervous systems. The autonomic nervous
system provides unconscious control over visceral functions and has two divisions: the sympathetic and parasympathetic
nervous systems. The sympathetic nervous system is activated in stressful situations to prepare the animal for a fight or
flight response. The parasympathetic nervous system is active during restful periods. The sensory-somatic nervous system is
made of cranial and spinal nerves that transmit sensory information from skin and muscle to the CNS and motor commands
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Neurodegenerative Disorders
Neurodegenerative disorders are illnesses characterized by a loss of nervous system functioning that are usually caused
by neuronal death. These diseases generally worsen over time as more and more neurons die. The symptoms of a particular
neurodegenerative disease are related to where in the nervous system the death of neurons occurs. Spinocerebellar ataxia,
for example, leads to neuronal death in the cerebellum. The death of these neurons causes problems in balance and walking.
Neurodegenerative disorders include Huntington’s disease, amyotrophic lateral sclerosis, Alzheimer’s disease and other
types of dementia disorders, and Parkinson’s disease. Here, Alzheimer’s and Parkinson’s disease will be discussed in more
depth.
Alzheimer’s Disease
Alzheimer’s disease is the most common cause of dementia in the elderly. In 2012, an estimated 5.4 million Americans
suffered from Alzheimer’s disease, and payments for their care are estimated at $200 billion. Roughly one in every eight
people age 65 or older has the disease. Due to the aging of the baby-boomer generation, there are projected to be as many
as 13 million Alzheimer’s patients in the United States in the year 2050.
Symptoms of Alzheimer’s disease include disruptive memory loss, confusion about time or place, difficulty planning
or executing tasks, poor judgment, and personality changes. Problems smelling certain scents can also be indicative of
Alzheimer’s disease and may serve as an early warning sign. Many of these symptoms are also common in people who
are aging normally, so it is the severity and longevity of the symptoms that determine whether a person is suffering from
Alzheimer’s.
Alzheimer’s disease was named for Alois Alzheimer, a German psychiatrist who published a report in 1911 about a woman
who showed severe dementia symptoms. Along with his colleagues, he examined the woman’s brain following her death
and reported the presence of abnormal clumps, which are now called amyloid plaques, along with tangled brain fibers called
neurofibrillary tangles. Amyloid plaques, neurofibrillary tangles, and an overall shrinking of brain volume are commonly
seen in the brains of Alzheimer’s patients. Loss of neurons in the hippocampus is especially severe in advanced Alzheimer’s
patients. Figure 26.30 compares a normal brain to the brain of an Alzheimer’s patient. Many research groups are examining
the causes of these hallmarks of the disease.
One form of the disease is usually caused by mutations in one of three known genes. This rare form of early onset
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Alzheimer’s disease affects fewer than five percent of patients with the disease and causes dementia beginning between the
ages of 30 and 60. The more prevalent, late-onset form of the disease likely also has a genetic component. One particular
gene, apolipoprotein E (APOE) has a variant (E4) that increases a carrier’s likelihood of getting the disease. Many other
genes have been identified that might be involved in the pathology.
Visit this website (http://openstaxcollege.org/l/alzheimers) for video links discussing genetics and Alzheimer’s disease.
a. Risk genes do not guarantee that a person will get Alzheimer’s disease.
b. Risk genes account for less than five percent of Alzheimer’s cases.
d. Individuals with risk genes have symptoms that develop when an individual is in their 40s or 50s.
Unfortunately, there is no cure for Alzheimer’s disease. Current treatments focus on managing the symptoms of the disease.
Because decrease in the activity of cholinergic neurons (neurons that use the neurotransmitter acetylcholine) is common in
Alzheimer’s disease, several drugs used to treat the disease work by increasing acetylcholine neurotransmission, often by
inhibiting the enzyme that breaks down acetylcholine in the synaptic cleft. Other clinical interventions focus on behavioral
therapies like psychotherapy, sensory therapy, and cognitive exercises. Since Alzheimer’s disease appears to hijack the
normal aging process, research into prevention is prevalent. Smoking, obesity, and cardiovascular problems may be risk
factors for the disease, so treatments for those may also help to prevent Alzheimer’s disease. Some studies have shown that
people who remain intellectually active by playing games, reading, playing musical instruments, and being socially active
in later life have a reduced risk of developing the disease.
Figure 26.30 Compared to a normal brain (left), the brain from a patient with Alzheimer’s disease (right) shows
a dramatic neurodegeneration, particularly within the ventricles and hippocampus. (credit: modification of work by
“Garrando”/Wikimedia Commons based on original images by ADEAR: "Alzheimer's Disease Education and Referral
Center, a service of the National Institute on Aging”)
Parkinson’s Disease
Like Alzheimer’s disease, Parkinson’s disease is a neurodegenerative disease. It was first characterized by James
Parkinson in 1817. Each year, 50,000-60,000 people in the United States are diagnosed with the disease. Parkinson’s disease
causes the loss of dopamine neurons in the substantia nigra, a midbrain structure that regulates movement. Loss of these
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neurons causes many symptoms including tremor (shaking of fingers or a limb), slowed movement, speech changes, balance
and posture problems, and rigid muscles. The combination of these symptoms often causes a characteristic slow hunched
shuffling walk, illustrated in Figure 26.31. Patients with Parkinson’s disease can also exhibit psychological symptoms, such
as dementia or emotional problems.
Although some patients have a form of the disease known to be caused by a single mutation, for most patients the exact
causes of Parkinson’s disease remain unknown: the disease likely results from a combination of genetic and environmental
factors similar to Alzheimer’s disease. Post-mortem analysis of brains from Parkinson’s patients shows the presence of
Lewy bodies—abnormal protein clumps—in dopaminergic neurons. The prevalence of these Lewy bodies often correlates
with the severity of the disease.
There is no cure for Parkinson’s disease, and treatment is focused on easing symptoms. One of the most commonly
prescribed drugs for Parkinson’s is L-DOPA, which is a chemical that is converted into dopamine by neurons in the
brain. This conversion increases the overall level of dopamine neurotransmission and can help compensate for the loss of
dopaminergic neurons in the substantia nigra. Other drugs work by inhibiting the enzyme that breaks down dopamine.
Figure 26.32 Amyotrophic lateral sclerosis, also known as ALS or Lou Gehrig’s disease, is a rapidly progressing
disease that attacks the neurons that control voluntary muscles. Stephen Hawking, one of the greatest scientists
in modern times, suffers from ALS. (credit: ²°¹°°
The roots of the term amyotrophic lateral sclerosis (ALS) provide clues as to what happens to an individual with this
disease. Amyotrophic means no muscle nourishment, lateral refers to the part of the spine that tells muscles what to
do, and “sclerosis” indicates that the lateral portion of the spine that controls muscle movement hardens. Explain how
ALS causes a decline in voluntary muscle control over time.
a. ALS degenerates sensory neurons that control voluntary muscle movement. As the lateral portion of the
spine that controls muscle movement hardens, signals are no longer sent to muscles. Initially,muscles weaken
but coordination is not effected, and eventually paralysis occurs.
b. ALS degenerates motor neurons that control voluntary muscle movement. As the lateral portion ofthe spine
that controls muscle movement hardens, signals are no longer sent to muscles. Initially, muscles strengthen
and coordination is effected, and eventually paralysis occurs.
c. ALS degenerates sensory neurons that control voluntary muscle movement. As the lateral portion of the
spine that controls muscle movement hardens, signals are no longer sent to muscles. Initially,muscles weaken
and coordination is effected, and eventually paralysis occurs.
d. ALS degenerates motor neurons that control voluntary muscle movement. As the lateral portion ofthe spine
that controls muscle movement hardens, signals are no longer sent to muscles. Initially, muscles weaken and
coordination is effected, and eventually paralysis occurs.
Neurodevelopmental Disorders
Neurodevelopmental disorders occur when the development of the nervous system is disturbed. There are several different
classes of neurodevelopmental disorders. Some, like Down Syndrome, cause intellectual deficits. Others specifically
affect communication, learning, or the motor system. Some disorders like autism spectrum disorder and attention deficit/
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This video (http://openstaxcollege.org/l/autism) discusses possible reasons why there has been a recent increase in the
number of people diagnosed with autism.
Which of the following is a partial explanation of the increase in autism spectrum disorder diagnosis between 1992
and 2005?
A characteristic symptom of ASD is impaired social skills. Children with autism may have difficulty making and
maintaining eye contact and reading social cues. They also may have problems feeling empathy for others. Other symptoms
of ASD include repetitive motor behaviors (such as rocking back and forth), preoccupation with specific subjects, strict
adherence to certain rituals, and unusual language use. Up to 30 percent of patients with ASD develop epilepsy, and patients
with some forms of the disorder (like Fragile X) also have intellectual disability. Because it is a spectrum disorder, other
ASD patients are very functional and have good-to-excellent language skills. Many of these patients do not feel that they
suffer from a disorder and instead think that their brains just process information differently.
Except for some well-characterized, clearly genetic forms of autism, like Fragile X and Rett’s Syndrome, the causes of
ASD are largely unknown. Variants of several genes correlate with the presence of ASD, but for any given patient, many
different mutations in different genes may be required for the disease to develop. At a general level, ASD is thought to be
a disease of incorrect wiring. Accordingly, brains of some ASD patients lack the same level of synaptic pruning that occurs
in non-affected people. In the 1990s, a research paper linked autism to a common vaccine given to children. This paper
was retracted when it was discovered that the author falsified data, and follow-up studies showed no connection between
vaccines and autism.
Treatment for autism usually combines behavioral therapies and interventions, along with medications to treat other
disorders common to people with autism (depression, anxiety, obsessive compulsive disorder). Although early interventions
can help mitigate the effects of the disease, there is currently no cure for ASD.
Attention Deficit Hyperactivity Disorder (ADHD)
Approximately three to five percent of children and adults are affected by attention deficit/hyperactivity disorder
(ADHD). Like ASD, ADHD is more prevalent in males than females. Symptoms of the disorder include inattention (lack
of focus), executive functioning difficulties, impulsivity, and hyperactivity beyond what is characteristic of the normal
developmental stage. Some patients do not have the hyperactive component of symptoms and are diagnosed with a
subtype of ADHD: attention deficit disorder (ADD). Many people with ADHD also show comorbitity, in that they develop
secondary disorders in addition to ADHD. Examples include depression or obsessive compulsive disorder (OCD). Figure
26.33 provides some statistics concerning comorbidity with ADHD.
The cause of ADHD is unknown, although research points to a delay and dysfunction in the development of the prefrontal
cortex and disturbances in neurotransmission. According to studies of twins, the disorder has a strong genetic component.
There are several candidate genes that may contribute to the disorder, but no definitive links have been discovered.
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Environmental factors, including exposure to certain pesticides, may also contribute to the development of ADHD in some
patients. Treatment for ADHD often involves behavioral therapies and the prescription of stimulant medications, which
paradoxically cause a calming effect in these patients.
Figure 26.33 Many people with ADHD have one or more other neurological disorders. (credit “chart design and
illustration”: modification of work by Leigh Coriale; credit “data”: Drs. Biederman and Faraone, Massachusetts General
Hospital).
Neurologist
Neurologists are physicians who specialize in disorders of the nervous system. They diagnose and treat
disorders such as epilepsy, stroke, dementia, nervous system injuries, Parkinson’s disease, sleep disorders,
and multiple sclerosis. Neurologists are medical doctors who have attended college, medical school, and
completed three to four years of neurology residency.
When examining a new patient, a neurologist takes a full medical history and performs a complete physical
exam. The physical exam contains specific tasks that are used to determine what areas of the brain, spinal
cord, or peripheral nervous system may be damaged. For example, to check whether the hypoglossal nerve
is functioning correctly, the neurologist will ask the patient to move his or her tongue in different ways. If the
patient does not have full control over tongue movements, then the hypoglossal nerve may be damaged
or there may be a lesion in the brainstem where the cell bodies of these neurons reside (or there could be
damage to the tongue muscle itself).
Neurologists have other tools besides a physical exam they can use to diagnose particular problems
in the nervous system. If the patient has had a seizure, for example, the neurologist can use
electroencephalography (EEG), which involves taping electrodes to the scalp to record brain activity, to try
to determine which brain regions are involved in the seizure. In suspected stroke patients, a neurologist can
use a computerized tomography (CT) scan, which is a type of X-ray, to look for bleeding in the brain or other
health conditions. To treat patients with neurological problems, neurologists can prescribe medications or
refer the patient to a neurosurgeon for surgery.
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This website (http://openstaxcollege.org/l/neurologic_exam) allows you to see the different tests a neurologist might
use to see what regions of the nervous system may be damaged in a patient.
What exam might a neurologist perform if a patient had impaired sensory functions?
Mental Illnesses
Mental illnesses are nervous system disorders that result in problems with thinking, mood, or relating with other people.
These disorders are severe enough to affect a person’s quality of life and often make it difficult for people to perform the
routine tasks of daily living. Debilitating mental disorders plague approximately 12.5 million Americans (about one in 17
people) at an annual cost of more than $300 billion. There are several types of mental disorders including schizophrenia,
major depression, bipolar disorder, anxiety disorders and phobias, post-traumatic stress disorders, and obsessive-compulsive
disorder (OCD), among others. The American Psychiatric Association publishes the Diagnostic and Statistical Manual
of Mental Disorders (or DSM), which describes the symptoms required for a patient to be diagnosed with a particular
mental disorder. Each newly released version of the DSM contains different symptoms and classifications as scientists learn
more about these disorders, their causes, and how they relate to each other. A more detailed discussion of two mental
illnesses—schizophrenia and major depression—is given below.
Schizophrenia
Schizophrenia is a serious and often debilitating mental illness affecting one percent of people in the United States.
Symptoms of the disease include the inability to differentiate between reality and imagination, inappropriate and
unregulated emotional responses, difficulty thinking, and problems with social situations. People with schizophrenia can
suffer from hallucinations and hear voices; they may also suffer from delusions. Patients also have so-called negative
symptoms like a flattened emotional state, loss of pleasure, and loss of basic drives. Many schizophrenic patients are
diagnosed in their late adolescence or early 20s. The development of schizophrenia is thought to involve malfunctioning
dopaminergic neurons and may also involve problems with glutamate signaling. Treatment for the disease usually requires
antipsychotic medications that work by blocking dopamine receptors and decreasing dopamine neurotransmission in the
brain. This decrease in dopamine can cause Parkinson’s disease-like symptoms in some patients. While some classes of
antipsychotics can be quite effective at treating the disease, they are not a cure, and most patients must remain medicated
for the rest of their lives.
Depression
Major depression affects approximately 6.7 percent of the adults in the United States each year and is one of the most
common mental disorders. To be diagnosed with major depressive disorder, a person must have experienced a severely
depressed mood lasting longer than two weeks along with other symptoms including a loss of enjoyment in activities that
were previously enjoyed, changes in appetite and sleep schedules, difficulty concentrating, feelings of worthlessness, and
suicidal thoughts. The exact causes of major depression are unknown and likely include both genetic and environmental risk
factors. Some research supports the classic monoamine hypothesis, which suggests that depression is caused by a decrease in
norepinephrine and serotonin neurotransmission. One argument against this hypothesis is the fact that some antidepressant
medications cause an increase in norepinephrine and serotonin release within a few hours of beginning treatment—but
clinical results of these medications are not seen until weeks later. This has led to alternative hypotheses: for example,
dopamine may also be decreased in depressed patients, or it may actually be an increase in norepinephrine and serotonin
that causes the disease, and antidepressants force a feedback loop that decreases this release. Treatments for depression
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include psychotherapy, electroconvulsive therapy, deep-brain stimulation, and prescription medications. There are several
classes of antidepressant medications that work through different mechanisms. For example, monoamine oxidase inhibitors
(MAO inhibitors) block the enzyme that degrades many neurotransmitters (including dopamine, serotonin, norepinephrine),
resulting in increased neurotransmitter in the synaptic cleft. Selective serotonin reuptake inhibitors (SSRIs) block the
reuptake of serotonin into the presynaptic neuron. This blockage results in an increase in serotonin in the synaptic cleft.
Other types of drugs such as norepinephrine-dopamine reuptake inhibitors and norepinephrine-serotonin reuptake inhibitors
are also used to treat depression.
Section Summary
Some general themes emerge from the sampling of nervous system disorders presented above. The causes for most disorders
are not fully understood—at least not for all patients—and likely involve a combination of nature (genetic mutations that
become risk factors) and nurture (emotional trauma, stress, hazardous chemical exposure). Because the causes have yet to
be fully determined, treatment options are often lacking and only address symptoms.
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KEY TERMS
acetylcholine neurotransmitter released by neurons in the central nervous system and peripheral nervous system
action potential self-propagating momentary change in the electrical potential of a neuron (or muscle) membrane
Alzheimer’s disease neurodegenerative disorder characterized by problems with memory and thinking
arachnoid mater spiderweb-like middle layer of the meninges that cover the central nervous system
astrocyte glial cell in the central nervous system that provide nutrients, extracellular buffering, and structural support for
neurons; also makes up the blood-brain barrier
autism spectrum disorder (ASD) neurodevelopmental disorder characterized by impaired social interaction and
communication abilities
autonomic nervous system part of the peripheral nervous system that controls bodily functions
axon tube-like structure that propagates a signal from a neuron’s cell body to axon terminals
axon hillock electrically sensitive structure on the cell body of a neuron that integrates signals from multiple neuronal
connections
axon terminal structure on the end of an axon that can form a synapse with another neuron
basal ganglia interconnected collections of cells in the brain that are involved in movement and motivation; also known
as basal nuclei
brainstem portion of the brain that connects with the spinal cord; controls basic nervous system functions like breathing,
heart rate, and swallowing
cerebellum brain structure involved in posture, motor coordination, and learning new motor actions
cerebral cortex outermost sheet of brain tissue; involved in many higher-order functions
cerebrospinal fluid (CSF) clear liquid that surrounds the brain and spinal cord and fills the ventricles and central canal;
acts as a shock absorber and circulates material throughout the brain and spinal cord.
choroid plexus spongy tissue within ventricles that produces cerebrospinal fluid
cingulate gyrus helps regulate emotions and pain; thought to directly drive the body’s conscious response to unpleasant
experiences
corpus callosum thick fiber bundle that connects the cerebral hemispheres
cranial nerve sensory and/or motor nerve that emanates from the brain
dendrite structure that extends away from the cell body to receive messages from other neurons
dura mater tough outermost layer that covers the central nervous system
ependymal cell that lines fluid-filled ventricles of the brain and the central canal of the spinal cord; involved in production
of cerebrospinal fluid
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frontal lobe part of the cerebral cortex that contains the motor cortex and areas involved in planning, attention, and
language
glia (also, glial cells) cells that provide support functions for neurons
hypothalamus brain structure that controls hormone release and body homeostasis
limbic system connected brain areas that process emotion and motivation
long-term depression (LTD) prolonged decrease in synaptic coupling between a pre- and post-synaptic cell
long-term potentiation (LTP) prolonged increase in synaptic coupling between a pre- and post-synaptic cell
membrane potential difference in electrical potential between the inside and outside of a cell
meninge membrane that covers and protects the central nervous system
microglia glia that scavenge and degrade dead cells and protect the brain from invading microorganisms
neurodegenerative disorder nervous system disorder characterized by the progressive loss of neurological
functioning, usually caused by neuron death
neuron specialized cell that can receive and transmit electrical and chemical signals
nodes of Ranvier gaps in the myelin sheath where the signal is recharged
norepinephrine neurotransmitter and hormone released by activation of the sympathetic nervous system
occipital lobe part of the cerebral cortex that contains visual cortex and processes visual stimuli
oligodendrocyte glial cell that myelinates central nervous system neuron axons
parasympathetic nervous system division of autonomic nervous system that regulates visceral functions during rest
and digestion
parietal lobe part of the cerebral cortex involved in processing touch and the sense of the body in space
pia mater thin membrane layer directly covering the brain and spinal cord
proprioception sense about how parts of the body are oriented in space
radial glia glia that serve as scaffolds for developing neurons as they migrate to their final destinations
refractory period period after an action potential when it is more difficult or impossible for an action potential to be
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fired; caused by inactivation of sodium channels and activation of additional potassium channels of the membrane
saltatory conduction jumping of an action potential along an axon from one node of Ranvier to the next
satellite glia glial cell that provides nutrients and structural support for neurons in the peripheral nervous system
schizophrenia mental disorder characterized by the inability to accurately perceive reality; patients often have difficulty
thinking clearly and can suffer from delusions
Schwann cell glial cell that creates myelin sheath around a peripheral nervous system neuron axon
spinal cord thick fiber bundle that connects the brain with peripheral nerves; transmits sensory and motor information;
contains neurons that control motor reflexes
spinal nerve nerve projecting between skin or muscle and spinal cord
summation process of multiple presynaptic inputs creating EPSPs around the same time for the postsynaptic neuron to be
sufficiently depolarized to fire an action potential
sympathetic nervous system division of autonomic nervous system activated during stressful fight or flight situations
synapse junction between two neurons where neuronal signals are communicated
temporal lobe part of the cerebral cortex that processes auditory input; parts of the temporal lobe are involved in speech,
memory, and emotion processing
CHAPTER SUMMARY
26.1 Neurons and Glial Cells
The nervous system is made up of neurons and glia. Neurons are specialized cells that are capable of sending electrical as
well as chemical signals. Most neurons contain dendrites, which receive these signals, and axons that send signals to other
neurons or tissues. There are four main types of neurons: unipolar, bipolar, multipolar, and pseudounipolar. Glia are non-
neuronal cells in the nervous system that support neuronal development and signaling. There are several types of glia that
serve different functions.
Neurons have charged membranes because there are different concentrations of ions inside and outside of the cell. Voltage-
gated ion channels control the movement of ions into and out of a neuron. When a neuronal membrane is depolarized to at
least the threshold of excitation, an action potential is fired. The action potential is then propagated along a myelinated
axon to the axon terminals. In a chemical synapse, the action potential causes release of neurotransmitter molecules into
the synaptic cleft. Through binding to postsynaptic receptors, the neurotransmitter can cause excitatory or inhibitory
postsynaptic potentials by depolarizing or hyperpolarizing, respectively, the postsynaptic membrane. In electrical
synapses, the action potential is directly communicated to the postsynaptic cell through gap junctions—large channel
proteins that connect the pre-and postsynaptic membranes. Synapses are not static structures and can be strengthened and
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weakened. Two mechanisms of synaptic plasticity are long-term potentiation and long-term depression.
The vertebrate central nervous system contains the brain and the spinal cord, which are covered and protected by three
meninges. The brain contains structurally and functionally defined regions. In mammals, these include the cortex (which
can be broken down into four primary functional lobes: frontal, temporal, occipital, and parietal), basal ganglia, thalamus,
hypothalamus, limbic system, cerebellum, and brainstem—although structures in some of these designations overlap.
While functions may be primarily localized to one structure in the brain, most complex functions, like language and sleep,
involve neurons in multiple brain regions. The spinal cord is the information superhighway that connects the brain with the
rest of the body through its connections with peripheral nerves. It transmits sensory and motor input and also controls
motor reflexes.
The peripheral nervous system contains both the autonomic and sensory-somatic nervous systems. The autonomic nervous
system provides unconscious control over visceral functions and has two divisions: the sympathetic and parasympathetic
nervous systems. The sympathetic nervous system is activated in stressful situations to prepare the animal for a fight or
flight response. The parasympathetic nervous system is active during restful periods. The sensory-somatic nervous system
is made of cranial and spinal nerves that transmit sensory information from skin and muscle to the CNS and motor
commands from the CNS to the muscles.
Some general themes emerge from the sampling of nervous system disorders presented above. The causes for most
disorders are not fully understood—at least not for all patients—and likely involve a combination of nature (genetic
mutations that become risk factors) and nurture (emotional trauma, stress, hazardous chemical exposure). Because the
causes have yet to be fully determined, treatment options are often lacking and only address symptoms.
REVIEW QUESTIONS
1. Where are parasympathetic preganglionic cell bodies located?
a. cerebellum
b. brainstem
c. dorsal root ganglia
d. spinal cord
2. Which of the following statements about the parasympathetic nervous system is true?
a. controls fight or flight response
b. can reset organ function to the normal range
c. transmits information from the skin to the central nervous system
d. stimulates glycogen breakdown
3. Proper nervous system function involves various types of organic molecules. In particular, what is released by motor
nerve endings onto muscle cells or tissue?
a. acetylcholine
b. norepinephrine
c. dopamine
d. serotonin
4. If the sensory-somatic nervous system of an animal is damaged, what might happen?
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a. The sensory-somatic nervous system transmits information from the skin, muscles, and sensory organs to the
peripheral nervous system. Motor information is sent to and from the central nervous system and the muscles.
b. The sensory-somatic nervous system transmits information from the skin, muscles, and sensory organs to the
central nervous system. Motor information is sent to and from the central nervous system and the muscles.
c. The sensory-somatic nervous system transmits information from the skin, muscles, and sensory organs to the
central nervous system. Motor information is sent to and from the peripheral nervous system and the muscles.
d. The sensory-somatic nervous system transmits information from the skin, muscles, and sensory organs to the
peripheral nervous system. Motor information is sent to and from the peripheral nervous system and the
muscles.
12. Public speaking can be very stressful. How can anticipating giving a public speech stimulate the sympathetic nervous
system?
a. During stress, multiple preganglionic neurons can synapse on one postganglionic neuron, and the adrenal gland
releases adrenaline.
b. During stress, one preganglionic neuron can synapse on multiple postganglionic neurons, and the thymus gland
releases norepinephrine.
c. During stress, one postganglionic neuron can synapse on multiple preganglionic neurons, and the adrenal gland
releases norepinephrine.
d. During stress, one preganglionic neuron can synapse on multiple postganglionic neurons, and the adrenal gland
releases norepinephrine.
13. What might make you suspect that an individual has Alzheimer’s disease?
a. disruptive memory loss, confusion about time or place, difficulty with planning and executing tasks, poor
judgment, and/or personality changes
b. slowed movements, balance and posture problems, rigid muscles, speech changes, and/or psychological
symptoms such as dementia
c. impaired social skills, repetitive motor behaviors, strict adherence to certain rituals, and preoccupation with
specific subjects
d. balance and posture problems, repetitive motor behaviors, difficulty with planning and executing tasks, poor
judgment, and/or personality changes
14. What treatment options are available for an individual diagnosed with major depression?
a. blood pressure medication, deep-brain stimulation, taking monoamine oxidase inhibitors, psychotherapy, and
physical therapy
b. psychotherapy, electroconvulsive therapy, deep-brain stimulation, taking monoamine oxidase inhibitors, and/or
taking selective melatonin reuptake inhibitors
c. psychotherapy, electroconvulsive therapy, deep-brain stimulation, taking monoamine oxidase inhibitors, and/or
taking selective serotonin reuptake inhibitors
d. blood pressure medication, classes of antipsychotics, psychotherapy, electroconvulsive therapy, deep-brain
stimulation, and/or taking selective serotonin reuptake inhibitors
a. Chemicals released at the axon terminals transmit signals through synapses into other neurons via the second
neuron’s dendrites.
b. Chemicals released at the axon terminals transmit signals through synapses into other neurons via the second
neuron’s axons.
c. Chemicals released at the dendrites transmit signals through synapses into other neurons via the second neuron’s
axon terminal.
d. Chemicals released at the axon terminals transmit signals directly into other neurons via the second neuron’s
axons.
17. This figure shows a malformed neuron. Why would this neuron be nonfunctional?
20. Resting membrane potential has a negative charge. Which ions correspond to each row of data in the chart?
29. Both cerebral hemispheres are essential for proper body function. However, the left cerebral hemisphere controls the
right side of the body, whereas the right cerebral hemisphere controls the left side of the body. Why is this the case?
a. The descending neural connections are not switched in the brainstem, which means that the neural connections
of the left hemisphere are transmitted to the right side of the body and vice versa.
b. The ascending neural connections are not switched in the brainstem, which means that the neural connections of
the left hemisphere are transmitted to the right side of the body and vice versa.
c. The descending neural connections are switched in the brainstem, which means that the neural connections of
the left hemisphere are transmitted to the right side of the body and vice versa.
d. The ascending neural connections are switched in the brainstem, which means that the neural connections of the
left hemisphere are transmitted to the right side of the body and vice versa.
30. If an increased number of folds in the cortical sheets of the brain is associated with increased social complexity, which
animal has the greatest social complexity? Refer to the figure.
a. Rat
b. Dolphin
c. Chimpanzee
d. Cat
31.
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How does gray matter facilitate communication along the spinal column?
a. All myelin sheaths are located in the gray matter, which transmit signals along the brain and spinal cord through
the gray matter.
b. All synapses are located in the gray matter, which transmit signals along the brain and spinal cord through the
gray matter.
c. All synapses are located in the gray matter, which transmit signals along the spinal cord through the gray matter.
d. All dendrites are located in the gray matter, which transmit signals along the spinal cord through the gray matter.
This image shows a cross section of the spinal column. How does gray matter facilitate communication along the spinal
column?
a. All myelin sheaths are located in the gray matter, which transmit signals along the brain and spinal cord through
the gray matter.
b. All synapses are located in the gray matter, which transmit signals along the brain and spinal cord through the
gray matter.
c. All synapses are located in the gray matter, which transmit signals along the spinal cord through the gray matter.
d. All dendrites are located in the gray matter, which transmit signals along the spinal cord through the gray matter.
32. This figure depicts the parts of the body that are controlled by different parts of the motor cortex.
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What can be inferred about the organization of the motor cortex relative to the organization of muscles in the body?
a. The motor cortex is found throughout the body.
b. Motor cortex neurons are generally located near neurons that control nearby body parts.
c. Motor cortex neurons control speaking and processing what an individual reads.
d. The motor cortex controls involuntary muscle movements.
33. This figure represents a split-brain individual processing information.
What has happened to the brain of this individual? Why does the processing of information occur as depicted?
Chapter 26 | The Nervous System 1275
a. The parietal lobe has been cut, which severs the ability of the left hemisphere from communicating but increases
the ability of the right hemisphere.
b. The corpus callosum has been cut, which severs the ability of the left hemisphere from communicating but
increases the ability of the right hemisphere.
c. The frontal lobe has been cut, which severs the ability of the left and right hemispheres to communicate.
d. The corpus callosum has been cut, which severs the ability of the left and right hemispheres to communicate.
34. The thalamus is part of the brain that is involved in various functions in the human body. What might result from the
damage of an individual’s thalamus?
a. Insomnia
b. Lack of interest in everything
c. Lack of fear
d. Inability to learn new motor tasks
Figure 26.34
◦ Na+
◦ Cl-
◦ stimulatory
◦ inhibitory
d. In the 1960s Burnstock and co-workers provided evidence that ATP is a neurotransmitter. This was received
skeptically and largely rejected until 1984 when a modified form of ATP that was known to block the
intracellular function of ATP was shown to effect extracellular signal transmission. Based on the central role
played by ATP in biological systems justify the resistance within the scientific community to accept a role for
ATP as a neurotransmitter. Based on the fact that ATP has been conserved throughout evolution of life on Earth
justify such a role for ATP. Based on these two perspectives analyze the role of cooperative interactions in the
positive selection of ATP as a neurotransmitter.
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36. Neurons and muscle cells maintain a high concentration gradient of potassium ions across the plasma membrane. The
extracellular space has a high concentration of sodium ions. At the rest electric potential the cell membrane is polarized.
a. Construct a representation of the cell membrane with annotation of the diagram below that includes the following:
• with a labeled arrow indicate the direction in which the motion of potassium ions is driven by the concentration
gradient
• with a labeled arrow indicate the direction in which the motion of sodium ions is driven by the concentration gradient
• give a brief statement of the roles of potassium and sodium ion pumps in maintaining the rest electric potential
• with a labeled arrow indicate the relative sign of the electric potential difference (voltage) between intracellular and
extracellular spaces at the rest electric potential
Figure 26.35
When an excitatory neurotransmitter receptor is activated the electric potential difference of membrane of a neuron is
lowered inducing a change in the configuration of sodium pump proteins.
b. Justify the effect on the flux of sodium ions across the membrane as a positive feedback in a situation in which the
electric potential difference falls below a threshold voltage and an action potential is created.
c. The action potential is transmitted along the neuron as a voltage wave. One cycle of the wave is shown at the right of the
diagram at the instant at which the maximum of the electric potential of the membrane has been reached.
Figure 26.36
Construct a representation of the key elements of the signal propagation with annotation of the diagram that includes the
following:
• a labeled arrow that indicates the direction in which the motion of potassium ions is driven by the concentration
gradient
• a labeled arrow that indicates the direction in which the motion of potassium ions is driven by the electric potential
difference across the membrane
• give a brief statement of the roles of potassium and sodium ion pumps in terminating the action potential
Chapter 26 | The Nervous System 1277
d. Most neurons must transmit a signal quickly. The sarcolemmas (muscle cell membranes) of the cardiac muscles receive
signals that integrate information from both the sympathetic (quick response with shorter time scale) and parasympathetic
(steady response with longer time scale) divisions of the autonomic nervous system. The action potential that induces
periodic contractions of the cardiac muscle (see figure below) is broadened at the maximum by the release of Ca +2 from
the smooth endoplasmic reticulum, referred to as calcium-induced calcium release (CICR).
Figure 26.37
In terms of the function of the heart in the supply of oxygen and nutrients during “fight or flight” or restful conditions,
justify the claim that this broadening demonstrates that the coordination of events must be regulated.
e. To stop a beating heart during open-heart surgery a solution of KCl is injected into the cardiac muscle. Explain the
effect of a large dose of extracellular K+ on the transmission of the action potential in the sarcolemma.
37. The brain integrates new information through the formation of memories and by learning. Alternative explanations of
the ability of the brain to remodel in response to experience, called plasticity, are given. This item explores those
explanations.
A. Consider the interaction of these three cell types that integrate information to produce a response to external cues:
Figure 26.38
Use the figure to construct a representation of the direction of information flow.
B. The central body of a neuron is elaborated by tree-like structures called dendrites. These allow the neuron to integrate
information from multiple sensory receptors.
Describe what refinement of the basic stimulus-response system in the diagram is needed to achieve even the simplest
response: “move away.” Awareness of orientation and motion within a body is called proprioception. Describe how
multiple neurons are required to acquire proprioception.
C. The generation of neurons occurs during development. However, adults continue to form memories and learn.
Rearrangement of connections between neurons is a possible explanation and in several studies steroid hormones have
been shown to produce dendritic plasticity. The hippocampus is active during memory formation and learning and
significant variations in the number of dendrites were observed in the hippocampus (Wooley et al, Journal of
Neuroscience, 10, 1990) were correlated with variations in estrogen during the estrus cycle. More recently variation in
these structures is implicated in a collection of behaviors known as chronic unpredictable mild stress (CUMS). In rats
CUMS can be induced by environmental factors such as electric shock, immobilization, or isolation (Qiao et al, Neural
Plasticity, 2016).
Pose two scientific questions that can be investigated to connect the dynamic homeostasis and survival advantage of the
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Figure 26.39
Analyze these data in terms of the evidence provided for synaptic plasticity.
E. A third explanation for the formation of memory and learning is found in the lab of David Glanzman (Elife, 2014). The
sea slug (Aplysia) can be trained to withdraw its siphon tube. Sensory and motor neurons can be grown in tissue culture.
The addition of serotonin to the tissue culture increases the number of synaptic connections and the training can be
induced in vitro. Cells that had acquired the stimulus-response behavior were treated with an agent that destroys the
synaptic receptors. Yet the trained response was retained and there were indications that the information was retrieved
from the neuron nucleus.
Suppose that this work concerning the location of memory is confirmed. Create a representation of information flow in
which a fourth box labeled “neuron nucleus” is added to the diagram in part A between the stimulus and the neuron.
Annotate the representation to indicate the flow of information.
Explain
• how this form of plasticity is more dynamic than theories in which memory resides in synaptic or dendritic structures,
and
• how it might lead to a treatments for disorders, such as post-traumatic stress syndrome, in which recollection creates
a disability.
Pose questions regarding the ethical or social consequences of this technology.
38.
Chapter 26 | The Nervous System 1279
a. You are probably acquainted with the effects of local anesthetics. While the injection of lidocaine at the dentist is
unpleasant no injection would be more so. Lidocaine is a sodium channel blocker.
Explain the absence of pain in terms of the effect of lidocaine on signal reception and transduction.
b. The pain of the dentist’s drill is caused by trauma at the cellular level. Chemical messengers such as cytokines,
serotonin, and prostaglandins are released by broken cells. The receptors for these messages of trauma are called
nociceptors whose activation is transmitted to the central nervous system by specialized cells called the A and C
fibers.
The nervous system is a network of cells and tissues that is activated by these chemical messengers. Identify
another system that should be activated by these messengers and support your claim by applying the idea that
dynamic homeostasis is maintained by timing and coordination of regulated events.
c. Chronic pain often persists after damaged tissue has healed. This pain is often accompanied by sterile
inflammation with components of the innate immune system such as macrophages. Refine the model of
coordinated response identified in part B to describe how chemical messengers associated with the immune
response can cause chronic pain.
d. Unlike local anesthetics general anesthetics block signal transduction of the entire central nervous system and
the brain. However, while the patient is unconscious the peripheral nervous system continues to support
signaling to other systems such as heart and lungs. An explanation might be that the signal in the central and
peripheral nervous systems are segregated and that the latter functions without cognitive integration (thought) as
the name “autonomic” implies. The respiratory center that provides autonomic control of breathing is part of the
medulla oblongata.
Create a visual representation of system composed only of the cortex, the medulla oblongata, the heart and the
lungs. Using arrows describe the flow of information. Consider “holding your breath” in creating your
representation. Consider why you always stop holding your breath eventually. Consider “holding your heart.”
Experimental data on the voluntary control of heart rate by people who practice yoga have been reported
(Raghavendra et al, International Journal of Yoga, 6, 2013; Telles et al, Integrative Physiological and
Behavioral Science, 39, 2004).
e. Analyze the data provided in the following sketch of blood flow, a process controlled by the autonomic nervous
system, in the two ears of a rabbit (after Blessing, Trends in Neuroscience, 20, 1997) in terms of cognitive
integration of the response to the stimulus provided by touching the rabbit.
Figure 26.40
39. Describe how neurons transmit information.
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40. Autism is a collection of communication and socialization behaviors. Evidence of inheritance of genes predisposing
the individual during early development is indicated by pedigrees such as the following (after Allen-Brady, Molecular
Psychiatry, 14, 2009). Males (squares) and females (circles) are affected when the symbol is filled, are struck through
when deceased and the genome cannot be determined, and are dashed when living and the genome was not determined.
Figure 26.41
a. Other evidence indicates that autism is not x-linked. Give an alternative explanation that can account for this
data.
b. Stem cells taken from fathers who do not present characteristic of autism and from their sons were induced to
form tissue cultures of neurons. Compared to the father those taken from the son showed accelerated growth
with a higher number of synapses. Describe possible consequences for the integration of information if this in
vitro growth also occurs in vivo.
The variety of phenotypes and large number of genes that have been implicated in this disorder have led
researchers to refer to the characteristics as autisms described by a spectrum of disorders, ASD. One of the gene
implicated is bola2. While humans and other primates have genomes that are reported to have only a 2%
deviation the particular form of bola2 that occurs in 99% of human genomes that have been mapped does not
occur in other primates. And bola2 is not present in the Neanderthal genome. Even more interesting is that
single nucleotide variations in human bola2 are significantly less frequent than genes associated with other brain
disorders such as schizophrenia.
c. Evaluate the selection pressure and direction (positive or negative) indicated by this observation.
d. Several hundred genes have been implicated in ASD and many others probably will eventually be discovered.
Expression in a gene networks can depend on factors that are both genetic and environmental. Given the
complexity of ASD what questions should be researched by the physician of children or their parents when
genetic screening is considered?
REFERENCES
26.0 Introduction
University of Michigan. (2014, Nov. 6). First peek at how neurons multitask. Science Daily. Retrieved from
www.sciencedaily.com/releases/2014/11/141106131520.htm.
Chapter 27 | Sensory Systems 1281
27 | SENSORY SYSTEMS
Figure 27.1 This shark uses its senses of sight, vibration—lateral-line system—and smell to hunt, but it also relies on
its ability to sense the electric fields of prey, a sense not present in most land animals. (credit: modification of work by
Hermanus Backpackers Hostel, South Africa)
Chapter Outline
27.1: Sensory Processes
27.2: Somatosensation
27.3: Taste and Smell
27.4: Hearing and Vestibular Sensation
27.5: Vision
Introduction
All bilaterally symmetric animals have a sensory system, the development of which has been driven by natural selection.
Thus, sensory systems differ among species according to the demands of their environments. Animals’ senses are constantly
at work, making them aware of stimuli, such as light or sound, or the presence of a chemical substance in the external
environment. They also monitor information about the organism’s internal environment. The shark pictured above has the
ability to perceive natural electrical stimuli produced by other animals in its environment, a sense called electroreception.
This enhanced ability to sense prey gives the shark an evolutionary advantage over other fish. While it is helpful to this
underwater predator, electroreception is a sense not found in most land animals. You can read more about electroreception
in sharks at the Sharks info website (http://openstax.org/l/32sharks) .
Senses provide information about the body and its environment. Humans have five special senses: olfaction, or smell,
gustation, or taste, equilibrium, or balance and body position, vision, and hearing. Additionally, we possess general
senses, also called somatosensation, which respond to stimuli like temperature, pain, pressure, and vibration. Vestibular
sensation, which is an organism’s sense of spatial orientation and balance, proprioception—position of bones, joints, and
muscles—and the sense of limb position that is used to track kinesthesia, or limb movement, are part of somatosensation.
Although the sensory systems associated with these senses are very different, all share a common function: to convert a
stimulus, such as light, or sound, or the position of the body, into an electrical signal in the nervous system. This process is
called sensory transduction.
There are two broad types of cellular systems that perform sensory transduction. In one, a neuron works with a sensory
receptor, a cell, or cell process that is specialized to engage with and detect a specific stimulus. Stimulation of the sensory
receptor activates the associated afferent neuron, which carries information about the stimulus to the central nervous
system. In the second type of sensory transduction, a sensory nerve ending responds to a stimulus in the internal or
external environment: this neuron constitutes the sensory receptor. Free nerve endings can be stimulated by several different
stimuli, thus showing little receptor specificity. For example, pain receptors in your gums and teeth may be stimulated by
temperature changes, chemical stimulation, or pressure.
Reception
The first step in sensation is reception, which is the activation of sensory receptors by stimuli such as mechanical stimuli,
being bent or squished, for example, chemicals, or temperature. The receptor can then respond to the stimuli. The region
in space in which a given sensory receptor can respond to a stimulus, be it far away or in contact with the body, is that
receptor’s receptive field. Think for a moment about the differences in receptive fields for the different senses. For the sense
of touch, a stimulus must come into contact with body. For the sense of hearing, a stimulus can be a moderate distance away;
some baleen whale sounds can propagate for many kilometers. For vision, a stimulus can be very far away; for example, the
visual system perceives light from stars at enormous distances.
Transduction
The most fundamental function of a sensory system is the translation of a sensory signal to an electrical signal in the nervous
system. This takes place at the sensory receptor, and the change in electrical potential that is produced is called the receptor
potential. How is sensory input, such as pressure on the skin, changed to a receptor potential? In this example, a type of
receptor called a mechanoreceptor (as shown in Figure 27.2) possesses specialized membranes that respond to pressure.
Disturbance of these dendrites by compressing them or bending them opens gated ion channels in the plasma membrane
of the sensory neuron, changing its electrical potential. Recall that in the nervous system, a positive change of a neuron’s
electrical potential, also called the membrane potential, depolarizes the neuron. Receptor potentials are graded potentials:
the magnitude of these graded receptor potentials varies with the strength of the stimulus. If the magnitude of depolarization
is sufficient—that is, if membrane potential reaches a threshold—the neuron will fire an action potential. In most cases, the
correct stimulus impinging on a sensory receptor will drive membrane potential in a positive direction, although for some
receptors, such as those in the visual system, this is not always the case.
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Figure 27.2 (a) Mechanosensitive ion channels are gated ion channels that respond to mechanical deformation of the
plasma membrane. A mechanosensitive channel is connected to the plasma membrane and the cytoskeleton by hair-
like tethers. When pressure causes the extracellular matrix to move, the channel opens, allowing ions to enter or exit
the cell. (b) Stereocilia in the human ear are connected to mechanosensitive ion channels. When a sound causes the
stereocilia to move, mechanosensitive ion channels transduce the signal to the cochlear nerve.
Sensory receptors for different senses are very different from each other, and they are specialized according to the type of
stimulus they sense: They have receptor specificity. For example, touch receptors, light receptors, and sound receptors are
each activated by different stimuli. Touch receptors are not sensitive to light or sound; they are sensitive only to touch or
pressure. However, stimuli may be combined at higher levels in the brain, as happens with olfaction, contributing to our
sense of taste.
Encoding and Transmission of Sensory Information
Four aspects of sensory information are encoded by sensory systems: the type of stimulus, the location of the stimulus in
the receptive field, the duration of the stimulus, and the relative intensity of the stimulus. Thus, action potentials transmitted
over a sensory receptor’s afferent axons encode one type of stimulus, and this segregation of the senses is preserved in other
sensory circuits. For example, auditory receptors transmit signals over their own dedicated system, and electrical activity in
the axons of the auditory receptors will be interpreted by the brain as an auditory stimulus—a sound.
The intensity of a stimulus is often encoded in the rate of action potentials produced by the sensory receptor. Thus, an
intense stimulus will produce a more rapid train of action potentials, and reducing the stimulus will likewise slow the rate
of production of action potentials. A second way in which intensity is encoded is by the number of receptors activated. An
intense stimulus might initiate action potentials in a large number of adjacent receptors, while a less intense stimulus might
stimulate fewer receptors. Integration of sensory information begins as soon as the information is received in the CNS, and
the brain will further process incoming signals.
Perception
Perception is an individual’s interpretation of a sensation. Although perception relies on the activation of sensory receptors,
1284 Chapter 27 | Sensory Systems
perception happens not at the level of the sensory receptor, but at higher levels in the nervous system, in the brain. The brain
distinguishes sensory stimuli through a sensory pathway: Action potentials from sensory receptors travel along neurons that
are dedicated to a particular stimulus. These neurons are dedicated to that particular stimulus and synapse with particular
neurons in the brain or spinal cord.
All sensory signals, except those from the olfactory system, are transmitted though the central nervous system and are routed
to the thalamus and to the appropriate region of the cortex. Recall that the thalamus is a structure in the forebrain that serves
as a clearinghouse and relay station for sensory as well as motor signals. When the sensory signal exits the thalamus, it is
conducted to the specific area of the cortex (Figure 27.3) dedicated to processing that particular sense.
How are neural signals interpreted? Interpretation of sensory signals between individuals of the same species is largely
similar, owing to the inherited similarity of their nervous systems; however, there are some individual differences. A good
example of this is individual tolerances to a painful stimulus, such as dental pain, which certainly differ.
Figure 27.3 In humans, with the exception of olfaction, all sensory signals are routed from the (a) thalamus to (b) final
processing regions in the cortex of the brain. (credit b: modification of work by Polina Tishina)
Chapter 27 | Sensory Systems 1285
Just-Noticeable Difference
It is easy to differentiate between a one-pound bag of rice and a two-pound bag of rice. There is a one-
pound difference, and one bag is twice as heavy as the other. However, would it be as easy to differentiate
between a 20- and a 21-pound bag?
Question: What is the smallest detectible weight difference between a one-pound bag of rice and a larger
bag? What is the smallest detectible difference between a 20-pound bag and a larger bag? In both cases,
at what weights are the differences detected? This smallest detectible difference in stimuli is known as the
just-noticeable difference (JND).
Background: Research background literature on JND and on Weber’s law, a description of a proposed
mathematical relationship between the overall magnitude of the stimulus and the JND. You will be testing
JND of different weights of rice in bags. Choose a convenient increment that is to be stepped through while
testing. For example, you could choose 10-percent increments between one and two pounds (1.1, 1.2, 1.3,
1.4, and so on) or 20 percent increments (1.2, 1.4, 1.6, and 1.8).
Hypothesis: Develop a hypothesis about JND in terms of percentage of the whole weight being tested,
such as “the JND between the two small bags and between the two large bags is proportionally the same,”
or “. . . is not proportionally the same.” So, for the first hypothesis, if the JND between the one-pound
bag and a larger bag is 0.2 pounds, that is, 20 percent; 1.0 pound feels the same as 1.1 pounds, but 1.0
pound feels less than 1.2 pounds, then the JND between the 20-pound bag and a larger bag will also be
20 percent. So, 20 pounds feels the same as 22 pounds or 23 pounds, but 20 pounds feels less than 24
pounds.
Test the hypothesis: Enlist 24 participants and split them into two groups of 12. To set up the
demonstration, assuming a 10 percent increment was selected, have the first group be the one-pound
group. As a counter-balancing measure against a systematic error, however, six of the first group will
compare one pound to two pounds, and step down in weight (1.0 to 2.0, 1.0 to 1.9, and so on.), while the
other six will step up (1.0 to 1.1, 1.0 to 1.2, and so on). Apply the same principle to the 20-pound group (20
to 40, 20 to 38, and so on, and 20 to 22, 20 to 24, and so on). Given the large difference between 20 and 40
pounds, you may wish to use 30 pounds as your larger weight. In any case, use two weights that are easily
detectable as different.
Record the observations: Record the data in a table similar to the table below. For the one-pound and
20-pound groups (base weights) record a plus sign (+) for each participant that detects a difference between
the base weight and the step weight. Record a minus sign (-) for each participant that finds no difference. If
one-tenth steps were not used, then replace the steps in the “Step Weight” columns with the step you are
using.
Table 27.1
Analyze the data/report the results: What step weight did all participants find to be equal with one-pound
base weight? What about the 20-pound group?
Draw a conclusion: Did the data support the hypothesis? Are the final weights proportionally the same?
If not, why not? Do the findings adhere to Weber’s law? Weber’s law states that the concept that a just-
noticeable difference in a stimulus is proportional to the magnitude of the original stimulus.
Section Summary
A sensory activation occurs when a physical or chemical stimulus is processed into a neural signal—sensory
transduction—by a sensory receptor. Perception is an individual interpretation of a sensation and is a brain function.
Humans have special senses: olfaction, gustation, equilibrium, and hearing, plus the general senses of somatosensation.
Sensory receptors are either specialized cells associated with sensory neurons or the specialized ends of sensory neurons
that are a part of the peripheral nervous system, and they are used to receive information about the environment—internal
or external. Each sensory receptor is modified for the type of stimulus it detects. For example, neither gustatory receptors
nor auditory receptors are sensitive to light. Each sensory receptor is responsive to stimuli within a specific region in space,
which is known as that receptor’s receptive field. The most fundamental function of a sensory system is the translation of a
sensory signal to an electrical signal in the nervous system.
All sensory signals, except those from the olfactory system, enter the central nervous system and are routed to the thalamus.
When the sensory signal exits the thalamus, it is conducted to the specific area of the cortex dedicated to processing that
particular sense.
27.2 | Somatosensation
In this section, you will explore the following questions:
• What are four important mechanoreceptors in human skin?
• What is the topographical distribution of somatosensory receptors between glabrous and hairy skin?
• Why is the perception of pain subjective?
Somatosensation is a mixed sensory category and includes all sensation received from the skin and mucous membranes,
as well from as the limbs and joints. Somatosensation is also known as tactile sense, or more familiarly, as the sense of
touch. Somatosensation occurs all over the exterior of the body and at some interior locations as well. A variety of receptor
types—embedded in the skin, mucous membranes, muscles, joints, internal organs, and cardiovascular system—play a role.
Recall that the epidermis is the outermost layer of skin in mammals. It is relatively thin, is composed of keratin-filled cells,
and has no blood supply. The epidermis serves as a barrier to water and to invasion by pathogens. Below this, the much
thicker dermis contains blood vessels, sweat glands, hair follicles, lymph vessels, and lipid-secreting sebaceous glands
(Figure 27.4). Below the epidermis and dermis is the subcutaneous tissue, or hypodermis, the fatty layer that contains blood
vessels, connective tissue, and the axons of sensory neurons. The hypodermis, which holds about 50 percent of the body’s
fat, attaches the dermis to the bone and muscle, and supplies nerves and blood vessels to the dermis.
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Figure 27.4 Mammalian skin has three layers: an epidermis, a dermis, and a hypodermis. (credit: modification of work
by Don Bliss, National Cancer Institute)
Somatosensory Receptors
Sensory receptors are classified into five categories: mechanoreceptors, thermoreceptors, proprioceptors, pain receptors,
and chemoreceptors. These categories are based on the nature of stimuli each receptor class transduces. What is commonly
referred to as touch involves more than one kind of stimulus and more than one kind of receptor. Mechanoreceptors in the
skin are described as encapsulated, that is, surrounded by a capsule, or unencapsulated—a group that includes free nerve
endings. A free nerve ending, as its name implies, is an unencapsulated dendrite of a sensory neuron. Free nerve endings
are the most common nerve endings in skin, and they extend into the middle of the epidermis. Free nerve endings are
sensitive to painful stimuli, to hot and cold, and to light touch. They are slow to adjust to a stimulus and so are less sensitive
to abrupt changes in stimulation.
There are three classes of mechanoreceptors: tactile, proprioceptors, and baroreceptors. Mechanoreceptors sense stimuli due
to physical deformation of their plasma membranes. They contain mechanically gated ion channels whose gates open or
close in response to pressure, touch, stretching, and sound. There are four primary tactile mechanoreceptors in human skin:
Merkel’s disks, Meissner’s corpuscles, Ruffini endings, and Pacinian corpuscles; two are located toward the surface of the
skin and two are located deeper. A fifth type of mechanoreceptor, Krause end bulbs, are found only in specialized regions.
Merkel’s disks (shown in Figure 27.5) are found in the upper layers of skin near the base of the epidermis, both in skin
that has hair and on glabrous skin, that is, the hairless skin found on the palms and fingers, the soles of the feet, and the
lips of humans and other primates. Merkel’s disks are densely distributed in the fingertips and lips. They are slow-adapting,
unencapsulated nerve endings, and they respond to light touch. Light touch, also known as discriminative touch, is a light
pressure that allows the location of a stimulus to be pinpointed. The receptive fields of Merkel’s disks are small with well-
defined borders. That makes them finely sensitive to edges and they come into use in tasks such as typing on a keyboard.
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Figure 27.5 Four of the primary mechanoreceptors in human skin are shown. Merkel’s disks, which are
unencapsulated, respond to light touch. Meissner’s corpuscles, Ruffini endings, Pacinian corpuscles, and Krause
end bulbs are all encapsulated. Meissner’s corpuscles respond to touch and low-frequency vibration. Ruffini
endings detect stretch, deformation within joints, and warmth. Pacinian corpuscles detect transient pressure and
high-frequency vibration. Krause end bulbs detect cold.
Meissner’s corpuscles, (shown in Figure 27.6) also known as tactile corpuscles, are found in the upper dermis, but they
project into the epidermis. They, too, are found primarily in the glabrous skin on the fingertips and eyelids. They respond to
fine touch and pressure, but they also respond to low-frequency vibration or flutter. They are rapidly adapting, fluid-filled,
encapsulated neurons with small, well-defined borders and are responsive to fine details. Like Merkel’s disks, Meissner’s
corpuscles are not as plentiful in the palms as they are in the fingertips.
Figure 27.6 Meissner corpuscles in the fingertips, such as the one viewed here using bright field light microscopy,
allow for touch discrimination of fine detail. (credit: modification of work by "Wbensmith"/Wikimedia Commons; scale-
bar data from Matt Russell)
Deeper in the epidermis, near the base, are Ruffini endings, which are also known as bulbous corpuscles. They are
found in both glabrous and hairy skin. These are slow-adapting, encapsulated mechanoreceptors that detect skin stretch
and deformations within joints, so they provide valuable feedback for gripping objects and controlling finger position and
movement. Thus, they also contribute to proprioception and kinesthesia. Ruffini endings also detect warmth. Note that these
Chapter 27 | Sensory Systems 1289
warmth detectors are situated deeper in the skin than are the cold detectors. It is not surprising, then, that humans detect
cold stimuli before they detect warm stimuli.
Pacinian corpuscles (seen in Figure 27.7) are located deep in the dermis of both glabrous and hairy skin and are
structurally similar to Meissner’s corpuscles; they are found in the bone periosteum, joint capsules, pancreas and other
viscera, breast, and genitals. They are rapidly adapting mechanoreceptors that sense deep transient but not prolonged
pressure and high-frequency vibration. Pacinian receptors detect pressure and vibration by being compressed, stimulating
their internal dendrites. There are fewer Pacinian corpuscles and Ruffini endings in skin than there are Merkel’s disks and
Meissner’s corpuscles.
Figure 27.7 Pacinian corpuscles, such as these visualized using bright field light microscopy, detect pressure
touch—and high-frequency vibration. (credit: modification of work by Ed Uthman; scale-bar data from Matt Russell)
In proprioception, proprioceptive and kinesthetic signals travel through myelinated afferent neurons running from the spinal
cord to the medulla. Neurons are not physically connected, but communicate via neurotransmitters secreted into synapses
or gaps between communicating neurons. Once in the medulla, the neurons continue carrying the signals to the thalamus.
Muscle spindles are stretch receptors that detect the amount of stretch, or lengthening of muscles. Related to these are
Golgi tendon organs, which are tension receptors that detect the force of muscle contraction. Proprioceptive and kinesthetic
signals come from limbs. Unconscious proprioceptive signals run from the spinal cord to the cerebellum, the brain region
that coordinates muscle contraction, rather than to the thalamus, like most other sensory information.
Baroreceptors detect pressure changes in an organ. They are found in the walls of the carotid artery and the aorta where
they monitor blood pressure, and in the lungs where they detect the degree of lung expansion. Stretch receptors are found at
various sites in the digestive and urinary systems.
In addition to these two types of deeper receptors, there are also rapidly adapting hair receptors, which are found on nerve
endings that wrap around the base of hair follicles. There are a few types of hair receptors that detect slow and rapid hair
movement, and they differ in their sensitivity to movement. Some hair receptors also detect skin deflection, and certain
rapidly adapting hair receptors allow detection of stimuli that have not yet touched the skin.
Integration of Signals from Mechanoreceptors
The configuration of the different types of receptors working in concert in human skin results in a very refined sense
of touch. The nociceptive receptors—those that detect pain—are located near the surface. Small, finely calibrated
mechanoreceptors—Merkel’s disks and Meissner’s corpuscles—are located in the upper layers and can precisely localize
even gentle touch. The large mechanoreceptors—Pacinian corpuscles and Ruffini endings—are located in the lower layers
and respond to deeper touch. Consider that the deep pressure that reaches those deeper receptors would not need to be
finely localized. Both the upper and lower layers of the skin hold rapidly and slowly adapting receptors. Both primary
somatosensory cortex and secondary cortical areas are responsible for processing the complex picture of stimuli transmitted
from the interplay of mechanoreceptors.
Density of Mechanoreceptors
The distribution of touch receptors in human skin is not consistent over the body. In humans, touch receptors are less
dense in skin covered with any type of hair, such as the arms, legs, torso, and face. Touch receptors are denser in glabrous
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skin—the type found on human fingertips and lips, for example—which is typically more sensitive and is thicker than hairy
skin—four to five millimeters versus two to three millimeters).
How is receptor density estimated in a human subject? The relative density of pressure receptors in different locations on
the body can be demonstrated experimentally using a two-point discrimination test. In this demonstration, two sharp points,
such as two thumbtacks, are brought into contact with the subject’s skin, though not hard enough to cause pain or break the
skin. The subject reports if he or she feels one point or two points. If the two points are felt as one point, it can be inferred
that the two points are both in the receptive field of a single sensory receptor. If two points are felt as two separate points,
each is in the receptive field of two separate sensory receptors. The points could then be moved closer and re-tested until
the subject reports feeling only one point, and the size of the receptive field of a single receptor could be estimated from
that distance.
Thermoreception
In addition to Krause end bulbs that detect cold and Ruffini endings that detect warmth, there are different types of cold
receptors on some free nerve endings: thermoreceptors, located in the dermis, skeletal muscles, liver, and hypothalamus,
that are activated by different temperatures. Their pathways into the brain run from the spinal cord through the thalamus
to the primary somatosensory cortex. Warmth and cold information from the face travels through one of the cranial nerves
to the brain. You know from experience that a tolerably cold or hot stimulus can quickly progress to a much more intense
stimulus that is no longer tolerable. Any stimulus that is too intense can be perceived as pain because temperature sensations
are conducted along the same pathways that carry pain sensations
Pain
Pain is the name given to nociception, which is the neural processing of injurious stimuli in response to tissue damage. Pain
is caused by true sources of injury, such as contact with a heat source that causes a thermal burn or contact with a corrosive
chemical. But pain also can be caused by harmless stimuli that mimic the action of damaging stimuli, such as contact with
capsaicins, the compounds that cause peppers to taste hot and which are used in self-defense pepper sprays and certain
topical medications. Peppers taste hot because the protein receptors that bind capsaicin open the same calcium channels that
are activated by warm receptors.
Nociception starts at the sensory receptors, but pain, in-as-much as it is the perception of nociception, does not start until
it is communicated to the brain. There are several nociceptive pathways to and through the brain. Most axons carrying
nociceptive information into the brain from the spinal cord project to the thalamus—as do other sensory neurons—and
the neural signal undergoes final processing in the primary somatosensory cortex. Interestingly, one nociceptive pathway
projects not to the thalamus but directly to the hypothalamus in the forebrain, which modulates the cardiovascular and
neuroendocrine functions of the autonomic nervous system. Recall that threatening—or painful—stimuli stimulate the
sympathetic branch of the visceral sensory system, readying a fight-or-flight response.
View this video (http://openstaxcollege.org/l/nociceptive) that animates the five phases of nociceptive pain.
Select the stimulus that can activate the nociceptive system.
b. a delicious apple
Section Summary
Somatosensation includes all sensation received from the skin and mucous membranes, as well as from the limbs and joints.
Somatosensation occurs all over the exterior of the body and at some interior locations as well, and a variety of receptor
types, embedded in the skin and mucous membranes, play a role.
There are several types of specialized sensory receptors. Rapidly adapting free nerve endings detect nociception, hot and
cold, and light touch. Slowly adapting, encapsulated Merkel’s disks are found in fingertips and lips, and respond to light
touch. Meissner’s corpuscles, found in glabrous skin, are rapidly adapting, encapsulated receptors that detect touch, low-
frequency vibration, and flutter. Ruffini endings are slowly adapting, encapsulated receptors that detect skin stretch, joint
activity, and warmth. Hair receptors are rapidly adapting nerve endings wrapped around the base of hair follicles that detect
hair movement and skin deflection. Finally, Pacinian corpuscles are encapsulated, rapidly adapting receptors that detect
transient pressure and high-frequency vibration.
Taste, also called gustation, and smell, also called olfaction, are the most interconnected senses in that both involve
molecules of the stimulus entering the body and bonding to receptors. Smell lets an animal sense the presence of food or
other animals—whether potential mates, predators, or prey—or other chemicals in the environment that can impact their
survival. Similarly, the sense of taste allows animals to discriminate between types of foods. While the value of a sense
of smell is obvious, what is the value of a sense of taste? Different tasting foods have different attributes, both helpful
and harmful. For example, sweet-tasting substances tend to be highly caloric, which could be necessary for survival in
lean times. Bitterness is associated with toxicity, and sourness is associated with spoiled food. Salty foods are valuable in
maintaining homeostasis by helping the body retain water and by providing ions necessary for cells to function.
billion, and bloodhounds—dogs selectively bred for their sense of smell—have about Four billion. The overall size of the
olfactory epithelium also differs between species, with that of bloodhounds, for example, being many times larger than that
of humans.
Olfactory neurons are bipolar neurons—neurons with two processes from the cell body. Each neuron has a single dendrite
buried in the olfactory epithelium, and extending from this dendrite are five to 20 receptor-laden, hair-like cilia that trap
odorant molecules. The sensory receptors on the cilia are proteins, and it is the variations in their amino acid chains that
make the receptors sensitive to different odorants. Each olfactory sensory neuron has only one type of receptor on its cilia,
and the receptors are specialized to detect specific odorants, so the bipolar neurons themselves are specialized. When an
odorant binds with a receptor that recognizes it, the sensory neuron associated with the receptor is stimulated. Olfactory
stimulation is the only sensory information that directly reaches the cerebral cortex, whereas other sensations are relayed
through the thalamus.
Figure 27.8 In the human olfactory system, (a) bipolar olfactory neurons extend from (b) the olfactory epithelium,
where olfactory receptors are located, to the olfactory bulb. (credit: modification of work by Patrick J. Lynch, medical
illustrator; C. Carl Jaffe, MD, cardiologist)
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Pheromones
A pheromone is a chemical released by an animal that affects the behavior or physiology of animals
of the same species. Pheromonal signals can have profound effects on animals that inhale them, but
pheromones apparently are not consciously perceived in the same way as other odors. There are several
different types of pheromones, which are released in urine or as glandular secretions. Certain pheromones
are attractants to potential mates, others are repellants to potential competitors of the same sex, and still
others play roles in mother-infant attachment. Some pheromones can also influence the timing of puberty,
modify reproductive cycles, and even prevent embryonic implantation. While the roles of pheromones in
many nonhuman species are important, pheromones have become less important in human behavior over
evolutionary time compared to their importance to organisms with more limited behavioral repertoires.
The vomeronasal organ (VNO, or Jacobson’s organ) is a tubular, fluid-filled, olfactory organ present in many
vertebrate animals that sits adjacent to the nasal cavity. It is very sensitive to pheromones and is connected
to the nasal cavity by a duct. When molecules dissolve in the mucosa of the nasal cavity, they then enter
the VNO where the pheromone molecules among them bind with specialized pheromone receptors. Upon
exposure to pheromones from their own species or others, many animals, including cats, may display the
flehmen response (shown in Figure 27.9), a curling of the upper lip that helps pheromone molecules enter
the VNO.
Pheromonal signals are sent, not to the main olfactory bulb, but to a different neural structure that projects
directly to the amygdala; recall that the amygdala is a brain center important in emotional reactions, such
as fear. The pheromonal signal then continues to areas of the hypothalamus that are key to reproductive
physiology and behavior. While some scientists assert that the VNO is apparently functionally vestigial in
humans, even though there is a similar structure located near human nasal cavities, others are researching
it as a possible functional system that may, for example, contribute to synchronization of menstrual cycles
in women living in close proximity.
Figure 27.9 The flehmen response in this tiger results in the curling of the upper lip and helps airborne pheromone
molecules enter the vomeronasal organ. (credit: modification of work by "chadh"/Flickr)
Describe how a male snake can physiologically detect the presence of a female that is trying to attract a mate.
a. The pheromones secreted by a female dissolve and enter the vomeronasal organ. The dissolved molecules
bind to receptors, which send a signal to the hypothalamus, which in turn sends the signal to the amygdala.
b. The pheromones secreted by a female dissolve and enter the vomeronasal organ. The dissolved molecules
bind to receptors, which send a signal to the amygdala, which in turn sends the signal to the hypothalamus.
c. The pheromones secreted by a female dissolve and enter the amygdala. The dissolved molecules bind to
receptors, which send a signal to the vomeronasal organ, which in turn sends the signal to the hypothalamus.
d. The pheromones secreted by a female dissolve and enter the amygdala. The dissolved molecules bind to
receptors, which send a signal to the hypothalamus, which in turn sends the signal to the vomeronasal organ.
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Taste
Detecting a taste—gustation—is fairly similar to detecting an odor—olfaction—given that both taste and smell rely on
chemical receptors being stimulated by certain molecules. The primary organ of taste is the taste bud. A taste bud is a
cluster of gustatory receptors, or taste cells, that are located within the bumps on the tongue called papillae; the singular
is papilla (illustrated in Figure 27.10). There are several structurally distinct papillae. Filiform papillae, which are located
across the tongue, are tactile, providing friction that helps the tongue move substances, and contain no taste cells. In contrast,
fungiform papillae, which are located mainly on the anterior two-thirds of the tongue, each contain one to eight taste buds
and also have receptors for pressure and temperature. The large circumvallate papillae contain up to 100 taste buds and form
a V-shape near the posterior margin of the tongue.
Figure 27.10 (a) Foliate, circumvallate, and fungiform papillae are located on different regions of the tongue. (b) Foliate
papillae are prominent protrusions on this light micrograph. (credit a: modification of work by NCI; scale-bar data from
Matt Russell)
In addition to those two types of chemically and mechanically sensitive papillae are foliate papillae—leaf-like papillae
located in parallel folds along the edges and toward the back of the tongue, as seen in the Figure 27.10 micrograph. Foliate
papillae contain about 1,300 taste buds within their folds. Finally, there are circumvallate papillae, which are wall-like
papillae in the shape of an inverted V at the back of the tongue. Each of these papillae is surrounded by a groove and contains
about 250 taste buds.
Each taste bud’s taste cells are replaced every 10–14 days. These are elongated cells with hair-like processes called
microvilli at the tips that extend into the taste bud pore (illustrate in Figure 27.11). Food molecules—tastants—are
dissolved in saliva, and they bind with and stimulate the receptors on the microvilli. The receptors for tastants are located
across the outer portion and front of the tongue, outside of the middle area where the filiform papillae are most prominent.
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Figure 27.11 Pores in the tongue allow tastants to enter taste pores in the tongue. (credit: modification of work by
Vincenzo Rizzo)
In humans, there are five primary tastes, and each taste has only one corresponding type of receptor. Thus, like olfaction,
each receptor is specific to its stimulus—tastant. Transduction of the five tastes happens through different mechanisms
that reflect the molecular composition of the tastant. A salty tastant containing NaCl provides the sodium ions (Na+) that
enter the taste neurons and excite them directly. Sour tastants are acids and belong to the thermoreceptor protein family.
Binding of an acid or other sour-tasting molecule triggers a change in the ion channel and these increase hydrogen ion (H+)
concentrations in the taste neurons, thus depolarizing them. Sweet, bitter, and umami tastants require a G-protein coupled
receptor. These tastants bind to their respective receptors, thereby exciting the specialized neurons associated with them.
Both tasting abilities and sense of smell change with age. In humans, the senses decline dramatically by age 50 and continue
to decline. A child may find a food to be too spicy, whereas an elderly person may find the same food to be bland and
unappetizing.
View this animation (http://openstaxcollege.org/l/taste) that shows how the sense of taste works.
Which of the following is true about human taste?
d. The hair-like endings of taste buds generate nerve impulses to the brain.
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Section Summary
There are five primary tastes in humans: sweet, sour, bitter, salty, and umami. Each taste has its own receptor type that
responds only to that taste. Tastants enter the body and are dissolved in saliva. Taste cells are located within taste buds,
which are found on three of the four types of papillae in the mouth.
Regarding olfaction, there are many thousands of odorants, but humans detect only about 10,000. Like taste receptors,
olfactory receptors are each responsive to only one odorant. Odorants dissolve in nasal mucosa, where they excite their
corresponding olfactory sensory cells. When these cells detect an odorant, they send their signals to the main olfactory bulb
and then to other locations in the brain, including the olfactory cortex.
Audition, or hearing, is important to humans and to other animals for many different interactions. It enables an organism
to detect and receive information about danger, such as an approaching predator, and to participate in communal exchanges
like those concerning territories or mating. On the other hand, although it is physically linked to the auditory system, the
vestibular system is not involved in hearing. Instead, an animal’s vestibular system detects its own movement, both linear
and angular acceleration and deceleration, and balance.
Sound
Auditory stimuli are sound waves, which are mechanical, pressure waves that move through a medium, such as air or water.
There are no sound waves in a vacuum since there are no air molecules to move in waves. The speed of sound waves differs,
based on altitude, temperature, and medium, but at sea level and a temperature of 20 ºC (68 ºF), sound waves travel in the
air at about 343 meters per second.
As is true for all waves, there are four main characteristics of a sound wave: frequency, wavelength, period, and amplitude.
Frequency is the number of waves per unit of time, and in sound is heard as pitch. High-frequency (≥ 15.000 Hz) sounds
are higher pitched—short wavelength—than low-frequency—long wavelengths, ≤ 100 Hz—sounds. Frequency is measured
in cycles per second, and for sound, the most commonly used unit is hertz (Hz), or cycles per second. Most humans
can perceive sounds with frequencies between 30–20,000 Hz. Women are typically better at hearing high frequencies,
but everyone’s ability to hear high frequencies decreases with age. Dogs detect up to about 40,000 Hz, cats, 60,000 Hz,
bats, 100,000 Hz, and dolphins 150,000 Hz; and American shad (Alosa sapidissima), a fish, can hear 180,000 Hz. Those
frequencies above the human range are called ultrasound.
Amplitude, or the dimension of a wave from peak to trough, in sound is heard as volume and is illustrated in Figure 27.12.
The sound waves of louder sounds have greater amplitude than those of softer sounds. For sound, volume is measured in
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decibels (dB). The softest sound that a human can hear is the zero point. Humans speak normally at 60 decibels.
Figure 27.12 For sound waves, wavelength corresponds to pitch. Amplitude of the wave corresponds to volume. The
sound wave shown with a dashed line is softer in volume than the sound wave shown with a solid line. (credit: NIH)
Reception of Sound
In mammals, sound waves are collected by the external, cartilaginous part of the ear called the pinna, then travel through
the auditory canal and cause vibration of the thin diaphragm called the tympanum or ear drum, the innermost part of the
outer ear (illustrated in Figure 27.13). Interior to the tympanum is the middle ear. The middle ear holds three small bones
called the ossicles, which transfer energy from the moving tympanum to the inner ear. The three ossicles are the malleus,
also known as the hammer, the incus, the anvil, and stapes, the stirrup. The aptly named stapes looks very much like a
stirrup. The three ossicles are unique to mammals, and each plays a role in hearing. The malleus attaches at three points to
the interior surface of the tympanic membrane. The incus attaches the malleus to the stapes. In humans, the stapes is not long
enough to reach the tympanum. If we did not have the malleus and the incus, then the vibrations of the tympanum would
never reach the inner ear. These bones also function to collect force and amplify sounds. The ear ossicles are homologous
to bones in a fish mouth: the bones that support gills in fish are thought to be adapted for use in the vertebrate ear over
evolutionary time. Many animals—frogs, reptiles, and birds, for example—use the stapes of the middle ear to transmit
vibrations to the middle ear.
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Figure 27.13 Sound travels through the outer ear to the middle ear, which is bounded on its exterior by the tympanic
membrane. The middle ear contains three bones called ossicles that transfer the sound wave to the oval window, the
exterior boundary of the inner ear. The organ of Corti, which is the organ of sound transduction, lies inside the cochlea.
Transduction of Sound
Vibrating objects, such as vocal cords, create sound waves or pressure waves in the air. When these pressure waves reach
the ear, the ear transduces this mechanical stimulus—pressure wave—into a nerve impulse—electrical signal—that the
brain perceives as sound. The pressure waves strike the tympanum, causing it to vibrate. The mechanical energy from the
moving tympanum transmits the vibrations to the three bones of the middle ear. The stapes transmits the vibrations to a thin
diaphragm called the oval window, which is the outermost structure of the inner ear. The structures of the inner ear are
found in the labyrinth, a bony, hollow structure that is the most interior portion of the ear. Here, the energy from the sound
wave is transferred from the stapes through the flexible oval window and to the fluid of the cochlea. The vibrations of the
oval window create pressure waves in the fluid—perilymph—inside the cochlea. The cochlea is a whorled structure, like
the shell of a snail, and it contains receptors for transduction of the mechanical wave into an electrical signal (as illustrated
in Figure 27.14). Inside the cochlea, the basilar membrane is a mechanical analyzer that runs the length of the cochlea,
curling toward the cochlea’s center.
The mechanical properties of the basilar membrane change along its length, such that it is thicker, tauter, and narrower at
the outside of the whorl where the cochlea is largest, and thinner, floppier, and broader toward the apex, or center, of the
whorl where the cochlea is smallest. Different regions of the basilar membrane vibrate according to the frequency of the
sound wave conducted through the fluid in the cochlea. For these reasons, the fluid-filled cochlea detects different wave
frequencies, or pitches, at different regions of the membrane. When the sound waves in the cochlear fluid contact the basilar
membrane, it flexes back and forth in a wave-like fashion. Above the basilar membrane is the tectorial membrane.
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Figure 27.14 In the human ear, sound waves cause the stapes to press against the oval window. Vibrations travel
up the fluid-filled interior of the cochlea. The basilar membrane that lines the cochlea gets continuously thinner
toward the apex of the cochlea. Different thicknesses of membrane vibrate in response to different frequencies
of sound. Sound waves then exit through the round window. In the cross-section of the cochlea (top right figure),
note that in addition to the upper canal and lower canal, the cochlea also has a middle canal. The organ of Corti
(bottom image) is the site of sound transduction. Movement of stereocilia on hair cells results in an action potential
that travels along the auditory nerve.
Cochlear implants can restore hearing in people who have a nonfunctional cochlea. The implant consists of
a microphone that picks up sound. A speech processor selects sounds in the range of human speech, and
a transmitter converts these sounds to electrical impulses, which are then sent to the auditory nerve. Which
of the following types of hearing loss would not be restored by a cochlear implant?
1. hearing loss resulting from absence or loss of hair cells in the organ of Corti
2. hearing loss resulting from an abnormal auditory nerve
3. hearing loss resulting from fracture of the cochlea
4. hearing loss resulting from damage to bones of the middle ear
Cochlear implants can restore hearing in people who have a nonfunctional cochlea. The implant consists of a
microphone that picks up sound. A speech processor selects sounds in the range of human speech, and a transmitter
converts these sounds to electrical impulses, which are then sent to the auditory nerve. Which of the following types
of hearing loss would not be restored by a cochlear implant?
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a. hearing loss resulting from absence or loss of hair cells in the organ of Corti
b. hearing loss resulting from an abnormal auditory nerve
c. hearing loss resulting from fracture of the cochlea
d. hearing loss resulting from damage to bones of the middle ear
The site of transduction is in the organ of Corti—spiral organ. It is composed of hair cells held in place above the basilar
membrane like flowers projecting up from soil, with their exposed short, hair-like stereocilia contacting or embedded in the
tectorial membrane above them. The inner hair cells are the primary auditory receptors and exist in a single row, numbering
approximately 3,500. The stereocilia from inner hair cells extend into small dimples on the tectorial membrane’s lower
surface. The outer hair cells are arranged in three or four rows. They number approximately 12,000, and they function to
fine tune incoming sound waves. The longer stereocilia that project from the outer hair cells actually attach to the tectorial
membrane. All of the stereocilia are mechanoreceptors, and when bent by vibrations they respond by opening a gated ion
channel (refer to Figure 27.2). As a result, the hair cell membrane is depolarized, and a signal is transmitted to the chochlear
nerve. Intensity (volume) of sound is determined by how many hair cells at a particular location are stimulated.
The hair cells are arranged on the basilar membrane in an orderly way. The basilar membrane vibrates in different regions,
according to the frequency of the sound waves impinging on it. Likewise, the hair cells that lay above it are most sensitive
to a specific frequency of sound waves. Hair cells can respond to a small range of similar frequencies, but they require
stimulation of greater intensity to fire at frequencies outside of their optimal range. The difference in response frequency
between adjacent inner hair cells is about 0.2 percent. Compare that to adjacent piano strings, which are about six percent
different. Place theory, which is the model for how biologists think pitch detection works in the human ear, states that high
frequency sounds selectively vibrate the basilar membrane of the inner ear near the entrance port—the oval window. Lower
frequencies travel farther along the membrane before causing appreciable excitation of the membrane. The basic pitch-
determining mechanism is based on the location along the membrane where the hair cells are stimulated. The place theory
is the first step toward an understanding of pitch perception. Considering the extreme pitch sensitivity of the human ear, it
is thought that there must be some auditory sharpening mechanism to enhance the pitch resolution.
When sound waves produce fluid waves inside the cochlea, the basilar membrane flexes, bending the stereocilia that attach
to the tectorial membrane. Their bending results in action potentials in the hair cells, and auditory information travels along
the neural endings of the bipolar neurons of the hair cells—collectively, the auditory nerve—to the brain. When the hairs
bend, they release an excitatory neurotransmitter at a synapse with a sensory neuron, which then conducts action potentials
to the central nervous system. The cochlear branch of the vestibulocochlear cranial nerve sends information on hearing. The
auditory system is very refined, and there is some modulation or sharpening built in. The brain can send signals back to the
cochlea, resulting in a change of length in the outer hair cells, sharpening or dampening the hair cells’ response to certain
frequencies.
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Watch an animation (http://openstaxcollege.org/l/hearing) of sound entering the outer ear, moving through the ear
structure, stimulating cochlear nerve impulses, and eventually sending signals to the temporal lobe.
Imagine that your friend’s pet dog ran off into the woods while she was hiking. After about 10 minutes while she still
hiked, your friend whistled for her dog, who came running back to her. Explain how the dog was able to use your
friend’s whistling to find her, even though she had moved from the location at which the dog had last seen her.
a. The dog was used to his master’s whistling. This enabled the dog to determine where the sound was coming
from.
b. The dog was used to the hiking place. This enabled the dog to determine where the sound was coming from.
c. The ears of the dog received the sounds at the same time. This enabled the dog to use the timing of sound
reception in each ear to determine where the sound was coming from.
d. The two ears of the dog received the sounds at slightly different times. This enabled the dog to use the timing
of sound reception in each ear to determine where the sound was coming from.
Higher Processing
The inner hair cells are most important for conveying auditory information to the brain. About 90 percent of the afferent
neurons carry information from inner hair cells, with each hair cell synapsing with 10 or so neurons. Outer hair cells connect
to only 10 percent of the afferent neurons, and each afferent neuron innervates many hair cells. The afferent, bipolar neurons
that convey auditory information travel from the cochlea to the medulla, through the pons and midbrain in the brainstem,
finally reaching the primary auditory cortex in the temporal lobe.
Vestibular Information
The stimuli associated with the vestibular system are linear acceleration—gravity—and angular acceleration and
deceleration. Gravity, acceleration, and deceleration are detected by evaluating the inertia on receptive cells in the vestibular
system. Gravity is detected through head position. Angular acceleration and deceleration are expressed through turning or
tilting of the head.
The vestibular system has some similarities with the auditory system. It utilizes hair cells just like the auditory system, but
it excites them in different ways. There are five vestibular receptor organs in the inner ear: the utricle, the saccule, and three
semicircular canals. Together, they make up what’s known as the vestibular labyrinth that is shown in Figure 27.15. The
utricle and saccule respond to acceleration in a straight line, such as gravity. The roughly 30,000 hair cells in the utricle
and 16,000 hair cells in the saccule lie below a gelatinous layer, with their stereocilia projecting into the gelatin. Embedded
in this gelatin are calcium carbonate crystals—like tiny rocks. When the head is tilted, the crystals continue to be pulled
straight down by gravity, but the new angle of the head causes the gelatin to shift, thereby bending the stereocilia. The
bending of the stereocilia stimulates the neurons, and they signal to the brain that the head is tilted, allowing the maintenance
of balance. It is the vestibular branch of the vestibulocochlear cranial nerve that deals with balance.
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Figure 27.15 The structure of the vestibular labyrinth is shown. (credit: modification of work by NIH)
The fluid-filled semicircular canals are tubular loops set at oblique angles. They are arranged in three spatial planes. The
base of each canal has a swelling that contains a cluster of hair cells. The hairs project into a gelatinous cap called the cupula
and monitor angular acceleration and deceleration from rotation. They would be stimulated by driving your car around a
corner, turning your head, or falling forward. One canal lies horizontally, while the other two lie at about 45 ° angles to the
horizontal axis, as illustrated in Figure 27.15. When the brain processes input from all three canals together, it can detect
angular acceleration or deceleration in three dimensions. When the head turns, the fluid in the canals shifts, thereby bending
stereocilia and sending signals to the brain. Upon cessation accelerating or decelerating—or just moving—the movement
of the fluid within the canals slows or stops. For example, imagine holding a glass of water. When moving forward, water
may splash backwards onto the hand, and when motion has stopped, water may splash forward onto the fingers. While in
motion, the water settles in the glass and does not splash. Note that the canals are not sensitive to velocity itself, but to
changes in velocity, so moving forward at 60 mph with your eyes closed would not give the sensation of movement, but
suddenly accelerating or braking would stimulate the receptors.
Higher Processing
Hair cells from the utricle, saccule, and semicircular canals also communicate through bipolar neurons to the cochlear
nucleus in the medulla. Cochlear neurons send descending projections to the spinal cord and ascending projections to
the pons, thalamus, and cerebellum. Connections to the cerebellum are important for coordinated movements. There are
also projections to the temporal cortex, which account for feelings of dizziness; projections to autonomic nervous system
areas in the brainstem, which account for motion sickness; and projections to the primary somatosensory cortex, which
monitors subjective measurements of the external world and self-movement. People with lesions in the vestibular area of
the somatosensory cortex see vertical objects in the world as being tilted. Finally, the vestibular signals project to certain
optic muscles to coordinate eye and head movements.
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Click through this interactive tutorial (http://openstaxcollege.org/l/ear_anatomy) to review the parts of the ear and
how they function to process sound.
You have trouble maintaining balance. Identify the part of your ear that has been damaged.
a. eustachian tube
b. cochlea
c. semicircular canals
d. ear canal
Section Summary
Audition is important for territory defense, predation, predator defense, and communal exchanges. The vestibular system,
which is not auditory, detects linear acceleration and angular acceleration and deceleration. Both the auditory system and
vestibular system use hair cells as their receptors.
Auditory stimuli are sound waves. The sound wave energy reaches the outer ear—pinna, canal, tympanum—and vibrations
of the tympanum send the energy to the middle ear. The middle ear bones shift and the stapes transfers mechanical energy to
the oval window of the fluid-filled inner ear cochlea. Once in the cochlea, the energy causes the basilar membrane to flex,
thereby bending the stereocilia on receptor hair cells. This activates the receptors, which send their auditory neural signals
to the brain.
The vestibular system has five parts that work together to provide the sense of direction, thus helping to maintain balance.
The utricle and saccule measure head orientation: Their calcium carbonate crystals shift when the head is tilted, thereby
activating hair cells. The semicircular canals work similarly, such that when the head is turned, the fluid in the canals bends
stereocilia on hair cells. The vestibular hair cells also send signals to the thalamus and to somatosensory cortex, but also to
the cerebellum, the structure above the brainstem that plays a large role in timing and coordination of movement.
27.5 | Vision
In this section, you will explore the following questions:
• How do electromagnetic waves differ from sound waves?
• What path does light take as it travels through the eye to the point of the optic nerve?
• What is tonic activity as it is manifested in photoreceptors in the retina?
Vision is the ability to detect light patterns from the outside environment and interpret them into images. Animals are
bombarded with sensory information, and the sheer volume of visual information can be problematic. Fortunately, the visual
systems of species have evolved to attend to the most-important stimuli. The importance of vision to humans is further
substantiated by the fact that about one-third of the human cerebral cortex is dedicated to analyzing and perceiving visual
information.
Light
As with auditory stimuli, light travels in waves. The compression waves that compose sound must travel in a medium—a
gas, a liquid, or a solid. In contrast, light is composed of electromagnetic waves and needs no medium; light can travel
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in a vacuum (Figure 27.16). The behavior of light can be discussed in terms of the behavior of waves and also in terms
of the behavior of the fundamental unit of light—a packet of electromagnetic radiation called a photon. A glance at the
electromagnetic spectrum shows that visible light for humans is just a small slice of the entire spectrum, which includes
radiation that we cannot see as light because it is below the frequency of visible red light and above the frequency of visible
violet light.
Certain variables are important when discussing perception of light. Wavelength, which varies inversely with frequency,
manifests itself as hue. Light at the red end of the visible spectrum has longer wavelengths and is lower frequency, while
light at the violet end has shorter wavelengths and is higher frequency. The wavelength of light is expressed in nanometers
(nm); one nanometer is one billionth of a meter. Humans perceive light that ranges between approximately 380 nm and 740
nm. Some other animals, though, can detect wavelengths outside of the human range. For example, bees see near-ultraviolet
light to locate nectar guides on flowers, and some non-avian reptiles sense infrared light—heat that prey gives off.
Figure 27.16 In the electromagnetic spectrum, visible light lies between 380 nm and 740 nm. (credit: modification of
work by NASA)
Wave amplitude is perceived as luminous intensity, or brightness. The standard unit of intensity of light is the candela,
which is approximately the luminous intensity of a one common candle.
Light waves travel 299,792 km per second in a vacuum—and somewhat slower in various media such as air and water—and
those waves arrive at the eye as long (red), medium (green), and short (blue) waves. What is termed white light is light that
is perceived as white by the human eye. This effect is produced by light that stimulates equally the color receptors in the
human eye. The apparent color of an object is the color or colors that the object reflects. Thus a red object reflects the red
wavelengths in mixed (white) light and absorbs all other wavelengths of light.
Figure 27.17 (a) The human eye is shown in cross section. (b) A blowup shows the layers of the retina.
The main function of the lens is to focus light on the retina and fovea centralis. The lens is dynamic, focusing and refocusing
light as the eye rests on near and far objects in the visual field. The lens is operated by muscles that stretch it flat or
allow it to thicken, changing the focal length of light coming through it to focus it sharply on the retina. With age comes
the loss of the flexibility of the lens, and a form of farsightedness called presbyopia results. Presbyopia occurs because
the image focuses behind the retina. Presbyopia is a deficit similar to a different type of farsightedness called hyperopia
caused by an eyeball that is too short. For both defects, images in the distance are clear but images nearby are blurry.
Myopia—nearsightedness—occurs when an eyeball is elongated and the image focus falls in front of the retina. In this case,
images in the distance are blurry but images nearby are clear.
There are two types of photoreceptors in the retina: rods and cones, named for their general appearance as illustrated in
Figure 27.18. Rods are strongly photosensitive and are located in the outer edges of the retina. They detect dim light and
are used primarily for peripheral and nighttime vision. Cones are weakly photosensitive and are located near the center of
the retina. They respond to bright light, and their primary role is in daytime, color vision.
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Figure 27.18 Rods and cones are photoreceptors in the retina. Rods respond in low light and can detect only shades
of gray. Cones respond in intense light and are responsible for color vision.
The fovea is the region in the center back of the eye that is responsible for acute vision. The fovea has a high density of
cones. When you bring your gaze to an object to examine it intently in bright light, the eyes orient so that the object’s image
falls on the fovea. However, when looking at a star in the night sky or other object in dim light, the object can be better
viewed by the peripheral vision because it is the rods at the edges of the retina, rather than the cones at the center, that
operate better in low light. In humans, cones far outnumber rods in the fovea.
Review the anatomical structure (http://openstaxcollege.org/l/eye_diagram) of the eye, clicking on each part to
practice identification.
Identify the part of your eye that could be damaged if your eyes are incapable of focusing an image on the retina.
a. lens
b. iris
c. rods
d. cones
Transduction of Light
The rods and cones are the site of transduction of light to a neural signal. Both rods and cones contain photopigments. In
vertebrates, the main photopigment, rhodopsin, has two main parts Figure 27.19): an opsin, which is a membrane protein
in the form of a cluster of α-helices that span the membrane, and retinal—a molecule that absorbs light. When light hits a
photoreceptor, it causes a shape change in the retinal, altering its structure from a bent (cis) form of the molecule to its linear
(trans) isomer. This isomerization of retinal activates the rhodopsin, starting a cascade of events that ends with the closing
of Na+ channels in the membrane of the photoreceptor. Thus, unlike most other sensory neurons, which become depolarized
by exposure to a stimulus, visual receptors become hyperpolarized and thus driven away from threshold (Figure 27.20).
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Figure 27.19 (a) Rhodopsin, the photoreceptor in vertebrates, has two parts: the transmembrane protein opsin and
retinal. When light strikes retinal, it changes shape from (b) a cis to a trans form. The signal is passed to a G-protein
called transducin, triggering a series of downstream events.
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Figure 27.20 When light strikes rhodopsin, the G-protein transducin is activated, which in turn activates
phosphodiesterase. Phosphodiesterase converts cGMP to GMP, thereby closing sodium channels. As a result, the
membrane becomes hyperpolarized. The hyperpolarized membrane does not release glutamate to the bipolar cell.
Trichromatic Coding
There are three types of cones—with different photopsins—and they differ in the wavelength to which they are most
responsive, as shown in Figure 27.21. Some cones are maximally responsive to short light waves of 420 nm, so they are
called S cones (for short); others respond maximally to waves of 530 nm (M cones for medium); a third group responds
maximally to light of longer wavelengths, at 560 nm (L, or long cones). With only one type of cone, color vision would
not be possible, and a two-cone—dichromatic—system has limitations. Primates use a three-cone—trichromatic—system,
resulting in full color vision.
The color we perceive is a result of the ratio of activity of our three types of cones. The colors of the visual spectrum,
running from long-wavelength light to short, are red (700 nm), orange (600 nm), yellow (565 nm), green (497 nm), blue
(470 nm), indigo (450 nm), and violet (425 nm). Humans have very sensitive perception of color and can distinguish about
500 levels of brightness, 200 different hues, and 20 steps of saturation, or about 2 million distinct colors.
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Figure 27.21 Human rod cells and the different types of cone cells each have an optimal wavelength. However, there
is considerable overlap in the wavelengths of light detected.
Retinal Processing
Visual signals leave the cones and rods, travel to the bipolar cells, and then to ganglion cells. A large degree of processing
of visual information occurs in the retina itself, before visual information is sent to the brain.
Photoreceptors in the retina continuously undergo tonic activity. That is, they are always slightly active even when not
stimulated by light. In neurons that exhibit tonic activity, the absence of stimuli maintains a firing rate at a baseline, while
some stimuli increase firing rate from the baseline, and other stimuli decrease firing rate. In the absence of light, the
bipolar neurons that connect rods and cones to ganglion cells are continuously and actively inhibited by the rods and cones.
Exposure of the retina to light hyperpolarizes the rods and cones and removes their inhibition of bipolar cells. The now
active bipolar cells in turn stimulate the ganglion cells, which send action potentials along their axons, which leave the
eye as the optic nerve. Thus, the visual system relies on change in retinal activity, rather than the absence or presence
of activity, to encode visual signals for the brain. Sometimes horizontal cells carry signals from one rod or cone to other
photoreceptors and to several bipolar cells. When a rod or cone stimulates a horizontal cell, the horizontal cell inhibits more
distant photoreceptors and bipolar cells, creating lateral inhibition. This inhibition sharpens edges and enhances contrast
in the images by making regions receiving light appear lighter and dark surroundings appear darker. Amacrine cells can
distribute information from one bipolar cell to many ganglion cells.
You can demonstrate this using an easy demonstration to trick your retina and brain about the colors you are observing in
your visual field. Look fixedly at Figure 27.22 for about 45 seconds. Then quickly shift your gaze to a sheet of blank white
paper or a white wall. You should see an afterimage of the Norwegian flag in its correct colors. At this point, close your
eyes for a moment, then reopen them, looking again at the white paper or wall; the afterimage of the flag should continue
to appear as red, white, and blue. What causes this? According to an explanation called opponent process theory, as you
gazed fixedly at the green, black, and yellow flag, your retinal ganglion cells that respond positively to green, black, and
yellow increased their firing dramatically. When you shifted your gaze to the neutral white ground, these ganglion cells
abruptly decreased their activity and the brain interpreted this abrupt downshift as if the ganglion cells were responding
now to their opponent colors: red, white, and blue, respectively, in the visual field. Once the ganglion cells return to their
baseline activity state, the false perception of color will disappear.
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Figure 27.22 View this flag to understand how retinal processing works. Stare at the center of the flag, indicated by
the white dot, for 45 seconds, and then quickly look at a white background, noticing how colors appear.
Higher Processing
The myelinated axons of ganglion cells make up the optic nerves. Within the nerves, different axons carry different qualities
of the visual signal. Some axons constitute the magnocellular—big cell—pathway, which carries information about form,
movement, depth, and differences in brightness. Other axons constitute the parvocellular—small cell—pathway, which
carries information on color and fine detail. Some visual information projects directly back into the brain, while other
information crosses to the opposite side of the brain. This crossing of optical pathways produces the distinctive optic
chiasma, which is Greek, for crossing, found at the base of the brain and allows us to coordinate information from both
eyes.
Once in the brain, visual information is processed in several places, and its routes reflect the complexity and importance of
visual information to humans and other animals. One route takes the signals to the thalamus, which serves as the routing
station for all incoming sensory impulses except olfaction. In the thalamus, the magnocellular and parvocellular distinctions
remain intact, and there are different layers of the thalamus dedicated to each. When visual signals leave the thalamus, they
travel to the primary visual cortex at the rear of the brain. From the visual cortex, the visual signals travel in two directions.
One stream that projects to the parietal lobe, in the side of the brain, carries magnocellular, or where, information. A second
stream projects to the temporal lobe and carries both magnocellular and parvocellular, or what, information.
Another important visual route is a pathway from the retina to the superior colliculus in the midbrain, where eye
movements are coordinated and integrated with auditory information. Finally, there is the pathway from the retina to the
suprachiasmatic nucleus (SCN) of the hypothalamus. The SCN is a cluster of cells that is considered to be the body’s
internal clock, which controls our circadian—day-long—cycle. The SCN sends information to the pineal gland, which is
important in sleep/wake patterns and annual cycles.
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View this interactive presentation (http://openstaxcollege.org/l/sense_of_sight) to review what you have learned about
how vision functions.
Explain how the cornea and sclera are anatomically similar and different.
a. Both are part of the ciliary body. However, the cornea is composed of collagen and elastic fibers, whereas
the sclera is composed of connective tissue with epithelia.
b. Both are part of the ciliary body. However, the cornea is composed of connective tissue with epithelia,
whereas the sclera is composed of collagen and elastic fibers.
c. Both are part of the outer tunic. However, the cornea is composed of collagen and elastic fibers, whereas the
sclera is composed of connective tissue with epithelia.
d. Both are part of outer tunic. However, the cornea is composed of connective tissue with epithelia, whereas
the sclera is composed of collagen and elastic fibers.
Section Summary
Vision is the only photo responsive sense. Visible light travels in waves and is a very small slice of the electromagnetic
radiation spectrum. Light waves differ based on their frequency—wavelength = hue, and amplitude—intensity = brightness.
In the vertebrate retina, there are two types of light receptors, or photoreceptors: cones and rods. Cones, which are the source
of color vision, exist in three forms—L, M, and S—and they are differentially sensitive to different wavelengths. Cones are
located in the retina, along with the dim-light, achromatic receptors, or rods. Cones are found in the fovea, the central region
of the retina, whereas rods are found in the peripheral regions of the retina.
Visual signals travel from the eye over the axons of retinal ganglion cells, which make up the optic nerves. Ganglion cells
come in several versions. Some ganglion cell axons carry information on form, movement, depth, and brightness, while
other axons carry information on color and fine detail. Visual information is sent to the superior colliculi in the midbrain,
where coordination of eye movements and integration of auditory information takes place. Visual information is also sent
to the suprachiasmatic nucleus (SCN) of the hypothalamus, which plays a role in the circadian cycle.
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KEY TERMS
audition sense of hearing
basilar membrane stiff structure in the cochlea that indirectly anchors auditory receptors
bipolar neuron neuron with two processes from the cell body, typically in opposite directions
cochlea whorled structure that contains receptors for transduction of the mechanical wave into an electrical signal
cone weakly photosensitive, chromatic, cone-shaped neuron in the fovea of the retina that detects bright light and is used
in daytime color vision
cornea transparent layer over the front of the eye that helps focus light waves
fovea region in the center of the retina with a high density of photoreceptors and which is responsible for acute vision
free nerve ending ending of an afferent neuron that lacks a specialized structure for detection of sensory stimuli; some
respond to touch, pain, or temperature
glabrous describes the nonhairy skin found on palms and fingers, soles of feet, and lips of humans and other primates
glomerulus in the olfactory bulb, one of the two neural clusters that receives signals from one type of olfactory receptor
Golgi tendon organ muscular proprioceptive tension receptor that provides the sensory component of the Golgi tendon
reflex
hyperopia also, farsightedness, visual defect in which the image focus falls behind the retina, thereby making images in
the distance clear, but close-up images blurry
incus also, anvil, second of the three bones of the middle ear
inner ear innermost part of the ear; consists of the cochlea and the vestibular system
iris pigmented, circular muscle at the front of the eye that regulates the amount of light entering the eye
labyrinth bony, hollow structure that is the most internal part of the ear; contains the sites of transduction of auditory and
vestibular information
lens transparent, convex structure behind the cornea that helps focus light waves on the retina
malleus also, hammer, first of the three bones of the middle ear
mechanoreceptor sensory receptor modified to respond to mechanical disturbance such as being bent, touch, pressure,
motion, and sound
Meissner’s corpuscle also, tactile corpuscle, encapsulated, rapidly-adapting mechanoreceptor in the skin that responds
to light touch
Merkel's disc unencapsulated, slowly-adapting mechanoreceptor in the skin that responds to touch
middle ear part of the hearing apparatus that functions to transfer energy from the tympanum to the oval window of the
inner ear
muscle spindle proprioceptive stretch receptor that lies within a muscle and that shortens the muscle to an optimal length
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myopia also, nearsightedness, visual defect in which the image focus falls in front of the retina, thereby making images in
the distance blurry, but close-up images clear
olfactory bulb neural structure in the vertebrate brain that receives signals from olfactory receptors
olfactory epithelium specialized tissue in the nasal cavity where olfactory receptors are located
organ of Corti in the basilar membrane, the site of the transduction of sound, a mechanical wave, to a neural signal
outer ear part of the ear that consists of the pinna, ear canal, and tympanum, and which conducts sound waves into the
middle ear
oval window thin diaphragm between the middle and inner ears that receives sound waves from contact with the stapes
bone of the middle ear
Pacinian corpuscle encapsulated mechanoreceptor in the skin that responds to deep pressure and vibration
pheromone substance released by an animal that can affect the physiology or behavior of other animals
presbyopia visual defect in which the image focus falls behind the retina, thereby making images in the distance clear, but
close-up images blurry; caused by age-based changes in the lens
receptive field region in space in which a stimulus can activate a given sensory receptor
retina layer of photoreceptive and supporting cells on the inner surface of the back of the eye
rod strongly photosensitive, achromatic, cylindrical neuron in the outer edges of the retina that detects dim light and is
used in peripheral and nighttime vision
Ruffini ending also, bulbous corpuscle, slowly-adapting mechanoreceptor in the skin that responds to skin stretch and
joint position
semicircular canal one of three half-circular, fluid-filled tubes in the vestibular labyrinth that monitors angular
acceleration and deceleration
sensory receptor specialized neuron or other cells associated with a neuron that is modified to receive specific sensory
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input
sensory transduction conversion of a sensory stimulus into electrical energy in the nervous system by a change in the
membrane potential
stapes also, stirrup, third of the three bones of the middle ear
stereocilia in the auditory system, hair-like projections from hair cells that help detect sound waves
superior colliculus paired structure in the top of the midbrain, which manages eye movements and auditory integration
suprachiasmatic nucleus cluster of cells in the hypothalamus that plays a role in the circadian cycle
tectorial membrane cochlear structure that lies above the hair cells and participates in the transduction of sound at the
hair cells
tympanum also, tympanic membrane or ear drum, thin diaphragm between the outer and middle ears
ultrasound sound frequencies above the human detectable ceiling of approximately 20,000 Hz
umami one of the five basic tastes, which is described as savory and which may be largely the taste of L-glutamate
CHAPTER SUMMARY
27.1 Sensory Processes
A sensory activation occurs when a physical or chemical stimulus is processed into a neural signal—sensory
transduction—by a sensory receptor. Perception is an individual interpretation of a sensation and is a brain function.
Humans have special senses: olfaction, gustation, equilibrium, and hearing, plus the general senses of somatosensation.
Sensory receptors are either specialized cells associated with sensory neurons or the specialized ends of sensory neurons
that are a part of the peripheral nervous system, and they are used to receive information about the environment—internal
or external. Each sensory receptor is modified for the type of stimulus it detects. For example, neither gustatory receptors
nor auditory receptors are sensitive to light. Each sensory receptor is responsive to stimuli within a specific region in
space, which is known as that receptor’s receptive field. The most fundamental function of a sensory system is the
translation of a sensory signal to an electrical signal in the nervous system.
All sensory signals, except those from the olfactory system, enter the central nervous system and are routed to the
thalamus. When the sensory signal exits the thalamus, it is conducted to the specific area of the cortex dedicated to
processing that particular sense.
27.2 Somatosensation
Somatosensation includes all sensation received from the skin and mucous membranes, as well as from the limbs and
joints. Somatosensation occurs all over the exterior of the body and at some interior locations as well, and a variety of
receptor types, embedded in the skin and mucous membranes, play a role.
There are several types of specialized sensory receptors. Rapidly adapting free nerve endings detect nociception, hot and
cold, and light touch. Slowly adapting, encapsulated Merkel’s disks are found in fingertips and lips, and respond to light
touch. Meissner’s corpuscles, found in glabrous skin, are rapidly adapting, encapsulated receptors that detect touch, low-
frequency vibration, and flutter. Ruffini endings are slowly adapting, encapsulated receptors that detect skin stretch, joint
activity, and warmth. Hair receptors are rapidly adapting nerve endings wrapped around the base of hair follicles that
detect hair movement and skin deflection. Finally, Pacinian corpuscles are encapsulated, rapidly adapting receptors that
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There are five primary tastes in humans: sweet, sour, bitter, salty, and umami. Each taste has its own receptor type that
responds only to that taste. Tastants enter the body and are dissolved in saliva. Taste cells are located within taste buds,
which are found on three of the four types of papillae in the mouth.
Regarding olfaction, there are many thousands of odorants, but humans detect only about 10,000. Like taste receptors,
olfactory receptors are each responsive to only one odorant. Odorants dissolve in nasal mucosa, where they excite their
corresponding olfactory sensory cells. When these cells detect an odorant, they send their signals to the main olfactory
bulb and then to other locations in the brain, including the olfactory cortex.
Audition is important for territory defense, predation, predator defense, and communal exchanges. The vestibular system,
which is not auditory, detects linear acceleration and angular acceleration and deceleration. Both the auditory system and
vestibular system use hair cells as their receptors.
Auditory stimuli are sound waves. The sound wave energy reaches the outer ear—pinna, canal, tympanum—and
vibrations of the tympanum send the energy to the middle ear. The middle ear bones shift and the stapes transfers
mechanical energy to the oval window of the fluid-filled inner ear cochlea. Once in the cochlea, the energy causes the
basilar membrane to flex, thereby bending the stereocilia on receptor hair cells. This activates the receptors, which send
their auditory neural signals to the brain.
The vestibular system has five parts that work together to provide the sense of direction, thus helping to maintain balance.
The utricle and saccule measure head orientation: Their calcium carbonate crystals shift when the head is tilted, thereby
activating hair cells. The semicircular canals work similarly, such that when the head is turned, the fluid in the canals
bends stereocilia on hair cells. The vestibular hair cells also send signals to the thalamus and to somatosensory cortex, but
also to the cerebellum, the structure above the brainstem that plays a large role in timing and coordination of movement.
27.5 Vision
Vision is the only photo responsive sense. Visible light travels in waves and is a very small slice of the electromagnetic
radiation spectrum. Light waves differ based on their frequency—wavelength = hue, and amplitude—intensity =
brightness.
In the vertebrate retina, there are two types of light receptors, or photoreceptors: cones and rods. Cones, which are the
source of color vision, exist in three forms—L, M, and S—and they are differentially sensitive to different wavelengths.
Cones are located in the retina, along with the dim-light, achromatic receptors, or rods. Cones are found in the fovea, the
central region of the retina, whereas rods are found in the peripheral regions of the retina.
Visual signals travel from the eye over the axons of retinal ganglion cells, which make up the optic nerves. Ganglion cells
come in several versions. Some ganglion cell axons carry information on form, movement, depth, and brightness, while
other axons carry information on color and fine detail. Visual information is sent to the superior colliculi in the midbrain,
where coordination of eye movements and integration of auditory information takes place. Visual information is also sent
to the suprachiasmatic nucleus (SCN) of the hypothalamus, which plays a role in the circadian cycle.
REVIEW QUESTIONS
1. ________ is a type of general sense in humans.
a. Gustation
b. Olfaction
c. Proprioception
d. Equilibrium
2. Suppose you burned your tongue and could not taste food for a day. Identify the sense affected.
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a. olfaction
b. gustation
c. proprioception
d. kinesthesia
3. State where perception occurs.
a. spinal cord
b. cerebral cortex
c. receptors
d. thalamus
4. If a person’s cold receptors no longer convert cold sensory signals into electrical signals, that person has a problem with
________.
a. reception
b. the receptive field
c. perception
d. transduction
5. What is the smallest difference in stimuli that can be detected?
a. receptor potential
b. sensory transduction
c. just-noticeable difference
d. perception
6. In peppers, spicy heat is rated in SHUs, where zero is the least amount of spicy heat. If the just-noticeable difference
(JND) of the ability to perceive difference in heat detection for an individual is 30 percent, which of the following
represents the JND of two different peppers?
a. 8,500 vs. 11,000 SHU
b. 4,050 vs. 15,000 SHU
c. 15,000 vs. 18,000 SHU
d. 10,500 vs. 15,000 SHU
7. What is the role of sensory receptors in sensory perception?
a. detection of specific stimuli
b. sensation interpretation
c. sending electrical signals to the cortex
d. transmitting signals from the brain to the rest of the body
8. Which mechanoreceptors in the skin are unencapsulated?
a. Merkel’s disks
b. Meissner’s corpuscles
c. Ruffini endings
d. Pacinian corpuscles
9. If an individual is born without the ability to sense high-frequency vibrations, he may have been born with a mutation in
a gene that codes for ________.
a. Merkel’s disks
b. Meissner’s corpuscles
c. Ruffini endings
d. Pacinian corpuscles
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10. If you were to burn your epidermis, what receptor type would most likely burn?
a. free nerve endings
b. Ruffini endings
c. Pacinian corpuscles
d. Krause end bulbs
11. ________ are found only in ________ skin, and detect skin deflection.
a. Meissner’s corpuscles, hairy
b. Ruffini endings, glabrous
c. Pacinian corpuscles, glabrous
d. hair receptors, hairy
12. To what does nociception respond?
a. injured stimuli
b. deep, fleeting pressure
c. fine touch
d. cold
13. Why do peppers, which contain capsaicin, taste hot?
a. Capsaicin is corrosive and damages tissue.
b. Capsaicin contains large quantities of heat that are released upon ingestion.
c. Capsaicin and warm receptors open the same calcium channels.
d. Capsaicin stimulates Krause end bulbs.
14. _____are mechanoreceptors that facilitate proper gripping of objects.
a. Merkel’s disks
b. Meissner’s corpuscles
c. Ruffini endings
d. Pacinian corpuscles
15. How many different taste molecules can an individual taste cell detect?
a. one
b. five
c. depends on the type of taste receptor
d. depends on the part of the tongue
16. Describe how gustation and olfaction are similar.
a. Both sense different stimuli in the environment.
b. Both can have hundreds of millions of types of receptors.
c. Both obtain stimuli from within the body.
d. Signals from both are transmitted through the medulla.
17. ________ is the term for savoriness in food.
a. gustation
b. tastants
c. umami
d. pheromone
18. If an individual becomes repeatedly poisoned from eating spoiled, what kind of receptors might they lack?
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a. salty
b. sweet
c. umami
d. sour
19. A typical dog has approximately how many times more olfactory receptors than a typical human?
a. 2
b. 8
c. 83
d. 333
20. Which of the following is true of dog olfaction?
a. Most dogs have 4 billion olfactory receptors.
b. Bloodhounds have more receptors than humans, but humans have more receptors than most dogs.
c. Rabbits and most dogs have the same number of olfactory receptors.
d. Dogs bred for sense of smell can have four times more olfactory cells than most other dogs.
21. Which of the following has the most taste receptors?
a. fungiform papillae
b. circumvallate papillae
c. foliate papillae
d. filiform papillae
22. In sound, pitch is measured in ________, and volume is measured in ________.
a. decibels (dB), hertz (Hz)
b. decibels (dB), nanometers (nm)
c. nanometers (nm), decibels (dB)
d. hertz (Hz), decibels (dB)
23. Identify the animal that would be affected by a 120,000 Hz sound.
a. cat
b. bat
c. dolphin
d. dog
24. Louder sounds have a ________ compared with softer sounds.
a. greater amplitude
b. lower amplitude
c. greater frequency
d. lower frequency
25. Which of the following is true of frequency?
a. Frequency is heard as volume.
b. Louder sounds have a higher frequency.
c. Men hear higher frequencies than women.
d. Frequency is measured in number of sound waves per unit time.
26. The ________ contains receptors for transduction of mechanical waves to produce electrical signals.
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a. tympanum
b. cochlea
c. pinna
d. stapes
27. The ________ contains ________, which produces action potentials along the auditory nerve.
a. incus, stapes
b. ear canal, tympanum
c. tympanum, oval window
d. organ of Corti, stereocilia
28. Identify the structure that is found both in the auditory system and the vestibular system.
a. basilar membrane
b. hair cells
c. semicircular canals
d. ossicles
29. You are in a car that suddenly decelerates. Explain what happens inside the ear as the car comes to a stop.
a. Fluid in the semicircular canals moves.
b. Stereocilia are bent.
c. Deceleration signals are sent to the brain.
d. Fluid in the semicircular canals stops moving.
30. Of the following, identify the waves with the highest frequency.
a. microwaves
b. ultraviolet rays
c. X-rays
d. gamma rays
31. Of the following colors, identify the color associated with the shortest wavelength.
a. red
b. yellow
c. green
d. blue
32. Which of the following is true of light detection?
a. Humans see most of the light spectrum.
b. Light signals can pass through a vacuum into the eye.
c. Decibels are used as the unit of wavelength.
d. Violet light has a longer wavelength than red light.
33. The fovea is responsible for ________, because it has a high density of cones.
a. night vision
b. nearsightedness
c. farsightedness
d. acute vision
34. Explain why people over 55 years old often need reading glasses.
1320 Chapter 27 | Sensory Systems
a. All types of senses undergo sensory transduction by converting a stimulus into a chemical signal via the central
nervous system.
b. All types of senses undergo sensory transduction by converting a stimulus into an electrical signal via the
peripheral nervous system.
c. All types of senses undergo sensory transduction by converting a stimulus into a chemical signal via the nervous
system.
d. All types of senses undergo sensory transduction by converting a stimulus into an electrical signal via the
nervous system.
41. Explain why there are more Merkel’s disks and Meissner’s corpuscles in your fingertips than in your palms.
a. These two types of thermoreceptors are used to detect warmth and cold which is necessary to maintain body
temperature.
b. These two types of mechanoreceptors are used to detect fine details necessary for many roles of fingertips but
not palms such as typing.
c. These two types of proprioceptors are used to detect fine details necessary for many roles of fingertips but not
palms, such as typing.
d. These two types of mechanoreceptors are used to detect fine details, which are necessary for many roles of
fingertips as well as palms.
42. Explain what can be inferred about the relative sizes of the areas of cortex that process signals from skin not densely
innervated with sensory receptors versus skin that is densely innervated with sensory receptors.
a. Areas of the cortex that process signals from skin with fewer sensory receptors are likely to be larger than those
having large numbers of sensory receptors.
b. Areas of the cortex that process signals from skin with fewer sensory receptors are likely to be smaller than
those having large numbers of sensory receptors.
c. Areas of the cortex that process signals from skin with fewer sensory receptors and large numbers of sensory
receptors will likely be the same.
d. There is no relationship between the relative sizes of areas of cortex that process signals from skin and the
sensory receptor numbers.
43. Explain why some people think that peppers are painful or hot, while other people do not find peppers painful or hot.
a. Peppers contain capsaicin, which opens the same sodium channels as warm receptors. Excess stimulation gives
the perception of pain. Thus, people who can tolerate more heat find peppers to be less painful.
b. Peppers contain capsaicin, which opens the same calcium channels as warm receptors. Excess stimulation gives
the perception of pain. Thus, people who can tolerate more heat find peppers to be less painful.
c. Peppers contain quinine, which opens the same calcium channels as warm receptors. Excess stimulation gives
the perception of pain. Thus, people who can tolerate more heat find peppers to be less painful.
d. Peppers contain quinine, which opens the same sodium channels as warm receptors. Excess stimulation gives the
perception of pain. Thus, people who can tolerate more heat find peppers to be less painful.
44. Discuss how the location of mechanoreceptors affect their ability to sense different stimuli.
a. Merkel’s disks and Meissner’s corpuscles are found in specialized regions and detect the amount of stretch.
Pacinian corpuscles and Ruffini endings are able to sense deeper touch, such as deeper pressure.
b. Merkel’s disks and Meissner’s corpuscles are found deeper in the skin and are able to sense deeper touch, such
as deeper pressure. Pacinian corpuscles and Ruffini endings are able to better detect fine touch.
c. Merkel’s disks and Meissner’s corpuscles are found deeper in the skin and detect fine touch. Pacinian corpuscles
and Ruffini endings are able to sense deeper touch, such as deeper pressure.
d. Merkel’s disks and Meissner’s corpuscles are found in more upper parts of the skin and detect fine touch.
Pacinian corpuscles and Ruffini endings are able to sense deeper touch, such as deeper pressure.
45. Explain what happens to the ability to perceive taste and smell as people age.
1322 Chapter 27 | Sensory Systems
a. All senses decline with age, most dramatically by age 50 and then continue to decline thereafter.
b. All senses increase with age, most dramatically by age 50 and then continue to increase thereafter.
c. All senses decline with age, most dramatically by age 50 and then increase thereafter.
d. All senses increase with age, most dramatically by age 50 and then decline thereafter.
46. Predict a possible effect on an animal of not being able to perceive taste.
a. The animal might not be able to eat food.
b. The animal might not be able to eat sweet and unspoiled food.
c. The animal might not be able to distinguish food that is bitter and sour.
d. The animal might not be able to distinguish food that is dangerous, bitter, spoiled, sour, or sweet.
47. If a young child goes missing, predict why a bloodhound and not a poodle would be used to find the child.
a. Bloodhounds were bred to have a better sense of smell, and thus have fewer olfactory receptors and larger
olfactory epithelia.
b. Bloodhounds were bred to have a better sense of smell, and thus have more olfactory receptors and larger
olfactory epithelia.
c. Bloodhounds were bred to have a better sense of smell, and thus have more olfactory receptors and smaller
olfactory epithelia.
d. Bloodhounds were bred to have a better sense of smell, and thus have more olfactory bulbs and larger olfactory
receptors.
48. Explain how pheromones differ from other odorants, from the perspective of the recipient of the signal.
a. Pheromones are sent to the main olfactory bulb instead of the amygdala and are not consciously perceived.
b. Pheromones are sent to the amygdala instead of the main olfactory bulb and are consciously perceived.
c. Pheromones are sent to the amygdala instead of the main olfactory bulb and are not consciously perceived.
d. Pheromones are sent to the main olfactory bulb instead of the amygdala and are consciously perceived.
49. You are sitting with a dog and a cat and decide to test a 50,000-Hz ringtone. Identify which of you is likely to respond
to the sound and explain why.
a. The human and dog will respond, because they can hear up to 50,000 Hz.
b. The cat and dog will respond, because they can hear up to 50,000 Hz.
c. Only the dog will respond, because they can hear up to 50,000 Hz.
d. Only the cat will respond, because cats can hear up to 50,000 Hz.
50. You are having a debate with someone in a library. A librarian asks you to “speak softer.” What characteristic of sound
does the librarian want you to change and how can you change it?
a. wavelength, by lowering the amplitude at which you are speaking
b. amplitude, by lowering the frequency at which you are speaking
c. frequency, by lowering the volume at which you are speaking
d. amplitude, by lowering the volume at which you are speaking
51. If an individual was born without the malleus in either ear, explain why they might have problems with hearing.
a. Without the malleus and incus, the vibrations of the tympanum would not be able to reach the stapes and then be
sent to the cochlea.
b. Without the malleus and incus, the vibrations of the pinna would not be able to reach the stapes and then be sent
to the cochlea.
c. Without the malleus and incus, sound waves would not be collected by the tympanum.
d. Without the malleus and incus, sound waves would not be collected by the pinna.
52. Explain how being on the moon, which has less gravity than Earth, might affect vestibular sensation and why.
Chapter 27 | Sensory Systems 1323
a. Vestibular sensation relies on gravity’s effects on tiny crystals in the inner nostril; therefore, reduced gravity on
the moon would likely impair vestibular sensation.
b. Vestibular sensation relies on gravity’s effects on huge crystals in the inner ear; therefore, reduced gravity on the
moon would likely impair vestibular sensation.
c. Vestibular sensation relies on gravity’s effects on tiny crystals in the inner ear; therefore, reduced gravity on the
moon would likely impair vestibular sensation.
d. Vestibular sensation relies on gravity’s effects on tiny crystals in the outer ear; therefore, reduced gravity on the
moon would likely impair vestibular sensation.
53. Explain why you are unable to see the heat emitted by a cricket.
a. Ultraviolet light includes heat emitted by prey organisms of reptiles which is outside the visual spectrum for
humans because the wavelength is less than 380 nm.
b. Infrared light includes heat emitted by prey organisms of reptiles which is outside the visual spectrum for
humans because the wavelength is less than 380 nm.
c. Infrared light includes heat emitted by prey organisms of reptiles, which is outside the visual spectrum for
humans because the wavelength is more than 400 nm.
d. Ultraviolet light includes heat emitted by prey organisms of reptiles, which is outside the visual spectrum for
humans because the wavelength is more than 400 nm.
54. Explain what the color receptors in your eyes are perceiving if you see a white building.
a. All of the color receptors in your eyes are equally stimulated when you see the color white.
b. Both L and M cones are equally stimulated in your eyes when you see the color white.
c. Only the S cones are stimulated in your eyes when you see the color white.
d. L cones are stimulated strongly and S cones are weakly stimulated when you see the color white.
55. Discuss how the relationship between photoreceptors and bipolar cells is different from other sensory receptors and
adjacent cells.
a. Photoreceptors and bipolar cells are depolarized, whereas other sensory receptors typically remain polarized.
b. Photoreceptors and bipolar cells are hyperpolarized, whereas other sensory receptors typically remain polarized.
c. Photoreceptors and bipolar cells are depolarized, whereas other sensory receptors typically become
hyperpolarized.
d. Photoreceptors and bipolar cells are hyperpolarized, whereas other sensory receptors typically become
depolarized.
56. Explain what happens once visual signals reach the visual cortex.
a. Some signals go to the temporal lobe, which detects where information, and other signals go to the parietal lobe,
which detects where and what signals.
b. Some signals go to the parietal lobe, which detects where information, and other signals go to the temporal lobe,
which detects what signals.
c. Some signals go to the parietal lobe, which detects where and what information and other signals go to the
temporal lobe, which also detects where and what signals.
d. Some signals go to the parietal lobe, which detects where information, and other signals go to the temporal lobe,
which detects where and what signals.
Figure 27.23
Chapter 27 | Sensory Systems 1325
a. In the diagram the odorant-receptor pairing is imagined geometrically; a round peg fits in a round hold and a
square peg does not. The receptors are located in the epidermal cell surface, shown in the drawing as a light gray
line. Create a geometric representation by drawing receptors on the surfaces of the sensors that are activated
by one of the molecules in the mixture. Draw a geometric representation of a fourth receptor surface that is
not activated by a molecule in the odorant mixture.
In the receptor cell labeled A, two signaling molecules S1M and S2M are shown as are two types of gated ion
channels; one that transports Ca+2 in response to S1M while generating S2M, and three that transport Na+ in
response to S2M.
b. Construct an explanation of the mechanism for transmission of information when the odorant molecule is
detected at receptor A using this signaling cascade. In your explanation include the role of positive feedback and
the mechanism of the generation of an action potential.
c. Signal integration allows the brain to discriminate this particular odorant mixture from others using the time
dependence in each signal. The sensitivity of an olfactory system increases as the number of unique receptors
increases. Complete the following table to construct a mathematical representation of sensitivity to the
chemical landscape assuming that there are 100 unique odorant molecules. Use the following mathematic
routine to determine the number of odors caused by groups of molecules selected from the 100 odorant
molecules:
4
5
6
7
d. Olfactory receptor proteins that recognize chemicals as odors are expressed in humans by approximately 400
different genes. This is the largest number of genes coding for a single function in the human genome (Nimura,
Human Genetics, 4, 2009). Other mammals have an even greater diversity of olfactory receptors: roughly 800
and 1200 genes in dogs and rats, respectively. Some olfactory receptors are adapted for odorants in an aqueous
environment and some are adapted for an air environment.
Figure 27.24
Use the representation above, showing classes of genes within groups of organisms to construct a
representation of the phylogenetic relationships among these groups. Annotate your representation to show
gene additions and deletions. To your representation also add annotation that connects the phenotype to the
environment.
58.
Chapter 27 | Sensory Systems 1327
a. When you get cold you may shiver. The shivering response is a reflex in which the hypothalamus in the brain
integrates sensory input, comparing input against a temperature set point. When a threshold signal is detected,
nerves of the somatic nervous system that innervate skeletal muscle are stimulated. The extension and
contraction of muscle cells releases heat energy that elevates the body temperature.
Construct a representation of the information flow for the shivering response. Annotate your representation to
include
Thermogenesis from accelerated metabolism in adipose (fat) tissue is a non-shivering response to a cold
stimulus. Using a neurotropic virus, investigators are able to trace the paths of nerves in animals.
c. Neurons infected by virus can then be visualized by exposing the tissue to antibodies that can be stained or using
dyes that fluoresce. Ryu and co-workers (Journal of Neuroscience, 35, 2015) used this technique to demonstrate
communication between nerves of the sympathetic nervous system and nerves of the sensory nervous system
innervating thermoreceptors that are sensitive to hot and cold.
Construct a representation of information flow and annotate the representation with labels for
28 | THE ENDOCRINE
SYSTEM
Figure 28.1 The process of amphibian metamorphosis, as seen in the tadpole-to-frog stages shown here, is driven by
hormones. (credit "tadpole:" modification of work by Brian Gratwicke)
Chapter Outline
28.1: Types of Hormones
28.2: How Hormones Work
28.3: Regulation of Body Processes
28.4: Regulation of Hormone Production
28.5: Endocrine Glands
Introduction
An animal’s endocrine system controls body processes through the production, secretion, and regulation of hormones, which
serve as chemical messengers functioning in cellular and organ activity and, ultimately, maintaining the body’s homeostasis.
The endocrine system plays a role in growth, metabolism, and sexual development. In humans, common endocrine system
diseases include thyroid disease and diabetes mellitus. In organisms that undergo metamorphosis, the process is controlled
by the endocrine system. The transformation from tadpole to frog, for example, is complex and nuanced to adapt to specific
environments and ecological circumstances.
The study of the endocrine system has led to many medical advances. Now scientists have discovered a hormone that
mimics the effects of exercise by regulating metabolism and fighting insulin resistance. You can read more about this
exciting discovery at the Science Daily website (http://openstaxcollege.org/l/32hormoneadv) .
cells, and elicit a response by the target cell. For AP® you are not expected to memorize a laundry list of the various
endocrine glands, their hormones, and the effects of each hormone. You should be able to interpret, however, a diagram that
shows the activity of a hormonal signal. We will briefly describe a few of these examples in How Hormones Work.
There are three types of hormones classified based on molecular structure and properties. We explored structure/function
relationships at the molecular level in the chapter on Biological Macromolecules. Lipid-derived hormones are lipid-
soluble and can diffuse across cell membranes because they are non-polar. Most lipid hormones are derived from
cholesterol; examples include steroids such as estrogen and testosterone. Because lipid hormones can diffuse across cell
membranes, their receptors are located in the cytoplasm of target cells. The amino acid-derived hormones are relatively
small molecules derived from the amino acids tyrosine and tryptophan; examples include epinephrine, norepinephrine,
thyroxin, and melatonin. Peptide hormones such as oxytocin and growth hormone consist of polypeptide chains of amino
acids. Because these hormones are water-soluble and insoluble in lipids, they cannot pass through the plasma membrane of
cells; their receptors are found on the surface of the target cells.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 3 and Big Idea 4
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Essential 3.D.1 Cell communication processes share common features that reflect a shared
Knowledge evolutionary history.
6.2 The student can construct explanations of phenomena based on evidence produced
Science Practice
through scientific practices.
Learning 3.33 The student is able to use representations and models to describe features of a cell
Objective signaling pathway.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
7.1 The student can connect phenomena and models across spatial and temporal
Science Practice
scales.
Learning 4.1 The student is able to explain the connection between the sequence and
Objective subcomponents of a biological polymer and its properties.
Maintaining homeostasis within the body requires the coordination of many different systems and organs. Communication
between neighboring cells, and between cells and tissues in distant parts of the body, occurs through the release of chemicals
called hormones. Hormones are released into body fluids—usually blood—that carry these chemicals to their target cells. At
the target cells, which are cells that have a receptor for a signal or ligand from a signal cell, the hormones elicit a response.
The cells, tissues, and organs that secrete hormones make up the endocrine system. Examples of glands of the endocrine
system include the adrenal glands, which produce hormones such as epinephrine and norepinephrine that regulate responses
to stress, and the thyroid gland, which produces thyroid hormones that regulate metabolic rates.
Although there are many different hormones in the human body, they can be divided into three classes based on their
chemical structure: lipid-derived, amino acid-derived, and peptide—peptide and proteins—hormones. One of the key
distinguishing features of lipid-derived hormones is that they can diffuse across plasma membranes whereas the amino acid-
Chapter 28 | The Endocrine System 1331
Figure 28.2 The structures shown here represent (a) cholesterol, plus the steroid hormones (b) testosterone and (c)
estradiol.
Figure 28.3 (a) The hormone epinephrine, which triggers the fight-or-flight response, is derived from the amino acid
tyrosine. (b) The hormone melatonin, which regulates circadian rhythms, is derived from the amino acid tryptophan.
Peptide Hormones
The structure of peptide hormones is that of a polypeptide chain, that is, a chain of amino acids). The peptide hormones
include molecules that are short polypeptide chains, such as antidiuretic hormone and oxytocin produced in the brain
and released into the blood in the posterior pituitary gland. This class also includes small proteins, like growth hormones
produced by the pituitary, and large glycoproteins such as follicle-stimulating hormone produced by the pituitary. Figure
28.4 illustrates these peptide hormones.
Secreted peptides like insulin are stored within vesicles in the cells that synthesize them. They are then released in response
to stimuli such as high blood glucose levels in the case of insulin. Amino acid-derived and polypeptide hormones are water-
soluble and insoluble in lipids. These hormones cannot pass through plasma membranes of cells; therefore, their receptors
are found on the surface of the target cells.
Figure 28.4 The structures of peptide hormones (a) oxytocin, (b) growth hormone, and (c) follicle-stimulating hormone
are shown. These peptide hormones are much larger than those derived from cholesterol or amino acids.
Chapter 28 | The Endocrine System 1333
Think About It
Although there are many different hormones in the human body, they can be classified based on their chemical
structure. What one factor distinguishes them?
Endocrinologist
An endocrinologist is a medical doctor who specializes in treating disorders of the endocrine glands,
hormone systems, and glucose and lipid metabolic pathways. An endocrine surgeon specializes in the
surgical treatment of endocrine diseases and glands. Some of the diseases that are managed by
endocrinologists: disorders of the pancreas, such as diabetes mellitus, disorders of the pituitary, such as
gigantism, acromegaly, and pituitary dwarfism, disorders of the thyroid gland, such as goiter and Graves’
disease, and disorders of the adrenal glands, such as Cushing’s disease and Addison’s disease.
Endocrinologists are required to assess patients and diagnose endocrine disorders through extensive use of
laboratory tests. Many endocrine diseases are diagnosed using tests that stimulate or suppress endocrine
organ functioning. Blood samples are then drawn to determine the effect of stimulating or suppressing an
endocrine organ on the production of hormones. For example, to diagnose diabetes mellitus, patients are
required to fast for 12-24 hours. They are then given a sugary drink, which stimulates the pancreas to
produce insulin to decrease blood glucose levels. A blood sample is taken one to two hours after the sugar
drink is consumed. If the pancreas is functioning properly, the blood glucose level will be within a normal
range. Another example is the A1C test, which can be performed during blood screening. The A1C test
measures average blood glucose levels over the past two to three months by examining how well the blood
glucose is being managed over a long time.
Once a disease has been diagnosed, endocrinologists can prescribe lifestyle changes and/or medications
to treat the disease. Some cases of diabetes mellitus can be managed by exercise, weight loss, and a
healthy diet; in other cases, medications may be required to enhance insulin release. If the disease cannot
be controlled by these means, the endocrinologist may prescribe insulin injections.
In addition to clinical practice, endocrinologists may also be involved in primary research and development
activities. For example, ongoing islet transplant research is investigating how healthy pancreas islet cells
may be transplanted into diabetic patients. Successful islet transplants may allow patients to stop taking
insulin injections.
Section Summary
There are three basic types of hormones: lipid-derived, amino acid-derived, and peptide. Lipid-derived hormones are
structurally similar to cholesterol and include steroid hormones such as estradiol and testosterone. Amino acid-derived
hormones are relatively small molecules and include the adrenal hormones epinephrine and norepinephrine. Peptide
hormones are polypeptide chains or proteins and include the pituitary hormones, antidiuretic hormone, or vasopressin, and
oxytocin.
1334 Chapter 28 | The Endocrine System
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Essential
3.D.3 Signal transduction pathways link signal reception with a cellular response.
Knowledge
Science 1.5 The student can re-express key elements of natural phenomena across multiple
Practice representations in the domain.
Learning 3.36 The student is able to describe a model that expresses the key elements of signal
Objective transduction pathways by which a signal is converted in to a cellular response.
Hormones mediate changes in target cells by binding to specific hormone receptors. In this way, even though hormones
circulate throughout the body and come into contact with many different cell types, they only affect cells that possess
the necessary receptors. Receptors for a specific hormone may be found on many different cells or may be limited to a
Chapter 28 | The Endocrine System 1335
small number of specialized cells. For example, thyroid hormones act on many different tissue types, stimulating metabolic
activity throughout the body. Cells can have many receptors for the same hormone but often also possess receptors for
different types of hormones. The number of receptors that respond to a hormone determines the cell’s sensitivity to that
hormone, and the resulting cellular response. Additionally, the number of receptors that respond to a hormone can change
over time, resulting in increased or decreased cell sensitivity. In up-regulation, the number of receptors increases in
response to rising hormone levels, making the cell more sensitive to the hormone and allowing for more cellular activity.
When the number of receptors decreases in response to rising hormone levels, a process called down-regulation, cellular
activity is reduced.
Receptor binding alters cellular activity and results in an increase or decrease in normal body processes. Depending on the
location of the protein receptor on the target cell and the chemical structure of the hormone, hormones can mediate changes
directly by binding to intracellular hormone receptors and modulating gene transcription, or indirectly by binding to cell
surface receptors and stimulating signaling pathways.
Figure 28.5 An intracellular nuclear receptor (NR) is located in the cytoplasm bound to a heat shock protein
(HSP). Upon hormone binding, the receptor dissociates from the heat shock protein and translocates to the
nucleus. In the nucleus, the hormone-receptor complex binds to a DNA sequence called a hormone response
element (HRE), which triggers gene transcription and translation. The corresponding protein product can then
mediate changes in cell function.
Heat shock proteins (HSP) are so named because they help refold misfolded proteins. In response to increased
temperature (a heat shock), heat shock proteins are activated by release from the nuclear receptor/HSP complex. At the
same time, transcription of HSP genes is activated. Explain the role of heat shock in refolding misfolded proteins.
a. Heat is a stimulus that prevents hormone binding.
b. Heat is a stimulus that facilitates hormone binding.
c. Heat is a stimulus that facilitates dissociation of receptor from HSP directly.
d. Heat is a stimulus that facilitates binding of a hormone-receptor complex to a hormone response element.
Other lipid-soluble hormones that are not steroid hormones, such as vitamin D and thyroxine, have receptors located in the
nucleus. The hormones diffuse across both the plasma membrane and the nuclear envelope, then bind to receptors in the
nucleus. The hormone-receptor complex stimulates transcription of specific genes.
Figure 28.6 The amino acid-derived hormones epinephrine and norepinephrine bind to beta-adrenergic receptors on
the plasma membrane of cells. Hormone binding to receptor activates a G-protein, which in turn activates adenylyl
cyclase, converting ATP into cAMP. cAMP is a second messenger that mediates a cell-specific response. An enzyme
called phosphodiesterase breaks down cAMP, terminating the signal.
One very important second messenger is cyclic AMP (cAMP). When a hormone binds to its membrane receptor, a G-
protein that is associated with the receptor is activated; G-proteins are proteins separate from receptors that are found in
the cell membrane. When a hormone is not bound to the receptor, the G-protein is inactive and is bound to guanosine
diphosphate, or GDP. When a hormone binds to the receptor, the G-protein is activated by binding guanosine triphosphate,
or GTP, in place of GDP. After binding, GTP is hydrolysed by the G-protein into GDP and becomes inactive.
The activated G-protein in turn activates a membrane-bound enzyme called adenylyl cyclase. Adenylyl cyclase catalyzes
the conversion of ATP to cAMP. cAMP, in turn, activates a group of proteins called protein kinases, which transfer a
phosphate group from ATP to a substrate molecule in a process called phosphorylation. The phosphorylation of a substrate
molecule changes its structural orientation, thereby activating it. These activated molecules can then mediate changes in
cellular processes.
The effect of a hormone is amplified as the signaling pathway progresses. The binding of a hormone at a single receptor
causes the activation of many G-proteins, which activates adenylyl cyclase. Each molecule of adenylyl cyclase then triggers
the formation of many molecules of cAMP. Further amplification occurs as protein kinases, once activated by cAMP, can
catalyze many reactions. In this way, a small amount of hormone can trigger the formation of a large amount of cellular
product. To stop hormone activity, cAMP is deactivated by the cytoplasmic enzyme phosphodiesterase, or PDE. PDE
is always present in the cell and breaks down cAMP to control hormone activity, preventing overproduction of cellular
products.
The specific response of a cell to a lipid insoluble hormone depends on the type of receptors that are present on the
cell membrane and the substrate molecules present in the cell cytoplasm. Cellular responses to hormone binding of a
receptor include altering membrane permeability and metabolic pathways, stimulating synthesis of proteins and enzymes,
and activating hormone release.
Activity
Create a representation to describe how a lipid-soluble hormone and a peptide hormone activate different
cellular responses in a target cell.
1338 Chapter 28 | The Endocrine System
Section Summary
Hormones cause cellular changes by binding to receptors on target cells. The number of receptors on a target cell can
increase or decrease in response to hormone activity. Hormones can affect cells directly through intracellular hormone
receptors or indirectly through plasma membrane hormone receptors.
Lipid-derived, soluble, hormones can enter the cell by diffusing across the plasma membrane and binding to DNA to
regulate gene transcription and to change the cell’s activities by inducing production of proteins that affect, in general, the
long-term structure and function of the cell. Lipid insoluble hormones bind to receptors on the plasma membrane surface
and trigger a signaling pathway to change the cell’s activities by inducing production of various cell products that affect the
cell in the short-term. The hormone is called a first messenger and the cellular component is called a second messenger.
G-proteins activate the second messenger—cyclic AMP—triggering the cellular response. Response to hormone binding
is amplified as the signaling pathway progresses. Cellular responses to hormones include the production of proteins and
enzymes and altered membrane permeability.
Living systems store, retrieve, transmit, and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting, and receiving chemical signals.
3.D
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.34 The student is able to construct explanations of cell communication through cell-to-cell
Objective direct contact or through chemical signaling.
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.39 The student is able to explain how certain drugs affect signal reception and,
Objective consequently, signal transduction pathways.
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.35 The student is able to create representations that depict how cell-to-cell
Objective communication occurs by direct contact or from a distance through chemical signaling.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 2.20 The student is able to justify that positive feedback mechanisms amplify responses in
Objective organisms.
Hormones have a wide range of effects and modulate many different body processes. The key regulatory processes that
will be examined here are those affecting the excretory system, the reproductive system, metabolism, blood calcium
concentrations, growth, and the stress response.
released from the posterior pituitary gland. The principal action of ADH is to regulate the amount of water excreted by the
kidneys. As ADH, which is also known as vasopressin, causes direct water reabsorption from the kidney tubules, salts and
wastes are concentrated in what will eventually be excreted as urine. The hypothalamus controls the mechanisms of ADH
secretion, either by regulating blood volume or the concentration of water in the blood. Dehydration or physiological stress
can cause an increase of osmolarity above 300 mOsm/L, which in turn, raises ADH secretion and water will be retained,
causing an increase in blood pressure. ADH travels in the bloodstream to the kidneys. Once at the kidneys, ADH changes
the kidneys to become more permeable to water by stimulating the temporary insertion of water channels, aquaporins, into
the kidney tubules. Water moves out of the kidney tubules through the aquaporins, reducing urine volume. The water is
reabsorbed into the capillaries, lowering blood osmolarity back toward normal. As blood osmolarity decreases, a negative
feedback mechanism reduces osmoreceptor activity in the hypothalamus, and ADH secretion is reduced. ADH release can
be reduced by certain substances, including alcohol, which can cause increased urine production and dehydration.
Chronic underproduction of ADH or a mutation in the ADH receptor results in diabetes insipidus. If the posterior pituitary
does not release enough ADH, water cannot be retained by the kidneys and is lost as urine. This causes increased thirst, but
water taken in is lost again and must be continually consumed. If the condition is not severe, dehydration may not occur,
but severe cases can lead to electrolyte imbalances due to dehydration.
Another hormone responsible for maintaining electrolyte concentrations in extracellular fluids is aldosterone, a steroid
hormone that is produced by the adrenal cortex. In contrast to ADH, which promotes the reabsorption of water to maintain
proper water balance, aldosterone maintains proper water balance by enhancing Na+ reabsorption and K+ secretion from
extracellular fluid of the cells in kidney tubules. Because it is produced in the cortex of the adrenal gland and affects
the concentrations of minerals Na+ and K+, aldosterone is referred to as a mineralocorticoid, a corticosteroid that affects
ion and water balance. Aldosterone release is stimulated by a decrease in blood sodium levels, blood volume, or blood
pressure, or an increase in blood potassium levels. It also prevents the loss of Na+ from sweat, saliva, and gastric juice. The
reabsorption of Na+ also results in the osmotic reabsorption of water, which alters blood volume and blood pressure.
Aldosterone production can be stimulated by low blood pressure, which triggers a sequence of chemical release, as
illustrated in Figure 28.7. When blood pressure drops, the renin-angiotensin-aldosterone system (RAAS) is activated. Cells
in the juxtaglomerular apparatus, which regulates the functions of the nephrons of the kidney, detect this and release renin.
Renin, an enzyme, circulates in the blood and reacts with a plasma protein produced by the liver called angiotensinogen.
When angiotensinogen is cleaved by renin, it produces angiotensin I, which is then converted into angiotensin II in the
lungs. Angiotensin II functions as a hormone and then causes the release of the hormone aldosterone by the adrenal cortex,
resulting in increased Na+ reabsorption, water retention, and an increase in blood pressure. Angiotensin II in addition to
being a potent vasoconstrictor also causes an increase in ADH and increased thirst, both of which help to raise blood
pressure.
Figure 28.7 ADH and aldosterone increase blood pressure and volume. Angiotensin II stimulates release of these
hormones. Angiotensin II, in turn, is formed when renin cleaves angiotensinogen. (credit: modification of work by
Mikael Häggström)
Chapter 28 | The Endocrine System 1341
Figure 28.8 Professional baseball player Jason Giambi publically admitted to, and apologized for, his use of
anabolic steroids supplied by a trainer. (credit: Bryce Edwards)
Some athletes attempt to boost their performance by using artificial hormones that enhance muscle
performance. Anabolic steroids, a form of the male sex hormone testosterone, are one of the most widely
known performance-enhancing drugs. Steroids are used to help build muscle mass. Other hormones that
are used to enhance athletic performance include erythropoietin, which triggers the production of red blood
cells, and human growth hormone, which can help in building muscle mass. Most performance enhancing
drugs are illegal for non-medical purposes. They are also banned by many national and international
governing bodies, including many amateur and major league sports’ associations.
The side effects of synthetic hormones are often significant and non-reversible, and in some cases, fatal.
Androgens produce several complications such as liver dysfunctions prostate gland enlargement, difficulty
urinating, premature closure of epiphyseal cartilages, testicular atrophy, infertility, and immune system
depression. The physiological strain caused by these substances is often greater than what the body can
handle, leading to unpredictable and dangerous effects and linking their use to heart attacks, strokes, and
impaired cardiac function.
Erythropoietin stimulates red blood cell production and thus increases the amount of oxygen supplied to muscles
and, consequently, endurance. Explain why erythropoietin might be potentially dangerous if taken to enhance athletic
performance.
a. Erythropoietin increases blood viscosity, which makes it difficult for blood to circulate within the body.
b. Erythropoietin decreases blood viscosity, which makes it difficult for blood to circulate within the body.
c. Erythropoietin increases the activity of anorexigenic neurons, which makes it difficult for blood to circulate
within the body.
d. Erythropoietin increases blood viscosity, which reduces hunger and promotes a feeling of satiety.
Figure 28.9 Hormonal regulation of the female reproductive system involves hormones from the hypothalamus,
pituitary, and ovaries.
In addition to producing FSH and LH, the anterior portion of the pituitary gland also produces the hormone prolactin (PRL)
in females. Prolactin stimulates the production of milk by the mammary glands following childbirth. Prolactin levels are
regulated by the hypothalamic hormones prolactin-releasing hormone (PRH) and prolactin-inhibiting hormone (PIH),
which is now known to be dopamine. PRH stimulates the release of prolactin and PIH inhibits it.
The posterior pituitary releases the hormone oxytocin, which stimulates uterine contractions during childbirth. The uterine
smooth muscles are not very sensitive to oxytocin until late in pregnancy when the number of oxytocin receptors in the
uterus peaks. Stretching of tissues in the uterus and cervix stimulates oxytocin release during childbirth. Contractions
increase in intensity as blood levels of oxytocin rise via a positive feedback mechanism until the birth is complete. Oxytocin
also stimulates the contraction of myoepithelial cells around the milk-producing mammary glands. As these cells contract,
milk is forced from the secretory alveoli into milk ducts and is ejected from the breasts in milk ejection—let-down—reflex.
Oxytocin release is stimulated by the suckling of an infant, which triggers the synthesis of oxytocin in the hypothalamus
and its release into circulation at the posterior pituitary.
This animation (http://openstaxcollege.org/l/insulin) describe the role of insulin and the pancreas in diabetes.
Describe why Type 1 diabetes is considered an autoimmune disease.
a. The immune system attacks the hypothalamus, which prevents thyroxine production to regulate blood
glucose.
b. The immune system attacks cells of the pituitary gland, which prevents insulin production to regulate blood
glucose.
c. The immune system attacks beta cells of the pancreas, which prevents insulin production to regulate blood
glucose.
d. The immune system attacks beta cells of the pancreas, which prevents insulin production to regulate growth.
Impaired insulin function can lead to a condition called diabetes mellitus, the main symptoms of which are illustrated
in Figure 28.10. This can be caused by low levels of insulin production by the beta cells of the pancreas, or by reduced
sensitivity of tissue cells to insulin. This prevents glucose from being absorbed by cells, causing high levels of blood
glucose, or hyperglycemia, or high sugar. High blood glucose levels make it difficult for the kidneys to recover all the
glucose from nascent urine, resulting in glucose being lost in urine. High glucose levels also result in less water being
reabsorbed by the kidneys, causing high amounts of urine to be produced; this may result in dehydration. Over time, high
blood glucose levels can cause nerve damage to the eyes and peripheral body tissues, as well as damage to the kidneys and
cardiovascular system. Oversecretion of insulin can cause hypoglycemia, low blood glucose levels. This causes insufficient
glucose availability to cells, often leading to muscle weakness, and can sometimes cause unconsciousness or death if left
untreated.
Chapter 28 | The Endocrine System 1345
Figure 28.10 The main symptoms of diabetes are shown. (credit: modification of work by Mikael Häggström)
When blood glucose levels decline below normal levels, for example between meals or when glucose is utilized rapidly
during exercise, the hormone glucagon is released from the alpha cells of the pancreas. Glucagon raises blood glucose
levels, eliciting what is called a hyperglycemic effect, by stimulating the breakdown of glycogen to glucose in skeletal
muscle cells and liver cells in a process called glycogenolysis. Glucose can then be utilized as energy by muscle cells and
released into circulation by the liver cells. Glucagon also stimulates absorption of amino acids from the blood by the liver,
which then converts them to glucose. This process of glucose synthesis is called gluconeogenesis. Glucagon also stimulates
adipose cells to release fatty acids into the blood. These actions mediated by glucagon result in an increase in blood glucose
levels to normal homeostatic levels. Rising blood glucose levels inhibit further glucagon release by the pancreas via a
negative feedback mechanism. In this way, insulin and glucagon work together to maintain homeostatic glucose levels, as
shown in Figure 28.11.
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Pancreatic tumors may cause excess secretion of glucagon. Type I diabetes results from the failure of the pancreas to
produce insulin. Which of the following statement about these two conditions is true?
a. A pancreatic tumor and Type 1 diabetes will have the opposite effects on blood sugar levels.
b. A pancreatic tumor and Type 1 diabetes can both cause hyperglycemia.
c. A pancreatic tumor and Type 1 diabetes can both cause hypoglycemia.
d. Both pancreatic tumors and Type 1 diabetes result in the inability of cells to take up glucose.
The typical diet in North America provides more iodine than required due to the addition of iodide to table salt. Inadequate
iodine intake, which occurs in many developing countries, results in an inability to synthesize T3 and T4 hormones. The
thyroid gland enlarges in a condition called goiter, which is caused by overproduction of TSH without the formation of
thyroid hormone. Thyroglobulin is contained in a fluid called colloid, and TSH stimulation results in higher levels of colloid
accumulation in the thyroid. In the absence of iodine, this is not converted to thyroid hormone, and colloid begins to
accumulate more and more in the thyroid gland, leading to goiter.
Disorders can arise from both the underproduction and overproduction of thyroid hormones. Hypothyroidism,
underproduction of the thyroid hormones, can cause a low metabolic rate leading to weight gain, sensitivity to cold,
and reduced mental activity, among other symptoms. In children, hypothyroidism can cause cretinism, which can lead to
mental retardation and growth defects. Hyperthyroidism, the overproduction of thyroid hormones, can lead to an increased
metabolic rate and its effects: weight loss, excess heat production, sweating, and an increased heart rate. Graves’ disease is
one example of a hyperthyroid condition.
Figure 28.12 Parathyroid hormone (PTH) is released in response to low blood calcium levels. It increases blood
calcium levels by targeting the skeleton, the kidneys, and the intestine. (credit: modification of work by Mikael
Häggström)
Hyperparathyroidism results from an overproduction of parathyroid hormone. This results in excessive calcium being
removed from bones and introduced into blood circulation, producing structural weakness of the bones, which can lead
to deformation and fractures, plus nervous system impairment due to high blood calcium levels. Hypoparathyroidism, the
underproduction of PTH, results in extremely low levels of blood calcium, which causes impaired muscle function and may
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Figure 28.13 Growth hormone directly accelerates the rate of protein synthesis in skeletal muscle and bones. Insulin-
like growth factor 1 (IGF-1) is activated by growth hormone and also allows formation of new proteins in muscle cells
and bone. (credit: modification of work by Mikael Häggström)
A balanced production of growth hormone is critical for proper development. Underproduction of GH in adults does
not appear to cause any abnormalities, but in children it can result in pituitary dwarfism, in which growth is reduced.
Pituitary dwarfism is characterized by symmetric body formation. In some cases, individuals are under 30 inches in height.
Oversecretion of growth hormone can lead to gigantism in children, causing excessive growth. In some documented cases,
individuals can reach heights of over eight feet. In adults, excessive GH can lead to acromegaly, a condition in which there
is enlargement of bones in the face, hands, and feet that are still capable of growth.
Fight-or-Flight Response
Interactions of the endocrine hormones have evolved to ensure the body’s internal environment remains
stable. Stressors are stimuli that disrupt homeostasis. The sympathetic division of the vertebrate autonomic
nervous system has evolved the fight-or-flight response to counter stress-induced disruptions of
homeostasis. In the initial alarm phase, the sympathetic nervous system stimulates an increase in energy
levels through increased blood glucose levels. This prepares the body for physical activity that may be
required to respond to stress: to either fight for survival or to flee from danger.
However, some stresses, such as illness or injury, can last for a long time. Glycogen reserves, which provide
energy in the short-term response to stress, are exhausted after several hours and cannot meet long-term
energy needs. If glycogen reserves were the only energy source available, neural functioning could not be
maintained once the reserves became depleted due to the nervous system’s high requirement for glucose.
In this situation, the body has evolved a response to counter long-term stress through the actions of the
glucocorticoids, which ensure that long-term energy requirements can be met. The glucocorticoids mobilize
lipid and protein reserves, stimulate gluconeogenesis, conserve glucose for use by neural tissue, and
stimulate the conservation of salts and water. The mechanisms to maintain homeostasis that are described
here are those observed in the human body. However, the fight-or-flight response exists in some form in all
vertebrates.
Explain why the fight-or-flight response is advantageous in the short-term but not in the long-term.
a. Fight-or-flight reduces access to glucose reserves and these get depleted fairly quickly.
b. Fight-or-flight reduces access to glycogen reserves and these get depleted fairly quickly.
c. Fight-or-flight stimulates access to glucose reserves, but these get depleted fairly quickly.
d. Fight-or-flight stimulates access to glycogen reserves, but these get depleted fairly quickly.
The sympathetic nervous system regulates the stress response via the hypothalamus. Stressful stimuli cause the
hypothalamus to signal the adrenal medulla (which mediates short-term stress responses) via nerve impulses, and the
adrenal cortex, which mediates long-term stress responses, via the hormone adrenocorticotropic hormone (ACTH), which
is produced by the anterior pituitary.
Short-Term Stress Response
When presented with a stressful situation, the body responds by calling for the release of hormones that provide a burst
of energy. The hormones epinephrine, also known as adrenaline, and norepinephrine, also known as noradrenaline, are
released by the adrenal medulla. How do these hormones provide a burst of energy? Epinephrine and norepinephrine
increase blood glucose levels by stimulating the liver and skeletal muscles to break down glycogen and by stimulating
glucose release by liver cells. Additionally, these hormones increase oxygen availability to cells by increasing the heart rate
and dilating the bronchioles. The hormones also prioritize body function by increasing blood supply to essential organs such
as the heart, brain, and skeletal muscles, while restricting blood flow to organs not in immediate need, such as the skin,
digestive system, and kidneys. Epinephrine and norepinephrine are collectively called catecholamines.
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Activity
Selecting a hormone of your choice, create a visual representation, for example, diagram, to describe the
effect(s) of the hormone on a body system, for example, reproductive system, or process, for example,
maintaining normal blood glucose levels.
Section Summary
Water levels in the body are controlled by antidiuretic hormone (ADH), which is produced in the hypothalamus and triggers
the reabsorption of water by the kidneys. Underproduction of ADH can cause diabetes insipidus. Aldosterone, a hormone
produced by the adrenal cortex of the kidneys, enhances Na+ reabsorption from the extracellular fluids and subsequent water
reabsorption by diffusion. The renin-angiotensin-aldosterone system is one way that aldosterone release is controlled.
Chapter 28 | The Endocrine System 1351
The reproductive system is controlled by the gonadotropins follicle-stimulating hormone (FSH) and luteinizing hormone
(LH), which are produced by the pituitary gland. Gonadotropin release is controlled by the hypothalamic hormone
gonadotropin-releasing hormone (GnRH). FSH stimulates the maturation of sperm cells in males and is inhibited by the
hormone inhibin, while LH stimulates the production of the androgen testosterone. FSH stimulates egg maturation in
females, while LH stimulates the production of estrogens and progesterone. Estrogens are a group of steroid hormones
produced by the ovaries that trigger the development of secondary sex characteristics in females as well as control the
maturation of the ova. In females, the pituitary also produces prolactin, which stimulates milk production after childbirth,
and oxytocin, which stimulates uterine contraction during childbirth and milk let-down during suckling.
Insulin is produced by the pancreas in response to rising blood glucose levels and allows cells to utilize blood glucose and
store excess glucose for later use. Diabetes mellitus is caused by reduced insulin activity and causes high blood glucose
levels, or hyperglycemia. Glucagon is released by the pancreas in response to low blood glucose levels and stimulates the
breakdown of glycogen into glucose, which can be used by the body. The body’s basal metabolic rate is controlled by the
thyroid hormones thyroxine (T4) and triiodothyronine (T3). The anterior pituitary produces thyroid stimulating hormone
(TSH), which controls the release of T3 and T4 from the thyroid gland. Iodine is necessary in the production of thyroid
hormone, and the lack of iodine can lead to a condition called goiter.
Parathyroid hormone (PTH) is produced by the parathyroid glands in response to low blood Ca2+ levels. The parafollicular
cells of the thyroid produce calcitonin, which reduces blood Ca2+ levels. Growth hormone (GH) is produced by the
anterior pituitary and controls the growth rate of muscle and bone. GH action is indirectly mediated by insulin-like
growth factors (IGFs). Short-term stress causes the hypothalamus to trigger the adrenal medulla to release epinephrine and
norepinephrine, which trigger the fight or flight response. Long-term stress causes the hypothalamus to trigger the anterior
pituitary to release adrenocorticotropic hormone (ACTH), which causes the release of corticosteroids, glucocorticoids, and
mineralocorticoids, from the adrenal cortex.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
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Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science
6.1 The student can justify claims with evidence.
Practice
2.15 The student can justify a claim made about the effect(s) on a biological system at the
Learning
molecular, physiological or organism level when given a scenario in which one or more
Objective
components within a negative regulatory system is altered.
Hormone production and release are primarily controlled by negative-feedback. In negative feedback systems, a stimulus
elicits the release of a substance; once the substance reaches a certain level, it sends a signal that stops further release of
the substance. In this way, the concentration of hormones in blood is maintained within a narrow range. For example, the
anterior pituitary signals the thyroid to release thyroid hormones. Increasing levels of these hormones in the blood then give
feedback to the hypothalamus and anterior pituitary to inhibit further signaling to the thyroid gland, as illustrated in Figure
28.14. There are three mechanisms by which endocrine glands are stimulated to synthesize and release hormones: humoral
stimuli, hormonal stimuli, and neural stimuli.
Chapter 28 | The Endocrine System 1353
Figure 28.14 The anterior pituitary stimulates the thyroid gland to release thyroid hormones T3 and T4. Increasing
levels of these hormones in the blood results in feedback to the hypothalamus and anterior pituitary to inhibit
further signaling to the thyroid gland. (credit: modification of work by Mikael Häggström)
Hyperthyroidism is a condition in which the thyroid gland is overactive. Hypothyroidism is a condition in which the
thyroid gland is underactive. Identify which of the conditions the following two patients would most likely have and
explain why.
Patient A has symptoms including weight gain, cold sensitivity, low heart rate, and fatigue.
Patient B has symptoms including weight loss, profuse sweating, increased heart rate, and difficulty sleeping.
a. Patient A has an underactive thyroid, because less thyroid hormones decreases metabolism. Patient B has an
overactive thyroid, because more thyroid hormones increases metabolism.
b. Patient A has an overactive thyroid, because less thyroid hormones decreases metabolism. Patient B has an
underactive thyroid, because more thyroid hormones increases metabolism.
c. Patient A has an underactive thyroid, because more thyroid hormones decreases metabolism. Patient B has
an overactive thyroid, because less thyroid hormones increases metabolism.
d. Patient A has an overactive thyroid, because less thyroid hormones increases metabolism. Patient B has an
underactive thyroid, because more thyroid hormones decreases metabolism.
Humoral Stimuli
The term humoral is derived from the term humor, which refers to bodily fluids such as blood. A humoral stimulus refers
to the control of hormone release in response to changes in extracellular fluids such as blood or the ion concentration in the
blood. For example, a rise in blood glucose levels triggers the pancreatic release of insulin. Insulin causes blood glucose
levels to drop, which signals the pancreas to stop producing insulin in a negative-feedback loop.
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Hormonal Stimuli
Hormonal stimuli refers to the release of a hormone in response to another hormone. A number of endocrine glands release
hormones when stimulated by hormones released by other endocrine glands. For example, the hypothalamus produces
hormones that stimulate the anterior portion of the pituitary gland. The anterior pituitary in turn releases hormones that
regulate hormone production by other endocrine glands. The anterior pituitary releases the thyroid-stimulating hormone,
which then stimulates the thyroid gland to produce the hormones T3 and T4. As blood concentrations of T3 and T4 rise, they
inhibit both the pituitary and the hypothalamus in a negative feedback loop.
Neural Stimuli
In some cases, the nervous system directly stimulates endocrine glands to release hormones, which is referred to as
neural stimuli. Recall that in a short-term stress response, the hormones epinephrine and norepinephrine are important for
providing the bursts of energy required for the body to respond. Here, neuronal signaling from the sympathetic nervous
system directly stimulates the adrenal medulla to release the hormones epinephrine and norepinephrine in response to stress.
Activity
Create a visual representation to describe the regulation of blood sugar levels, growth spurts in teenagers,
and events associated with labor and childbirth. Then explain how disruptions to these regulatory
processes, for example, failure to produce insulin, can affect homeostasis in the body.
Section Summary
Hormone levels are primarily controlled through negative feedback, in which rising levels of a hormone inhibit its further
release. The three mechanisms of hormonal release are humoral stimuli, hormonal stimuli, and neural stimuli. Humoral
stimuli refers to the control of hormonal release in response to changes in extracellular fluid levels or ion levels. Hormonal
stimuli refers to the release of hormones in response to hormones released by other endocrine glands. Neural stimuli refers
to the release of hormones in response to neural stimulation.
The endocrine system releases hormones that act on target cells to regulate development, growth, energy metabolism,
reproduction, and many behaviors. The nervous system releases neurotransmitters or neurohormones that regulate neurons,
muscle cells, and endocrine cells. Because the neurons can regulate the release of hormones, the nervous and endocrine
systems work in a coordinated manner to regulate the body's physiology.
Hypothalamic-Pituitary Axis
The hypothalamus in vertebrates integrates the endocrine and nervous systems. The hypothalamus is an endocrine organ
located in the diencephalon of the brain. It receives input from the body and other brain areas and initiates endocrine
responses to environmental changes. The hypothalamus acts as an endocrine organ, synthesizing hormones and transporting
them along axons to the posterior pituitary gland. It synthesizes and secretes regulatory hormones that control the endocrine
cells in the anterior pituitary gland. The hypothalamus contains autonomic centers that control endocrine cells in the adrenal
medulla via neuronal control.
The pituitary gland, sometimes called the hypophysis or master gland is located at the base of the brain in the sella
turcica, a groove of the sphenoid bone of the skull, illustrated in Figure 28.15. It is attached to the hypothalamus via a
stalk called the pituitary stalk, or infundibulum. The anterior portion of the pituitary gland is regulated by releasing or
release-inhibiting hormones produced by the hypothalamus, and the posterior pituitary receives signals via neurosecretory
cells to release hormones produced by the hypothalamus. The pituitary has two distinct regions—the anterior pituitary and
the posterior pituitary—which between them secrete nine different peptide or protein hormones. The posterior lobe of the
pituitary gland contains axons of the hypothalamic neurons.
Figure 28.15 The pituitary gland is located at (a) the base of the brain and (b) connected to the hypothalamus by the
pituitary stalk. (credit a: modification of work by NCI; credit b: modification of work by Gray’s Anatomy)
Anterior Pituitary
The anterior pituitary gland, or adenohypophysis, is surrounded by a capillary network that extends from the
hypothalamus, down along the infundibulum, and to the anterior pituitary. This capillary network is a part of the
hypophyseal portal system that carries substances from the hypothalamus to the anterior pituitary and hormones from the
anterior pituitary into the circulatory system. A portal system carries blood from one capillary network to another; therefore,
the hypophyseal portal system allows hormones produced by the hypothalamus to be carried directly to the anterior pituitary
without first entering the circulatory system.
The anterior pituitary produces seven hormones: growth hormone (GH), prolactin (PRL), thyroid-stimulating hormone
(TSH), melanin-stimulating hormone (MSH), adrenocorticotropic hormone (ACTH), follicle-stimulating hormone (FSH),
and luteinizing hormone (LH). Anterior pituitary hormones are sometimes referred to as tropic hormones, because they
control the functioning of other organs. While these hormones are produced by the anterior pituitary, their production is
controlled by regulatory hormones produced by the hypothalamus. These regulatory hormones can be releasing hormones
or inhibiting hormones, causing more or less of the anterior pituitary hormones to be secreted. These travel from the
hypothalamus through the hypophyseal portal system to the anterior pituitary where they exert their effect. Negative
feedback then regulates how much of these regulatory hormones are released and how much anterior pituitary hormone is
secreted.
Posterior Pituitary
The posterior pituitary is significantly different in structure from the anterior pituitary. It is a part of the brain, extending
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down from the hypothalamus, and contains mostly nerve fibers and neuroglial cells, which support axons that extend from
the hypothalamus to the posterior pituitary. The posterior pituitary and the infundibulum together are referred to as the
neurohypophysis.
The hormones antidiuretic hormone (ADH), also known as vasopressin, and oxytocin are produced by neurons in the
hypothalamus and transported within these axons along the infundibulum to the posterior pituitary. They are released
into the circulatory system via neural signaling from the hypothalamus. These hormones are considered to be posterior
pituitary hormones, even though they are produced by the hypothalamus, because that is where they are released into the
circulatory system. The posterior pituitary itself does not produce hormones, but instead stores hormones produced by the
hypothalamus and releases them into the blood stream.
Thyroid Gland
The thyroid gland is located in the neck, just below the larynx and in front of the trachea, as shown in Figure 28.16. It is a
butterfly-shaped gland with two lobes that are connected by the isthmus. It has a dark red color due to its extensive vascular
system. When the thyroid swells due to dysfunction, it can be felt under the skin of the neck.
Figure 28.16 This illustration shows the location of the thyroid gland.
The thyroid gland is made up of many spherical thyroid follicles, which are lined with a simple cuboidal epithelium. These
follicles contain a viscous fluid, called colloid, which stores the glycoprotein thyroglobulin, the precursor to the thyroid
hormones. The follicles produce hormones that can be stored in the colloid or released into the surrounding capillary
network for transport to the rest of the body via the circulatory system.
Thyroid follicle cells synthesize the hormone thyroxine, which is also known as T4 because it contains four atoms of
iodine, and triiodothyronine, also known as T3 because it contains three atoms of iodine. Follicle cells are stimulated to
release stored T3 and T4 by thyroid stimulating hormone (TSH), which is produced by the anterior pituitary. These thyroid
hormones increase the rates of mitochondrial ATP production.
A third hormone, calcitonin, is produced by parafollicular cells of the thyroid either releasing hormones or inhibiting
hormones. Calcitonin release is not controlled by TSH, but instead is released when calcium ion concentrations in the blood
rise. Calcitonin functions to help regulate calcium concentrations in body fluids. It acts in the bones to inhibit osteoclast
activity and in the kidneys to stimulate excretion of calcium. The combination of these two events lowers body fluid levels
of calcium.
Parathyroid Glands
Most people have four parathyroid glands; however, the number can vary from two to six. These glands are located on the
posterior surface of the thyroid gland, as shown in Figure 28.17. Normally, there is a superior gland and an inferior gland
associated with each of the thyroid’s two lobes. Each parathyroid gland is covered by connective tissue and contains many
secretory cells that are associated with a capillary network.
Chapter 28 | The Endocrine System 1357
Figure 28.17 The parathyroid glands are located on the posterior of the thyroid gland. (credit: modification of work by
NCI)
The parathyroid glands produce parathyroid hormone (PTH). PTH increases blood calcium concentrations when calcium
ion levels fall below normal. PTH (1) enhances reabsorption of Ca2+ by the kidneys, (2) stimulates osteoclast activity
and inhibits osteoblast activity, and (3) it stimulates synthesis and secretion of calcitriol by the kidneys, which enhances
Ca2+ absorption by the digestive system. PTH is produced by chief cells of the parathyroid. PTH and calcitonin work in
opposition to one another to maintain homeostatic Ca2+ levels in body fluids. Another type of cells, oxyphil cells, exist
in the parathyroid but their function is not known. These hormones encourage bone growth, muscle mass, and blood cell
formation in children and women.
Adrenal Glands
The adrenal glands are associated with the kidneys; one gland is located on top of each kidney as illustrated in Figure
28.18. The adrenal glands consist of an outer adrenal cortex and an inner adrenal medulla. These regions secrete different
hormones.
Figure 28.18 The location of the adrenal glands on top of the kidneys is shown. (credit: modification of work by NCI)
Adrenal Cortex
The adrenal cortex is made up of layers of epithelial cells and associated capillary networks. These layers form three
distinct regions: an outer zona glomerulosa that produces mineralocorticoids, a middle zona fasciculata that produces
glucocorticoids, and an inner zona reticularis that produces androgens.
The main mineralocorticoid is aldosterone, which regulates the concentration of Na+ ions in urine, sweat, pancreas, and
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saliva. Aldosterone release from the adrenal cortex is stimulated by a decrease in blood concentrations of sodium ions,
blood volume, or blood pressure, or by an increase in blood potassium levels.
The three main glucocorticoids are cortisol, corticosterone, and cortisone. The glucocorticoids stimulate the synthesis of
glucose and gluconeogenesis, converting a non-carbohydrate to glucose, by liver cells and they promote the release of fatty
acids from adipose tissue. These hormones increase blood glucose levels to maintain levels within a normal range between
meals. These hormones are secreted in response to ACTH and levels are regulated by negative feedback.
Androgens are sex hormones that promote masculinity. They are produced in small amounts by the adrenal cortex in both
males and females. They do not affect sexual characteristics and may supplement sex hormones released from the gonads.
Adrenal Medulla
The adrenal medulla contains large, irregularly shaped cells that are closely associated with blood vessels. These cells are
innervated by preganglionic autonomic nerve fibers from the central nervous system.
The adrenal medulla contains two types of secretory cells: one that produces epinephrine, or adrenaline, and another that
produces norepinephrine, or noradrenaline. Epinephrine is the primary adrenal medulla hormone accounting for 75-80
percent of its secretions. Epinephrine and norepinephrine increase heart rate, breathing rate, cardiac muscle contractions,
blood pressure, and blood glucose levels. They also accelerate the breakdown of glucose in skeletal muscles and stored fats
in adipose tissue.
The release of epinephrine and norepinephrine is stimulated by neural impulses from the sympathetic nervous system.
Secretion of these hormones is stimulated by acetylcholine release from preganglionic sympathetic fibers innervating the
adrenal medulla. These neural impulses originate from the hypothalamus in response to stress to prepare the body for the
fight-or-flight response.
Pancreas
The pancreas, illustrated in Figure 28.19, is an elongated organ that is located between the stomach and the proximal
portion of the small intestine. It contains both exocrine cells that excrete digestive enzymes and endocrine cells that release
hormones. It is sometimes referred to as a heterocrine gland because it has both endocrine and exocrine functions.
Figure 28.19 The pancreas is found underneath the stomach and points toward the spleen. (credit: modification of
work by NCI)
The endocrine cells of the pancreas form clusters called pancreatic islets or the islets of Langerhans, as visible in the
micrograph shown in Figure 28.20. The pancreatic islets contain two primary cell types: alpha cells, which produce the
hormone glucagon, and beta cells, which produce the hormone insulin. These hormones regulate blood glucose levels. As
blood glucose levels decline, alpha cells release glucagon to raise the blood glucose levels by increasing rates of glycogen
breakdown and glucose release by the liver. When blood glucose levels rise, such as after a meal, beta cells release insulin to
lower blood glucose levels by increasing the rate of glucose uptake in most body cells, and by increasing glycogen synthesis
in skeletal muscles and the liver. Together, glucagon and insulin regulate blood glucose levels.
Chapter 28 | The Endocrine System 1359
Figure 28.20 The islets of Langerhans are clusters of endocrine cells found in the pancreas; they stain lighter than
surrounding cells. (credit: modification of work by Muhammad T. Tabiin, Christopher P. White, Grant Morahan, and
Bernard E. Tuch; scale-bar data from Matt Russell)
Pineal Gland
The pineal gland produces melatonin. The rate of melatonin production is affected by the photoperiod. Collaterals from the
visual pathways innervate the pineal gland. During the day photoperiod, little melatonin is produced; however, melatonin
production increases during the dark photoperiod (night). In some mammals, melatonin has an inhibitory affect on
reproductive functions by decreasing production and maturation of sperm, oocytes, and reproductive organs. Melatonin is
an effective antioxidant, protecting the CNS from free radicals such as nitric oxide and hydrogen peroxide. Lastly, melatonin
is involved in biological rhythms, particularly circadian rhythms such as the sleep-wake cycle and eating habits.
Gonads
The gonads—the male testes and female ovaries—produce steroid hormones. The testes produce androgens, testosterone
being the most prominent, which allow for the development of secondary sex characteristics and the production of sperm
cells. The ovaries produce estradiol and progesterone, which cause secondary sex characteristics and prepare the body for
childbirth.
Table 28.1
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Table 28.1
endocrine function. Renin is released in response to decreased blood volume or pressure and is part of the renin-angiotensin-
aldosterone system that leads to the release of aldosterone. Aldosterone then causes the retention of Na+ and water, raising
blood volume. The kidneys also release calcitriol, which aids in the absorption of Ca2+ and phosphate ions. Erythropoietin
(EPO) is a protein hormone that triggers the formation of red blood cells in the bone marrow. EPO is released in response
to low oxygen levels. Because red blood cells are oxygen carriers, increased production results in greater oxygen delivery
throughout the body. EPO has been used by athletes to improve performance, as greater oxygen delivery to muscle cells
allows for greater endurance. Because red blood cells increase the viscosity of blood, artificially high levels of EPO can
cause severe health risks.
The thymus is found behind the sternum; it is most prominent in infants, becoming smaller in size through adulthood. The
thymus produces hormones referred to as thymosins, which contribute to the development of the immune response.
Adipose tissue is a connective tissue found throughout the body. It produces the hormone leptin in response to food intake.
Leptin increases the activity of anorexigenic neurons and decreases that of orexigenic neurons, producing a feeling of satiety
after eating, thus affecting appetite and reducing the urge for further eating. Leptin is also associated with reproduction. It
must be present for GnRH and gonadotropin synthesis to occur. Extremely thin females may enter puberty late; however, if
adipose levels increase, more leptin will be produced, improving fertility.
Section Summary
The pituitary gland is located at the base of the brain and is attached to the hypothalamus by the infundibulum. The anterior
pituitary receives products from the hypothalamus by the hypophyseal portal system and produces six hormones. The
posterior pituitary is an extension of the brain and releases hormones—antidiuretic hormone and oxytocin—produced by
the hypothalamus.
The thyroid gland is located in the neck and is composed of two lobes connected by the isthmus. The thyroid is made
up of follicle cells that produce the hormones thyroxine and triiodothyronine. Parafollicular cells of the thyroid produce
calcitonin. The parathyroid glands lie on the posterior surface of the thyroid gland and produce parathyroid hormone.
The adrenal glands are located on top of the kidneys and consist of the renal cortex and renal medulla. The adrenal cortex
is the outer part of the adrenal gland and produces the corticosteroids, glucocorticoids, and mineralocorticoids. The adrenal
medulla is the inner part of the adrenal gland and produces the catecholamines epinephrine and norepinephrine.
The pancreas lies in the abdomen between the stomach and the small intestine. Clusters of endocrine cells in the pancreas
form the islets of Langerhans, which are composed of alpha cells that release glucagon and beta cells that release insulin.
Some organs possess endocrine activity as a secondary function but have another primary function. The heart produces
the hormone atrial natriuretic peptide, which functions to reduce blood volume, pressure, and Na+ concentration. The
gastrointestinal tract produces various hormones that aid in digestion. The kidneys produce renin, calcitriol, and
erythropoietin. Adipose tissue produces leptin, which promotes satiety signals in the brain.
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KEY TERMS
acromegaly condition caused by overproduction of GH in adults
adenylate cyclase enzyme that catalyzes the conversion of ATP to cyclic AMP
adrenal medulla inner portion of adrenal glands that produces epinephrine and norepinephrine
adrenocorticotropic hormone (ACTH) hormone released by the anterior pituitary, which stimulates the adrenal cortex
to release corticosteroids during the long-term stress response
aldosterone steroid hormone produced by the adrenal cortex that stimulates the reabsorption of Na+ from extracellular
fluids and secretion of K+.
alpha cell endocrine cell of the pancreatic islets that produces the hormone glucagon
anterior pituitary portion of the pituitary gland that produces six hormones; also called adenohypophysis
antidiuretic hormone (ADH) hormone produced by the hypothalamus and released by the posterior pituitary that
increases water reabsorption by the kidneys
atrial natriuretic peptide (ANP) hormone produced by the heart to reduce blood volume, pressure, and Na+
concentration
beta cell endocrine cell of the pancreatic islets that produces the hormone insulin
calcitonin hormone produced by the parafollicular cells of the thyroid gland that functions to lower blood Ca2+ levels and
promote bone growth
colloid fluid inside the thyroid gland that contains the glycoprotein thyroglobulin
diabetogenic effect effect of GH that causes blood glucose levels to rise similar to diabetes mellitus
down-regulation decrease in the number of hormone receptors in response to increased hormone levels
endocrine gland gland that secretes hormones into the surrounding interstitial fluid, which then diffuse into blood and
are carried to various organs and tissues within the body
epinephrine hormone released by the adrenal medulla in response to a short term stress
erythropoietin (EPO) hormone produced by the kidneys to stimulate red blood cell production in the bone marrow
Chapter 28 | The Endocrine System 1363
estrogens group of steroid hormones, including estradiol and several others, that are produced by the ovaries and elicit
secondary sex characteristics in females as well as control the maturation of the ova
first messenger hormone that binds to a plasma membrane hormone receptor to trigger a signal transduction pathway
follicle-stimulating hormone (FSH) hormone produced by the anterior pituitary that stimulates gamete production
G-protein membrane protein activated by the hormone first messenger to activate formation of cyclic AMP
glucagon hormone produced by the alpha cells of the pancreas in response to low blood sugar; functions to raise blood
sugar levels
glucose-sparing effect effect of GH that causes tissues to use fatty acids instead of glucose as an energy source
goiter enlargement of the thyroid gland caused by insufficient dietary iodine levels
growth hormone (GH) hormone produced by the anterior pituitary that promotes protein synthesis and body growth
growth hormone-inhibiting hormone (GHIH) hormone produced by the hypothalamus that inhibits growth hormone
production, also called somatostatin
growth hormone-releasing hormone (GHRH) hormone released by the hypothalamus that triggers the release of GH
humoral stimuli control of hormone release in response to changes in extracellular fluids such as blood or the ion
concentration in the blood
hypophyseal portal system system of blood vessels that carries hormones from the hypothalamus to the anterior
pituitary
insulin hormone produced by the beta cells of the pancreas in response to high blood glucose levels; functions to lower
blood glucose levels
isthmus tissue mass that connects the two lobes of the thyroid gland
leptin hormone produced by adipose tissue that promotes feelings of satiety and reduces hunger
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norepinephrine hormone released by the adrenal medulla in response to a short-term stress hormone production by the
gonads
osmoreceptor receptor in the hypothalamus that monitors the concentration of electrolytes in the blood
oxytocin hormone released by the posterior pituitary to stimulate uterine contractions during childbirth and milk let-down
in the mammary glands
pancreas organ located between the stomach and the small intestine that contains exocrine and endocrine cells
parathyroid gland gland located on the surface of the thyroid that produces parathyroid hormone
parathyroid hormone (PTH) hormone produced by the parathyroid glands in response to low blood Ca2+ levels;
functions to raise blood Ca2+ levels
pituitary gland endocrine gland located at the base of the brain composed of an anterior and posterior region; also called
hypophysis
pituitary stalk also, infundibulum, stalk that connects the pituitary gland to the hypothalamus
plasma membrane hormone receptor hormone receptor on the surface of the plasma membrane of a cell
posterior pituitary extension of the brain that releases hormones produced by the hypothalamus; along with the
infundibulum, it is also referred to as the neurohypophysis
prolactin (PRL) hormone produced by the anterior pituitary that stimulates milk production
prolactin-inhibiting hormone hormone produced by the hypothalamus that inhibits the release of prolactin
prolactin-releasing hormone hormone produced by the hypothalamus that stimulates the release of prolactin
renin enzyme produced by the juxtaglomerular apparatus of the kidneys that reacts with angiotensinogen to cause the
release of aldosterone
thymus gland located behind the sternum that produces thymosin hormones that contribute to the development of the
immune system
thyroglobulin glycoprotein found in the thyroid that is converted into thyroid hormone
thyroid gland endocrine gland located in the neck that produces thyroid hormones thyroxine and triiodothyronine
thyroid-stimulating hormone (TSH) hormone produced by the anterior pituitary that controls the release of T3 and T4
from the thyroid gland
thyroxine (tetraiodothyronine, T4) thyroid hormone that controls the basal metabolic rate
triiodothyronine (T3) thyroid hormone that controls the basal metabolic rate
up-regulation increase in the number of hormone receptors in response to increased hormone levels
Chapter 28 | The Endocrine System 1365
CHAPTER SUMMARY
28.1 Types of Hormones
There are three basic types of hormones: lipid-derived, amino acid-derived, and peptide. Lipid-derived hormones are
structurally similar to cholesterol and include steroid hormones such as estradiol and testosterone. Amino acid-derived
hormones are relatively small molecules and include the adrenal hormones epinephrine and norepinephrine. Peptide
hormones are polypeptide chains or proteins and include the pituitary hormones, antidiuretic hormone, or vasopressin, and
oxytocin.
Hormones cause cellular changes by binding to receptors on target cells. The number of receptors on a target cell can
increase or decrease in response to hormone activity. Hormones can affect cells directly through intracellular hormone
receptors or indirectly through plasma membrane hormone receptors.
Lipid-derived, soluble, hormones can enter the cell by diffusing across the plasma membrane and binding to DNA to
regulate gene transcription and to change the cell’s activities by inducing production of proteins that affect, in general, the
long-term structure and function of the cell. Lipid insoluble hormones bind to receptors on the plasma membrane surface
and trigger a signaling pathway to change the cell’s activities by inducing production of various cell products that affect
the cell in the short-term. The hormone is called a first messenger and the cellular component is called a second
messenger. G-proteins activate the second messenger—cyclic AMP—triggering the cellular response. Response to
hormone binding is amplified as the signaling pathway progresses. Cellular responses to hormones include the production
of proteins and enzymes and altered membrane permeability.
Water levels in the body are controlled by antidiuretic hormone (ADH), which is produced in the hypothalamus and
triggers the reabsorption of water by the kidneys. Underproduction of ADH can cause diabetes insipidus. Aldosterone, a
hormone produced by the adrenal cortex of the kidneys, enhances Na+ reabsorption from the extracellular fluids and
subsequent water reabsorption by diffusion. The renin-angiotensin-aldosterone system is one way that aldosterone release
is controlled.
The reproductive system is controlled by the gonadotropins follicle-stimulating hormone (FSH) and luteinizing hormone
(LH), which are produced by the pituitary gland. Gonadotropin release is controlled by the hypothalamic hormone
gonadotropin-releasing hormone (GnRH). FSH stimulates the maturation of sperm cells in males and is inhibited by the
hormone inhibin, while LH stimulates the production of the androgen testosterone. FSH stimulates egg maturation in
females, while LH stimulates the production of estrogens and progesterone. Estrogens are a group of steroid hormones
produced by the ovaries that trigger the development of secondary sex characteristics in females as well as control the
maturation of the ova. In females, the pituitary also produces prolactin, which stimulates milk production after childbirth,
and oxytocin, which stimulates uterine contraction during childbirth and milk let-down during suckling.
Insulin is produced by the pancreas in response to rising blood glucose levels and allows cells to utilize blood glucose and
store excess glucose for later use. Diabetes mellitus is caused by reduced insulin activity and causes high blood glucose
levels, or hyperglycemia. Glucagon is released by the pancreas in response to low blood glucose levels and stimulates the
breakdown of glycogen into glucose, which can be used by the body. The body’s basal metabolic rate is controlled by the
thyroid hormones thyroxine (T4) and triiodothyronine (T3). The anterior pituitary produces thyroid stimulating hormone
(TSH), which controls the release of T3 and T4 from the thyroid gland. Iodine is necessary in the production of thyroid
hormone, and the lack of iodine can lead to a condition called goiter.
Parathyroid hormone (PTH) is produced by the parathyroid glands in response to low blood Ca2+ levels. The parafollicular
cells of the thyroid produce calcitonin, which reduces blood Ca2+ levels. Growth hormone (GH) is produced by the
anterior pituitary and controls the growth rate of muscle and bone. GH action is indirectly mediated by insulin-like growth
factors (IGFs). Short-term stress causes the hypothalamus to trigger the adrenal medulla to release epinephrine and
norepinephrine, which trigger the fight or flight response. Long-term stress causes the hypothalamus to trigger the anterior
pituitary to release adrenocorticotropic hormone (ACTH), which causes the release of corticosteroids, glucocorticoids, and
mineralocorticoids, from the adrenal cortex.
Hormone levels are primarily controlled through negative feedback, in which rising levels of a hormone inhibit its further
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release. The three mechanisms of hormonal release are humoral stimuli, hormonal stimuli, and neural stimuli. Humoral
stimuli refers to the control of hormonal release in response to changes in extracellular fluid levels or ion levels. Hormonal
stimuli refers to the release of hormones in response to hormones released by other endocrine glands. Neural stimuli refers
to the release of hormones in response to neural stimulation.
The pituitary gland is located at the base of the brain and is attached to the hypothalamus by the infundibulum. The
anterior pituitary receives products from the hypothalamus by the hypophyseal portal system and produces six hormones.
The posterior pituitary is an extension of the brain and releases hormones—antidiuretic hormone and oxytocin—produced
by the hypothalamus.
The thyroid gland is located in the neck and is composed of two lobes connected by the isthmus. The thyroid is made up of
follicle cells that produce the hormones thyroxine and triiodothyronine. Parafollicular cells of the thyroid produce
calcitonin. The parathyroid glands lie on the posterior surface of the thyroid gland and produce parathyroid hormone.
The adrenal glands are located on top of the kidneys and consist of the renal cortex and renal medulla. The adrenal cortex
is the outer part of the adrenal gland and produces the corticosteroids, glucocorticoids, and mineralocorticoids. The adrenal
medulla is the inner part of the adrenal gland and produces the catecholamines epinephrine and norepinephrine.
The pancreas lies in the abdomen between the stomach and the small intestine. Clusters of endocrine cells in the pancreas
form the islets of Langerhans, which are composed of alpha cells that release glucagon and beta cells that release insulin.
Some organs possess endocrine activity as a secondary function but have another primary function. The heart produces the
hormone atrial natriuretic peptide, which functions to reduce blood volume, pressure, and Na + concentration. The
gastrointestinal tract produces various hormones that aid in digestion. The kidneys produce renin, calcitriol, and
erythropoietin. Adipose tissue produces leptin, which promotes satiety signals in the brain.
REVIEW QUESTIONS
1. Although most types of hormones are lipid insoluble, there are some that are lipid soluble and can therefore diffuse
through plasma membranes. What class of hormones can diffuse through plasma membranes?
a. lipid-derived hormones
b. amino acid-derived hormones
c. peptide hormones
d. glycoprotein hormones
2. Mary produces relatively low amounts of estradiol and cortisol, but is able to produce proper amounts of other
hormones such as thyroxine and insulin. Identify the chemical class of hormones that Mary has difficulty producing.
a. lipid-derived hormones
b. amino acid-derived hormones
c. peptide hormones
d. glycoprotein hormones
3. An endocrinologist is a physician whose specialty is treating endocrine-related disorders. Which of the following
diseases would be monitored and treated by an endocrinologist?
a. schizophrenia
b. Alzheimer’s disease
c. Parkinson’s disease
d. Grave’s disease
4. Robert underwent a test to determine if he was diabetic. Within 1.5 hours of eating, his blood glucose was normal. What
can be determined from these results?
Chapter 28 | The Endocrine System 1367
19. Charlie has been diagnosed with acromegaly. Identify the symptom(s) that he may have.
a. symmetric body formation
b. excessive body growth
c. enlarged hand, feet, and face bones
d. weak bones and nervous system impairment
20. What hormone is produced by beta cells of the pancreas in response to elevated blood glucose levels?
a. T3
b. glucagon
c. insulin
d. T4
21. There are substantially more hormones that undergo a negative-feedback loop than a positive-feedback loop. Which of
the following hormones is regulated by a positive-feedback loop.
a. thyroxine
b. oxytocin
c. triiodothyronine
d. insulin
22. Describe what occurs if a hormone is released by a hormonal stimulus.
a. Hormone release is stimulated by the nervous system.
b. Hormone release is stimulated by change in the blood.
c. Hormone release is stimulated by the external environment.
d. Hormone release is stimulated by another hormone.
23. A rise in blood glucose levels triggers release of insulin from the pancreas. What type of stimulus initiates insulin
release?
a. humoral
b. hormonal
c. neural
d. negative
24. Why is the release of thyroid stimulating hormone (TSH) considered a hormonal stimulus?
a. TSH production is triggered by the nervous system.
b. TSH production is triggered by blood ion concentration change.
c. TSH triggers epinephrine production.
d. TSH triggers the production of T3 and T4.
25. What kind of stimulus promotes hormone release in response to ion concentrations in the blood?
a. humoral stimulus
b. hormonal stimulus
c. neural stimulus
d. negative stimulus
26. Which of the following endocrine glands control kidney function?
a. thyroid glands
b. adrenal glands
c. gonads
d. pancreas
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a. It is stored in the pancreas and is released as glucose increases in the blood to enhance the rate of glucose uptake.
b. It is stored in the liver and is released as glucose increases in the blood to enhance the rate of glucose uptake.
c. It is stored in the pancreas and is released as glucose levels decrease in blood to decrease the rate of glucose
uptake.
d. It is stored in the liver and is released as glucose levels decrease in the blood to decrease the rate of glucose
uptake.
39. Ralph is always thirsty and recently learned that he synthesizes mutated antidiuretic hormone (ADH). Discuss why
Ralph would be at higher risk for diabetes insipidus.
a. ADH helps in the loss of water. Overproduction of ADH would cause improper functioning of kidneys.
b. Underproduction of ADH inhibits the release of aldosterone that would cause improper functioning of kidneys.
c. ADH helps retain water. Underproduction of ADH would cause improper functioning of kidneys.
d. ADH helps in retaining electrolytes. Underproduction of ADH causes improper functioning of kidneys.
40. Describe how stress promotes water retention, which can lead to weight gain.
a. Stress decreases osmolality, which increases antidiuretic hormone secretion. Antidiuretic hormone helps retain
water.
b. Stress increases osmolality, which increases antidiuretic hormone secretion. Antidiuretic hormone helps retain
water.
c. Stress increases osmolality, which decreases antidiuretic hormone secretion. Antidiuretic hormone helps with
water loss.
d. Stress decreases osmolality, which decreases antidiuretic hormone secretion. Antidiuretic hormone helps with
water loss.
41. Identify which type of feedback mechanism primarily controls hormone production and release and explain why this
occurs.
a. Positive-feedback loop to help maintain the water concentration in the body.
b. Negative-feedback loop to help maintain the water concentration in the body.
c. Negative-feedback loop to help maintain proper bodily functions within a specific range.
d. Positive-feedback loop to help maintain proper bodily functions within a specific range.
42. Compare and contrast humoral and hormonal stimuli.
a. Both humoral and hormonal stimuli release proteins. Humoral stimuli are hormones that stimulate other
hormones, whereas hormonal stimuli are extracellular fluid-related stimuli.
b. Both humoral and hormonal stimuli release proteins. Humoral stimuli are extracellular fluid-related stimuli,
whereas hormonal stimuli are hormones that stimulate other hormones.
c. Both humoral and hormonal stimuli release hormones. Humoral stimuli are extracellular fluid-related stimuli,
whereas hormonal stimuli are hormones that stimulate other hormones.
d. Both humoral and hormonal stimuli release hormones. Humoral stimuli are hormones that stimulate other
hormones, whereas hormonal stimuli are extracellular fluid-related stimuli.
43. Explain why it would be problematic if most hormones were regulated by a positive-feedback loop.
a. Excessive production of actions would be stimulated by hormones such as growth and blood glucose levels.
b. Production of actions would be reduced by hormones such as growth and blood glucose levels.
c. Inhibition of GnRH production by increase in gonad hormone levels.
d. Inhibition of release of insulin by decrease in blood glucose concentrations.
44. Identify what aldosterone regulates and explain how it is stimulated.
Chapter 28 | The Endocrine System 1373
a. Aldosterone regulates the amount of water excreted by the kidneys and causes direct water reabsorption from the
kidney tubules. It is stimulated by decreased water concentration in blood, or increased amounts of blood
potassium.
b. Aldosterone regulates sodium concentrations in urine, sweat, the pancreas, and saliva. It is stimulated by
decreased blood sodium ion concentrations, blood volume, or blood pressure, or increased amounts of blood
potassium.
c. Aldosterone regulates calcium concentrations in urine, saliva and the pancreas. It is stimulated by decreased
blood calcium ion concentrations, blood pressure, blood volume, or increased amounts of blood potassium.
d. Aldosterone regulates blood glucose levels by stimulating the breakdown of glycogen to glucose. It is stimulated
by decreased concentrations of glucose levels in blood, blood volume, or blood pressure.
45. Discuss which aspect of the endocrine system often renders extremely thin females less fertile. Explain why this
occurs.
a. Adipose tissue releases leptin, which is needed to produce gonadotropin-releasing hormone and gonadotropin.
Leptin cannot be released without sufficient body fat.
b. Adipose tissue releases thymosins needed to produce gonadotropin-releasing hormone and gonadotropin.
Thymosins cannot be produced without sufficient body fat.
c. Adipose tissue releases leptin needed to produce gonadotropin-releasing hormone and gonadotropin. Leptins
cannot be produced in the absence of body fat.
d. Adipose tissue releases leptin needed to produce estrogens and progesterone. Leptin cannot be released without
sufficient body fat.
46. The adrenal medulla secretes two types of hormones. Identify what is secreted and describe their functions.
a. They secrete cortisol and aldosterone, which increase heart rate, breathing rate, muscle contractions, blood
pressure, and blood glucose as short-term stress responses.
b. They secrete epinephrine and norepinephrine, which increase heart rate, breathing rate, muscle contractions,
blood pressure, and blood glucose as long-term stress response.
c. They secrete cortisol and aldosterone, which increase heart rate, breathing rate, muscle contractions, blood
pressure, and blood glucose as long-term stress responses.
d. They secrete epinephrine and norepinephrine, which increase heart rate, breathing rate, muscle contractions,
blood pressure, and blood glucose as short-term stress responses.
a.
b.
c.
48. Hormones are essential for facilitating communication between cells, which can help maintain homeostasis within the
body. Explain how hormones facilitate communication on a molecular level.
a. A hormone is released in response to a stimulus, travels through the body, and then binds to receptors of the
target cell to illicit a response.
b. A hormone is released from the pituitary gland in response to a stimulus, travels through the body, and then
binds to a receptor of a target cell to illicit response.
c. A hormone is released in response to a stimulus, travels through the body, and then binds to receptors to
stimulate the signaling pathway.
d. A hormone is released in response to a stimulus, travels through the body and then binds to the intracellular
receptors of target cells to illicit a response.
49. Steroid hormones are known to circulate in the blood longer than peptide hormones. Describe why this occurs.
a. Peptide hormones cannot pass through cell membranes.
b. Steroid hormones are water insoluble.
c. Peptide hormones are water insoluble.
d. Steroid hormones cannot pass through cell membranes.
Chapter 28 | The Endocrine System 1375
50. Lipid-derived hormones, such as steroid hormones, utilize intracellular receptors, whereas peptide and amino acid-
derived hormones utilize cell surface receptors. Discuss why these hormones utilize different types of receptors.
a. Lipid-derived hormones have receptors located in the nucleus, and thus utilize intracellular receptors, whereas
peptide and amino acid-derived hormones have receptors only on the surface of the cell.
b. Lipid-derived hormones can permeate the plasma membrane and thus utilize intracellular receptors. Peptide and
amino acid- derived hormones are lipid insoluble and thus require cell surface receptors.
c. Lipid-derived hormones can permeate plasma membranes as they need to remain in circulation for a longer
duration. Peptide and amino acid-derived hormones are lipid insoluble and need surface receptors.
d. Lipid-derived hormones can permeate plasma membranes and thus utilize intracellular receptors. Some peptide
and amino acid-derived hormones can cross the membrane but most are lipid insoluble and thus require cell
surface receptors.
51. There are three types of hormones based on chemical structure: lipid-derived, amino acid-derived, and peptide
hormones. Which structure represents the peptide hormone?
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a.
b.
c.
d.
52. Cellular activity can vary based on sensitivity to hormones, and cellular activity can therefore either be up-regulated or
down-regulated by those hormones. What would likely cause a greater response from cells that are controlled by a
hormone?
Chapter 28 | The Endocrine System 1377
a. hormone levels increase and the number of target cell receptors increase
b. hormone levels decrease and the number of target cell receptors increase
c. hormone levels increase and the number of target cell receptors decrease
d. hormone levels decrease and the number of target cell receptors decrease
53. What kind of hormone is undergoing binding in this figure? Explain how you know.
a. a lipid-derived hormone because it is fat insoluble and therefore able to bind to receptors on the outer surface of
the plasma membrane
b. a lipid-derived hormone because it is fat soluble and therefore able to pass through the cell membrane to reach
intracellular receptors
c. a polypeptide-derived hormone because it is fat soluble and therefore able to pass through the cell membrane to
reach intracellular receptors
d. a polypeptide-derived hormone because it is fat insoluble and therefore binds to receptors on the outer surface of
the plasma membrane
54. In this figure, what kind of hormone is bound to the target cell receptor?
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a. steroid
b. lipid-derived
c. estradiol
d. amino acid-derived
55. Blood pressure and blood volume are increased by the production of the hormones antidiuretic hormone (ADH) and
aldosterone. Describe how renin promotes release of ADH and aldosterone.
a. Renin cleaves angiotensinogen.
b. Renin directly simulates ADH and aldosterone production.
c. Renin produces angiotensin II.
d. Angiotensin I is converted in to angiotensin II.
56. Antidiuretic hormone (ADH) is essential for water regulation in the kidneys. Once released from the pituitary, ADH
travels through to the kidneys. Explain how ADH promotes water reabsorption.
a. ADH initiates a series of events that lead to release of more vasopressin hormone in the kidney, leading to the
movement of water out of kidneys
b. ADH initiates a series of events that lead to temporary insertion of aquaporins in the kidney, through which
water moves in the kidney.
c. ADH initiates a series of events leading to temporary insertion of aquaporins in the kidney, through which water
moves out of the kidneys.
d. ADH initiates a series of events that leads to the movement of water out of the kidneys through simple diffusion.
57. David, an athlete, wants to enhance his baseball performance by taking erythropoietin. Identify what David is trying to
change.
a. build more muscle
b. improve endurance
c. reduce fertility
d. decrease need to urinate
58. Some athletes may want to take synthetic hormones to improve their performance in their given sport. However, the
use of certain synthetic hormones is banned in many professional sports. Explain why synthetic hormones are often
banned.
Chapter 28 | The Endocrine System 1379
a. There can be severe side effects such as insomnia, depression, and prostate enlargement. These side effects are
often severe and irreversible.
b. There can be severe side effects such as impaired heart function, testicular atrophy, and prostate enlargement.
These side effects can be cured through surgeries.
c. There can be severe side effects such as impaired heart function, testicular atrophy, and prostate enlargement.
These are often severe and irreversible.
d. There can be severe side effects such as insomnia, depression, and prostate enlargement. These side effects can
be cured through surgeries.
59. This figure shows how growth hormone communicates with cells to promote muscle and bone growth.
a. Growth hormone is able to break down triglycerides through lipogenesis. When triglycerides are released, most
tissues switch to fatty acids as energy sources.
b. Growth hormone is able to break down triglycerides through lipolysis. When triglycerides are released, most
tissues switch to fatty acids as an energy source.
c. Growth hormone is able to break down triglycerides through lipolysis. When triglycerides are released, most
tissues switch to glucose as an energy source.
d. Growth hormone is able to break down triglycerides through lipogenesis. When triglycerides are released, most
tissues switch to glucose as an energy source.
61. Positive-feedback loops are rare in the endocrine system but some do exist. Identify an example of a positive-feedback
loop.
a. Insulin facilitates decrease of blood sugar levels.
b. Oxytocin release stimulates milk release.
c. Increased blood calcium levels halt PTH production.
d. Increased amounts of T3 and T4 inhibit further production.
62. Although positive-feedback loops are rare in the endocrine system, they are present in childbirth. Explain how
childbirth is controlled by a positive-feedback loop.
a. When a child pushes on the cervix, a signal is sent to stimulate oxytocin release, which stimulates more
contractions. This promotes more oxytocin release that allows the child to be pushed through the birth canal.
b. When a child pushes on the cervix, a signal is sent to stimulate oxytocin release, which stimulates contractions.
This promotes the release of progesterone that allows the child to be pushed through the birth canal.
c. When a child pushes on the cervix, a signal is sent to stimulate prolactin release, which stimulates more
contractions. This promotes the release of more prolactin that allows the child to be pushed through the birth
canal.
d. When a child pushes on the cervix, a signal is sent to stimulate progesterone release, which stimulates
contractions. This promotes the release of oxytocin that allows the child to be pushed through the birth canal.
63. Osmoreceptors are essential for monitoring water concentrations within the body. Describe how osmoreceptors
complete this task.
a. Osmoreceptors insert aquaporins in the kidneys.
b. Osmoreceptors signal increase sodium reabsorption.
c. Osmoreceptors detect when blood electrolyte levels change.
d. Osmoreceptors signal increased sodium reabsorption.
64. Laura has Type 1 diabetes and her body cannot properly produce insulin in response to elevated blood glucose levels.
Identify which type of stimulus Laura is unable to respond to.
a. humoral
b. hormonal
c. neural
d. negative
65. Terry recently gained weight and has been more tired than usual. Terry’s doctor suggested that he might not produce
enough thyroid-stimulating hormone (TSH). Explain why a TSH deficiency could cause Terry’s weight gain and fatigue.
a. Without TSH, there would be excessive production of T3 and T4 leading to a high metabolic rate, causing weight
gain and fatigue.
b. Without TSH, there would be excessive production of T3 and T4 leading to a low metabolic rate, causing weight
gain and fatigue.
c. Without TSH, T3 and T4 cannot be properly produced, leading to a high metabolic rate, causing weight gain and
fatigue.
d. Without TSH, T3 and T4 cannot be properly produced, leading to a low metabolic rate, causing weight gain and
fatigue.
Chapter 28 | The Endocrine System 1381
66. Marcus experienced nervous system damage in a car accident. Identify which of the following endocrine-related body
functions will be most likely impaired as a result.
a. ability to lower blood glucose levels
b. fight-or-flight response
c. urine production
d. body heat regulation
◦ separate selection of signaling molecules and the proteins that detect them
◦ constitutive (always transcribed) expression
◦ the possible effect of gene deletion
d. Evaluate the legitimacy of a claim that a hormone is not present although the receptor for that hormone has been
found.
Genes for receptors and the hormones to which they bind are often found on different chromosomes and have
co-evolved. Other ligands may have an affinity for orphaned receptors. By understanding the three-dimensional
shape of the ligand binding site of a nuclear receptor, new drugs can be developed to match the site and regulate
expression when the endocrine system fails. Even greater flexibility in drug design is allowed when small
molecules, called positive (PAM) and negative (NAM) allosteric modulators, change the shape of the ligand
binding site. The receptors for follicle stimulating hormone (FSH) and luteinizing hormone (LH) were subjects
in a drug discovery program using PAMs and NAMs (Nataraja et al, Frontiers in Endocrinology, 6, 2015).
e. Explain how the refinement of nuclear receptor by attachment of a molecule other than the ligand of the
receptor can increase the level of expression of genes targeted by the transcription factor.
68. Gonadotrophin-releasing hormone (GnRH) stimulates the production of follicle-stimulating hormone (FSH) and
luteinizing hormone (LH). The concentration of these hormones over time in females regulates the menstrual cycle. GnRH
expressing neurons (GEN) are scattered throughout the forebrain and hypothalamus and secrete into ducts leading to the
pituitary gland, causing the secretion of FSH and LH into the bloodstream. Ca+2 concentrations oscillate in time, changing
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the electric membrane potential of the GnRH neurons, GEN. The period of the oscillation is only a few seconds in
duration. The mechanism controlling the oscillating membrane potential is unknown, but during maturation the frequency
of the oscillations of the Ca+2 concentration in the GEN increases.
Chapter 28 | The Endocrine System 1383
a. Explain how the absence of direct contact among the GnRH neurons and the coordinated release of FSH and
LH suggest another timing mechanism.
An association of high concentrations of anti-Mullerian hormone (AMH) and elevated LH levels among women
with a common reproductive disorder called polycystic ovary syndrome (PCOS) caused investigators to study
the effects of AMH on membrane potentials of GnRH expressing neurons. The researchers (Cimino et al, Nature
Communications, 7, 2016) found that very small concentrations of AMH initiated oscillations.
b. The graph illustrates the time dependence of LH and estrogen in the blood of a female. A goal of research in
human reproductive physiology is to construct a model that accounts for the spike in luteinizing hormone at
approximately 14 days. Predict how a positive feedback loop involving the release of a hormone such as AMH
could be used to account for this response. Explain why estrogen is probably not a good candidate for use in this
model.
Figure 28.21
FSH and LH inhibit production of GnRH. Exposure of ovarian follicles to high levels of FSH and LH causes the
follicle to rupture, releasing an oocyte to the oviduct. Birth control drugs suppress the LH surge by maintaining a
constant blood concentration of progesterone (PG). After 40 years of use, the mechanism of suppression is still
unknown. However, we do know that during pregnancy progesterone levels remain elevated and that cells in
both the pituitary gland and GnRH expressing neurons (GEN) have progesterone nuclear receptors (PGR) that
act as transcription factors to either i) inhibit production of GnRH possibly by blocking transcription of GNRH1,
the gene coding for GnRH, or ii) inhibit production of LH by blocking transcription in the GnRH neurons of the
gene, LH1, coding for LH.
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c. Construct two alternative explanations of the role of progesterone as a birth control drug. Your explanation
can be in the form of descriptions or in terms of diagrams involving the key molecular components PG, PGR,
LH, LH1, GEN, GnRH, and GnRH1.
An endocrine disruptor is a molecule with a structure that mimics a hormone and can interfere with regulation.
The chemical bis-phenol A (BPA) has been used for many years in the production of plastics and is now
widespread. BPA mimics estrogen. BPA is present in most humans at the concentration of 5 micrograms per
kilogram of body weight. Whether or not that concentration is harmful is uncertain.
In a study of Ca+2 oscillations in GnRH expressing neurons, Klenke and co-workers (Endocrinology, 157, 2016)
presented evidence that BPA switches off oscillations even at these very low concentrations. This suggests a
mechanism for the results from an earlier investigation in which female rats were fed low and high levels of
estrogen (EE) and BPA during pregnancy. Measurements were made of the levels of expression of an estrogen
nuclear receptor in the hypothalamus of the pups just after birth (Cao et al, Toxicological Sciences, 133, 2013).
Their data are shown in the graph below.
Figure 28.22
Using the data, the graph at the left compares expression in a “do-nothing” control (Naïve) and a control
(Vehicle) in which a feeding tube is used to deliver nutrients during pregnancy The graph at the right shows
expression levels in pups born to female rats with four different treatments of estrogen (EE) and bis-phenol A
(BPA).
d. Compared to the naïve control where homeostasis is not disrupted, qualitatively analyze these data for the
disruption of the endocrine system in offspring of a female rat exposed to both physical and chemical stresses.
e. In female sheep, the estrus cycle is coordinated by the length of the day and does not begin until day length
shortens. The gestation period of sheep is roughly 150 days.
◦ Predict the effect on fitness of this control of gene expression by an external stimulus.
◦ The “ram effect” is a livestock management practice in Australia to induce ovulation by exposing an
anestrus (when the estrus cycle is inactive) ewe to a ram. Compare this phenomenon with the results of
delivering nutrients and hormones using a feeding tube to construct a possible explanation for the ram
effect.
REFERENCES
28.0 Introduction
Lee, C. et al. (2015, March 3). The mitochondrial-derived peptide MOTS-c promotes metabolic homeostasis and reduces
obesity and insulin resistance. Cell Metabolism, 21(3), 443. doi: 10.1016/j.cmet.2015.02.009.
Chapter 29 | The Musculoskeletal System 1385
29 | THE
MUSCULOSKELETAL
SYSTEM
Figure 29.1 Improvements in the design of prostheses have allowed for a wider range of activities in recipients. (credit:
modification of work by Stuart Grout)
Chapter Outline
29.1: Types of Skeletal Systems
29.2: Bone
29.3: Joints and Skeletal Movement
29.4: Muscle Contraction and Locomotion
Introduction
The muscular and skeletal systems provide support to the body and allow for a wide range of movement. The bones of the
skeletal system protect the body’s internal organs and support the weight of the body. The muscles of the muscular system
contract and pull on the bones, allowing for movements as diverse as standing, walking, running, and grasping items.
Injury or disease affecting the musculoskeletal system can be very debilitating. In humans, the most common
musculoskeletal diseases worldwide are caused by malnutrition. Ailments that affect the joints are also widespread, such
as arthritis, which can make movement difficult and—in advanced cases—completely impair mobility. In severe cases in
which the joint has suffered extensive damage, joint replacement surgery may be needed.
Progress in the science of prosthesis design has resulted in the development of artificial joints (Figure 29.1), with joint
replacement surgery in the hips and knees being the most common. Replacement joints for shoulders, elbows, and fingers
are also available. Even with this progress, there is still room for improvement in the design of prostheses. The state-of-the-
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art prostheses have limited durability and therefore wear out quickly, particularly in young or active individuals.
The field of robotic prosthesis focuses on prosthetics that are attached directly to the skeleton and can be controlled by the
mind by using implanted neuromuscular interfaces. You can read more about this exciting research at the Science Daily
website (http://openstaxcollege.org/l/32prosthesis) .
Hydrostatic Skeleton
A hydrostatic skeleton is a skeleton formed by a fluid-filled compartment within the body, called the coelom. The organs
of the coelom are supported by the aqueous fluid, which also resists external compression. This compartment is under
hydrostatic pressure because of the fluid and supports the other organs of the organism. This type of skeletal system is found
in soft-bodied animals such as sea anemones, earthworms, Cnidaria, and other invertebrates (Figure 29.2).
Figure 29.2 The skeleton of the red-knobbed sea star (Protoreaster linckii) is an example of a hydrostatic skeleton.
(credit: “Amada44”/Wikimedia Commons)
Movement in a hydrostatic skeleton is provided by muscles that surround the coelom. The muscles in a hydrostatic skeleton
contract to change the shape of the coelom; the pressure of the fluid in the coelom produces movement. For example,
earthworms move by waves of muscular contractions of the skeletal muscle of the body wall hydrostatic skeleton, called
peristalsis, which alternately shorten and lengthen the body. Lengthening the body extends the anterior end of the organism.
Most organisms have a mechanism to fix themselves in the substrate. Shortening the muscles then draws the posterior
portion of the body forward. Although a hydrostatic skeleton is well-suited to invertebrate organisms such as earthworms
Chapter 29 | The Musculoskeletal System 1387
and some aquatic organisms, it is not an efficient skeleton for terrestrial animals.
Exoskeleton
An exoskeleton is an external skeleton that consists of a hard encasement on the surface of an organism. For example, the
shells of crabs and insects are exoskeletons (Figure 29.3). This skeleton type provides defence against predators, supports
the body, and allows for movement through the contraction of attached muscles. As with vertebrates, muscles must cross
a joint inside the exoskeleton. Shortening of the muscle changes the relationship of the two segments of the exoskeleton.
Arthropods such as crabs and lobsters have exoskeletons that consist of 30–50 percent chitin, a polysaccharide derivative
of glucose that is a strong but flexible material. Chitin is secreted by the epidermal cells. The exoskeleton is further
strengthened by the addition of calcium carbonate in organisms such as the lobster. Because the exoskeleton is acellular,
arthropods must periodically shed their exoskeletons because the exoskeleton does not grow as the organism grows.
Figure 29.3 Muscles attached to the exoskeleton of the Halloween crab (Gecarcinus quadratus) allow it to move.
Endoskeleton
An endoskeleton is a skeleton that consists of hard, mineralized structures located within the soft tissue of organisms. An
example of a primitive endoskeletal structure is the spicules of sponges. The bones of vertebrates are composed of tissues,
whereas sponges have no true tissues (Figure 29.4). Endoskeletons provide support for the body, protect internal organs,
and allow for movement through contraction of muscles attached to the skeleton.
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Figure 29.4 The skeletons of humans and horses are examples of endoskeletons. (credit: Ross Murphy)
The human skeleton is an endoskeleton that consists of 206 bones in the adult. It has five main functions: providing support
to the body, storing minerals and lipids, producing blood cells, protecting internal organs, and allowing for movement. The
skeletal system in vertebrates is divided into the axial skeleton, which consists of the skull, vertebral column, and rib cage,
and the appendicular skeleton, which consists of the shoulders, limb bones, the pectoral girdle, and the pelvic girdle.
Visit the interactive body (http://openstaxcollege.org/l/virt_skeleton) site to build a virtual skeleton: select skeleton
and click through the activity to place each bone.
List at least three bones that you positioned in the virtual body (in this simulation (http://www.bbc.co.uk/science/
humanbody/body/interactives/3djigsaw_02/index.shtml?skeleton) ).
for the attachment of muscles that move the head, neck, and trunk, performs respiratory movements, and stabilizes parts of
the appendicular skeleton.
Figure 29.5 The axial skeleton consists of the bones of the skull, ossicles of the middle ear, hyoid bone, vertebral
column, and rib cage. (credit: modification of work by Mariana Ruiz Villareal)
The Skull
The bones of the skull support the structures of the face and protect the brain. The skull consists of 22 bones, which are
divided into two categories: cranial bones and facial bones. The cranial bones are eight bones that form the cranial cavity,
which encloses the brain and serves as an attachment site for the muscles of the head and neck. The eight cranial bones are
the frontal bone, two parietal bones, two temporal bones, occipital bone, sphenoid bone, and the ethmoid bone. Although the
bones developed separately in the embryo and fetus, in the adult, they are tightly fused with connective tissue and adjoining
bones do not move (Figure 29.6).
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Figure 29.6 The bones of the skull support the structures of the face and protect the brain. (credit: modification of work
by Mariana Ruiz Villareal)
The auditory ossicles of the middle ear transmit sounds from the air as vibrations to the fluid-filled cochlea. The auditory
ossicles consist of six bones: two malleus bones, two incus bones, and two stapes on each side. These are the smallest bones
in the body and are unique to mammals.
Fourteen facial bones form the face, provide cavities for the sense organs—eyes, mouth, and nose—protect the entrances
to the digestive and respiratory tracts, and serve as attachment points for facial muscles. The 14 facial bones are the nasal
bones, the maxillary bones, zygomatic bones, palatine, vomer, lacrimal bones, the inferior nasal conchae, and the mandible.
All of these bones occur in pairs except for the mandible and the vomer (Figure 29.7).
Chapter 29 | The Musculoskeletal System 1391
Figure 29.7 The cranial bones, including the frontal, parietal, and sphenoid bones, cover the top of the head. The facial
bones of the skull form the face and provide cavities for the eyes, nose, and mouth.
Although it is not found in the skull, the hyoid bone is considered a component of the axial skeleton. The hyoid bone lies
below the mandible in the front of the neck. It acts as a movable base for the tongue and is connected to muscles of the jaw,
larynx, and tongue. The mandible articulates with the base of the skull. The mandible controls the opening to the airway
and gut. In animals with teeth, the mandible brings the surfaces of the teeth in contact with the maxillary teeth.
The Vertebral Column
The vertebral column, or spinal column, surrounds and protects the spinal cord, supports the head, and acts as an
attachment point for the ribs and muscles of the back and neck. The adult vertebral column comprises 26 bones: the 24
vertebrae, the sacrum, and the coccyx bones. In the adult, the sacrum is typically composed of five vertebrae that fuse into
one. The coccyx is typically three to four vertebrae that fuse into one. Around the age of 70, the sacrum and the coccyx may
fuse together. We begin life with approximately 33 vertebrae, but as we grow, several vertebrae fuse together. The adult
vertebrae are further divided into the seven cervical vertebrae, 12 thoracic vertebrae, and five lumbar vertebrae (Figure
29.8).
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Figure 29.8 (a) The vertebral column consists of seven cervical vertebrae (C1–7), 12 thoracic vertebrae (Th1–12), five
lumbar vertebrae (L1–5), the os sacrum, and the coccyx. (b) Spinal curves increase the strength and flexibility of the
spine. (credit a: modification of work by Uwe Gille based on original work by Gray's Anatomy; credit b: modification of
work by NCI, NIH)
Each vertebral body has a large hole in the center through which the nerves of the spinal cord pass. There is also a notch on
each side through which the spinal nerves, which serve the body at that level, can exit from the spinal cord. The vertebral
column is approximately 71 cm (28 inches) in adult male humans and is curved, which can be seen from a side view. The
names of the spinal curves correspond to the region of the spine in which they occur. The thoracic and sacral curves are
concave—curve inwards relative to the front of the body—and the cervical and lumbar curves are convex—curve outwards
relative to the front of the body. The arched curvature of the vertebral column increases its strength and flexibility, allowing
it to absorb shocks like a spring (Figure 29.8).
Intervertebral discs composed of fibrous cartilage lie between adjacent vertebral bodies from the second cervical vertebra
to the sacrum. Each disc is part of a joint that allows for some movement of the spine and acts as a cushion to absorb shocks
from movements such as walking and running. Intervertebral discs also act as ligaments to bind vertebrae together. The
inner part of discs, the nucleus pulposus, hardens as people age and becomes less elastic. This loss of elasticity diminishes
its ability to absorb shocks.
The Thoracic Cage
The thoracic cage, also known as the ribcage, is the skeleton of the chest, and consists of the ribs, sternum, thoracic
vertebrae, and costal cartilages (Figure 29.9). The thoracic cage encloses and protects the organs of the thoracic cavity,
including the heart and lungs. It also provides support for the shoulder girdles and upper limbs, and serves as the attachment
point for the diaphragm, muscles of the back, chest, neck, and shoulders. Changes in the volume of the thorax enable
breathing.
Chapter 29 | The Musculoskeletal System 1393
Figure 29.9 The thoracic cage, or rib cage, protects the heart and the lungs. (credit: modification of work by NCI, NIH)
The sternum, or breastbone, is a long, flat bone located at the anterior of the chest. It is formed from three bones that fuse
in the adult. The ribs are 12 pairs of long, curved bones that attach to the thoracic vertebrae and curve toward the front of
the body, forming the ribcage. Costal cartilages connect the anterior ends of the ribs to the sternum, with the exception of
rib pairs 11 and 12, which are free-floating ribs.
Figure 29.10 The appendicular skeleton is composed of the bones of the pectoral limbs—arm, forearm, hand—the
pelvic limbs—thigh, leg, foot—the pectoral girdle, and the pelvic girdle. (credit: modification of work by Mariana Ruiz
Villareal)
Figure 29.11 (a) The pectoral girdle in primates consists of the clavicles and scapulae. (b) The posterior view reveals
the spine of the scapula to which muscle attaches.
Chapter 29 | The Musculoskeletal System 1395
The clavicles are S-shaped bones that position the arms on the body. The clavicles lie horizontally across the front of the
thorax, or chest, just above the first rib. These bones are fairly fragile and are susceptible to fractures. For example, a fall
with the arms outstretched causes the force to be transmitted to the clavicles, which can break if the force is excessive. The
clavicle articulates with the sternum and the scapula.
The scapulae are flat, triangular bones that are located at the back of the pectoral girdle. They support the muscles crossing
the shoulder joint. A ridge, called the spine, runs across the back of the scapula and can easily be felt through the skin
(Figure 29.11). The spine of the scapula is a good example of a bony protrusion that facilitates a broad area of attachment
for muscles to bone.
The Upper Limb
The upper limb contains 30 bones in three regions: the arm, shoulder to elbow, the forearm, ulna and radius, and the wrist
and hand (Figure 29.12).
Figure 29.12 The upper limb consists of the humerus of the upper arm, the radius and ulna of the forearm, eight bones
of the carpus, five bones of the metacarpus, and 14 bones of the phalanges.
An articulation is any place at which two bones are joined. The humerus is the largest and longest bone of the upper
limb and the only bone of the arm. It articulates with the scapula at the shoulder and with the forearm at the elbow. The
forearm extends from the elbow to the wrist and consists of two bones: the ulna and the radius. The radius is located along
the lateral, or thumb, side of the forearm and articulates with the humerus at the elbow. The ulna is located on the medial
aspect, pinky-finger side, of the forearm. It is longer than the radius. The ulna articulates with the humerus at the elbow. The
radius and ulna also articulate with the carpal bones and with each other, which in vertebrates enables a variable degree of
rotation of the carpus with respect to the long axis of the limb. The hand includes the eight bones of the carpus, or wrist, the
five bones of the metacarpus, or palm, and the 14 bones of the phalanges, or digits. Each digit consists of three phalanges,
except for the thumb, when present, which has only two.
The Pelvic Girdle
The pelvic girdle attaches to the lower limbs of the axial skeleton. Because it is responsible for bearing the weight of the
body and for locomotion, the pelvic girdle is securely attached to the axial skeleton by strong ligaments. It also has deep
sockets with robust ligaments to securely attach the femur to the body. The pelvic girdle is further strengthened by two large
hip bones. In adults, the hip bones, or coxal bones, are formed by the fusion of three pairs of bones: the ilium, ischium, and
pubis. The pelvis joins together in the anterior of the body at a joint called the pubic symphysis and with the bones of the
sacrum at the posterior of the body.
The female pelvis is slightly different from the male pelvis. Over generations of evolution, females with a wider pubic
angle and larger diameter pelvic canal reproduced more successfully. Therefore, their offspring also had pelvic anatomy that
enabled successful childbirth (Figure 29.13).
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Figure 29.13 To adapt to reproductive fitness, the (a) female pelvis is lighter, wider, shallower, and has a broader angle
between the pubic bones than (b) the male pelvis.
Figure 29.14 The lower limb consists of the thigh, or femur, kneecap, or patella, leg, tibia and fibula, ankle, or tarsals,
and foot, metatarsals and phalanges, bones.
The femur, or thighbone, is the longest, heaviest, and strongest bone in the body. The femur and pelvis form the hip joint at
the proximal end. At the distal end, the femur, tibia, and patella form the knee joint. The patella, or kneecap, is a triangular
bone that lies anterior to the knee joint. The patella is embedded in the tendon of the femoral extensors—quadriceps. It
improves knee extension by reducing friction. The tibia, or shinbone, is a large bone of the leg that is located directly below
the knee. The tibia articulates with the femur at its proximal end, with the fibula and the tarsal bones at its distal end. It is
the second largest bone in the human body and is responsible for transmitting the weight of the body from the femur to the
foot. The fibula, or calf bone, parallels and articulates with the tibia. It does not articulate with the femur and does not bear
weight. The fibula acts as a site for muscle attachment and forms the lateral part of the ankle joint.
The tarsals are the seven bones of the ankle. The ankle transmits the weight of the body from the tibia and the fibula to the
Chapter 29 | The Musculoskeletal System 1397
foot. The metatarsals are the five bones of the foot. The phalanges are the 14 bones of the toes. Each toe consists of three
phalanges, except for the big toe that has only two (Figure 29.15). Variations exist in other species; for example, the horse’s
metacarpals and metatarsals are oriented vertically and do not make contact with the substrate.
Figure 29.15 This drawing shows the bones of the human foot and ankle, including the metatarsals and the phalanges.
Section Summary
The three types of skeleton designs are hydrostatic skeletons, exoskeletons, and endoskeletons. A hydrostatic skeleton
is formed by a fluid-filled compartment held under hydrostatic pressure; movement is created by the muscles producing
pressure on the fluid. An exoskeleton is a hard external skeleton that protects the outer surface of an organism and enables
movement through muscles attached on the inside. An endoskeleton is an internal skeleton composed of hard, mineralized
tissue that also enables movement by attachment to muscles. The human skeleton is an endoskeleton that is composed of the
axial and appendicular skeleton. The axial skeleton is composed of the bones of the skull, ossicles of the ear, hyoid bone,
vertebral column, and ribcage. The skull consists of eight cranial bones and 14 facial bones. Six bones make up the ossicles
of the middle ear, while the hyoid bone is located in the neck under the mandible. The vertebral column contains 26 bones,
and it surrounds and protects the spinal cord. The thoracic cage consists of the sternum, ribs, thoracic vertebrae, and costal
cartilages. The appendicular skeleton is made up of the limbs of the upper and lower limbs. The pectoral girdle is composed
of the clavicles and the scapulae. The upper limb contains 30 bones in the arm, the forearm, and the hand. The pelvic girdle
attaches the lower limbs to the axial skeleton. The lower limb includes the bones of the thigh, the leg, and the foot.
29.2 | Bone
In this section, you will explore the following questions:
• What are examples of the different types of bones and their functions in the human skeleton?
• What are the roles of the different cell types and tissue types in bone?
• How do bones develop, grow, and undergo remodeling and repair?
Figure 29.16 Shown are different types of bones: flat, irregular, long, short, and sesamoid.
Long bones are longer than they are wide and have a shaft and two ends. The diaphysis, or central shaft, contains bone
marrow in a marrow cavity. The rounded ends, the epiphyses, are covered with articular cartilage and are filled with red
bone marrow, which produces blood cells (Figure 29.17). Most of the limb bones are long bones—for example, the femur,
tibia, ulna, and radius. Exceptions to this include the patella and the bones of the wrist and ankle.
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Figure 29.17 The long bone is covered by articular cartilage at either end and contains bone marrow, shown in yellow
in this illustration, in the marrow cavity.
Short bones, or cuboidal bones, are bones that are the same width and length, giving them a cube-like shape. For example,
the bones of the wrist, carpals, ankle, or tarsals are short bones. (Figure 29.16).
Flat bones are thin and relatively broad bones that are found where extensive protection of organs is required or where
broad surfaces of muscle attachment are required. Examples of flat bones are the sternum, or breast bone, ribs, scapulae, or
shoulder blades, and the roof of the skull (Figure 29.16).
Irregular bones are bones with complex shapes. These bones may have short, flat, notched, or ridged surfaces. Examples
of irregular bones are the vertebrae, hip bones, and several skull bones.
Sesamoid bones are small, flat bones and are shaped similarly to a sesame seed. The patellae are sesamoid bones (Figure
29.18). Sesamoid bones develop inside tendons and may be found near joints at the knees, hands, and feet.
Chapter 29 | The Musculoskeletal System 1401
Sutural bones are small, flat, irregularly shaped bones. They may be found between the flat bones of the skull. They vary
in number, shape, size, and position.
Bone Tissue
Bones are considered organs because they contain various types of tissue, such as blood, connective tissue, nerves, and bone
tissue. Osteocytes, the living cells of bone tissue, form the mineral matrix of bones. There are two types of bone tissue:
compact and spongy.
Compact Bone Tissue
Compact bone or cortical bone forms the hard external layer of all bones and surrounds the medullary cavity, or bone
marrow. It provides protection and strength to bones. Compact bone tissue consists of units called osteons or Haversian
systems. Osteons are cylindrical structures that contain a mineral matrix and living osteocytes connected by canaliculi,
which transport blood. They are aligned parallel to the long axis of the bone. Each osteon consists of lamellae, which are
layers of compact matrix that surround a central canal called the Haversian canal. The Haversian canal, or osteonic canal,
contains the bone’s blood vessels and nerve fibers (Figure 29.19). Osteons in compact bone tissue are aligned in the same
direction along lines of stress and help the bone resist bending or fracturing. Therefore, compact bone tissue is prominent in
areas of bone at which stresses are applied in only a few directions.
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Figure 29.19 Compact bone tissue consists of osteons that are aligned parallel to the long axis of the bone, and
the Haversian canal that contains the bone’s blood vessels and nerve fibers. The inner layer of bones consists
of spongy bone tissue. The small dark ovals in the osteon represent the living osteocytes. (credit: modification of
work by NCI, NIH)
Figure 29.20 Trabeculae in spongy bone are arranged such that one side of the bone bears tension and the other
withstands compression.
a. blood
c. cartilage
d. bone
Development of Bone
Ossification, or osteogenesis, is the process of bone formation by osteoblasts. Ossification is distinct from the process
of calcification; whereas calcification takes place during the ossification of bones, it can also occur in other tissues.
Ossification begins approximately six weeks after fertilization in an embryo. Before this time, the embryonic skeleton
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consists entirely of fibrous membranes and hyaline cartilage. The development of bone from fibrous membranes is
called intramembranous ossification; development from hyaline cartilage is called endochondral ossification. Bone growth
continues until approximately age 25. Bones can grow in thickness throughout life, but after age 25, ossification functions
primarily in bone remodeling and repair.
Intramembranous Ossification
Intramembranous ossification is the process of bone development from fibrous membranes. It is involved in the formation
of the flat bones of the skull, the mandible, and portions of the clavicles. Ossification begins as mesenchymal cells form
a template of the future bone. They then differentiate into osteoblasts at the ossification center. Osteoblasts secrete the
extracellular matrix and deposit calcium, which hardens the matrix. The nonmineralized portion of the bone or osteoid
continues to form around blood vessels, forming spongy bone. Connective tissue in the matrix differentiates into red bone
marrow in the fetus. The spongy bone is remodeled into a thin layer of compact bone on the surface of the spongy bone.
Endochondral Ossification
Endochondral ossification is the process of bone development from hyaline cartilage. All of the bones of the body, except
for the flat bones of the skull, mandible, and portions of the clavicles, are formed through endochondral ossification.
In long bones, chondrocytes form a template of the hyaline cartilage diaphysis. Responding to complex developmental
signals, the matrix begins to calcify. This calcification prevents diffusion of nutrients into the matrix, resulting in
chondrocytes dying and the opening up of cavities in the diaphysis cartilage. Blood vessels invade the cavities, and
osteoblasts and osteoclasts modify the calcified cartilage matrix into spongy bone. Osteoclasts then break down some of the
spongy bone to create a marrow, or medullary, cavity in the center of the diaphysis. Dense, irregular connective tissue forms
a sheath, or periosteum, around the bones. The periosteum assists in attaching the bone to surrounding tissues, tendons, and
ligaments. The bone continues to grow and elongate as the cartilage cells at the epiphyses divide.
In the last stage of prenatal bone development, the centers of the epiphyses begin to calcify. Secondary ossification centers
form in the epiphyses as blood vessels and osteoblasts enter these areas and convert hyaline cartilage into spongy bone. Until
adolescence, hyaline cartilage persists at the epiphyseal plate, or growth plate, which is the region between the diaphysis
and epiphysis that is responsible for the lengthwise growth of long bones (Figure 29.21).
Figure 29.21 Endochondral ossification is the process of bone development from hyaline cartilage. The periosteum
is the connective tissue on the outside of bone that acts as the interface between bone, blood vessels, tendons, and
ligaments.
Growth of Bone
Long bones continue to lengthen, potentially until adolescence, through the addition of bone tissue at the epiphyseal plate.
They also increase in width through appositional growth.
Lengthening of Long Bones
Chondrocytes on the epiphyseal side of the epiphyseal plate divide; one cell remains undifferentiated near the epiphysis,
and one cell moves toward the diaphysis. The cells, which are pushed from the epiphysis, mature and are destroyed by
calcification. This process replaces cartilage with bone on the diaphyseal side of the plate, resulting in a lengthening of the
bone.
Long bones stop growing at around the age of 18 in females and the age of 21 in males in a process called epiphyseal plate
closure. During this process, cartilage cells stop dividing and all of the cartilage is replaced by bone. The epiphyseal plate
fades, leaving a structure called the epiphyseal line or epiphyseal remnant, and the epiphysis and diaphysis fuse.
Chapter 29 | The Musculoskeletal System 1405
Figure 29.22 After this bone is set, a callus will knit the two ends together. (credit: Bill Rhodes)
1406 Chapter 29 | The Musculoskeletal System
Decalcification of Bones
Question: What effect does the removal of calcium and collagen have on bone structure?
Background: Conduct a literature search on the role of calcium and collagen in maintaining bone structure.
Conduct a literature search on diseases in which bone structure is compromised.
Hypothesis: Develop a hypothesis that states predictions of the flexibility, strength, and mass of bones that
have had the calcium and collagen components removed. Develop a hypothesis regarding the attempt to
add calcium back to decalcified bones.
Test the hypothesis: Test the prediction by removing calcium from chicken bones by placing them in a jar
of vinegar for seven days. Test the hypothesis regarding adding calcium back to decalcified bone by placing
the decalcified chicken bones into a jar of water with calcium supplements added. Test the prediction by
denaturing the collagen from the bones by baking them at 250 °C for three hours.
Analyze the data: Create a table showing the changes in bone flexibility, strength, and mass in the three
different environments.
Report the results: Under which conditions was the bone most flexible? Under which conditions was the
bone the strongest?
Draw a conclusion: Did the results support or refute the hypothesis? How do the results observed in this
experiment correspond to diseases that destroy bone tissue?
Section Summary
Bone, or osseous tissue, is connective tissue that includes specialized cells, mineral salts, and collagen fibers. The
human skeleton can be divided into long bones, short bones, flat bones, and irregular bones. Compact bone tissue is
composed of osteons and forms the external layer of all bones. Spongy bone tissue is composed of trabeculae and forms
the inner part of all bones. Four types of cells compose bony tissue: osteocytes, osteoclasts, osteoprogenitor cells, and
osteoblasts. Ossification is the process of bone formation by osteoblasts. Intramembranous ossification is the process of
bone development from fibrous membranes. Endochondral ossification is the process of bone development from hyaline
cartilage. Long bones lengthen as chondrocytes divide and secrete hyaline cartilage. Osteoblasts replace cartilage with bone.
Appositional growth is the increase in the diameter of bones by the addition of bone tissue at the surface of bones. Bone
remodeling involves the processes of bone deposition by osteoblasts and bone resorption by osteoclasts. Bone repair occurs
in four stages and can take several months.
Figure 29.23 Sutures are fibrous joints found only in the skull.
Syndesmoses are joints in which the bones are connected by a band of connective tissue, allowing for more movement
than in a suture. An example of a syndesmosis is the joint of the tibia and fibula in the ankle. The amount of movement in
these types of joints is determined by the length of the connective tissue fibers. Gomphoses occur between teeth and their
sockets; the term refers to the way the tooth fits into the socket like a peg (Figure 29.24). The tooth is connected to the
socket by a connective tissue referred to as the periodontal ligament.
Figure 29.24 Gomphoses are fibrous joints between the teeth and their sockets. (credit: modification of work by Gray's
Anatomy)
1408 Chapter 29 | The Musculoskeletal System
Cartilaginous Joints
Cartilaginous joints are joints in which the bones are connected by cartilage. There are two types of cartilaginous joints:
synchondroses and symphyses. In a synchondrosis, the bones are joined by hyaline cartilage. Synchondroses are found
in the epiphyseal plates of growing bones in children. In symphyses, hyaline cartilage covers the end of the bone but the
connection between bones occurs through fibrocartilage. Symphyses are found at the joints between vertebrae. Either type
of cartilaginous joint allows for very little movement.
Synovial Joints
Synovial joints are the only joints that have a space between the adjoining bones (Figure 29.25). This space is referred to
as the synovial or joint cavity and is filled with synovial fluid. Synovial fluid lubricates the joint, reducing friction between
the bones and allowing for greater movement. The ends of the bones are covered with articular cartilage, a hyaline cartilage,
and the entire joint is surrounded by an articular capsule composed of connective tissue that allows movement of the joint
while resisting dislocation. Articular capsules may also possess ligaments that hold the bones together. Synovial joints are
capable of the greatest movement of the three structural joint types; however, the more mobile a joint, the weaker the joint.
Knees, elbows, and shoulders are examples of synovial joints.
Figure 29.25 Synovial joints are the only joints that have a space or synovial cavity in the joint.
bending, occurs when the angle between the bones decreases. Moving the forearm upward at the elbow or moving the wrist
to move the hand toward the forearm are examples of flexion. Extension is the opposite of flexion in that the angle between
the bones of a joint increases. Straightening a limb after flexion is an example of extension. Extension past the regular
anatomical position is referred to as hyperextension. This includes moving the neck back to look upward, or bending the
wrist so that the hand moves away from the forearm.
Abduction occurs when a bone moves away from the midline of the body. Examples of abduction are moving the arms or
legs laterally to lift them straight out to the side. Adduction is the movement of a bone toward the midline of the body.
Movement of the limbs inward after abduction is an example of adduction. Circumduction is the movement of a limb in a
circular motion, as in moving the arm in a circular motion.
Rotational Movement
Rotational movement is the movement of a bone as it rotates around its longitudinal axis. Rotation can be toward the
midline of the body, which is referred to as medial rotation, or away from the midline of the body, which is referred to as
lateral rotation. Movement of the head from side to side is an example of rotation.
Special Movements
Some movements that cannot be classified as gliding, angular, or rotational are called special movements. Inversion
involves the soles of the feet moving inward, toward the midline of the body. Eversion is the opposite of inversion,
movement of the sole of the foot outward, away from the midline of the body. Protraction is the anterior movement of
a bone in the horizontal plane. Retraction occurs as a joint moves back into position after protraction. Protraction and
retraction can be seen in the movement of the mandible as the jaw is thrust outwards and then back inwards. Elevation is
the movement of a bone upward, such as when the shoulders are shrugged, lifting the scapulae. Depression is the opposite
of elevation—movement downward of a bone, such as after the shoulders are shrugged and the scapulae return to their
normal position from an elevated position. Dorsiflexion is a bending at the ankle such that the toes are lifted toward the
knee. Plantar flexion is a bending at the ankle when the heel is lifted, such as when standing on the toes. Supination is the
movement of the radius and ulna bones of the forearm so that the palm faces forward. Pronation is the opposite movement,
in which the palm faces backward. Opposition is the movement of the thumb toward the fingers of the same hand, making
it possible to grasp and hold objects.
Figure 29.26 Different types of joints allow different types of movement. Planar, hinge, pivot, condyloid, saddle, and
ball-and-socket are all types of synovial joints.
Planar Joints
Planar joints have bones with articulating surfaces that are flat or slightly curved faces. These joints allow for gliding
movements, and so the joints are sometimes referred to as gliding joints. The range of motion is limited in these joints and
does not involve rotation. Planar joints are found in the carpal bones in the hand and the tarsal bones of the foot, as well as
between vertebrae (Figure 29.27).
Chapter 29 | The Musculoskeletal System 1411
Figure 29.27 The joints of the carpal bones in the wrist are examples of planar joints. (credit: modification of work by
Brian C. Goss)
Hinge Joints
In hinge joints, the slightly rounded end of one bone fits into the slightly hollow end of the other bone. In this way, one
bone moves while the other remains stationary, like the hinge of a door. The elbow is an example of a hinge joint. The knee
is sometimes classified as a modified hinge joint (Figure 29.28).
Figure 29.28 The elbow joint, where the radius articulates with the humerus, is an example of a hinge joint. (credit:
modification of work by Brian C. Goss)
Pivot Joints
Pivot joints consist of the rounded end of one bone fitting into a ring formed by the other bone. This structure allows
rotational movement, as the rounded bone moves around its own axis. An example of a pivot joint is the joint of the first
and second vertebrae of the neck that allows the head to move back and forth (Figure 29.29). The joint of the wrist that
allows the palm of the hand to be turned up and down is also a pivot joint.
1412 Chapter 29 | The Musculoskeletal System
Figure 29.29 The joint in the neck that allows the head to move back and forth is an example of a pivot joint.
Condyloid Joints
Condyloid joints consist of an oval-shaped end of one bone fitting into a similarly oval-shaped hollow of another bone
(Figure 29.30). This is also sometimes called an ellipsoidal joint. This type of joint allows angular movement along two
axes, as seen in the joints of the wrist and fingers, which can move both side to side and up and down.
Figure 29.30 The metacarpophalangeal joints in the finger are examples of condyloid joints. (credit: modification of
work by Gray's Anatomy)
Saddle Joints
Saddle joints are so named because the ends of each bone resemble a saddle, with concave and convex portions that fit
together. Saddle joints allow angular movements similar to condyloid joints but with a greater range of motion. An example
of a saddle joint is the thumb joint, which can move back and forth and up and down, but more freely than the wrist or
Chapter 29 | The Musculoskeletal System 1413
Figure 29.31 The carpometacarpal joints in the thumb are examples of saddle joints. (credit: modification of work by
Brian C. Goss)
Ball-and-Socket Joints
Ball-and-socket joints possess a rounded, ball-like end of one bone fitting into a cuplike socket of another bone. This
organization allows the greatest range of motion, as all movement types are possible in all directions. Examples of ball-and-
socket joints are the shoulder and hip joints (Figure 29.32).
Watch this animation (http://openstaxcollege.org/l/synovial_joints) showing the six types of synovial joints.
The shoulder and hip joints are an example of a ball-and-socket joint which ________.
a. permits extension
d. allows rotation
Rheumatologist
Rheumatologists are medical doctors who specialize in the diagnosis and treatment of disorders of the
joints, muscles, and bones. They diagnose and treat diseases such as arthritis, musculoskeletal disorders,
osteoporosis, and autoimmune diseases such as ankylosing spondylitis and rheumatoid arthritis.
Rheumatoid arthritis (RA) is an inflammatory disorder that primarily affects the synovial joints of the hands,
feet, and cervical spine. Affected joints become swollen, stiff, and painful. Although it is known that RA is an
autoimmune disease in which the body’s immune system mistakenly attacks healthy tissue, the cause of RA
remains unknown. Immune cells from the blood enter joints and the synovium causing cartilage breakdown,
swelling, and inflammation of the joint lining. Breakdown of cartilage causes bones to rub against each other
causing pain. RA is more common in women than men and the age of onset is usually 40–50 years of age.
Rheumatologists can diagnose RA on the basis of symptoms such as joint inflammation and pain, X-ray and
MRI imaging, and blood tests. Arthrography is a type of medical imaging of joints that uses a contrast agent,
such as a dye, that is opaque to X-rays. This allows the soft tissue structures of joints—such as cartilage,
tendons, and ligaments—to be visualized. An arthrogram differs from a regular X-ray by showing the surface
of soft tissues lining the joint in addition to joint bones. An arthrogram allows early degenerative changes in
joint cartilage to be detected before bones become affected.
There is currently no cure for RA; however, rheumatologists have a number of treatment options available.
Early stages can be treated with rest of the affected joints by using a cane or by using joint splints that
minimize inflammation. When inflammation has decreased, exercise can be used to strengthen the muscles
that surround the joint and to maintain joint flexibility. If joint damage is more extensive, medications can
be used to relieve pain and decrease inflammation. Anti-inflammatory drugs such as aspirin, topical pain
relievers, and corticosteroid injections may be used. Surgery may be required in cases in which joint
damage is severe.
Chapter 29 | The Musculoskeletal System 1415
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science
3.3 The student can evaluate scientific questions.
Practice
Learning 4.8 The student is able to evaluate scientific questions concerning organisms that exhibit
Objective complex properties due to the interaction of their constituent parts.
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.9 The student is able to predict the effects of a change in a component(s) of a biological
Objective system on the functionality of an organism(s).
1416 Chapter 29 | The Musculoskeletal System
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 1.3 The student can refine representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity
Objective due to interactions of the constituent parts.
Muscle cells are specialized for contraction. Muscles allow for motions such as walking, and they also facilitate bodily
processes such as respiration and digestion. The body contains three types of muscle tissue: skeletal muscle, cardiac muscle,
and smooth muscle (Figure 29.33).
Figure 29.33 The body contains three types of muscle tissue: skeletal muscle, smooth muscle, and cardiac muscle,
visualized here using light microscopy. Smooth muscle cells are short, tapered at each end, and have only one plump
nucleus in each. Cardiac muscle cells are branched and striated, but short. The cytoplasm may branch, and they have
one nucleus in the center of the cell. (credit: modification of work by NCI, NIH; scale-bar data from Matt Russell)
Skeletal muscle tissue forms skeletal muscles, which attach to bones or skin and control locomotion and any movement
that can be consciously controlled. Because it can be controlled by thought, skeletal muscle is also called voluntary muscle.
Skeletal muscles are long and cylindrical in appearance; when viewed under a microscope, skeletal muscle tissue has
a striped or striated appearance. The striations are caused by the regular arrangement of contractile proteins—actin and
myosin. Actin is a globular contractile protein that interacts with myosin for muscle contraction. Skeletal muscle also has
multiple nuclei present in a single cell.
Smooth muscle tissue occurs in the walls of hollow organs such as the intestines, stomach, and urinary bladder, and around
passages such as the respiratory tract and blood vessels. Smooth muscle has no striations, is not under voluntary control,
has only one nucleus per cell, is tapered at both ends, and is called involuntary muscle.
Cardiac muscle tissue is only found in the heart, and cardiac contractions pump blood throughout the body and maintain
blood pressure. Like skeletal muscle, cardiac muscle is striated, but unlike skeletal muscle, cardiac muscle cannot be
consciously controlled and is called involuntary muscle. It has one nucleus per cell, is branched, and is distinguished by the
presence of intercalated disks.
Figure 29.34 A skeletal muscle cell is surrounded by a plasma membrane called the sarcolemma with a cytoplasm
called the sarcoplasm. A muscle fiber comprises many fibrils, packaged into orderly units.
The striated appearance of skeletal muscle tissue is a result of repeating bands of the proteins actin and myosin that are
present along the length of myofibrils. Dark A bands and light I bands repeat along myofibrils, and the alignment of
myofibrils in the cell causes the entire cell to appear striated or banded.
Each I band has a dense line running vertically through the middle called a Z disc or Z line. The Z discs mark the border
of units called sarcomeres, which are the functional units of skeletal muscle. One sarcomere is the space between two
consecutive Z discs and contains one entire A band and two halves of an I band, one on either side of the A band. A
myofibril is composed of many sarcomeres running along its length, and as the sarcomeres individually contract, the
myofibrils and muscle cells shorten (Figure 29.35).
Figure 29.35 A sarcomere is the region from one Z line to the next Z line. Many sarcomeres are present in a myofibril,
resulting in the striation pattern characteristic of skeletal muscle.
Myofibrils are composed of smaller structures called myofilaments. There are two main types of filaments: thick filaments
and thin filaments; each has different compositions and locations. Thick filaments occur only in the A band of a myofibril.
Thin filaments attach to a protein in the Z disc called alpha-actinin and occur across the entire length of the I band and
partway into the A band. The region at which thick and thin filaments overlap has a dense appearance, as there is little
space between the filaments. Thin filaments do not extend all the way into the A bands, leaving a central region of the A
band that only contains thick filaments. This central region of the A band looks slightly lighter than the rest of the A band
and is called the H zone. The middle of the H zone has a vertical line called the M line, at which accessory proteins hold
together thick filaments. Both the Z disc and the M line hold myofilaments in place to maintain the structural arrangement
and layering of the myofibril. Myofibrils are connected to each other by intermediate, or desmin, filaments that attach to the
Z disc.
Thick and thin filaments are themselves composed of proteins. Thick filaments are composed of the protein myosin. The
tail of a myosin molecule connects with other myosin molecules to form the central region of a thick filament near the M
line, whereas the heads align on either side of the thick filament where the thin filaments overlap. The primary component
of thin filaments is the actin protein. Two other components of the thin filament are tropomyosin and troponin. Actin has
binding sites for myosin attachment. Strands of tropomyosin block the binding sites and prevent actin-myosin interactions
when the muscles are at rest. Troponin consists of three globular subunits. One subunit binds to tropomyosin, one subunit
1418 Chapter 29 | The Musculoskeletal System
a. Myofibrils
b. T-Tubules
c. Muscle fibers
d. Sarcomeres
Figure 29.36 When (a) a sarcomere (b) contracts, the Z lines move closer together and the I band gets smaller. The A
band stays the same width and, at full contraction, the thin filaments overlap.
When a sarcomere shortens, some regions shorten whereas others stay the same length. A sarcomere is defined as the
distance between two consecutive Z discs or Z lines; when a muscle contracts, the distance between the Z discs is reduced.
The H zone—the central region of the A zone—contains only thick filaments and is shortened during contraction. The I
band contains only thin filaments and also shortens. The A band does not shorten—it remains the same length—but A bands
of different sarcomeres move closer together during contraction, eventually disappearing. Thin filaments are pulled by the
thick filaments toward the center of the sarcomere until the Z discs approach the thick filaments. The zone of overlap, in
which thin filaments and thick filaments occupy the same area, and increases as the thin filaments move inward.
produced. As the actin is pulled toward the M line, the sarcomere shortens and the muscle contracts.
When the myosin head is cocked, it contains energy and is in a high-energy configuration. This energy is expended as the
myosin head moves through the power stroke; at the end of the power stroke, the myosin head is in a low-energy position.
After the power stroke, ADP is released; however, the cross-bridge formed is still in place, and actin and myosin are bound
together. ATP can then attach to myosin, which allows the cross-bridge cycle to start again and further muscle contraction
can occur (Figure 29.37).
a. Actin binding sites are covered by acetylcholine to which the troponin complex is attached. This complex is
calcium sensitive. Troponin binds to the calcium and moves the tropomyosin binding site.
b. Myosin binding sites are covered by the troponin complex to which is attached tropomyosin. Tropomyosin
is calcium sensitive. It binds to the calcium and moves the troponin binding site.
c. Actin binding sites are covered by tropomyosin to which the troponin complex is attached. This complex is
calcium sensitive. Troponin binds to the calcium and moves the tropomyosin binding site.
d. Myosin binding sites are covered by tropomyosin to which the troponin complex is attached. This complex
is calcium sensitive. Troponin binds to the calcium and moves the tropomyosin binding site.
Chapter 29 | The Musculoskeletal System 1421
Figure 29.37 The cross-bridge muscle contraction cycle, which is triggered by Ca2+ binding to the actin active
site, is shown. With each contraction cycle, actin moves relative to myosin.
Which of the following statements about the power stroke of muscle contraction is true?
a. It occurs when ATP is hydrolyzed to ADP and phosphate.
b. It occurs a new molecule of ATP attaches to the myosin head.
c. It occurs when ADP and phosphate separate from the myosin head.
d. It occurs when ADP and phosphate separate from the actin active site.
1422 Chapter 29 | The Musculoskeletal System
a. The myosin head forms a cross-bridge with actin, which initiates the power stroke. During the power stroke,
the myosin head bends with the release of ADP and inorganic phosphate. Another ATP binds to the myosin
head, causing the cross-bridge to detach and returning myosin to the cocked configuration.
b. The actin head forms a cross-bridge with myosin which initiates the power stroke. During the power stroke,
the actin head bends with the release of ADP and inorganic phosphate. Another ATP binds the myosin head,
causing the cross-bridge to detach and returning myosin to the cocked configuration.
c. The myosin head forms a cross-bridge with actin which initiates the power stroke. During the power stroke,
the myosin head bends with release of ADP and inorganic phosphate. Another ATP binds to the actin head,
causing the cross-bridge to detach and returning actin to the cocked configuration.
d. The actin head forms a cross-bridge with myosin, which initiates the power stroke. During the power stroke,
the actin head bends with the release of ADP and inorganic phosphate. Another ATP binds to the actin head,
causing the cross-bridge to detach and returning actin to the cocked configuration.
Regulatory Proteins
When a muscle is in a resting state, actin and myosin are separated. To keep actin from binding to the active site
on myosin, regulatory proteins block the molecular binding sites. Tropomyosin blocks myosin binding sites on actin
molecules, preventing cross-bridge formation and preventing contraction in a muscle without nervous input. Troponin
binds to tropomyosin and helps to position it on the actin molecule; it also binds calcium ions.
To enable a muscle contraction, tropomyosin must change conformation, uncovering the myosin-binding site on an actin
molecule and allowing cross-bridge formation. This can only happen in the presence of calcium, which is kept at extremely
low concentrations in the sarcoplasm. If present, calcium ions bind to troponin, causing conformational changes in troponin
that allow tropomyosin to move away from the myosin binding sites on actin. Once the tropomyosin is removed, a cross-
bridge can form between actin and myosin, triggering contraction. Cross-bridge cycling continues until Ca2+ ions and ATP
are no longer available and tropomyosin again covers the binding sites on actin.
Excitation-Contraction Coupling
Excitation–contraction coupling is the link, or transduction, between the action potential generated in the sarcolemma and
the start of a muscle contraction. The trigger for calcium release from the sarcoplasmic reticulum into the sarcoplasm is a
neural signal. Each skeletal muscle fiber is controlled by a motor neuron, which conducts signals from the brain or spinal
cord to the muscle. The area of the sarcolemma on the muscle fiber that interacts with the neuron is called the motor end
plate. The end of the neuron’s axon is called the synaptic terminal, and it does not actually contact the motor end plate.
A small space called the synaptic cleft separates the synaptic terminal from the motor end plate. Electrical signals travel
along the neuron’s axon, which branches through the muscle and connects to individual muscle fibers at a neuromuscular
junction.
The ability of cells to communicate electrically requires that the cells expend energy to create an electrical gradient across
their cell membranes. This charge gradient is carried by ions, which are differentially distributed across the membrane. Each
ion exerts an electrical influence and a concentration influence. Just as milk will eventually mix with coffee without the
need to stir, ions also distribute themselves evenly, if they are permitted to do so. In this case, they are not permitted to
return to an evenly mixed state.
The sodium-potassium ATPase uses cellular energy to move K+ ions inside the cell and Na+ ions outside. This alone
Chapter 29 | The Musculoskeletal System 1423
accumulates a small electrical charge, but a big concentration gradient. There is lots of K+ in the cell and lots of Na+ outside
the cell. Potassium is able to leave the cell through K+ channels that are open 90 percent of the time, and it does. However,
Na+ channels are rarely open, so Na+ remains outside the cell. When K+ leaves the cell, obeying its concentration gradient,
that effectively leaves a negative charge behind. So at rest, there is a large concentration gradient for Na+ to enter the cell,
and there is an accumulation of negative charges left behind in the cell. This is the resting membrane potential. Potential in
this context means a separation of electrical charge that is capable of doing work. It is measured in volts, just like a battery.
However, the transmembrane potential is considerably smaller (0.07 V); therefore, the small value is expressed as millivolts
(mV) or 70 mV. Because the inside of a cell is negative compared with the outside, a minus sign signifies the excess of
negative charges inside the cell, −70 mV.
If an event changes the permeability of the membrane to Na+ ions, they will enter the cell. That will change the voltage. This
is an electrical event, called an action potential, that can be used as a cellular signal. Communication occurs between nerves
and muscles through neurotransmitters. Neuron action potentials cause the release of neurotransmitters from the synaptic
terminal into the synaptic cleft, where they can then diffuse across the synaptic cleft and bind to a receptor molecule on the
motor end plate. The motor end plate possesses junctional folds—folds in the sarcolemma that create a large surface area
for the neurotransmitter to bind to receptors. The receptors are actually sodium channels that open to allow the passage of
Na+ into the cell when they receive neurotransmitter signal.
Acetylcholine (ACh) is a neurotransmitter released by motor neurons that binds to receptors in the motor end plate.
Neurotransmitter release occurs when an action potential travels down the motor neuron’s axon, resulting in altered
permeability of the synaptic terminal membrane and an influx of calcium. The Ca2+ ions allow synaptic vesicles to move
to and bind with the presynaptic membrane on the neuron, and release neurotransmitter from the vesicles into the synaptic
cleft. Once released by the synaptic terminal, ACh diffuses across the synaptic cleft to the motor end plate, where it binds
with ACh receptors. As a neurotransmitter binds, these ion channels open, and Na+ ions cross the membrane into the muscle
cell. This reduces the voltage difference between the inside and outside of the cell, which is called depolarization. As ACh
binds at the motor end plate, this depolarization is called an end-plate potential. The depolarization then spreads along the
sarcolemma, creating an action potential as sodium channels adjacent to the initial depolarization site sense the change in
voltage and open. The action potential moves across the entire cell, creating a wave of depolarization.
ACh is broken down by the enzyme acetylcholinesterase (AChE) into acetyl and choline. AChE resides in the synaptic
cleft, breaking down ACh so that it does not remain bound to ACh receptors, which would cause unwanted extended muscle
contraction (Figure 29.38).
1424 Chapter 29 | The Musculoskeletal System
Figure 29.38 This diagram shows excitation-contraction coupling in a skeletal muscle contraction. The
sarcoplasmic reticulum is a specialized endoplasmic reticulum found in muscle cells.
After depolarization, the membrane returns to its resting state. This is called repolarization, during which voltage-
gated sodium channels close. Potassium channels continue at 90 percent conductance. Because the plasma membrane
sodium–potassium ATPase always transports ions, the resting state—negatively charged inside relative to the outside—is
restored. The period immediately following the transmission of an impulse in a nerve or muscle, in which a neuron or
muscle cell regains its ability to transmit another impulse, is called the refractory period. During the refractory period, the
membrane cannot generate another action potential. . The refractory period allows the voltage-sensitive ion channels to
return to their resting configurations. The sodium potassium ATPase continually moves Na+ back out of the cell and K+
back into the cell, and the K+ leaks out leaving negative charge behind. Very quickly, the membrane repolarizes, so that it
can again be depolarized.
Chapter 29 | The Musculoskeletal System 1425
Think About It
• The deadly nerve gas Sarin irreversibly inhibits the enzyme, acetylcholinesterase. What effect would Sarin have
on muscle contraction?
• How are the activities at the neuromuscular junction similar to the activities occurring at the synapses between
neurons?
Section Summary
The body contains three types of muscle tissue: skeletal muscle, cardiac muscle, and smooth muscle. Skeleton muscle tissue
is composed of sarcomeres, the functional units of muscle tissue. Muscle contraction occurs when sarcomeres shorten, as
thick and thin filaments slide past each other, which is called the sliding filament model of muscle contraction. ATP provides
the energy for cross-bridge formation and filament sliding. Regulatory proteins, such as troponin and tropomyosin, control
cross-bridge formation. Excitation-contraction coupling transduces the electrical signal of the neuron, via acetylcholine, to
an electrical signal on the muscle membrane, which initiates force production. The number of muscle fibers contracting
determines how much force the whole muscle produces.
1426 Chapter 29 | The Musculoskeletal System
KEY TERMS
abduction when a bone moves away from the midline of the body
acetylcholinesterase (AChE) enzyme that breaks down ACh into acetyl and choline
actin globular contractile protein that interacts with myosin for muscle contraction
amphiarthrosis joint that allows slight movement; includes syndesmoses and symphyses
angular movement produced when the angle between the bones of a joint changes
appendicular skeleton composed of the bones of the upper limbs, which function to grasp and manipulate objects, and
the lower limbs, which permit locomotion
appositional growth increase in the diameter of bones by the addition of bone tissue at the surface of bones
auditory ossicle also, middle ear, transduces sounds from the air into vibrations in the fluid-filled cochlea
axial skeleton forms the central axis of the body and includes the bones of the skull, the ossicles of the middle ear, the
hyoid bone of the throat, the vertebral column, and the thoracic cage, or ribcage
ball-and-socket joint joint with a rounded, ball-like end of one bone fitting into a cuplike socket of another bone
bone also, osseous tissue, connective tissue that constitutes the endoskeleton
calcification process of deposition of mineral salts in the collagen fiber matrix that crystallizes and hardens the tissue
cardiac muscle tissue muscle tissue found only in the heart; cardiac contractions pump blood throughout the body and
maintain blood pressure
condyloid joint oval-shaped end of one bone fitting into a similarly oval-shaped hollow of another bone
cranial bone one of eight bones that form the cranial cavity that encloses the brain and serves as an attachment site for the
muscles of the head and neck
depression movement downward of a bone, such as after the shoulders are shrugged and the scapulae return to their
normal position from an elevated position; opposite of elevation
diarthrosis joint that allows for free movement of the joint; found in synovial joints
dorsiflexion bending at the ankle such that the toes are lifted toward the knee
Chapter 29 | The Musculoskeletal System 1427
elevation movement of a bone upward, such as when the shoulders are shrugged, lifting the scapulae
endoskeleton skeleton of living cells that produce a hard, mineralized tissue located within the soft tissue of organisms
epiphyseal plate region between the diaphysis and epiphysis that is responsible for the lengthwise growth of long bones
epiphysis rounded end of bone, covered with articular cartilage and filled with red bone marrow, which produces blood
cells
eversion movement of the sole of the foot outward, away from the midline of the body; opposite of inversion
exoskeleton secreted cellular product external skeleton that consists of a hard encasement on the surface of an organism
extension movement in which the angle between the bones of a joint increases; opposite of flexion
facial bone one of the 14 bones that form the face; provides cavities for the sense organs—eyes, mouth, and nose—and
attachment points for facial muscles
femur also, thighbone, longest, heaviest, and strongest bone in the body
fibula also, calf bone, parallels and articulates with the tibia
flat bone thin and relatively broad bone found where extensive protection of organs is required or where broad surfaces of
muscle attachment are required
flexion movement in which the angle between the bones decreases; opposite of extension
forearm extends from the elbow to the wrist and consists of two bones: the ulna and the radius
gliding movement when relatively flat bone surfaces move past each other
gomphosis joint in which the tooth fits into the socket like a peg
Haversian canal contains the bone’s blood vessels and nerve fibers
hinge joint slightly rounded end of one bone fits into the slightly hollow end of the other bone
hydrostatic skeleton skeleton that consists of aqueous fluid held under pressure in a closed body compartment
hyoid bone lies below the mandible in the front of the neck
intervertebral disc composed of fibrous cartilage; lies between adjacent vertebrae from the second cervical vertebra to
the sacrum
inversion soles of the feet moving inward, toward the midline of the body
irregular bone bone with complex shapes; examples include vertebrae and hip bones
lamella layer of compact tissue that surrounds a central canal called the Haversian canal
long bone bone that is longer than wide, and has a shaft and two ends
lower limb consists of the thigh, the leg, and the foot
motor end plate sarcolemma of the muscle fiber that interacts with the neuron
myofibril long cylindrical structures that lie parallel to the muscle fiber
myosin contractile protein that interacts with actin for muscle contraction
opposition movement of the thumb toward the fingers of the same hand, making it possible to grasp and hold objects
osteoclast large bone cells with up to 50 nuclei, responsible for bone remodeling
osteocyte mature bone cells and the main cell in bone tissue
osteon cylindrical structure aligned parallel to the long axis of the bone
patella also, kneecap, triangular bone that lies anterior to the knee joint
pectoral girdle bones that transmit the force generated by the upper limbs to the axial skeleton
pelvic girdle bones that transmit the force generated by the lower limbs to the axial skeleton
pivot joint joint with the rounded end of one bone fitting into a ring formed by the other bone
planar joint joint with bones whose articulating surfaces are flat
plantar flexion bending at the ankle such that the heel is lifted, such as when standing on the toes
radius bone located along the lateral, or thumb, side of the forearm; articulates with the humerus at the elbow
retraction movement in which a joint moves back into position after protraction
rib one of 12 pairs of long, curved bones that attach to the thoracic vertebrae and curve toward the front of the body to
form the ribcage
rotational movement movement of a bone as it rotates around its own longitudinal axis
saddle joint joint with concave and convex portions that fit together; named because the ends of each bone resemble a
saddle
Chapter 29 | The Musculoskeletal System 1429
sesamoid bone small, flat bone shaped like a sesame seed; develops inside tendons
short bone bone that has the same width and length, giving it a cube-like shape
skeletal muscle tissue forms skeletal muscles, which attach to bones and control locomotion and any movement that
can be consciously controlled
skull bone that supports the structures of the face and protects the brain
smooth muscle tissue occurs in the walls of hollow organs such as the intestines, stomach, and urinary bladder, and
around passages such as the respiratory tract and blood vessels
sternum also, breastbone, long, flat bone located at the front of the chest
supination movement of the radius and ulna bones of the forearm so that the palm faces forward
suture short fiber of connective tissue that holds the skull bones tightly in place; found only in the skull
suture bone small, flat, irregularly shaped bone that forms between the flat bones of the cranium
symphysis hyaline cartilage covers the end of the bone, but the connection between bones occurs through fibrocartilage;
symphyses are found at the joints between vertebrae
synchondrosis bones joined by hyaline cartilage; synchondroses are found in the epiphyseal plates of growing bones in
children
syndesmosis joint in which the bones are connected by a band of connective tissue, allowing for more movement than in
a suture
synovial joint only joint that has a space between the adjoining bones
thin filament two polymers of actin wound together along with tropomyosin and troponin
thoracic cage also, ribcage, skeleton of the chest, which consists of the ribs, thoracic vertebrae, sternum, and costal
cartilages
tibia also, shinbone, large bone of the leg that is located directly below the knee
tropomyosin acts to block myosin binding sites on actin molecules, preventing cross-bridge formation and preventing
contraction until a muscle receives a neuron signal
troponin binds to tropomyosin and helps to position it on the actin molecule, and also binds calcium ions
ulna bone located on the medial aspect, pinky-finger side, of the forearm
vertebral column also, spine, surrounds and protects the spinal cord, supports the head, and acts as an attachment point
for ribs and muscles of the back and neck
1430 Chapter 29 | The Musculoskeletal System
CHAPTER SUMMARY
29.1 Types of Skeletal Systems
The three types of skeleton designs are hydrostatic skeletons, exoskeletons, and endoskeletons. A hydrostatic skeleton is
formed by a fluid-filled compartment held under hydrostatic pressure; movement is created by the muscles producing
pressure on the fluid. An exoskeleton is a hard external skeleton that protects the outer surface of an organism and enables
movement through muscles attached on the inside. An endoskeleton is an internal skeleton composed of hard, mineralized
tissue that also enables movement by attachment to muscles. The human skeleton is an endoskeleton that is composed of
the axial and appendicular skeleton. The axial skeleton is composed of the bones of the skull, ossicles of the ear, hyoid
bone, vertebral column, and ribcage. The skull consists of eight cranial bones and 14 facial bones. Six bones make up the
ossicles of the middle ear, while the hyoid bone is located in the neck under the mandible. The vertebral column contains
26 bones, and it surrounds and protects the spinal cord. The thoracic cage consists of the sternum, ribs, thoracic vertebrae,
and costal cartilages. The appendicular skeleton is made up of the limbs of the upper and lower limbs. The pectoral girdle
is composed of the clavicles and the scapulae. The upper limb contains 30 bones in the arm, the forearm, and the hand.
The pelvic girdle attaches the lower limbs to the axial skeleton. The lower limb includes the bones of the thigh, the leg,
and the foot.
29.2 Bone
Bone, or osseous tissue, is connective tissue that includes specialized cells, mineral salts, and collagen fibers. The human
skeleton can be divided into long bones, short bones, flat bones, and irregular bones. Compact bone tissue is composed of
osteons and forms the external layer of all bones. Spongy bone tissue is composed of trabeculae and forms the inner part
of all bones. Four types of cells compose bony tissue: osteocytes, osteoclasts, osteoprogenitor cells, and osteoblasts.
Ossification is the process of bone formation by osteoblasts. Intramembranous ossification is the process of bone
development from fibrous membranes. Endochondral ossification is the process of bone development from hyaline
cartilage. Long bones lengthen as chondrocytes divide and secrete hyaline cartilage. Osteoblasts replace cartilage with
bone. Appositional growth is the increase in the diameter of bones by the addition of bone tissue at the surface of bones.
Bone remodeling involves the processes of bone deposition by osteoblasts and bone resorption by osteoclasts. Bone repair
occurs in four stages and can take several months.
The structural classification of joints divides them into bony, fibrous, cartilaginous, and synovial joints. The bones of
fibrous joints are held together by fibrous connective tissue; the three types of fibrous joints are sutures, syndesomes, and
gomphoses. Cartilaginous joints are joints in which the bones are connected by cartilage; the two types of cartilaginous
joints are synchondroses and symphyses. Synovial joints are joints that have a space between the adjoining bones. The
functional classification divides joints into three categories: synarthroses, amphiarthroses, and diarthroses. The movement
of synovial joints can be classified as one of four different types: gliding, angular, rotational, or special movement. Gliding
movements occur as relatively flat bone surfaces move past each other. Angular movements are produced when the angle
between the bones of a joint changes. Rotational movement is the movement of a bone as it rotates around its own
longitudinal axis. Special movements include inversion, eversion, protraction, retraction, elevation, depression,
dorsiflexion, plantar flexion, supination, pronation, and opposition. Synovial joints are also classified into six different
categories on the basis of the shape and structure of the joint: planar, hinge, pivot, condyloid, saddle, and ball-and-socket.
The body contains three types of muscle tissue: skeletal muscle, cardiac muscle, and smooth muscle. Skeleton muscle
tissue is composed of sarcomeres, the functional units of muscle tissue. Muscle contraction occurs when sarcomeres
shorten, as thick and thin filaments slide past each other, which is called the sliding filament model of muscle contraction.
ATP provides the energy for cross-bridge formation and filament sliding. Regulatory proteins, such as troponin and
tropomyosin, control cross-bridge formation. Excitation-contraction coupling transduces the electrical signal of the
neuron, via acetylcholine, to an electrical signal on the muscle membrane, which initiates force production. The number of
muscle fibers contracting determines how much force the whole muscle produces.
REVIEW QUESTIONS
1. Which type of skeletal system of animals is formed by the pressure exerted by the aqueous contents of the coelom on
surrounding organs?
Chapter 29 | The Musculoskeletal System 1431
a. hydrostatic skeleton
b. exoskeleton
c. axial skeleton
d. appendicular skeleton
2. The skeletal system is necessary to support the body, protect internal organs, and allow movement. Which of the
following organisms must shed and then regenerate its skeletal system as it grows?
a. earthworm
b. lobster
c. snake
d. sea anemone
3. Which of the following is a role of the human vertebral column?
a. to protect the heart and lungs
b. to support the head
c. to attach the upper limbs to the axial skeleton
d. to permit locomotion
4. Abnormalities of the thoracic cage are relatively rare, but when they exist they can cause disorders. Which of the
following would most be at risk if someone had a defective thoracic cage?
a. middle ear
b. brain
c. spinal cord
d. heart
5. Which type of skeletal system of animals is composed of a hard skeletal layer found on the exterior of the organism?
a. hydrostatic skeleton
b. exoskeleton
c. axial skeleton
d. appendicular skeleton
6. Which type of organism moves by peristaltic muscle contraction, extending its body in one direction, then shortening
and pulling itself along a surface?
a. ants
b. lizards
c. sea stars
d. sponges
7. The cells responsible for bone resorption are________.
a. osteoclasts
b. osteoblasts
c. fibroblasts
d. osteocytes
8. The bones of human skeletons are classified by their shape. How does the structure of sesamoid bones differ from that
of short bones?
a. Sesamoid bones are small and flat, whereas short bones are approximately equal in height and width.
b. Sesamoid bones are thin and broad, whereas short bones have a central shaft and two ends.
c. Sesamoid bones are small, flat, and irregularly shaped, whereas short bones are cuboidal in shape.
d. Sesamoid bones are thin and broad, whereas short bones are small and flat.
1432 Chapter 29 | The Musculoskeletal System
9. A patient was diagnosed with low calcium levels in the blood, which affect nervous system and muscle functions. You
decide to examine the functioning of various cells composing the patient’s bone tissue.
Which type of bone cell do you predict may be dysfunctional?
a. Osteoclasts
b. Osteoblasts ?
c. Osteoprogenitor cells ?
d. Osteocytes
10. Which of the following bones or bone structures forms primarily due to endochondral ossification?
a. skull
b. clavicle
c. mandible
d. femur
11. Synchondroses and symphyses are connected by ________.
a. fibers
b. synovial fluid
c. cartilage
d. condyloid
12. ________ is a characteristic of the synovial fluid.
a. Stability
b. Lubrication
c. Minor movement
d. Increase of friction
13. Synovial joints allow different types of movement. Turning your head to look over your shoulder is an example of
________.
a. abduction
b. medial rotation
c. lateral rotation
d. adduction
14. Which of the following is an example of a pivot joint?
a. elbow
b. thumb
c. hip
d. the joint of the wrist
15. ________ muscles are also called voluntary muscles.
a. Cardiac
b. Smooth
c. Connective
d. Skeletal
16. Which of the following best describes a function of smooth muscle tissue?
Chapter 29 | The Musculoskeletal System 1433
Figure 29.39
Biopolymers like collagen have higher toughness and higher elasticity. Biominerals like enamel have lower toughness but
provide rigidity. Some organisms support soft tissue by combining biopolymers and biomaterials. Some rely more on
biopolymers. Note that this is a logarithm scale not a linear scale. So that the difference in toughness of keratin and bone is
roughly 100 and the difference in rigidity of these to materials is nearly that large.
a. Use this graph to pose questions about the fitness of various biological solutions to the problem of capturing,
storing, and using free energy. (Remember that engineers define “toughness” as the ability to absorb energy
without fracturing.)
b. Refine this representation by identifying an important property of a biomaterial that is missing and explain its
importance in terms of free energy acquisition and use.
c. Explain how this data indicates that the properties of biopolymers will lead to a better biomimetic design of the
humanoid robot than is imagined in C3PO of Star Wars fame.
31. An investigation of the evolution of muscle was made by Steinmetz et al (Nature, 487, 2012), and a sample of data is
presented in the following diagram. Below the accepted phylogeny of major groups are rows with families of genes that
code for different muscle proteins, including actin and myosin. Shared genes are shown where the cell is darkened.
Samples of genes associated with striated and smooth muscle and the Z-disc that terminates the actin-myosin pair are
clustered. These are shown in the diagram below, where groups in which muscle cells occur lie within the box whose
edges are dashed lines.
Chapter 29 | The Musculoskeletal System 1437
Figure 29.40
a. Analyze these data in terms of evidence of common ancestry and evidence of the convergent evolution of the
muscle cell.
Molecular phylogenetics has provided many insights into the evolution of genes. Because this work is framed by
the central organizing principle of evolution it is possible to forget that there are people living today who need
evidence that speciation and extinction have occurred throughout Earth’s history.
b. Describe in broad outline a plan using molecular databases for either protein or DNA sequences that you could
help those who are in need of evidence construct it.
1438 Chapter 29 | The Musculoskeletal System
Chapter 30 | The Respiratory System 1439
30 | THE RESPIRATORY
SYSTEM
Figure 30.1 Lungs, which appear as nearly transparent tissue surrounding the heart in this X-ray of a dog (left), are
the central organs of the respiratory system. The left lung is smaller than the right lung to accommodate space for the
heart. A dog’s nose (right) has a slit on the side of each nostril. When tracking a scent, the slits open, blocking the
front of the nostrils. This allows the dog to exhale though the now-open area on the side of the nostrils without losing
the scent that is being followed. (credit a: modification of work by Geoff Stearns; credit b: modification of work by Cory
Zanker)
Chapter Outline
30.1: Systems of Gas Exchange
30.2: Gas Exchange across Respiratory Surfaces
30.3: Breathing
30.4: Transport of Gases in Human Bodily Fluids
Introduction
Breathing is an involuntary event. How often a breath is taken and how much air is inhaled or exhaled are tightly regulated
by the respiratory center in the brain. Humans, when they aren’t exerting themselves, breathe approximately 15 times per
minute on average. Canines, like the dog in Figure 30.1, have a respiratory rate of about 15–30 breaths per minute. In
addition to exhaling carbon dioxide when we breathe, scientists believe people with cancerous lung cells also exhale tiny
amounts of volatile organic compounds. Researchers used specially trained dogs to see if they could tell the difference
between people with and without lung cancer. The dogs correctly identified 71 out of 100 lung cancer patients and 372 out
of 400 who did not. You can read more about this exciting research here (http://openstaxcollege.org/l/32lungcancer) .
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction, and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce, and
Knowledge maintain organization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 2.7 The student is able to explain how cell size and shape effect the overall rate of nutrient
Objective intake and the rate of waste elimination.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
4.15 The student is able to use visual representations to analyze situations or solve
Learning
problems quantitatively to illustrate how interactions among living systems and within their
Objective
environment result in the movement of matter and energy.
The primary function of the respiratory system is to deliver oxygen to the cells of the body’s tissues and remove carbon
dioxide, a cell waste product. The main structures of the human respiratory system are the nasal cavity, the trachea, and
lungs.
All aerobic organisms require oxygen to carry out their metabolic functions. Along the evolutionary tree, different
organisms have devised different means of obtaining oxygen from the surrounding atmosphere. The environment in which
the animal lives greatly determines how an animal respires. The complexity of the respiratory system is correlated with the
size of the organism. As animal size increases, diffusion distances increase and the ratio of surface area to volume drops.
Chapter 30 | The Respiratory System 1441
In unicellular organisms, diffusion across the cell membrane is sufficient for supplying oxygen to the cell (Figure 30.2).
Diffusion is a slow, passive transport process. In order for diffusion to be a feasible means of providing oxygen to the cell,
the rate of oxygen uptake must match the rate of diffusion across the membrane. In other words, if the cell were very large
or thick, diffusion would not be able to provide oxygen quickly enough to the inside of the cell. Therefore, dependence
on diffusion as a means of obtaining oxygen and removing carbon dioxide remains feasible only for small organisms or
those with highly-flattened bodies, such as many flatworms (Platyhelminthes). Larger organisms had to evolve specialized
respiratory tissues, such as gills, lungs, and respiratory passages accompanied by complex circulatory systems, to transport
oxygen throughout their entire body.
Figure 30.2 The cell of the unicellular algae Ventricaria ventricosa is one of the largest known, reaching one to five
centimeters in diameter. Like all single-celled organisms, V. ventricosa exchanges gases across the cell membrane.
Direct Diffusion
For small multicellular organisms, diffusion across the outer membrane is sufficient to meet their oxygen needs. Gas
exchange by direct diffusion across surface membranes is efficient for organisms less than 1 mm in diameter. In simple
organisms, such as cnidarians and flatworms, every cell in the body is close to the external environment. Their cells
are kept moist and gases diffuse quickly via direct diffusion. Flatworms are small, literally flat worms, which breathe
through diffusion across the outer membrane (Figure 30.3). The flat shape of these organisms increases the surface area for
diffusion, ensuring that each cell within the body is close to the outer membrane surface and has access to oxygen. If the
flatworm had a cylindrical body, then the cells in the center would not be able to get oxygen.
Figure 30.3 This flatworm’s process of respiration works by diffusion across the outer membrane. (credit: Stephen
Childs)
oxygen in water rapidly diffuses across the gills into the bloodstream. The circulatory system can then carry the oxygenated
blood to the other parts of the body. In animals that contain coelomic fluid instead of blood, oxygen diffuses across the gill
surfaces into the coelomic fluid. Gills are found in mollusks, annelids, and crustaceans.
Figure 30.4 This common carp, like many other aquatic organisms, has gills that allow it to obtain oxygen from water.
(credit: "Guitardude012"/Wikimedia Commons)
The folded surfaces of the gills provide a large surface area to ensure that the fish gets sufficient oxygen. Diffusion is a
process in which material travels from regions of high concentration to low concentration until equilibrium is reached. In
this case, blood with a low concentration of oxygen molecules circulates through the gills. The concentration of oxygen
molecules in water is higher than the concentration of oxygen molecules in gills. As a result, oxygen molecules diffuse from
water (high concentration) to blood (low concentration), as shown in Figure 30.5. Similarly, carbon dioxide molecules in
the blood diffuse from the blood (high concentration) to water (low concentration).
Figure 30.5 As water flows over the gills, oxygen is transferred to blood via the veins. (credit "fish": modification of
work by Duane Raver, NOAA)
Tracheal Systems
Insect respiration is independent of its circulatory system; therefore, the blood does not play a direct role in oxygen
transport. Insects have a highly specialized type of respiratory system called the tracheal system, which consists of a
network of small tubes that carries oxygen to the entire body. The tracheal system is the most direct and efficient respiratory
system in active animals. The tubes in the tracheal system are made of a polymeric material called chitin.
Insect bodies have openings, called spiracles, along the thorax and abdomen. These openings connect to the tubular network,
allowing oxygen to pass into the body (Figure 30.6) and regulating the diffusion of CO2 and water vapor. Air enters and
leaves the tracheal system through the spiracles. Some insects can ventilate the tracheal system with body movements.
Chapter 30 | The Respiratory System 1443
Mammalian Systems
In mammals, pulmonary ventilation occurs via inhalation (breathing). During inhalation, air enters the body through the
nasal cavity located just inside the nose (Figure 30.7). As air passes through the nasal cavity, the air is warmed to body
temperature and humidified. The respiratory tract is coated with mucus to seal the tissues from direct contact with air. Mucus
is high in water. As air crosses these surfaces of the mucous membranes, it picks up water. These processes help equilibrate
the air to the body conditions, reducing any damage that cold, dry air can cause. Particulate matter that is floating in the air
is removed in the nasal passages via mucus and cilia. The processes of warming, humidifying, and removing particles are
important protective mechanisms that prevent damage to the trachea and lungs. Thus, inhalation serves several purposes in
addition to bringing oxygen into the respiratory system.
1444 Chapter 30 | The Respiratory System
Figure 30.7 Air enters the respiratory system through the nasal cavity and pharynx, and then passes through the
trachea and into the bronchi, which bring air into the lungs. (credit: modification of work by NCI)
In which order does inhaled air travel from the pharynx to the bronchioles?
a. pharynx → trachea → larynx → bronchi→ bronchioles.
b. pharynx → larynx → trachea → bronchi→ bronchioles
c. pharynx → larynx → trachea → bronchioles → bronchi
d. pharynx → trachea → larynx → bronchioles → bronchi
From the nasal cavity, air passes through the pharynx (throat) and the larynx (voice box), as it makes its way to the trachea
(Figure 30.7). The main function of the trachea is to funnel the inhaled air to the lungs and the exhaled air back out of
the body. The human trachea is a cylinder about 10-12 cm long and 2 cm in diameter that sits in front of the esophagus
and extends from the larynx into the chest cavity where it divides into the two primary bronchi at the midthorax. It is
made of incomplete rings of hyaline cartilage and smooth muscle (Figure 30.8). The trachea is lined with mucus-producing
goblet cells and ciliated epithelia. The cilia propel foreign particles trapped in the mucus toward the pharynx. The cartilage
provides strength and support to the trachea to keep the passage open. The smooth muscle can contract, decreasing the
trachea’s diameter, which causes expired air to rush upwards from the lungs at a great force. The forced exhalation helps
expel mucus when we cough. Smooth muscle can contract or relax, depending on stimuli from the external environment or
the body’s nervous system.
Chapter 30 | The Respiratory System 1445
Figure 30.8 The trachea and bronchi are made of incomplete rings of cartilage. (credit: modification of work by Gray's
Anatomy)
Figure 30.9 The trachea bifurcates into the right and left bronchi in the lungs. The right lung is made of three lobes
and is larger. To accommodate the heart, the left lung is smaller and has only two lobes.
In the lungs, air is diverted into smaller and smaller passages, or bronchi. Air enters the lungs through the two primary
(main) bronchi (singular: bronchus). Each bronchus divides into secondary bronchi, then into tertiary bronchi, which
in turn divide, creating smaller and smaller diameter bronchioles as they split and spread through the lung. Like the
trachea, the bronchi are made of cartilage and smooth muscle. At the bronchioles, the cartilage is replaced with elastic
fibers. Bronchi are innervated by nerves of both the parasympathetic and sympathetic nervous systems that control
muscle contraction (parasympathetic) or relaxation (sympathetic) in the bronchi and bronchioles, depending on the nervous
system’s cues. In humans, bronchioles with a diameter smaller than 0.5 mm are the respiratory bronchioles. They lack
cartilage and therefore rely on inhaled air to support their shape. As the passageways decrease in diameter, the relative
amount of smooth muscle increases.
The terminal bronchioles subdivide into microscopic branches called respiratory bronchioles. The respiratory bronchioles
subdivide into several alveolar ducts. Numerous alveoli and alveolar sacs surround the alveolar ducts. The alveolar sacs
resemble bunches of grapes tethered to the end of the bronchioles (Figure 30.10). In the acinar region, the alveolar ducts
1446 Chapter 30 | The Respiratory System
are attached to the end of each bronchiole. At the end of each duct are approximately 100 alveolar sacs, each containing
20-30 alveoli that are 200-300 microns in diameter. Gas exchange occurs only in alveoli. Alveoli are made of thin-walled
parenchymal cells, typically one-cell thick, that look like tiny bubbles within the sacs. Alveoli are in direct contact with
capillaries (one-cell thick) of the circulatory system. Such intimate contact ensures that oxygen will diffuse from alveoli
into the blood and be distributed to the cells of the body. In addition, the carbon dioxide that was produced by cells as a
waste product will diffuse from the blood into alveoli to be exhaled. The anatomical arrangement of capillaries and alveoli
emphasizes the structural and functional relationship of the respiratory and circulatory systems. Because there are so many
alveoli (~300 million per lung) within each alveolar sac and so many sacs at the end of each alveolar duct, the lungs have a
sponge-like consistency. This organization produces a very large surface area that is available for gas exchange. The surface
area of alveoli in the lungs is approximately 75 m2. This large surface area, combined with the thin-walled nature of the
alveolar parenchymal cells, allows gases to easily diffuse across the cells.
Figure 30.10 Terminal bronchioles are connected by respiratory bronchioles to alveolar ducts and alveolar sacs. Each
alveolar sac contains 20-30 spherical alveoli and has the appearance of a bunch of grapes. Air flows into the atrium
of the alveolar sac, then circulates into alveoli where gas exchange occurs with the capillaries. Mucous glands secrete
mucous into the airways, keeping them moist and flexible. (credit: modification of work by Mariana Ruiz Villareal)
Chapter 30 | The Respiratory System 1447
b. The pharynx connects the nasal cavity to the lungs, while the larynx connects the oral cavity to the lungs.
Protective Mechanisms
The air that organisms breathe contains particulate matter such as dust, dirt, viral particles, and bacteria that can damage
the lungs or trigger allergic immune responses. The respiratory system contains several protective mechanisms to avoid
problems or tissue damage. In the nasal cavity, hairs and mucus trap small particles, viruses, bacteria, dust, and dirt to
prevent their entry.
If particulates do make it beyond the nose, or enter through the mouth, the bronchi and bronchioles of the lungs also contain
several protective devices. The lungs produce mucus—a sticky substance made of mucin, a complex glycoprotein, as well
as salts and water—that traps particulates. The bronchi and bronchioles contain cilia, small hair-like projections that line
the walls of the bronchi and bronchioles (Figure 30.11). These cilia beat in unison and move mucus and particles out of the
bronchi and bronchioles back up to the throat where it is swallowed and eliminated via the esophagus.
In humans, for example, tar and other substances in cigarette smoke destroy or paralyze the cilia, making the removal of
particles more difficult. In addition, smoking causes the lungs to produce more mucus, which the damaged cilia are not able
to move. This causes a persistent cough, as the lungs try to rid themselves of particulate matter, and makes smokers more
susceptible to respiratory ailments.
Figure 30.11 The bronchi and bronchioles contain cilia that help move mucus and other particles out of the lungs.
(credit: Louisa Howard, modification of work by Dartmouth Electron Microscope Facility)
1448 Chapter 30 | The Respiratory System
Think About It
How does the structure of alveoli maximize gas exchange?
Section Summary
Animal respiratory systems are designed to facilitate gas exchange. In mammals, air is warmed and humidified in the
nasal cavity. Air then travels down the pharynx, through the trachea, and into the lungs. In the lungs, air passes through
the branching bronchi, reaching the respiratory bronchioles, which house the first site of gas exchange. The respiratory
bronchioles open into the alveolar ducts, alveolar sacs, and alveoli. Because there are so many alveoli and alveolar sacs in
the lung, the surface area for gas exchange is very large. Several protective mechanisms are in place to prevent damage
or infection. These include the hair and mucus in the nasal cavity that trap dust, dirt, and other particulate matter before
they can enter the system. In the lungs, particles are trapped in a mucus layer and transported via cilia up to the esophageal
opening at the top of the trachea to be swallowed.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction, and dynamic homeostasis require that cells create and maintain
Understanding
internal environments that are different form their external environment.
2.B
Essential 2.B.2 Growth and dynamic homeostasis are maintained by the constant movement of
Knowledge molecules across membranes.
Chapter 30 | The Respiratory System 1449
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
2.12 The student is able to use representations and models to analyze situations or solve
Learning
problems qualitatively and quantitatively to investigate whether dynamic homeostasis is
Objective
maintained by the movement of molecules across membranes.
The structure of the lung maximizes its surface area to increase gas diffusion. Because of the enormous number of alveoli
(approximately 300 million in each human lung), the surface area of the lung is very large (75 m2). Having such a large
surface area increases the amount of gas that can diffuse into and out of the lungs.
Figure 30.12 Human lung volumes and capacities are shown. The total lung capacity of the adult male is six liters.
Tidal volume is the volume of air inhaled in a single, normal breath. Inspiratory capacity is the amount of air taken in
during a deep breath, and residual volume is the amount of air left in the lungs after forceful respiration.
Table 30.1
The volume in the lung can be divided into four units: tidal volume, expiratory reserve volume, inspiratory reserve volume,
and residual volume. Tidal volume (TV) measures the amount of air that is inspired and expired during a normal breath.
On average, this volume is around one-half liter, which is a little less than the capacity of a 20-ounce drink bottle. The
expiratory reserve volume (ERV) is the additional amount of air that can be exhaled after a normal exhalation. It is the
reserve amount that can be exhaled beyond what is normal. Conversely, the inspiratory reserve volume (IRV) is the
additional amount of air that can be inhaled after a normal inhalation. The residual volume (RV) is the amount of air that
is left after expiratory reserve volume is exhaled. The lungs are never completely empty: There is always some air left
in the lungs after a maximal exhalation. If this residual volume did not exist and the lungs emptied completely, the lung
Chapter 30 | The Respiratory System 1451
tissues would stick together and the energy necessary to reinflate the lung could be too great to overcome. Therefore, there
is always some air remaining in the lungs. Residual volume is also important for preventing large fluctuations in respiratory
gases (O2 and CO2). The residual volume is the only lung volume that cannot be measured directly because it is impossible
to completely empty the lung of air. This volume can only be calculated rather than measured.
Capacities are measurements of two or more volumes. The vital capacity (VC) measures the maximum amount of air that
can be inhaled or exhaled during a respiratory cycle. It is the sum of the expiratory reserve volume, tidal volume, and
inspiratory reserve volume. The inspiratory capacity (IC) is the amount of air that can be inhaled after the end of a normal
expiration. It is, therefore, the sum of the tidal volume and inspiratory reserve volume. The functional residual capacity
(FRC) includes the expiratory reserve volume and the residual volume. The FRC measures the amount of additional air that
can be exhaled after a normal exhalation. Lastly, the total lung capacity (TLC) is a measurement of the total amount of air
that the lung can hold. It is the sum of the residual volume, expiratory reserve volume, tidal volume, and inspiratory reserve
volume.
Lung volumes are measured by a technique called spirometry. An important measurement taken during spirometry is the
forced expiratory volume (FEV), which measures how much air can be forced out of the lung over a specific period,
usually one second (FEV1). In addition, the forced vital capacity (FVC), which is the total amount of air that can be forcibly
exhaled, is measured. The ratio of these values (FEV1/FVC ratio) is used to diagnose lung diseases including asthma,
emphysema, and fibrosis. If the FEV1/FVC ratio is high, the lungs are not compliant (meaning they are stiff and unable
to bend properly), and the patient most likely has lung fibrosis. Patients exhale most of the lung volume very quickly.
Conversely, when the FEV1/FVC ratio is low, there is resistance in the lung that is characteristic of asthma. In this instance,
it is hard for the patient to get the air out of his or her lungs, and it takes a long time to reach the maximal exhalation volume.
In either case, breathing is difficult and complications arise.
Respiratory Therapist
Respiratory therapists or respiratory practitioners evaluate and treat patients with lung and cardiovascular
diseases. They work as part of a medical team to develop treatment plans for patients. Respiratory
therapists may treat premature babies with underdeveloped lungs, patients with chronic conditions such
as asthma, or older patients suffering from lung disease such as emphysema and chronic obstructive
pulmonary disease (COPD). They may operate advanced equipment such as compressed gas delivery
systems, ventilators, blood gas analyzers, and resuscitators. Specialized programs to become a respiratory
therapist generally lead to a bachelor’s degree with a respiratory therapist specialty. Because of a growing
aging population, career opportunities as a respiratory therapist are expected to remain strong.
Patm, the atmospheric pressure, is the sum of all of the partial pressures of the atmospheric gases added together,
P atm = P N + P O + P H + P CO = 760 mm Hg.
2 2 2O 2
The pressure of the atmosphere at sea level is 760 mm Hg. Therefore, the partial pressure of oxygen is
P O = (760 mm Hg) (0.21) = 160 mm Hg
2
At high altitudes, Patm decreases but concentration does not change; the partial pressure decrease is due to the reduction in
Patm.
When the air mixture reaches the lung, it has been humidified. The pressure of the water vapor in the lung does not change
the pressure of the air, but it must be included in the partial pressure equation. For this calculation, the water pressure (47
mm Hg) is subtracted from the atmospheric pressure
760 mm Hg − 47 mm Hg = 713 mm Hg,
These pressures determine the gas exchange, or the flow of gas, in the system. Oxygen and carbon dioxide will flow
according to their pressure gradient from high to low. Therefore, understanding the partial pressure of each gas will aid in
understanding how gases move in the respiratory system.
40 mm Hg
alveolar P O = 150 mm Hg − ( ) = mm Hg.
2 0.8
Notice that this pressure is less than the external air. Therefore, the oxygen will flow from the inspired air in the lung ( P O
2
= 150 mm Hg) into the bloodstream ( P O = 100 mm Hg) (Figure 30.13).
2
In the lungs, oxygen diffuses out of the alveoli and into the capillaries surrounding the alveoli. Oxygen (about 98 percent)
binds reversibly to the respiratory pigment hemoglobin found in red blood cells (RBCs). RBCs carry oxygen to the tissues
where oxygen dissociates from the hemoglobin and diffuses into the cells of the tissues. More specifically, alveolar P O
2
is higher in the alveoli ( P ALVO = 100 mm Hg) than blood P O (40 mm Hg) in the capillaries. Because this pressure
2 2
gradient exists, oxygen diffuses down its pressure gradient, moving out of the alveoli and entering the blood of the
capillaries where O2 binds to hemoglobin. At the same time, alveolar P CO is lower P ALVO = 40 mm Hg than blood
2 2
P CO = (45 mm Hg). CO2 diffuses down its pressure gradient, moving out of the capillaries and entering the alveoli.
2
Oxygen and carbon dioxide move independently of each other; they diffuse down their own pressure gradients. As blood
leaves the lungs through the pulmonary veins, the venous PO = 100 mm Hg, whereas the venous PCO = 40 mm Hg. As
2 2
blood enters the systemic capillaries, the blood will lose oxygen and gain carbon dioxide because of the pressure difference
of the tissues and blood. In systemic capillaries, P O = 100 mm Hg, but in the tissue cells, P O = 40 mm Hg. This pressure
2 2
gradient drives the diffusion of oxygen out of the capillaries and into the tissue cells. At the same time, blood P CO = 40
2
Chapter 30 | The Respiratory System 1453
mm Hg and systemic tissue P CO = 45 mm Hg. The pressure gradient drives CO2 out of tissue cells and into the capillaries.
2
The blood returning to the lungs through the pulmonary arteries has a venous P O = 40 mm Hg and a P CO = 45 mm Hg.
2 2
The blood enters the lung capillaries where the process of exchanging gases between the capillaries and alveoli begins again
(Figure 30.13).
Figure 30.13 The partial pressures of oxygen and carbon dioxide change as blood moves through the body.
How do PO 2 and PCO 2 change as blood passes from the arteries to the veins within body tissues?
In short, the change in partial pressure from the alveoli to the capillaries drives the oxygen into the tissues and the carbon
dioxide into the blood from the tissues. The blood is then transported to the lungs where differences in pressure in the alveoli
result in the movement of carbon dioxide out of the blood into the lungs, and oxygen into the blood.
1454 Chapter 30 | The Respiratory System
Think About It
How can a respiratory infection such as pneumonia affect the exchange of gases between the alveoli in the lungs and
the capillaries surrounding them?
Section Summary
The lungs can hold a large volume of air, but they are not usually filled to maximal capacity. Lung volume measurements
include tidal volume, expiratory reserve volume, inspiratory reserve volume, and residual volume. The sum of these equals
the total lung capacity. Gas movement into or out of the lungs is dependent on the pressure of the gas. Air is a mixture
of gases; therefore, the partial pressure of each gas can be calculated to determine how the gas will flow in the lung. The
difference between the partial pressure of the gas in the air drives oxygen into the tissues and carbon dioxide out of the
body.
30.3 | Breathing
In this section, you will explore the following questions:
• How do the structure of the lungs and thoracic cavity control the mechanics of breathing?
• What is the importance of compliance and resistance in the lungs?
Types of Breathing
Amphibians have evolved multiple ways of breathing. Young amphibians, like tadpoles, use gills to breathe, and they don’t
leave the water. Some amphibians retain gills for life. As the tadpole grows, the gills disappear and lungs grow. These
lungs are primitive and not as evolved as mammalian lungs. Adult amphibians are lacking or have a reduced diaphragm, so
breathing via lungs is forced. The other means of breathing for amphibians is diffusion across the skin. To aid this diffusion,
amphibian skin must remain moist.
Birds face a unique challenge with respect to breathing: They fly. Flying consumes a great amount of energy; therefore, birds
require a lot of oxygen to aid their metabolic processes. Birds have evolved a respiratory system that supplies them with
the oxygen needed to enable flying. Similar to mammals, birds have lungs, which are organs specialized for gas exchange.
Oxygenated air, taken in during inhalation, diffuses across the surface of the lungs into the bloodstream, and carbon dioxide
diffuses from the blood into the lungs and expelled during exhalation. The details of breathing between birds and mammals
differ substantially.
In addition to lungs, birds have air sacs inside their bodies. Air flows in one direction from the posterior air sacs to the lungs
and out of the anterior air sacs. The flow of air is in the opposite direction from blood flow, and gas exchange takes place
much more efficiently. This type of breathing enables birds to obtain the requisite oxygen, even at higher altitudes where
the oxygen concentration is low. This directionality of airflow requires two cycles of air intake and exhalation to completely
get the air out of the lungs.
1456 Chapter 30 | The Respiratory System
Avian Respiration
Birds have evolved a respiratory system that enables them to fly. Flying is a high-energy process and
requires a lot of oxygen. Furthermore, many birds fly in high altitudes where the concentration of oxygen in
low. How did birds evolve a respiratory system that is so unique?
Decades of research by paleontologists have shown that birds evolved from therapods, meat-eating
dinosaurs (Figure 30.14). In fact, fossil evidence shows that meat-eating dinosaurs that lived more than 100
million years ago had a similar flow-through respiratory system with lungs and air sacs. Archaeopteryx and
Xiaotingia, for example, were flying dinosaurs and are believed to be early precursors of birds.
Figure 30.14 (a) Birds have a flow-through respiratory system in which air flows unidirectionally from the posterior
sacs into the lungs, then into the anterior air sacs. The air sacs connect to openings in hollow bones. (b)
Dinosaurs, from which birds descended, have similar hollow bones and are believed to have had a similar
respiratory system. (credit b: modification of work by Zina Deretsky, National Science Foundation)
Most of us consider that dinosaurs are extinct. However, modern birds are descendants of avian dinosaurs.
The respiratory system of modern birds has been evolving for hundreds of millions of years.
Chapter 30 | The Respiratory System 1457
Recall the exhalation pathway of birds. What is meant by the statement, “these animals have a flow-through respiratory
system,” and how does this aid in flight?
a. The flow-through respiratory system allows air to move only entirely in one direction, without retracing its
pathway at all, allowing the animal to breathe faster while in flight
b. The flow-through respiratory system contains several air sacs that make the animal lighter compared to
similar-sized animals with no air sacs.
c. The flow-through respiratory system contains many lungs, which allow the animals to take in the large
quantities of oxygen needed for flight.
d. The flow-through respiratory system allows air to move in an almost unidirectional pathway to reach a series
of air sacs that provide air to hollow bones, making the animals lighter and providing efficient respiration.
All mammals have lungs that are the main organs for breathing. Lung capacity has evolved to support the animal’s activities.
During inhalation, the lungs expand with air, and oxygen diffuses across the lung’s surface and enters the bloodstream.
During exhalation, the lungs expel air and lung volume decreases. In the next few sections, the process of human breathing
will be explained.
Figure 30.15 This graph shows data from Boyle’s original 1662 experiment, which shows that pressure and volume
are inversely related. No units are given as Boyle used arbitrary units in his experiments.
There is always a slightly negative pressure within the thoracic cavity, which aids in keeping the airways of the lungs
open. During inhalation, volume increases as a result of contraction of the diaphragm, and pressure decreases (according
to Boyle’s Law). This decrease of pressure in the thoracic cavity relative to the environment makes the cavity less than
the atmosphere (Figure 30.16a). Because of this drop in pressure, air rushes into the respiratory passages. To increase the
volume of the lungs, the chest wall expands. This results from the contraction of the intercostal muscles, the muscles that
are connected to the rib cage. Lung volume expands because the diaphragm contracts and the intercostal muscles contract,
thus expanding the thoracic cavity. This increase in the volume of the thoracic cavity lowers pressure compared to the
atmosphere, so air rushes into the lungs, thus increasing its volume. The resulting increase in volume is largely attributed to
an increase in alveolar space, because the bronchioles and bronchi are stiff structures that do not change in size.
1458 Chapter 30 | The Respiratory System
Figure 30.16 The lungs, chest wall, and diaphragm are all involved in respiration, both (a) inhalation and (b) expiration.
The chest wall expands out and away from the lungs. The lungs are elastic; therefore, when air fills the lungs, the elastic
recoil within the tissues of the lung exerts pressure back toward the interior of the lungs. These outward and inward forces
compete to inflate and deflate the lung with every breath. Upon exhalation, the lungs recoil to force the air out of the lungs,
and the intercostal muscles relax, returning the chest wall back to its original position (Figure 30.16b). The diaphragm
also relaxes and moves higher into the thoracic cavity. This increases the pressure within the thoracic cavity relative to
the environment, and air rushes out of the lungs. The movement of air out of the lungs is a passive event. No muscles are
contracting to expel the air.
Each lung is surrounded by an invaginated sac. The layer of tissue that covers the lung and dips into spaces is called the
visceral pleura. A second layer of parietal pleura lines the interior of the thorax (Figure 30.17). The space between these
layers, the intrapleural space, contains a small amount of fluid that protects the tissue and reduces the friction generated
from rubbing the tissue layers together as the lungs contract and relax. Pleurisy results when these layers of tissue become
inflamed; it is painful because the inflammation increases the pressure within the thoracic cavity and reduces the volume of
the lung.
Chapter 30 | The Respiratory System 1459
Figure 30.17 A tissue layer called pleura surrounds the lung and interior of the thoracic cavity. (credit: modification of
work by NCI)
View (http://openstaxcollege.org/l/boyle_breathing) how Boyle’s Law is related to breathing and watch this video
(http://openstaxcollege.org/l/boyles_law) on Boyle’s Law.
How does the relationship between the pressure and volume of a gas, as described by Boyle’s law, relate to the changes
in lung pressure during inhalation and exhalation?
a. Boyle’s law states the pressure of a gas is directly proportional to its volume. Therefore, the lungs control
the volume of air by altering the air pressure of the thoracic cavity.
b. Boyle’s law states the pressure of a gas is inversely proportional to its volume. Therefore, the lungs control
air pressure by altering the volume of the thoracic cavity.
c. Boyle’s law states the pressure of a gas is inversely proportional to its volume. Therefore, the lungs control
air pressure by expanding and pushing out the muscles of the thoracic cavity.
d. Boyle’s law states the pressure of a gas is directly proportional to its volume. Therefore, the lungs control air
pressure by controlling the volume of the thoracic cavity, not vice versa.
breathing), or decrease the respiratory rate while increasing the tidal volume per breath. In either case, the ventilation
remains the same, but the work done and type of work needed are quite different. Both tidal volume and respiratory rate are
closely regulated when oxygen demand increases.
There are two types of work conducted during respiration, flow-resistive and elastic work. Flow-resistive refers to the work
of the alveoli and tissues in the lung, whereas elastic work refers to the work of the intercostal muscles, chest wall, and
diaphragm. Increasing the respiration rate increases the flow-resistive work of the airways and decreases the elastic work of
the muscles. Decreasing the respiratory rate reverses the type of work required.
Surfactant
The air-tissue/water interface of the alveoli has a high surface tension. This surface tension is similar to the surface tension
of water at the liquid-air interface of a water droplet that results in the bonding of the water molecules together. Surfactant
is a complex mixture of phospholipids and lipoproteins that works to reduce the surface tension that exists between the
alveoli tissue and the air found within the alveoli. By lowering the surface tension of the alveolar fluid, it reduces the
tendency of alveoli to collapse.
Surfactant works like a detergent to reduce the surface tension and allows for easier inflation of the airways. When a balloon
is first inflated, it takes a large amount of effort to stretch the plastic and start to inflate the balloon. If a little bit of detergent
was applied to the interior of the balloon, then the amount of effort or work needed to begin to inflate the balloon would
decrease, and it would become much easier to start blowing up the balloon. This same principle applies to the airways. A
small amount of surfactant to the airway tissues reduces the effort or work needed to inflate those airways. Babies born
prematurely sometimes do not produce enough surfactant. As a result, they suffer from respiratory distress syndrome,
because it requires more effort to inflate their lungs. Surfactant is also important for preventing collapse of small alveoli
relative to large alveoli.
Lung Resistance and Compliance
Pulmonary diseases reduce the rate of gas exchange into and out of the lungs. Two main causes of decreased gas exchange
are compliance (how elastic the lung is) and resistance (how much obstruction exists in the airways). A change in either
can dramatically alter breathing and the ability to take in oxygen and release carbon dioxide.
Examples of restrictive diseases are respiratory distress syndrome and pulmonary fibrosis. In both diseases, the airways are
less compliant and they are stiff or fibrotic. There is a decrease in compliance because the lung tissue cannot bend and move.
In these types of restrictive diseases, the intrapleural pressure is more positive and the airways collapse upon exhalation,
which traps air in the lungs. Forced or functional vital capacity (FVC), which is the amount of air that can be forcibly
exhaled after taking the deepest breath possible, is much lower than in normal patients, and the time it takes to exhale most
of the air is greatly prolonged (Figure 30.18). A patient suffering from these diseases cannot exhale the normal amount of
air.
Obstructive diseases and conditions include emphysema, asthma, and pulmonary edema. In emphysema, which mostly
arises from smoking tobacco, the walls of the alveoli are destroyed, decreasing the surface area for gas exchange. The
overall compliance of the lungs is increased, because as the alveolar walls are damaged, lung elastic recoil decreases due to a
loss of elastic fibers, and more air is trapped in the lungs at the end of exhalation. Asthma is a disease in which inflammation
is triggered by environmental factors. Inflammation obstructs the airways. The obstruction may be due to edema (fluid
accumulation), smooth muscle spasms in the walls of the bronchioles, increased mucus secretion, damage to the epithelia of
the airways, or a combination of these events. Those with asthma or edema experience increased occlusion from increased
inflammation of the airways. This tends to block the airways, preventing the proper movement of gases (Figure 30.18).
Those with obstructive diseases have large volumes of air trapped after exhalation and breathe at a very high lung volume
to compensate for the lack of airway recruitment.
Chapter 30 | The Respiratory System 1461
Figure 30.18 The ratio of FEV1 (the amount of air that can be forcibly exhaled in one second after taking a deep
breath) to FVC (the total amount of air that can be forcibly exhaled) can be used to diagnose whether a person has
restrictive or obstructive lung disease. In restrictive lung disease, FVC is reduced but airways are not obstructed, so
the person is able to expel air reasonably fast. In obstructive lung disease, airway obstruction results in slow exhalation
as well as reduced FVC. Thus, the FEV1/FVC ratio is lower in persons with obstructive lung disease (less than 69
percent) than in persons with restrictive disease (88-90 percent).
a. It reduces the volume of the thoracic cavity, increasing the air pressure in the lungs and triggering inhalation.
b. It reduces the volume of the thoracic cavity, increasing the air pressure in the lungs and triggering exhalation.
c. It creates a partial vacuum in the thoracic cavity into which outside air flows during exhalation.
d. It creates a partial vacuum in the thoracic cavity into which outside air flows during inhalation.
Section Summary
The structure of the lungs and thoracic cavity controls the mechanics of breathing. Upon inspiration, the diaphragm
contracts and lowers. The intercostal muscles contract and expand the chest wall outward. The intrapleural pressure drops,
the lungs expand, and air is drawn into the airways. When exhaling, the intercostal muscles and diaphragm relax, returning
the intrapleural pressure back to the resting state. The lungs recoil and airways close. The air passively exits the lung. There
is high surface tension at the air-airway interface in the lung. Surfactant, a mixture of phospholipids and lipoproteins, acts
like a detergent in the airways to reduce surface tension and allow for opening of the alveoli.
Breathing and gas exchange are both altered by changes in the compliance and resistance of the lung. If the compliance
of the lung decreases, as occurs in restrictive diseases like fibrosis, the airways stiffen and collapse upon exhalation.
Air becomes trapped in the lungs, making breathing more difficult. If resistance increases, as happens with asthma or
emphysema, the airways become obstructed, trapping air in the lungs and causing breathing to become difficult. Alterations
in the ventilation of the airways or perfusion of the arteries can affect gas exchange. These changes in ventilation and
perfusion, called V/Q mismatch, can arise from anatomical or physiological changes.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.1 The subcomponents of biological molecules and their sequence determine the
Knowledge properties of that molecule.
Science
6.1 The student can justify claims with evidence.
Practice
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.3 The student is able to use models to predict and justify that changes in the
Objective subcomponents of a biological polymer affect the functionality of the molecule.
Once the oxygen diffuses across the alveoli, it enters the bloodstream and is transported to the tissues where it is unloaded,
and carbon dioxide diffuses out of the blood and into the alveoli to be expelled from the body. Although gas exchange is a
continuous process, the oxygen and carbon dioxide are transported by different mechanisms.
Figure 30.19 The protein inside (a) red blood cells that carries oxygen to cells and carbon dioxide to the lungs is (b)
hemoglobin. Hemoglobin is made up of four symmetrical subunits and four heme groups. Iron associated with the
heme binds oxygen. It is the iron in hemoglobin that gives blood its red color.
It is easier to bind a second and third oxygen molecule to Hb than the first molecule. This is because the hemoglobin
molecule changes its shape, or conformation, as oxygen binds. The fourth oxygen is then more difficult to bind. The binding
of oxygen to hemoglobin can be plotted as a function of the partial pressure of oxygen in the blood (x-axis) versus the
relative Hb-oxygen saturation (y-axis). The resulting graph—an oxygen dissociation curve—is sigmoidal, or S-shaped
(Figure 30.20). As the partial pressure of oxygen increases, the hemoglobin becomes increasingly saturated with oxygen.
1464 Chapter 30 | The Respiratory System
Figure 30.20 The oxygen dissociation curve demonstrates that, as the partial pressure of oxygen increases,
more oxygen binds hemoglobin. However, the affinity of hemoglobin for oxygen may shift to the left or the right
depending on environmental conditions.
The kidneys are responsible for removing excess hydrogen ions from the blood. If the kidneys fail, what would happen
to blood pH and hemoglobin affinity for oxygen?
a. The blood pH will drop and hemoglobin affinity for oxygen will increase.
b. The blood pH will increase and hemoglobin affinity for oxygen will drop.
c. The blood pH will drop and hemoglobin affinity for oxygen will decrease.
d. The blood pH will increase and hemoglobin affinity for oxygen will also increase.
dioxide in the blood increases, more H+ is produced and the pH decreases. This increase in carbon dioxide and subsequent
decrease in pH reduce the affinity of hemoglobin for oxygen. The oxygen dissociates from the Hb molecule, shifting the
oxygen dissociation curve to the right. Therefore, more oxygen is needed to reach the same hemoglobin saturation level
as when the pH was higher. A similar shift in the curve also results from an increase in body temperature. Increased
temperature, such as from increased activity of skeletal muscle, causes the affinity of hemoglobin for oxygen to be reduced.
Diseases like sickle cell anemia and thalassemia decrease the blood’s ability to deliver oxygen to tissues and its oxygen-
carrying capacity. In sickle cell anemia, the shape of the red blood cell is crescent-shaped, elongated, and stiffened,
reducing its ability to deliver oxygen (Figure 30.21). In this form, red blood cells cannot pass through the capillaries. This
is painful when it occurs. Thalassemia is a rare genetic disease caused by a defect in either the alpha or the beta subunit
of Hb. Patients with thalassemia produce a high number of red blood cells, but these cells have lower-than-normal levels of
hemoglobin. Therefore, the oxygen-carrying capacity is diminished.
Chapter 30 | The Respiratory System 1465
Figure 30.21 Individuals with sickle cell anemia have crescent-shaped red blood cells. (credit: modification of work by
Ed Uthman; scale-bar data from Matt Russell)
Think About It
How does the administration of 100 percent oxygen save a patient from carbon monoxide poisoning? Why wouldn’t
giving carbon dioxide work?
Chapter 30 | The Respiratory System 1467
Fuel-burning items around the home can leak carbon monoxide gas. Because it is tasteless and odorless,
people might not be aware of the leak, putting them at great risk for carbon monoxide poisoning. Carbon
monoxide detectors, such as the one pictured here, have saved countless lives by alerting people to a
dangerous buildup of carbon monoxide.
Why is it more important to have a detector for carbon monoxide than other household gases, such as ammonia or
natural gas?
a. Because carbon monoxide is tasteless and has a light odor, which is detected very late in exposure.
b. Because carbon monoxide has a stronger odor, making it more unpleasant and dangerous.
c. Because carbon monoxide is odorless and tasteless, unlike ammonia and household natural gas which have
distinct smells.
d. Because carbon monoxide should not be present in the environment at all.
Section Summary
Hemoglobin is a protein found in red blood cells that is comprised of two alpha and two beta subunits that surround an
iron-containing heme group. Oxygen readily binds this heme group. The ability of oxygen to bind increases as more oxygen
molecules are bound to heme. Disease states and altered conditions in the body can affect the binding ability of oxygen and
increase or decrease its ability to dissociate from hemoglobin.
Carbon dioxide can be transported through the blood via three methods. It is dissolved directly in the blood, bound to
plasma proteins or hemoglobin, or converted into bicarbonate. The majority of carbon dioxide is transported as part of
the bicarbonate system. Carbon dioxide diffuses into red blood cells. Inside, carbonic anhydrase converts carbon dioxide
into carbonic acid (H2CO3), which is subsequently hydrolyzed into bicarbonate (HCO− + +
3 ) and H . The H ion binds to
hemoglobin in red blood cells, and bicarbonate is transported out of the red blood cells in exchange for a chloride ion. This
is called the chloride shift. Bicarbonate leaves the red blood cells and enters the blood plasma. In the lungs, bicarbonate
is transported back into the red blood cells in exchange for chloride. The H+ dissociates from hemoglobin and combines
with bicarbonate to form carbonic acid with the help of carbonic anhydrase, which further catalyzes the reaction to convert
1468 Chapter 30 | The Respiratory System
carbonic acid back into carbon dioxide and water. The carbon dioxide is then expelled from the lungs.
Chapter 30 | The Respiratory System 1469
KEY TERMS
alveolar PO partial pressure of oxygen in the alveoli (usually around 100 mmHg)
2
alveolar duct duct that extends from the terminal bronchiole to the alveolar sac
alveolar sac structure consisting of two or more alveoli that share a common opening
alveolus (plural: alveoli) (also, air sac) terminal region of the lung where gas exchange occurs
anatomical dead space (also, anatomical shunt) region of the lung that lacks proper ventilation/perfusion due to an
anatomical block
bicarbonate (HCO−
3 ) ion ion created when carbonic acid dissociates into H and (HCO 3 )
+ −
bicarbonate buffer system system in the blood that absorbs carbon dioxide and regulates pH levels
bronchiole airway that extends from the main tertiary bronchi to the alveolar sac
bronchus (plural: bronchi) smaller branch of cartilaginous tissue that stems off of the trachea; air is funneled through the
bronchi to the region where gas exchange occurs in alveoli
carbonic anhydrase (CA) enzyme that catalyzes carbon dioxide and water into carbonic acid
chloride shift chloride shift exchange of chloride for bicarbonate into or out of the red blood cell
dead space area in the lung that lacks proper ventilation or perfusion
diaphragm domed-shaped skeletal muscle located under lungs that separates the thoracic cavity from the abdominal
cavity
elastic recoil property of the lung that drives the lung tissue inward
elastic work work conducted by the intercostal muscles, chest wall, and diaphragm
expiratory reserve volume (ERV) amount of additional air that can be exhaled after a normal exhalation
FEV1/FVC ratio ratio of how much air can be forced out of the lung in one second to the total amount that is forced out of
the lung; a measurement of lung function that can be used to detect disease states
flow-resistive work of breathing performed by the alveoli and tissues in the lung
forced expiratory volume (FEV) (also, forced vital capacity) measure of how much air can be forced out of the lung
from maximal inspiration over a specific amount of time
functional residual capacity (FRC) expiratory reserve volume plus residual volume
functional vital capacity (FVC) amount of air that can be forcibly exhaled after taking the deepest breath possible
heme group centralized iron-containing group that is surrounded by the alpha and beta subunits of hemoglobin
hemoglobin molecule in red blood cells that can bind oxygen, carbon dioxide, and carbon monoxide
inspiratory reserve volume (IRV) amount of additional air that can be inspired after a normal inhalation
1470 Chapter 30 | The Respiratory System
intercostal muscle muscle connected to the rib cage that contracts upon inspiration
larynx voice box, a short passageway connecting the pharynx and the trachea
lung capacity measurement of two or more lung volumes (how much air can be inhaled from the end of an expiration to
maximal capacity)
lung volume measurement of air for one lung function (normal inhalation or exhalation)
mucus sticky protein-containing fluid secretion in the lung that traps particulate matter to be expelled from the body
obstructive disease disease (such as emphysema and asthma) that arises from obstruction of the airways; compliance
increases in these diseases
oxygen dissociation curve curve depicting the affinity of oxygen for hemoglobin
partial pressure amount of pressure exerted by one gas within a mixture of gases
particulate matter small particle such as dust, dirt, viral particles, and bacteria that are in the air
pharynx throat; a tube that starts in the internal nares and runs partway down the neck, where it opens into the esophagus
and the larynx
physiological dead space (also, physiological shunt) region of the lung that lacks proper ventilation/perfusion due to a
physiological change in the lung (like inflammation or edema)
pleura tissue layer that surrounds the lungs and lines the interior of the thoracic cavity
primary bronchus (also, main bronchus) region of the airway within the lung that attaches to the trachea and bifurcates
to each lung where it branches into secondary bronchi
recruitment process of opening airways that normally remain closed when the cardiac output increases
residual volume (RV) amount of air remaining in the lung after a maximal expiration
respiratory bronchiole terminal portion of the bronchiole tree that is attached to the terminal bronchioles and alveoli
ducts, alveolar sacs, and alveoli
respiratory distress syndrome disease that arises from a deficient amount of surfactant
respiratory quotient (RQ) ratio of carbon dioxide production to each oxygen molecule consumed
restrictive disease disease that results from a restriction and decreased compliance of the alveoli; respiratory distress
syndrome and pulmonary fibrosis are examples
sickle cell anemia genetic disorder that affects the shape of red blood cells, and their ability to transport oxygen and
move through capillaries
surfactant detergent-like liquid in the airways that lowers the surface tension of the alveoli to allow for expansion
thalassemia rare genetic disorder that results in mutation of the alpha or beta subunits of hemoglobin, creating smaller
red blood cells with less hemoglobin
tidal volume (TV) amount of air that is inspired and expired during normal breathing
total lung capacity (TLC) sum of the residual volume, expiratory reserve volume, tidal volume, and inspiratory reserve
volume
trachea cartilaginous tube that transports air from the larynx to the primary bronchi
venous PCO partial pressure of carbon dioxide in the veins (40 mm Hg in the pulmonary veins)
2
venous PO partial pressure of oxygen in the veins (100 mm Hg in the pulmonary veins)
2
ventilation/perfusion (V/Q) mismatch region of the lung that lacks proper alveolar ventilation (V) and/or arterial
perfusion (Q)
vital capacity (VC) sum of the expiratory reserve volume, tidal volume, and inspiratory reserve volume
CHAPTER SUMMARY
30.1 Systems of Gas Exchange
Animal respiratory systems are designed to facilitate gas exchange. In mammals, air is warmed and humidified in the nasal
cavity. Air then travels down the pharynx, through the trachea, and into the lungs. In the lungs, air passes through the
branching bronchi, reaching the respiratory bronchioles, which house the first site of gas exchange. The respiratory
bronchioles open into the alveolar ducts, alveolar sacs, and alveoli. Because there are so many alveoli and alveolar sacs in
the lung, the surface area for gas exchange is very large. Several protective mechanisms are in place to prevent damage or
infection. These include the hair and mucus in the nasal cavity that trap dust, dirt, and other particulate matter before they
can enter the system. In the lungs, particles are trapped in a mucus layer and transported via cilia up to the esophageal
opening at the top of the trachea to be swallowed.
The lungs can hold a large volume of air, but they are not usually filled to maximal capacity. Lung volume measurements
include tidal volume, expiratory reserve volume, inspiratory reserve volume, and residual volume. The sum of these equals
the total lung capacity. Gas movement into or out of the lungs is dependent on the pressure of the gas. Air is a mixture of
gases; therefore, the partial pressure of each gas can be calculated to determine how the gas will flow in the lung. The
difference between the partial pressure of the gas in the air drives oxygen into the tissues and carbon dioxide out of the
body.
30.3 Breathing
The structure of the lungs and thoracic cavity controls the mechanics of breathing. Upon inspiration, the diaphragm
contracts and lowers. The intercostal muscles contract and expand the chest wall outward. The intrapleural pressure drops,
the lungs expand, and air is drawn into the airways. When exhaling, the intercostal muscles and diaphragm relax, returning
the intrapleural pressure back to the resting state. The lungs recoil and airways close. The air passively exits the lung.
There is high surface tension at the air-airway interface in the lung. Surfactant, a mixture of phospholipids and
lipoproteins, acts like a detergent in the airways to reduce surface tension and allow for opening of the alveoli.
Breathing and gas exchange are both altered by changes in the compliance and resistance of the lung. If the compliance of
the lung decreases, as occurs in restrictive diseases like fibrosis, the airways stiffen and collapse upon exhalation. Air
becomes trapped in the lungs, making breathing more difficult. If resistance increases, as happens with asthma or
emphysema, the airways become obstructed, trapping air in the lungs and causing breathing to become difficult.
Alterations in the ventilation of the airways or perfusion of the arteries can affect gas exchange. These changes in
ventilation and perfusion, called V/Q mismatch, can arise from anatomical or physiological changes.
1472 Chapter 30 | The Respiratory System
Hemoglobin is a protein found in red blood cells that is comprised of two alpha and two beta subunits that surround an
iron-containing heme group. Oxygen readily binds this heme group. The ability of oxygen to bind increases as more
oxygen molecules are bound to heme. Disease states and altered conditions in the body can affect the binding ability of
oxygen and increase or decrease its ability to dissociate from hemoglobin.
Carbon dioxide can be transported through the blood via three methods. It is dissolved directly in the blood, bound to
plasma proteins or hemoglobin, or converted into bicarbonate. The majority of carbon dioxide is transported as part of the
bicarbonate system. Carbon dioxide diffuses into red blood cells. Inside, carbonic anhydrase converts carbon dioxide into
carbonic acid (H2CO3), which is subsequently hydrolyzed into bicarbonate (HCO− + +
3 ) and H . The H ion binds to
hemoglobin in red blood cells, and bicarbonate is transported out of the red blood cells in exchange for a chloride ion. This
is called the chloride shift. Bicarbonate leaves the red blood cells and enters the blood plasma. In the lungs, bicarbonate is
transported back into the red blood cells in exchange for chloride. The H+ dissociates from hemoglobin and combines with
bicarbonate to form carbonic acid with the help of carbonic anhydrase, which further catalyzes the reaction to convert
carbonic acid back into carbon dioxide and water. The carbon dioxide is then expelled from the lungs.
REVIEW QUESTIONS
1. What is the primary function of the respiratory system?
a. provides body tissues with oxygen
b. provides body tissues with oxygen and carbon dioxide
c. establishes how many breaths are taken per minute
d. provides the body with carbon dioxide
2. What is the order of airflow during inhalation?
a. nasal cavity, larynx, trachea, bronchi, bronchioles, alveoli
b. nasal cavity, larynx, trachea, bronchioles, bronchi, alveoli
c. nasal cavity, trachea, larynx, bronchi, bronchioles, alveoli
d. nasal cavity, trachea, larynx, bronchioles, bronchi, alveoli
3. What advantages does warming air within the nasal passages provide?
a. reduces rates of lung infection
b. prevents foreign objects from entering the lungs
c. prevents cell damage caused by cold air
d. reduces fluid accumulation from cold, wet air
4. Emphysema is a disease characterized by a great reduction in the number of functioning alveoli in the lungs. What
effect would emphysema likely have on the respiratory system?
a. Less gas exchange would occur with the blood.
b. Less air could travel through the trachea.
c. Air could no longer pass through the nasal cavity.
d. Air could no longer vibrate the vocal cords of the larynx.
5. The inspiratory reserve volume measures the____.
a. amount of air remaining in the lung after a maximal exhalation
b. amount of air the lung holds
c. amount of air that can be further exhaled after a normal breath
d. amount of air that can be further inhaled after a normal breath
6. The total lung capacity is calculated using which formula?
Chapter 30 | The Respiratory System 1473
a. A physiological dead space is a region of lung tissue that is leaking air. It could be caused by a puncture wound.
b. A physiological dead space is a region of lung tissue that is not receiving electrical stimulation from the nervous
system. It could be caused by a reduction in neurotransmitters.
c. A physiological dead space is a region of lung tissue that is not involved in gas exchange because the tissue is
not functioning properly. It could be caused by the alveoli capillaries are not receiving blood flow.
d. A physiological dead space is a region of lung tissue that is not involved in gas exchange because the tissue has
a defect in its structure. It could be caused by a genetic condition.
14. How will the respiratory rate and volume of air per breath change if alveolar ventilation is too high or too low?
a. If ventilation is low, the respiratory rate will decrease while the volume of air per breath is decreased. If
ventilation is high, the respiratory rate will increase while the volume of air per breath decreases.
b. If ventilation is low, the respiratory rate will decrease while the volume of air per breath is increased. If
ventilation is high, the respiratory rate will increase while the volume of air per breath decreases.
c. If ventilation is low, the respiratory rate will increase while the volume of air per breath is decreased. If
ventilation is high, the respiratory rate will increase while the volume of air per breath increases.
d. If ventilation is low, the respiratory rate will increase while the volume of air per breath is decreased. If
ventilation is high, the respiratory rate will increase while the volume of air per breath decreases.
15. What does elastic recoil in the lungs refer to and does it aid inspiration or expiration?
a. the ability of the diaphragm to contract and relax to change the volume of the lung, inspiration
b. the reserve air in the lungs that is present even after maximum exhalation, expiration
c. the ability of the bronchioles to expand and retract as air enters and exits, inspiration
d. the ability of lung tissue to exert pressure back towards the lung’s interior, expiration
16. Low pH in the blood will _____ hemoglobin’s affinity for _____.
a. increase, carbon dioxide
b. increase, oxygen
c. decrease, carbon dioxide
d. decrease, oxygen
17. Which of the following will not facilitate the transfer of oxygen to tissues?
a. decreased body temperature
b. decreased pH of the blood
c. increased carbon dioxide
d. increased exercise
18. How is the majority of carbon dioxide in the blood transported?
a. binding to hemoglobin
b. dissolution in the blood
c. as bicarbonate
d. binding to plasma proteins
19. How is the chloride shift related to the transport of carbon dioxide in the blood?
a. It allows carbon dioxide, in the form of bicarbonate ions, to enter the blood plasma.
b. It creates carbaminohemoglobin within the red blood cells.
c. It allows the conversion of carbon dioxide into carbonic acid within red blood cells.
d. It prevents the formation of bicarbonate ions in the blood.
a. This can be detected using a nebulizer. By detecting the rate at which air can be taken into the lung, a diagnosis
of a restrictive disease can be made.
b. This can be detected using spirometry. By detecting the rate at which air can be taken into the lung, a diagnosis
of a restrictive disease can be made.
c. This can be detected using a nebulizer. By detecting the rate at which air can be expelled from the lung, a
diagnosis of a restrictive disease can be made.
d. This can be detected using spirometry. By detecting the rate at which air can be expelled from the lung, a
diagnosis of a restrictive disease can be made.
27. When someone is standing, gravity stretches the bottom of the lung down toward the floor to a greater extent than the
top of the lung. What implication could this have on ventilation in the lungs?
a. Concentration gradient leads to increased ventilation further down in the lung.
b. Pleural pressure gradient leads to increased ventilation further down in the lung.
c. Pleural pressure gradient leads to decreased ventilation further down in the lung.
d. Concentration gradient leads to decreased ventilation further down in the lung.
28. How does the administration of 100 percent oxygen save a patient from carbon monoxide poisoning? Why wouldn’t
giving carbon dioxide work?
a. At that concentration, oxygen will be transported in the body at a high rate by dissolving in blood. Oxygen has
more affinity for hemoglobin than carbon dioxide.
b. At that concentration, oxygen will displace the carbon monoxide from the hemoglobin. Oxygen has more
affinity for hemoglobin than carbon dioxide.
c. At that concentration, oxygen will displace the carbon monoxide from the hemoglobin. Carbon dioxide has more
affinity for hemoglobin than oxygen.
d. At that concentration, oxygen will be transported in the body at a high rate by dissolving in blood. Carbon
dioxide has more affinity for hemoglobin than oxygen.
29. What would happen if no carbonic anhydrase was present in red blood cells?
a. Carbon dioxide would be hydrolyzed into carbonic acid or bicarbonate. The maximum amount of carbon dioxide
would be transported in the blood away from the tissues.
b. Carbon dioxide would not be hydrolyzed into carbonic acid or bicarbonate. The maximum amount of carbon
dioxide would be transported in the blood away from the tissues.
c. Oxygen would not be hydrolyzed into carbonic acid or bicarbonate. Only 15 percent of carbon dioxide would be
transported in the blood away from the tissues.
d. Carbon dioxide would not be hydrolyzed into carbonic acid or bicarbonate. Only a relatively small percentage of
carbon dioxide would be transported in the blood away from the tissues.
30. What is sickle cell anemia and how does it affect the perfusion of oxygen in the blood?
a. It is a genetic disease in which red blood cells are sickle-shaped, reducing oxygen perfusion into the blood.
b. It is a genetic disease in which red blood cells are sickle-shaped, increasing oxygen perfusion into the blood.
c. It is an enzyme deficiency disease in which red blood cells are sickle-shaped, reducing oxygen perfusion into the
blood.
d. It is an enzyme deficiency disease in which red blood cells are sickle-shaped, increasing oxygen perfusion into
the blood.
What adaptations would V. ventricosa likely have evolved related to its large size and ability to exchange materials with
the outside environment?
a. adaptations that would decrease cell metabolism to meet the needs of the large cell
b. adaptations that would make the cell thicker, to reduce the loss of nutrients
c. adaptations that make diffusion or nutrient passage across their cell membrane more efficient due to the large
size of the cell
d. adaptations that allow the cell to take in larger food objects using the components of its cell membrane
32. In the past, Earth has experienced environmental changes, which have changed the amount of available oxygen and
carbon dioxide in the water and air. For example, there is evidence of less oxygen available in the air during the time of the
dinosaurs, a result of high volcanic activity creating a large amount of carbon dioxide. How might red blood cells in the
dinosaurs have evolved, in terms of size and shape, to adapt to the lower-oxygen atmosphere?
a. evolve smaller size and flatter shape
b. evolve larger size and a pointy shape
c. evolve smaller size and a thicker shape
d. evolve larger size and a shorter shape
33. The diagram shows a human alveolus, which is part of the respiratory system.
blocked by a foreign object (or otherwise injured). During intubation, a long, plastic tube is placed in the respiratory
system so that air can bypass the obstructed area and reach the lungs. Typically, air is supplied artificially using a
squeezable bag that connects to the top of the tube.The illustration shows the human respiratory system. The nasal cavity
is a wide cavity above and behind the nostrils, and the pharynx is the passageway behind the mouth. The nasal cavity and
pharynx join and enter the trachea through the larynx. The larynx is somewhat wider than the trachea and flat. The trachea
has concentric, ring-like grooves, giving it a bumpy appearance. The trachea bifurcates into two primary bronchi, which
are also grooved. The primary bronchi enter the lungs, and branch into secondary bronchi. The secondary bronchi in turn
branch into many tertiary bronchi. The tertiary bronchi branch into bronchioles, which branch into terminal bronchioles.
The diaphragm pushes up against the lungs. There is an intubation site indicated at the beginning of the pharynx. A patient
has been surgically intubated in the location shown in the diagram.
Based on this information, where did the injury likely occur in the patient’s respiratory system? Justify your answer.
a. in the oral cavity, because it is above the injury
b. in the oral cavity, because it is below the injury
c. in the larynx, because it is above the injury
d. in the larynx, because it is below the injury
35. An organism’s body systems work to maintain homeostasis by adjusting when body cells need more oxygen or are
experiencing a buildup of carbon dioxide. How would the body most likely react to the difference between the blood
vessel and body cell, as shown in the diagram?
Chapter 30 | The Respiratory System 1479
Figure 30.24
a. generating neural signals that stimulate the heart to beat at a slower rate
b. releasing hormones that stimulate body cells to undergo more active transport
c. releasing red blood cells that can accept oxygen using diffusion as opposed to facilitated passive transport
d. adjust blood pH to decrease the partial pressure of CO2 in the body cells
36. The diagram shows a red blood cell in a capillary and a cell in a body tissue.
1480 Chapter 30 | The Respiratory System
Figure 30.25
In which direction should the arrows point for the diffusion of oxygen and CO2? How should each partial pressure (body
cell and RBC) be labeled as high or low to accomplish this diffusion?
a. O2→ CO2←; Body cell PO2 = low; RBC PO2 = high; Body cell PCO2 = high, RBC PCO2 = low
b. O2← CO2→; Body cell PO2 = high; RBC PO2 = low; Body cell PCO2 = low, RBC PCO2 = high
c. O2← CO2→; Body cell PO2 = low; RBC PO2 = high; Body cell PCO2 = high, RBC PCO2 = low
d. O2→ CO2←; Body cell PO2 = high; RBC PO2 = low; Body cell PCO2 = low, RBC PCO2 = high
37. The graph plots percent oxygen saturation of hemoglobin as a function of oxygen partial pressure in the alveoli.
Oxygen saturation increases in an S-shaped curve, from 0–100 percent as the partial pressure of oxygen increases from 0
to 100.
Chapter 30 | The Respiratory System 1481
Figure 30.26
What happens as the curve levels off around a partial pressure of 60 mmHg?
a. As the percent saturation of hemoglobin increases to its maximum, hemoglobin’s affinity for oxygen increases as
the availability of oxygen increases.
b. As the percent saturation of hemoglobin decreases (without all of the oxygen dissociating), hemoglobin’s
affinity for oxygen decreases as the availability of oxygen decreases.
c. As the percent saturation of hemoglobin increases to very high levels, hemoglobin’s affinity for oxygen
decreases due to its decreasing ability to bind oxygen.
d. As the percent saturation of hemoglobin decreases, hemoglobin’s affinity for oxygen increases as the availability
of oxygen decreases.
38. The graph shows an oxygen dissociation curve for hemoglobin.
1482 Chapter 30 | The Respiratory System
Based on the graph, what would likely cause the curve to shift to the left, as shown by the dotted plot line?
a. Decreasing carbon dioxide, increasing pH, or decreasing temperature
b. Increasing carbon dioxide, decreasing pH, or decreasing temperature
c. Decreasing carbon dioxide, decreasing pH, or decreasing temperature
d. Increasing carbon dioxide, increasing pH, or increasing temperature
39.
The graph below shows an oxygen dissociation curve for hemoglobin. Based on the graph, what would likely cause the
curve to shift to the right, as shown by the dotted plot line?
a. decreasing carbon dioxide, increasing pH, or decreasing temperature
b. decreasing carbon dioxide, decreasing pH, or decreasing temperature
c. increasing carbon dioxide, increasing pH or increasing temperature.
d. increasing carbon dioxide, decreasing pH, or increasing temperature.
a. Describe how the nervous system integrates information about oxygen concentration in the blood to maintain
homeostasis. In your description include the concepts of negative feedback and a set point.
An alternative model (Evens et al, Biochemical Journal, 473, 2016) of the response to oxygen deprivation is
suggested by the observation that high-altitude Andean populations have a gene for a protein kinase (AMPK
encoded by PRKAA1) that has a fixed single nucleotide variation. This AMP-activated kinase is coupled with
mitochondrial oxidative phosphorylation to detect reduced oxygen and signal the RCs of the medulla directly—a
distributed network for detection and response. The authors of this work note that a homologous gene in yeast
allows colony-wide signaling to switch individuals in the colony from glycolysis to oxidative phosphorylation in
response to changes in glucose resources.
b. Describe the connection of a changing environment to changing genomes in both species in terms of the
adaptive advantage provided and the likelihood that an AMPK signaling process has been conserved across
domains.
Studies of a genetic adaptation in Tibetan population have shown that other mutations have been selected. One
mutation EPAS1 was shown to be correlated with increased lactic acid concentrations in the blood. Another
mutation, PPARA, was found to be correlated with fatty acid production, which is typically seen during
hibernation (Ge et al, Molecular Genetics and Metabolism, 106, 2012; Lorenzo et al, Nature Genetics, 46, 2014)
c. Analyze these observations in terms of the regulation of metabolism due to changes in genetic makeup and
construct an explanation for the divergence of the homeostatic mechanisms as an adaptation to the environment.
The Tibetan population is not isolated. However, these investigations show the near dominance of the mutated
form of these two genes has arisen in just 8000 years. Neanderthal, Denisovans and ancestors of modern humans
were contemporaries.
d. Describe conditions that lead to speciation in terms of the accumulation of many small genetic changes where
very sharp differences in oxygen availability were geographically imposed.
1484 Chapter 30 | The Respiratory System
Chapter 31 | The Circulatory System 1485
31 | THE CIRCULATORY
SYSTEM
Figure 31.1 Just as highway systems transport people and goods through a complex network, the circulatory system
transports nutrients, gases, and wastes throughout the animal body. (credit: modification of work by Andrey Belenko)
Chapter Outline
31.1: Overview of the Circulatory System
31.2: Components of the Blood
31.3: Mammalian Heart and Blood Vessels
31.4: Blood Flow and Blood Pressure Regulation
Introduction
Most animals are complex multicellular organisms that require a mechanism for transporting nutrients throughout their
bodies and removing waste products. The circulatory system has evolved over time from simple diffusion through cells in
the early evolution of animals to a complex network of blood vessels that reach all parts of the human body. This extensive
network supplies the cells, tissues, and organs with oxygen and nutrients, and removes carbon dioxide and waste, which are
byproducts of respiration.
At the core of the human circulatory system is the heart. The size of a clenched fist, the human heart is protected beneath
the rib cage. Made of specialized and unique cardiac muscle, it pumps blood throughout the body and to the heart itself.
Heart contractions are driven by intrinsic electrical impulses that the brain and endocrine hormones help to regulate.
Understanding the heart’s basic anatomy and function is important to understanding the body’s circulatory and respiratory
systems. Because one in four deaths in the United States is due to heart disease, billions of dollars are spent each year
researching ways to prevent and treat it. For example, researchers have been trying to find a way to get damaged cardiac
muscle to repair itself. A team of researchers at the Weizmann Institute of Science recently discovered that activating a
protein called ERBB2 causes heart cells in adult mice to regenerate. The research team is continuing their research to
determine how this knowledge might be applied to human medicine. You can read more about this exciting research on the
Science Daily website (http://openstaxcollege.org/l/32ERBB2) .
1486 Chapter 31 | The Circulatory System
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
1.A.1 An adaptation, such as the number of heart chambers, is a genetic variation that is
Essential
favored by natural selection and provides an advantage to an organism in a particular
Knowledge
environment.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Enduring
Understanding Organisms are linked by lines of descent from common ancestry.
1.B
Essential 1.B.2 Phylogenetic trees and cladogram can represent traits, such as the number of heart
Knowledge chambers in animals, which are derived or lost due to evolution.
Chapter 31 | The Circulatory System 1487
Science
3.1 The student can pose scientific questions.
Practice
1.17 The student is able to pose scientific questions about a group of organisms whose
Learning relatedness is described by a phylogenetic tree or cladogram in order to (1) identify shared
Objective characteristics, (2) make inferences about the evolutionary history of the group, and (3)
identify character data that could extend or improve the phylogenetic tree.
Essential 1.B.2 Phylogenetic trees and cladogram can represent traits, such as the number of heart
Knowledge chambers in animals, which are derived or lost due to evolution.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 1.19 The student is able to create a phylogenetic tree or simple cladogram that correctly
Objective represents evolutionary history and speciation from a provided data set.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 1 Animal Physiology
Figure 31.2 In (a) closed circulatory systems, the heart pumps blood through vessels that are separate from the
interstitial fluid of the body. Most vertebrates and some invertebrates, like this annelid earthworm, have a closed
circulatory system. In (b) open circulatory systems, a fluid called hemolymph is pumped through a blood vessel that
empties into the body cavity. Hemolymph returns to the blood vessel through openings called ostia. Arthropods like
this bee and most mollusks have open circulatory systems.
animals, such as the sponges (Porifera) and rotifers (Rotifera), do not need a circulatory system because diffusion allows
adequate exchange of water, nutrients, and waste, as well as dissolved gases, as shown in Figure 31.3a. Organisms that
are more complex but still only have two layers of cells in their body plan, such as jellies (Cnidaria) and comb jellies
(Ctenophora) also use diffusion through their epidermis and internally through the gastrovascular compartment. Both their
internal and external tissues are bathed in an aqueous environment and exchange fluids by diffusion on both sides, as
illustrated in Figure 31.3b. Exchange of fluids is assisted by the pulsing of the jellyfish body.
Figure 31.3 Simple animals consisting of a single cell layer such as the (a) sponge or only a few cell layers such as
the (b) jellyfish do not have a circulatory system. Instead, gases, nutrients, and wastes are exchanged by diffusion.
For more complex organisms, diffusion is not efficient for cycling gases, nutrients, and waste effectively through the
body; therefore, more complex circulatory systems evolved. Most arthropods and many mollusks have open circulatory
systems. In an open system, an elongated beating heart pushes the hemolymph through the body and muscle contractions
help to move fluids. The larger more complex crustaceans, including lobsters, have developed arterial-like vessels to push
blood through their bodies, and the most active mollusks, such as squids, have evolved a closed circulatory system and
are able to move rapidly to catch prey. Closed circulatory systems are a characteristic of vertebrates; however, there are
significant differences in the structure of the heart and the circulation of blood between the different vertebrate groups due
to adaptation during evolution and associated differences in anatomy. Figure 31.4 illustrates the basic circulatory systems
of some vertebrates: fish, amphibians, reptiles, and mammals.
Chapter 31 | The Circulatory System 1489
Figure 31.4 (a) Fish have the simplest circulatory systems of the vertebrates: blood flows unidirectionally from the two-
chambered heart through the gills and then the rest of the body. (b) Amphibians have two circulatory routes: one for
oxygenation of the blood through the lungs and skin, and the other to take oxygen to the rest of the body. The blood
is pumped from a three-chambered heart with two atria and a single ventricle. (c) Reptiles also have two circulatory
routes; however, blood is only oxygenated through the lungs. The heart is three chambered, but the ventricles are
partially separated so some mixing of oxygenated and deoxygenated blood occurs except in crocodilians and birds.
(d) Mammals and birds have the most efficient heart with four chambers that completely separate the oxygenated and
deoxygenated blood; it pumps only oxygenated blood through the body and deoxygenated blood to the lungs.
As illustrated in Figure 31.4a Fish have a single circuit for blood flow and a two-chambered heart that has only a single
atrium and a single ventricle. The atrium collects blood that has returned from the body and the ventricle pumps the blood to
the gills where gas exchange occurs and the blood is re-oxygenated; this is called gill circulation. The blood then continues
through the rest of the body before arriving back at the atrium; this is called systemic circulation. This unidirectional flow
of blood produces a gradient of oxygenated to deoxygenated blood around the fish’s systemic circuit. The result is a limit in
the amount of oxygen that can reach some of the organs and tissues of the body, reducing the overall metabolic capacity of
fish.
In amphibians, reptiles, birds, and mammals, blood flow is directed in two circuits: one through the lungs and back to the
1490 Chapter 31 | The Circulatory System
heart, which is called pulmonary circulation, and the other throughout the rest of the body and its organs including the
brain—systemic circulation. In amphibians, gas exchange also occurs through the skin during pulmonary circulation and is
referred to as pulmocutaneous circulation.
As shown in Figure 31.4b, amphibians have a three-chambered heart that has two atria and one ventricle rather than the
two-chambered heart of fish. The two atria—superior heart chambers receive blood from the two different circuits, the
lungs and the systems, and then there is some mixing of the blood in the heart’s ventricle, inferior heart chamber, which
reduces the efficiency of oxygenation. The advantage to this arrangement is that high pressure in the vessels pushes blood
to the lungs and body. The mixing is mitigated by a ridge within the ventricle that diverts oxygen-rich blood through the
systemic circulatory system and deoxygenated blood to the pulmocutaneous circuit. For this reason, amphibians are often
described as having double circulation.
Most reptiles also have a three-chambered heart similar to the amphibian heart that directs blood to the pulmonary and
systemic circuits, as shown in Figure 31.4c. The ventricle is divided more effectively by a partial septum, which results
in less mixing of oxygenated and deoxygenated blood. Some reptiles—alligators and crocodiles—are the most primitive
animals to exhibit a four-chambered heart. Crocodilians have a unique circulatory mechanism where the heart shunts blood
from the lungs toward the stomach and other organs during long periods of submergence, for instance, while the animal
waits for prey or stays underwater waiting for prey to rot. One adaptation includes two main arteries that leave the same
part of the heart: one takes blood to the lungs and the other provides an alternate route to the stomach and other parts of the
body. Two other adaptations include a hole in the heart between the two ventricles, called the foramen of Panizza, which
allows blood to move from one side of the heart to the other, and specialized connective tissue that slows the blood flow to
the lungs. Together these adaptations have made crocodiles and alligators one of the most evolutionarily successful animal
groups on earth.
In mammals and birds, the heart is also divided into four chambers: two atria and two ventricles, as illustrated in Figure
31.4d. The oxygenated blood is separated from the deoxygenated blood, which improves the efficiency of double circulation
and is probably required for the warm-blooded lifestyle of mammals and birds. The four-chambered heart of birds and
mammals evolved independently from a three-chambered heart. The independent evolution of the same or a similar
biological trait is referred to as convergent evolution.
Think About It
What advantages are supplied by closed circulatory systems with chambered hearts in terrestrial vertebrates?
as A, B, AB, and O are related to proteins on the surface of red blood cells. For example, persons with type A blood have A
glycoproteins on the surface of their red blood cells. We will take a deeper dive into blood typing, antigens, and antibodies
when we explore the immune system in a later chapter, and we also will learn in that the five types of white blood cells play
important roles in immunity. Platelets and plasma proteins function in normal blood clotting; alterations in the feedback
mechanism(s) that result in normal clotting can have deleterious effects, including hemophilia and stroke.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 2 and Big Idea 4
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Alterations in the mechanisms of negative and positive feedback mechanisms can
Knowledge have deleterious consequences to the body.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 2.19 The student is able to make predictions about how positive feedback mechanisms
Objective amplify activities and processes in organisms based on scientific theories and models.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Organisms exhibit complex properties due to interactions between and among organs
Knowledge and organ systems.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity due
Objective to interactions of constituent parts.
Enduring
Naturally occurring diversity among and between components within biological systems
Understanding
affects interactions with the environment.
4.C
Essential 4.C.1 Variations that produce different varieties of molecules help organisms adapt to
Knowledge different environmental conditions.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 4.22 The student is able to construct explanations based on evidence of how variation in
Objective molecular units provides cells with a wide range of functions.
Hemoglobin is responsible for distributing oxygen, and to a lesser extent, carbon dioxide, throughout the circulatory systems
of humans, vertebrates, and many invertebrates. The blood is more than the proteins, though. Blood is actually a term
used to describe the liquid that moves through the vessels and includes plasma (the liquid portion, which contains water,
proteins, salts, lipids, and glucose) and the cells (red and white cells) and cell fragments called platelets. Blood plasma
is actually the dominant component of blood and contains the water, proteins, electrolytes, lipids, and glucose. The cells
are responsible for carrying the gases (red cells) and immune the response (white). The platelets are responsible for blood
clotting. Interstitial fluid that surrounds cells is separate from the blood, but in hemolymph, they are combined. In humans,
1492 Chapter 31 | The Circulatory System
cellular components make up approximately 45 percent of the blood and the liquid plasma 55 percent. Blood is 20 percent
of a person’s extracellular fluid and eight percent of weight.
Figure 31.5 The cells and cellular components of human blood are shown. Red blood cells deliver oxygen to the
cells and remove carbon dioxide. White blood cells—including neutrophils, monocytes, lymphocytes, eosinophils, and
basophils—are involved in the immune response. Platelets form clots that prevent blood loss after injury.
Figure 31.6 In most vertebrates, (a) hemoglobin delivers oxygen to the body and removes some carbon dioxide.
Hemoglobin is composed of four protein subunits, two alpha chains and two beta chains, and a heme group that has
iron associated with it. The iron reversibly associates with oxygen, and in so doing is oxidized from Fe2+ to Fe3+. In
most mollusks and some arthropods, (b) hemocyanin delivers oxygen. Unlike hemoglobin, hemolymph is not carried in
blood cells, but floats free in the hemolymph. Copper instead of iron binds the oxygen, giving the hemolymph a blue-
green color. In annelids, such as the earthworm, and some other invertebrates, (c) hemerythrin carries oxygen. Like
hemoglobin, hemerythrin is carried in blood cells and has iron associated with it, but despite its name, hemerythrin
does not contain heme.
The small size and large surface area of red blood cells allows for rapid diffusion of oxygen and carbon dioxide across the
plasma membrane. In the lungs, carbon dioxide is released and oxygen is taken in by the blood. In the tissues, oxygen is
released from the blood and carbon dioxide is bound for transport back to the lungs. Studies have found that hemoglobin
also binds nitrous oxide (NO). NO is a vasodilator that relaxes the blood vessels and capillaries and may help with gas
exchange and the passage of red blood cells through narrow vessels. Nitroglycerin, a heart medication for angina and heart
attacks, is converted to NO to help relax the blood vessels and increase oxygen flow through the body.
A characteristic of red blood cells is their glycolipid and glycoprotein coating; these are lipids and proteins that have
carbohydrate molecules attached. In humans, the surface glycoproteins and glycolipids on red blood cells vary between
individuals, producing the different blood types, such as A, B, and O. Red blood cells have an average life span of 120 days,
at which time they are broken down and recycled in the liver and spleen by phagocytic macrophages, a type of white blood
cell.
Figure 31.7 (a) Granulocytes—including neutrophils, eosinophils and basophils—are characterized by a lobed nucleus
and granular inclusions in the cytoplasm. Granulocytes are typically first-responders during injury or infection. (b)
Agranulocytes include lymphocytes and monocytes. Lymphocytes, including B and T cells, are responsible for adaptive
immune response. Monocytes differentiate into macrophages and dendritic cells, which in turn respond to infection or
injury.
Granulocytes contain granules in their cytoplasm; the agranulocytes are so named because of the lack of granules in their
cytoplasm. Some leukocytes become macrophages that either stay at the same site or move through the blood stream and
gather at sites of infection or inflammation where they are attracted by chemical signals from foreign particles and damaged
cells. Lymphocytes are the primary cells of the immune system and include B cells, T cells, and natural killer cells. B
cells destroy bacteria and inactivate their toxins. They also produce antibodies. T cells attack viruses, fungi, some bacteria,
transplanted cells, and cancer cells. T cells attack viruses by releasing toxins that kill the viruses. Natural killer cells attack
a variety of infectious microbes and certain tumor cells.
One reason that HIV poses significant management challenges is because the virus directly targets T cells by gaining entry
through a receptor. Once inside the cell, HIV then multiplies using the T cell’s own genetic machinery. After the HIV virus
replicates, it is transmitted directly from the infected T cell to macrophages. The presence of HIV can remain unrecognized
for an extensive period of time before full disease symptoms develop.
Figure 31.8 (a) Platelets are formed from large cells called megakaryocytes. The megakaryocyte breaks up into
thousands of fragments that become platelets. (b) Platelets are required for clotting of the blood. The platelets collect
at a wound site in conjunction with other clotting factors, such as fibrinogen, to form a fibrin clot that prevents blood
loss and allows the wound to heal.
Figure 31.9 Human red blood cells may have either type A or B glycoproteins on their surface, both glycoproteins
combined (AB), or neither (O). The glycoproteins serve as antigens and can elicit an immune response in a person
who receives a transfusion containing unfamiliar antigens. Type O blood, which has no A or B antigens, does not
elicit an immune response when injected into a person of any blood type. Thus, O is considered the universal
donor. Persons with type AB blood can accept blood from any blood type, and type AB is considered the universal
acceptor.
Chapter 31 | The Circulatory System 1497
Which of the following phylogenies, created based on features of the circulatory system of vertebrates, is most
accurate?
a. A
b. B
c. C
d. D
1498 Chapter 31 | The Circulatory System
Play a blood typing game on the Nobel Prize website (http://openstaxcollege.org/l/blood_typing) to solidify your
understanding of blood types.
This simplified phylogeny shows the currently accepted evolutionary history of vertebrates, which are part of the phylum
Chordata. How do differences in heart anatomy among these groups support this phylogeny?
a. The anatomy of the heart among these groups shows a gradually increasing number of heart chambers across
the phylogeny. Fish have a two-chambered heart, amphibians and reptiles have a three-chambered heart,
where latter has a partial separation of ventricles. Birds and mammals both have four-chambered hearts.
b. The anatomy of the heart among these groups shows a gradually increasing number of heart chambers across
the phylogeny. Fish have a two-chambered heart. Amphibians and reptiles have a three-chambered heart
where the former has a partial separation of ventricles. Birds and mammals both have four-chambered hearts.
c. The anatomy of the heart among these groups shows a gradually increasing number of heart chambers across
the phylogeny. Fish and amphibians have a two-chambered heart. Reptiles have a three-chambered heart
with a partial separation of ventricles. Birds and mammals both have four-chambered hearts.
d. The anatomy of the heart among these groups shows a gradually increasing number of heart chambers across
the phylogeny. Fish and amphibians have two-chambered hearts. Reptiles and birds have three-chambered
hearts, where the former has a partial separation of ventricles. Mammals have a four-chambered heart.
remove carbon dioxide (CO2) from tissues. The intricate design of the heart separates blood that is low in O2 from blood
that is high in O2. This ensures that oxygen-rich blood is delivered to all tissues and cells of the body where it will be used
for cellular respiration. Blood returning from the tissues is high in CO2 and low in O2 will return to the heart and be pumped
to the lungs, where gases are exchanged by diffusion at capillary beds.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 4 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Interactions and coordination between organ systems provide essential biological
Knowledge activities for the organism as a whole.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.9 The student is able to predict the effects of a change in a component(s) of a biological
Objective system on the functionality of an organism(s).
Essential 4.A.4 Interactions and coordination between organ systems provide essential biological
Knowledge activities for the organism as a whole.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity due
Objective to interactions of the constituent parts.
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Essential 4.B.2 Specialization of the heart and blood vessels contributes to the overall function of the
Knowledge body.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 4.18 The student is able to use representations and models to analyze how cooperative
Objective interactions within organisms promote efficiency in the use of energy and matter.
The heart is a complex muscle that pumps blood through the three divisions of the circulatory system: the coronary—vessels
that serve the heart, pulmonary—heart and lungs, and systemic—systems of the body, as shown in Figure 31.10. Coronary
circulation intrinsic to the heart takes blood directly from the main artery (aorta) coming from the heart. For pulmonary and
systemic circulation, the heart has to pump blood to the lungs or the rest of the body, respectively. In vertebrates, the lungs
are relatively close to the heart in the thoracic cavity. The shorter distance to pump means that the muscle wall on the right
side of the heart is not as thick as the left side which must have enough pressure to pump blood all the way to your big toe.
1500 Chapter 31 | The Circulatory System
Figure 31.10 The mammalian circulatory system is divided into three circuits: the systemic circuit, the pulmonary
circuit, and the coronary circuit. Blood is pumped from veins of the systemic circuit into the right atrium of the
heart, then into the right ventricle. Blood then enters the pulmonary circuit, and is oxygenated by the lungs. From
the pulmonary circuit, blood re-enters the heart through the left atrium. From the left ventricle, blood re-enters the
systemic circuit through the aorta and is distributed to the rest of the body. The coronary circuit, which provides
blood to the heart, is not shown.
Compare the functions and structures of red and white blood cells.
a. Red blood cells lack nuclei at maturity and contain hemoglobin, which distributes oxygen throughout the
body. White blood cells are primarily involved in the immune response to identify and target pathogens.
They have nuclei and lack hemoglobin
b. Red blood cells lack nuclei at maturity and contain hemoglobin, which distributes oxygen throughout the
body. White blood cells are primarily involved in the immune response to identify and target pathogens.
They lack both nuclei and hemoglobin.
c. Red blood cells contain nuclei and hemoglobin, which distributes oxygen throughout the body. White blood
cells are primarily involved in the immune response to identify and target pathogens. They lack both nuclei
and hemoglobin.
d. Red blood cells lack nuclei at maturity and contain hemoglobin, which is involved in the immune response,
assisting in identification and targeting of pathogens. White blood cells distribute oxygen throughout the
body. They have nuclei and lack hemoglobin.
right ventricle through the atrioventricular valve or the tricuspid valve, a flap of connective tissue that opens in only one
direction to prevent the backflow of blood. The valve separating the chambers on the left side of the heart valve is called the
biscuspid or mitral valve. After it is filled, the right ventricle pumps the blood through the pulmonary arteries, by-passing
the semilunar valve, or pulmonic valve, to the lungs for re-oxygenation. After blood passes through the pulmonary arteries,
the right semilunar valves close preventing the blood from flowing backwards into the right ventricle. The left atrium then
receives the oxygen-rich blood from the lungs via the pulmonary veins. This blood passes through the bicuspid valve or
mitral valve (the atrioventricular valve on the left side of the heart) to the left ventricle where the blood is pumped out
through aorta, the major artery of the body, taking oxygenated blood to the organs and muscles of the body. Once blood
is pumped out of the left ventricle and into the aorta, the aortic semilunar valve (or aortic valve) closes preventing blood
from flowing backward into the left ventricle. This pattern of pumping is referred to as double circulation and is found in
all mammals.
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Figure 31.11 (a) The heart is primarily made of a thick muscle layer, called the myocardium, surrounded by
membranes. One-way valves separate the four chambers. (b) Blood vessels of the coronary system, including the
coronary arteries and veins, keep the heart musculature oxygenated.
Plasma and serum are common terms. Both are important parts of blood. What is the difference between blood plasma
and blood serum?
a. Blood plasma is made up of blood serum and other components. Serum is the component of plasma
containing blood coagulation factors.
b. Blood serum is made up of blood plasma and other components. Plasma is the component of serum
containing blood coagulation factors.
c. Blood plasma is made of blood serum and other components. Serum is the component of plasma without the
Chapter 31 | The Circulatory System 1503
The heart is composed of three layers; the epicardium, the myocardium, and the endocardium, illustrated in Figure 31.11.
The inner wall of the heart has a lining called the endocardium. The myocardium consists of the heart muscle cells that
make up the middle layer and the bulk of the heart wall. The outer layer of cells is called the epicardium, of which the
second layer is a membranous layered structure called the pericardium that surrounds and protects the heart; it allows
enough room for vigorous pumping but also keeps the heart in place to reduce friction between the heart and other
structures.
The heart has its own blood vessels that supply the heart muscle with blood. The coronary arteries branch from the aorta
and surround the outer surface of the heart like a crown. They diverge into capillaries where the heart muscle is supplied
with oxygen before converging again into the coronary veins to take the deoxygenated blood back to the right atrium
where the blood will be re-oxygenated through the pulmonary circuit. The heart muscle will die without a steady supply
of blood. Atherosclerosis is the blockage of an artery by the buildup of fatty plaques. Because of the size (narrow) of the
coronary arteries and their function in serving the heart itself, atherosclerosis can be deadly in these arteries. The slowdown
of blood flow and subsequent oxygen deprivation that results from atherosclerosis causes severe pain, known as angina, and
complete blockage of the arteries will cause myocardial infarction: the death of cardiac muscle tissue, commonly known
as a heart attack.
Figure 31.12 During (a) atrial diastole, the ventricles contract, forcing blood out of the heart. During (b) cardiac diastole,
the heart muscle is relaxed and blood flows into the heart. During (c) atrial systole, the atria contract, pushing blood
into the ventricles.
The pumping of the heart is a function of the cardiac muscle cells, or cardiomyocytes, that make up the heart muscle.
Cardiomyocytes, shown in Figure 31.13, are distinctive muscle cells that are striated like skeletal muscle but pump
1504 Chapter 31 | The Circulatory System
rhythmically and involuntarily like smooth muscle; they are connected by intercalated disks exclusive to cardiac muscle.
They are self-stimulated for a period of time and isolated cardiomyocytes will beat if given the correct balance of nutrients
and electrolytes.
Figure 31.13 Cardiomyocytes are striated muscle cells found in cardiac tissue. (credit: modification of work by Dr. S.
Girod, Anton Becker; scale-bar data from Matt Russell)
The autonomous beating of cardiac muscle cells is regulated by the heart’s internal pacemaker that uses electrical signals
to time the beating of the heart. The electrical signals and mechanical actions, illustrated in Figure 31.14, are intimately
intertwined. The internal pacemaker starts at the sinoatrial (SA) node, which is located near the wall of the right atrium.
Electrical charges spontaneously pulse from the SA node causing the two atria to contract in unison. The pulse reaches
a second node, called the atrioventricular (AV) node, between the right atrium and right ventricle where it pauses for
approximately 0.1 second before spreading to the walls of the ventricles. From the AV node, the electrical impulse enters
the bundle of His, then to the left and right bundle branches extending through the interventricular septum. Finally, the
Purkinje fibers conduct the impulse from the apex of the heart up the ventricular myocardium, and then the ventricles
contract. This pause allows the atria to empty completely into the ventricles before the ventricles pump out the blood. The
electrical impulses in the heart produce electrical currents that flow through the body and can be measured on the skin using
electrodes. This information can be observed as an electrocardiogram (ECG)—a recording of the electrical impulses of
the cardiac muscle.
Chapter 31 | The Circulatory System 1505
Figure 31.14 The beating of the heart is regulated by an electrical impulse that causes the characteristic reading of an
ECG. The signal is initiated at the sinoatrial valve. The signal then (a) spreads to the atria, causing them to contract.
The signal is (b) delayed at the atrioventricular node before it is passed on to the (c) heart apex. The delay allows the
atria to relax before the (d) ventricles contract. The final part of the ECG cycle prepares the heart for the next beat.
Some white blood cells release chemicals upon encountering a pathogen. These chemicals attract other white blood cells
to the point of infection. Which of the following statements explains the feedback loop that occurs and predicts what
would likely happen if the number of pathogens entering the body increases?
a. This is positive feedback. Fewer white blood cells will be attracted to the site as the number of pathogens in
the body increases.
b. This is negative feedback. Fewer white blood cells will be attracted to the site as the number of pathogens in
the body increases.
c. This is positive feedback. More white blood cells will be attracted to the site as the number of pathogens in
the body increases.
d. This is negative feedback. More white blood cells will be attracted to the site as the number of pathogens in
the body increases.
1506 Chapter 31 | The Circulatory System
An echocardiogram (ECG) is an ultrasound of the heart that is used to determine if the heart valves and
muscles are working correctly. In this photo, all four chambers of the heart can be seen.
Figure 31.16 The major human arteries and veins are shown. (credit: modification of work by Mariana Ruiz Villareal)
Arterioles diverge into capillary beds. Capillary beds contain a large number (10 to 100) of capillaries that branch among
the cells and tissues of the body. Capillaries are narrow-diameter tubes that can fit red blood cells through in single file and
are the sites for the exchange of nutrients, waste, and oxygen with tissues at the cellular level. Fluid also crosses into the
interstitial space from the capillaries. The capillaries converge again into venules that connect to minor veins that finally
connect to major veins that take blood high in carbon dioxide back to the heart. Veins are blood vessels that bring blood
back to the heart. The major veins drain blood from the same organs and limbs that the major arteries supply. Fluid is also
brought back to the heart via the lymphatic system.
The structure of the different types of blood vessels reflects their function or layers. There are three distinct layers, or tunics,
that form the walls of blood vessels (Figure 31.17). The first tunic is a smooth, inner lining of endothelial cells that are
in contact with the red blood cells. The endothelial tunic is continuous with the endocardium of the heart. In capillaries,
this single layer of cells is the location of diffusion of oxygen and carbon dioxide between the endothelial cells and red
blood cells, as well as the exchange site via endocytosis and exocytosis. The movement of materials at the site of capillaries
is regulated by vasoconstriction, narrowing of the blood vessels, and vasodilation, widening of the blood vessels; this is
important in the overall regulation of blood pressure.
Veins and arteries both have two further tunics that surround the endothelium: the middle tunic is composed of smooth
muscle and the outermost layer is connective tissue, collagen and elastic fibers. The elastic connective tissue stretches
and supports the blood vessels, and the smooth muscle layer helps regulate blood flow by altering vascular resistance
through vasoconstriction and vasodilation. The arteries have thicker smooth muscle and connective tissue than the veins to
accommodate the higher pressure and speed of freshly pumped blood. The veins are thinner walled as the pressure and rate
of flow are much lower. In addition, veins are structurally different than arteries in that veins have valves to prevent the
backflow of blood. Because veins have to work against gravity to get blood back to the heart, contraction of skeletal muscle
assists with the flow of blood back to the heart.
1508 Chapter 31 | The Circulatory System
Figure 31.17 Arteries and veins consist of three layers: an outer tunica externa, a middle tunica media, and an inner
tunica intima. Capillaries consist of a single layer of epithelial cells, the tunica intima. (credit: modification of work by
NCI, NIH)
Activity
Create a representation to track the pathway of a single red blood cell as it travels from a vein in your lower
leg to the lung where it delivers carbon dioxide and picks up oxygen. Then describe the pathway it takes
through the heart and vessels to return to your lower leg.
Think About It
How do the events in the cardiac cycle link the circulatory system with the nervous system?
heartbeats. The optimal diastolic blood pressure is 80 mmHg. Many factors can affect blood pressure, such as hormones,
stress, exercise, eating, sitting, and standing. Blood flow through the body is regulated by the size of blood vessels, by the
action of smooth muscle, by one-way valves, and by the fluid pressure of the blood itself.
Figure 31.18 (a) Precapillary sphincters are rings of smooth muscle that regulate the flow of blood through
capillaries; they help control the location of blood flow to where it is needed. (b) Valves in the veins prevent blood
from moving backward. (credit a: modification of work by NCI)
Visit this site (http://openstaxcollege.org/l/circulation) to see the circulatory system’s blood flow.
Capillaries are the smallest of blood vessels. They consist of a _____ layer of endothelial cells where diffusion and
exchange of materials take place.
a. single
b. double
c. triple
d. bilateral
Proteins and other large solutes cannot leave the capillaries. The loss of the watery plasma creates a hyperosmotic solution
within the capillaries, especially near the venules. This causes about 85 percent of the plasma that leaves the capillaries to
eventually diffuses back into the capillaries near the venules. The remaining 15 percent of blood plasma drains out from
the interstitial fluid into nearby lymphatic vessels (Figure 31.19). The fluid in the lymph is similar in composition to the
interstitial fluid. The lymph fluid passes through lymph nodes before it returns to the heart via the vena cava. Lymph nodes
are specialized organs that filter the lymph by percolation through a maze of connective tissue filled with white blood cells.
The white blood cells remove infectious agents, such as bacteria and viruses, to clean the lymph before it returns to the
bloodstream. After it is cleaned, the lymph returns to the heart by the action of smooth muscle pumping, skeletal muscle
action, and one-way valves joining the returning blood near the junction of the venae cavae entering the right atrium of the
heart.
Figure 31.19 Fluid from the capillaries moves into the interstitial space and lymph capillaries by diffusion down a
pressure gradient and also by osmosis. Out of 7,200 liters of fluid pumped by the average heart in a day, over 1,500
liters is filtered. (credit: modification of work by NCI, NIH)
Chapter 31 | The Circulatory System 1511
Blood Pressure
The pressure of the blood flow in the body is produced by the hydrostatic pressure of the fluid (blood) against the walls of
the blood vessels. Fluid will move from areas of high to low hydrostatic pressures. In the arteries, the hydrostatic pressure
near the heart is very high and blood flows to the arterioles where the rate of flow is slowed by the narrow openings of the
arterioles. During systole, when new blood is entering the arteries, the artery walls stretch to accommodate the increase of
pressure of the extra blood; during diastole, the walls return to normal because of their elastic properties. The blood pressure
of the systole phase and the diastole phase, graphed in Figure 31.20, gives the two pressure readings for blood pressure.
For example, 120/80 indicates a reading of 120 mm Hg during the systole and 80 mm Hg during diastole. Throughout the
cardiac cycle, the blood continues to empty into the arterioles at a relatively even rate. This resistance to blood flow is called
peripheral resistance.
1512 Chapter 31 | The Circulatory System
Figure 31.20 Blood pressure is related to the blood velocity in the arteries and arterioles. In the capillaries and veins,
the blood pressure continues to decease but velocity increases.
KEY TERMS
angina pain caused by partial blockage of the coronary arteries by the buildup of plaque and lack of oxygen to the heart
muscle
aorta major artery of the body that takes blood away from the heart
artery blood vessel that takes blood away from the heart
atrioventricular valve one-way membranous flap of connective tissue between the atrium and the ventricle in the right
side of the heart; also known as tricuspid valve
atrium (plural: atria) chamber of the heart that receives blood from the veins and sends blood to the ventricles
bicuspid valve (also, mitral valve; left atrioventricular valve) one-way membranous flap between the atrium and the
ventricle in the left side of the heart
blood pressure (BP) pressure of blood in the arteries that helps to push blood through the body
capillary smallest blood vessel that allows the passage of individual blood cells and the site of diffusion of oxygen and
nutrient exchange
capillary bed large number of capillaries that converge to take blood to a particular organ or tissue
cardiac cycle filling and emptying the heart of blood by electrical signals that cause the heart muscles to contract and
relax
cardiac output the volume of blood pumped by the heart in one minute as a product of heart rate multiplied by stroke
volume
cardiomyocyte specialized heart muscle cell that is striated but contracts involuntarily like smooth muscle
closed circulatory system system in which the blood is separated from the bodily interstitial fluid and contained in
blood vessels
coronary artery vessel that supplies the heart tissue with blood
coronary vein vessel that takes blood away from the heart tissue back to the chambers in the heart
diastole relaxation phase of the cardiac cycle when the heart is relaxed and the ventricles are filling with blood
double circulation flow of blood in two circuits: the pulmonary circuit through the lungs and the systemic circuit
through the organs and body
gill circulation circulatory system that is specific to animals with gills for gas exchange; the blood flows through the gills
for oxygenation
hemolymph mixture of blood and interstitial fluid that is found in insects and other arthropods as well as most mollusks
inferior vena cava drains blood from the veins that come from the lower organs and the legs
1514 Chapter 31 | The Circulatory System
lymph node specialized organ that contains a large number of macrophages that clean the lymph before the fluid is
returned to the heart
myocardial infarction (also, heart attack) complete blockage of the coronary arteries and death of the cardiac muscle
tissue
myocardium heart muscle cells that make up the middle layer and the bulk of the heart wall
open circulatory system system in which the blood is mixed with interstitial fluid and directly covers the organs
ostium (plural: ostia) holes between blood vessels that allow the movement of hemolymph through the body of insects,
arthropods, and mollusks with open circulatory systems
pericardium membrane layer protecting the heart; also part of the epicardium
peripheral resistance resistance of the artery and blood vessel walls to the pressure placed on them by the force of the
heart pumping
plasma liquid component of blood that is left after the cells are removed
platelet also, thrombocyte, small cellular fragment that collects at wounds, cross-reacts with clotting factors, and forms a
plug to prevent blood loss
precapillary sphincter small muscle that controls blood circulation in the capillary beds
pulmocutaneous circulation circulatory system in amphibians; the flow of blood to the lungs and the moist skin for
gas exchange
pulmonary circulation flow of blood away from the heart through the lungs where oxygenation occurs and then returns
to the heart again
red blood cell small (7–8 μm) biconcave cell without mitochondria (and in mammals without nuclei) that is packed with
hemoglobin, giving the cell its red color; transports oxygen through the body
semilunar valve membranous flap of connective tissue between the aorta and a ventricle of the heart (the aortic or
pulmonary semilunar valves)
sinoatrial (SA) node the heart’s internal pacemaker; located near the wall of the right atrium
stroke volume the volume of blood pumped into the aorta per contraction of the left ventricle
superior vena cava drains blood from the jugular vein that comes from the brain and from the veins that come from the
arms
systemic circulation flow of blood away from the heart to the brain, liver, kidneys, stomach, and other organs, the limbs,
and the muscles of the body, and then the return of this blood to the heart
systole contraction phase of cardiac cycle when the ventricles are pumping blood into the arteries
tricuspid valve one-way membranous flap of connective tissue between the atrium and the ventricle in the right side of
the heart; also known as atrioventricular valve
unidirectional circulation flow of blood in a single circuit; occurs in fish where the blood flows through the gills, then
past the organs and the rest of the body, before returning to the heart
vena cava major vein of the body returning blood from the upper and lower parts of the body; see the superior vena cava
and inferior vena cava
ventricle (heart) large inferior chamber of the heart that pumps blood into arteries
white blood cell large (30 μm) cell with nuclei of which there are many types with different roles including the protection
of the body from viruses and bacteria, and cleaning up dead cells and other waste
CHAPTER SUMMARY
31.2 Components of the Blood
Specific components of the blood include red blood cells, white blood cells, platelets, and the plasma, which contains
coagulation factors and serum. Blood is important for regulation of the body’s pH, temperature, osmotic pressure, the
circulation of nutrients and removal of waste, the distribution of hormones from endocrine glands, and the elimination of
excess heat; it also contains components for blood clotting. Red blood cells are specialized cells that contain hemoglobin
and circulate through the body delivering oxygen to cells. White blood cells are involved in the immune response to
identify and target invading bacteria, viruses, and other foreign organisms; they also recycle waste components, such as
old red blood cells. Platelets and blood clotting factors cause the change of the soluble protein fibrinogen to the insoluble
protein fibrin at a wound site forming a plug. Plasma consists of 90 percent water along with various substances, such as
coagulation factors and antibodies. The serum is the plasma component of the blood without the coagulation factors.
The heart muscle pumps blood through three divisions of the circulatory system: coronary, pulmonary, and systemic.
There is one atrium and one ventricle on the right side and one atrium and one ventricle on the left side. The pumping of
the heart is a function of cardiomyocytes, distinctive muscle cells that are striated like skeletal muscle but pump
rhythmically and involuntarily like smooth muscle. The internal pacemaker starts at the sinoatrial node, which is located
near the wall of the right atrium. Electrical charges pulse from the SA node causing the two atria to contract in unison;
then the pulse reaches the atrioventricular node between the right atrium and right ventricle. A pause in the electric signal
allows the atria to empty completely into the ventricles before the ventricles pump out the blood. The blood from the heart
is carried through the body by a complex network of blood vessels; arteries take blood away from the heart, and veins
bring blood back to the heart.
Blood primarily moves through the body by the rhythmic movement of smooth muscle in the vessel wall and by the action
of the skeletal muscle as the body moves. Blood is prevented from flowing backward in the veins by one-way valves.
Blood flow through the capillary beds is controlled by precapillary sphincters to increase and decrease flow depending on
the body’s needs and is directed by nerve and hormone signals. Lymph vessels take fluid that has leaked out of the blood
to the lymph nodes where it is cleaned before returning to the heart. During systole, blood enters the arteries, and the artery
walls stretch to accommodate the extra blood. During diastole, the artery walls return to normal. The blood pressure of the
systole phase and the diastole phase gives the two pressure readings for blood pressure.
REVIEW QUESTIONS
1. Which of the following organisms has an open circulatory system?
a. a cat
b. a bee
c. a human
d. an earthworm
2. What is an advantage of an open circulatory system?
1516 Chapter 31 | The Circulatory System
If the student wished to create a phylogeny of organisms A through F, which organism would likely be closest to the root
of the phylogenetic tree?
a. organism A
b. organism B
c. organism E
d. organism F
8. A student in a biology lab is attempting to reorganize some preserved animals in jars that have lost their labels. The
student notices that each jar contains notes that provide information on each animal’s classification. The student labels the
unknown animals A through F and enters each animal’s circulatory system characteristics in the following table.
The student wants to place organisms A through F along a single branch of a phylogenetic tree. In what order would the
organisms most likely appear on the tree, beginning at the root and moving farther away, and why?
1518 Chapter 31 | The Circulatory System
a. The order would be F, E, C, A, B, D. The general trend in circulatory system evolution is toward increasingly
closed systems.
b. The order would be B, D, A, C, E, F. The general trend in circulatory system evolution is toward increasingly
open systems.
c. The order would be F, E, C, A, D, B. The general trend in circulatory system evolution is toward increasingly
closed systems.
d. The order would be F, E, C, D, B, A. The general trend in circulatory system evolution is toward increasingly
open systems.
9. Differences in human blood types show how genetic differences have evolved over time, affecting red blood cell
structure. What is the basis for blood type classifications?
a. It is based on antigens made of carbohydrates, specifically glycoside and N-acetylglucosamine, found on the
surface of red blood cells.
b. It is based on antigens made of glycolipids and glycoproteins, found on the surface of red blood cells.
c. It is based on antigens made of proteins, specifically peripheral and integral proteins, found on the surface of the
red blood cell.
d. It is based on antigens made of lipids, specifically glycerophospholipids, found on the surface of red blood cells.
10. If a person has blood type AB/Rh-, what antibodies relating to blood type will be found in the blood?
a. A antibodies
b. A antibodies and B antibodies
c. Rh antibodies
d. B antibodies
11. Components found in human blood include white blood cells, red blood cells, and _______.
a. platelets
b. ostia
c. hemolymph
d. cardiomyocytes
12. Up to four components can be derived from donated blood. One of those components is plasma. Which of the
following is not a basic component of plasma?
a. water
b. proteins
c. salts
d. red blood cells
13. Many platelets converge and stick together at a wound site, eventually forming a platelet plug, also called a fibrin clot.
Platelets continue to arrive at the wound site until the plug is completely formed. Describe the feedback mechanisms
taking place and predict what would likely happen if part of the platelet plug broke away before the wound was healed.
a. This is a positive-feedback loop. The loop would restart if part of the platelet plug broke away, calling more
platelets to the site to repair the broken plug.
b. This is a negative-feedback loop. The loop would restart if part of the platelet plug broke away, calling more
platelets to the site to repair the broken plug.
c. This is a positive-feedback loop. The loop would not restart if part of the platelet plug broke away.
d. This is a negative-feedback loop. The loop would not restart if part of the platelet plug broke away.
14. The diagram shows a fibrin clot forming within a blood vessel.
Chapter 31 | The Circulatory System 1519
What is represented by the colored shapes on the surface of the cells, and what is the function of the shapes?
a. The shapes represent antibodies, which identify red blood cells as either part of the body or foreign. Foreign red
blood cells may be attacked by antibodies within the blood.
b. The shapes represent glycolipids and glycoproteins, which identify red blood cells as either part of the body or
foreign. Foreign red blood cells may be attacked by antigens within the blood.
c. The shapes represent glycolipids and glycoproteins, which identify red blood cells as either part of the body or
foreign. Foreign red blood cells may be attacked by antibodies within the blood.
d. The shapes represent antibodies, which identify the red blood cells as either part of the body or foreign. This
allows the body to neutralizes the foreign cells.
16. Your heart is a pump that circulates blood and oxygen around your body. Which of the following statements about the
circulatory system is false?
a. Blood in the pulmonary veins is deoxygenated.
b. Blood in the inferior vena cava is deoxygenated.
c. Blood in the pulmonary artery is deoxygenated.
d. Blood in the aorta is oxygenated.
17. Which of the following statements about the heart is false?
a. The mitral valve separates the left ventricle from the left atrium.
b. Blood travels through the bicuspid valve to the left atrium.
c. Both the aortic and the pulmonary valves are semilunar valves.
d. The mitral valve is an atrioventricular valve.
18. In a healthy heart, a heartbeat begins within an electrical signal from which part of the heart?
a. bundle of His
b. atrioventricular (AV) node
c. sinoatrial (SA) node
d. atrial diastole
19. Describe the cardiac cycle and explain what drives it.
Chapter 31 | The Circulatory System 1521
a. The heart contracts to pump blood through the body during systole; the heart is filled with blood during diastole.
An electrical charge spontaneously pulses from the SA node, causing the two atria to contract. The pulse reaches
the AV node, where it pauses before spreading to the walls of the ventricles. It enters the bundle of His, then
moves to the left and right bundle branches extending through the interventricular septum. Purkinje fibers
conduct the impulse from the apex up the ventricular myocardium, causing the ventricles to contract. This pause
allows the atria to empty their contents into the ventricles before the ventricles pump out the blood.
b. The heart contracts to pump blood through the body during diastole; the heart is filled with blood during systole.
An electrical charge spontaneously pulses from the SA node, causing the two atria to contract. The pulse reaches
the AV node, where it pauses before spreading to the walls of the ventricles. It enters the bundle of His, then
moves to the left and right bundle branches extending through the interventricular septum. Purkinje fibers
conduct the impulse from the apex up the ventricular myocardium, causing the ventricles to contract. This pause
allows the atria to empty their contents into the ventricles before the ventricles pump out the blood.
c. The heart contracts to pump blood through the body during systole; the heart is filled with blood during diastole.
An electrical charge spontaneously pulses from the AV node, causing the two atria to contract. The pulse reaches
the SA node, where it pauses before spreading to the walls of the ventricles. It enters the bundle of His, then
moves to the left and right bundle branches extending through the interventricular septum. Purkinje fibers
conduct the impulse from the apex up the ventricular myocardium, causing the ventricles to contract. This pause
allows the atria to empty their contents into the ventricles before the ventricles pump out the blood.
d. The heart contracts to pump blood through the body during systole and is filled with blood during diastole. An
electrical charge spontaneously pulses from the SA node, causing the two atria to contract. The pulse reaches the
AV node, where it pauses before spreading to the walls of the ventricles. It enters the Purkinje fibers, then moves
to the left and right bundle branches extending through the interventricular septum. The bundle of His conducts
the impulse from the apex up the ventricular myocardium, causing the ventricles to contract. This pause allows
the atria to empty their contents into the ventricles before the ventricles pump out the blood.
20. Compare and contrast veins and arteries.
a. Both veins and arteries have three distinct layers. Veins take blood away from the heart and arteries bring blood
back to the heart.
b. Both veins and arteries have three distinct layers. Arteries take blood away from the heart and veins bring blood
back to the heart.
c. Both veins and arteries have valves to prevent the backflow of blood. Arteries take blood away from the heart
and veins bring blood back to the heart.
d. Both veins and arteries have valves to prevent the backflow of blood. Veins take blood away from the heart and
arteries bring blood back to the heart.
21. The diagram shows the neural structures that control and coordinate the beating of the heart.
1522 Chapter 31 | The Circulatory System
How would the cardiac cycle be affected if neural signals were blocked within the Purkinje fiber?
a. The atria and ventricles would contract at the same time.
b. The ventricles would not contract.
c. The atria would contract first, followed by the ventricles.
d. Only the left atrium would contract.
22. The diagram shows the neural structures that control and coordinate the beating of the heart.
Explain fully how the cardiac cycle would be affected if the signal was blocked at the atrioventricular node and why.
Chapter 31 | The Circulatory System 1523
a. The atria would contract, but the ventricles would not, because the atrioventricular node passes signals to the
Purkinje fibers, which allow the ventricles to contract.
b. The ventricles would contract, but the atria would not, because the atrioventricular node passes the signal to the
Purkinje fibers, which allow the ventricles to contract.
c. The atria would contract, but the ventricles would not, because the atrioventricular node passes the signal to the
Purkinje fibers, which allow the atria to contract.
d. The ventricles would contract, but the atria would not, because the atrioventricular node passes the signal to the
Purkinje fibers, which causes the atria to contract.
a. In a four-chambered heart, oxygenated blood carried by the left side of the heart is more effectively separated
from deoxygenated blood carried by the right side, which assists in more efficient movement of oxygen around
the body.
b. In a four-chambered heart, oxygenated blood carried by the right side of the heart is more effectively separated
from deoxygenated blood carried by the left side, which assists in more efficient movement of oxygen around
the body.
c. In a four-chambered heart, oxygenated blood carried by the left side of the heart is less effectively separated
from deoxygenated blood carried by the right side, which assists in more efficient movement of oxygen around
the body.
d. In a four-chambered heart, oxygenated blood carried by the right side of the heart is less effectively separated
from deoxygenated blood carried by the left side, which assists in more efficient movement of oxygen around
the body.
26. What are red blood cells also known as?
a. lymphocytes
b. monocytes
c. erythrocytes
d. basophils
27. How does the structure of mammalian red blood cells allow them to deliver oxygen to the cells of the body?
a. Their size and shape allow them to carry and transfer oxygen.
b. Their disc shape contains many small vesicles that allow them to carry and transfer oxygen.
c. They have nuclei and do not contain hemoglobin.
d. They contain coagulation factors and antibodies.
28. Which of the following best describes plasma?
a. It is a protein synthesized in the liver.
b. It is a liquid that contains only lipids and antibodies.
c. It is a blood component that is separated by spinning blood.
d. It is an antibody produced in the mucosal lining.
29. What is the heart’s internal pacemaker?
a. It is an internal implant that sends an electrical impulse through the heart.
b. It is the part of the heart that initiates an electrical impulse, called the sinoatrial node.
c. It is the excitation of cardiac muscle cells at the atrioventricular and sinoatrial nodes.
d. It is the contracting of muscles that starts in the aorta.
30. Cardiomyocytes are similar to skeletal muscle because _______.
a. they beat involuntarily
b. they are attached to bones
c. they pulse rhythmically
d. they are striated
31. This diagram shows the internal anatomy of the heart.
Chapter 31 | The Circulatory System 1525
How would blood circulation beyond the heart be most directly affected if the pulmonary valve could not open?
a. Blood could not reach the rest of the body.
b. Blood could not reach the lungs.
c. Blood could not return from the lungs.
d. Blood could not return from the rest of the body.
32. This diagram shows the internal anatomy of the heart.
How would blood circulation beyond the heart be affected if the tricuspid valve could not open?
a. Blood could not enter the pulmonary veins; therefore, it could not reach the lungs.
b. Blood could not enter the pulmonary artery; therefore, it could not reach the heart.
c. Blood could not enter the pulmonary artery; therefore, it could not reach the lungs.
d. Blood could not enter the pulmonary veins; therefore, it could not reach the heart.
33. Why is it useful for blood to travel slowly through capillary beds?
a. To allow antibodies to enter infected cells and to promote the diffusion of fluid into the interstitial space.
b. To assist with gas and nutrient exchange and to prevent the diffusion of fluid into the interstitial space.
c. To assist with gas and nutrient exchange and to promote the diffusion of fluid into the interstitial space.
d. To allow antibodies to enter infected cells and to prevent the diffusion of fluid into the interstitial space.
1526 Chapter 31 | The Circulatory System
Why was it likely advantageous for insects to evolve an elongated heart as opposed to the centrally located heart of
vertebrates?
a. Because an elongated heart allows blood to easily reach all the parts of the body from the heart.
b. Because the elongated heart allows more blood to reach all the parts of the body, it allows for more nutrient
exchange.
c. Because an elongated heart allows blood to easily return to the heart from a few points within the body cavity.
d. Because an elongated heart allows blood to easily return to the heart from most points within the body cavity.
36. Insects have open circulatory systems in which hemolymph circulates through the body cavity rather than through
closed blood vessels. Birds, like other vertebrates, have closed circulatory systems in which blood remains within arteries,
veins, and capillaries as it circulates. How has this difference most likely influenced the evolution of birds and insects?
a. The open circulatory system of birds warms their entire body quicker, allowing them to live in colder climates
more successfully than insects.
b. The closed circulatory system allows blood flow to increase to the flight muscles during flight, allowing insects
to be better fliers than birds.
c. The greater efficiency of a closed circulatory system allowed birds to become larger than insects.
d. The simplicity of the open circulatory system allows insects to have a higher metabolism than birds.
37. Serum is used to diagnose and monitor diseases, and it is also used to classify blood types. Which of the following
statements best describes serum?
a. It is a liquid consisting of 90 percent water and has coagulation factors.
b. It is plasma without the coagulation factors.
c. Serum is only made of albumin.
d. Serum is the same substance as interstitial fluid.
38. Explain how blood types are distinguished from one another.
Chapter 31 | The Circulatory System 1527
a. Blood types are distinguished on the basis of the presence or absence of different metals found on the surface of
red blood cells.
b. Blood types are distinguished on the basis of the presence or absence of different proteins found inside the red
blood cells.
c. Blood types are distinguished on the basis of the presence or absence of different lipids found on inside the red
blood cells.
d. Blood types are distinguished based on the presence or absence of different antigens found on the surface of the
red blood cells.
39. The inflammatory response involves increasing blood flow to areas of the body that contain immune system cells
fighting a pathogen or foreign object. The inflammatory response is an example of a positive feedback loop. Based on this,
what would cause the inflammatory response to stop in a certain area of the body?
a. The white blood cells destroy all of the pathogens and foreign objects.
b. The white blood cells disperse away from the site.
c. More white blood cells arrive to fight the pathogens and foreign objects.
d. Fewer white blood cells are needed to finish fighting the infection.
40. ________ is the phase of the cardiac cycle where the heart contracts, which pushes out the blood and pumps it around
the body.
a. Diastole
b. Cardiac output
c. Myocardial infarction
d. Systole
41. In routine physicals, doctors often test for problems with the electrical activity of your heart. A(n) _____ can measure
the electrical impulses in the heart.
a. endocardium
b. electrocardiogram (ECG)
c. peripheral resistance
d. cardiac output
42. The diagram shows a cross-section of a blood vessel.
1528 Chapter 31 | The Circulatory System
Which part of the labeled structure would allow vasodilation in the blood vessel and under what conditions would
vasodilation occur?
a. Part B would allow vasodilation in the blood vessel if the blood vessel brings blood to relatively inactive cells,
such as fat cells.
b. Part C would allow vasodilation in the blood vessel if the heart and body’s metabolism slow.
c. Part B would allow vasodilation in the blood vessel if the blood vessel takes blood away from an active organ
system.
d. Part C would allow vasodilation in the blood vessel if the blood vessel takes blood to a muscle cell that is
contracting quickly.
43. The diagram shows a cross-section of an artery and a vein.
Chapter 31 | The Circulatory System 1529
What is the function of the tunica externa and why is it thicker in the artery than in the vein?
a. The tunica externa prevents blood cell adhesion to the wall of the vessel. It is thicker in the artery to protect
against the higher blood pressure found in arteries.
b. The tunica externa protects the vessel from wear and tear and also provides support for the vessel. It is thicker in
the artery to protect against the higher blood pressure found in arteries.
c. The tunica externa protects the vessel from wear and tear and provides support for the vessel. It is thicker in the
artery to protect against the lower blood pressure found in arteries.
d. The tunica externa prevents blood cell adhesion to the wall of the vessel. It is thicker in the artery to protect
against the lower blood pressure found in arteries.
a. Describe the relationship between regulation of expression and the differences among the A, B, A/B, and O
types of blood cells.
b. Explain how the blood group phenotype does not display non-Mendelian inheritance, and describe the simplest
alternative model that explains this deviation.
Immune system T-cells recognize cell surface carbohydrates of bacterial and red blood cells. That these
similarities have consequences for survival is indicated by the observation that individuals with blood type O are
more susceptible to infection by Vibrio, the Gram-negative bacterium that causes cholera; in contrast, and
individuals with type A/B are more susceptible to infections from a broad range of E. coli variants, all of which
are also Gram-negative.
c. Describe the likely reason for the increased susceptibility of individuals with type A/B blood in terms of the
antigen-antibody model of specific immune response. Justify the selection of data that would allow a test of
your reasoning.
Chapter 31 | The Circulatory System 1531
d. The distribution of blood types is determined in a population. The results are displayed in the table. Fill in the
frequency of each genotype. Don’t forget that the total should add up to 1.00 (100 percent).
Recall that the frequency of an allele can be determined if the genotype is known. If we take an example of a
gene with two possible alleles, of which one is dominant and one is recessive, we need to calculate the number
of each allele and divide by the total number of alleles (not genotypes). For example, let’s say that you have 50
homozygous dominant individuals and 50 homozygous recessive individuals. That means that you have 100
dominant alleles (two per homozygous dominant individual) and 100 recessive alleles (two per homozygous
recessive individuals) and a total of 200 alleles. The frequency of the dominant allele is 100/200 = 0.5.
◦ Using the observed numbers of each genotype in the table, calculate the frequency of each allele as
described above. Don’t forget that the total should add up to 1.00 (100 percent of the alleles).
I A IA 320
I A IO 181
IB IB 349
IB IO 445
I A IB 236
ii 601
Total, N 2,132
Allele Probability
A
B
O
1532 Chapter 31 | The Circulatory System
◦ Using these probabilities, calculate the expected frequencies (E) of each blood type using the Hardy-
Weinberg equation for three alleles given below.
p = frequency of IA
q = frequency of IB
r = frequency of i
p 2 + 2pq + q 2 + 2pr + 2qr + r 2
IA IA p2 0.061/131
IA IB 2pq 0.160/342
IB IB q2 0.104/222
IA i 2pr 0.213/454
IB i 2qr 0.277/591
ii r2 0.184/392
Use the information in the table above to calculate expected numbers to add to this table.
◦ Apply your understanding of the conceptual foundation of these equations by restating in words the
relationship represented by E(A).
◦ Apply a χ2 test at the 95 percent confidence level and 3 degrees of freedom (number of traits minus one) to
evaluate the claim that these data indicate Hardy-Weinberg equilibrium of the ABO system for this
population. The definition of this statistic is provided on the AP Biology Exam.
(O – E) 2
χ2 = Σ
E
This table are provided on the AP Biology Exam.
p 1 2 3 4 5 6 7 8
0.05 3.84 5.99 7.82 9.49 11.07 12.59 14.07 15.51
0.01 6.64 9.32 11.34 13.28 15.09 16.81 18.48 20.09
Degrees of Freedom
Chapter 31 | The Circulatory System 1533
◦ Hardy-Weinberg equilibrium is consistent with the assumption of no change in the distribution of alleles
over time. Justify the selection of data that should be obtained to further test this assumption.
Homologous genes coding for the carbohydrates that are present on the surfaces of red blood cells are
found in amphibians and mammals but not in fish, implying a last common ancestor for the ABO gene
system at least 20 million years ago.
e. The difference between genes coding for A and B is a single nucleotide replacement. Evaluate the likelihood
that negative selection pressures have been active in the evolution of this system.
45. The immune system rejection of transplanted organs and the availability of organ donors are key factors in determining
survival. Blood ABO compatibility is always a criterion in matching donors and recipients in adult patients and was once a
consideration for infant patients. Period of time on the waitlist for a suitable donor is critical because the health of the
patient degrades while waiting. Dipchand et al (American Journal of Transplantation, 10, 2010) made a comparison of
survival rates for infants where the donor heart was ABO compatible and incompatible as shown in the graph.
Figure 31.21
Based on these data, justify the claim that expression of blood group immune response develops over time and that this
provides a window of opportunity for transplantation.
1534 Chapter 31 | The Circulatory System
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1535
32 | OSMOTIC
REGULATION AND
EXCRETION (OPTIONAL)
Figure 32.1 Just as humans recycle what we can and dump the remains into landfills, our bodies use and recycle what
they can and excrete the remaining waste products. Our bodies’ complex systems have developed ways to treat waste
and maintain a balanced internal environment. (credit: modification of work by Redwin Law)
Chapter Outline
32.1: Osmoregulation and Osmotic Balance
32.2: Excretion Systems
32.3: The Kidneys and Osmoregulatory Organs
32.4: Nitrogenous Wastes
32.5: Hormonal Control of Osmoregulatory Functions
Introduction
The daily intake recommendation for human water consumption is eight to ten glasses of water. In order to achieve a
healthy balance, the human body should excrete the eight to ten glasses of water every day. This occurs via the processes
of urination, defecation, sweating and, to a small extent, respiration. The organs and tissues of the human body are soaked
in fluids that are maintained at constant temperature, pH, and solute concentration, all crucial elements of homeostasis. The
solutes in body fluids are mainly mineral salts and sugars, and osmotic regulation is the process by which the mineral salts
and water are kept in balance. Osmotic homeostasis is maintained despite the influence of external factors like temperature,
diet, and weather conditions.
Osmotic balance is especially important in the brain. The brain is 80 percent water, and osmotic balance between water and
spinal fluid is critical to proper brain function. Too much or too little water can cause severe medical conditions. Researchers
have recently discovered the mechanism that controls water flow between brain cells. The speed of water flow is controlled
by water channels called aquaporin channels, which are controlled by a neurotransmitter called gamma-aminobutyric acid.
You can read more about this interesting research at the Science Daily website (http://openstaxcollege.org/l/32brain) .
1536 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth, reproduction and dynamic homeostasis require that cell create and maintain internal
Understanding
environments that are different form their external environment.
2.B
Essential
2.B.1 Cell membranes are selectively permeable due to their structure.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.11 The student is able to construct models that connect the movement of molecules across
Objective membranes with membrane structure and function.
Essential 2.B.2 Growth and dynamic homeostasis are maintained by the constant movement of
Knowledge molecules across membranes.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
2.12 The student is able to use representations and models to analyze situations or solve
Learning
problems qualitatively and quantitatively to investigate whether dynamic homeostasis is
Objective
maintained by the active movement of molecules across membranes.
Osmosis is the diffusion of water across a membrane in response to osmotic pressure caused by an imbalance of molecules
on either side of the membrane. Osmoregulation is the process of maintenance of salt and water balance (osmotic balance)
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1537
across membranes within the body’s fluids, which are composed of water, plus electrolytes and non-electrolytes. An
electrolyte is a solute that dissociates into ions when dissolved in water. A non-electrolyte, in contrast, doesn’t dissociate
into ions during water dissolution. Both electrolytes and non-electrolytes contribute to the osmotic balance. The body’s
fluids include blood plasma, the cytosol within cells, and interstitial fluid, the fluid that exists in the spaces between cells
and tissues of the body. The membranes of the body, such as the pleural, serous, and cell membranes are semi-permeable
membranes. Semi-permeable membranes are permeable (or permissive) to certain types of solutes and water. Solutions
on two sides of a semi-permeable membrane tend to equalize in solute concentration by movement of solutes and/or water
across the membrane. As seen in Figure 32.2, a cell placed in water tends to swell due to gain of water from the hypotonic
or low salt environment. A cell placed in a solution with higher salt concentration, on the other hand, tends to make
the membrane shrivel up due to loss of water into the hypertonic or high salt environment. Isotonic cells have an equal
concentration of solutes inside and outside the cell; this equalizes the osmotic pressure on either side of the cell membrane
which is a semi-permeable membrane.
Figure 32.2 Cells placed in a hypertonic environment tend to shrink due to loss of water. In a hypotonic environment,
cells tend to swell due to intake of water. The blood maintains an isotonic environment so that cells neither shrink nor
swell. (credit: Mariana Ruiz Villareal)
The body does not exist in isolation. There is a constant input of water and electrolytes into the system. While
osmoregulation is achieved across membranes within the body, excess electrolytes and wastes are transported to the kidneys
and excreted, helping to maintain osmotic balance.
Water can pass through membranes by passive diffusion. If electrolyte ions could passively diffuse across membranes, it
would be impossible to maintain specific concentrations of ions in each fluid compartment therefore they require special
mechanisms to cross the semi-permeable membranes in the body. This movement can be accomplished by facilitated
diffusion and active transport. Facilitated diffusion requires protein-based channels for moving the solute. Active transport
requires energy in the form of ATP conversion, carrier proteins, or pumps in order to move ions against the concentration
gradient.
Figure 32.3 Fish are osmoregulators, but must use different mechanisms to survive in (a) freshwater or (b) saltwater
environments. (credit: modification of work by Duane Raver, NOAA)
Dialysis Technician
Dialysis is a medical process of removing wastes and excess water from the blood by diffusion and
ultrafiltration. When kidney function fails, dialysis must be done to artificially rid the body of wastes. This is
a vital process to keep patients alive. In some cases, the patients undergo artificial dialysis until they are
eligible for a kidney transplant. In others who are not candidates for kidney transplants, dialysis is a life-long
necessity.
Dialysis technicians typically work in hospitals and clinics. While some roles in this field include equipment
development and maintenance, most dialysis technicians work in direct patient care. Their on-the-job
duties, which typically occur under the direct supervision of a registered nurse, focus on providing dialysis
treatments. This can include reviewing patient history and current condition, assessing and responding to
patient needs before and during treatment, and monitoring the dialysis process. Treatment may include
taking and reporting a patient’s vital signs and preparing solutions and equipment to ensure accurate and
sterile procedures.
1540 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Patients undergoing dialysis use dialysis machines such as the one shown here. Their blood runs through
a tube that is immersed in a solution, with the walls of the tube actually being semipermeable membranes.
The solution is made so that urea, the main waste product produced by humans, is pulled out of the blood
through diffusion. The semi-permeable tube wall allows urea through, but keeps the larger components of
the blood, such as proteins and blood cells, within the tube. The cleaned blood is eventually returned to the
body.
Figure 32.4
Think About It
Why is excretion important in order to achieve osmotic balance?
Section Summary
Solute concentrations across a semi-permeable membranes influence the movement of water and solutes across the
membrane. It is the number of solute molecules and not the molecular size that is important in osmosis. Osmoregulation and
osmotic balance are important bodily functions, resulting in water and salt balance. Not all solutes can pass through a semi-
permeable membrane. Osmosis is the movement of water across the membrane. Osmosis occurs to equalize the number of
solute molecules across a semi-permeable membrane by the movement of water to the side of higher solute concentration.
Facilitated diffusion utilizes protein channels to move solute molecules from areas of higher to lower concentration while
active transport mechanisms are required to move solutes against concentration gradients. Osmolarity is measured in units
of milliequivalents or milliosmoles, both of which take into consideration the number of solute particles and the charge on
them. Fish that live in fresh water or saltwater adapt by being osmoregulators or osmoconformers.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1541
Figure 32.5 Some unicellular organisms, such as the amoeba, ingest food by endocytosis. The food vesicle fuses with
a lysosome, which digests the food. Waste is excreted by exocytosis.
Figure 32.6 In the excretory system of the (a) planaria, cilia of flame cells propel waste through a tubule formed
by a tube cell. Tubules are connected into branched structures that lead to pores located all along the sides of the
body. The filtrate is secreted through these pores. In (b) annelids such as earthworms, nephridia filter fluid from the
coelom, or body cavity. Beating cilia at the opening of the nephridium draw water from the coelom into a tubule. As
the filtrate passes down the tubules, nutrients and other solutes are reabsorbed by capillaries. Filtered fluid containing
nitrogenous and other wastes is stored in a bladder and then secreted through a pore in the side of the body.
Earthworms (annelids) have slightly more evolved excretory structures called nephridia, illustrated in Figure 32.6b. A pair
of nephridia is present on each segment of the earthworm. They are similar to flame cells in that they have a tubule with
cilia. Excretion occurs through a pore called the nephridiopore. They are more evolved than the flame cells in that they
have a system for tubular reabsorption by a capillary network before excretion.
Figure 32.7 Malpighian tubules of insects and other terrestrial arthropods remove nitrogenous wastes and other
solutes from the hemolymph. Na+ and/or K+ ions are actively transported into the lumen of the tubules. Water then
enters the tubules via osmosis, forming urine. The urine passes through the intestine, and into the rectum. There,
nutrients diffuse back into the hemolymph. Na+ and/or K+ ions are pumped into the hemolymph, and water follows.
The concentrated waste is then excreted.
Visit this site (http://openstaxcollege.org/l/malpighian) to see a dissected cockroach, including a close-up look at its
Malpighian tubules.
What are Malpighian tubules and which organism possesses them?
b. Malpighian tubules are the opening of the digestive sac in box jellyfish.
c. Malpighian tubules are organs that filter waste from hemolymph in cockroaches.
d. Malpighian tubules are tiny, bulb-shaped organs that open to an excretory pore in leeches.
Section Summary
Many systems have evolved for excreting wastes that are simpler than the kidney and urinary systems of vertebrate animals.
The simplest system is that of contractile vacuoles present in microorganisms. Flame cells and nephridia in worms perform
excretory functions and maintain osmotic balance. Some insects have evolved Malpighian tubules to excrete wastes and
maintain osmotic balance.
1544 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.9 The student is able to predict the effects of a change in the component(s) of a biological
Objective system on the functionality of an organism(s).
Essential 4.A.4 Organisms exhibit complex properties due to interactions between their constituent
Knowledge parts.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 4.10 The student is able to refine representations and models to illustrate biocomplexity due
Objective to interactions of the constituent parts.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1545
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Essential 4.B.2 Cooperative interactions within organisms promote efficiency in the use of energy and
Knowledge matter.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 4.18 The student is able to use representations and models to analyze how cooperation
Objective interactions within organisms promote efficiency in the use of energy and matter.
Although the kidneys are the major osmoregulatory organ, the skin and lungs also play a role in the process. Water and
electrolytes are lost through sweat glands in the skin, which helps moisturize and cool the skin surface, while the lungs
expel a small amount of water in the form of mucous secretions and via evaporation of water vapor.
Figure 32.8 Kidneys filter the blood, producing urine that is stored in the bladder prior to elimination through the
urethra. (credit: modification of work by NCI)
Kidney Structure
Externally, the kidneys are surrounded by three layers, illustrated in Figure 32.9. The outermost layer is a tough connective
tissue layer called the renal fascia. The second layer is called the perirenal fat capsule, which helps anchor the kidneys
in place. The third and innermost layer is the renal capsule. Internally, the kidney has three regions—an outer cortex, a
medulla in the middle, and the renal pelvis in the region called the hilum of the kidney. The hilum is the concave part of
the bean-shape where blood vessels and nerves enter and exit the kidney; it is also the point of exit for the ureters. The renal
cortex is granular due to the presence of nephrons—the functional unit of the kidney. The medulla consists of multiple
pyramidal tissue masses, called the renal pyramids. In between the pyramids are spaces called renal columns through
which the blood vessels pass. The tips of the pyramids, called renal papillae, point toward the renal pelvis. There are, on
1546 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
average, eight renal pyramids in each kidney. The renal pyramids along with the adjoining cortical region are called the
lobes of the kidney. The renal pelvis leads to the ureter on the outside of the kidney. On the inside of the kidney, the renal
pelvis branches out into two or three extensions called the major calyces, which further branch into the minor calyces. The
ureters are urine-bearing tubes that exit the kidney and empty into the urinary bladder.
Figure 32.9 The internal structure of the kidney is shown. (credit: modification of work by NCI)
A surgeon is performing surgery on the minor calyces of the kidney. What layers of the kidney would she have to cut
through, and in what order?
a. medulla and renal capsule
b. renal fascia, renal capsule, medulla, and cortex
c. renal fascia, renal capsule, cortex, and medulla
d. cortex and medulla
Because the kidney filters blood, its network of blood vessels is an important component of its structure and function.
The arteries, veins, and nerves that supply the kidney enter and exit at the renal hilum. Renal blood supply starts with the
branching of the aorta into the renal arteries (which are each named based on the region of the kidney they pass through)
and ends with the exiting of the renal veins to join the inferior vena cava. The renal arteries split into several segmental
arteries upon entering the kidneys. Each segmental artery splits further into several interlobar arteries and enters the renal
columns, which supply the renal lobes. The interlobar arteries split at the junction of the renal cortex and medulla to form
the arcuate arteries. The arcuate bow shaped arteries form arcs along the base of the medullary pyramids. Cortical radiate
arteries, as the name suggests, radiate out from the arcuate arteries. The cortical radiate arteries branch into numerous
afferent arterioles, and then enter the capillaries supplying the nephrons. Veins trace the path of the arteries and have similar
names, except there are no segmental veins.
As mentioned previously, the functional unit of the kidney is the nephron, illustrated in Figure 32.10. Each kidney is made
up of over one million nephrons that dot the renal cortex, giving it a granular appearance when sectioned sagittally. There are
two types of nephrons—cortical nephrons (85 percent), which are deep in the renal cortex, and juxtamedullary nephrons
(15 percent), which lie in the renal cortex close to the renal medulla. A nephron consists of three parts—a renal corpuscle,
a renal tubule, and the associated capillary network, which originates from the cortical radiate arteries.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1547
Figure 32.10 The nephron is the functional unit of the kidney. The glomerulus and convoluted tubules are located
in the kidney cortex, while collecting ducts are located in the pyramids of the medulla. (credit: modification of work
by NIDDK)
Renal Corpuscle
The renal corpuscle, located in the renal cortex, is made up of a network of capillaries known as the glomerulus and the
capsule, a cup-shaped chamber that surrounds it, called the glomerular or Bowman's capsule.
Renal Tubule
The renal tubule is a long and convoluted structure that emerges from the glomerulus and can be divided into three parts
based on function. The first part is called the proximal convoluted tubule (PCT) due to its proximity to the glomerulus;
it stays in the renal cortex. The second part is called the loop of Henle, or nephritic loop, because it forms a loop (with
descending and ascending limbs) that goes through the renal medulla. The third part of the renal tubule is called the distal
convoluted tubule (DCT) and this part is also restricted to the renal cortex. The DCT, which is the last part of the nephron,
connects and empties its contents into collecting ducts that line the medullary pyramids. The collecting ducts amass contents
from multiple nephrons and fuse together as they enter the papillae of the renal medulla.
Capillary Network within the Nephron
The capillary network that originates from the renal arteries supplies the nephron with blood that needs to be filtered. The
branch that enters the glomerulus is called the afferent arteriole. The branch that exits the glomerulus is called the efferent
arteriole. Within the glomerulus, the network of capillaries is called the glomerular capillary bed. Once the efferent arteriole
exits the glomerulus, it forms the peritubular capillary network, which surrounds and interacts with parts of the renal
tubule. In cortical nephrons, the peritubular capillary network surrounds the PCT and DCT. In juxtamedullary nephrons, the
peritubular capillary network forms a network around the loop of Henle and is called the vasa recta.
1548 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Go to this website (http://openstaxcollege.org/l/kidney_section) to see another coronal section of the kidney and to
explore an animation of the workings of nephrons.
Describe the structure of the kidneys.
a. Externally, the kidneys are surrounded by three layers. The outermost layer is the renal fascia, the second
layer is the perineal fat capsule, and the third layer is the renal capsule. Internally, the kidney has three layers:
an outer cortex, the middle medulla, and the inner renal pelvis.
b. Externally, the kidneys are surrounded by three layers. The outermost layer is the renal fascia, the second
layer is the perineal fat capsule, and the third layer is the renal capsule. Internally, the kidney has three layers:
an outer medulla, the middle cortex, and the inner renal pelvis.
c. Externally, the kidneys are surrounded by three layers. The outermost layer is the renal capsule, the second
layer is the perineal fat capsule, and the third layer is the renal fascia. Internally, the kidney has three layers:
an outer cortex, the middle medulla, and the inner renal pelvis.
d. Externally, the kidneys are surrounded by three layers. The outermost layer is the renal fascia, the second
layer is the perineal fat capsule, and the third layer is the renal capsule. Internally, the kidney has three layers:
an outer cortex, the middle hilum, and the inner renal pelvis.
Figure 32.11 Each part of the nephron performs a different function in filtering waste and maintaining homeostatic
balance. (1) The glomerulus forces small solutes out of the blood by pressure. (2) The proximal convoluted tubule
reabsorbs ions, water, and nutrients from the filtrate into the interstitial fluid, and actively transports toxins and drugs
from the interstitial fluid into the filtrate. The proximal convoluted tubule also adjusts blood pH by selectively secreting
ammonia (NH3) into the filtrate, where it reacts with H+ to form NH4+. The more acidic the filtrate, the more ammonia
is secreted. (3) The descending loop of Henle is lined with cells containing aquaporins that allow water to pass from
the filtrate into the interstitial fluid. (4) In the thin part of the ascending loop of Henle, Na+ and Cl– ions diffuse into the
interstitial fluid. In the thick part, these same ions are actively transported into the interstitial fluid. Because salt but
not water is lost, the filtrate becomes more dilute as it travels up the limb. (5) In the distal convoluted tubule, K+ and
H+ ions are selectively secreted into the filtrate, while Na+, Cl–, and HCO3– ions are reabsorbed to maintain pH and
electrolyte balance in the blood. (6) The collecting duct reabsorbs solutes and water from the filtrate, forming dilute
urine. (credit: modification of work by NIDDK)
Glomerular Filtration
Glomerular filtration filters out most of the solutes due to high blood pressure and specialized membranes in the afferent
arteriole. The blood pressure in the glomerulus is maintained independent of factors that affect systemic blood pressure. The
leaky connections between the endothelial cells of the glomerular capillary network allow solutes to pass through easily. All
solutes in the glomerular capillaries, except for macromolecules like proteins, pass through by passive diffusion. There is
no energy requirement at this stage of the filtration process. Glomerular filtration rate (GFR) is the volume of glomerular
filtrate formed per minute by the kidneys. GFR is regulated by multiple mechanisms and is an important indicator of kidney
function.
1550 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
To learn more about the vascular system of kidneys, click through this review (http://openstaxcollege.org/l/kidneys)
and the steps of blood flow.
Explain the three-step process by which the kidneys filter blood.
a. First, the nephrons filter blood that runs through the capillary network in the glomerulus, which filters out
almost all solutes, except for proteins, by glomerular filtration. Second, the filtrate is collected in the renal
tubules. Most of the solutes get reabsorbed in the proximal convoluted tubule by tubular secretion. Third,
additional solutes and wastes are secreted into the tubules of the kidney during tubular reabsorption.
b. First, the nephrons filter blood that runs through the capillary network in the glomerulus, which filters out
almost all solutes, except for proteins, by glomerular filtration. Second, the filtrate is collected in the renal
tubules. Most of the solutes get reabsorbed in the proximal convoluted tubule by tubular reabsorption. Third,
additional solutes and wastes are secreted into the tubules of the kidney during tubular secretion.
c. First, the nephrons filter blood that runs through the capillary network in the glomerulus, which filters out
almost all solutes, except for uric acid, by glomerular filtration. Second, the filtrate is collected in the renal
tubules. Most of the solutes get reabsorbed in the proximal convoluted tubule by tubular reabsorption. Third,
additional solutes and wastes are secreted into the tubules of the kidney during tubular secretion.
d. First, the nephrons filter blood that runs through the capillary network in the glomerulus, which filters out
almost all solutes, except for proteins, by glomerular filtration. Second, the filtrate is collected in the renal
tubules. Most of the solutes get reabsorbed in the distal convoluted tubule by tubular reabsorption. Third,
additional solutes and wastes are secreted into the tubules of the kidney during tubular secretion.
Figure 32.12 The loop of Henle acts as a countercurrent multiplier that uses energy to create concentration
gradients. The descending limb is water permeable. Water flows from the filtrate to the interstitial fluid, so
osmolality inside the limb increases as it descends into the renal medulla. At the bottom, the osmolality is higher
inside the loop than in the interstitial fluid. Thus, as filtrate enters the ascending limb, Na+ and Cl– ions exit through
ion channels present in the cell membrane. Further up, Na+ is actively transported out of the filtrate and Cl–
follows. Osmolarity is given in units of milliosmoles per liter (mOsm/L).
A drug has a side effect that increases the frequency of urination. What might cause this?
a. The drug is most likely an oliguric used to treat hypertension. The oliguric is probably working on the loop
of Henle and is inhibiting the reabsorption of Na+ and Cl- .
b. The drug is most likely a diuretic used to treat hypotension. The diuretic is probably working on the loop of
Henle and is inhibiting the reabsorption of Na+ and Cl-.
c. The drug is most likely an oliguric used to treat hypotension. The oliguric is probably working on the loop
of Henle and is inhibiting the reabsorption of Na+ and Cl-.
d. The drug is most likely a diuretic used to treat hypertension. The diuretic is probably working on the loop of
Henle and is inhibiting the reabsorption of Na+ and Cl-.
By the time the filtrate reaches the DCT, most of the urine and solutes have been reabsorbed. If the body requires additional
water, all of it can be reabsorbed at this point. Further reabsorption is controlled by hormones, which will be discussed in a
later section. Excretion of wastes occurs due to lack of reabsorption combined with tubular secretion. Undesirable products
like metabolic wastes, urea, uric acid, and certain drugs, are excreted by tubular secretion. Most of the tubular secretion
happens in the DCT, but some occurs in the early part of the collecting duct. Kidneys also maintain an acid-base balance by
secreting excess H+ ions.
Although parts of the renal tubules are named proximal and distal, in a cross-section of the kidney, the tubules are placed
close together and in contact with each other and the glomerulus. This allows for exchange of chemical messengers between
the different cell types. For example, the DCT ascending limb of the loop of Henle has masses of cells called macula densa,
which are in contact with cells of the afferent arterioles called juxtaglomerular cells. Together, the macula densa and
juxtaglomerular cells form the juxtaglomerular complex (JGC). The JGC is an endocrine structure that secretes the enzyme
renin and the hormone erythropoietin. When hormones trigger the macula densa cells in the DCT due to variations in blood
volume, blood pressure, or electrolyte balance, these cells can immediately communicate the problem to the capillaries in
1552 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
the afferent and efferent arterioles, which can constrict or relax to change the glomerular filtration rate of the kidneys.
Nephrologist
A nephrologist studies and deals with diseases of the kidneys—both those that cause kidney failure (such as
diabetes) and the conditions that are produced by kidney disease (such as hypertension). Blood pressure,
blood volume, and changes in electrolyte balance come under the purview of a nephrologist.
Nephrologists usually work with other physicians who refer patients to them or consult with them about
specific diagnoses and treatment plans. Patients are usually referred to a nephrologist for symptoms such
as blood or protein in the urine, very high blood pressure, kidney stones, or renal failure.
Nephrology is a subspecialty of internal medicine. To become a nephrologist, medical school is followed
by additional training to become certified in internal medicine. An additional two or more years is spent
specifically studying kidney disorders and their accompanying effects on the body.
Think About It
What special adaptations do organs of the excretory system have for the excretion of wastes? Loop diuretics are drugs
sometimes used to treat hypertension (high blood pressure).These drugs inhibit the reabsorption of Na+ and Cl– ions
by the ascending limb of the loop of Henle in the nephron. A side effect is that they increase urination. Why do you
think this is the case?
Section Summary
The kidneys are the main osmoregulatory organs in mammalian systems; they function to filter blood and maintain the
osmolarity of body fluids at 300 mOsm. They are surrounded by three layers and are made up internally of three distinct
regions—the cortex, medulla, and pelvis.
The blood vessels that transport blood into and out of the kidneys arise from and merge with the aorta and inferior vena cava,
respectively. The renal arteries branch out from the aorta and enter the kidney where they further divide into segmental,
interlobar, arcuate, and cortical radiate arteries.
The nephron is the functional unit of the kidney, which actively filters blood and generates urine. The nephron is made up
of the renal corpuscle and renal tubule. Cortical nephrons are found in the renal cortex, while juxtamedullary nephrons are
found in the renal cortex close to the renal medulla. The nephron filters and exchanges water and solutes with two sets of
blood vessels and the tissue fluid in the kidneys.
There are three steps in the formation of urine: glomerular filtration, which occurs in the glomerulus; tubular reabsorption,
which occurs in the renal tubules; and tubular secretion, which also occurs in the renal tubules.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.2 Homeostatic mechanisms reflect both common ancestry and divergence due to
Knowledge adaptation in different environments.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.25 The student can construct explanations based on scientific evidence that homeostatic
Learning
mechanisms reflect continuity due to common ancestry and/or divergence due to adaptation
Objective
in different environments.
Essential 2.D.2 Homeostatic mechanisms reflect both common ancestry and divergence due to
Knowledge adaptation in different environments.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
2.26 The student is able to analyze data to identify phylogenetic patterns or relationships
Learning
showing that homeostatic mechanisms reflect both continuity due to common ancestry and
Objective
change due to evolution in different environments.
Essential 2.D.2 Homeostatic mechanisms reflect both common ancestry and divergence due to
Knowledge adaptation in different environments.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 2.27 The student is able to connect differences in the environment with the evolution of
Objective homeostatic mechanisms.
excreted in urine. The overall chemical reaction by which ammonia is converted to urea is 2 NH3 (ammonia) + CO2 + 3
ATP + H2O → H2N-CO-NH2 (urea) + 2 ADP + 4 Pi + AMP.
The urea cycle utilizes five intermediate steps, catalyzed by five different enzymes, to convert ammonia to urea, as shown
in Figure 32.13. The amino acid L-ornithine gets converted into different intermediates before being regenerated at the end
of the urea cycle. Hence, the urea cycle is also referred to as the ornithine cycle. The enzyme ornithine transcarbamylase
catalyzes a key step in the urea cycle and its deficiency can lead to accumulation of toxic levels of ammonia in the body.
The first two reactions occur in the mitochondria and the last three reactions occur in the cytosol. Urea concentration in the
blood, called blood urea nitrogen or BUN, is used as an indicator of kidney function.
Figure 32.14 Nitrogenous waste is excreted in different forms by different species. These include (a) ammonia, (b)
urea, and (c) uric acid. (credit a: modification of work by Eric Engbretson, USFWS; credit b: modification of work by B.
"Moose" Peterson, USFWS; credit c: modification of work by Dave Menke, USFWS)
1556 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Gout
Mammals use uric acid crystals as an antioxidant in their cells. However, too much uric acid tends to form
kidney stones and may also cause a painful condition called gout, where uric acid crystals accumulate in the
joints, as illustrated in Figure 32.15. Food choices that reduce the amount of nitrogenous bases in the diet
help reduce the risk of gout. For example, tea, coffee, and chocolate have purine-like compounds, called
xanthines, and should be avoided by people with gout and kidney stones.
Figure 32.15 Gout causes the inflammation visible in this person’s left big toe joint. (credit: "Gonzosft"/Wikimedia
Commons)
Think About It
In terms of evolution, why is the urea cycle advantageous in terrestrial organisms? Why is it reasonable to conclude
that the uric acid cycle of reptiles was an adaptation to arid environments?
Section Summary
Ammonia is the waste produced by metabolism of nitrogen-containing compounds like proteins and nucleic acids. While
aquatic animals can easily excrete ammonia into their watery surroundings, terrestrial animals have evolved special
mechanisms to eliminate the toxic ammonia from their systems. Urea is the major byproduct of ammonia metabolism in
vertebrate animals. Uric acid is the major byproduct of ammonia metabolism in birds, terrestrial arthropods, and reptiles.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1557
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting and receiving chemical signals.
3.D
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.34 The student is able to construct explanations of cell communication through cell-to-cell
Objective direct contact or through chemical signaling.
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.35 The student is able to create representation(s) that depict how cell-to-cell
Objective communication occurs by direct contact or from a distance through chemical signaling.
1558 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Table 32.1
Renin-Angiotensin-Aldosterone
The renin-angiotensin-aldosterone system, illustrated in Figure 32.16 proceeds through several steps to produce
angiotensin II, which acts to stabilize blood pressure and volume. Renin, secreted by a part of the juxtaglomerular complex,
is produced by the granular cells of the afferent and efferent arterioles. Thus, the kidneys control blood pressure and volume
directly. Renin acts on angiotensinogen, which is made in the liver and converts it to angiotensin I. Angiotensin converting
enzyme (ACE) converts angiotensin I to angiotensin II. Angiotensin II raises blood pressure by constricting blood vessels.
It also triggers the release of the mineralocorticoid aldosterone from the adrenal cortex, which in turn stimulates the renal
tubules to reabsorb more sodium. Angiotensin II also triggers the release of anti-diuretic hormone (ADH) from the
hypothalamus, leading to water retention in the kidneys. It acts directly on the nephrons and decreases glomerular filtration
rate. Medically, blood pressure can be controlled by drugs that inhibit ACE (called ACE inhibitors).
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Figure 32.16 The renin-angiotensin-aldosterone system increases blood pressure and volume. The hormone ANP has
antagonistic effects. (credit: modification of work by Mikael Häggström)
Mineralocorticoids
Mineralocorticoids are hormones synthesized by the adrenal cortex that affect osmotic balance. Aldosterone is a
mineralocorticoid that regulates sodium levels in the blood. Almost all of the sodium in the blood is reclaimed by the renal
tubules under the influence of aldosterone. Because sodium is always reabsorbed by active transport and water follows
sodium to maintain osmotic balance, aldosterone manages not only sodium levels but also the water levels in body fluids.
In contrast, the aldosterone also stimulates potassium secretion concurrently with sodium reabsorption. In contrast, absence
of aldosterone means that no sodium gets reabsorbed in the renal tubules and all of it gets excreted in the urine. In addition,
the daily dietary potassium load is not secreted and the retention of K+ can cause a dangerous increase in plasma K+
concentration. Patients who have Addison's disease have a failing adrenal cortex and cannot produce aldosterone. They lose
sodium in their urine constantly, and if the supply is not replenished, the consequences can be fatal.
Antidiurectic Hormone
As previously discussed, antidiuretic hormone or ADH (also called vasopressin), as the name suggests, helps the body
conserve water when body fluid volume, especially that of blood, is low. It is formed by the hypothalamus and is stored
and released from the posterior pituitary. It acts by inserting aquaporins in the collecting ducts and promotes reabsorption
of water. ADH also acts as a vasoconstrictor and increases blood pressure during hemorrhaging.
Think About It
Create a diagram to show an example of a hormone and how the hormone works in regulating an osmoregulatory
process such as maintaining blood pressure and blood volume and altering kidney function to reduce the amount of
water eliminated in urine.
1560 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Section Summary
Hormonal cues help the kidneys synchronize the osmotic needs of the body. Hormones like epinephrine, norepinephrine,
renin-angiotensin, aldosterone, anti-diuretic hormone, and atrial natriuretic peptide help regulate the needs of the body as
well as the communication between the different organ systems.
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KEY TERMS
afferent arteriole arteriole that branches from the cortical radiate artery and enters the glomerulus
ammonia compound made of one nitrogen atom and three hydrogen atoms
ammonotelic describes an animal that excretes ammonia as the primary waste material
arcuate artery artery that branches from the interlobar artery and arches over the base of the renal pyramids
ascending limb part of the loop of Henle that ascends from the renal medulla to the renal cortex
blood urea nitrogen (BUN) estimate of urea in the blood and an indicator of kidney function
calyx structure that connects the renal pelvis to the renal medulla
cortex (animal) outer layer of an organ like the kidney or adrenal gland
cortical radiate artery artery that radiates from the arcuate arteries into the renal cortex
countercurrent exchanger peritubular capillary network that allows exchange of solutes and water from the renal
tubules
countercurrent multiplier osmotic gradient in the renal medulla that is responsible for concentration of urine
descending limb part of the loop of Henle that descends from the renal cortex into the renal medulla
distal convoluted tubule (DCT) part of the renal tubule that is the most distant from the glomerulus
electrolyte solute that breaks down into ions when dissolved in water
glomerular filtration filtration of blood in the glomerular capillary network into the glomerulus
glomerular filtration rate (GFR) amount of filtrate formed by the glomerulus per minute
glomerulus (renal) part of the renal corpuscle that contains the capillary network
hilum region in the renal pelvis where blood vessels, nerves, and ureters bunch before entering or exiting the kidney
inferior vena cava one of the main veins in the human body
interlobar artery artery that branches from the segmental artery and travels in between the renal lobes
juxtaglomerular cell cell in the afferent and efferent arterioles that responds to stimuli from the macula densa
juxtamedullary nephron nephron that lies in the cortex but close to the renal medulla
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lobes of the kidney renal pyramid along with the adjoining cortical region
loop of Henle part of the renal tubule that loops into the renal medulla
macula densa group of cells that senses changes in sodium ion concentration; present in parts of the renal tubule and
collecting ducts
non-electrolyte solute that does not break down into ions when dissolved in water
osmoregulation mechanism by which water and solute concentrations are maintained at desired levels
osmotic balance balance of the amount of water and salt input and output to and from a biological system without
disturbing the desired osmotic pressure and solute concentration in every compartment
osmotic pressure pressure exerted on a membrane to equalize solute concentration on either side
peritubular capillary network capillary network that surrounds the renal tubule after the efferent artery exits the
glomerulus
proximal convoluted tubule (PCT) part of the renal tubule that lies close to the glomerulus
renal column area of the kidney through which the interlobar arteries travel in the process of supplying blood to the renal
lobes
renal pelvis region in the kidney where the calyces join the ureters
renal tubule tubule of the nephron that arises from the glomerulus
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renal vein branch of a vein that exits the kidney and joins the inferior vena cava
renin-angiotensin-aldosterone biochemical pathway that activates angiotensin II, which increases blood pressure
semi-permeable membrane membrane that allows only certain solutes to pass through
transport maximum maximum amount of solute that can be transported out of the renal tubules during reabsorption
tubular reabsorption reclamation of water and solutes that got filtered out in the glomerulus
ureotelic describes animals that secrete urea as the primary nitrogenous waste material
ureter urine-bearing tube coming out of the kidney; carries urine to the bladder
urinary bladder structure that the ureters empty the urine into; stores urine
urine filtrate produced by kidneys that gets excreted out of the body
vasa recta peritubular network that surrounds the loop of Henle of the juxtamedullary nephrons
CHAPTER SUMMARY
32.1 Osmoregulation and Osmotic Balance
Solute concentrations across a semi-permeable membranes influence the movement of water and solutes across the
membrane. It is the number of solute molecules and not the molecular size that is important in osmosis. Osmoregulation
and osmotic balance are important bodily functions, resulting in water and salt balance. Not all solutes can pass through a
semi-permeable membrane. Osmosis is the movement of water across the membrane. Osmosis occurs to equalize the
number of solute molecules across a semi-permeable membrane by the movement of water to the side of higher solute
concentration. Facilitated diffusion utilizes protein channels to move solute molecules from areas of higher to lower
concentration while active transport mechanisms are required to move solutes against concentration gradients. Osmolarity
is measured in units of milliequivalents or milliosmoles, both of which take into consideration the number of solute
particles and the charge on them. Fish that live in fresh water or saltwater adapt by being osmoregulators or
osmoconformers.
Many systems have evolved for excreting wastes that are simpler than the kidney and urinary systems of vertebrate
animals. The simplest system is that of contractile vacuoles present in microorganisms. Flame cells and nephridia in
worms perform excretory functions and maintain osmotic balance. Some insects have evolved Malpighian tubules to
excrete wastes and maintain osmotic balance.
The kidneys are the main osmoregulatory organs in mammalian systems; they function to filter blood and maintain the
osmolarity of body fluids at 300 mOsm. They are surrounded by three layers and are made up internally of three distinct
regions—the cortex, medulla, and pelvis.
The blood vessels that transport blood into and out of the kidneys arise from and merge with the aorta and inferior vena
cava, respectively. The renal arteries branch out from the aorta and enter the kidney where they further divide into
segmental, interlobar, arcuate, and cortical radiate arteries.
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The nephron is the functional unit of the kidney, which actively filters blood and generates urine. The nephron is made up
of the renal corpuscle and renal tubule. Cortical nephrons are found in the renal cortex, while juxtamedullary nephrons are
found in the renal cortex close to the renal medulla. The nephron filters and exchanges water and solutes with two sets of
blood vessels and the tissue fluid in the kidneys.
There are three steps in the formation of urine: glomerular filtration, which occurs in the glomerulus; tubular reabsorption,
which occurs in the renal tubules; and tubular secretion, which also occurs in the renal tubules.
Ammonia is the waste produced by metabolism of nitrogen-containing compounds like proteins and nucleic acids. While
aquatic animals can easily excrete ammonia into their watery surroundings, terrestrial animals have evolved special
mechanisms to eliminate the toxic ammonia from their systems. Urea is the major byproduct of ammonia metabolism in
vertebrate animals. Uric acid is the major byproduct of ammonia metabolism in birds, terrestrial arthropods, and reptiles.
Hormonal cues help the kidneys synchronize the osmotic needs of the body. Hormones like epinephrine, norepinephrine,
renin-angiotensin, aldosterone, anti-diuretic hormone, and atrial natriuretic peptide help regulate the needs of the body as
well as the communication between the different organ systems.
REVIEW QUESTIONS
1. Why is the sodium ion at the highest concentration in extracellular fluid?
a. Sodium diffuses freely through the cell membrane.
b. The sodium/potassium pump removes sodium ions from the cell.
c. The blood contains a high concentration of sodium.
d. Sodium is actively taken up by the cells for use in the cytoplasm.
2. What is given to a dehydrated human patient when he or she needs to be given fluids intravenously?
a. Water, which is hypotonic with respect to body fluids.
b. Saline at a concentration that is isotonic with respect to body fluids.
c. Glucose because it is a non-electrolyte.
d. blood
3. What is the approximate osmolarity of body fluids?
a. 100 mOsm
b. 300 mOsm
c. 1000 mOsm
d. It is not constantly maintained.
4. One milliequivalent of a ferric (III) ion (Fe+3) is equal to how many millimoles?
a. 0.13
b. 0.75
c. 0.5
d. 0.25
5. What is the difference between an osmoregulator and an osmoconformer?
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a. Osmoregulators can change the osmotic pressure of their body fluids, while osmoconformers cannot.
b. Osmoconformers can change the osmotic pressure of their body fluids, while osmoregulators cannot.
c. Osmoregulators match the osmotic pressure of their cells with that of the environment, while osmoconformers
do not.
d. Osmoconformers match the osmotic pressure of their cells with that of the environment, while osmoregulators
do not.
6. Why does a salmon have to be an osmoregulator?
a. They need to remove excess salt from ocean water.
b. They move between areas of fresh and salt water.
c. They travel for short stretches across the land between streams.
d. Freshwater is osmotically neutral compared with their body fluids.
7. Which statement about contractile vacuoles in microorganisms is true?
a. They exclusively perform an excretory function.
b. They contain digestive enzymes.
c. They originate from the cell membrane.
d. They are only used for fluid storage.
8. Some unicellular organisms, such as the amoeba, ingest food by endocytosis. The food vesicle fuses with a lysosome,
which digests the food. Waste is excreted by which process?
a. exocytosis
b. filtration
c. osmoregulation
d. dilatation
9. What does active transport of K+ in the Malpighian tubules ensure?
a. Water leaves the Malpighian tubules.
b. Water moves into the Malpighian tubules.
c. K+ moves into the Malpighian tubules.
d. K+ leaves the Malpighian tubules.
10. Flame cells are primitive excretory organs found in which organisms?
a. arthropods
b. annelids
c. mammals
d. flatworms
11. A cell has a malfunction in its contractile vacuoles. How would this affect the cell?
a. The cell’s nephrons would no longer be able to reabsorb water.
b. The cell’s cytoplasm would become very concentrated.
c. The cell could no longer excrete waste products.
d. The cell would uncontrollably take on water until it burst.
12. What tends to happen to cells in a hypotonic environment?
a. They remain the same size.
b. They shrink due to water loss.
c. They allow water to flow in and out at the same rate.
d. They swell due to water gain.
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a. Blood enters and exits the kidney at the renal hilum, and the renal blood supply starts with the branching of the
aorta into the renal arteries. They end with the exiting of the renal veins to join the superior vena cava. Each
segmental renal artery formed by the splitting of the renal arteries splits again into interlobar arteries and enters
the renal columns. These again split to form arcuate arteries, from which cortical radiate arteries radiate out and
branch into many afferent arterioles that enter the capillaries supplying the nephrons. Veins trace the path of
arteries and have similar names, except there are no segmental veins.
b. Blood enters and exits the kidney at the renal hilum, and the renal blood supply starts with the branching of the
aorta into the renal arteries. They end with the exiting of the renal veins to join the inferior vena cava. Each
segmental renal artery formed by the splitting of the renal arteries splits again into interlobar arteries and enters
the renal columns. These again split to form arcuate arteries, from which cortical radiate arteries radiate out and
branch into many afferent arterioles that enter the capillaries supplying the nephrons. Veins trace the path of
arteries and have similar names, except there are no segmental veins.
c. Blood enters and exits the kidney at the renal hilum, and the renal blood supply starts with the branching of the
aorta into the renal arteries. They end with the exiting of the renal veins to join the inferior vena cava. Each
segmental renal artery formed by the splitting of the renal arteries splits again into interlobar arteries and enters
the renal columns. These again split to form cortical radiate arteries that radiate out and branch into many
afferent arterioles that enter the capillaries supplying the nephrons. Veins trace the path of arteries and have
similar names, except there are no segmental veins.
d. Blood enters and exits the kidney at the renal hilum, and the renal blood supply starts with the branching of the
aorta into the renal arteries. They end with the exiting of the renal veins to join the inferior vena cava. Each
segmental renal artery formed by the splitting of the renal arteries splits again into interlobar arteries and enters
the renal columns. These again split to form arcuate arteries, from which cortical radiate arteries radiate out and
branch into many afferent arterioles that enter the capillaries supplying the nephrons. Veins trace the path of
arteries and have all the same names as the arteries following the same path.
20. Which toxic substance is formed by nitrogenous waste?
a. chlorine
b. potassium
c. ammonia
d. sodium
21. What substance is secreted by most aquatic animals, and why?
a. ammonia, because it can be easily diluted in an aquatic environment
b. uric acid, because aquatic animals must preserve water
c. urea, because ammonia needs to be converted before it can safely be stored in the body.
d. chlorine, because it can easily be converted to a gas
22. Which water-insoluble compound is similar to purines found in nucleic acids and tends to form a white paste or
powder?
a. urea
b. guanine
c. ammonia
d. uric acid
23. The urea cycle is also referred to as the _____ cycle.
a. krebs
b. ornithine
c. citric acid
d. uric acid
24. Renin is produced in the kidney nephrons and performs what function?
1568 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
a. increases vasoconstriction
b. prevents loss of sodium
c. increases blood pressure
d. prevents water loss
25. Which hormone elicits the fight or flight response, and under which circumstance is it released?
a. anti-diuretic hormone, presence of alcohol in the blood
b. atrial natriuretic peptide, high blood pressure
c. aldosterone, low water content in the blood
d. epinephrine, extreme stress
26. What are the cause and treatment of Addison’s disease?
a. an excess of uric acid in the blood, uric acid-dissolving drugs
b. an inability to produce adh, drink excess water
c. an excess of K+ secretion into the urine, take in excess potassium
d. an inability to produce aldosterone, take in excess sodium
27. How does atrial natriuretic peptide hormone act to lower blood pressure?
a. vasoconstrictor
b. vasodilator
c. inhibitor
d. vasopressin
28. Which cells or organs secrete renin?
a. granular cells of the juxtaglomerular apparatus
b. the liver
c. the nephrons
d. water-reabsorbing cells of the collecting duct
a. osmoconformer, because it would need to prevent water from leaving its body to remain alive
b. osmoregulator, because it would need to prevent solutes from leaving its body to remain alive
c. osmoconformer, because it would need to prevent solutes from leaving its body to remain alive
d. osmoregulator, because it would need to prevent water from leaving its body to remain alive.
32. Why might specialized organs have evolved for excretion of wastes?
a. Specialized organs have evolved to provide a measure of safety for organisms.
b. Specialized organs have evolved to distinguish different types of organisms.
c. Specialized organs have evolved for excretion of wastes to conserve metabolic energy.
d. Specialized organs have evolved for excretion of wastes so that organisms can survive in adverse conditions.
33. Explain two different excretory systems other than the kidneys.
a. (1) An excretory mechanism occurs in annelids through the Malpighian tubules. Metabolic wastes like uric acid
freely diffuse into the tubules. Uric acid is excreted as a thick paste or powder. (2) An excretory mechanism
occurs in the flatworm, which contains two tubules with cells called flame cells. They have cilia that propel
waste matter down the tubules and out of the body.
b. (1) An excretory mechanism occurs in arthropods through a pore called the nephridiopore. These organisms
have a system for tubular reabsorption. (2) An excretory mechanism occurs in annelids through the Malpighian
tubules. Metabolic wastes like uric acid freely diffuse into the tubules. Uric acid is excreted as a thick paste or
powder.
c. (1) An excretory mechanism is endocytosis, which occurs when vacuoles merge with the cell membrane and
excrete cellular wastes in the environment. (2) An excretory mechanism occurs in annelids through a pore called
the nephridiopore. These organisms have a system for tubular reabsorption.
d. (1) An excretory mechanism is exocytosis, which occurs when vacuoles merge with the cell membrane and
excrete cellular wastes in the environment. (2) An excretory mechanism occurs in flatworms which consists of
two tubules containing cells called flame cells. They have a cluster of cilia that propel waste matter down the
tubules and out of the body.
34. How do contractile vacuoles work as excretory systems in microorganisms?
a. Contractile vacuoles excrete excess water and waste by the process of endocytosis, in which these vacuoles
merge with the cell membrane and expel wastes into the environment.
b. Contractile vacuoles excrete uric acid by the process of exocytosis, in which water as well as uric acid is
excreted by contraction of a cell when the vacuole merges with the cell membrane.
c. Contractile vacuoles excrete excess water and uric acid by the process of endocytosis when the vacuole merges
with the cell membrane.
d. Contractile vacuoles excrete excess water and waste by the process of exocytosis, in which the vacuoles merge
with the cell membrane and expel wastes into the environment.
35. Which statement best describes the structure of a nephron?
a. The nephron has three major components: the glomerulus, the renal tubule, and the associated capillary network
originating from the cortical radiate arteries. ?
b. The nephron has three major components: the renal corpuscle, Bowman's capsule, and the associated capillary
network originating from the cortical radiate arteries. ?
c. The nephron has three major components: the renal corpuscle, the renal tubule, and the associated capillary
network originating from the segmental renal artery.
d. The nephron has three major components: the renal corpuscle, the renal tubule, and the associated capillary
network originating from the cortical radiate arteries.
36. How does the loop of Henle act as a countercurrent multiplier?
1570 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
a. The descending limb of the loop of Henle is water permeable, so the water flows from the filtrate to the
interstitial fluid. Osmolality in the limb decreases, and it is lower inside the loop than in the interstitial fluid. As
the filtrate enters the ascending limb, Na+ and Cl- ions exit through ion channels present in the cell membrane.
Further up, only sodium is passively transported out of the filtrate.
b. The descending limb of the loop of Henle is water impermeable, so the water flows from the filtrate to the
interstitial fluid. Osmolality in the limb increases, and it is higher inside the loop than in the interstitial fluid. As
the filtrate enters the ascending limb, Na+ and Cl- ions exit through ion channels present in the cell membrane.
Further up, only sodium is passively transported out of the filtrate.
c. The descending limb of the loop of Henle is water impermeable, so the water flows from the filtrate to the
interstitial fluid. Osmolality in the limb increases, and it is higher inside the loop than in the interstitial fluid. As
the filtrate enters the ascending limb, Na+ and Cl- ions exit through ion channels present in the cell membrane.
Further up, sodium is actively transported out of the filtrate, and chlorine ions follow.
d. The descending limb of the loop of Henle is water permeable, so the water flows from the filtrate to the
interstitial fluid. Osmolality in the limb increases, and it is higher inside the loop than in the interstitial fluid. As
the filtrate enters the ascending limb, Na+ and Cl- ions exit through ion channels present in the cell membrane.
Further up, sodium is actively transported out of the filtrate, and chlorine ions follow.
37. Describe the urea cycle.
a. The urea cycle is the mechanism of conversion of urea to ammonia involving five intermediate steps catalyzed
by five different enzymes. Of the five steps, the first two occur in the mitochondria and the last three in the
cytosol.
b. The urea cycle is the mechanism of conversion of ammonia to urea involving five intermediate steps catalyzed
by five different enzymes. Of the five steps, the first two occur in the mitochondria and the last three in the
cytosol.
c. The urea cycle is the mechanism of conversion of ammonia to urea involving five intermediate steps catalyzed
by five different enzymes. Of the five steps, the first two occur in the cytosol and the last three in the
mitochondria.
d. The urea cycle is the mechanism of conversion of ammonia to urea involving five intermediate steps all
catalyzed by one enzyme. Of the five steps, the first two occur in the mitochondria and the last three in the
cytosol.
38. How are the formation of urea and uric acid similar and different?
a. In birds, reptiles, and insects, the urea cycle converts ammonia to urea. In mammals, the uric acid cycle converts
ammonia to uric acid. Formation of urea from ammonia requires less energy and is less complex than uric acid
formation.
b. In mammals, the urea cycle converts ammonia to urea. In birds, reptiles, and insects, the uric acid cycle converts
ammonia to uric acid. Formation of urea from ammonia requires more energy and is less complex than uric acid
formation.
c. In mammals, the urea cycle converts ammonia to urea. In birds, reptiles, and insects, the uric acid cycle converts
ammonia to uric acid. Formation of urea from ammonia requires less energy and is more complex than uric acid
formation.
d. In mammals, the urea cycle converts ammonia to urea. In birds, reptiles, and insects, the uric acid cycle converts
ammonia to uric acid. Formation of urea from ammonia requires less energy and is less complex than uric acid
formation.
39. In terms of evolution, why might the urea cycle have evolved in organisms?
a. so organisms could adapt to the changing environment when terrestrial life forms evolved
b. so organisms could evolve the ability to switch between direct ammonia excretion and urea
c. so organisms could reduce their excretion of ammonia in the form of urea
d. so organisms could adapt to the changing environment and excrete higher concentrations of uric acid
40. How do hormones regulate blood pressure, blood volume, and kidney function?
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a. Different regions of the liver have specialized cells that respond to chemical messengers and hormones like
epinephrine, renin, aldosterone, ADH, and ANP. These regulate the needs of the body and communication
between different organ systems.
b. Different regions of the nephrons have specialized cells that respond to chemical messengers and hormones like
epinephrine, renin, aldosterone, ADH, and ANP. These regulate the rate of respiration and communication
between the different organ systems.
c. Different regions of the kidneys have specialized cells that respond to chemical messengers and hormones like
epinephrine, renin, aldosterone, ADH, and ANP. These regulate the rate of respiration and communication
between the different organ systems.
d. Different regions of the nephrons have specialized cells that respond to chemical messengers and hormones like
epinephrine, renin, aldosterone, ADH, and ANP. These regulate the needs of the body and communication
between the different organ systems.
41. How does the renin-angiotensin-aldosterone mechanism function?
a. Renin, which is secreted by part of the juxtaglomerular complex, acts on angiotensin to form angiotensin I,
which is then converted to angiotensin II by ACE. Angiotensin II then stimulates the release of aldosterone and
ADH. Angiotensin II acts to destabilize blood pressure and volume.
b. Renin, which is secreted by part of the juxtaglomerular complex, acts on angiotensin to form angiotensin II,
which is then converted to angiotensin I by ACE. Angiotensin II then stimulates the release of aldosterone and
ADH. Angiotensin II acts to stabilize blood pressure and volume.
c. Renin, which is secreted by part of the juxtaglomerular complex, acts on angiotensin to form angiotensin I,
which is then converted to angiotensin II and ADH by ACE. ADH then stimulates the release of aldosterone.
Angiotensin II acts to stabilize blood pressure and volume.
d. Renin, which is secreted by part of the juxtaglomerular complex, acts on angiotensin to form angiotensin I,
which is then converted to angiotensin II by ACE. Angiotensin II then stimulates the release of aldosterone and
ADH. Angiotensin II acts to stabilize blood pressure and volume.
42. What is the fight or flight response, and what is its effect on the excretory system?
a. Aldosterone is the fight or flight that is released by the adrenal medulla under extreme stress. This hormone
constricts the smooth muscles of the blood vessels. It constricts the afferent arterioles, causing the flow of blood
into the nephrons to stop.
b. Epinephrine and norepinephrine are the fight or flight hormones that are released by the adrenal medulla and the
nervous system, respectively, under extreme stress. These hormones constrict the smooth muscles of the blood
vessels. They constrict the afferent arterioles, causing the flow of blood into the nephrons to stop.
c. ADH is the fight or flight hormone that is released by the adrenal medulla under extreme stress. This hormone
constricts the smooth muscles of the blood vessels. It constricts the efferent arterioles, causing the flow of blood
into the nephrons to stop.
d. Epinephrine and norepinephrine are the fight or flight hormones that are released by the adrenal medulla and the
nervous system, respectively, under extreme stress. These hormones constrict the smooth muscles of the blood
vessels. They constrict the efferent arterioles, causing the flow of blood into the nephrons to stop.
Figure 32.17
How does the concentration of solutes likely differ between the upper component of the dialyzer and the lower
compartment, containing the fresh dialysate, for the dialysis to successfully remove wastes from the blood?
a. In the upper component, the dialysate has a higher solute concentration than the blood, which allows the urea to
diffuse to the lower dialysate down its concentration gradient.
b. In the upper component, the dialysate has a lower solute concentration than the blood, which allows the urea to
be separated via active transport down the concentration gradient.
c. In the upper component, the dialysate has a higher solute concentration than the blood, which allows the urea to
utilize facilitated diffusion in order to diffuse to the lower dialysate.
d. In the upper component, the dialysate has a lower solute concentration than the blood, which allows the urea to
diffuse to the lower dialysate down its concentration gradient.
44. The diagram below shows red blood cells in two different NaCl solutions. What is likely causing the cells to differ in
shape in the two solutions?
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Figure 32.18
What is likely causing the cells to differ in shape in the two solutions?
a. Solution A has high osmolarity. Solution B has low osmolarity.
b. Solution A has low osmolarity. Solution B high osmolarity.
c. The cells in solution A are osmoregulators. The cells in solution B are osmoconformers.
d. The cells in solution A are osmoconformers. The cells in solution B are osmoregulators.
45. This diagram models the osmotic pressures experienced by a fish.
1574 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
Figure 32.19
Based on the direction of water and solute movements shown in the diagram, is this fish likely a saltwater or freshwater
fish? How do you know?
a. freshwater, because the fish is osmoregulating in response to a hypertonic solution
b. freshwater, because the fish is osmoregulating in response to a hypotonic solution
c. saltwater, because the fish is osmoregulating in response to a hypertonic solution
d. saltwater, because the fish is osmoregulating in response to a hypotonic solution
46. The diagram models the osmotic pressures experienced by a fish.
Figure 32.20
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Why would this fish most likely drink little water but excrete dilute urine? Explain your answer in terms of the osmolarity
of the water it lives in.
a. The high osmolarity of the water would cause accumulation of too many salts in the body of the fish.
b. The water it lives in has very low osmolarity, which causes water to constantly diffuse into the fish’s body.
c. The water it lives in has very high osmolarity, which causes water to constantly diffuse out of the fish’s body.
d. The water it lives in has very high osmolarity, which causes water to constantly diffuse into the fish’s body.
47. Patients with kidney illnesses use dialysis machines to remove harmful urea from their blood. The blood is separated
from a solution, called the dialysate, that which is designed to remove wastes by diffusion through a semipermeable
membrane, as shown in the diagram.
Figure 32.21
a. red blood cells, urea
b. dialysate, blood plasma
c. blood plasma, urea
d. urea, red blood cells
48. Planaria are flatworms that live in fresh water. Their excretory system, or protonephridia, consists of two tubules
connected to a highly branched tube system. The intake end of the tubes contain cilia that propel waste matter down the
tubules and out of the body through excretory pores that open on the body surface. Cilia also draw water from the
interstitial fluid, allowing for filtration. Any valuable metabolites are recovered by reabsorption. What structure in the
1576 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
human kidneys most closely resembles the cilia of the protonephridia, and why?
a. The renal artery, because it facilitates the exchange of nutrients with the blood.
b. The convoluted tubule, because it facilitates the exchange of nutrients with the blood.
c. The glomerulus, because it facilitates filtering of the blood.
d. The ureter, because it facilitates filtering of the blood.
49. The diagram models the countercurrent exchange mechanism within the loop of Henle. The numbers within the loop
show the osmolarity of the filtrate, while the numbers between the two loops indicate the osmolarity of the interstitial fluid
within the kidney tissue.
Figure 32.22
What would likely occur to the osmolarity of the filtrate in the lower ascending limb in the short term if the active
transport of NaCl stopped?
a. Filtrate osmolarity would increase, then decrease.
b. Filtrate osmolarity would stay the same.
c. Filtrate osmolarity would decrease.
d. Filtrate osmolarity would increase.
50. The diagram models the countercurrent exchange mechanism within the loop of Henle. The numbers within the loop
show the osmolarity of the filtrate, while the numbers between the two loops indicate the osmolarity of the interstitial fluid
within the kidney tissue.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1577
Figure 32.23
a. Osmolarity of the interstitial fluid would increase.
b. Osmolarity of the interstitial fluid would decrease.
c. There would be no change in the osmolarity.
d. Osmolarity would increase or decrease depending upon the amount of water.
51. The diagram shows a cross-section of a kidney.
1578 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
What would likely occur if there was a blood clot in the renal artery?
a. Filtration in the glomerulus would decrease.
b. Fluid levels in the renal pelvis would increase.
c. Blood would not drain into the convoluted tubule.
d. Urea production would increase.
52. The diagram shows the left kidney.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1579
Why do the capillaries carrying blood from the renal artery run over the top of the renal pyramids?
a. The capillaries deliver blood to the glomerulus and run parallel to the proximal convoluted tubule. Both are
located in the medulla.
b. The capillaries deliver blood to the glomerulus and run perpendicular to the proximal convoluted tubule. Both
are located in the cortex.
c. The capillaries deliver blood to the glomerulus and run perpendicular to the distal convoluted tubule. Both are
located in the cortex.
d. The capillaries deliver blood to the glomerulus and run parallel to the distal convoluted tubule. Both are located
in the cortex.
53. The figure shows the components of a nephron located within the kidneys.
1580 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
What would likely occur in the collecting duct if there was increased blood flow to the glomerulus?
a. More water would enter the collecting duct.
b. More urea would enter the collecting duct.
c. Less NaCl would leave the collecting duct.
d. Less urea would leave the collecting duct.
54. The figure shows the components of a nephron located within the kidneys.
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1581
Alcohol impairs the pituitary gland, which controls how much water is reabsorbed by the nephrons. The hormone
produced by the pituitary gland, anti-diuretic hormone, increases water reabsorption by the kidney. How would
impairment of this hormone likely affect the various components of the nephron pictured?
a. Absorption of water from the filtrate would decrease, indicated by decreased loss of water in the descending
loop of Henle, increased solute secretion into the distal tubule, and decreased water absorbtion in the collecting
duct.
b. Absorption of water from the filtrate would decrease, indicated by decreased loss of water in the ascending loop
of Henle, increased solute secretion into the distal tubule, and increased water absorption in the collecting duct.
c. Absorption of water from the filtrate would decrease, indicated by decreased loss of water in the ascending loop
of Henle, increased solute secretion into the distal tubule, and decreased water absorbtion in the collecting duct.
d. Absorption of water from the filtrate would decrease, indicated by decreased loss of water in the descending
loop of Henle, increased solute secretion into the distal tubule, and increased water absorption in the collecting
duct.
55. The diagram models the countercurrent exchange mechanism within the loop of Henle. The numbers within the loop
show the osmolarity of the filtrate, while the numbers between the two loops indicate the osmolarity of the interstitial fluid
within the kidney tissue.
1582 Chapter 32 | Osmotic Regulation and Excretion* (*optional)
What would likely happen to the osmolarity of the filtrate in the ascending limb if the body released urea into the
interstitial fluid?
a. The osmolarity would decrease, allowing the interstitial fluid to reabsorb solutes.
b. The osmolarity would decrease, allowing the interstitial fluid to reabsorb water.
c. The osmolarity would increase, allowing the interstitial fluid to reabsorb solutes.
d. The osmolarity would increase, allowing the interstitial fluid to reabsorb water.
56. Planaria are flatworms that live in fresh water. Their excretory system, or protonephridia, consists of two tubules
connected to a highly branched tube system. The intake end of the tubes contain cilia that propel waste matter down the
tubules and out of the body through excretory pores that open on the body surface. Cilia also draw water from the
interstitial fluid, allowing for filtration. Any valuable metabolites are recovered by reabsorption. What structure in the
human kidneys most closely resembles the highly branched tube system of the protonephridia, and why?
a. The renal artery, because it facilitates the exchange of nutrients with the blood.
b. The convoluted tubule, because it facilitates the exchange of nutrients with the blood.
c. The glomerulus, because it facilitates filtering of the blood.
d. The ureter, because it facilitates filtering of the blood.
57. The Malpighian tubules filter waste materials out of the hemolymph of insects. There are cells lining the tubules that
pump solutes (mainly ions) into the space surrounding the Malpighian tubules. If you observed a gradual increase in the
solute concentration outside of the Malpighian tubules, what would you expect to happen?
Chapter 32 | Osmotic Regulation and Excretion* (*optional) 1583
How would you complete this diagram to make it an accurate model of the renin-angiotensin system?
a. Renin acts on angiotensin to directly stimulate the release of aldosterone and ADH.
b. Renin acts on angiotensin to form ACE and angiotensin II, which then stimulates the release of aldosterone and
ADH.
c. Angiotensin II is formed from angiotensin, which is then converted to angiotensin I by ACE. Aldosterone and
ADH are then stimulated to be released from angiotensin I.
d. Angiotensin I is formed from angiotensin, which is then converted to angiotensin II by ACE. Aldosterone and
ADH are then stimulated to be released from angiotensin II.
Chapter 33 | The Immune System 1585
Figure 33.1 In this compound light micrograph purple-stained neutrophil (upper left) and eosinophil (lower right) white
blood cells that float among red blood cells in this blood smear. Neutrophils provide an early, rapid, and nonspecific
defense against invading pathogens. Eosinophils play a variety of roles in the immune response. Red blood cells are
about 7–8 µm in diameter, and a neutrophil is about 10–12µm. (credit: modification of work by Dr. David Csaba)
Chapter Outline
33.1: Innate Immune Response
33.2: Adaptive Immune Response
33.3: Antibodies
33.4: Disruptions in the Immune System
Introduction
The environment consists of numerous pathogens, which are agents, usually microorganisms, that cause diseases in their
hosts. A host is the organism that is invaded and often harmed by a pathogen. Pathogens include bacteria, protists, fungi
and other infectious organisms. We are constantly exposed to pathogens in food and water, on surfaces, and in the air.
Mammalian immune systems evolved for protection from such pathogens; they are composed of an extremely diverse
array of specialized cells and soluble molecules that coordinate a rapid and flexible defense system capable of providing
protection from a majority of these disease agents.
Vaccines were developed to reduce the chance of infection of a particular disease, such as measles, mumps, polio, or chicken
pox, by assisting the body to develop immunity. However, many diseases still do not have a vaccine, such as the deadly
disease caused by the Ebola virus. Data from the World Health Organization indicates that more than 11,000 people died
out of over 27,000 cases reported during the 2014–2015 outbreak. Though the majority of the cases were in Africa, Ebola
did spread to other regions and prompted researchers to try to find a treatment. You can read more about this research at the
Science Daily website (http://openstaxcollege.org/l/32ebolavirus) .
1586 Chapter 33 | The Immune System
Biological systems utilize free energy and molecular building blocks to grow, to
Big Idea 2
reproduce, and to maintain dynamic homeostasis.
Enduring Growth and dynamic homeostasis of a biological system are influenced by changes in
Understanding 2.D the system’s environment.
Essential 2.D.4 Plants and animals have a variety of chemical defenses against infections that
Knowledge affect dynamic homeostasis.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Chapter 33 | The Immune System 1587
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
2.30 The student can create representations or models to describe nonspecific immune
Learning Objective
defenses in animals.
The immune system comprises both innate and adaptive immune responses. Innate immunity occurs naturally because of
genetic factors or physiology; it is not induced by infection or vaccination but works to reduce the workload for the adaptive
immune response. Both the innate and adaptive levels of the immune response involve secreted proteins, receptor-mediated
signaling, and intricate cell-to-cell communication. The innate immune system developed early in animal evolution, roughly
a billion years ago, as an essential response to infection. Innate immunity has a limited number of specific targets: any
pathogenic threat triggers a consistent sequence of events that can identify the type of pathogen and either clear the infection
independently or mobilize a highly specialized adaptive immune response. For example, tears and mucus secretions contain
microbicidal factors.
Pathogen Recognition
An infection may be intracellular or extracellular, depending on the pathogen. All viruses infect cells and replicate within
those cells (intracellularly), whereas bacteria and other parasites may replicate intracellularly or extracellularly, depending
on the species. The innate immune system must respond accordingly: by identifying the extracellular pathogen and/
or by identifying host cells that have already been infected. When a pathogen enters the body, cells in the blood and
lymph detect the specific pathogen-associated molecular patterns (PAMPs) on the pathogen’s surface. PAMPs are
carbohydrate, polypeptide, and nucleic acid signatures that are expressed by viruses, bacteria, and parasites but which
differ from molecules on host cells. The immune system has specific cells, described in Figure 33.2 and shown in Figure
33.3, with receptors that recognize these PAMPs. A macrophage is a large phagocytic cell that engulfs foreign particles
and pathogens. Macrophages recognize PAMPs via complementary pattern recognition receptors (PRRs). PRRs are
molecules on macrophages and dendritic cells that are in contact with the external environment. A monocyte is a type of
white blood cell that circulates in the blood and lymph and differentiates into macrophages after it moves into infected
tissue. Dendritic cells bind molecular signatures of pathogens and promote pathogen engulfment and destruction. Toll-like
receptors (TLRs) are a type of PRR that recognizes molecules that are shared by pathogens but distinguishable from host
molecules. TLRs are present in invertebrates as well as vertebrates and appear to be one of the most ancient components of
the immune system. TLRs have also been identified in the mammalian nervous system.
1588 Chapter 33 | The Immune System
Figure 33.2 The characteristics and location of cells involved in the innate immune system are described. (credit:
modification of work by NIH)
Chapter 33 | The Immune System 1589
Figure 33.3 Cells of the blood include (1) monocytes, (2) lymphocytes, (3) neutrophils, (4) red blood cells, and (5)
platelets. Note the very similar morphologies of the leukocytes (1, 2, 3). (credit: modification of work by Bruce Wetzel,
Harry Schaefer, NCI; scale-bar data from Matt Russell)
Figure 33.4 Interferons are cytokines that are released by a cell infected with a virus. Response of neighboring cells
to interferon helps stem the infection.
Figure 33.5 In response to a cut, mast cells secrete histamines that cause nearby capillaries to dilate. Neutrophils and
monocytes leave the capillaries. Monocytes mature into macrophages. Neutrophils, dendritic cells and macrophages
release chemicals to stimulate the inflammatory response. Neutrophils and macrophages also consume invading
bacteria by phagocytosis.
Chapter 33 | The Immune System 1591
Cytokines also send feedback to cells of the nervous system to bring about the overall symptoms of feeling sick, which
include lethargy, muscle pain, and nausea. These effects may have evolved because the symptoms encourage the individual
to rest and prevent them from spreading the infection to others. Cytokines also increase the core body temperature, resulting
in a fever, which causes the liver to withhold iron from the blood. Without iron, certain pathogens, such as some bacteria,
are unable to replicate; this is called nutritional immunity.
Watch this 23-second stop-motion video (http://openstaxcollege.org/l/conidia) showing a neutrophil that searches for
and engulfs fungus spores during an elapsed time of about 79 minutes.
How does the action shown in the video clip (http://openstaxcollege.org/l/conidia (http://openstaxcollege.org/l/
conidia) ) demonstrate an immune response?
a. Neutrophils phagocytize pathogens invading the body and release chemical histamines that cause pathogen
destruction and removal from the body. This prevents pathogens from producing toxic compounds that harm
cells.
b. Neutrophils phagocytize pathogens invading the body, resulting in their death and removal from the body.
This prevents pathogens from multiplying or producing toxic compounds that harm human cells.
c. Neutrophils are phagocytic and are the first responders to infection. They produce large quantities of
cytokines, which cause pathogen destruction and removal from the body.
d. Neutrophils produce cytokines that help phagocytes to recognize foreign material that will destroy and
remove pathogens from the body.
Figure 33.6 Lymphocytes, such as NK cells, are characterized by their large nuclei that actively absorb Wright stain
and therefore appear dark colored under a microscope.
An infected cell (or a tumor cell) is usually incapable of synthesizing and displaying MHC I molecules appropriately.
The metabolic resources of cells infected by some viruses produce proteins that interfere with MHC I processing and/or
trafficking to the cell surface. The reduced MHC I on host cells varies from virus to virus and results from active inhibitors
being produced by the viruses. This process can deplete host MHC I molecules on the cell surface, which NK cells detect as
unhealthy or abnormal while searching for cellular MHC I molecules. Similarly, the dramatically altered gene expression of
tumor cells leads to expression of extremely deformed or absent MHC I molecules that also signal unhealthy or abnormal.
NK cells are always active; an interaction with normal, intact MHC I molecules on a healthy cell disables the killing
sequence, and the NK cell moves on. After the NK cell detects an infected or tumor cell, its cytoplasm secretes granules
comprised of perforin, a destructive protein that creates a pore in the target cell. Granzymes are released along with the
perforin in the immunological synapse. A granzyme is a protease that digests cellular proteins and induces the target cell to
undergo programmed cell death, or apoptosis. Phagocytic cells then digest the cell debris left behind. NK cells are constantly
patrolling the body and are an effective mechanism for controlling potential infections and preventing cancer progression.
Complement
An array of approximately 20 types of soluble proteins, called a complement system, functions to destroy extracellular
pathogens. Cells of the liver and macrophages synthesize complement proteins continuously; these proteins are abundant
in the blood serum and are capable of responding immediately to infecting microorganisms. The complement system is so
named because it is complementary to the antibody response of the adaptive immune system. Complement proteins bind
to the surfaces of microorganisms and are particularly attracted to pathogens that are already bound by antibodies. Binding
of complement proteins occurs in a specific and highly regulated sequence, with each successive protein being activated
by cleavage and/or structural changes induced upon binding of the preceding protein(s). After the first few complement
proteins bind, a cascade of sequential binding events follows in which the pathogen rapidly becomes coated in complement
proteins.
Complement proteins perform several functions. The proteins serve as a marker to indicate the presence of a pathogen to
phagocytic cells, such as macrophages and B cells, and enhance engulfment; this process is called opsonization. Certain
complement proteins can combine to form attack complexes that open pores in microbial cell membranes. These structures
destroy pathogens by causing their contents to leak, as illustrated in Figure 33.7.
Chapter 33 | The Immune System 1593
Figure 33.7 The classic pathway for the complement cascade involves the attachment of several initial complement
proteins to an antibody-bound pathogen followed by rapid activation and binding of many more complement proteins
and the creation of destructive pores in the microbial cell envelope and cell wall. The alternate pathway does not
involve antibody activation. Rather, C3 convertase spontaneously breaks down C3. Endogenous regulatory proteins
prevent the complement complex from binding to host cells. Pathogens lacking these regulatory proteins are lysed.
(credit: modification of work by NIH)
Section Summary
The innate immune system serves as a first responder to pathogenic threats that bypass natural physical and chemical
barriers of the body. Using a combination of cellular and molecular attacks, the innate immune system identifies the
nature of a pathogen and responds with inflammation, phagocytosis, cytokine release, destruction by NK cells, and/or
a complement system. When innate mechanisms are insufficient to clear an infection, the adaptive immune response is
informed and mobilized.
1594 Chapter 33 | The Immune System
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.4 Plants and animals have a variety of chemical defenses against infections that affect
Knowledge dynamic homeostasis.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 1.2 The student can describe representations and models of natural or man-made
Practice phenomena and systems in the domain.
Learning
2.29 The student can create representations and models to describe immune responses.
Objective
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting and receiving chemical signals.
3.D
Chapter 33 | The Immune System 1595
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Learning 3.34 The student is able to construct explanations of cell communication through cell-to-cell
Objective direct contact or through chemical signaling.
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.35 The student is able to create representations that depict how cell-to-cell
Objective communication occurs by direct contact or from a distance through chemical signaling.
Antigen-presenting Cells
Unlike NK cells of the innate immune system, B cells (B lymphocytes) are a type of white blood cell that gives rise to
antibodies, whereas T cells (T lymphocytes) are a type of white blood cell that plays an important role in the immune
response. T cells are a key component in the cell-mediated response—the specific immune response that uses T cells to
neutralize cells that have been infected with viruses and certain bacteria. There are three types of T cells: cytotoxic, helper,
and suppressor T cells. Cytotoxic T cells destroy virus-infected cells in the cell-mediated immune response, and helper T
cells play a part in activating both the antibody and the cell-mediated immune responses. Suppressor T cells deactivate T
cells and B cells when needed, and thus prevent the immune response from becoming too intense.
An antigen is a foreign or non-self macromolecule that reacts with cells of the immune system. Not all antigens will
provoke a response. For instance, individuals produce innumerable self antigens and are constantly exposed to harmless
foreign antigens, such as food proteins, pollen, or dust components. The suppression of immune responses to harmless
macromolecules, known as tolerance, is highly regulated and typically prevents processes that could be damaging to the
host.
The innate immune system contains cells that detect potentially harmful antigens, and then inform the adaptive immune
response about the presence of these antigens. An antigen-presenting cell (APC) is an immune cell that detects, engulfs,
and informs the adaptive immune response about an infection. When a pathogen is detected, these APCs will phagocytose
the pathogen and digest it to form many different fragments of the antigen. Antigen fragments will then be transported to
the surface of the APC, where they will serve as an indicator to other immune cells. Dendritic cells are immune cells that
process antigen material; they are present in the skin (Langerhans cells) and the lining of the nose, lungs, stomach, and
intestines. Sometimes a dendritic cell presents on the surface of other cells to induce an immune response, thus functioning
as an antigen-presenting cell. Macrophages also function as APCs. Before activation and differentiation, B cells can also
function as APCs.
After phagocytosis by APCs, the phagocytic vesicle fuses with an intracellular lysosome forming phagolysosome. Within
the phagolysosome, the components are broken down into fragments; the fragments are then loaded onto MHC I or MHC
II molecules and are transported to the cell surface for antigen presentation, as illustrated in Figure 33.8. Note that T
lymphocytes cannot properly respond to the antigen unless it is processed and embedded in an MHC II molecule. APCs
express MHC on their surfaces, and when combined with a foreign antigen, these complexes signal a non-self invader. Once
the fragment of antigen is embedded in the MHC II molecule, the immune cell can respond. Helper T cells are one of the
main lymphocytes that respond to antigen-presenting cells. Recall that all other nucleated cells of the body expressed MHC
I molecules, which signal healthy or normal.
1596 Chapter 33 | The Immune System
Figure 33.8 An APC, such as a macrophage, engulfs and digests a foreign bacterium. An antigen from the bacterium is
presented on the cell surface in conjunction with an MHC II molecule. Lymphocytes of the adaptive immune response
interact with antigen-embedded MHC II molecules to mature into functional immune cells.
This animation (http://openstaxcollege.org/l/immune_system) from Rockefeller University shows how dendritic cells
act as sentinels in the body's immune system.
What key role do dendritic cells play in the human immune response?
a. Dendritic cells directly kill infected cells and emit cytokines, which amplify the immune response.
b. Dendritic cells recognize foreign proteins and prepare them to be displayed to immune cells in the lymph.
This activates an immune response.
c. Dendritic cells identify tumor cells or cells infected with viruses and destroy them.
T and B Lymphocytes
Lymphocytes in circulating blood of humans are approximately 80 to 90 percent T cells, as shown in Figure 33.9, and 10
to 20 percent B cells. Recall that the T cells are involved in the cell-mediated immune response, whereas B cells are part of
the humoral immune response.
T cells encompass a heterogeneous population of cells with extremely diverse functions. Some T cells respond to APCs of
the innate immune system, and indirectly induce immune responses by releasing cytokines. Other T cells stimulate B cells
to prepare their own response. Another population of T cells detects APC signals and directly kills the infected cells. Other
T cells are involved in suppressing inappropriate immune reactions to harmless or self antigens.
Chapter 33 | The Immune System 1597
Figure 33.9 This scanning electron micrograph shows a T lymphocyte, which is responsible for the cell-mediated
immune response. T cells are able to recognize antigens. (credit: modification of work by NCI; scale-bar data from Matt
Russell)
T and B cells exhibit a common theme of recognition/binding of specific antigens via a complementary receptor, followed
by activation and self-amplification/maturation to specifically bind to the particular antigen of the infecting pathogen. T and
B lymphocytes are also similar in that each cell only expresses one type of antigen receptor. Any individual may possess a
population of T and B cells that together express a near limitless variety of antigen receptors that are capable of recognizing
virtually any infecting pathogen. T and B cells are activated when they recognize small components of antigens, called
epitopes, presented by APCs, illustrated in Figure 33.10. Note that recognition occurs at a specific epitope rather than on
the entire antigen; for this reason, epitopes are known as antigenic determinants. In the absence of information from APCs,
T and B cells remain inactive, or naïve, and are unable to prepare an immune response. The requirement for information
from the APCs of innate immunity to trigger B cell or T cell activation illustrates the essential nature of the innate immune
response to the functioning of the entire immune system.
Figure 33.10 An antigen is a macromolecule that reacts with components of the immune system. A given antigen may
contain several motifs that are recognized by immune cells. Each motif is an epitope. In this figure, the entire structure
is an antigen, and the orange, salmon and green components projecting from it represent potential epitopes.
Naïve T cells can express one of two different molecules, CD4 or CD8, on their surface, as shown in Figure 33.11, and
are accordingly classified as CD4+ or CD8+ cells. These molecules are important because they regulate how a T cell will
interact with and respond to an APC. Naïve CD4+ cells bind APCs via their antigen-embedded MHC II molecules and
are stimulated to become helper T (TH) lymphocytes, cells that go on to stimulate B cells (or cytotoxic T cells) directly
or secrete cytokines to inform more and various target cells about the pathogenic threat. In contrast, CD8+ cells engage
antigen-embedded MHC I molecules on APCs and are stimulated to become cytotoxic T lymphocytes (CTLs), which
directly kill infected cells by apoptosis and emit cytokines to amplify the immune response. The two populations of T cells
have different mechanisms of immune protection, but both bind MHC molecules via their antigen receptors called T cell
receptors (TCRs). The CD4 or CD8 surface molecules differentiate whether the TCR will engage an MHC II or an MHC I
molecule. Because they assist in binding specificity, the CD4 and CD8 molecules are described as coreceptors.
1598 Chapter 33 | The Immune System
Figure 33.11 Naïve CD4+ T cells engage MHC II molecules on antigen-presenting cells (APCs) and become
activated. Clones of the activated helper T cell, in turn, activate B cells and CD8+ T cells, which become cytotoxic
T cells. Cytotoxic T cells kill infected cells.
Consider the innumerable possible antigens that an individual will be exposed to during a lifetime. The mammalian adaptive
immune system is adept in responding appropriately to each antigen. Mammals have an enormous diversity of T cell
populations, resulting from the diversity of TCRs. Each TCR consists of two polypeptide chains that span the T cell
membrane, as illustrated in Figure 33.12; the chains are linked by a disulfide bridge. Each polypeptide chain is comprised of
a constant domain and a variable domain: a domain, in this sense, is a specific region of a protein that may be regulatory or
structural. The intracellular domain is involved in intracellular signaling. A single T cell will express thousands of identical
copies of one specific TCR variant on its cell surface. The specificity of the adaptive immune system occurs because it
synthesizes millions of different T cell populations, each expressing a TCR that differs in its variable domain. This TCR
Chapter 33 | The Immune System 1599
diversity is achieved by the mutation and recombination of genes that encode these receptors in stem cell precursors of
T cells. The binding between an antigen-displaying MHC molecule and a complementary TCR “match” indicates that the
adaptive immune system needs to activate and produce that specific T cell because its structure is appropriate to recognize
and destroy the invading pathogen.
Figure 33.12 A T cell receptor spans the membrane and projects variable binding regions into the extracellular space
to bind processed antigens via MHC molecules on APCs.
Helper T Lymphocytes
The TH lymphocytes function indirectly to identify potential pathogens for other cells of the immune system. These cells
are important for extracellular infections, such as those caused by certain bacteria, helminths, and protozoa. TH lymphocytes
recognize specific antigens displayed in the MHC II complexes of APCs. There are two major populations of TH cells:
TH1 and TH2. TH1 cells secrete cytokines to enhance the activities of macrophages and other T cells. TH1 cells activate
the action of cyotoxic T cells, as well as macrophages. TH2 cells stimulate naïve B cells to destroy foreign invaders via
antibody secretion. Whether a TH1 or a TH2 immune response develops depends on the specific types of cytokines secreted
by cells of the innate immune system, which in turn depends on the nature of the invading pathogen.
The TH1-mediated response involves macrophages and is associated with inflammation. Recall the frontline defenses of
macrophages involved in the innate immune response. Some intracellular bacteria, such as Mycobacterium tuberculosis,
have evolved to multiply in macrophages after they have been engulfed. These pathogens evade attempts by macrophages to
destroy and digest the pathogen. When M. tuberculosis infection occurs, macrophages can stimulate naïve T cells to become
TH1 cells. These stimulated T cells secrete specific cytokines that send feedback to the macrophage to stimulate its digestive
capabilities and allow it to destroy the colonizing M. tuberculosis. In the same manner, TH1-activated macrophages also
become better suited to ingest and kill tumor cells. In summary; TH1 responses are directed toward intracellular invaders
while TH2 responses are aimed at those that are extracellular.
B Lymphocytes
When stimulated by the TH2 pathway, naïve B cells differentiate into antibody-secreting plasma cells. A plasma cell is an
immune cell that secrets antibodies; these cells arise from B cells that were stimulated by antigens. Similar to T cells, naïve
B cells initially are coated in thousands of B cell receptors (BCRs), which are membrane-bound forms of immunoglobulin
(Ig, or an antibody. The B cell receptor has two heavy chains and two light chains connected by disulfide linkages. Each
chain has a constant and a variable region; the latter is involved in antigen binding. Two other membrane proteins, Ig alpha
and Ig beta, are involved in signaling. The receptors of any particular B cell, as shown in Figure 33.13, are all the same, but
the hundreds of millions of different B cells in an individual have distinct recognition domains that contribute to extensive
diversity in the types of molecular structures to which they can bind. In this state, B cells function as APCs. They bind and
engulf foreign antigens via their BCRs and then display processed antigens in the context of MHC II molecules to TH2
cells. When a TH2 cell detects that a B cell is bound to a relevant antigen, it secretes specific cytokines that induce the
B cell to proliferate rapidly, which makes thousands of identical (clonal) copies of it, and then it synthesizes and secretes
antibodies with the same antigen recognition pattern as the BCRs. The activation of B cells corresponding to one specific
BCR variant and the dramatic proliferation of that variant is known as clonal selection. This phenomenon drastically, but
briefly, changes the proportions of BCR variants expressed by the immune system, and shifts the balance toward BCRs
1600 Chapter 33 | The Immune System
Figure 33.13 B cell receptors are embedded in the membranes of B cells and bind a variety of antigens through their
variable regions. The signal transduction region transfers the signal into the cell.
T and B cells differ in one fundamental way: whereas T cells bind antigens that have been digested and embedded in MHC
molecules by APCs, B cells function as APCs that bind intact antigens that have not been processed. Although T and B cells
both react with molecules that are termed antigens, these lymphocytes actually respond to very different types of molecules.
B cells must be able to bind intact antigens because they secrete antibodies that must recognize the pathogen directly, rather
than digested remnants of the pathogen. Bacterial carbohydrate and lipid molecules can activate B cells independently from
the T cells.
Cytotoxic T Lymphocytes
CTLs, a subclass of T cells, function to clear infections directly. The cell-mediated part of the adaptive immune system
consists of CTLs that attack and destroy infected cells. CTLs are particularly important in protecting against viral
infections; this is because viruses replicate within cells where they are shielded from extracellular contact with circulating
antibodies. When APCs phagocytize pathogens and present MHC I-embedded antigens to naïve CD8+ T cells that express
complementary TCRs, the CD8+ T cells become activated to proliferate according to clonal selection. These resulting CTLs
then identify non-APCs displaying the same MHC I-embedded antigens (for example, viral proteins. The CTLs identify
infected host cells.
Intracellularly, infected cells typically die after the infecting pathogen replicates to a sufficient concentration and lyses the
cells, as many viruses do. CTLs attempt to identify and destroy infected cells before the pathogen can replicate and escape,
thereby halting the progression of intracellular infections. CTLs also support NK lymphocytes to destroy early cancers.
Cytokines secreted by the TH1 response that stimulates macrophages also stimulate CTLs and enhance their ability to
identify and destroy infected cells and tumors.
CTLs sense MHC I-embedded antigens by directly interacting with infected cells via their TCRs. Binding of TCRs with
antigens activates CTLs to release perforin and granzyme, degradative enzymes that will induce apoptosis of the infected
cell. Recall that this is a similar destruction mechanism to that used by NK cells. In this process, the CTL does not become
infected and is not harmed by the secretion of perforin and granzymes. In fact, the functions of NK cells and CTLs are
complementary and maximize the removal of infected cells, as illustrated in Figure 33.14. If the NK cell cannot identify
the missing self pattern of down-regulated MHC I molecules, then the CTL can identify it by the complex of MHC I
with foreign antigens, which signals altered self. Similarly, if the CTL cannot detect antigen-embedded MHC I because
the receptors are depleted from the cell surface, NK cells will destroy the cell instead. CTLs also emit cytokines, such as
interferons, that alter surface protein expression in other infected cells, such that the infected cells can be easily identified
and destroyed. Moreover, these interferons can also prevent virally infected cells from releasing virus particles.
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Figure 33.14 Natural killer (NK) cells recognize the MHC I receptor on healthy cells. If MHC I is absent, the cell is
lysed.
Based on what you know about MHC receptors, why do you think an organ transplanted from an incompatible donor
to a recipient will be rejected?
a. The natural killer cells of the recipient will recognize the MHC II proteins present on the cell surface of
incompatible organ as foreign and activate macrophages, which will phagocytose foreign cells. The attack
will cause the organ to be rejected.
b. Neutrophils will recognize the proteins on incompatible organ as foreign and will phagocytose the foreign
cells of the incompatible organ.
c. The natural killer cells of the recipient will recognize the MHC II proteins present on the cell surface of
incompatible organ as foreign and will attack these foreign proteins. The attack will cause the organ to be
rejected.
d. The recipient’s immune system will recognize the proteins on the incompatible organ as foreign and will
attack these foreign proteins. The attack will cause the organ to be rejected.
Plasma cells and CTLs are collectively called effector cells: they represent differentiated versions of their naïve
counterparts, and they are involved in bringing about the immune defense of killing pathogens and infected host cells.
Mucosal Surfaces and Immune Tolerance
The innate and adaptive immune responses discussed thus far comprise the systemic immune system (affecting the
whole body), which is distinct from the mucosal immune system. Mucosal immunity is formed by mucosa-associated
lymphoid tissue, which functions independently of the systemic immune system, and which has its own innate and adaptive
components. Mucosa-associated lymphoid tissue (MALT), illustrated in Figure 33.15, is a collection of lymphatic tissue
that combines with epithelial tissue lining the mucosa throughout the body. This tissue functions as the immune barrier and
response in areas of the body with direct contact to the external environment. The systemic and mucosal immune systems
use many of the same cell types. Foreign particles that make their way to MALT are taken up by absorptive epithelial cells
called M cells and delivered to APCs located directly below the mucosal tissue. M cells function in the transport described,
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and are located in the Peyer’s patch, a lymphoid nodule. APCs of the mucosal immune system are primarily dendritic cells,
with B cells and macrophages having minor roles. Processed antigens displayed on APCs are detected by T cells in the
MALT and at various mucosal induction sites, such as the tonsils, adenoids, appendix, or the mesenteric lymph nodes of the
intestine. Activated T cells then migrate through the lymphatic system and into the circulatory system to mucosal sites of
infection.
Figure 33.15 The topology and function of intestinal MALT is shown. Pathogens are taken up by M cells in the intestinal
epithelium and excreted into a pocket formed by the inner surface of the cell. The pocket contains antigen-presenting
cells such as dendritic cells, which engulf the antigens and then present them with MHC II molecules on the cell
surface. The dendritic cells migrate to an underlying tissue called a Peyer’s patch. Antigen-presenting cells, T cells,
and B cells aggregate within the Peyer’s patch, forming organized lymphoid follicles. There, some T cells and B cells
are activated. Other antigen-loaded dendritic cells migrate through the lymphatic system where they activate B cells, T
cells, and plasma cells in the lymph nodes. The activated cells then return to MALT tissue effector sites. IgA and other
antibodies are secreted into the intestinal lumen.
MALT is a crucial component of a functional immune system because mucosal surfaces, such as the nasal passages, are the
first tissues onto which inhaled or ingested pathogens are deposited. The mucosal tissue includes the mouth, pharynx, and
esophagus, and the gastrointestinal, respiratory, and urogenital tracts.
The immune system has to be regulated to prevent wasteful, unnecessary responses to harmless substances, and more
importantly so that it does not attack self. The acquired ability to prevent an unnecessary or harmful immune response to a
detected foreign substance known not to cause disease is described as immune tolerance. Immune tolerance is crucial for
maintaining mucosal homeostasis given the tremendous number of foreign substances (such as food proteins) that APCs of
the oral cavity, pharynx, and gastrointestinal mucosa encounter. Immune tolerance is brought about by specialized APCs in
the liver, lymph nodes, small intestine, and lung that present harmless antigens to an exceptionally diverse population of
regulatory T (Treg) cells, specialized lymphocytes that suppress local inflammation and inhibit the secretion of stimulatory
immune factors. The combined result of Treg cells is to prevent immunologic activation and inflammation in undesired
Chapter 33 | The Immune System 1603
tissue compartments and to allow the immune system to focus on pathogens instead. In addition to promoting immune
tolerance of harmless antigens, other subsets of Treg cells are involved in the prevention of the autoimmune response,
which is an inappropriate immune response to host cells or self-antigens. Another Treg class suppresses immune responses
to harmful pathogens after the infection has cleared to minimize host cell damage induced by inflammation and cell lysis.
Immunological Memory
The adaptive immune system possesses a memory component that allows for an efficient and dramatic response upon
reinvasion of the same pathogen. Memory is handled by the adaptive immune system with little reliance on cues from the
innate response. During the adaptive immune response to a pathogen that has not been encountered before, called a primary
response, plasma cells secreting antibodies and differentiated T cells increase, then plateau over time. As B and T cells
mature into effector cells, a subset of the naïve populations differentiates into B and T memory cells with the same antigen
specificities, as illustrated in Figure 33.16.
A memory cell is an antigen-specific B or T lymphocyte that does not differentiate into effector cells during the primary
immune response, but that can immediately become effector cells upon re-exposure to the same pathogen. During the
primary immune response, memory cells do not respond to antigens and do not contribute to host defenses. As the infection
is cleared and pathogenic stimuli subside, the effectors are no longer needed, and they undergo apoptosis. In contrast, the
memory cells persist in the circulation.
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Figure 33.16 After initially binding an antigen to the B cell receptor (BCR), a B cell internalizes the antigen and
presents it on MHC II. A helper T cell recognizes the MHC II–antigen complex and activates the B cell. As a result,
memory B cells and plasma cells are made.
Why are both plasma B cells and memory B cells made when helper T cells activate B cells?
a. Plasma B cells produce antibodies to fight against pathogen. Memory B cells retain the information
about this particular pathogen so that during the subsequent exposure to the same pathogen, a
stronger response can be generated.
b. Plasma B cells phagocytose the pathogen. Memory B cells retain the information about this particular
pathogen so that during the subsequent exposure to the same pathogen, a stronger response can be
generated.
c. Plasma B cells produce antibodies to fight against a pathogen. Memory B cells retain the information
about this particular pathogen so that during the subsequent exposure to the same pathogen, a
stronger response can be generated, but antibodies are not produced.
d. Plasma B cells produces some cytokines that allow memory B cells to recognize the pathogen and
produce antibodies to fight against the pathogen.
Why are both plasma B cells and memory B cells made when helper T cells activate B cells?
a. Plasma B cells produce antibodies to fight against pathogen. Memory B cells retain the information about
this particular pathogen so that during the subsequent exposure to the same pathogen, a stronger response
Chapter 33 | The Immune System 1605
can be generated.
b. Plasma B cells phagocytose the pathogen. Memory B cells retain the information about this particular
pathogen so that during the subsequent exposure to the same pathogen, a stronger response can be generated.
c. Plasma B cells produce antibodies to fight against a pathogen. Memory B cells retain the information about
this particular pathogen so that during the subsequent exposure to the same pathogen, a stronger response
can be generated, but antibodies are not produced.
d. Plasma B cells produces some cytokines that allows memory B cells to recognize the pathogen and produce
antibodies to fight against the pathogen.
If the pathogen is never encountered again during the individual’s lifetime, B and T memory cells will circulate for a few
years or even several decades and will gradually die off, having never functioned as effector cells. However, if the host is
re-exposed to the same pathogen type, circulating memory cells will immediately differentiate into plasma cells and CTLs
without input from APCs or TH cells. One reason the adaptive immune response is delayed is because it takes time for naïve
B and T cells with the appropriate antigen specificities to be identified and activated. Upon reinfection, this step is skipped,
and the result is a more rapid production of immune defenses. Memory B cells that differentiate into plasma cells output tens
to hundreds-fold greater antibody amounts than were secreted during the primary response, as the graph in Figure 33.17
illustrates. This rapid and dramatic antibody response may stop the infection before it can even become established, and the
individual may not realize they had been exposed.
Figure 33.17 In the primary response to infection, antibodies are secreted first from plasma cells. Upon re-exposure
to the same pathogen, memory cells differentiate into antibody-secreting plasma cells that output a greater amount of
antibody for a longer period of time.
Vaccination is based on the knowledge that exposure to noninfectious antigens, derived from known pathogens, generates
a mild primary immune response. The immune response to vaccination may not be perceived by the host as illness but still
confers immune memory. When exposed to the corresponding pathogen to which an individual was vaccinated, the reaction
is similar to a secondary exposure. Because each reinfection generates more memory cells and increased resistance to the
pathogen, and because some memory cells die, certain vaccine courses involve one or more booster vaccinations to mimic
repeat exposures: for instance, tetanus boosters are necessary every 10 years because the memory cells only live that long.
Mucosal Immune Memory
A subset of T and B cells of the mucosal immune system differentiates into memory cells just as in the systemic immune
system. Upon reinvasion of the same pathogen type, a pronounced immune response occurs at the mucosal site where the
original pathogen deposited, but a collective defense is also organized within interconnected or adjacent mucosal tissue. For
instance, the immune memory of an infection in the oral cavity would also elicit a response in the pharynx if the oral cavity
was exposed to the same pathogen.
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Vaccinologist
Vaccination (or immunization) involves the delivery, usually by injection as shown in Figure 33.18, of
noninfectious antigen(s) derived from known pathogens. Other components, called adjuvants, are delivered
in parallel to help stimulate the immune response. Immunological memory is the reason vaccines work.
Ideally, the effect of vaccination is to elicit immunological memory, and thus resistance to specific pathogens
without the individual having to experience an infection.
Figure 33.18 Vaccines are often delivered by injection into the arm. (credit: U.S. Navy Photographer's Mate
Airman Apprentice Christopher D. Blachly)
Vaccinologists are involved in the process of vaccine development from the initial idea to the availability
of the completed vaccine. This process can take decades, can cost millions of dollars, and can involve
many obstacles along the way. For instance, injected vaccines stimulate the systemic immune system,
eliciting humoral and cell-mediated immunity, but have little effect on the mucosal response, which presents
a challenge because many pathogens are deposited and replicate in mucosal compartments, and the
injection does not provide the most efficient immune memory for these disease agents. For this reason,
vaccinologists are actively involved in developing new vaccines that are applied via intranasal, aerosol,
oral, or transcutaneous (absorbed through the skin) delivery methods. Importantly, mucosal-administered
vaccines elicit both mucosal and systemic immunity and produce the same level of disease resistance as
injected vaccines.
Chapter 33 | The Immune System 1607
Figure 33.19 The polio vaccine can be administered orally. (credit: modification of work by UNICEF Sverige)
Currently, a version of intranasal influenza vaccine is available, and the polio and typhoid vaccines can
be administered orally, as shown in Figure 33.19. Similarly, the measles and rubella vaccines are being
adapted to aerosol delivery using inhalation devices. Eventually, transgenic plants may be engineered to
produce vaccine antigens that can be eaten to confer disease resistance. Other vaccines may be adapted
to rectal or vaginal application to elicit immune responses in rectal, genitourinary, or reproductive mucosa.
Finally, vaccine antigens may be adapted to transdermal application in which the skin is lightly scraped
and microneedles are used to pierce the outermost layer. In addition to mobilizing the mucosal immune
response, this new generation of vaccines may end the anxiety associated with injections and, in turn,
improve patient participation.
Activity
Construct a diagram to illustrate how T cells and B cells differ from each other with respect to the antigens
that they bind.
Think About It
Why is it advantageous to be able to mount a faster immune response upon re-exposure to the same pathogen? How
does the immune system accomplish this response?
stem cells to differentiate into immune cells. B cell maturation occurs in the bone marrow, whereas naïve T cells transit
from the bone marrow to the thymus for maturation. In the thymus, immature T cells that express TCRs complementary to
self-antigens are destroyed. This process helps prevent autoimmune responses.
On maturation, T and B lymphocytes circulate to various destinations. Lymph nodes scattered throughout the body, as
illustrated in Figure 33.20, house large populations of T and B cells, dendritic cells, and macrophages. Lymph gathers
antigens as it drains from tissues. These antigens then are filtered through lymph nodes before the lymph is returned
to circulation. APCs in the lymph nodes capture and process antigens and inform nearby lymphocytes about potential
pathogens.
Figure 33.20 (a) Lymphatic vessels carry a clear fluid called lymph throughout the body. The liquid enters (b) lymph
nodes through afferent vessels. Lymph nodes are filled with lymphocytes that purge infecting cells. The lymph then
exits through efferent vessels. (credit: modification of work by NIH, NCI)
The spleen houses B and T cells, macrophages, dendritic cells, and NK cells. The spleen, shown in Figure 33.21, is the site
where APCs that have trapped foreign particles in the blood can communicate with lymphocytes. Antibodies are synthesized
and secreted by activated plasma cells in the spleen, and the spleen filters foreign substances and antibody-complexed
pathogens from the blood. Functionally, the spleen is to the blood as lymph nodes are to the lymph.
Chapter 33 | The Immune System 1609
Figure 33.21 The spleen is similar to a lymph node but is much larger and filters blood instead of lymph. Blood enters
the spleen through arteries and exits through veins. The spleen contains two types of tissue: red pulp and white
pulp. Red pulp consists of cavities that store blood. Within the red pulp, damaged red blood cells are removed and
replaced by new ones. White pulp is rich in lymphocytes that remove antigen-coated bacteria from the blood. (credit:
modification of work by NCI)
Section Summary
The adaptive immune response is a slower-acting, longer-lasting, and more specific response than the innate response.
However, the adaptive response requires information from the innate immune system to function. APCs display antigens
via MHC molecules to complementary naïve T cells. In response, the T cells differentiate and proliferate, becoming TH
cells or CTLs. TH cells stimulate B cells that have engulfed and presented pathogen-derived antigens. B cells differentiate
into plasma cells that secrete antibodies, whereas CTLs induce apoptosis in intracellularly infected or cancerous cells.
Memory cells persist after a primary exposure to a pathogen. If re-exposure occurs, memory cells differentiate into effector
cells without input from the innate immune system. The mucosal immune system is largely independent from the systemic
immune system but functions in a parallel fashion to protect the extensive mucosal surfaces of the body.
33.3 | Antibodies
In this section, you will explore the following questions:
• What is cross-reactivity?
• What is the basic structure of an antibody, and what are the functions of antibodies?
• How are antibodies produced?
complement cascade. Because secreted antibodies can remain in the circulation for many years, secondary exposure to a
pathogen results in a faster immune response. Antibodies occur in the blood, in gastric and mucus secretions, and in breast
milk, thus providing passive immunity to the infant.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 2 and Big Idea 4
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.4 Plants and animals have a variety of chemical defenses against infections that affect
Knowledge dynamic homeostasis.
1.1 The student can create representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
1.2 The student can describe representations and models of natural or man-made
Science Practice
phenomena and systems in the domain.
Learning 2.30 The student can create representations or models to describe nonspecific immune
Objective defenses in animals.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Naturally occurring diversity among and between components within biological systems
Understanding
affects interactions with the environment.
4.C
Essential
4.C.1 Variation in molecular units provides cells with a wider range of functions.
Knowledge
6.2 The student can construct explanations of phenomena based on evidence produced
Science Practice
through scientific practices.
Learning 4.22 The student is able to construct explanations based on evidence of how variation in
Objective molecular units provides cells with a wider range of functions.
Antibody Structure
An antibody molecule is comprised of four polypeptides: two identical heavy chains (large peptide units) that are partially
bound to each other in a Y formation, flanked by two identical light chains (small peptide units), as illustrated in Figure
33.22. Bonds between the cysteine amino acids in the antibody molecule attach the polypeptides to each other. The areas
where the antigen is recognized on the antibody are variable domains and the antibody base is composed of constant
domains.
In germ-line B cells, the variable region of the light chain gene has 40 variable (V) and five joining (J) segments. An enzyme
called DNA recombinase randomly excises most of these segments out of the gene, and splices one V segment to one J
segment. During RNA processing, all but one V and J segment are spliced out. Recombination and splicing may result in
over 106 possible VJ combinations. As a result, each differentiated B cell in the human body typically has a unique variable
chain. The constant domain, which does not bind antibody, is the same for all antibodies.
Chapter 33 | The Immune System 1611
Figure 33.22 (a) As a germ-line B cell matures, an enzyme called DNA recombinase randomly excises V and J
segments from the light chain gene. Splicing at the mRNA level results in further gene rearrangement. As a result, (b)
each antibody has a unique variable region capable of binding a different antigen.
Similar to TCRs and BCRs, antibody diversity is produced by the mutation and recombination of approximately 300
different gene segments encoding the light and heavy chain variable domains in precursor cells that are destined to become
B cells. The variable domains from the heavy and light chains interact to form the binding site through which an antibody
can bind a specific epitope on an antigen. The numbers of repeated constant domains in Ig classes are the same for all
antibodies corresponding to a specific class. Antibodies are structurally similar to the extracellular component of the BCRs,
and B cell maturation to plasma cells can be visualized in simple terms as the cell acquires the ability to secrete the
extracellular portion of its BCR in large quantities.
Antibody Classes
Antibodies can be divided into five classes—IgM, IgG, IgA, IgD, IgE—based on their physiochemical, structural, and
immunological properties. IgGs, which make up about 80 percent of all antibodies, have heavy chains that consist of one
variable domain and three identical constant domains. IgA and IgD also have three constant domains per heavy chain,
whereas IgM and IgE each have four constant domains per heavy chain. The variable domain determines binding specificity
and the constant domain of the heavy chain determines the immunological mechanism of action of the corresponding
antibody class. It is possible for two antibodies to have the same binding specificities but be in different classes and,
therefore, to be involved in different functions.
After an adaptive defense is produced against a pathogen, typically plasma cells first secrete IgM into the blood. BCRs
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on naïve B cells are of the IgM class and occasionally IgD class. IgM molecules make up approximately 10 percent of all
antibodies. Prior to antibody secretion, plasma cells assemble IgM molecules into pentamers (five individual antibodies)
linked by a joining (J) chain, as shown in Figure 33.23. The pentamer arrangement means that these macromolecules can
bind 10 identical antigens. However, IgM molecules released early in the adaptive immune response do not bind to antigens
as stably as IgGs, which are one of the possible types of antibodies secreted in large quantities upon re-exposure to the same
pathogen. Figure 33.23 summarizes the properties of immunoglobulins and illustrates their basic structures.
Figure 33.23 Immunoglobulins have different functions, but all are composed of light and heavy chains that form a
Y-shaped structure.
IgAs populate the saliva, tears, breast milk, and mucus secretions of the gastrointestinal, respiratory, and genitourinary
tracts. Collectively, these bodily fluids coat and protect the extensive mucosa (4000 square feet in humans). The total
number of IgA molecules in these bodily secretions is greater than the number of IgG molecules in the blood serum. A small
amount of IgA is also secreted into the serum in monomeric form. Conversely, some IgM is secreted into bodily fluids of
the mucosa. Similarly to IgM, IgA molecules are secreted as polymeric structures linked with a J chain. However, IgAs are
secreted mostly as dimeric molecules, not pentamers.
IgE is present in the serum in small quantities and is best characterized in its role as an allergy mediator. IgD is also present
in small quantities. Similarly to IgM, BCRs of the IgD class are found on the surface of naïve B cells. This class supports
antigen recognition and maturation of B cells to plasma cells.
Antibody Functions
Differentiated plasma cells are crucial players in the humoral response, and the antibodies they secrete are particularly
significant against extracellular pathogens and toxins. Antibodies circulate freely and act independently of plasma cells.
Antibodies can be transferred from one individual to another to temporarily protect against infectious disease. For instance,
a person who has recently produced a successful immune response against a particular disease agent can donate blood to
a nonimmune recipient and confer temporary immunity through antibodies in the donor’s blood serum. This phenomenon
is called passive immunity; it also occurs naturally during breastfeeding, which makes breastfed infants highly resistant to
infections during the first few months of life.
Antibodies coat extracellular pathogens and neutralize them, as illustrated in Figure 33.24, by blocking key sites on the
pathogen that enhance their infectivity (such as receptors that dock pathogens on host cells). Antibody neutralization can
prevent pathogens from entering and infecting host cells, as opposed to the CTL-mediated approach of killing cells that are
already infected to prevent progression of an established infection. The neutralized antibody-coated pathogens can then be
filtered by the spleen and eliminated in urine or feces.
Chapter 33 | The Immune System 1613
Figure 33.24 Antibodies may inhibit infection by (a) preventing the antigen from binding its target, (b) tagging a
pathogen for destruction by macrophages or neutrophils, or (c) activating the complement cascade.
Antibodies also mark pathogens for destruction by phagocytic cells, such as macrophages or neutrophils, because
phagocytic cells are highly attracted to macromolecules complexed with antibodies. Phagocytic enhancement by antibodies
is called opsonization. In a process called complement fixation, IgM and IgG in serum bind to antigens and provide docking
sites onto which sequential complement proteins can bind. The combination of antibodies and complement enhances
opsonization even further and promotes rapid clearing of pathogens.
Affinity, Avidity, and Cross Reactivity
Not all antibodies bind with the same strength, specificity, and stability. In fact, antibodies exhibit different affinities
(attraction) depending on the molecular complementarity between antigen and antibody molecules, as illustrated in Figure
33.25. An antibody with a higher affinity for a particular antigen would bind more strongly and stably, and thus would be
expected to present a more challenging defense against the pathogen corresponding to the specific antigen.
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Figure 33.25 (a) Affinity refers to the strength of single interaction between antigen and antibody, while avidity refers
to the strength of all interactions combined. (b) An antibody may cross react with different epitopes.
The term avidity describes binding by antibody classes that are secreted as joined, multivalent structures (such as IgM
and IgA). Although avidity measures the strength of binding, just as affinity does, the avidity is not simply the sum of the
affinities of the antibodies in a multimeric structure. The avidity depends on the number of identical binding sites on the
antigen being detected, as well as other physical and chemical factors. Typically, multimeric antibodies, such as pentameric
IgM, are classified as having lower affinity than monomeric antibodies, but high avidity. Essentially, the fact that multimeric
antibodies can bind many antigens simultaneously balances their slightly lower binding strength for each antibody/antigen
interaction.
Antibodies secreted after binding to one epitope on an antigen may exhibit cross reactivity for the same or similar epitopes
on different antigens. Because an epitope corresponds to such a small region (the surface area of about four to six amino
acids), it is possible for different macromolecules to exhibit the same molecular identities and orientations over short
regions. Cross reactivity describes when an antibody binds not to the antigen that elicited its synthesis and secretion, but
to a different antigen.
Cross reactivity can be beneficial if an individual develops immunity to several related pathogens despite having only been
exposed to or vaccinated against one of them. For instance, antibody cross reactivity may occur against the similar surface
structures of various Gram-negative bacteria. Conversely, antibodies raised against pathogenic molecular components that
resemble self molecules may incorrectly mark host cells for destruction and cause autoimmune damage. Patients who
develop systemic lupus erythematosus (SLE) commonly exhibit antibodies that react with their own DNA. These antibodies
may have been initially raised against the nucleic acid of microorganisms but later cross-reacted with self-antigens. This
phenomenon is also called molecular mimicry.
plasma cells that synthesize and secrete dimeric IgA, and to a lesser extent, pentameric IgM. Secreted IgA is abundant in
tears, saliva, breast milk, and in secretions of the gastrointestinal and respiratory tracts. Antibody secretion results in a local
humoral response at epithelial surfaces and prevents infection of the mucosa by binding and neutralizing pathogens.
Section Summary
Antibodies (immunoglobulins) are the molecules secreted from plasma cells that mediate the humoral immune response.
There are five antibody classes; an antibody's class determines its mechanism of action and production site but does not
control its binding specificity. Antibodies bind antigens via variable domains and can either neutralize pathogens or mark
them for phagocytosis or activate the complement cascade.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential
2.D.3 Biological systems are affected by disruptions to their dynamic homeostasis.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Learning 2.28 The student is able to use representations or models to analyze quantitatively and
Objective qualitatively the effects of disruptions to dynamic homeostasis in biological systems.
Immunodeficiency
Failures, insufficiencies, or delays at any level of the immune response can allow pathogens or tumor cells to gain a foothold
and replicate or proliferate to high enough levels that the immune system becomes overwhelmed. Immunodeficiency
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is the failure, insufficiency, or delay in the response of the immune system, which may be acquired or inherited.
Immunodeficiency can be acquired as a result of infection with certain pathogens (such as HIV), chemical exposure
(including certain medical treatments), malnutrition, or possibly by extreme stress. For instance, radiation exposure
can destroy populations of lymphocytes and elevate an individual’s susceptibility to infections and cancer. Dozens of
genetic disorders result in immunodeficiencies, including Severe Combined Immunodeficiency (SCID), Bare lymphocyte
syndrome, and MHC II deficiencies. Rarely, primary immunodeficiencies that are present from birth may occur.
Neutropenia is one form in which the immune system produces a below-average number of neutrophils, the body’s most
abundant phagocytes. As a result, bacterial infections may go unrestricted in the blood, causing serious complications.
This is a white severe combined immunodeficiency (SCID) mouse. SCID mice are used to study the immune
system.
Figure 33.26
Hypersensitivities
Maladaptive immune responses toward harmless foreign substances or self antigens that occur after tissue sensitization
are termed hypersensitivities. The types of hypersensitivities include immediate, delayed, and autoimmunity. A large
proportion of the population is affected by one or more types of hypersensitivity.
Allergies
The immune reaction that results from immediate hypersensitivities in which an antibody-mediated immune response
occurs within minutes of exposure to a harmless antigen is called an allergy. In the United States, 20 percent of the
population exhibits symptoms of allergy or asthma, whereas 55 percent test positive against one or more allergens. Upon
initial exposure to a potential allergen, an allergic individual synthesizes antibodies of the IgE class via the typical process of
APCs presenting processed antigen to TH cells that stimulate B cells to produce IgE. This class of antibodies also mediates
the immune response to parasitic worms. The constant domain of the IgE molecules interact with mast cells embedded
in connective tissues. This process primes, or sensitizes, the tissue. Upon subsequent exposure to the same allergen, IgE
molecules on mast cells bind the antigen via their variable domains and stimulate the mast cell to release the modified amino
acids histamine and serotonin; these chemical mediators then recruit eosinophils which mediate allergic responses. Figure
33.27 shows an example of an allergic response to ragweed pollen. The effects of an allergic reaction range from mild
symptoms like sneezing and itchy, watery eyes to more severe or even life-threatening reactions involving intensely itchy
welts or hives, airway contraction with severe respiratory distress, and plummeting blood pressure. This extreme reaction
is known as anaphylactic shock. If not treated with epinephrine to counter the blood pressure and breathing effects, this
condition can be fatal.
Chapter 33 | The Immune System 1617
Figure 33.27 On first exposure to an allergen, an IgE antibody is synthesized by plasma cells in response to a
harmless antigen. The IgE molecules bind to mast cells, and on secondary exposure, the mast cells release histamines
and other modulators that affect the symptoms of allergy. (credit: modification of work by NIH)
Delayed hypersensitivity is a cell-mediated immune response that takes approximately one to two days after secondary
exposure for a maximal reaction to be observed. This type of hypersensitivity involves the TH1 cytokine-mediated
inflammatory response and may manifest as local tissue lesions or contact dermatitis (rash or skin irritation). Delayed
hypersensitivity occurs in some individuals in response to contact with certain types of jewelry or cosmetics. Delayed
hypersensitivity facilitates the immune response to poison ivy and is also the reason why the skin test for tuberculosis results
in a small region of inflammation on individuals who were previously exposed to Mycobacterium tuberculosis. That is also
why cortisone is used to treat such responses: it will inhibit cytokine production.
Autoimmunity
Autoimmunity is a type of hypersensitivity to self antigens that affects approximately five percent of the population. Most
types of autoimmunity involve the humoral immune response. Antibodies that inappropriately mark self components as
foreign are termed autoantibodies. In patients with the autoimmune disease myasthenia gravis, muscle cell receptors that
induce contraction in response to acetylcholine are targeted by antibodies. The result is muscle weakness that may include
marked difficultly with fine and/or gross motor functions. In systemic lupus erythematosus, a diffuse autoantibody response
to the individual’s own DNA and proteins results in various systemic diseases. As illustrated in Figure 33.28, systemic
lupus erythematosus may affect the heart, joints, lungs, skin, kidneys, central nervous system, or other tissues, causing tissue
damage via antibody binding, complement recruitment, lysis, and inflammation.
Figure 33.28 Systemic lupus erythematosus is characterized by autoimmunity to the individual’s own DNA and/or
proteins, which leads to varied dysfunction of the organs. (credit: modification of work by Mikael Häggström)
Autoimmunity can develop with time, and its causes may be rooted in molecular mimicry. Antibodies and TCRs may bind
self antigens that are structurally similar to pathogen antigens, which the immune receptors first raised. As an example,
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infection with Streptococcus pyogenes (bacteria that cause strep throat) may generate antibodies or T cells that react with
heart muscle, which has a similar structure to the surface of S. pyogenes. These antibodies can damage heart muscle with
autoimmune attacks, leading to rheumatic fever. Insulin-dependent (Type 1) diabetes mellitus arises from a destructive
inflammatory TH1 response against insulin-producing cells of the pancreas. Patients with this autoimmunity must be
injected with insulin that originates from other sources.
Section Summary
Immune disruptions may involve insufficient immune responses or inappropriate immune targets. Immunodeficiency
increases an individual's susceptibility to infections and cancers. Hypersensitivities are misdirected responses either to
harmless foreign particles, as in the case of allergies, or to host factors, as in the case of autoimmunity. Reactions to self
components may be the result of molecular mimicry.
Chapter 33 | The Immune System 1619
KEY TERMS
adaptive immunity immunity that has memory and occurs after exposure to an antigen either from a pathogen or a
vaccination
allergy immune reaction that results from immediate hypersensitivities in which an antibody-mediated immune response
occurs within minutes of exposure to a harmless antigen
antibody protein that is produced by plasma cells after stimulation by an antigen; also known as an immunoglobulin
antigen-presenting cell (APC) immune cell that detects, engulfs, and informs the adaptive immune response about an
infection by presenting the processed antigen on the cell surface
autoantibody antibody that incorrectly marks self? components as foreign and stimulates the immune response
B cell lymphocyte that matures in the bone marrow and differentiates into antibody-secreting plasma cells
basophil leukocyte that releases chemicals usually involved in the inflammatory response
cell-mediated immune response adaptive immune response that is carried out by T cells
clonal selection activation of B cells corresponding to one specific BCR variant and the dramatic proliferation of that
variant
complement system array of approximately 20 soluble proteins of the innate immune system that enhance
phagocytosis, bore holes in pathogens, and recruit lymphocytes; enhances the adaptive response when antibodies are
produced
cross reactivity binding of an antibody to an epitope corresponding to an antigen that is different from the one the
antibody was raised against
cytokine chemical messenger that regulates cell differentiation, proliferation, gene expression, and cell trafficking to
effect immune responses
cytotoxic T lymphocyte (CTL) adaptive immune cell that directly kills infected cells via perforin and granzymes, and
releases cytokines to enhance the immune response
dendritic cell immune cell that processes antigen material and presents it on the surface of other cells to induce an
immune response
effector cell lymphocyte that has differentiated, such as a B cell, plasma cell, or cytotoxic T lymphocyte
eosinophil leukocyte that responds to parasites and is involved in the allergic response
epitope small component of an antigen that is specifically recognized by antibodies, B cells, and T cells; the antigenic
determinant
granzyme protease that enters target cells through perforin and induces apoptosis in the target cells; used by NK cells and
killer T cells
helper T lymphocyte (TH) cell of the adaptive immune system that binds APCs via MHC II molecules and stimulates B
cells or secretes cytokines to initiate the immune response
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humoral immune response adaptive immune response that is controlled by activated B cells and antibodies
hypersensitivities spectrum of maladaptive immune responses toward harmless foreign particles or self antigens; occurs
after tissue sensitization and includes immediate-type (allergy), delayed-type, and autoimmunity
immune tolerance acquired ability to prevent an unnecessary or harmful immune response to a detected foreign body
known not to cause disease or to self-antigens
immunodeficiency failure, insufficiency, or delay at any level of the immune system, which may be acquired or
inherited
inflammation localized redness, swelling, heat, and pain that results from the movement of leukocytes and fluid through
opened capillaries to a site of infection
innate immunity immunity that occurs naturally because of genetic factors or physiology, and is not induced by infection
or vaccination
interferon cytokine that inhibits viral replication and modulates the immune response
lymph watery fluid that bathes tissues and organs with protective white blood cells and does not contain erythrocytes
lymphocyte leukocyte that is histologically identifiable by its large nuclei; it is a small cell with very little cytoplasm
macrophage large phagocytic cell that engulfs foreign particles and pathogens
major histocompatibility class (MHC) I/II molecule protein found on the surface of all nucleated cells (I) or
specifically on antigen-presenting cells (II) that signals to immune cells whether the cell is healthy/normal or is
infected/cancerous; it provides the appropriate template into which antigens can be loaded for recognition by
lymphocytes
mast cell leukocyte that produces inflammatory molecules, such as histamine, in response to large pathogens and
allergens
memory cell antigen-specific B or T lymphocyte that does not differentiate into effector cells during the primary immune
response but that can immediately become an effector cell upon re-exposure to the same pathogen
monocyte type of white blood cell that circulates in the blood and lymph and differentiates into macrophages after it
moves into infected tissue
mucosa-associated lymphoid tissue (MALT) collection of lymphatic tissue that combines with epithelial tissue
lining the mucosa throughout the body
natural killer (NK) cell lymphocyte that can kill cells infected with viruses or tumor cells
opsonization process that enhances phagocytosis using proteins to indicate the presence of a pathogen to phagocytic cells
passive immunity transfer of antibodies from one individual to another to provide temporary protection against
pathogens
pathogen an agent, usually a microorganism, that causes disease in the organisms that they invade
pathogen-associated molecular pattern (PAMP) carbohydrate, polypeptide, and nucleic acid “signature” that is
expressed by viruses, bacteria, and parasites but differs from molecules on host cells
pattern recognition receptor (PRR) molecule on macrophages and dendritic cells that binds molecular signatures of
pathogens and promotes pathogen engulfment and destruction
perforin destructive protein that creates a pore in the target cell; used by NK cells and killer T cells
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plasma cell immune cell that secrets antibodies; these cells arise from B cells that were stimulated by antigens
regulatory T (Treg) cell specialized lymphocyte that suppresses local inflammation and inhibits the secretion of
cytokines, antibodies, and other stimulatory immune factors; involved in immune tolerance
T cell lymphocyte that matures in the thymus gland; one of the main cells involved in the adaptive immune system
CHAPTER SUMMARY
33.1 Innate Immune Response
The innate immune system serves as a first responder to pathogenic threats that bypass natural physical and chemical
barriers of the body. Using a combination of cellular and molecular attacks, the innate immune system identifies the nature
of a pathogen and responds with inflammation, phagocytosis, cytokine release, destruction by NK cells, and/or a
complement system. When innate mechanisms are insufficient to clear an infection, the adaptive immune response is
informed and mobilized.
The adaptive immune response is a slower-acting, longer-lasting, and more specific response than the innate response.
However, the adaptive response requires information from the innate immune system to function. APCs display antigens
via MHC molecules to complementary naïve T cells. In response, the T cells differentiate and proliferate, becoming TH
cells or CTLs. TH cells stimulate B cells that have engulfed and presented pathogen-derived antigens. B cells differentiate
into plasma cells that secrete antibodies, whereas CTLs induce apoptosis in intracellularly infected or cancerous cells.
Memory cells persist after a primary exposure to a pathogen. If re-exposure occurs, memory cells differentiate into effector
cells without input from the innate immune system. The mucosal immune system is largely independent from the systemic
immune system but functions in a parallel fashion to protect the extensive mucosal surfaces of the body.
33.3 Antibodies
Antibodies (immunoglobulins) are the molecules secreted from plasma cells that mediate the humoral immune response.
There are five antibody classes; an antibody's class determines its mechanism of action and production site but does not
control its binding specificity. Antibodies bind antigens via variable domains and can either neutralize pathogens or mark
them for phagocytosis or activate the complement cascade.
Immune disruptions may involve insufficient immune responses or inappropriate immune targets. Immunodeficiency
increases an individual's susceptibility to infections and cancers. Hypersensitivities are misdirected responses either to
harmless foreign particles, as in the case of allergies, or to host factors, as in the case of autoimmunity. Reactions to self
components may be the result of molecular mimicry.
REVIEW QUESTIONS
1. What is the primary mechanism by which the skin provides protection against diseases caused by organisms?
a. high pH
b. mucus
c. tears
d. desiccation
2. What is the mechanism that skin uses to protect against diseases caused by organisms?
a. high pH
b. mucus
c. tears
d. desiccation
3. How does the human body use a chemical barrier as part of the innate immune response?
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a. The humoral immune response primarily targets infected host cells to destroy them before the infecting pathogen
can reproduce.
b. The humoral immune response produces antibodies that are specifically targeted against each pathogen.
c. The humoral immune response produces cytotoxic T cells that induce apoptosis in pathogen-infected cells.
d. The humoral immune response is the only system that involves memory cells that are able to respond later to a
pathogen that has invaded the body at an earlier time.
18. How many and what types of polypeptides make up an antibody molecule?
a. One heavy polypeptide chain and one light polypeptide chain.
b. Two heavy polypeptide chains and one light polypeptide chain.
c. Two heavy polypeptide chains and two light polypeptide chains.
d. One heavy polypeptide chain and two light polypeptide chains.
19. A biologist runs some tests and observes that the same antibody binds to several different proteins. Why might this
occur?
a. The antibody is showing that it has high affinity for antigens.
b. The antibody is showing that it has high avidity for antigens.
c. The antibody is showing cross-reactivity to the antigens.
d. The antibody is showing hypersensitivity to the antigens.
20. Why do antibodies isolated from the same individual show a variety of constant domains?
a. The antibodies were synthesized in response to infections by different pathogens.
b. The antibodies were transmitted as the result of passive immunity.
c. The antibodies have different specificities of antigen binding.
d. The antibodies belong to different classes of immunoglobulin molecules.
21. What enzyme is responsible for the random excision of variable gene segments making up an antibody light chain in
DNA?
a. DNA polymerase
b. DNA recombinase
c. DNA ligase
d. DNA helicase
22. How are antibodies produced in a B cell?
a. RNA processing → DNA rearrangement → transcription → translation → mature antibody
b. Transcription → RNA processing → DNA rearrangement → translation → mature antibody
c. DNA rearrangement → RNA processing → transcription → translation → mature antibody
d. DNA rearrangement → transcription → RNA processing → translation → mature antibody
23. What is a definition of hypersensitivity?
a. maladaptive immune responses to otherwise harmless proteins
b. measure of the attraction between an antigen and an antibody
c. total binding strength of a multivalent antibody with an antigen
d. binding of an antibody to an antigen different from the one that elicited its synthesis
24. An allergy has been described as a non-protective immune response. Which statement provides information supporting
this description?
Chapter 33 | The Immune System 1625
a. An allergic response occurs when B cells produce IgE molecules in response to a foreign protein, which causes
histamine to be released.
b. An allergy results from an immune response to an antigen that does not cause harm and that the body needs no
defense against.
c. People with allergies develop unpleasant symptoms such as watery, itchy eyes, swollen tissues, and sneezing.
d. When their blood is tested, people with allergies show that they have antibodies that bind to one or more foreign
proteins.
25. What is the term for antibodies that inappropriately mark self components as foreign?
a. cross reactive
b. epitopes
c. allergens
d. autoantibodies
26. Why do some people with type 1 diabetes develop the disease as the result of an immune response?
a. Their B cells produced IgE molecules in response to a harmless protein, which caused histamine to be released.
b. Their B cells responded to a self protein to produce autoantibodies, which elicited inflammation that caused
organ damage.
c. They had a delayed response to a harmful protein that entered the body and activated both the innate and
adaptive immune systems.
d. They acquired antibodies to insulin through passive immunity, and these antibodies bind to insulin whenever it is
produced in the body.
27. What are the three types of hypersensitivity?
a. innate, acquired, and immunodeficiency
b. variable, constant, and recombinant
c. immediate, delayed, and autoimmunity
d. active, passive, and adaptive
28. What is the definition of autoimmunity?
a. binding of an antibody to a viral antigen
b. immune response to self antigens
c. maladaptive immune response to harmless foreign proteins
d. failure to mount an immune response
a. Natural killer cells are an example of induced immune response as they attack host cells that have lost normal
cell surface markers. Interferons are an example of immediate immune response as they are induced after cell
surface markers on invading pathogens are recognized by host cells.
b. Natural killer cells are an example of immediate immune response as they attack host cells that have lost normal
cell surface markers. Interferons are an example of induced immune response as they are induced after cell
surface markers on invading pathogens are recognized by host cells.
c. Natural killer cells are an example of immediate immune response as they are induced after cell surface markers
on invading pathogens are recognized by host cells. Interferons are an example of induced immune response as
they attack host cells that have lost normal cell surface markers.
d. Natural killer cells are an example of induced immune response as they are induced after cell surface markers on
invading pathogens are recognized by host cells. Interferons are an example of immediate immune response as
they attack host cells that have lost normal cell surface markers.
31. Why might different MHC I molecules between donor and recipient cells lead to rejection of a transplanted organ or
tissue?
a. The natural killer cells in the recipient will identify the MHC I molecules on transplanted organ as non-self
proteins, causing lysis of transplanted cells. Other host cells will join to phagocytize the foreign cells.
b. The neutrophils in the recipient will identify the MHC I molecules on transplanted organ as non-self proteins,
causing lysis of transplanted cells. Other host cells will join to phagocytize the foreign cells.
c. B lymphocytes in the recipient will identify the MHC I molecules on transplanted organ as non-self proteins.
The foreign cells will then be engulfed and destroyed by B lymphocytes.
d. The macrophages in the recipient will identify the MHC I molecules on transplanted organ as non-self proteins,
causing lysis of transplanted cells. Other host cells will join to phagocytize the foreign cells.
32. Suppose a person was born without the ability to produce MHC I molecules. What problem would that create?
a. A person without the ability to produce MHC I molecules would die immediately.
b. A person without the ability to produce MHC I molecules would recognize self as non-self, resulting in
autoimmune disease.
c. The person’s immune system would not be able to distinguish self and non-self. This would make the person
very vulnerable to infection.
d. The person’s immune system would not be able to destroy foreign pathogen due to lack of hydrolytic enzymes.
This would make the person very vulnerable to infection.
33. Suppose a series of genetic mutations prevented some, but not all, of the complement proteins from binding antibodies
or pathogens. Would the entire complement system be compromised? Why or why not?
a. No, because the complement system functions as a cascade, with each protein triggering the activity of the next
protein in the cascade.
b. Yes, because the complement system functions as a cascade, with each protein triggering the activity of the next
protein in the cascade.
c. Yes, because all the proteins of the complement system function independently.
d. No, because all the proteins of the complement system function independently.
34. What is a likely reason to explain why vertebrate animals evolved an adaptive immune system rather than an innate
system involving specific responses to specific pathogens?
a. An adaptive immune system requires an immense amount of information to be stored, which allows vertebrate
cells to be able to mount specific responses to every pathogen.
b. As new pathogens evolve all the time, it is more conservative of energy and information storage to have an
adaptive immune system that can respond to same pathogens in different ways.
c. As new pathogens evolve all the time, it is more conservative of energy and information storage to have an
adaptive immune system that can respond to different pathogens in a specific way.
d. As new pathogens evolve all the time, it is more conservative of energy and information storage to have an
adaptive immune system that can respond to different pathogens in a non-specific way.
35. Invertebrate animals have innate immune systems but lack adaptive immune systems. Vertebrates, including fish,
Chapter 33 | The Immune System 1627
amphibians, reptiles, birds, and mammals, have both systems. What does this suggest about the evolution of these two
immune systems?
a. This suggests that the innate immune system evolved first. Invertebrates and vertebrates had a common ancestor,
which had an innate immune system. After the two lineages diverged, the vertebrate line developed adaptive
immunity, which continued to evolve in all vertebrates.
b. This suggests that the adaptive immune system evolved first. Invertebrates and vertebrates had a common
ancestor, which had an innate immune system. After the two lineages diverged, the vertebrate line developed
adaptive immunity, which continued to evolve in all vertebrates.
c. This suggests that the innate immune system evolved first. Invertebrates and vertebrates had a common ancestor,
which had an adaptive immune system. After the two lineages diverged, the vertebrate line developed innate
immunity, which continued to evolve in all vertebrates.
d. This suggests that the adaptive immune system evolved first. Invertebrates and vertebrates had a common
ancestor, which had an adaptive immune system. After the two lineages diverged, the vertebrate line developed
innate immunity, which continued to evolve in all vertebrates.
36. What are naïve B or T cells and how do they function in cell-mediated and humoral immune responses?
a. Naïve B and T cells are lymphocytes of the B and T types that have come into contact with pathogenic antigens.
Naïve T cells produce antibodies in the humoral immune response, while naïve B cells stimulate the cell-
mediated immune response.
b. Naïve B and T cells are lymphocytes of the B and T types that normally circulate in the body at all times and
have not come into contact with any pathogenic antigens. Activated T cells produce antibodies in the humoral
immune response, while activated B cells stimulate the cell-mediated immune response.
c. Naïve B and T cells are lymphocytes of the B and T types that normally circulate in the body at all times and
have not come into contact with any pathogenic antigens. Activated B cells produce antibodies in the humoral
immune response, while activated T cells stimulate the cell-mediated immune response.
d. Naïve B and T cells are lymphocytes of the B and T types that have come into contact with pathogenic antigens.
Naïve B cells produce antibodies in the humoral immune response, while naïve T cells stimulate the cell-
mediated immune response.
37. A person given a flu vaccine in November comes down with a severe case of influenza in January. What can you
conclude about the flu vaccine and cross reactivity?
a. The flu vaccine elicited antibodies in the person’s body that were specific to a particular flu virus. Unfortunately,
the flu virus that infected the person later in January was different enough for cross reactivity to occur between
the virus antigens causing the infection.
b. The flu vaccine suppresses antibodies in the person’s body that were specific to a particular flu virus.
Unfortunately, the flu virus that infected the person later in January was different enough for cross reactivity to
occur between the virus antigens causing the infection.
c. The flu vaccine suppresses antibodies in the person’s body that were specific to a particular flu virus.
Unfortunately, the flu virus that infected the person later in January was similar enough for cross reactivity to
occur between the virus antigens causing the infection.
d. The flu vaccine suppresses antibodies in the person’s body that were specific to a particular flu virus.
Unfortunately, the flu virus that infected the person later in January was similar enough for cross reactivity to
occur between the virus antigens causing the infection.
38. What function does the diversity of the variable region of an antibody help it perform?
a. It helps in communication of antibodies with other components of immune system.
b. It helps the antibodies to function with very low affinity and specificity.
c. It enables many different antibodies to be made that all have different specificities of binding.
d. It enables many different antibodies to be made that all have same specificities of binding.
39. How can you explain that the same antibodies found in an infant’s body are also present in the infant’s mother?
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a. Antibodies produced in the mother’s body are passed to the infant via passive immunity through breast milk.
b. Antibodies produced in the mother’s body are passed to the infant via active immunity through breast milk.
c. Antibodies produced in the mother’s body are passed to the infant via passive immunity through experiencing
the same environment.
d. Antibodies produced in the infant’s body are passed to the mother via active immunity through the placenta.
40. Researchers have been working on developing methods for stimulating the human immune system to recognize foreign
proteins as self proteins. Why would this research be applicable to treating allergies?
a. In an allergy, a person’s immune system has been compromised, which causes unpleasant symptoms.
b. In an allergy, a person’s immune system reacts to its own proteins, which causes unpleasant symptoms.
c. In an allergy, a person’s immune system reacts to a harmless protein from the environment, which causes
unpleasant symptoms.
d. In an allergy, a person’s immune system reacts to a harmless protein from the environment, which causes
pleasant symptoms.
41. A patient has just been informed that they have an autoimmune disease that attacks the salivary glands. How would
you explain to the patient what is happening inside their body?
a. The immune system is producing antibodies against their own proteins present in their salivary glands, causing
the salivary glands to break down and become non-functional.
b. The ability of the immune system to fight the antigen present in the salivary glands might have been
compromised, causing the salivary glands to break down and become non-functional.
c. The immune system might have reacted in an abnormal way to an antigen that may have entered salivary glands,
causing the salivary glands to break down and become non-functional.
d. Some pathogen might have entered the salivary glands, causing the salivary glands to break down and become
non-functional.
42. An allergic response sometimes leads to a person’s death. How can you explain this?
a. The allergen may bind to the hemoglobin, decreasing the affinity of hemoglobin for oxygen, leading to death.
b. If a person has a very strong and fast response to an allergen, the tissues in the throat can swell so much in a very
short time that the person cannot breathe and blood pressure may increase very quickly. Oxygen will not be
carried to the brain and the person may die.
c. If a person has a very strong and fast response to an allergen, the tissues in the throat can swell so much in a very
short time that the person cannot breathe and blood pressure may drop very quickly. Oxygen will reach the cells
at a faster rate and the person may die.
d. If a person has a very strong and fast response to an allergen, the tissues in the throat can swell so much in a very
short time that the person cannot breathe and blood pressure may drop very quickly. Oxygen will not be carried
to the brain and the person may die.
a.
b.
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c.
d.
44. The incomplete diagram represents a series of events during an innate immune response. The labels A, B, and C need
to be replaced with the names of the cells involved.
Chapter 33 | The Immune System 1631
Figure 33.29
Which set of cells correctly completes this diagram?
a. A = infected host cell, B = pathogen, C = healthy host cell
b. A = healthy host cell, B = pathogen, C = dendritic cell
c. A = dendritic cell, B = infected host cell, C = pathogen
d. A = pathogen, B = dendritic cell, C = healthy host cell
45. How do natural killer cells react to healthy cells compared to cells infected with a pathogen?
a. Natural killer cells recognize MHC I on a healthy cell and do not kill it, while the infected cells that do not
present MHC I are killed.
b. Natural killer cells recognize MHC I on an infected cell and kill it, while the healthy cells that do not present
MHC I are not killed.
c. Natural killer cells recognize MHC II on a healthy cell and do not kill it, while the infected cells that do not
present MHC II are killed.
d. Natural killer cells recognize MHC II on an infected cell and kill it, while the healthy cells that do not present
MHC II are not killed.
46.
The following incomplete diagram represents a series of events during an innate immune response. The labels A, B, and C
need to be replaced with the names of the cells involved. Which set of cells correctly completes this diagram?
a. A = infected host cell, B = pathogen, C = healthy host cell
b. A = healthy host cell, B = pathogen, C = dendritic cell
c. A = dendritic cell, B = infected host cell, C = pathogen
d. A = pathogen, B = dendritic cell, C = healthy host cell
47. A healthy person produces antibodies to pathogens that invade the body. However, if this person becomes infected
with HIV, the body loses the ability to produce antibodies. Research has shown that the virus attacks and destroys CD4+T
cells. Why does destruction of CD4+T cells lead to a loss of antibody synthesis in HIV-infected patients?
a. CD4+T cells are a required intermediate in a series of cell-to-cell signaling events that must be completed before
B cells can mature.
b. CD4+T cells have CD4 molecules covalently bound to their cell surfaces and do not induce apoptosis in other
cells during an immune response.
c. CD4+T cell counts are about 1,000 per microliter in a healthy person, but drop below 400 per microliter in a
person who cannot mount an immune response.
d. CD4+T cell precursors are formed in the bone marrow and then migrate to the thymus, where they develop their
T cell receptors.
48. Which of the following diagrams best illustrates how a macrophage activates a helper T cell (TH cell)?
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Figure 33.30
Chapter 33 | The Immune System 1633
a. Figure 33.31
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b. Figure 33.32
Chapter 33 | The Immune System 1635
c. Figure 33.33
1636 Chapter 33 | The Immune System
d. Figure 33.34
49. The graph shows changes in a person’s blood after he or she receives a vaccination.
Figure 33.35
Chapter 33 | The Immune System 1637
Explain how cell communication is involved in bringing about the changes depicted in the graph.
a. The vaccine introduces antigens specific to a pathogen into the person’s blood. These antigens are moved to the
cell surface of antigen-presenting cells present in the blood. Receptors on helper T cells bind to the antigens
present on the antigen-presenting cell. This direct cell-to-cell contact initiates a series of events that leads to
production of antibodies by B lymphocytes.
b. The vaccine introduces antigens specific to a pathogen into the person’s blood. These antigens bind to the
receptors on the surface of T cells. This direct cell-to-cell contact initiates a series of events that leads to
production of antibodies by B lymphocytes.
c. The vaccine introduces antigens specific to a pathogen into the person’s blood. These antigens are moved to the
cell surface of antigen-presenting cells present in the blood. This direct cell-to-cell contact initiates a series of
events that leads to production of antibodies by B lymphocytes.
d. The vaccine introduces antigens specific to a pathogen into the person’s blood. These antigens are moved to the
cell surface of antigen-presenting cells present in the blood. Receptors on helper T cells bind to the antigens
present on the antigen-presenting cell. This direct cell-to-cell contact initiates a series of events that activates the
complement system.
50. B cells are important immune cells that fight infections. How is a naïve B cell stimulated to mature into a plasma cell
that secretes antibodies?
a. T cells secrete cytokines, which help the B cell to multiply and mature into an antibody-producing plasma cell.
b. Natural killer cells secrete cytokines, which help the B cell to multiply and mature into an antibody-producing
plasma cell.
c. T cells secrete interferons, which help the B cell to multiply and mature into an antibody-producing plasma cell.
d. Natural killer cells secrete interferons, which help the B cell to multiply and mature into an antibody-producing
plasma cell.
51. The diagram illustrates a process taking place during an immune response.
Figure 33.36
What process is represented by this diagram?
a. opsonization
b. apoptosis
c. neutralization
d. complement activation
52. Scientists performed an experiment using a cell from a mouse embryo and a B cell from an adult mouse. The mouse
embryo cell does not make antibodies, yet its DNA contains nucleotide sequences encoding antibody polypeptides. The
adult mouse B cell makes and secretes a single type of antibody. In the experiment, radiolabeled DNA probes were
synthesized to be complementary to the DNA encoding the light chains of the antibody produced by the adult mouse B
cells. Then, DNA from the mouse embryo cell and from the adult B cell were isolated and tested to see if either hybridized
with the synthesized radiolabeled DNA probes. The results are shown in the diagram.
1638 Chapter 33 | The Immune System
Figure 33.37
Which claim is best supported by the data?
a. The mouse genome contains an enormous number of antibody genes, which accounts for the huge diversity of
antibody molecules that can be made.
b. Rearrangement of gene segments encoding antibody polypeptides occurs at the level of DNA to produce an
enormous diversity of antibody molecules.
c. The tremendous diversity of antibody molecules that can be made results from post-translational modifications
of antibody polypeptide chains.
d. Each antibody is encoded by its own unique gene in the DNA, which explains how antibodies can have different
antigen binding properties.
53. How does an antibody molecule bind specifically to one antigen but not to others?
a. due to the presence of a specific antigen binding site
b. consistency of the constant
c. due to diversity of the constant region
d. due to the complete antibody structure
54. The human genome contains less than 50,000 genes, yet a human has the capability of producing more than 1,012
different antibody molecules. How can this evidence be used to support the claim that the human body has an immune
system that is both effective and efficient?
Chapter 33 | The Immune System 1639
a. There are so many different antibody molecules that can be made, each of which can specifically target a
particular pathogen to destroy it. This specificity makes the immune system more effective. The immune system
is also efficient because each antibody need to have its own gene.
b. There are so many different antibody molecules that can be made, each of which can non-specifically target a
particular pathogen to destroy it. This non-specificity makes the immune system more effective. The immune
system is also efficient because each antibody does not need to have its own gene.
c. There are so many different antibody molecules that can be made, each of which can specifically target a
particular pathogen to destroy it. This specificity makes the immune system more efficient. The immune system
is also effective because each antibody does not need to have its own gene.
d. There are so many different antibody molecules that can be made, each of which can specifically target a
particular pathogen to destroy it. This specificity makes the immune system more effective. The immune system
is also efficient because each antibody does not need to have its own gene.
55. An allergy is caused by the immune system reacting to a foreign protein to produce IgE molecules that recognize the
protein. These IgE molecules become associated with mast cells that respond to future exposures to the protein by
releasing histamines into the body. The diagram shows this release and also how a drug called an antihistamine can help an
allergy sufferer reduce his or her allergy symptoms.
Figure 33.38
Which of the following statements explains how an antihistamine helps restore homeostasis during an allergic reaction?
a. Antihistamines prevent mast cells from becoming associated with IgE molecules that recognize the foreign
protein allergen.
b. Antihistamines prevent mast cells from releasing histamines and causing the unpleasant allergy symptoms.
c. Antihistamines prevent histamines that have been released by mast cells from stimulating the itching and
swelling of body tissues.
d. Antihistamines prevent mast cells from producing histamines, which halts their effect on the body.
56. The diagram shows the normal feedback loop that controls the production of thyroid hormones in the human body.
1640 Chapter 33 | The Immune System
Figure 33.39
Graves’ disease is an autoimmune disease in which the body produces autoantibodies to the TSH receptor. When these
autoantibodies bind to the receptor, it mimics the action of the TSH hormone. How would the feedback loop and the
regulated production of thyroid hormones shown in the diagram be affected in a person with Graves’ disease?
a. The feedback loop would be disrupted. Autoantibodies would bind to the TSH receptors, allowing them to
continue to produce thyroid hormones. As a result, there would be an overproduction of thyroid hormones
because the negative feedback system would be unable to function.
b. The feedback loop would be not be disrupted. Autoantibodies would bind to the TSH receptors, allowing them
to continue to produce thyroid hormones. As a result, there would be an overproduction of thyroid hormones
because the negative feedback system would be unable to function.
c. The feedback loop would be disrupted. Autoantibodies would not bind to the TSH receptors, allowing them to
continue to produce thyroid hormones. As a result, there would be an overproduction of thyroid hormones
because the negative feedback system would be unable to function.
d. The feedback loop would be disrupted. Autoantibodies would bind to the TSH receptors, allowing them to
continue to produce thyroid hormones. As a result, there would be an overproduction of thyroid hormones
because the negative feedback system was functional.
57. Myasthenia gravis is an autoimmune disease that initially presents with muscle weakness and can progress to complete
impairment of muscle movement. The diagram compares a healthy individual with an individual suffering from this
disease.
Chapter 33 | The Immune System 1641
Figure 33.40
Which statement best explains what happens to bring about this disease?
a. The body produces antibodies against nerve cells, which prevent the nerve cells from releasing acetylcholine
during signal transmissions to muscle.
b. The body produces antibodies against acetylcholine, which prevent acetylcholine from transmitting signals from
nerves to muscle.
c. The body produces antibodies against receptors in muscle, which prevent acetylcholine from binding and
completing nerve signal transmission.
d. The body produces antibodies against acetylcholine, which prevent acetylcholine from breaking down after
signal transmission is complete.
a. Describe the characteristics of a model of innate immunity that distinguishes wellness from un-wellness without
the specificity of antigen receptors.
Autoimmunity is the breakdown in the immune system’s ability to distinguish self from non-self. The list of
diseases categorized as autoimmune diseases grows, as does the intensity of research into the causes. One
criterion for classification as an autoimmune disease is the presence of high antibody concentrations in the
blood. An auto-inflammatory disease is defined by chronic inflammation, unprovoked by an infection, when
antibody concentrations are not high. Consider the following:
◦ Macrophages and phagocytes share information with the adaptive immune system by displaying protein
fragments of their targets on their surfaces to communicate with T cells.
◦ The onset of autoimmune disease often follows an infection.
◦ After an infection has passed, tissue must be repaired, and macrophages and phagocytes remain active in
the affected tissue, often leading to chronic inflammation.
◦ Type 2 diabetes, traditionally categorized as a metabolic disease, begins as chronic inflammation and is
now classified as an autoimmune disease by many scientists.
◦ Autophagy is induced by stresses such as starvation.
b. Evaluate the strength of the question, do cell fragments produced by the innate immune response during
inflammation communicate self as non-self to T cells leading to autoimmunity?
In the “fight-or-flight” response, neural signals are sent to the adrenal gland activating the release of epinephrine.
Epinephrine increases metabolic activity, heart rate, and alertness. The activation of the endocrine system by the
nervous system has been positively selected by survival in response to threat.
c. Describe a model for the evolution of the activation of immune system by the nervous system in an environment
in which wounds are frequent and potentially lethal. Include the selection process in your description.
In the famous experiment of Pavlov, a reward (unconditioned stimulus) received synchronously with a bell
(conditioned stimulus) became associated in the mind of the dog. After a few repetitions, the response of the dog
to the bell was to drool. The digestive system had been activated by the nervous system through a conditioned
stimulus.
An emerging area of research is psychoneuroimmunology, the study of the relationship between the immune
system and the nervous system. Exton and co-workers (Brain Behavioral Research, 110, 2000) have shown that
a reward (an injection of epinephrine) received synchronously with candy (conditioned stimulus) become
associated through repetition. The response of the patient to a shot of epinephrine is the proliferation of natural
killer, NK, cells (a cell type of the innate immune system). After conditioning, the patient displayed an increase
in NK cells in response to the candy.
The drug cyclosporine is used to suppress immune rejection of organ transplants by inhibiting production of
interleukin, a cytokine messenger that increases expression in T cells.
d. Design an experiment to test the use of conditioning using the administration of cyclosporine as the
unconditioned stimulus and sugar water as the conditioned stimulus by measuring the blood concentration of
interleukin. Assume that interleukin is flushed from the blood in a single day. In your design include a vehicle
control where conditions are identical to the treatment and a “do-nothing” or naïve control.
Chapter 34 | Animal Reproduction and Development* (*optional) 1643
34 | ANIMAL
REPRODUCTION AND
DEVELOPMENT
(OPTIONAL)
Figure 34.1 Female seahorses produce eggs for reproduction that are then fertilized by the male. Unlike almost all
other animals, the male seahorse then gestates the young until birth. (credit: modification of work by "cliff1066"/Flickr)
Chapter Outline
34.1: Reproduction Methods
34.2: Fertilization
34.3: Human Reproductive Anatomy and Gametogenesis
34.4: Hormonal Control of Human Reproduction
34.5: Fertilization and Early Embryonic Development
34.6: Organogenesis and Vertebrate Formation
34.7: Human Pregnancy and Birth
Introduction
Animal reproduction is necessary for the survival of a species. In the animal kingdom, there are innumerable ways that
species reproduce. Asexual reproduction produces genetically identical organisms (clones), whereas in sexual reproduction,
1644 Chapter 34 | Animal Reproduction and Development* (*optional)
the genetic material of two individuals combines to produce offspring that are genetically different from their parents.
During sexual reproduction the male gamete (sperm) may be placed inside the female’s body for internal fertilization, or
the sperm and eggs may be released into the environment for external fertilization. Seahorses, like the one shown in Figure
34.1, are an example of the latter. Following a mating dance, the female lays eggs in the male seahorse’s abdominal brood
pouch where they are fertilized. The eggs hatch and the offspring develop in the pouch for several weeks.
Some animals are able to reproduce asexually by a process called parthenogenesis. While this process is common in
invertebrate animals, it is rare in vertebrates. At first scientists thought that vertebrate parthenogenesis happened only with
captive animals, such as birds, snakes, and sharks; however, it was recently discovered that about one in five smalltooth
sawfish in Florida is the result of parthenogenesis. This species of fish is endangered, and researchers suspect that this form
of reproduction may be an adaptation to help keep the species from going extinct. You can read more about this exciting
research here (http://openstaxcollege.org/l/32ocgiant) .
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
Chapter 34 | Animal Reproduction and Development* (*optional) 1645
Asexual Reproduction
Asexual reproduction occurs in prokaryotic microorganisms (bacteria) and in some eukaryotic single-celled and multi-
celled organisms. There are several ways that animals reproduce asexually.
Fission
Fission, also called binary fission, occurs in prokaryotic microorganisms and in some invertebrate, multi-celled organisms.
After a period of growth, an organism splits into two separate organisms. Some unicellular eukaryotic organisms undergo
binary fission by mitosis. In other organisms, part of the individual separates and forms a second individual. This process
occurs, for example, in many asteroid echinoderms through splitting of the central disk. Some sea anemones and some coral
polyps (Figure 34.2) also reproduce through fission.
Figure 34.2 Coral polyps reproduce asexually by fission. (credit: G. P. Schmahl, NOAA FGBNMS Manager)
Budding
Budding is a form of asexual reproduction that results from the outgrowth of a part of a cell or body region leading to a
separation from the original organism into two individuals. Budding occurs commonly in some invertebrate animals such
as corals and hydras. In hydras, a bud forms that develops into an adult and breaks away from the main body, as illustrated
in Figure 34.3, whereas in coral budding, the bud does not detach and multiplies as part of a new colony.
1646 Chapter 34 | Animal Reproduction and Development* (*optional)
c. genetically unique
d. smaller in size
Fragmentation
Fragmentation is the breaking of the body into two parts with subsequent regeneration. If the animal is capable of
fragmentation, and the part is big enough, a separate individual will regrow.
For example, in many sea stars, asexual reproduction is accomplished by fragmentation. Figure 34.4 illustrates a sea star for
which an arm of the individual is broken off and regenerates a new sea star. Fisheries workers have been known to try to kill
the sea stars eating their clam or oyster beds by cutting them in half and throwing them back into the ocean. Unfortunately
for the workers, the two parts can each regenerate a new half, resulting in twice as many sea stars to prey upon the oysters
and clams. Fragmentation also occurs in annelid worms, turbellarians, and poriferans.
Chapter 34 | Animal Reproduction and Development* (*optional) 1647
Figure 34.4 Sea stars can reproduce through fragmentation. The large arm, a fragment from another sea star, is
developing into a new individual.
Note that in fragmentation, there is generally a noticeable difference in the size of the individuals, whereas in fission, two
individuals of approximately the same size are formed.
Parthenogenesis
Parthenogenesis is a form of asexual reproduction where an egg develops into a complete individual without being
fertilized. The resulting offspring can be either haploid or diploid, depending on the process and the species.
Parthenogenesis occurs in invertebrates such as water flees, rotifers, aphids, stick insects, some ants, wasps, and bees. Bees
use parthenogenesis to produce haploid males (drones) and diploid females (workers). If an egg is fertilized, a queen is
produced. The queen bee controls the reproduction of the hive bees to regulate the type of bee produced.
Some vertebrate animals—such as certain reptiles, amphibians, and fish—also reproduce through parthenogenesis.
Although more common in plants, parthenogenesis has been observed in animal species that were segregated by sex
in terrestrial or marine zoos. Two female Komodo dragons, a hammerhead shark, and a blacktop shark have produced
parthenogenic young when the females have been isolated from males.
Sexual Reproduction
Sexual reproduction is the combination of (usually haploid) reproductive cells from two individuals to form a third (usually
diploid) unique offspring. Sexual reproduction produces offspring with novel combinations of genes. This can be an
adaptive advantage in unstable or unpredictable environments. As humans, we are used to thinking of animals as having two
separate sexes—male and female—determined at conception. However, in the animal kingdom, there are many variations
on this theme.
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based, Investigation 7: Cell Division: Mitosis and Meiosis. Design
and conduct a series of experiments to investigate how eukaryotic cells divide to produce genetically
identical cells or to produce gametes with half the normal DNA.
Think About It
Why is sexual reproduction useful if two separate cells must be combined to form a third?
Hermaphroditism
Hermaphroditism occurs in animals where one individual has both male and female reproductive parts. Invertebrates such
as earthworms, slugs, tapeworms and snails, shown in Figure 34.5, are often hermaphroditic. Hermaphrodites may self-
1648 Chapter 34 | Animal Reproduction and Development* (*optional)
fertilize or they may with another of their species, in which case the individuals fertilize each other and both produce
offspring. Self fertilization is common in animals that have limited mobility or are not motile, such as barnacles and clams.
Figure 34.5 Many snails are hermaphrodites. When two individuals mate, they can produce up to one hundred eggs
each. (credit: Assaf Shtilman)
Sex Determination
Mammalian sex determination is determined genetically by the presence of X and Y chromosomes. Individuals homozygous
for X (XX) are female and heterozygous individuals (XY) are male. The presence of a Y chromosome causes the
development of male characteristics and its absence results in female characteristics. The XY system is also found in some
insects and plants.
Avian sex determination is dependent on the presence of Z and W chromosomes. Homozygous for Z (ZZ) results in a male
and heterozygous (ZW) results in a female. The W appears to be essential in determining the sex of the individual, similar
to the Y chromosome in mammals. Some fish, crustaceans, insects (such as butterflies and moths), and reptiles use this
system.
The sex of some species is not determined by genetics but by some aspect of the environment. Sex determination in some
crocodiles and turtles, for example, is often dependent on the temperature during critical periods of egg development. This
is referred to as environmental sex determination, or more specifically as temperature-dependent sex determination. In
many turtles, cooler temperatures during egg incubation produce males and warm temperatures produce females. In some
crocodiles, moderate temperatures produce males and both warm and cool temperatures produce females. In some species,
sex is both genetic- and temperature-dependent.
Individuals of some species change their sex during their lives, alternating between male and female. If the individual is
female first, it is termed protogyny or first female; if it is male first, its termed protandry or first male. Oysters, for example,
are born male, grow, and become female and lay eggs; some oyster species change sex multiple times.
Chapter 34 | Animal Reproduction and Development* (*optional) 1649
The temperature during incubation determines the sex of loggerhead sea turtles while they develop in their
eggs. If the temperature is warm enough, all will be females. If the temperature is cooler, all will be males.
If the temperature is just right, called the pivotal temperature, then there will be about half females and half
males.
Figure 34.6 (credit: Hillebrand Steve, U.S. Fish and Wildlife Service)
Many species of plants, including the sunflower pictured here, are capable of self-fertilization. If pollination
does not occur with the help of pollinating insects, the stigma of the flower will wrap itself around the pollen
of the same flower. Although self-fertilization forms seeds by meiosis, all of the resulting plants will be
identical. In other words, self-fertilization decreases genetic diversity.
The sex of some crocodiles and turtles is dependent on the temperature during critical points in egg development. How
1650 Chapter 34 | Animal Reproduction and Development* (*optional)
Section Summary
Reproduction may be asexual when one individual produces genetically identical offspring, or sexual when the genetic
material from two individuals is combined to produce genetically diverse offspring. Asexual reproduction occurs through
fission, budding, and fragmentation. Sexual reproduction may mean the joining of sperm and eggs within animals' bodies
or it may mean the release of sperm and eggs into the environment. An individual may be one sex, or both; it may start out
as one sex and switch during its life, or it may stay male or female.
34.2 | Fertilization
In this section, you will explore the following questions:
• What are the differences between internal and external methods of fertilization?
• What are examples of methods animals use for development of offspring during gestation?
• What are examples of anatomical adaptations that evolved in animals to facilitate reproduction?
External Fertilization
External fertilization usually occurs in aquatic environments where both eggs and sperm are released into the water. After
the sperm reaches the egg, fertilization takes place. Most external fertilization happens during the process of spawning
where one or several females release their eggs and the male(s) release sperm in the same area, at the same time. The release
of the reproductive material may be triggered by water temperature or the length of daylight. Nearly all fish spawn, as
do crustaceans (such as crabs and shrimp), mollusks (such as oysters), squid, and echinoderms (such as sea urchins and
sea cucumbers). Figure 34.8 shows salmon spawning in a shallow stream. Frogs, like those shown in Figure 34.9, corals,
mayflies, and mosquitoes also spawn.
Chapter 34 | Animal Reproduction and Development* (*optional) 1651
Figure 34.9 During sexual reproduction in toads, the male grasps the female from behind and externally fertilizes the
eggs as they are deposited. (credit: "OakleyOriginals"/Flickr)
Pairs of fish that are not broadcast spawners may exhibit courtship behavior. This allows the female to select a particular
male. The trigger for egg and sperm release (spawning) causes the egg and sperm to be placed in a small area, enhancing
the possibility of fertilization.
External fertilization in an aquatic environment protects the eggs from drying out. Broadcast spawning can result in a
greater mixture of the genes within a group, leading to higher genetic diversity and a greater chance of species survival in a
hostile environment. For sessile aquatic organisms like sponges, broadcast spawning is the only mechanism for fertilization
and colonization of new environments. The presence of the fertilized eggs and developing young in the water provides
opportunities for predation resulting in a loss of offspring. Therefore, millions of eggs must be produced by individuals,
and the offspring produced through this method must mature rapidly. The survival rate of eggs produced through broadcast
spawning is low.
Internal Fertilization
Internal fertilization occurs most often in land-based animals, although some aquatic animals also use this method. There
are three ways that offspring are produced following internal fertilization. In oviparity, fertilized eggs are laid outside the
female’s body and develop there, receiving nourishment from the yolk that is a part of the egg. This occurs in most bony
fish, many reptiles, some cartilaginous fish, most amphibians, two mammals, and all birds. Reptiles and insects produce
leathery eggs, while birds and turtles produce eggs with high concentrations of calcium carbonate in the shell, making them
hard. Chicken eggs are an example of this second type.
1652 Chapter 34 | Animal Reproduction and Development* (*optional)
In ovoviparity, fertilized eggs are retained in the female, but the embryo obtains its nourishment from the egg’s yolk and
the young are fully developed when they are hatched. This occurs in some bony fish (like the guppy Lebistes reticulatus),
some sharks, some lizards, some snakes (such as the garter snake Thamnophis sirtalis), some vipers, and some invertebrate
animals (like the Madagascar hissing cockroach Gromphadorhina portentosa).
In viviparity, the young develop within the female, receiving nourishment from the mother’s blood through a placenta.
The offspring develops in the female and is born alive. This occurs in most mammals, some cartilaginous fish, and a few
reptiles.
Internal fertilization has the advantage of protecting the fertilized egg from dehydration on land. The embryo is isolated
within the female, which limits predation on the young. Internal fertilization enhances the fertilization of eggs by a specific
male. Fewer offspring are produced through this method, but their survival rate is higher than that for external fertilization.
Think About It
The measure of an individual’s reproductive success is based on its ability to produce offspring. What adaptations
would a male have to have to be reproductively successful if his species uses external fertilization? Internal
fertilization?
Section Summary
Sexual reproduction starts with the combination of a sperm and an egg in a process called fertilization. This can occur
either outside the bodies or inside the female. Both methods have advantages and disadvantages. Once fertilized, the eggs
can develop inside the female or outside. If the egg develops outside the body, it usually has a protective covering over it.
Animal anatomy evolved various ways to fertilize, hold, or expel the egg. The method of fertilization varies among animals.
Some species release the egg and sperm into the environment, some species retain the egg and receive the sperm into the
female body and then expel the developing embryo covered with the shell, while still other species retain the developing
offspring through the gestation period.
Chapter 34 | Animal Reproduction and Development* (*optional) 1653
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Heritable information provides for continuity of life.
3.A
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
3.9 The student is able to construct an explanation, using visual representations or
Learning
narratives, as to how DNA in chromosomes is transmitted to the next generation via mitosis,
Objective
or meiosis followed by fertilization.
Essential 3.A.2 In eukaryotes, heritable information is passed to the next generation via processes that
Knowledge include the cell cycle and mitosis or meiosis plus fertilization.
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.10 The student is able to represent the connection between meiosis and increased genetic
Objective diversity necessary for evolution.
Figure 34.10 The reproductive structures of the human male are shown.
Which of the following statements about the male reproductive system is FALSE?
a. The vas deferens carries sperm from the testes to the penis.
b. Sperm mature in seminiferous tubules in the testes.
c. Both the prostate and the bulbourethral glands produce parts of the semen.
d. The prostate gland is located in the testes.
Sperm mature in seminiferous tubules that are coiled inside the testes, as illustrated in Figure 34.10. The walls of the
seminiferous tubules are made up of the developing sperm cells, with the least developed sperm at the periphery of the
tubule and the fully developed sperm in the lumen. The sperm cells are mixed with nursemaid cells called Sertoli cells,
which protect the germ cells and promote their development. Other cells mixed in the wall of the tubules are the interstitial
cells of Leydig. These cells produce high levels of testosterone once the male reaches adolescence.
When the sperm have developed flagella and are nearly mature, they leave the testicles and enter the epididymis, shown in
Figure 34.10. This structure resembles a comma and lies along the top and posterior portion of the testes; it is the site of
sperm maturation. The sperm leave the epididymis and enter the vas deferens (or ductus deferens), which carries the sperm,
behind the bladder, and forms the ejaculatory duct with the duct from the seminal vesicles. During a vasectomy, a section
of the vas deferens is removed, preventing sperm from being passed out of the body during ejaculation and preventing
fertilization.
Semen is a mixture of sperm and spermatic duct secretions (about 10 percent of the total) and fluids from accessory glands
that contribute most of the semen’s volume. Sperm are haploid cells, consisting of a flagellum as a tail, a neck that contains
the cell’s energy-producing mitochondria, and a head that contains the genetic material. Figure 34.11 shows a micrograph of
human sperm as well as a diagram of the parts of the sperm. An acrosome is found at the top of the head of the sperm. This
Chapter 34 | Animal Reproduction and Development* (*optional) 1655
structure has lysosomal enzymes that can digest the protective coverings that surround the egg to help the sperm penetrate
and fertilize the egg. An ejaculate will contain from two to five milliliters of fluid with 50 to 120 million sperm per milliliter.
Figure 34.11 Human sperm, visualized using scanning electron microscopy, have a flagellum, neck, and head. (credit
b: modification of work by Mariana Ruiz Villareal; scale-bar data from Matt Russell)
The bulk of the semen comes from the accessory glands associated with the male reproductive system. These are the seminal
vesicles, the prostate gland, and the bulbourethral gland, all of which are illustrated in Figure 34.10. The seminal vesicles
are a pair of glands that lie along the posterior border of the urinary bladder. The glands make a solution that is thick,
yellowish, and alkaline. As sperm are only motile in an alkaline environment, a basic pH is important to reverse the acidity
of the vaginal environment. The solution also contains mucus, fructose (a sperm mitochondrial nutrient), a coagulating
enzyme, ascorbic acid, and local-acting hormones called prostaglandins. The seminal vesicle glands account for 60 percent
of the bulk of semen.
The penis, illustrated in Figure 34.10, is an organ that drains urine from the renal bladder and functions as a copulatory
organ during intercourse. The penis contains three tubes of erectile tissue running through the length of the organ. These
consist of a pair of tubes on the dorsal side, called the corpus cavernosum, and a single tube of tissue on the ventral side,
called the corpus spongiosum. This tissue will become engorged with blood, becoming erect and hard, in preparation for
intercourse. The organ is inserted into the vagina culminating with an ejaculation. During intercourse, the smooth muscle
sphincters at the opening to the renal bladder close and prevent urine from entering the penis. An orgasm is a two-stage
process: first, glands and accessory organs connected to the testes contract, then semen (containing sperm) is expelled
through the urethra during ejaculation. After intercourse, the blood drains from the erectile tissue and the penis becomes
flaccid.
The walnut-shaped prostate gland surrounds the urethra, the connection to the urinary bladder. It has a series of short ducts
that directly connect to the urethra. The gland is a mixture of smooth muscle and glandular tissue. The muscle provides
much of the force needed for ejaculation to occur. The glandular tissue makes a thin, milky fluid that contains citrate (a
nutrient), enzymes, and prostate specific antigen (PSA). PSA is a proteolytic enzyme that helps to liquefy the ejaculate
several minutes after release from the male. Prostate gland secretions account for about 30 percent of the bulk of semen.
The bulbourethral gland, or Cowper’s gland, releases its secretion before the release of the bulk of the semen. It neutralizes
any acid residue in the urethra left over from urine. This usually accounts for a couple of drops of fluid in the total ejaculate
and may contain a few sperm. Withdrawal of the penis from the vagina before ejaculation to prevent pregnancy may not
work if sperm are present in the bulbourethral gland secretions. The location and functions of the male reproductive organs
are summarized in Table 34.1.
Table 34.1
1656 Chapter 34 | Animal Reproduction and Development* (*optional)
Table 34.1
Figure 34.12 The reproductive structures of the human female are shown. (credit a: modification of work by Gray's
Anatomy; credit b: modification of work by CDC)
Table 34.2
Chapter 34 | Animal Reproduction and Development* (*optional) 1657
Table 34.2
The breasts consist of mammary glands and fat. The size of the breast is determined by the amount of fat deposited behind
the gland. Each gland consists of 15 to 25 lobes that have ducts that empty at the nipple and that supply the nursing child
with nutrient- and antibody-rich milk to aid development and protect the child.
Internal female reproductive structures include ovaries, oviducts, the uterus, and the vagina, shown in Figure 34.12. The
pair of ovaries is held in place in the abdominal cavity by a system of ligaments. Ovaries consist of a medulla and cortex:
the medulla has nerves and blood vessels to supply the cortex with nutrients and remove waste. The outer layers of cells of
the cortex are the functional parts of the ovaries. The cortex is made up of follicular cells that surround eggs that develop
during fetal development in utero. During the menstrual period, a batch of follicular cells develops and prepares the eggs
for release. At ovulation, one follicle ruptures and one egg is released, as illustrated in Figure 34.13a.
Figure 34.13 Oocytes develop in (a) follicles, located in the ovary. At the beginning of the menstrual cycle, the follicle
matures. At ovulation, the follicle ruptures, releasing the egg. The follicle becomes a corpus luteum, which eventually
degenerates. The (b) follicle in this light micrograph has an oocyte at its center. (credit a: modification of work by NIH;
scale-bar data from Matt Russell)
The oviducts, or fallopian tubes, extend from the uterus in the lower abdominal cavity to the ovaries, but they are not in
contact with the ovaries. The lateral ends of the oviducts flare out into a trumpet-like structure and have a fringe of finger-
like projections called fimbriae, illustrated in Figure 34.12b. When an egg is released at ovulation, the fimbriae help the
non-motile egg enter into the tube and passage to the uterus. The walls of the oviducts are ciliated and are made up mostly
of smooth muscle. The cilia beat toward the middle, and the smooth muscle contracts in the same direction, moving the
egg toward the uterus. Fertilization usually takes place within the oviducts and the developing embryo is moved toward the
uterus for development. It usually takes the egg or embryo a week to travel through the oviduct. Sterilization in women is
called a tubal ligation; it is analogous to a vasectomy in males in that the oviducts are severed and sealed.
The uterus is a structure about the size of a woman’s fist. It is lined with an endometrium rich in blood vessels and mucus
glands. The uterus supports the developing embryo and fetus during gestation. The thickest portion of the wall of the uterus
is made of smooth muscle. Contractions of the smooth muscle in the uterus aid in passing the baby through the vagina during
labor. A portion of the lining of the uterus sloughs off during each menstrual period, and then builds up again in preparation
for an implantation. Part of the uterus, called the cervix, protrudes into the top of the vagina. The cervix functions as the
birth canal.
The vagina is a muscular tube that serves several purposes. It allows menstrual flow to leave the body. It is the receptacle
for the penis during intercourse and the vessel for the delivery of offspring. It is lined by stratified squamous epithelial cells
1658 Chapter 34 | Animal Reproduction and Development* (*optional)
Figure 34.14 During spermatogenesis, four sperm result from each primary spermatocyte.
Spermatogenesis, illustrated in Figure 34.14, occurs in the wall of the seminiferous tubules (Figure 34.10), with stem cells
at the periphery of the tube and the spermatozoa at the lumen of the tube. Immediately under the capsule of the tubule are
diploid, undifferentiated cells. These stem cells, called spermatogonia (singular: spermatagonium), go through mitosis with
Chapter 34 | Animal Reproduction and Development* (*optional) 1659
one offspring going on to differentiate into a sperm cell and the other giving rise to the next generation of sperm.
Meiosis starts with a cell called a primary spermatocyte. At the end of the first meiotic division, a haploid cell is produced
called a secondary spermatocyte. This cell is haploid and must go through another meiotic cell division. The cell produced
at the end of meiosis is called a spermatid and when it reaches the lumen of the tubule and grows a flagellum, it is called a
sperm cell. Four sperm result from each primary spermatocyte that goes through meiosis.
Stem cells are deposited during gestation and are present at birth through the beginning of adolescence, but in an inactive
state. During adolescence, gonadotropic hormones from the anterior pituitary cause the activation of these cells and the
production of viable sperm. This continues into old age.
a. spermatogonia
b. primary spermatocytes
c. secondary spermatocytes
d. spermatids
Oogenesis
Oogenesis, illustrated in Figure 34.15, occurs in the outermost layers of the ovaries. As with sperm production, oogenesis
starts with a germ cell, called an oogonium (plural: oogonia), but this cell undergoes mitosis to increase in number,
eventually resulting in up to about one to two million cells in the embryo.
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Figure 34.15 The process of oogenesis occurs in the ovary’s outermost layer.
The cell starting meiosis is called a primary oocyte, as shown in Figure 34.15. This cell will start the first meiotic division
and be arrested in its progress in the first prophase stage. At the time of birth, all future eggs are in the prophase stage. At
adolescence, anterior pituitary hormones cause the development of many follicles in an ovary. This results in the primary
oocyte finishing the first meiotic division. The cell divides unequally, with most of the cellular material and organelles
going to one cell, called a secondary oocyte, and only one set of chromosomes and a small amount of cytoplasm going to
the other cell. This second cell is called a polar body and usually dies. A secondary meiotic arrest occurs, this time at the
metaphase II stage. At ovulation, this secondary oocyte will be released and travel toward the uterus through the oviduct. If
the secondary oocyte is fertilized, the cell continues through the meiosis II, producing a second polar body and a fertilized
egg containing all 46 chromosomes of a human being, half of them coming from the sperm.
Egg production begins before birth, is arrested during meiosis until puberty, and then individual cells continue through at
each menstrual cycle. One egg is produced from each meiotic process, with the extra chromosomes and chromatids going
into polar bodies that degenerate and are reabsorbed by the body.
Think About It
Compare spermatogenesis and oogenesis as to the timing of the processes and the number and type of cells finally
produced.
Section Summary
As animals became more complex, specific organs and organ systems developed to support specific functions for the
organism. The reproductive structures that evolved in land animals allow males and females to mate, fertilize internally,
and support the growth and development of offspring. Processes developed to produce reproductive cells that had exactly
half the number of chromosomes of each parent so that new combinations would have the appropriate amount of genetic
material. Gametogenesis, the production of sperm (spermatogenesis) and eggs (oogenesis), takes place through the process
of meiosis.
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Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.16 The student is able to connect how organisms use negative feedback to maintain their
Objective internal environments.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 2.17 The student is able to evaluate data that show the effect(s) of changes in concentration
Objective of key molecules on negative feedback mechanisms.
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Cells communicate by generating, transmitting and receiving chemical signals.
3.D
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
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Learning 3.34 The student is able to construct explanations of cell communication through cell-to-cell
Objective direct contact or through chemical signaling.
Essential 3.D.2 Cells communicate with each other through direct contact with other cells or from a
Knowledge distance via chemical signaling.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Learning 3.35 The student is able to create representation(s) that depict how cell-to-cell
Objective communication occurs by direct contact or from a distance through chemical signaling.
Male Hormones
At the onset of puberty, the hypothalamus causes the release of follicle stimulating hormone (FSH) and luteinizing
hormone (LH) into the male system for the first time. FSH enters the testes and stimulates the Sertoli cells to begin
facilitating spermatogenesis using negative feedback, as illustrated in Figure 34.16. LH also enters the testes and stimulates
the interstitial cells of Leydig to make and release testosterone into the testes and the blood.
Testosterone, the hormone responsible for the secondary sexual characteristics that develop in the male during adolescence,
stimulates spermatogenesis. These secondary sex characteristics include a deepening of the voice; the growth of facial,
axillary, and pubic hair; and the beginnings of the sex drive.
A negative feedback system occurs in the male with rising levels of testosterone acting on the hypothalamus and anterior
pituitary to inhibit the release of gonadotropin-releasing hormone (GnRH), FSH, and LH. The Sertoli cells produce the
hormone inhibin, which is released into the blood when the sperm count is too high. This inhibits the release of GnRH and
FSH, which will cause spermatogenesis to slow down. If the sperm count reaches 20 million/ml, the Sertoli cells cease the
release of inhibin, and the sperm count increases.
Female Hormones
The control of reproduction in females is more complex. As with the male, the anterior pituitary hormones cause the release
of the hormones FSH and LH. In addition, estrogens and progesterone are released from the developing follicles. Estrogen
is the reproductive hormone in females that assists in endometrial regrowth, ovulation, and calcium absorption; it is also
responsible for the secondary sexual characteristics of females. These include breast development, flaring of the hips, and a
shorter period necessary for bone maturation. Progesterone assists in endometrial re-growth and inhibition of FSH and LH
release.
In females, FSH stimulates development of egg cells, called ova, which develop in structures called follicles. Follicle cells
produce the hormone inhibin, which inhibits FSH production. LH also plays a role in the development of ova, induction of
ovulation, and stimulation of estradiol and progesterone production by the ovaries. Estradiol and progesterone are steroid
hormones that prepare the body for pregnancy. Estradiol produces secondary sex characteristics in females, while both
estradiol and progesterone regulate the menstrual cycle.
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Figure 34.17 The ovarian and menstrual cycles of female reproduction are regulated by hormones produced by
the hypothalamus, pituitary, and ovaries.
Which of the following statements about hormone regulation of the female reproductive cycle is TRUE?
a. LH and FSH are produced in the ovaries, and estradiol and progesterone are produced in the pituitary.
b. Estradiol and progesterone secreted from the corpus luteum cause the myometrium to thicken.
c. Progesterone is produced by the corpus luteum.
d. Secretion of GnRH by the hypothalamus is inhibited by high levels of estradiol, but stimulated by low levels
of estradiol.
Just before the middle of the cycle (about day 14), the high level of estrogen causes FSH and especially LH to rise rapidly,
then fall. The spike in LH causes ovulation: the most mature follicle, like that shown in Figure 34.18, ruptures and releases
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its egg. The follicles that did not rupture degenerate and their eggs are lost. The level of estrogen decreases when the extra
follicles degenerate.
Figure 34.18 This mature egg follicle may rupture and release an egg. (credit: scale-bar data from Matt Russell)
Following ovulation, the ovarian cycle enters its luteal phase, illustrated in Figure 34.17 and the menstrual cycle enters its
secretory phase, both of which run from about day 15 to 28. The luteal and secretory phases refer to changes in the ruptured
follicle. The cells in the follicle undergo physical changes and produce a structure called a corpus luteum. The corpus
luteum produces estrogen and progesterone. The progesterone facilitates the regrowth of the uterine lining and inhibits the
release of further FSH and LH. The uterus is being prepared to accept a fertilized egg, should it occur during this cycle. The
inhibition of FSH and LH prevents any further eggs and follicles from developing, while the progesterone is elevated. The
level of estrogen produced by the corpus luteum increases to a steady level for the next few days.
If no fertilized egg is implanted into the uterus, the corpus luteum degenerates and the levels of estrogen and progesterone
decrease. The endometrium begins to degenerate as the progesterone levels drop, initiating the next menstrual cycle. The
decrease in progesterone also allows the hypothalamus to send GnRH to the anterior pituitary, releasing FSH and LH and
starting the cycles again. Figure 34.19 visually compares the ovarian and uterine cycles as well as the commensurate
hormone levels.
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Figure 34.19 Rising and falling hormone levels result in progression of the ovarian and menstrual cycles. (credit:
modification of work by Mikael Häggström)
Which of the following statements is true between days 0 and 28 of a single menstrual cycle?
a. Progesterone levels rise during the luteal phase of the ovarian cycle and the secretory phase of the uterine
cycle.
b. Menstruation occurs just after LH and FSH levels peak.
c. Menstruation occurs after progesterone levels drop.
d. Estrogen levels rise before ovulation, while progesterone levels rise after.
Think About It
What are the major events in the ovarian cycle leading up to ovulation, and how are these events regulated by negative
feedback mechanisms?
Menopause
As women approach their mid-40s to mid-50s, their ovaries begin to lose their sensitivity to FSH and LH. Menstrual periods
become less frequent and finally cease; this is menopause. There are still eggs and potential follicles on the ovaries, but
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without the stimulation of FSH and LH, they will not produce a viable egg to be released. The outcome of this is the inability
to have children.
The side effects of menopause may include hot flashes, heavy sweating (especially at night), headaches, some hair loss,
muscle pain, vaginal dryness, insomnia, depression, weight gain, and mood swings. Estrogen is involved in calcium
metabolism and, without it, blood levels of calcium decrease. To replenish the blood, calcium is lost from bone which
may decrease the bone density and lead to osteoporosis. Supplementation of estrogen in the form of hormone replacement
therapy (HRT) can prevent bone loss, but the therapy can have negative side effects. While HRT is thought to give some
protection from colon cancer, osteoporosis, heart disease, macular degeneration, and possibly depression, its negative side
effects include increased risk of stroke or heart attack, blood clots, breast cancer, ovarian cancer, endometrial cancer, gall
bladder disease, and possibly dementia.
Reproductive Endocrinologist
A reproductive endocrinologist is a physician who treats a variety of hormonal conditions related to
reproduction and infertility in both men and women. The conditions include menstrual problems, infertility,
pregnancy loss, sexual dysfunction, and menopause. Doctors may use fertility drugs, surgery, or assisted
reproductive techniques (ART) in their therapy. ART involves procedures to manipulate the egg or sperm to
facilitate reproduction, such as in vitro fertilization.
Reproductive endocrinologists undergo extensive medical training, first in a four-year residency in obstetrics
and gynecology, then in a three-year fellowship in reproductive endocrinology. To be board certified in this
area, the physician must pass written and oral exams in both areas.
Section Summary
The male and female reproductive cycles are controlled by hormones released from the hypothalamus and anterior pituitary
as well as hormones from reproductive tissues and organs. The hypothalamus monitors the need for the FSH and LH
hormones made and released from the anterior pituitary. FSH and LH affect reproductive structures to cause the formation
of sperm and the preparation of eggs for release and possible fertilization. In the male, FSH and LH stimulate Sertoli cells
and interstitial cells of Leydig in the testes to facilitate sperm production. The Leydig cells produce testosterone, which also
is responsible for the secondary sexual characteristics of males. In females, FSH and LH cause estrogen and progesterone to
be produced. They regulate the female reproductive system which is divided into the ovarian cycle and the menstrual cycle.
Menopause occurs when the ovaries lose their sensitivity to FSH and LH and the female reproductive cycles slow to a stop.
Fertilization
Fertilization, pictured in Figure 34.20a is the process in which gametes (an egg and sperm) fuse to form a zygote. The
egg and sperm each contain one set of chromosomes. To ensure that the offspring has only one complete diploid set
of chromosomes, only one sperm must fuse with one egg. In mammals, the egg is protected by a layer of extracellular
matrix consisting mainly of glycoproteins called the zona pellucida. When a sperm binds to the zona pellucida, a
series of biochemical events, called the acrosomal reactions, take place. In placental mammals, the acrosome contains
digestive enzymes that initiate the degradation of the glycoprotein matrix protecting the egg and allowing the sperm plasma
membrane to fuse with the egg plasma membrane, as illustrated in Figure 34.20b. The fusion of these two membranes
creates an opening through which the sperm nucleus is transferred into the ovum. The nuclear membranes of the egg and
sperm break down and the two haploid genomes condense to form a diploid genome.
Figure 34.20 (a) Fertilization is the process in which sperm and egg fuse to form a zygote. (b) Acrosomal reactions
help the sperm degrade the glycoprotein matrix protecting the egg and allow the sperm to transfer its nucleus. (credit:
(b) modification of work by Mariana Ruiz Villareal; scale-bar data from Matt Russell)
To ensure that no more than one sperm fertilizes the egg, once the acrosomal reactions take place at one location of the egg
membrane, the egg releases proteins in other locations to prevent other sperm from fusing with the egg. If this mechanism
fails, multiple sperm can fuse with the egg, resulting in polyspermy. The resulting embryo is not genetically viable and dies
within a few days.
Figure 34.21 (a) During cleavage, the zygote rapidly divides into multiple cells without increasing in size. (b) The
cells rearrange themselves to form a hollow ball with a fluid-filled or yolk-filled cavity called the blastula. (credit a:
modification of work by Gray’s Anatomy; credit b: modification of work by Pearson Scott Foresman, donated to the
Wikimedia Foundation)
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Cleavage can take place in two ways: holoblastic (total) cleavage or meroblastic (partial) cleavage. The type of cleavage
depends on the amount of yolk in the eggs. In placental mammals (including humans) where nourishment is provided by the
mother’s body, the eggs have a very small amount of yolk and undergo holoblastic cleavage. Other species, such as birds,
with a lot of yolk in the egg to nourish the embryo during development, undergo meroblastic cleavage.
In mammals, the blastula forms the blastocyst in the next stage of development. Here the cells in the blastula arrange
themselves in two layers: the inner cell mass, and an outer layer called the trophoblast. The inner cell mass is also known
as the embryoblast and this mass of cells will go on to form the embryo. At this stage of development, illustrated in Figure
34.22 the inner cell mass consists of embryonic stem cells that will differentiate into the different cell types needed by the
organism. The trophoblast will contribute to the placenta and nourish the embryo.
Figure 34.22 The rearrangement of the cells in the mammalian blastula to two layers—the inner cell mass and the
trophoblast—results in the formation of the blastocyst.
Visit the Virtual Human Embryo project (http://openstaxcollege.org/l/human_embryo) at the Endowment for
Human Development site to step through an interactive that shows the stages of embryo development, including
micrographs and rotating 3-D images.
Which early embryonic stage is characterized by a fluid-filled cavity with an inner cell mass surrounded by a layer of
cells?
a. blastocyst
b. blastula
c. blastocoel
d. gastrula
Gastrulation
The typical blastula is a ball of cells. The next stage in embryonic development is the formation of the body plan. The
cells in the blastula rearrange themselves spatially to form three layers of cells. This process is called gastrulation. During
gastrulation, the blastula folds upon itself to form the three layers of cells. Each of these layers is called a germ layer and
each germ layer differentiates into different organ systems.
The three germs layers, shown in Figure 34.23, are the endoderm, the ectoderm, and the mesoderm. The ectoderm gives
rise to the nervous system and the epidermis. The mesoderm gives rise to the muscle cells and connective tissue in the body.
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The endoderm gives rise to columnar cells found in the digestive system and many internal organs.
Figure 34.23 The three germ layers give rise to different cell types in the animal body. (credit: modification of work by
NIH, NCBI)
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Figure 34.24 This logo from the Second International Eugenics Conference in New York City in September of
1921 shows how eugenics attempted to merge several fields of study with the goal of producing a genetically
superior human race.
If you could prevent your child from getting a devastating genetic disease, would you do it? Would you select
the sex of your child or select for their attractiveness, strength, or intelligence? How far would you go to
maximize the possibility of resistance to disease? The genetic engineering of a human child, the production
of designer babies with desirable phenotypic characteristics, was once a topic restricted to science fiction.
This is the case no longer: science fiction is now overlapping into science fact. Many phenotypic choices
for offspring are already available, with many more likely to be possible in the not too distant future. Which
traits should be selected and how they should be selected are topics of much debate within the worldwide
medical community. The ethical and moral line is not always clear or agreed upon, and some fear that
modern reproductive technologies could lead to a new form of eugenics.
Eugenics is the use of information and technology from a variety of sources to improve the genetic
makeup of the human race. The goal of creating genetically superior humans was quite prevalent (although
controversial) in several countries during the early 20th century, but fell into disrepute when Nazi Germany
developed an extensive eugenics program in the 1930s and 40s. As part of their program, the Nazis forcibly
sterilized hundreds of thousands of the so-called unfit and killed tens of thousands of institutionally disabled
people as part of a systematic program to develop what they believed to be a genetically superior race of
Germans known as Aryans. Ever since, eugenic ideas have not been as publicly expressed, but there are
still those who promote them.
Efforts have been made in the past to control traits in human children using donated sperm from men with
desired traits. In fact, eugenicist Robert Klark Graham established a sperm bank in 1980 that included
samples exclusively from donors with high IQs. The genius sperm bank failed to capture the public's
imagination and the operation closed in 1999.
In more recent times, the procedure known as prenatal genetic diagnosis (PGD) has been developed. PGD
involves the screening of human embryos as part of the process of in vitro fertilization, during which embryos
are conceived and grown outside the mother's body for some period of time before they are implanted. The
term PGD usually refers to both the diagnosis, selection, and implantation of the selected embryos.
In the least controversial use of PGD, embryos are tested for the presence of alleles which cause genetic
diseases such as sickle cell disease, muscular dystrophy, and hemophilia, in which a single disease-causing
allele or pair of alleles has been identified. By excluding embryos containing these alleles from implantation
into the mother, the disease is prevented, and the unused embryos are either donated to science or
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discarded. There are relatively few in the worldwide medical community that question the ethics of this type
of procedure, which allows individuals scared to have children because of the alleles they carry to do so
successfully. The major limitation to this procedure is its expense. Not usually covered by medical insurance
and thus out of reach financially for most couples, only a very small percentage of all live births use such
complicated methodologies. Yet, even in cases like these where the ethical issues may seem clear-cut,
not everyone agrees with the morality of these types of procedures. For example, to those who take the
position that human life begins at conception, the discarding of unused embryos, a necessary result of PGD,
is unacceptable under any circumstances.
A murkier ethical situation is found in the selection of a child's sex, which is easily performed by PGD.
Currently, countries such as Great Britain have banned the selection of a child's sex for reasons other than
preventing sex-linked diseases. Other countries allow the procedure for family balancing, based on the
desire of some parents to have at least one child of each sex. Still others, including the United States, have
taken a scattershot approach to regulating these practices, essentially leaving it to the individual practicing
physician to decide which practices are acceptable and which are not.
Even murkier are rare instances of disabled parents, such as those with deafness or dwarfism, who select
embryos via PGD to ensure that they share their disability. These parents usually cite many positive aspects
of their disabilities and associated culture as reasons for their choice, which they see as their moral right. To
others, to purposely cause a disability in a child violates the basic medical principle of Primum non nocere,
or, first, do no harm. This procedure, although not illegal in most countries, demonstrates the complexity of
ethical issues associated with choosing genetic traits in offspring.
Where could this process lead? Will this technology become more affordable and how should it be used?
With the ability of technology to progress rapidly and unpredictably, a lack of definitive guidelines for the use
of reproductive technologies before they arise might make it difficult for legislators to keep pace once they
are in fact realized, assuming the process needs any government regulation at all. Other bioethicists argue
that we should only deal with technologies that exist now, and not in some uncertain future. They argue that
these types of procedures will always be expensive and rare, so the fears of eugenics and “master” races
are unfounded and overstated. The debate continues.
Prenatal genetic diagnosis (PGD) is often sought by parents before an embryo is implanted in the mother. Which of the
following cannot be diagnosed by PGD?
a. inheritance of sickle cell anemia
b. Down’s syndrome
c. determination of sex
d. inheritance of sexually transmitted diseases
Gastrulation leads to the formation of the three germ layers that give rise, during further development, to the different organs
in the animal body. This process is called organogenesis. Organogenesis is characterized by rapid and precise movements
of the cells within the embryo.
Organogenesis
Organs form from the germ layers through the process of differentiation. During differentiation, the embryonic stem cells
express specific sets of genes which will determine their ultimate cell type. For example, some cells in the ectoderm
will express the genes specific to skin cells. As a result, these cells will differentiate into epidermal cells. The process of
differentiation is regulated by cellular signaling cascades.
Scientists study organogenesis extensively in the lab in fruit flies (Drosophila) and the nematode Caenorhabditis elegans.
Drosophila have segments along their bodies, and the patterning associated with the segment formation has allowed
scientists to study which genes play important roles in organogenesis along the length of the embryo at different time points.
The nematode C. elegans has roughly 1,000 somatic cells and scientists have studied the fate of each of these cells during
their development in the nematode life cycle. There is little variation in patterns of cell lineage between individuals, unlike
in mammals where cell development from the embryo is dependent on cellular cues.
In vertebrates, one of the primary steps during organogenesis is the formation of the neural system. The ectoderm forms
epithelial cells and tissues, and neuronal tissues. During the formation of the neural system, special signaling molecules
called growth factors signal some cells at the edge of the ectoderm to become epidermis cells. The remaining cells in the
center form the neural plate. If the signaling by growth factors were disrupted, then the entire ectoderm would differentiate
into neural tissue.
The neural plate undergoes a series of cell movements where it rolls up and forms a tube called the neural tube, as
illustrated in Figure 34.25. In further development, the neural tube will give rise to the brain and the spinal cord.
Figure 34.25 The central region of the ectoderm forms the neural tube, which gives rise to the brain and the spinal
cord.
The mesoderm that lies on either side of the vertebrate neural tube will develop into the various connective tissues of the
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animal body. A spatial pattern of gene expression reorganizes the mesoderm into groups of cells called somites with spaces
between them. The somites, illustrated in Figure 34.26 will further develop into the ribs, lungs, and segmental (spine)
muscle. The mesoderm also forms a structure called the notochord, which is rod-shaped and forms the central axis of the
animal body.
Figure 34.26 In this five-week-old human embryo, somites are segments along the length of the body. (credit:
modification of work by Ed Uthman)
Figure 34.27 Animal bodies have three axes for symmetry. (credit: modification of work by NOAA)
How are these established? In one of the most seminal experiments ever to be carried out in developmental biology,
Spemann and Mangold took dorsal cells from one embryo and transplanted them into the belly region of another embryo.
They found that the transplanted embryo now had two notochords: one at the dorsal site from the original cells and another
at the transplanted site. This suggested that the dorsal cells were genetically programmed to form the notochord and define
the axis. Since then, researchers have identified many genes that are responsible for axis formation. Mutations in these genes
leads to the loss of symmetry required for organism development.
Animal bodies have externally visible symmetry. However, the internal organs are not symmetric. For example, the heart
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is on the left side and the liver on the right. The formation of the central left-right axis is an important process during
development. This internal asymmetry is established very early during development and involves many genes. Research is
still ongoing to fully understand the developmental implications of these genes.
Section Summary
Organogenesis is the formation of organs from the germ layers. Each germ layer gives rise to specific tissue types. The
first stage is the formation of the neural system in the ectoderm. The mesoderm gives rise to somites and the notochord.
Formation of vertebrate axis is another important developmental stage.
Biological systems utilize free energy and molecular building blocks to grow, to
Big Idea 2
reproduce, and to maintain dynamic homeostasis.
Enduring Organisms use feedback mechanisms to regulate growth and reproduction, and to
Understanding 2.C maintain dynamic homeostasis.
Essential 2.C.1 Organisms use feedback mechanisms to maintain their internal environments and
Knowledge respond to external environmental changes.
Science Practice 6.1 The student can justify claims with evidence.
Learning 2.20 The student is able to justify that positive feedback mechanisms amplify responses
Objective in organisms.
Human Gestation
Twenty-four hours before fertilization, the egg has finished meiosis and becomes a mature oocyte. When fertilized (at
conception) the egg becomes known as a zygote. The zygote travels through the oviduct to the uterus (Figure 34.28).
The developing embryo must implant into the wall of the uterus within seven days, or it will deteriorate and die. The
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outer layers of the zygote (blastocyst) grow into the endometrium by digesting the endometrial cells, and wound healing
of the endometrium closes up the blastocyst into the tissue. Another layer of the blastocyst, the chorion, begins releasing
a hormone called human beta chorionic gonadotropin (β-HCG) which makes its way to the corpus luteum and keeps
that structure active. This ensures adequate levels of progesterone that will maintain the endometrium of the uterus for
the support of the developing embryo. Pregnancy tests determine the level of β-HCG in urine or serum. If the hormone is
present, the test is positive.
Figure 34.28 In humans, fertilization occurs soon after the oocyte leaves the ovary. Implantation occurs eight or nine
days later.(credit: Ed Uthman)
The gestation period is divided into three equal periods or trimesters. During the first two to four weeks of the first trimester,
nutrition and waste are handled by the endometrial lining through diffusion. As the trimester progresses, the outer layer
of the embryo begins to merge with the endometrium, and the placenta forms. This organ takes over the nutrient and
waste needs of the embryo and fetus, with the mother’s blood passing nutrients to the placenta and removing waste from
it. Chemicals from the fetus, such as bilirubin, are processed by the mother’s liver for elimination. Some of the mother’s
immunoglobulins will pass through the placenta, providing passive immunity against some potential infections.
Internal organs and body structures begin to develop during the first trimester. By five weeks, limb buds, eyes, the heart, and
liver have been basically formed. By eight weeks, the term fetus applies, and the body is essentially formed, as shown in
Figure 34.29. The individual is about five centimeters (two inches) in length and many of the organs, such as the lungs and
liver, are not yet functioning. Exposure to any toxins is especially dangerous during the first trimester, as all of the body’s
organs and structures are going through initial development. Anything that affects that development can have a severe effect
on the fetus’ survival.
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Figure 34.29 Fetal development is shown at nine weeks of gestation. (credit: Ed Uthman)
During the second trimester, the fetus grows to about 30 cm (12 inches), as shown in Figure 34.30. It becomes active and
the mother usually feels the first movements. All organs and structures continue to develop. The placenta has taken over
the functions of nutrition and waste and the production of estrogen and progesterone from the corpus luteum, which has
degenerated. The placenta will continue functioning through the delivery of the baby.
Figure 34.30 This fetus is just entering the second trimester, when the placenta takes over more of the functions
performed as the fetus develops. (credit: National Museum of Health and Medicine)
During the third trimester, the fetus grows to 3 to 4 kg (6 ½ -8 ½ lbs.) and about 50 cm (19-20 inches) long, as illustrated
in Figure 34.31. This is the period of the most rapid growth during the pregnancy. Organ development continues to birth
(and some systems, such as the nervous system and liver, continue to develop after birth). The mother is usually at her most
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uncomfortable during this trimester. She may urinate frequently due to pressure on the bladder from the fetus. There may
also be intestinal blockage and circulatory problems, especially in her legs. Clots may form in her legs due to pressure from
the fetus on returning veins as they enter the abdominal cavity.
Figure 34.31 There is rapid fetal growth during the third trimester. (credit: modification of work by Gray’s Anatomy)
Visit this site (http://openstaxcollege.org/l/embryo_fetus) to see the stages of human fetal development.
In humans, by which week of gestation are all limbs and essential organs formed?
a. 5
b. 6
c. 7
d. 8
There are three stages to labor. During stage one, the cervix thins and dilates. This is necessary for the baby and placenta to
be expelled during birth. The cervix will eventually dilate to about 10 cm. During stage two, the baby is expelled from the
uterus. The uterus contracts and the mother pushes as she compresses her abdominal muscles to aid the delivery. The last
stage is the passage of the placenta after the baby has been born and the organ has completely disengaged from the uterine
wall. If labor should stop before stage two is reached, synthetic oxytocin can be administered to restart and maintain labor.
An alternative to labor and delivery is the surgical delivery of the baby through a procedure called a Caesarian section. This
is major abdominal surgery and can lead to post-surgical complications for the mother, but in some cases it may be the only
way to safely deliver the baby.
The mother’s mammary glands go through changes during the third trimester to prepare for lactation and breastfeeding.
When the baby begins suckling at the breast, signals are sent to the hypothalamus causing the release of prolactin from the
anterior pituitary. Prolactin causes the mammary glands to produce milk. Oxytocin is also released, promoting the release
of the milk. The milk has nutrients for the baby’s development and growth as well as immunoglobulins to protect the child
from bacterial and viral infections.
Contraceptive Methods
Failure Rate in Typical Use
Method Examples
Over 12 Months
male condom, female condom, sponge, cervical cap,
Barrier 15 to 24%
diaphragm, spermicides
Hormonal oral, patch, vaginal ring 8%
injection 3%
implant less than 1%
Other natural family planning 12 to 25%
withdrawal 27%
sterilization less than 1%
Table 34.3
Table 34.3 lists common methods of contraception. The failure rates listed are not the ideal rates that could be realized, but
the typical rates that occur. A failure rate is the number of pregnancies resulting from the method’s use over a 12-month
period. Barrier methods, such as condoms, cervical caps, and diaphragms, block sperm from entering the uterus, preventing
fertilization. Spermicides are chemicals that are placed in the vagina to kill sperm. Sponges, which are saturated with
spermicides, are placed in the vagina at the cervical opening. Combinations of spermicidal chemicals and barrier methods
achieve lower failure rates than do the methods when used separately.
Nearly a quarter of the couples using barrier methods, natural family planning, or withdrawal can expect a failure of the
method. Natural family planning is based on the monitoring of the menstrual cycle and having intercourse only during times
when the egg is not available. A woman’s body temperature may rise a degree Celsius at ovulation and the cervical mucus
may increase in volume and become more pliable. These changes give a general indication of when intercourse is more or
less likely to result in fertilization. Withdrawal involves the removal of the penis from the vagina during intercourse, before
ejaculation occurs. This is a risky method with a high failure rate due to the possible presence of sperm in the bulbourethral
gland’s secretion, which may enter the vagina prior to removing the penis.
Hormonal methods use synthetic progesterone (sometimes in combination with estrogen), to inhibit the hypothalamus from
releasing FSH or LH, and thus prevent an egg from being available for fertilization. The method of administering the
hormone affects failure rate. The most reliable method, with a failure rate of less than 1 percent, is the implantation of the
hormone under the skin. The same rate can be achieved through the sterilization procedures of vasectomy in the man or of
tubal ligation in the woman, or by using an intrauterine device (IUD). IUDs are inserted into the uterus and establish an
inflammatory condition that prevents fertilized eggs from implanting into the uterine wall.
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Compliance with the contraceptive method is a strong contributor to the success or failure rate of any particular method.
The only method that is completely effective at preventing conception is abstinence. The choice of contraceptive method
depends on the goals of the woman or couple. Tubal ligation and vasectomy are considered permanent prevention, while
other methods are reversible and provide short-term contraception.
Termination of an existing pregnancy can be spontaneous or voluntary. Spontaneous termination is a miscarriage and
usually occurs very early in the pregnancy, usually within the first few weeks. This occurs when the fetus cannot develop
properly and the gestation is naturally terminated. Voluntary termination of a pregnancy is an abortion. Laws regulating
abortion vary between states and tend to view fetal viability as the criteria for allowing or preventing the procedure.
Infertility
Infertility is the inability to conceive a child or carry a child to birth. About 75 percent of causes of infertility can be
identified; these include diseases, such as sexually transmitted diseases that can cause scarring of the reproductive tubes in
either men or women, or developmental problems frequently related to abnormal hormone levels in one of the individuals.
Inadequate nutrition, especially starvation, can delay menstruation. Stress can also lead to infertility. Short-term stress can
affect hormone levels, while long-term stress can delay puberty and cause less frequent menstrual cycles. Other factors that
affect fertility include toxins (such as cadmium), tobacco smoking, marijuana use, gonadal injuries, and aging.
If infertility is identified, several assisted reproductive technologies (ART) are available to aid conception. A common
type of ART is in vitro fertilization (IVF) where an egg and sperm are combined outside the body and then placed in the
uterus. Eggs are obtained from the woman after extensive hormonal treatments that prepare mature eggs for fertilization
and prepare the uterus for implantation of the fertilized egg. Sperm are obtained from the man and they are combined with
the eggs and supported through several cell divisions to ensure viability of the zygotes. When the embryos have reached
the eight-cell stage, one or more is implanted into the woman’s uterus. If fertilization is not accomplished by simple IVF,
a procedure that injects the sperm into an egg can be used. This is called intracytoplasmic sperm injection (ICSI) and is
shown in Figure 34.32. IVF procedures produce a surplus of fertilized eggs and embryos that can be frozen and stored for
future use. The procedures can also result in multiple births.
Figure 34.32 A sperm is inserted into an egg for fertilization during intracytoplasmic sperm injection (ICSI). (credit:
scale-bar data from Matt Russell)
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KEY TERMS
acrosomal reaction series of biochemical reactions that the sperm uses to break through the zona pellucida
amniote an organism whose embryo develops within a shelled egg with extraembryonic membranes
asexual reproduction form of reproduction that produces offspring that are genetically identical to the parent
blastocyst structure formed when cells in the mammalian blastula separate into an inner and outer layer
budding form of asexual reproduction that results from the outgrowth of a part of a cell leading to a separation from the
original animal into two individuals
cloaca common body opening for the digestive, excretory, and reproductive systems found in non-mammals, such as birds
estrogen reproductive hormone in females that assists in endometrial regrowth, ovulation, and calcium absorption
external fertilization fertilization of egg by sperm outside animal body, often during spawning
fission (also, binary fission) method by which multicellular organisms increase in size or asexual reproduction in which a
unicellular organism splits into two separate organisms by mitosis
follicle stimulating hormone (FSH) reproductive hormone that causes sperm production in men and follicle
development in women
fragmentation cutting or fragmenting of the original animal into parts and the growth of a separate animal from each part
gastrulation process in which the blastula folds over itself to form the three germ layers
gonadotropin-releasing hormone (GnRH) hormone from the hypothalamus that causes the release of FSH and LH
from the anterior pituitary
hermaphroditism state of having both male and female reproductive parts within the same individual
holoblastic complete cleavage; takes place in cells with a small amount of yolk
human beta chorionic gonadotropin (β-HCG) hormone produced by the chorion of the zygote that helps to maintain
the corpus luteum and elevated levels of progesterone
inhibin hormone made by Sertoli cells; provides negative feedback to hypothalamus in control of FSH and GnRH release
internal fertilization fertilization of egg by sperm inside the body of the female
luteinizing hormone (LH) reproductive hormone in both men and women, causes testosterone production in men and
ovulation and lactation in women
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menopause loss of reproductive capacity in women due to decreased sensitivity of the ovaries to FSH and LH
meroblastic partial cleavage; takes place in cells with a large amount of yolk
morning sickness condition in the mother during the first trimester; includes feelings of nausea
neural tube tube-like structure that forms from the ectoderm and gives rise to the brain and spinal cord
ovarian cycle cycle of preparation of egg for ovulation and the conversion of the follicle to the corpus luteum
oviduct (also, fallopian tube) muscular tube connecting the uterus with the ovary area
oviparity process by which fertilized eggs are laid outside the female’s body and develop there, receiving nourishment
from the yolk that is a part of the egg
ovoviparity process by which fertilized eggs are retained within the female; the embryo obtains its nourishment from the
egg’s yolk and the young are fully developed when they are hatched
parthenogenesis form of asexual reproduction where an egg develops into a complete individual without being
fertilized
placenta organ that supports the diffusion of nutrients and waste between the mother’s and fetus’ blood
progesterone reproductive hormone in women; assists in endometrial re-growth and inhibition of FSH and LH release
prostate gland structure that is a mixture of smooth muscle and glandular material and that contributes to semen
Sertoli cell cell in seminiferous tubules that assists developing sperm and makes inhibin
sexual reproduction mixing of genetic material from two individuals to produce genetically unique offspring
somite group of cells separated by small spaces that form from the mesoderm and give rise to connective tissue
testosterone reproductive hormone in men that assists in sperm production and promoting secondary sexual
characteristics
vagina muscular tube for the passage of menstrual flow, copulation, and birth of offspring
viviparity process in which the young develop within the female, receiving nourishment from the mother’s blood through
a placenta
CHAPTER SUMMARY
34.1 Reproduction Methods
Reproduction may be asexual when one individual produces genetically identical offspring, or sexual when the genetic
material from two individuals is combined to produce genetically diverse offspring. Asexual reproduction occurs through
fission, budding, and fragmentation. Sexual reproduction may mean the joining of sperm and eggs within animals' bodies
or it may mean the release of sperm and eggs into the environment. An individual may be one sex, or both; it may start out
as one sex and switch during its life, or it may stay male or female.
34.2 Fertilization
Sexual reproduction starts with the combination of a sperm and an egg in a process called fertilization. This can occur
either outside the bodies or inside the female. Both methods have advantages and disadvantages. Once fertilized, the eggs
can develop inside the female or outside. If the egg develops outside the body, it usually has a protective covering over it.
Animal anatomy evolved various ways to fertilize, hold, or expel the egg. The method of fertilization varies among
animals. Some species release the egg and sperm into the environment, some species retain the egg and receive the sperm
into the female body and then expel the developing embryo covered with the shell, while still other species retain the
developing offspring through the gestation period.
As animals became more complex, specific organs and organ systems developed to support specific functions for the
organism. The reproductive structures that evolved in land animals allow males and females to mate, fertilize internally,
and support the growth and development of offspring. Processes developed to produce reproductive cells that had exactly
half the number of chromosomes of each parent so that new combinations would have the appropriate amount of genetic
material. Gametogenesis, the production of sperm (spermatogenesis) and eggs (oogenesis), takes place through the process
of meiosis.
The male and female reproductive cycles are controlled by hormones released from the hypothalamus and anterior
pituitary as well as hormones from reproductive tissues and organs. The hypothalamus monitors the need for the FSH and
LH hormones made and released from the anterior pituitary. FSH and LH affect reproductive structures to cause the
formation of sperm and the preparation of eggs for release and possible fertilization. In the male, FSH and LH stimulate
Sertoli cells and interstitial cells of Leydig in the testes to facilitate sperm production. The Leydig cells produce
testosterone, which also is responsible for the secondary sexual characteristics of males. In females, FSH and LH cause
estrogen and progesterone to be produced. They regulate the female reproductive system which is divided into the ovarian
cycle and the menstrual cycle. Menopause occurs when the ovaries lose their sensitivity to FSH and LH and the female
reproductive cycles slow to a stop.
The early stages of embryonic development begin with fertilization. The process of fertilization is tightly controlled to
ensure that only one sperm fuses with one egg. After fertilization, the zygote undergoes cleavage to form the blastula. The
blastula, which in some species is a hollow ball of cells, undergoes a process called gastrulation, in which the three germ
layers form. The ectoderm gives rise to the nervous system and the epidermal skin cells, the mesoderm gives rise to the
muscle cells and connective tissue in the body, and the endoderm gives rise to columnar cells and internal organs.
Organogenesis is the formation of organs from the germ layers. Each germ layer gives rise to specific tissue types. The
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first stage is the formation of the neural system in the ectoderm. The mesoderm gives rise to somites and the notochord.
Formation of vertebrate axis is another important developmental stage.
Human pregnancy begins with fertilization of an egg and proceeds through the three trimesters of gestation. The labor
process has three stages (contractions, delivery of the fetus, expulsion of the placenta), each propelled by hormones. The
first trimester lays down the basic structures of the body, including the limb buds, heart, eyes, and the liver. The second
trimester continues the development of all of the organs and systems. The third trimester exhibits the greatest growth of
the fetus and culminates in labor and delivery. Prevention of a pregnancy can be accomplished through a variety of
methods including barriers, hormones, or other means. Assisted reproductive technologies may help individuals who have
infertility problems.
REVIEW QUESTIONS
1. Which method of reproduction produces identical offspring and is most successful in a stable environment?
a. asexual
b. sexual
c. conjugation
d. inbreeding
2. Which method produces genetically-unique offspring?
a. parthenogenesis
b. budding
c. fragmentation
d. sexual reproduction
3. Which of the following statements is FALSE?
a. Budding is a method of asexual reproduction.
b. Fragmentation is a method of asexual reproduction.
c. Parthenogenesis is a type of sexual reproduction that produces diverse offspring.
d. Binary fission is a method of asexual reproduction.
4. Sea stars are broken apart by workers to save the clams they feed on, and then thrown back into the ocean. Often the
numbers of sea stars are seen to double after this. Give the reason why this happens.
a. regeneration
b. fragmentation
c. budding
d. the presence of suitable conditions
5. Which form of reproduction might be used by a sexually reproducing animal that has limited mobility?
a. fragmentation
b. budding
c. hermaphroditism
d. parthenogenesis
6. In sexual reproduction in mammals, gametes with either an X or Y chromosome are formed in males, whereas gametes
in females have one of two possible X chromosomes. What is the nature of both male and female gametes?
a. diploid
b. haploid
c. homozygous
d. heterozygous
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a. fluid
b. LH
c. progesterone
d. GnRH
24. What characterizes the acrosomal reactions?
a. the sperm degrades the outermost layer of the egg to penetrate it
b. motility of the sperm
c. fusion of the egg and sperm
d. breakdown of the envelope covering the sperm head
25. What occurs as a result of fertilization of an egg and sperm?
a. Fertilization restores diploidy.
b. Fertilization always results in a viable embryo.
c. Fertilization merges two diploid cells into a haploid cell.
d. Fertilization precedes ovulation.
26. Which of the following statements about early embryonic stages is FALSE?
a. The endoderm, mesoderm, and ectoderm are germ layers.
b. The trophoblast is one of the germ layers.
c. The inner cell mass is a source of embryonic stem cells.
d. The blastula is often a hollow ball of cells.
27. Gastrulation is the process in which the cells in the blastula rearrange themselves and form three layers of cells. Each
layer will differentiate into a different organ system. At what point of development do the major organs begin to develop
in humans?
a. fertilization
b. first trimester
c. second trimester
d. third trimester
28. What happens to the number of cells during cleavage?
a. It increases.
b. It decreases.
c. It doubles with every cell division.
d. It does not change significantly.
29. The blastula stage is a mass of specialized cells. Of the following, which forms the liver cells?
a. inner cell mass
b. trophoblast
c. the entire blastula
d. all of the blastomeres
30. If multiple sperm were to combine with an egg in an animal, what would be the outcome?
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a. A cortical reaction would occur if multiple sperm combine with an egg, resulting in a genetically inviable
embryo.
b. The embryo would be genetically inviable and would die in a few days. The zygote might have multiple sets of
chromosomes.
c. The zygote might possess multiple sets of chromosomes, which will result in a neural tube defect in the
developing fetus.
d. The zygote would be viable, but the resulting embryo would be genetically inviable.
31. After the blastula is formed, where do the embryonic stem cells and germ layers originate?
a. The inner cell mass has embryonic stem cells, which arrange themselves into the three germ layers.
b. The trophoblast in the blastula has embryonic stem cells, which arrange themselves into three germ layers.
c. The inner cell mass has embryonic stem cells, whereas the germ layer cells originate from the trophoblast.
d. The embryonic stem cells and germ layers originate from the blastocoel present inside the blastula.
32. Which germ layer forms the skin cells?
a. endoderm
b. ectoderm
c. mesoderm
d. trophoblast
33. What are the three phases of embryonic development in chronological order?
a. blastula → gastrula → cleavage
b. blastula → cleavage → gastrula
c. cleavage → gastrula → blastula
d. cleavage → blastula → gastrula
34. Which of the following does NOT describe axes of symmetry in animals?
a. anterior-posterior
b. dorsal-ventral
c. upper-lower
d. lateral-median
35. Which of the following statements best summarizes the factors controlling symmetry?
a. Genetics are important in axis formation.
b. Body symmetry is independent of genes.
c. Body symmetry is determined entirely at the blastula stage.
d. Body symmetry is determined as the embryo grows in length.
36. The neural plate undergoes folding and movement of cells to form which structure?
a. neural tube
b. epidermis
c. mesoderm
d. neural cord
37. What is necessary for normal human fertilization to occur?
a. Many eggs must be released.
b. The uterus must be enlarged.
c. One sperm needs to penetrate one egg.
d. Secretion of pituitary FSH and LH must decrease.
38. Before pregnancy, progesterone is produced by the ovaries to thicken the endometrial lining and ensure pregnancy.
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a. hydra
b. sponges
c. water fleas
d. sexually-reproducing frogs
46. Why is sexual reproduction useful when only half the individuals reproduce and two cells must combine to form a new
cell?
a. It completes in a very short period of time.
b. It results in the rapid production of many offspring.
c. It increases genetic diversity, allowing organisms to survive in an unpredictable environment.
d. It needs less energy and leads to genetic variation in the offspring.
47. Sex determination in humans and other mammals is dictated by the presence of sex chromosomes. Are there different
factors that determine the sex of other types of animals?
a. No, the sex of an individual is only determined by the presence of sex chromosomes.
b. Yes, temperature also determines the sex of an individual.
c. Yes, humidity and temperature determine the sex of an individual.
d. Yes, pH and humidity determine the sex of an individual.
48. What are some advantages of internal compared with external fertilization?
a. Internal fertilization leads to more genetic variations and increases the survival rates of offspring.
b. Internal fertilization increases the survival rates of offspring, and large numbers of offspring are produced.
c. Internal fertilization increases the survival rates of offspring, and the chance of fertilization with a specific
partner also increases.
d. Internal fertilization increases the survival rates of offspring and decreases the chance of fertilization with a
specific partner.
49. What are the mechanisms that protect and nurture the embryo in oviparous animals?
a. The hard, leathery exterior of bird eggs and the hard calcium covering of reptile eggs provides protection to the
growing embryo. Nourishment is provided by yolk in the eggs.
b. The hard, leathery exterior of reptile eggs and the hard calcium covering of bird eggs provide protection to the
growing embryo. Nourishment is provided by endosperm in the eggs.
c. The hard, leathery exterior of reptile eggs and the hard calcium covering of bird eggs provide protection to the
growing embryo. Nourishment is provided by placenta in the eggs.
d. The hard, leathery exterior of reptile eggs and the hard calcium covering of bird eggs provide protection to the
growing embryo. Nourishment is provided by yolk in the eggs.
50. Compare the specialization of reproductive structures found in different types of land animals.
a. In birds, an opening called the cloaca is used to transfer sperm, whereas in mammals, the presence of the penis
and vagina allows direct delivery. Complete reproductive systems are formed in insects, with eggs maturing in
the testes and sperm maturing in the ovaries.
b. In birds, an opening called the cloaca is used to transfer sperm, whereas in mammals, the presence of the penis
and vagina allows direct delivery. Complete reproductive systems are formed in insects, with eggs maturing in
the ovaries and sperm maturing in the testes.
c. In birds, sperm are transferred via the spermatheca, whereas in mammals, the presence of the penis and vagina
allows direct delivery. Complete reproductive systems are formed in insects, with eggs maturing in the ovaries
and sperm maturing in the testes.
d. In birds, an opening called the cloaca is used to transfer sperm, whereas in mammals, the presence of the penis
and vagina allows direct delivery. Insects always use parthenogenesis.
51. Explain the fate of the newly released secondary oocyte after ovulation.
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a. If it fuses with a sperm, the resulting zygote enters the cervix for implantation. If it is not fertilized, it will return
to the oviduct.
b. If it fuses with a sperm, the resulting zygote enters the uterus for implantation. If it is not fertilized, it will return
to oviduct.
c. If it fuses with a sperm, the resulting zygote enters the uterus for implantation. If it is not fertilized, it will
degrade and exit the body.
d. If it fuses with a sperm, the resulting zygote enters the cervix for implantation. If it is not fertilized, it will
degrade and exit the body.
52. Explain the similarities and differences in sexual response in males and females.
a. Both males and females show specific arousal, but the sexual response differs in intensity and duration.
b. Both males and females show specific arousal. In males, breathing rate and heart rate are increased. In females,
there is a decrease in breathing rate and heart rate.
c. Vasodilation occurs in both males and females, allowing blood to engorge erectile tissue in the nipples, clitoris,
labia, vagina, and penis. In males, breathing rate and heart rate are increased. In females, there is a decrease in
breathing rate and heart rate.
d. Both males and females show an increase in heart rate, breathing rate, and blood pressure during phase one and
phase two. However, sexual response differs in intensity and duration in males and females. Also, males show
specific arousal, while females show non-specific arousal.
53. Compare and contrast spermatogenesis and oogenesis.
a. Both are the form of gametogenesis that takes place through mitosis. Spermatogenesis is the process of
formation of four sperm in the testes in males. The process of formation of one ovum in the ovaries in females is
called oogenesis.
b. Both are the form of gametogenesis that takes place through meiosis. Spermatogenesis is the process of
formation of four sperm in the testes in males. The process of formation of four ova in the ovaries in females is
called oogenesis.
c. Both are the form of gametogenesis that takes place through meiosis. Spermatogenesis is the process of
formation of four sperm in the testes in males. The process of formation of one ovum in the ovaries in females is
called oogenesis.
d. Both are the form of gametogenesis that takes place through meiosis. Spermatogenesis is the process of
formation of one sperm in the testes in males, while the process of formation of one ovum in the ovaries in
females is called oogenesis.
54. How does the hypothalamus regulate the secretion of reproductive hormones in males?
a. The hypothalamus releases FSH and LH at puberty by secreting of GnRH. FSH stimulates the Leydig cells in
the testes and LH stimulates the Sertoli cells to synthesize and secrete testosterone.
b. The hypothalamus releases FSH and LH at puberty by the secretion of GHRH. FSH stimulates the Sertoli cells
in the testes and LH stimulates the Leydig cells to synthesize and secrete testosterone.
c. The hypothalamus stimulates the release of FSH and LH at puberty by secreting of GnRH. FSH stimulates the
Sertoli cells in the testes and LH stimulates the Leydig cells to synthesize and secrete testosterone.
d. The hypothalamus releases TSH and LH at puberty by the secretion of GnRH. TSH stimulates the Sertoli cells in
the testes and LH stimulates the Leydig cells to synthesize and secrete testosterone.
55. What are the events that take place in a non-pregnant woman after ovulation?
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a. Because a fertilized egg is not implanted into the uterus in a non-pregnant woman, the corpus luteum
degenerates, and the levels of estrogen and progesterone decrease. The endometrium begins to degenerate as the
progesterone level drops, initiating the next menstrual cycle.
b. Because a fertilized egg is not implanted into the uterus in a non-pregnant woman, the corpus luteum
degenerates, and the levels of estrogen and progesterone increase. The endometrium begins to degenerate as the
estrogen level increases, initiating the next menstrual cycle.
c. Because a fertilized egg is not implanted into the uterus in a non-pregnant woman, the corpus luteum
degenerates and the levels of estrogen and progesterone increase. The endometrium begins to degenerate as the
progesterone level rises, initiating the next menstrual cycle.
d. Because a fertilized egg is not implanted into the uterus in a non-pregnant woman, the corpus luteum
degenerates and the levels of estrogen and progesterone decrease. The myometrium begins to degenerate as the
progesterone level drops, initiating the next menstrual cycle.
56. The side effects of menopause can be diminished by hormone replacement therapy (HRT). However, many doctors are
hesitant to recommend it. What are the possible reasons for this?
a. Its negative side effects, which include increased risk of colon cancer, osteoporosis, heart disease, macular
degeneration, and possibly depression.
b. Its negative side effects, which include increased risk of stroke or heart attack, blood clots, breast cancer, ovarian
cancer, endometrial cancer, gall bladder disease, and possibly depression.
c. Its negative side effects, which include increased risk of stroke or heart attack, blood clots, breast cancer, colon
cancer, endometrial cancer, gall bladder disease, and possibly dementia.
d. Its negative side effects, which include increased risk of stroke or heart attack, blood clots, breast cancer, ovarian
cancer, endometrial cancer, gall bladder disease and possibly dementia.
57. What determines whether a zygote will undergo total or partial cleavage?
a. Total cleavage takes place in eggs having a large amount of yolk, whereas partial cleavage occurs in eggs having
very little or no yolk.
b. Total cleavage occurs when eggs have equal concentration of yolk at both poles, whereas partial cleavage occurs
when the yolk is not equally distributed.
c. Total cleavage takes place in eggs having little or no yolk, whereas partial cleavage occurs in eggs having a large
amount of yolk.
d. Total cleavage occurs when divisions of the blastomeres are separate, whereas partial cleavage occurs when
blastomeres stay partially connected.
58. During organogenesis, the ectoderm forms the neural cells and the epidermal cells. How do the ectoderm cells
determine which type of cells to form?
a. Growth factors signal some of the ectodermal cells to form epidermal cells, and the remaining cells form the
neural plate.
b. The notochord cells of the mesoderm signal the ectodermal cells to form epidermal cells as well as the neural
plate.
c. Growth factors signal some of the ectodermal cells to form epidermal cells, and the remaining cells form neural
crest cells.
d. Proteins involved in the Wnt signaling pathway signal the ectodermal cells to form the epidermal cells and the
neural plate.
59. What will be the outcome if the axis is not formed during the developmental stages?
a. The animal will have two notochords and may not have a dorsal-ventral or anterior-posterior side.
b. The animal will lack an anterior-posterior or dorsal-ventral side and may not have complete differentiation of
cell layers.
c. The animal will lack an anterior-posterior or lateral-medial side and may not have complete differentiation of
cell layers.
d. The animal will have incorrect positioning of the dorsal-ventral and lateral-medial sides and differentiation of
cell layers will be incomplete.
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60. What is the mesoderm, and what does it eventually differentiate into?
a. The mesoderm develops into various connective tissues. It is reorganized into groups of cells called somites,
which develop into facial cartilage, ribs, and lungs.
b. The mesoderm develops into various connective and muscle tissues such as the ribs, lungs, segmental muscle,
and the notochord, which forms the central axis of body of most animals.
c. The mesoderm develops into various connective and muscle tissues. It is reorganized into groups of cells called
somites, which develop into ribs, lungs, segmental muscle, and the notochord.
d. The mesoderm develops into various connective tissues such as the facial cartilage, ribs, and lungs.
61. Which best describes the three stages of labor?
a. During stage one, the cervix thins. During stage two, the cervix is dilated to about 10 cm and the baby is
expelled from the uterus. The last stage is the passage of the placenta after the baby has been born.
b. During stage one, the cervix thins and is dilated to about 10 cm. During stage two, the baby is expelled from the
uterus. The last stage is the passage of the placenta after the baby has been born.
c. During stage one, the cervix thins. During stage two, the cervix is dilated to about 10 cm. During the last stage,
the baby is expelled from the uterus, followed by the placenta.
d. During stage one, the cervix thins and may or may not be dilated. During stage two, the baby is expelled from
the uterus. The last stage is the passage of the placenta after the baby has been born.
62. If multiple sperm were to combine with an egg, what would be the outcome?
a. A cortical reaction would occur if multiple sperm combine with an egg, resulting in a genetically inviable
embryo.
b. The embryo would be genetically inviable and would die in a few days. The zygote might have multiple sets of
chromosomes.
c. The zygote might have multiple sets of chromosomes, which will result in a neural tube defect in the developing
fetus.
d. The zygote would be viable, but the resulting embryo would be genetically inviable.
63. After the blastula is formed, where do the embryonic stem cells and germ layers originate?
a. The inner cell mass has embryonic stem cells, which arrange themselves into the three germ layers.
b. The trophoblast in the blastula has embryonic stem cells, which arrange themselves into three germ layers.
c. The inner cell mass has embryonic stem cells, whereas the germ cells originate from the trophoblast.
d. The embryonic stem cells and germ layers originate from the blastocoel present inside the blastula.
a. FSH
b. LH
c. inhibin
d. estrogen
72. What is the nature of the oogonium and the secondary oocyte? Which process results in the formation of the secondary
oocyte?
a. A diploid oogonium forms a haploid oocyte by the process of mitosis.
b. A haploid oogonium forms a diploid oocyte by the process of meiosis.
c. A diploid oogonium forms a haploid oocyte by the process of meiosis.
d. A haploid oogonium forms a haploid oocyte by the process of meiosis.
73. Why are the diploid zygotes produced after fertilization of sperm cells produced by spermatogenesis not similar?
a. Their chromosome numbers are not the same.
b. The size of the sperm produced are different.
c. Some sperm may have a tail, whereas others may not.
d. Crossing over occurs during spermatogenesis.
74. The endocrine system incorporates feedback mechanisms that maintain homeostasis. Which of the following
mechanisms shows negative feedback by the reproductive system in mammals?
a. Increasing levels of testosterone inhibit the production of GnRH, LH, and FSH by the hypothalamus and
pituitary.
b. LH and FSH stimulate the interstitial cells of Leydig to release testosterone.
c. The growing follicle starts releasing estrogen in increasing amounts.
d. The corpus luteum releases progesterone after ovulation.
75. What are the positive feedback mechanisms by LH and FSH during the follicular and ovulation phase of the ovarian
cycle?
a. The stimulation of the anterior pituitary by GnRH causes it to secrete the hormones LH and FSH. The increasing
amounts of these hormones stimulate several follicles in the ovary to start growing to be released.
b. The stimulation of the anterior pituitary by GnRH causes it to secrete the hormone LH only. The increasing
amounts of this hormone stimulate several follicles in the ovary to start growing, but only one of these matures
to release the egg.
c. The stimulation of the anterior pituitary by GnRH triggers the secretion of the hormones LH and FSH. The
increasing amounts of these hormones stimulate several follicles in the ovary to start growing, but only one of
these matures to release the egg.
d. The stimulation of the anterior pituitary by GnRH causes it to secrete the hormones LH and TSH. The increasing
amounts of these hormones stimulate a single follicle in the ovary to start growing.
76. Describe the possible event that would occur if the corpus luteum did not produce increasing amounts of progesterone.
a. The implanted zygote will not be able to derive enough nutrition from the endometrium.
b. Even if fertilization is successful, the zygote may not be able to implant successfully. If it does manage to
implant, it will not be able to derive enough nutrition from the myometrium.
c. Even if fertilization is successful, the zygote may not be able to implant successfully. If it does manage to
implant, it will not be able to derive enough nutrition from the endometrium.
d. The contraction of the uterus during childbirth and lactation will not take place, causing problems and
complications in the mother.
77. What does a female contraceptive pill that inhibits the release of GnRH from the hypothalamus do?
1696 Chapter 34 | Animal Reproduction and Development* (*optional)
a. reduce the secretion of FSH and LH from the anterior pituitary gland
b. initiate ovulation
c. increase the flow phase of the menstrual cycle
d. increase the production of estrogen and progesterone by the ovaries
78. What do the rising levels of FSH and LH in the follicular phase cause?
a. The follicles on the surface of the ovary start growing in preparation for ovulation.
b. The endometrium starts to thicken.
c. The corpus luteum starts secreting progesterone.
d. One of the mature follicles bursts, releasing the egg.
79. A couple has been trying to conceive for some time and goes to an endocrinologist for advice. If the endocrinologist
diagnoses an obstruction in the oviducts of the female, what type of treatment can she recommend?
a. opting for in vivo fertilization or ligation of the fallopian tubes surgically so that the tubes are sealed
b. opting for in vivo fertilization or surgical removal of the fallopian tubes
c. opting for in vitro fertilization or ligation of the fallopian tubes surgically so that the tubes are opened
d. opting for in vitro fertilization or removal of the obstruction surgically and then rejoin of the ends of the
fallopian tubes
80. How does a reproductive hormone that is secreted directly from the anterior pituitary stimulate the reproductive organs
to produce hormones?
a. by traveling through the blood to reach the target organs
b. by binding with proteins to reach the reproductive organs
c. by sending a chemical messenger to activate the reproductive organs
d. by converting into an active form before targeting the reproductive organs
81. Explain the mechanisms by which hormones from the brain and ovaries interact, eventually leading to menstruation.
a. After the release of the egg from the follicle, the corpus luteum is formed, which inhibits FSH and LH
production, which then inhibits GnRH production, causing no other follicle to develop. When no fertilization
takes place, the corpus luteum degenerates and the progesterone level declines, initiating the breakdown of the
myometrium and the start of the menstrual cycle.
b. After the release of the egg from the follicle, the corpus luteum is formed, which inhibits FSH and LH
production, which then inhibits GnRH production, causing no other follicle to develop. When no fertilization
takes place, the corpus luteum degenerates and the progesterone level declines, initiating the breakdown of the
endometrium and the start of the menstrual cycle.
c. After the release of the egg from the follicle, the corpus luteum is formed, which inhibits FSH and LH
production, which then facilitates GnRH production, causing no other follicle to develop. When no fertilization
takes place, the corpus luteum degenerates and the progesterone level declines, initiating the breakdown of the
endometrium and the start of the menstrual cycle.
d. After the release of the egg from the follicle, the corpus luteum is formed, which inhibits FSH and LH
production, which then inhibits GnRH production, causing no other follicle to develop. When no fertilization
takes place, the corpus luteum degenerates and the progesterone level rises, initiating the breakdown of the
endometrium and the start of the menstrual cycle.
82. Multiple hormones work together to coordinate the female reproductive cycle. Which of these hormones is also
responsible for the development of female secondary sexual characteristics, including breast development and hip
widening?
a. estrogen
b. progesterone
c. follicle stimulating hormone
d. luteinizing hormone
83. Which hormone is released by the anterior pituitary as a part of the positive feedback loop between it and the ovary?
Chapter 34 | Animal Reproduction and Development* (*optional) 1697
a. progesterone
b. GnRH
c. LH
d. estradiol
84. How does the feedback mechanism of hormones lead to muscular contractions during labor?
a. A feedback relay occurs between the uterus, hypothalamus, and posterior pituitary to assure an adequate supply
of oxytocin, which causes the contraction of smooth muscles of the uterus, leading to the birth of the baby.
b. The posterior pituitary continuously produces oxytocin, which is sufficient for muscular contraction in the
uterus, thereby causing the birth of the baby.
c. A feedback relay occurs between the uterus, hypothalamus, and posterior pituitary to assure an adequate supply
of prolactin, which causes the contraction of the smooth muscles of the uterus, leading to the birth of the baby.
d. A feedback relay occurs between the uterus, hypothalamus, and posterior pituitary to assure an adequate supply
of progesterone, which causes the contraction of the smooth muscles of the uterus, leading to the birth of the
baby.
85. During childbirth, the hormone oxytocin causes contraction of the uterine wall muscles. As muscular contractions
increase, more oxytocin is released from the pituitary, leading to more contractions. This is an example of which
mechanism?
a. end product inhibition
b. negative feedback mechanism
c. positive feedback mechanism
d. feedback inhibition
Figure 34.33
1698 Chapter 34 | Animal Reproduction and Development* (*optional)
a. Analyze the data to support the claim that the female guppy is responding to information, that the male guppy is
aware of this response, and that this communication affects natural selection.
If there were no process that maintained variation in the gene controlling the orange coloration then perhaps all
male guppies would symmetrically bright orange. Yet variation remains.
b. A guppy is a small fish and small fish are eaten by bigger fish. Make and justify a claim regarding the effect of
allelic variation on the stability of the guppy population.
Phenotype is an expression of the genotype and within a population genotypic variation occurs. For a population
to maintain stability in a changing environment genetic variation within the population provides selective
advantage at the population level.
c. Make and justify a claim regarding the effect of genetic variation in guppies on the stability of an ecosystem of
which the guppy is a member.
The fluctuation of symmetry in body plan of an organism, such as the asymmetry of guppy coloration, is
unusual. Large scale fluctuations where the fully developed organism is viable, such as the emergence of an
appendage from the eye of the Drosophila, are very rare. The overall body plan is controlled in Drosophila by a
cluster of genes called the Hox genes. In the fruit fly there is a single cluster and the arrangement of genes in the
genome is a map of the anterior to posterior body plan. In all vertebrate multiple Hox clusters control the
development of the body plan and they too show the sequential anterior to posterior arrangement in the genome.
d. During development the transcription factors expressed by the Hox genes initiate and terminate the expression of
specialized cells and tissues. Describe the evidence for shared ancestry in this conserved strategy for
communication between cells through regulation of transcription factors.
e. Describe one other example of conserved core shared by all domains or within one domain.
Chapter 35 | Ecology and the Biosphere 1699
Figure 35.1 The (a) deer tick carries the bacterium that produces Lyme disease in humans, often evident in (b) a
symptomatic bull’s eye rash. The (c) white-footed mouse is one well-known host to deer ticks carrying the Lyme
disease bacterium. (credit a: modification of work by Scott Bauer, USDA ARS; credit b: modification of work by James
Gathany, CDC; credit c: modification of work by Rob Ireton)
Chapter Outline
35.1: The Scope of Ecology
35.2: Biogeography
35.3: Terrestrial Biomes
35.4: Aquatic Biomes
35.5: Climate and the Effects of Global Climate Change
Introduction
Why study ecology? Perhaps you are interested in learning about the natural world and how living things have adapted to
the physical conditions of their environment. Or, perhaps you’re a future physician seeking to understand the connection
between human health and ecology.
Humans are a part of the ecological landscape, and human health is one important part of human interaction with our
physical and living environment. Lyme disease, for instance, serves as one modern-day example of the connection between
our health and the natural world (Figure 35.1). More formally known as Lyme borreliosis, Lyme disease is a bacterial
infection that can be transmitted to humans when they are bitten by the deer tick (Ixodes scapularis), which is the primary
vector for this disease. However, not all deer ticks carry the bacteria that will cause Lyme disease in humans, and I.
scapularis can have other hosts besides deer. In fact, it turns out that the probability of infection depends on the type of host
upon which the tick develops: a higher proportion of ticks that live on white-footed mice carry the bacterium than do ticks
that live on deer. Knowledge about the environments and population densities in which the host species is abundant would
help a physician or an epidemiologist better understand how Lyme disease is transmitted and how its incidence could be
reduced.
For example, the mild winter in the northeast during 2010–2011 caused a boom in acorns, which in turn caused an
increase in the white-footed mice population. However, the following winter was cooler, leading to fewer acorns, and
the subsequent decrease in the mice population means that the ticks will be more likely to seek out humans for their
blood meals. You can read more about the relationship between acorns, mice, and Lyme disease at the Science Daily
1700 Chapter 35 | Ecology and the Biosphere
website (http://openstaxcollege.org/l/32lyme) and you can read more about Lyme disease from the CDC website
(http://openstaxcollege.org/l/32lymecdc) .
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living organisms and with their environment results in the
Knowledge movement of matter and energy.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.15 The student is able to use visual representations to analyze situations or solve
Learning
problems qualitatively to illustrate how interactions among living systems and with their
Objective
environment result in the movement of matter and energy.
Chapter 35 | Ecology and the Biosphere 1701
Climate change can alter where organisms live, which can sometimes directly affect human health. Watch the PBS video
“Feeling the Effects of Climate Change” (http://openstaxcollege.org/l/climate_health) in which researchers discover
a pathogenic organism living far outside of its normal range.
The fungus Cryptococcus gattii has been known to cause a fatal illness. This fungus originally found in the tropics is now
growing in parts of North America. What have scientists found out about this fungus?
d. The fungus started growing more in colder climates as temperatures have risen due to global warming.
Figure 35.2 Ecologists study within several biological levels of organization. (credit “organisms”: modification of
work by "Crystl"/Flickr; credit “ecosystems”: modification of work by Tom Carlisle, US Fish and Wildlife Service
Headquarters; credit “biosphere”: NASA)
Organismal Ecology
Researchers studying ecology at the organismal level are interested in the adaptations that enable individuals to live in
specific habitats. These adaptations can be morphological, physiological, and behavioral. For instance, the Karner blue
butterfly (Lycaeides melissa samuelis) (Figure 35.3) is considered a specialist because the females preferentially oviposit
(that is, lay eggs) on wild lupine. This preferential adaptation means that the Karner blue butterfly is highly dependent on
the presence of wild lupine plants for its continued survival.
Figure 35.3 The Karner blue butterfly (Lycaeides melissa samuelis) is a rare butterfly that lives only in open areas
with few trees or shrubs, such as pine barrens and oak savannas. It can only lay its eggs on lupine plants. (credit:
modification of work by J & K Hollingsworth, USFWS)
After hatching, the larval caterpillars emerge and spend four to six weeks feeding solely on wild lupine (Figure 35.4). The
caterpillars pupate (undergo metamorphosis) and emerge as butterflies after about four weeks. The adult butterflies feed
on the nectar of flowers of wild lupine and other plant species. A researcher interested in studying Karner blue butterflies
at the organismal level might, in addition to asking questions about egg laying, ask questions about the butterflies’
preferred temperature (a physiological question) or the behavior of the caterpillars when they are at different larval stages
(a behavioral question).
Chapter 35 | Ecology and the Biosphere 1703
Figure 35.4 The wild lupine (Lupinus perennis) is the host plant for the Karner blue butterfly.
Population Ecology
A population is a group of interbreeding organisms that are members of the same species living in the same area at the
same time. (Organisms that are all members of the same species are called conspecifics.) A population is identified, in
part, by where it lives, and its area of population may have natural or artificial boundaries: natural boundaries might be
rivers, mountains, or deserts, while examples of artificial boundaries include mowed grass, manmade structures, or roads.
The study of population ecology focuses on the number of individuals in an area and how and why population size changes
over time. Population ecologists are particularly interested in counting the Karner blue butterfly, for example, because
it is classified as federally endangered. However, the distribution and density of this species is highly influenced by the
distribution and abundance of wild lupine. Researchers might ask questions about the factors leading to the decline of
wild lupine and how these affect Karner blue butterflies. For example, ecologists know that wild lupine thrives in open
areas where trees and shrubs are largely absent. In natural settings, intermittent wildfires regularly remove trees and shrubs,
helping to maintain the open areas that wild lupine requires. Mathematical models can be used to understand how wildfire
suppression by humans has led to the decline of this important plant for the Karner blue butterfly.
Community Ecology
A biological community consists of the different species within an area, typically a three-dimensional space, and the
interactions within and among these species. Community ecologists are interested in the processes driving these interactions
and their consequences. Questions about conspecific interactions often focus on competition among members of the same
species for a limited resource. Ecologists also study interactions among various species; members of different species are
called heterospecifics. Examples of heterospecific interactions include predation, parasitism, herbivory, competition, and
pollination. These interactions can have regulating effects on population sizes and can impact ecological and evolutionary
processes affecting diversity.
For example, Karner blue butterfly larvae form mutualistic relationships with ants. Mutualism is a form of a long-
term relationship that has coevolved between two species and from which each species benefits. For mutualism to
exist between individual organisms, each species must receive some benefit from the other as a consequence of the
relationship. Researchers have shown that there is an increase in the probability of survival when Karner blue butterfly
larvae (caterpillars) are tended by ants. This might be because the larvae spend less time in each life stage when tended
by ants, which provides an advantage for the larvae. Meanwhile, the Karner blue butterfly larvae secrete a carbohydrate-
rich substance that is an important energy source for the ants. Both the Karner blue larvae and the ants benefit from their
interaction.
Ecosystem Ecology
Ecosystem ecology is an extension of organismal, population, and community ecology. The ecosystem is composed of all
1704 Chapter 35 | Ecology and the Biosphere
the biotic components (living things) in an area along with the abiotic components (non-living things) of that area. Some
of the abiotic components include air, water, and soil. Ecosystem biologists ask questions about how nutrients and energy
are stored and how they move among organisms and the surrounding atmosphere, soil, and water.
The Karner blue butterflies and the wild lupine live in an oak-pine barren habitat. This habitat is characterized by natural
disturbance and nutrient-poor soils that are low in nitrogen. The availability of nutrients is an important factor in the
distribution of the plants that live in this habitat. Researchers interested in ecosystem ecology could ask questions about the
importance of limited resources and the movement of resources, such as nutrients, though the biotic and abiotic portions of
the ecosystem.
Ecologist
A career in ecology contributes to many facets of human society. Understanding ecological issues can help
society meet the basic human needs of food, shelter, and health care. Ecologists can conduct their research
in the laboratory and outside in natural environments (Figure 35.5). These natural environments can be as
close to home as the stream running through your campus or as far away as the hydrothermal vents at the
bottom of the Pacific Ocean. Ecologists manage natural resources such as white-tailed deer populations
(Odocoileus virginianus) for hunting or aspen (Populus spp.) timber stands for paper production. Ecologists
also work as educators who teach children and adults at various institutions including universities, high
schools, museums, and nature centers. Ecologists may also work in advisory positions assisting local,
state, and federal policymakers to develop laws that are ecologically sound, or they may develop those
policies and legislation themselves. To become an ecologist requires an undergraduate degree, usually in a
natural science. The undergraduate degree is often followed by specialized training or an advanced degree,
depending on the area of ecology selected. Ecologists should also have a broad background in the physical
sciences, as well as a sound foundation in mathematics and statistics.
Figure 35.5 This landscape ecologist is releasing a black-footed ferret into its native habitat as part of a study.
(credit: USFWS Mountain Prairie Region, NPS)
Chapter 35 | Ecology and the Biosphere 1705
Visit this site (http://openstaxcollege.org/l/ecologist_role) to see Stephen Wing, a marine ecologist from the University
of Otago, discuss the role of an ecologist and the types of issues ecologists explore.
A marine ecologist studies interactions in the ocean. Which of the following subjects would a marine ecologist include
in his studies?
a. chemistry
b. philosophy
c. political science
d. epidemiology
Section Summary
Ecology is the study of the interactions of living things with their environment. Ecologists ask questions across four levels
of biological organization—organismal, population, community, and ecosystem. At the organismal level, ecologists study
individual organisms and how they interact with their environments. At the population and community levels, ecologists
explore, respectively, how a population of organisms changes over time and the ways in which that population interacts
with other species in the community. Ecologists studying an ecosystem examine the living species (the biotic components)
of the ecosystem as well as the nonliving portions (the abiotic components), such as air, water, and soil of the environment.
35.2 | Biogeography
In this section, you will explore the following questions:
• What is biogeography?
• What are examples of abiotic factors that affect the global distribution of plant and animal species?
• What are examples of how abiotic factors can impact aquatic and terrestrial environments?
• What are the effects of abiotic factors on net primary productivity?
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.1 Populations, communities, and ecosystems are affected by interactions with abiotic
Knowledge factors in the environment.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
3.2 The student can refine scientific questions.
Practice
2.22 The student is able to refine scientific models and questions about the effect of complex
Learning
biotic and abiotic interactions on all biological systems, from cells and organisms to
Objective
populations, communities, and ecosystems.
Essential 2.D.1 Populations, communities, and ecosystems are affected by interactions with abiotic
Knowledge factors in the environment.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.23 The student is able to design a plan for collecting data to show that all biological
Objective systems are affected by complex biotic and abiotic interactions.
Essential 2.D.1 Populations, communities, and ecosystems are affected by interactions with abiotic
Knowledge factors in the environment.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 2.24 The student is able to analyze data to identify possible patterns and relationships
Objective between a biotic or abiotic factor and a biological system.
Biogeography
Biogeography is the study of the geographic distribution of living things and the abiotic factors that affect their distribution.
Abiotic factors such as temperature and rainfall vary based mainly on latitude and elevation. As these abiotic factors change,
the composition of plant and animal communities also changes. For example, if you were to begin a journey at the equator
and walk north, you would notice gradual changes in plant communities. At the beginning of your journey, you would see
tropical wet forests with broad-leaved evergreen trees, which are characteristic of plant communities found near the equator.
As you continued to travel north, you would see these broad-leaved evergreen plants eventually give rise to seasonally dry
forests with scattered trees. You would also begin to notice changes in temperature and moisture. At about 30 degrees north,
these forests would give way to deserts, which are characterized by low precipitation.
Moving farther north, you would see that deserts are replaced by grasslands or prairies. Eventually, grasslands are replaced
by deciduous temperate forests. These deciduous forests give way to the boreal forests found in the subarctic, the area south
of the Arctic Circle. Finally, you would reach the Arctic tundra, which is found at the most northern latitudes. This trek north
reveals gradual changes in both climate and the types of organisms that have adapted to environmental factors associated
with ecosystems found at different latitudes. However, different ecosystems exist at the same latitude due in part to abiotic
factors such as jet streams, the Gulf Stream, and ocean currents. If you were to hike up a mountain, the changes you would
see in the vegetation would parallel those as you move to higher latitudes.
Ecologists who study biogeography examine patterns of species distribution. No species exists everywhere; for example,
the Venus flytrap is endemic to a small area in North and South Carolina. An endemic species is one which is naturally
found only in a specific geographic area that is usually restricted in size. Other species are generalists: species which live in
a wide variety of geographic areas; the raccoon, for example, is native to most of North and Central America.
Chapter 35 | Ecology and the Biosphere 1707
Species distribution patterns are based on biotic and abiotic factors and their influences during the very long periods of time
required for species evolution; therefore, early studies of biogeography were closely linked to the emergence of evolutionary
thinking in the eighteenth century. Some of the most distinctive assemblages of plants and animals occur in regions that
have been physically separated for millions of years by geographic barriers. Biologists estimate that Australia, for example,
has between 600,000-700,000 species of plants and animals. Approximately 3/4 of living plant and mammal species are
endemic species found solely in Australia (Figure 35.6ab).
Figure 35.6 Australia is home to many endemic species. The (a) wallaby (Wallabia bicolor), a medium-sized member
of the kangaroo family, is a pouched mammal, or marsupial. The (b) echidna (Tachyglossus aculeatus) is an egg-laying
mammal. (credit a: modification of work by Derrick Coetzee; credit b: modification of work by Allan Whittome)
Sometimes ecologists discover unique patterns of species distribution by determining where species are not found. Hawaii,
for example, has no native land species of reptiles or amphibians, and has only one native terrestrial mammal, the hoary bat.
Most of New Guinea, as another example, lacks placental mammals.
Check out this video (http://openstaxcollege.org/l/platypus) to observe a platypus swimming in its natural habitat in
New South Wales, Australia.
Marsupials such as such as wallabies, platypuses, and kangaroos are found exclusively in Australia. Species found in
a limited area are most specifically called _____.
a. endemic species
b. generalist species
c. native species
d. common species
Plants can be endemic or generalists: endemic plants are found only on specific regions of the Earth, while generalists
are found on many regions. Isolated land masses—such as Australia, Hawaii, and Madagascar—often have large numbers
of endemic plant species. Some of these plants are endangered due to human activity. The forest gardenia (Gardenia
brighamii), for instance, is endemic to Hawaii; only an estimated 15–20 trees are thought to exist (Figure 35.7).
1708 Chapter 35 | Ecology and the Biosphere
Think About It
Many endemic species are found in areas that are geographically isolated. What is a possible scientific explanation for
this observation? Justify your answer.
Lab Investigation
Use The College Board Advanced Placement Program: Measuring Primary Productivity—Grass Plants:
Student Lab Template, found here (http://openstaxcollege.org/l/32grass) to explore the concept of
primary productivity versus gross productivity. You will calculate primary productivity, be introduced to the
benefits of measuring dry mass versus wet mass, and make predictions about the changes in net primary
productivity based on the variables you decide to focus on.
To learn more about calculating net primary productivity, watch this video (https://openstaxcollege.org/l/
32nppcalc) .
Figure 35.7 Listed as federally endangered, the forest gardenia is a small tree with distinctive flowers. It is found only
in five of the Hawaiian Islands in small populations consisting of a few individual specimens. (credit: Forest & Kim
Starr)
Energy Sources
Energy from the sun is captured by green plants, algae, cyanobacteria, and photosynthetic protists. These organisms convert
solar energy into the chemical energy needed by all living things. Light availability can be an important force directly
affecting the evolution of adaptations in photosynthesizers. For instance, plants in the understory of a temperate forest are
shaded when the trees above them in the canopy completely leaf out in the late spring. Not surprisingly, understory plants
have adaptations to successfully capture available light. One such adaptation is the rapid growth of spring ephemeral plants
such as the spring beauty (Figure 35.8). These spring flowers achieve much of their growth and finish their life cycle
(reproduce) early in the season before the trees in the canopy develop leaves.
Chapter 35 | Ecology and the Biosphere 1709
Figure 35.8 The spring beauty is an ephemeral spring plant that flowers early in the spring to avoid competing with
larger forest trees for sunlight. (credit: John Beetham)
In aquatic ecosystems, the availability of light may be limited because sunlight is absorbed by water, plants, suspended
particles, and resident microorganisms. Toward the bottom of a lake, pond, or ocean, there is a zone that light cannot
reach. Photosynthesis cannot take place there and, as a result, a number of adaptations have evolved that enable living
things to survive without light. For instance, aquatic plants have photosynthetic tissue near the surface of the water; for
example, think of the broad, floating leaves of a water lily—water lilies cannot survive without light. In environments such
as hydrothermal vents, some bacteria extract energy from inorganic chemicals because there is no light for photosynthesis.
The availability of nutrients in aquatic systems is also an important aspect of energy or photosynthesis. Many organisms
sink to the bottom of the ocean when they die in the open water; when this occurs, the energy found in that living organism
is sequestered for some time unless ocean upwelling occurs. Ocean upwelling is the rising of deep ocean waters that
occurs when prevailing winds blow along surface waters near a coastline (Figure 35.9). As the wind pushes ocean waters
offshore, water from the bottom of the ocean moves up to replace this water. As a result, the nutrients once contained in
dead organisms become available for reuse by other living organisms.
Figure 35.9 Ocean upwelling is an important process that recycles nutrients and energy in the ocean. As wind (green
arrows) pushes offshore, it causes water from the ocean bottom (red arrows) to move to the surface, bringing up
nutrients from the ocean depths.
In freshwater systems, the recycling of nutrients occurs in response to air temperature changes. The nutrients at the bottom
of lakes are recycled twice each year: in the spring and fall turnover. The spring and fall turnover is a seasonal process that
recycles nutrients and oxygen from the bottom of a freshwater ecosystem to the top of a body of water (Figure 35.10). These
turnovers are caused by the formation of a thermocline: a layer of water with a temperature that is significantly different
1710 Chapter 35 | Ecology and the Biosphere
from that of the surrounding layers. In wintertime, the surface of lakes found in many northern regions is frozen. However,
the water under the ice is slightly warmer, and the water at the bottom of the lake is warmer yet at 4 °C to 5 °C (39.2 °F to
41 °F). Water is densest at 4 °C; therefore, the deepest water is also the densest. The deepest water is oxygen poor because
the decomposition of organic material at the bottom of the lake uses up available oxygen that cannot be replaced by means
of oxygen diffusion into the water due to the surface ice layer.
Figure 35.10 The spring and fall turnovers are important processes in freshwater lakes that act to move the
nutrients and oxygen at the bottom of deep lakes to the top. Turnover occurs because water has a maximum
density at 4 °C. Surface water temperature changes as the seasons progress, and denser water sinks.
The spring and fall turnovers are important processes in freshwater lakes that act to move nutrients and water from the
bottom to the top. Explain how this is different in temperate regions as compared to the tropics.
a. Spring turnover occurs in tropical lakes, but not in temperate lakes. Stratification occurs in temperate lakes.
b. Temperate lakes do not freeze so they do not undergo spring turnover or stratification.
c. Stratification and spring turnover occur in tropical lakes. Temperate lakes do not freeze so they do not
undergo spring turnover.
d. Stratification and spring turnover occur in temperate lakes. Tropical lakes do not freeze so they do not
undergo spring turnover.
In springtime, air temperatures increase and surface ice melts. When the temperature of the surface water begins to reach 4
°C, the water becomes heavier and sinks to the bottom. The water at the bottom of the lake is then displaced by the heavier
surface water and, thus, rises to the top. As that water rises to the top, the sediments and nutrients from the lake bottom are
brought along with it. During the summer months, the lake water stratifies, or forms layers, with the warmest water at the
lake surface.
As air temperatures drop in the fall, the temperature of the lake water cools to 4 °C; therefore, this causes fall turnover as the
heavy cold water sinks and displaces the water at the bottom. The oxygen-rich water at the surface of the lake then moves
to the bottom of the lake, while the nutrients at the bottom of the lake rise to the surface (Figure 35.10). During the winter,
the oxygen at the bottom of the lake is used by decomposers and other organisms requiring oxygen, such as fish.
Temperature
Temperature affects the physiology of living things as well as the density and state of water. Temperature exerts an
important influence on living things because few living things can survive at temperatures below 0 °C (32 °F) due to
metabolic constraints. It is also rare for living things to survive at temperatures exceeding 45 °C (113 °F); this is a
reflection of evolutionary response to typical temperatures. Enzymes are most efficient within a narrow and specific range
of temperatures; enzyme degradation can occur at higher temperatures. Therefore, organisms either must maintain an
Chapter 35 | Ecology and the Biosphere 1711
internal temperature or they must inhabit an environment that will keep the body within a temperature range that supports
metabolism. Some animals have adapted to enable their bodies to survive significant temperature fluctuations, such as seen
in hibernation or reptilian torpor. Similarly, some bacteria are adapted to surviving in extremely hot temperatures such as
geysers. Such bacteria are examples of extremophiles: organisms that thrive in extreme environments.
Temperature can limit the distribution of living things. Animals faced with temperature fluctuations may respond with
adaptations, such as migration, in order to survive. Migration, the movement from one place to another, is an adaptation
found in many animals, including many that inhabit seasonally cold climates. Migration solves problems related to
temperature, locating food, and finding a mate. In migration, for instance, the Arctic Tern (Sterna paradisaea) makes a
40,000 km (24,000 mi) round trip flight each year between its feeding grounds in the southern hemisphere and its breeding
grounds in the Arctic Ocean. Monarch butterflies (Danaus plexippus) live in the eastern United States in the warmer months
and migrate to Mexico and the southern United States in the wintertime. Some species of mammals also make migratory
forays. Reindeer (Rangifer tarandus) travel about 5,000 km (3,100 mi) each year to find food. Amphibians and reptiles are
more limited in their distribution because they lack migratory ability. Not all animals that can migrate do so: Migration
carries risk and comes at a high energy cost.
Some animals hibernate or estivate to survive hostile temperatures. Hibernation enables animals to survive cold conditions,
and estivation allows animals to survive the hostile conditions of a hot, dry climate. Animals that hibernate or estivate
enter a state known as torpor: a condition in which their metabolic rate is significantly lowered. This enables the animal to
wait until its environment better supports its survival. Some amphibians, such as the wood frog (Rana sylvatica), have an
antifreeze-like chemical in their cells, which retains the cells’ integrity and prevents them from bursting.
Water
Water is required by all living things because it is critical for cellular processes. Since terrestrial organisms lose water to the
environment by simple diffusion, they have evolved many adaptations to retain water.
• Plants have a number of interesting features on their leaves, such as leaf hairs and a waxy cuticle, that serve to decrease
the rate of water loss via transpiration.
• Freshwater organisms are surrounded by water and are constantly in danger of having water rush into their cells
because of osmosis. Many adaptations of organisms living in freshwater environments have evolved to ensure that
solute concentrations in their bodies remain within appropriate levels. One such adaptation is the excretion of dilute
urine.
• Marine organisms are surrounded by water with a higher solute concentration than the organism and, thus, are in
danger of losing water to the environment because of osmosis. These organisms have morphological and physiological
adaptations to retain water and release solutes into the environment. For example, Marine iguanas (Amblyrhynchus
cristatus), sneeze out water vapor that is high in salt in order to maintain solute concentrations within an acceptable
range while swimming in the ocean and eating marine plants.
Inorganic Nutrients and Soil
Inorganic nutrients, such as nitrogen and phosphorus, are important in the distribution and the abundance of living things.
Plants obtain these inorganic nutrients from the soil when water moves into the plant through the roots. Therefore, soil
structure (particle size of soil components), soil pH, and soil nutrient content play an important role in the distribution of
plants. Animals obtain inorganic nutrients from the food they consume. Therefore, animal distributions are related to the
distribution of what they eat. In some cases, animals will follow their food resource as it moves through the environment.
Other Aquatic Factors
Some abiotic factors, such as oxygen, are important in aquatic ecosystems as well as terrestrial environments. Terrestrial
animals obtain oxygen from the air they breathe. Oxygen availability can be an issue for organisms living at very high
elevations, however, where there are fewer molecules of oxygen in the air. In aquatic systems, the concentration of dissolved
oxygen is related to water temperature and the speed at which the water moves. Cold water has more dissolved oxygen than
warmer water. In addition, salinity, current, and tide can be important abiotic factors in aquatic ecosystems.
Other Terrestrial Factors
Wind can be an important abiotic factor because it influences the rate of evaporation and transpiration. The physical force
of wind is also important because it can move soil, water, or other abiotic factors, as well as an ecosystem’s organisms.
Fire is another terrestrial factor that can be an important agent of disturbance in terrestrial ecosystems. Some organisms are
adapted to fire and, thus, require the high heat associated with fire to complete a part of their life cycle. For example, the
jack pine—a coniferous tree—requires heat from fire for its seed cones to open (Figure 35.11). Through the burning of pine
needles, fire adds nitrogen to the soil and limits competition by destroying undergrowth.
1712 Chapter 35 | Ecology and the Biosphere
Figure 35.11 The mature cones of the jack pine (Pinus banksiana) open only when exposed to high temperatures,
such as during a forest fire. A fire is likely to kill most vegetation, so a seedling that germinates after a fire is more likely
to receive ample sunlight than one that germinates under normal conditions. (credit: USDA)
Section Summary
Biogeography is the study of the geographic distribution of living things and the abiotic factors that affect their distribution.
Endemic species are species that are naturally found only in a specific geographic area. The distribution of living things is
influenced by several environmental factors that are, in part, controlled by the latitude or elevation at which an organism
is found. Ocean upwelling and spring and fall turnovers are important processes regulating the distribution of nutrients and
other abiotic factors important in aquatic ecosystems. Energy sources, temperature, water, inorganic nutrients, and soil are
factors limiting the distribution of living things in terrestrial systems. Net primary productivity is a measure of the amount
of biomass produced by a biome.
with their environments to move matter and energy. Biomes are ripe with examples of these interactions. A biome refers
to a major type of terrestrial (or aquatic) community distributed according to climate, which determines the predominant
vegetation. In turn, the vegetation influences what types of animals can inhabit the area. Comparing the annual totals of
precipitation and fluctuations in precipitation from one biome to another provides clues as to the importance of abiotic
factors in the distribution of biomes. The same type of biome can occur in different areas of the world (Figure 35.12).
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 2 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.1 Abiotic factors in an environment determine the characteristics of the environment
Knowledge (biome).
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
3.2 The student can refine scientific questions.
Practice
2.22 The student is able to refine scientific models and questions about the effect of complex
Learning
biotic and abiotic interactions on biological systems, from cells and organisms to populations,
Objective
communities, and ecosystems.
Essential 2.D.1 Abiotic factors in an environment determine the characteristics of the environment
Knowledge (biome).
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
2.24 The student is able to analyze data to identify possible patterns and relationships
Learning
between a biotic or abiotic factor and a biological system (cells, organisms, populations,
Objective
communities, or ecosystems).
1714 Chapter 35 | Ecology and the Biosphere
Figure 35.12 Each of the world’s major biomes is distinguished by characteristic temperatures and amounts of
precipitation. Polar ice and mountains are also shown.
variety of plants, fungi, animals, and other organisms within the tropical wet forests. For instance, epiphytes are plants that
grow on other plants, which typically are not harmed. Epiphytes are found throughout tropical wet forest biomes. Many
species of animals use the variety of plants and the complex structure of the tropical wet forests for food and shelter. Some
organisms live several meters above ground and have adapted to this arboreal lifestyle.
Figure 35.13 Tropical wet forests, such as these forests of Madre de Dios, Peru, near the Amazon River, have high
species diversity. (credit: Roosevelt Garcia)
Savannas
Savannas are grasslands with scattered trees, and they are located in Africa, South America, and northern Australia (Figure
35.12). Savannas are hot, tropical areas with temperatures averaging from 24 °C–29 °C (75 °F–84 °F) and an annual rainfall
of 10–40 cm (3.9–15.7 in). Savannas have an extensive dry season; for this reason, forest trees do not grow as well as they
do in the tropical wet forest (or other forest biomes). As a result, within the grasses and forbs (herbaceous flowering plants)
that dominate the savanna, there are relatively few trees (Figure 35.14). Since fire is an important source of disturbance in
this biome, plants have evolved well-developed root systems that allow them to quickly re-sprout after a fire.
Figure 35.14 Savannas, like this one in Taita Hills Wildlife Sanctuary in Kenya, are dominated by grasses. (credit:
Christopher T. Cooper)
Subtropical Deserts
Subtropical deserts exist between 15 ° and 30 ° north and south latitude and are centered on the Tropics of Cancer and
Capricorn (Figure 35.12). This biome is very dry; in some years, evaporation exceeds precipitation. Subtropical hot deserts
can have daytime soil surface temperatures above 60 °C (140 °F) and nighttime temperatures approaching 0 °C (32 °F). In
cold deserts, temperatures can be as high as 25 °C and can drop below -30 °C (-22 °F). Subtropical deserts are characterized
by low annual precipitation of fewer than 30 cm (12 in) with little monthly variation and lack of predictability in rainfall. In
some cases, the annual rainfall can be as low as 2 cm (0.8 in) in subtropical deserts located in central Australia (the Outback)
and northern Africa.
The vegetation and low animal diversity of this biome is closely related to this low and unpredictable precipitation. Very dry
1716 Chapter 35 | Ecology and the Biosphere
deserts lack perennial vegetation that lives from one year to the next; instead, many plants are annuals that grow quickly and
reproduce when rainfall does occur, then they die. Many other plants in these areas are characterized by having a number of
adaptations that conserve water, such as deep roots, reduced foliage, and water-storing stems (Figure 35.15). Seed plants in
the desert produce seeds that can be in dormancy for extended periods between rains. Adaptations in desert animals include
nocturnal behavior and burrowing.
Figure 35.15 To reduce water loss, many desert plants have tiny leaves or no leaves at all. The leaves of ocotillo
(Fouquieria splendens), shown here in the Sonora Desert near Gila Bend, Arizona, appear only after rainfall, and then
are shed.
Chaparral
The chaparral is also called the scrub forest and is found in California, along the Mediterranean Sea, and along the southern
coast of Australia (Figure 35.12). The annual rainfall in this biome ranges from 65 cm–75 cm (25.6–29.5 in), and the
majority of the rain falls in the winter. Summers are very dry and many chaparral plants are dormant during the summertime.
The chaparral vegetation, shown in Figure 35.16, is dominated by shrubs and is adapted to periodic fires, with some plants
producing seeds that only germinate after a hot fire. The ashes left behind after a fire are rich in nutrients like nitrogen that
fertilize the soil and promote plant regrowth.
Chapter 35 | Ecology and the Biosphere 1717
Temperate Grasslands
Temperate grasslands are found throughout central North America, where they are also known as prairies; they are also
in Eurasia, where they are known as steppes (Figure 35.12). Temperate grasslands have pronounced annual fluctuations
in temperature with hot summers and cold winters. The annual temperature variation produces specific growing seasons
for plants. Plant growth is possible when temperatures are warm enough to sustain plant growth and when ample water is
available, which occurs in the spring, summer, and fall. During much of the winter, temperatures are low, and water, which
is stored in the form of ice, is not available for plant growth.
Annual precipitation ranges from 25 cm–75 cm (9.8–29.5 in). Because of relatively lower annual precipitation in temperate
grasslands, there are few trees except for those found growing along rivers or streams. The dominant vegetation tends to
consist of grasses and some prairies sustain populations of grazing animals Figure 35.17. The vegetation is very dense and
the soils are fertile because the subsurface of the soil is packed with the roots and rhizomes (underground stems) of these
grasses. The roots and rhizomes act to anchor plants into the ground and replenish the organic material (humus) in the soil
when they die and decay.
Figure 35.17 The American bison (Bison bison), more commonly called the buffalo, is a grazing mammal that once
populated American prairies in huge numbers. (credit: Jack Dykinga, USDA Agricultural Research Service)
Fires, mainly caused by lightning, are a natural disturbance in temperate grasslands. When fire is suppressed in temperate
grasslands, the vegetation eventually converts to scrub and dense forests. Often, the restoration or management of temperate
grasslands requires the use of controlled burns to suppress the growth of trees and maintain the grasses.
Temperate Forests
Temperate forests are the most common biome in eastern North America, Western Europe, Eastern Asia, Chile, and New
Zealand (Figure 35.12). This biome is found throughout mid-latitude regions. Temperatures range between -30 °C and 30
°C (-22 °F to 86 °F) and drop to below freezing on an annual basis. These temperatures mean that temperate forests have
defined growing seasons during the spring, summer, and early fall. Precipitation is relatively constant throughout the year
1718 Chapter 35 | Ecology and the Biosphere
Figure 35.18 Deciduous trees are the dominant plant in the temperate forest. (credit: Oliver Herold)
The trees of the temperate forests leaf out and shade much of the ground; however, this biome is more open than tropical
wet forests because trees in the temperate forests do not grow as tall as the trees in tropical wet forests. The soils of the
temperate forests are rich in inorganic and organic nutrients. This is due to the thick layer of leaf litter on forest floors. As
this leaf litter decays, nutrients are returned to the soil. The leaf litter also protects soil from erosion, insulates the ground,
and provides habitats for invertebrates (such as the pill bug or roly-poly, Armadillidium vulgare) and their predators, such
as the red-backed salamander (Plethodon cinereus).
Boreal Forests
The boreal forest, also known as taiga or coniferous forest, is found south of the Arctic Circle and across most of Canada,
Alaska, Russia, and northern Europe (Figure 35.12). This biome has cold, dry winters and short, cool, wet summers. The
annual precipitation is from 40 cm– 100 cm (15.7–39 in) and usually takes the form of snow. Little evaporation occurs
because of the cold temperatures.
The long and cold winters in the boreal forest have led to the predominance of cold-tolerant cone-bearing plants. These
are evergreen coniferous trees like pines, spruce, and fir, which retain their needle-shaped leaves year-round. Evergreen
trees can photosynthesize earlier in the spring than deciduous trees because less energy from the sun is required to warm a
needle-like leaf than a broad leaf. This benefits evergreen trees, which grow faster than deciduous trees in the boreal forest.
In addition, soils in boreal forest regions tend to be acidic with little available nitrogen. Leaves are a nitrogen-rich structure
and deciduous trees must produce a new set of these nitrogen-rich structures each year. Therefore, coniferous trees that
retain nitrogen-rich needles may have a competitive advantage over the broad-leafed deciduous trees.
The net primary productivity of boreal forests is lower than that of temperate forests and tropical wet forests. The
aboveground biomass of boreal forests is high because these slow-growing tree species are long lived and accumulate
standing biomass over time. Plant species diversity is less than that seen in temperate forests and tropical wet forests. Boreal
forests lack the pronounced elements of the layered forest structure seen in tropical wet forests. The structure of a boreal
forest is often only a tree layer and a ground layer (Figure 35.19). When conifer needles are dropped, they decompose more
slowly than broad leaves; therefore, fewer nutrients are returned to the soil to fuel plant growth.
Chapter 35 | Ecology and the Biosphere 1719
Figure 35.19 The boreal forest (taiga) has low lying plants and conifer trees. (credit: L.B. Brubaker)
Arctic Tundra
The Arctic tundra lies north of the subarctic boreal forest and is located throughout the Arctic regions of the northern
hemisphere (Figure 35.12). The average winter temperature is -34 °C (-34 °F) and the average summer temperature is from
3 °C–12 °C (37 °F–52 °F). Plants in the arctic tundra have a very short growing season of approximately 10–12 weeks.
However, during this time, there are almost 24 hours of daylight and plant growth is rapid. The annual precipitation of the
Arctic tundra is very low with little annual variation in precipitation. And, as in the boreal forests, there is little evaporation
due to the cold temperatures.
Plants in the Arctic tundra are generally low to the ground (Figure 35.20). There is little species diversity, low net primary
productivity, and low aboveground biomass. The soils of the Arctic tundra may remain in a perennially frozen state referred
to as permafrost. The permafrost makes it impossible for roots to penetrate deep into the soil and slows the decay of organic
matter, which inhibits the release of nutrients from organic matter. During the growing season, the ground of the Arctic
tundra can be completely covered with plants or lichens.
Figure 35.20 Low-growing plants such as shrub willow dominate the tundra landscape, shown here in the Arctic
National Wildlife Refuge. (credit: USFWS Arctic National Wildlife Refuge)
1720 Chapter 35 | Ecology and the Biosphere
Watch this Assignment Discovery: Biomes video (http://openstaxcollege.org/l/biomes) for an overview of biomes. To
explore further, select one of the biomes on the extended playlist: desert, savanna, temperate forest, temperate grassland,
tropic, tundra.
Which of the following biomes is characterized by low precipitation, cactus, hardy shrubs, and high temperatures?
a. tundra
b. chapparal
c. desert
d. boreal forest
Activity
For five different terrestrial biomes, create a visual representation to describe each biome and factors that
affect its climate. What unique adaptations help plants and animals survive in each biome?
Think About It
In what ways are the subtropical desert and the Arctic tundra similar?
Section Summary
The Earth has terrestrial biomes and aquatic biomes. Aquatic biomes include both freshwater and marine environments.
There are eight major terrestrial biomes: tropical wet forests, savannas, subtropical deserts, chaparral, temperate grasslands,
temperate forests, boreal forests, and Arctic tundra. The same biome can occur in different geographic locations with similar
climates. Temperature and precipitation, and variations in both, are key abiotic factors that shape the composition of animal
and plant communities in terrestrial biomes. Some biomes, such as temperate grasslands and temperate forests, have distinct
seasons, with cold weather and hot weather alternating throughout the year. In warm, moist biomes, such as the tropical
wet forest, net primary productivity is high, as warm temperatures, abundant water, and a year-round growing season fuel
plant growth. Other biomes, such as deserts and tundra, have low primary productivity due to extreme temperatures and a
shortage of available water.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
Essential 2.D.1 Abiotic factors in an environment determine the characteristics of the environment
Knowledge (biome).
Science Practice 5.1 The student can analyze data to identify patterns or relationships.
Learning 2.24 The student is able to analyze data to identify possible patterns and relationships
Objective between a biotic or abiotic factor and a biological system.
Figure 35.21 The ocean is divided into different zones based on water depth and distance from the shoreline.
Ocean waters receive varying amounts of sunlight based on the depth. Where would you expect to find the most
photosynthesis in an ocean biome?
a. aphotic zone
b. abyssal zone
c. benthic realm
d. intertidal zone
Marine Biomes
The ocean is the largest marine biome. It is a continuous body of salt water that is relatively uniform in chemical
composition; it is a weak solution of mineral salts and decayed biological matter. Within the ocean, coral reefs are a second
kind of marine biome. Estuaries, coastal areas where salt water and fresh water mix, form a third unique marine biome.
Ocean
The physical diversity of the ocean is a significant influence on plants, animals, and other organisms. The ocean is
categorized into different zones based on how far light reaches into the water. Each zone has a distinct group of species
adapted to the biotic and abiotic conditions particular to that zone.
The intertidal zone, which is the zone between high and low tide, is the oceanic region that is closest to land (Figure
35.21). Generally, most people think of this portion of the ocean as a sandy beach. In some cases, the intertidal zone is
indeed a sandy beach, but it can also be rocky or muddy. The intertidal zone is an extremely variable environment because
of tides. Organisms are exposed to air and sunlight at low tide and are underwater most of the time, especially during high
tide. Therefore, living things that thrive in the intertidal zone are adapted to being dry for long periods of time. The shore
of the intertidal zone is also repeatedly struck by waves, and the organisms found there are adapted to withstand damage
from the pounding action of the waves (Figure 35.22). The exoskeletons of shoreline crustaceans (such as the shore crab,
Carcinus maenas) are tough and protect them from desiccation (drying out) and wave damage. Another consequence of the
pounding waves is that few algae and plants establish themselves in the constantly moving rocks, sand, or mud.
Chapter 35 | Ecology and the Biosphere 1723
Figure 35.22 Sea urchins, mussel shells, and starfish are often found in the intertidal zone, shown here in Kachemak
Bay, Alaska. (credit: NOAA)
The neritic zone (Figure 35.21) extends from the intertidal zone to depths of about 200 m (or 650 ft) at the edge of the
continental shelf. Since light can penetrate this depth, photosynthesis can occur in the neritic zone. The water here contains
silt and is well-oxygenated, low in pressure, and stable in temperature. Phytoplankton and floating Sargassum (a type of
free-floating marine seaweed) provide a habitat for some sea life found in the neritic zone. Zooplankton, protists, small
fishes, and shrimp are found in the neritic zone and are the base of the food chain for most of the world’s fisheries.
Beyond the neritic zone is the open ocean area known as the oceanic zone (Figure 35.21). Within the oceanic zone there is
thermal stratification where warm and cold waters mix because of ocean currents. Abundant plankton serve as the base of
the food chain for larger animals such as whales and dolphins. Nutrients are scarce and this is a relatively less productive
part of the marine biome. When photosynthetic organisms and the protists and animals that feed on them die, their bodies
fall to the bottom of the ocean where they remain; unlike freshwater lakes, the open ocean lacks a process for bringing the
organic nutrients back up to the surface. The majority of organisms in the aphotic zone include sea cucumbers (phylum
Echinodermata) and other organisms that survive on the nutrients contained in the dead bodies of organisms in the photic
zone.
Beneath the pelagic zone is the benthic realm, the deepwater region beyond the continental shelf (Figure 35.21). The bottom
of the benthic realm is comprised of sand, silt, and dead organisms. Temperature decreases, remaining above freezing, as
water depth increases. This is a nutrient-rich portion of the ocean because of the dead organisms that fall from the upper
layers of the ocean. Because of this high level of nutrients, a diversity of fungi, sponges, sea anemones, marine worms, sea
stars, fishes, and bacteria exist.
The deepest part of the ocean is the abyssal zone, which is at depths of 4000 m or greater. The abyssal zone (Figure 35.21)
is very cold and has very high pressure, high oxygen content, and low nutrient content. There are a variety of invertebrates
and fishes found in this zone, but the abyssal zone does not have plants because of the lack of light. Hydrothermal vents are
found primarily in the abyssal zone; chemosynthetic bacteria utilize the hydrogen sulfide and other minerals emitted from
the vents. These chemosynthetic bacteria use the hydrogen sulfide as an energy source and serve as the base of the food
chain found in the abyssal zone.
Coral Reefs
Coral reefs are ocean ridges formed by marine invertebrates living in warm shallow waters within the photic zone of the
ocean. They are found within 30˚ north and south of the equator. The Great Barrier Reef is a well-known reef system
located several miles off the northeastern coast of Australia. Other coral reef systems are fringing islands, which are directly
adjacent to land, or atolls, which are circular reef systems surrounding a former landmass that is now underwater. The coral
organisms (members of phylum Cnidaria) are colonies of saltwater polyps that secrete a calcium carbonate skeleton. These
calcium-rich skeletons slowly accumulate, forming the underwater reef (Figure 35.23). Corals found in shallower waters
(at a depth of approximately 60 m or about 200 ft) have a mutualistic relationship with photosynthetic unicellular algae. The
relationship provides corals with the majority of the nutrition and the energy they require. The waters in which these corals
live are nutritionally poor and, without this mutualism, it would not be possible for large corals to grow. Some corals living
in deeper and colder water do not have a mutualistic relationship with algae; these corals attain energy and nutrients using
stinging cells on their tentacles to capture prey.
1724 Chapter 35 | Ecology and the Biosphere
Watch this National Oceanic and Atmospheric Administration (NOAA) video (http://openstaxcollege.org/l/
marine_biology) to see marine ecologist Dr. Peter Etnoyer discusses his research on coral organisms.
Corals are found in deep seas. How do marine ecologists study deep sea corals without having to destroy their habitat?
c. sonar
d. laser
It is estimated that more than 4,000 fish species inhabit coral reefs. These fishes can feed on coral, the cryptofauna
(invertebrates found within the calcium carbonate substrate of the coral reefs), or the seaweed and algae that are associated
with the coral. In addition, some fish species inhabit the boundaries of a coral reef; these species include predators,
herbivores, or planktivores. Predators are animal species that hunt and are carnivores or flesh eaters. Herbivores eat plant
material, and planktivores eat plankton.
Figure 35.23 Coral reefs are formed by the calcium carbonate skeletons of coral organisms, which are marine
invertebrates in the phylum Cnidaria. (credit: Terry Hughes)
Chapter 35 | Ecology and the Biosphere 1725
The short-term and rapid variation in salinity due to the mixing of fresh water and salt water is a difficult physiological
challenge for the plants and animals that inhabit estuaries. Many estuarine plant species are halophytes: plants that can
tolerate salty conditions. Halophytic plants are adapted to deal with the salinity resulting from saltwater on their roots or
from sea spray. In some halophytes, filters in the roots remove the salt from the water that the plant absorbs. Other plants are
able to pump oxygen into their roots. Animals, such as mussels and clams (phylum Mollusca), have developed behavioral
adaptations that expend a lot of energy to function in this rapidly changing environment. When these animals are exposed to
low salinity, they stop feeding, close their shells, and switch from aerobic respiration (in which they use gills) to anaerobic
respiration (a process that does not require oxygen). When high tide returns to the estuary, the salinity and oxygen content
of the water increases, and these animals open their shells, begin feeding, and return to aerobic respiration.
Figure 35.24 Estuaries are formed when marine water and fresh water meet. As a result, the water in estuaries
vary widely in salinity. Organisms living in estuaries, such as the mangroves pictured here, must be able to tolerate
a wide variation of salinity. (credit: Moni3, Wikimedia Commons)
The spring and fall turnovers are important processes in freshwater lakes that act to move nutrients and water from the
bottom to the top. Explain how this is different in temperate regions as compared to the tropics.
a. Spring turnover occurs in tropical lakes, but not in temperate lakes. Stratification occurs in temperate lakes.
b. Temperate lakes do not freeze so they do not undergo spring turnover or stratification.
c. Stratification and spring turnover occur in tropical lakes. Temperate lakes do not freeze so they do not
undergo spring turnover.
d. Stratification and spring turnover occur in temperate lakes. Tropical lakes do not freeze so they do not
undergo spring turnover.
Freshwater Biomes
Freshwater biomes include lakes and ponds (standing water) as well as rivers and streams (flowing water). They also include
wetlands, which will be discussed later. Humans rely on freshwater biomes to provide aquatic resources for drinking water,
crop irrigation, sanitation, and industry. These various roles and human benefits are referred to as ecosystem services. Lakes
and ponds are found in terrestrial landscapes and are, therefore, connected with abiotic and biotic factors influencing these
terrestrial biomes.
Lakes and Ponds
Lakes and ponds can range in area from a few square meters to thousands of square kilometers. Temperature is an important
abiotic factor affecting living things found in lakes and ponds. In the summer, thermal stratification of lakes and ponds
occurs when the upper layer of water is warmed by the sun and does not mix with deeper, cooler water. Light can
penetrate within the photic zone of the lake or pond. Phytoplankton (algae and cyanobacteria) are found here and carry out
photosynthesis, providing the base of the food web of lakes and ponds. Zooplankton, such as rotifers and small crustaceans,
consume these phytoplankton. At the bottom of lakes and ponds, bacteria in the aphotic zone break down dead organisms
Chapter 35 | Ecology and the Biosphere 1727
Figure 35.25 The uncontrolled growth of algae in this lake has resulted in an algal bloom. (credit: Jeremy Nettleton)
Figure 35.26 Located in southern Florida, Everglades National Park is vast array of wetland environments, including
sawgrass marshes, cypress swamps, and estuarine mangrove forests. Here, a great egret walks among cypress trees.
(credit: NPS)
Freshwater marshes and swamps are characterized by slow and steady water flow. Bogs develop in depressions where water
flow is low or nonexistent. Bogs usually occur in areas where there is a clay bottom with poor percolation. Percolation is
the movement of water through the pores in the soil or rocks. The water found in a bog is stagnant and oxygen depleted
because the oxygen that is used during the decomposition of organic matter is not replaced. As the oxygen in the water is
depleted, decomposition slows. This leads to organic acids and other acids building up and lowering the pH of the water.
At a lower pH, nitrogen becomes unavailable to plants. This creates a challenge for plants because nitrogen is an important
limiting resource. Some types of bog plants (such as sundews, pitcher plants, and Venus flytraps) capture insects and extract
the nitrogen from their bodies. Bogs have low net primary productivity because the water found in bogs has low levels of
nitrogen and oxygen.
Section Summary
Aquatic ecosystems include both saltwater and freshwater biomes. The abiotic factors important for the structuring of
aquatic ecosystems can be different than those seen in terrestrial systems. Sunlight is a driving force behind the structure
of forests and also is an important factor in bodies of water, especially those that are very deep, because of the role of
photosynthesis in sustaining certain organisms. Density and temperature shape the structure of aquatic systems. Oceans may
be thought of as consisting of different zones based on water depth and distance from the shoreline and light penetrance.
Different kinds of organisms are adapted to the conditions found in each zone. Coral reefs are unique marine ecosystems
that are home to a wide variety of species. Estuaries are found where rivers meet the ocean; their shallow waters provide
nourishment and shelter for young crustaceans, mollusks, fishes, and many other species. Freshwater biomes include lakes,
ponds, rivers, streams, and wetlands. Bogs are an interesting type of wetland characterized by standing water, lower pH,
and a lack of nitrogen.
that have altered global weather patterns. Collectively, these changes are called global climate change and include a
worldwide increase in temperature due primarily to rising levels of atmospheric carbon dioxide. There are several causes
of global climate change, including human activity. The effects of human activity on other aspects of ecosystems will be
explored in the Conservation Biology and Biodiversity chapter.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 4 of the AP®
Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide a transparent
foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and AP® exam
questions. A learning objective merges required content with one or more of the seven science practices.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Interactions within biological systems lead to complex properties.
Understanding 4.A
Essential 4.A.6 Interactions among living systems and with their environment results in the
Knowledge movement of matter and energy.
6.4 The student can make claims and predictions about natural phenomena based on
Science Practice
scientific theories and models.
4.16 The student is able to predict the effects of a change of matter or energy
Learning Objective
availability on communities.
Antarctic ice cores are a key example of such evidence. These ice cores are samples of polar ice obtained by means of
drills that reach thousands of meters into ice sheets or high mountain glaciers. Viewing the ice cores is like traveling
backwards through time; the deeper the sample, the earlier the time period. Trapped within the ice are bubbles of air and
other biological evidence that can reveal temperature and carbon dioxide data. Antarctic ice cores have been collected
and analyzed to indirectly estimate the temperature of the Earth over the past 400,000 years (Figure 35.27a). The 0 °C
on this graph refers to the long-term average. Temperatures that are greater than 0 °C exceed Earth’s long-term average
temperature. Conversely, temperatures that are less than 0 °C are less than Earth’s average temperature. This figure shows
that there have been periodic cycles of increasing and decreasing temperature.
Before the late 1800s, the Earth has been as much as 9 °C cooler and about 3 °C warmer. Note that the graph in Figure
35.27b shows that the atmospheric concentration of carbon dioxide has also risen and fallen in periodic cycles; note the
relationship between carbon dioxide concentration and temperature. Figure 35.27b shows that carbon dioxide levels in the
atmosphere have historically cycled between 180 and 300 parts per million (ppm) by volume.
Figure 35.27 Ice at the Russian Vostok station in East Antarctica was laid down over the course 420,000 years and
reached a depth of over 3,000 m. By measuring the amount of CO2 trapped in the ice, scientists have determined past
atmospheric CO2 concentrations. Temperatures relative to modern day were determined from the amount of deuterium
(an isotope of hydrogen) present.
Figure 35.27a does not show the last 2,000 years with enough detail to compare the changes of Earth’s temperature during
the last 400,000 years with the temperature change that has occurred in the more recent past. Two significant temperature
anomalies, or irregularities, have occurred in the last 2000 years. These are the Medieval Climate Anomaly (or the Medieval
Warm Period) and the Little Ice Age. A third temperature anomaly aligns with the Industrial Era. The Medieval Climate
Anomaly occurred between 900 and 1300 AD. During this time period, many climate scientists think that slightly warmer
weather conditions prevailed in many parts of the world; the higher-than-average temperature changes varied between 0.10
°C and 0.20 °C above the norm. Although 0.10 °C does not seem large enough to produce any noticeable change, it did free
seas of ice. Because of this warming, the Vikings were able to colonize Greenland.
The Little Ice Age was a cold period that occurred between 1550 AD–1850 AD. During this time, a slight cooling of a
Chapter 35 | Ecology and the Biosphere 1731
little less than 1 °C was observed in North America, Europe, and possibly other areas of the Earth. This 1 °C change in
global temperature is a seemingly small deviation in temperature (as was observed during the Medieval Climate Anomaly);
however, it also resulted in noticeable changes. Historical accounts reveal a time of exceptionally harsh winters with much
snow and frost.
The Industrial Revolution, which began around 1750, was characterized by changes in much of human society. Advances
in agriculture increased the food supply, which improved the standard of living for people in Europe and the United States.
New technologies were invented and provided jobs and cheaper goods. These new technologies were powered using fossil
fuels, especially coal. The Industrial Revolution starting in the early nineteenth century ushered in the beginning of the
Industrial Era. When a fossil fuel is burned, carbon dioxide is released. With the beginning of the Industrial Era, atmospheric
carbon dioxide began to rise (Figure 35.28).
Figure 35.28 The atmospheric concentration of CO2 has risen steadily since the beginning of industrialization.
greenhouse gases there are in the atmosphere, the more thermal energy is reflected back to the Earth’s surface. Greenhouse
gases absorb and emit radiation and are an important factor in the greenhouse effect—the warming of Earth due to carbon
dioxide and other greenhouse gases in the atmosphere.
Evidence supports the relationship between atmospheric concentrations of carbon dioxide and temperature—as carbon
dioxide rises, global temperature rises. Since 1950, the concentration of atmospheric carbon dioxide has increased from
about 280 ppm–382 ppm in 2006. In 2011, the atmospheric carbon dioxide concentration was 392 ppm. However, the planet
would not be inhabitable by current life forms if water vapor did not produce its drastic greenhouse warming effect.
Scientists look at patterns in data and try to explain differences or deviations from these patterns. The atmospheric carbon
dioxide data reveal a historical pattern of carbon dioxide increasing and decreasing, cycling between a low of 180 ppm and
a high of 300 ppm. Scientists have concluded that it took around 50,000 years for the atmospheric carbon dioxide level to
increase from its low minimum concentration to its higher maximum concentration. However, starting recently, atmospheric
carbon dioxide concentrations have increased beyond the historical maximum of 300 ppm. The current increases in
atmospheric carbon dioxide have happened very quickly—in a matter of hundreds of years rather than thousands of years.
What is the reason for this difference in the rate of change and the amount of increase in carbon dioxide? A key factor that
must be recognized when comparing the historical data and the current data is the presence of modern human society; no
other driver of climate change has yielded changes in atmospheric carbon dioxide levels at this rate or to this magnitude.
Human activity releases carbon dioxide and methane, two of the most important greenhouse gases, into the atmosphere in
several ways. The primary mechanism that releases carbon dioxide is the burning of fossil fuels, such as gasoline, coal, and
natural gas (Figure 35.29). Deforestation, cement manufacture, animal agriculture, the clearing of land, and the burning
of forests are other human activities that release carbon dioxide. Methane (CH4) is produced when bacteria break down
organic matter under anaerobic conditions. Anaerobic conditions can happen when organic matter is trapped underwater
(such as in rice paddies) or in the intestines of herbivores. Methane can also be released from natural gas fields and the
decomposition that occurs in landfills. Another source of methane is the melting of clathrates. Clathrates are frozen chunks
of ice and methane found at the bottom of the ocean. When water warms, these chunks of ice melt and methane is released.
As the ocean’s water temperature increases, the rate at which clathrates melt is increasing, releasing even more methane.
This leads to increased levels of methane in the atmosphere, which further accelerates the rate of global warming. This is
an example of the positive feedback loop that is leading to the rapid rate of increase of global temperatures.
Figure 35.29 The burning of fossil fuels in industry and by vehicles releases carbon dioxide and other greenhouse
gases into the atmosphere. (credit: “Pöllö”/Wikimedia Commons)
Watch this NASA video (http://openstaxcollege.org/l/climate_plants) to discover the mixed effects of global warming
on plant growth. While scientists found that warmer temperatures in the 1980s and 1990s caused an increase in plant
productivity, this advantage has since been counteracted by more frequent droughts.
What impact does climate change have on plants?
a. Warmer temperatures extend the growing season of plants, which increases their water requirement
throughout the season. Once the growing season ends, shorter, milder winters fail to kill pests increasing the
risk of large, damaging infestations in subsequent seasons.
b. Warmer temperatures extend growing season of plants, which increases their nutrient requirements
throughout the season. The nutrient requirements are not met once the growing season ends, increasing the
risk of low productivity.
c. Warmer temperatures reduce the growing season of plants, which increase the risk of low productivity. Once
the growing season ends, shorter, milder winters fail to kill pests increasing the risk of damaging infestations
in subsequent seasons, which also leads to low productivity.
d. Warmer temperatures reduce the growing season of plants, which increase the risk of low productivity. Once
the growing season ends, milder and shorter winters fail to provide sufficient nutrients to plants increasing
the risk of plant death.
Figure 35.30 The effect of global warming can be seen in the continuing retreat of Grinnel Glacier. The mean annual
temperature in the park has increased 1.33 °C since 1900. The loss of a glacier results in the loss of summer
meltwaters, sharply reducing seasonal water supplies and severely affecting local ecosystems. (credit: modification of
work by USGS)
This loss of ice is leading to increases in the global sea level. On average, the sea is rising at a rate of 1.8 mm per year.
However, between 1993 and 2010 the rate of sea level increase ranged between 2.9 and 3.4 mm per year. A variety of
factors affect the volume of water in the ocean, including the temperature of the water (the density of water is related to its
temperature) and the amount of water found in rivers, lakes, glaciers, polar ice caps, and sea ice. As glaciers and polar ice
caps melt, there is a significant contribution of liquid water that was previously frozen.
In addition to some abiotic conditions changing in response to climate change, many organisms are also being affected by
the changes in temperature. Temperature and precipitation play key roles in determining the geographic distribution and
phenology of plants and animals. (Phenology is the study of the effects of climatic conditions on the timing of periodic
lifecycle events, such as flowering in plants or migration in birds.) Researchers have shown that 385 plant species in Great
Britain are flowering 4.5 days sooner than was recorded earlier during the previous 40 years. In addition, insect-pollinated
species were more likely to flower earlier than wind-pollinated species. The impact of changes in flowering date would be
mitigated if the insect pollinators emerged earlier. This mismatched timing of plants and pollinators could result in injurious
ecosystem effects because, for continued survival, insect-pollinated plants must flower when their pollinators are present.
Think About It
What are possible short-term and long-term effects of natural and human-induced processes on global climate change
and, consequently, ecosystems?
Section Summary
The Earth has gone through periodic cycles of increases and decreases in temperature. During the past 2000 years, the
Medieval Climate Anomaly was a warmer period, while the Little Ice Age was unusually cool. Both of these irregularities
can be explained by natural causes of changes in climate, and, although the temperature changes were small, they had
significant effects. Natural drivers of climate change include Milankovitch cycles, changes in solar activity, and volcanic
eruptions. None of these factors, however, leads to rapid increases in global temperature or sustained increases in carbon
dioxide. The burning of fossil fuels is an important source of greenhouse gases, which plays a major role in the greenhouse
effect. Long ago, global warming resulted in the Permian extinction: a large-scale extinction event that is documented in
the fossil record. Currently, modern-day climate change is associated with the increased melting of glaciers and polar ice
sheets, resulting in a gradual increase in sea level. Plants and animals can also be affected by global climate change when
the timing of seasonal events, such as flowering or pollination, is affected by global warming.
Chapter 35 | Ecology and the Biosphere 1735
KEY TERMS
abiotic nonliving components of the environment
benthic realm (also, benthic zone) part of the ocean that extends along the ocean bottom from the shoreline to the deepest
parts of the ocean floor
biogeography study of the geographic distribution of living things and the abiotic factors that affect their distribution
biome ecological community of plants, animals, and other organisms that is adapted to a characteristic set of
environmental conditions
canopy branches and foliage of trees that form a layer of overhead coverage in a forest
channel width of a river or stream from one bank to the other bank
clathrates frozen chunks of ice and methane found at the bottom of the ocean
coral reef ocean ridges formed by marine invertebrates living in warm, shallow waters within the photic zone
cryptofauna invertebrates found within the calcium carbonate substrate of coral reefs
emergent vegetation wetland plants that are rooted in the soil but have portions of leaves, stems, and flowers extending
above the water’s surface
endemic species found only in a specific geographic area that is usually restricted in size
estuary biomes where a source of fresh water, such as a river, meets the ocean
fall and spring turnover seasonal process that recycles nutrients and oxygen from the bottom of a freshwater ecosystem
to the top
global climate change altered global weather patterns, including a worldwide increase in temperature, due largely to
rising levels of atmospheric carbon dioxide
greenhouse effect warming of Earth due to carbon dioxide and other greenhouse gases in the atmosphere
greenhouse gases atmospheric gases such as carbon dioxide and methane that absorb and emit radiation, thus trapping
heat in Earth’s atmosphere
haze-effect cooling effect of the gases and solids from a volcanic eruption on global climate
intertidal zone part of the ocean that is closest to land; parts extend above the water at low tide
1736 Chapter 35 | Ecology and the Biosphere
Milankovitch cycles cyclic changes in the Earth's orbit that may affect climate
neritic zone part of the ocean that extends from low tide to the edge of the continental shelf
net primary productivity measurement of the energy accumulation within an ecosystem, calculated as the total amount
of carbon fixed per year minus the amount that is oxidized during cellular respiration
ocean upwelling rising of deep ocean waters that occurs when prevailing winds blow along surface waters near a
coastline
oceanic zone part of the ocean that begins offshore where the water measures 200 m deep or deeper
pelagic realm (also, pelagic zone) open ocean waters that are not close to the bottom or near the shore
predator animal species that hunt and are carnivores or “flesh eaters”
solar intensity amount of solar power energy the sun emits in a given amount of time
thermocline layer of water with a temperature that is significantly different from that of the surrounding layers
CHAPTER SUMMARY
35.1 The Scope of Ecology
Ecology is the study of the interactions of living things with their environment. Ecologists ask questions across four levels
of biological organization—organismal, population, community, and ecosystem. At the organismal level, ecologists study
individual organisms and how they interact with their environments. At the population and community levels, ecologists
explore, respectively, how a population of organisms changes over time and the ways in which that population interacts
with other species in the community. Ecologists studying an ecosystem examine the living species (the biotic components)
of the ecosystem as well as the nonliving portions (the abiotic components), such as air, water, and soil of the environment.
35.2 Biogeography
Biogeography is the study of the geographic distribution of living things and the abiotic factors that affect their
distribution. Endemic species are species that are naturally found only in a specific geographic area. The distribution of
living things is influenced by several environmental factors that are, in part, controlled by the latitude or elevation at which
an organism is found. Ocean upwelling and spring and fall turnovers are important processes regulating the distribution of
nutrients and other abiotic factors important in aquatic ecosystems. Energy sources, temperature, water, inorganic
nutrients, and soil are factors limiting the distribution of living things in terrestrial systems. Net primary productivity is a
measure of the amount of biomass produced by a biome.
The Earth has terrestrial biomes and aquatic biomes. Aquatic biomes include both freshwater and marine environments.
There are eight major terrestrial biomes: tropical wet forests, savannas, subtropical deserts, chaparral, temperate
grasslands, temperate forests, boreal forests, and Arctic tundra. The same biome can occur in different geographic
locations with similar climates. Temperature and precipitation, and variations in both, are key abiotic factors that shape the
composition of animal and plant communities in terrestrial biomes. Some biomes, such as temperate grasslands and
temperate forests, have distinct seasons, with cold weather and hot weather alternating throughout the year. In warm, moist
biomes, such as the tropical wet forest, net primary productivity is high, as warm temperatures, abundant water, and a
Chapter 35 | Ecology and the Biosphere 1737
year-round growing season fuel plant growth. Other biomes, such as deserts and tundra, have low primary productivity due
to extreme temperatures and a shortage of available water.
Aquatic ecosystems include both saltwater and freshwater biomes. The abiotic factors important for the structuring of
aquatic ecosystems can be different than those seen in terrestrial systems. Sunlight is a driving force behind the structure
of forests and also is an important factor in bodies of water, especially those that are very deep, because of the role of
photosynthesis in sustaining certain organisms. Density and temperature shape the structure of aquatic systems. Oceans
may be thought of as consisting of different zones based on water depth and distance from the shoreline and light
penetrance. Different kinds of organisms are adapted to the conditions found in each zone. Coral reefs are unique marine
ecosystems that are home to a wide variety of species. Estuaries are found where rivers meet the ocean; their shallow
waters provide nourishment and shelter for young crustaceans, mollusks, fishes, and many other species. Freshwater
biomes include lakes, ponds, rivers, streams, and wetlands. Bogs are an interesting type of wetland characterized by
standing water, lower pH, and a lack of nitrogen.
The Earth has gone through periodic cycles of increases and decreases in temperature. During the past 2000 years, the
Medieval Climate Anomaly was a warmer period, while the Little Ice Age was unusually cool. Both of these irregularities
can be explained by natural causes of changes in climate, and, although the temperature changes were small, they had
significant effects. Natural drivers of climate change include Milankovitch cycles, changes in solar activity, and volcanic
eruptions. None of these factors, however, leads to rapid increases in global temperature or sustained increases in carbon
dioxide. The burning of fossil fuels is an important source of greenhouse gases, which plays a major role in the greenhouse
effect. Long ago, global warming resulted in the Permian extinction: a large-scale extinction event that is documented in
the fossil record. Currently, modern-day climate change is associated with the increased melting of glaciers and polar ice
sheets, resulting in a gradual increase in sea level. Plants and animals can also be affected by global climate change when
the timing of seasonal events, such as flowering or pollination, is affected by global warming.
REVIEW QUESTIONS
1. C, H, O, and N are nutrients that are cycled through the Earth in different forms. Which of the following levels of
ecology will include the study of nutrient cycling though the environment?
a. organismal ecology
b. population ecology
c. community ecology
d. ecosystem ecology
2. Which of the following are arranged from least inclusive to most inclusive?
a. population>ecosystem>community>biosphere
b. ecosystem < population < biosphere < community
c. biosphere < ecosystem < community < population
d. population < community < ecosystem < biosphere
3. An ecologist is studying the patterns on the wings of an endangered butterfly species that allow it to escape predators
such as birds. This is an example of __.
a. population ecology
b. organismal ecology
c. ecosystem ecology
d. community ecology
4. Each year, Lake Michigan beach visitors are warned of possible exposure to E. coli, which can cause illness. To
understand how both biotic and abiotic environmental conditions affect the risk of E. coli abundance, which type of
individual should an infectious disease specialist collaborate with?
1738 Chapter 35 | Ecology and the Biosphere
a. An ecosystem ecologist
b. An organismal ecologist
c. A community ecologist
d. A population ecologist
5. Some bacterial species can use nitrogen directly from the atmosphere. In their ecosystem, the bacteria are a _____.
a. biotic factor
b. abiotic factor
c. infectious factor
d. symbiotic partner
6. Photosynthetic organisms are important to most ecosystems because they_____.
a. synthesize organic compounds they obtain from decaying heterotrophs.
b. can use carbon dioxide and sunlight and synthesize their own food.
c. use wind energy to synthesize organic compounds.
d. synthesize inorganic compounds from organic compounds.
7. The study of population ecology focuses on ___.
a. The number of individuals of one species in an area and how and why that number changes over time.
b. The processes driving interactions within and among different species within an area.
c. The adaptations that enable individuals to live in specific habitats.
d. Plants and animals living in an enclosed area.
8. The study of the effect of abiotic factors such as rain and temperature on the distribution of living organisms is known
as ________.
a. community ecology
b. biogeography
c. geology
d. population ecology
9. Individuals within a single species of pine tree are often found in different geographical locations in North America.
Why?
a. they were not separated geographically over millions of years and did not evolve to be different species.
b. plant breeders carried seeds to different areas.
c. pollen from pine trees traveled to distant locations.
d. Pine tree species were present widely and died out in some areas.
10. An ecologist hiking up a mountain may notice different biomes along the way due to changes in all of the following
except ____.
a. elevation
b. rainfall
c. latitude
d. temperature
11. Temperate forests have plants of varying sizes. In this particular environment, understory plants in a temperate forest
are notable for adaptations to capture limited __________."
a. water
b. nutrients
c. heat
d. sunlight
Chapter 35 | Ecology and the Biosphere 1739
Figure 35.31
What is one problem that could develop from birds using farther north areas?
a. Aboveground and underground biomass
b. The total amount of carbon fixed
c. The amount of carbon fixed minus the amount used during cellular respiration, including only the aboveground
biomass in terrestrial biomes
d. The total amount of carbon fixed both above and below ground in terrestrial biomes
16. Biogeography is the study of the geographic distribution of living things and the _____ that affect their distribution.
a. Abiotic factors
b. Mimicry patterns
c. Seasonal changes
d. Conspecifics
17. In which of the biomes are plants unable to grow because the soil is frozen most of the year?
Chapter 35 | Ecology and the Biosphere 1741
a. arctic tundra
b. boreal forests
c. grasslands
d. chapparals
18. In grasslands, forest fires are a common occurrence. Which of the following statements regarding grasslands is true?
a. They have the ability to withstand fires.
b. They have a well-developed root system, which allows them to regrow after a fire.
c. Grasses are tall and only their top portions are destroyed.
d. Trees shield some of the grass thus protecting it from fire.
19. Savannas are grasslands with scattered trees. Which statement is correct about savannas?
a. They receive abundant rainfall.
b. The temperatures are cold throughout the year.
c. They have relatively long dry seasons.
d. Savannas are dominated by fluctuations in temperature.
20. The boreal forest, also known as taiga or coniferous forest, is found south of the Arctic Circle and across most of
Canada, Alaska, Russia and northern Europe. What are the characteristics of the boreal forest?
a. high temperature
b. deciduous trees
c. high humidity
d. acidic soil
21. The amount of sunlight and rainfall affects the growing season of plants in different biomes Which of the following
biomes is characterized by short growing seasons?
a. savanna
b. temperate grasslands
c. arctic tundra
d. tropical wet forest
22. The figure shows different zones present in the ocean.
1742 Chapter 35 | Ecology and the Biosphere
Figure 35.32
Which statement about marine biomes is true?
a. The benthic zone includes the ocean’s open water and shore.
b. The pelagic realm includes all of the ocean’s open water.
c. The majority of the ocean includes the photic zone.
d. The deepest zone of the ocean is known as the aphotic zone.
23. Corals have a mutualistic relationship with photosynthetic algae in the photic zones of water. What purpose does this
serve?
a. Corals are able to derive their nutrition from the algae and thus survive in the nutritionally poor water.
b. Corals are able to accumulate calcium carbonate from the algae.
c. Corals and algae can form coral reefs because of this association.
d. Corals provide food to the algae.
24. Which of the following abiotic factors is most important for sustaining life in marine biomes?
a. wind
b. soil
c. salt
d. warmth
25. There are several different marine zones. In which zone are organisms exposed to air and sunlight at low tide and are
underwater most of the time, especially during high tide?
Chapter 35 | Ecology and the Biosphere 1743
a. intertidal zone
b. neritic
c. oceanic
d. abyssal
26. Which group of photosynthetic organisms is more likely to grow in a lake as opposed to a river?
a. fungi
b. phytoplankton
c. moss
d. lichens
27. Water flow can vary in wetlands. Freshwater marshes and swamps are characterized by:
a. dry soil
b. rapid water flow
c. slow water flow
d. irregular water flow
28. Water bodies can differ in the amount of salt present. Which of the following is a characteristic of an estuary?
a. a continuous body of water with high salinity
b. an area where the salinity varies
c. a body of water with low salinity
d. a body of water with low salt entering land
29. The earth’s geological past has witnessed many important events. Which of the following periods was associated with
global warming?
a. Permian period
b. Cambrian period
c. 2nd and 3rd century BC
d. 20th century
30. One of the indirect consequences of global warming has been ___.
a. loss of biodiversity
b. increase in temperature
c. change in water quality
d. variations in the temperature tolerance of plants
31. Which one of the following fuels was used extensively during the Industrial Revolution, leading to increases in levels
of carbon dioxide?
a. coal
b. petroleum
c. natural gas
d. solar energy
32. Global warming is due to many factors. Which of the following is known to change with CO2 concentration?
a. solar intensity
b. wind intensity
c. temperature
d. humidity
33. All of the following are natural factors have led to slow increases in global temperatures except____.
1744 Chapter 35 | Ecology and the Biosphere
a. volcanic eruptions
b. change in solar intensity
c. earthquakes
d. changes in the earth’s orbit
34. Global temperatures have been steadily increasing since the Industrial Revolution largely as a result of ___.
a. agricultural production
b. burning of fossil fuels
c. increase in movement of people
d. use of pesticides
35. Which of the following gases is not considered a significant contributor to global warming?
a. carbon dioxide
b. methane
c. nitric oxide
d. oxygen
36. Carbon dioxide, methane, and nitrous oxide are considered greenhouse gases because___.
a. they trap solar radiation released from the sun in its entirety as it reaches Earth’s surface, similar to the glass in a
greenhouse
b. they are found mostly in greenhouses
c. they are essential for plant growth in a greenhouse
d. they trap solar radiation, which is converted into thermal radiation on Earth’s surface, some of which is
reradiated back into the atmosphere
37. The Medieval Climate Anomaly occurred between 900 and 1300 AD. Temperatures during this time were between
0.10 and 0.20 higher. This allowed _____.
a. the Vikings to colonize Greenland
b. the rapid development of new technologies
c. advances in agriculture
d. harsh winters
a. The American white pelican follows an annual migration pattern in search of cooler climates. Cooler climates
make it easier for them to maintain a constant body temperature than if they stayed somewhere warm.
b. The American white pelican follows an annual migration pattern in search of food, saltwater, and cooler
climates. Cooler climates help these birds reproduce.
c. The American white pelican follows an annual migration pattern in search of food and warmer climates. Warmer
climates and greater food availability make it easier to maintain a constant body temperature than if they stayed
somewhere cold.
d. The American white pelican follows an annual migration pattern in search of food only. Warmer climates have
greater food availability, and pelicans can maintain their body temperature equally easily in cold versus warm
temperatures.
44. Why is it essential for organisms to maintain a relatively constant body temperature? Describe adaptations that help the
organisms cope with changes in environmental temperature.
a. The rate of metabolic processes increases at very high or low temperatures. So, organisms have to maintain a
constant body temperature. This can be achieved only by migration to avoid seasonal temperature changes.
b. Enzymes that carry out metabolic processes are denatured at very high temperatures and work more slowly at
lower temperatures. So, organisms have to maintain a constant body temperature. This can be achieved by
hibernation, aestivation, or migration.
c. The rate of metabolic processes increases at very high or low temperatures. So, organisms have to maintain a
constant body temperature. This can be achieved by hibernation, aestivation, or migration.
d. Enzymes that carry out metabolic processes are denatured at very high temperatures. So, organisms have to
maintain a constant body temperature. This can be achieved only by migration to avoid seasonal temperature
changes.
45. The extremely low precipitation of subtropical desert biomes might lead one to expect fire to be a major disturbance
factor. However, fire is more common in the temperate grassland biome than in the sub tropic desert biome. Why is this?
a. Due to higher net primary productivity, biomass in deserts is significantly more than in temperate grassland
biomes. However, it is easier for fire to spread in grasslands as biomass is abundant.
b. Due to lower net primary productivity, biomass in deserts is significantly less than in temperate grassland
biomes. It is easier for fire to spread in grasslands as biomass is abundant.
c. Due to lower net primary productivity, biomass in deserts is significantly less than in temperate grassland
biomes. It is easier for fire to spread in grasslands as they have very low precipitation and high temperatures.
d. Due to higher net primary productivity, biomass in deserts is significantly more than in temperate grassland
biomes. However, it is easier for fire to spread in grasslands as they have very low precipitation and high
temperatures.
46. What are endemic species? Give an example and explain how endemic species differ from generalist species.
a. Endemic species are found naturally in specific geographic areas that are usually restricted in size. For example,
the raccoon is found only in Australia. Generalist species are found in a wide range of geographical locations.
For example, the koala is native to most of North and Central America.
b. Endemic species are defined as those that are likely to be extinct. For example, the Tasmanian tiger (a marsupial)
was found only in Australia but became extinct. Generalist species are those found in a wide range of
geographical locations and are less likely to become extinct. For example, the raccoon is native to most of North
and Central America and is not endangered.
c. Endemic species are found in a wide range of geographical locations. For example, the raccoon is native to most
of North and Central America. Generalist species are found naturally in specific geographic areas that are
usually restricted in size. For example, the koala is only found in some regions of Australia.
d. Endemic species are found naturally in specific geographic areas that are usually restricted in size. For example,
the koala is found only in some regions in Australia. Generalist species are found in a wide range of
geographical locations. For example, the raccoon is native to most of North and Central America.
47. Deserts and subtropical deserts experience low precipitation and extremes in temperature. For a plant to survive and
reproduce, what adaptations should it have? Why?
Chapter 35 | Ecology and the Biosphere 1747
a. To survive, they need prop roots, reduced foliage and fleshy leaves with sunken stomata to reduce transpiration.
Also, they should have seeds that can remain dormant over long periods.
b. To survive, they need deep roots, reduced foliage and fleshy leaves with sunken stomata to reduce transpiration.
Also, they should have seeds that can remain dormant over long periods.
c. To survive, they need deep roots, reduced foliage and fleshy leaves with sunken stomata to reduce transpiration.
Also, these plants need to grow in clumps.
d. To survive, they need deep roots, increased foliage, and fleshy leaves with sunken stomata to reduce
transpiration. Also, the plants need seeds that can remain dormant over long periods.
48. In what ways are the subtropical desert and the arctic tundra similar?
a. Both are characterized by animals, which are adapted to burrowing.
b. Both are characterized by plants, which prefer to grow in clumps.
c. Both are characterized by low water availability and, as a result, low net primary productivity.
d. Both are characterized by plants, which are mostly perennials.
49. Describe the chaparral biome. How does it does it differ from subtropical deserts?
a. Shrubs dominate chaparral vegetation and are well adapted to the periodic fires in the area. Ashes left behind
after fires are rich in nutrients, which promote regrowth. Subtropical deserts are characterized by their high
precipitation and water-retaining plants.
b. Shrubs dominate chaparral vegetation and are well adapted to the periodic fires in the area. Ashes left behind
after fires are rich in nutrients, which promote regrowth. Subtropical deserts are characterized by their low
precipitation and water-retaining plants.
c. Lichens dominate chaparral vegetation and are well adapted to the periodic fires in the area. Ashes left behind
after fires are rich in nutrients, which promote regrowth. Subtropical deserts are characterized by their low
precipitation and water-retaining plants.
d. Shrubs dominate chaparral vegetation but are not well adapted to the periodic fires in the area. Ashes left behind
after fires are rich in nutrients, which promote regrowth. Subtropical deserts are characterized by their low
precipitation and water-retaining plants.
50. What happens to aquatic life in deep lakes when water freezes during the winter months?
a. During winters, layer of ice forms on water surface, as ice is less dense than water. Water is densest at 7° C and
retains its liquid form below the water surface. The aquatic life can exist in liquid water.
b. During winters, the aquatic life exists in liquid water, which is present between layers of ice, by consuming more
resources so it can survive during the harsh winter season.
c. During winters, a layer of ice forms on the water surface, as ice is less dense than water. Water is densest at 4°C
and retains its liquid form below the water surface, where the ice layer is. In liquid water, the aquatic life can
survive using the resources available.
d. During winters, ice forms only on the surface and a few meters below the surface of water. Water is densest at
4°C and retains its liquid form below the water surface, where the ice layer is. In liquid water, the aquatic life
can exist using the resources available.
51. Explain the challenges facing organisms living in the intertidal zone and their adaptations to meet these challenges.
a. They are subject to constant exposure to air, sunlight, periods of dryness, and pounding waves. For this reason,
some species have an exoskeleton.
b. They are subject to periodic exposures to air, sunlight, periods of dryness, and pounding waves. For this reason,
some species have an exoskeleton.
c. They are subject to periodic exposures to air, sunlight, periods of dryness, and pounding waves. For this reason,
all species have an exoskeleton.
d. They are subject to periodic exposures to air, sunlight, periods of dryness, and pounding waves. For this reason,
most species have an endoskeleton.
52. If algae grows out of proportion as seen during algal blooms, how does it affect the ecosystem?
1748 Chapter 35 | Ecology and the Biosphere
a. Other photosynthetic organisms will not be able to grow. The animals and birds that live on those organisms will
be affected. As the algae die, oxygen will be depleted, affecting fish and other aquatic animals. The pH of water
will change, affecting metabolic processes as well.
b. Non-photosynthetic organisms will not be able to grow due to lack of light. The photosynthetic organisms that
require them to live will be affected. As the algae die, oxygen will be depleted, affecting fish and other aquatic
animals. The pH of water will change, affecting metabolic processes as well.
c. Other photosynthetic organisms will not be able to grow. The animals and birds that live on those organisms will
be affected. As the algae die, carbon dioxide will be depleted, affecting fish and other aquatic animals. The pH
of water will change, affecting metabolic processes as well.
d. Non-photosynthetic organisms will not be able to grow. The animals and birds that live on those organisms will
be affected. As the algae die, carbon dioxide will be depleted, affecting fish and other aquatic animals. The pH
of water will change, affecting metabolic processes as well.
53. What are some abiotic factors that affect freshwater biomes? Explain.
a. Salinity and sunlight are both abiotic factors that influence life in freshwater biomes. As organisms living in
freshwater biomes require high salt density for survival, its depletion would kill the organisms. Many organisms
that serve as food for others are photosynthetic and would die if algae blooms obscured the light. Their
decomposition as well as the depletion of oxygen by algae would cause organisms that require oxygen to die out
as well.
b. Salinity and sunlight are both abiotic factors that influence life in freshwater biomes. As organisms living in
freshwater biomes cannot tolerate high salt levels, these organisms would not survive if it increased. Many
organisms that serve as food for others are photosynthetic would die if algal blooms obscured the light. Their
decomposition and the depletion of carbon dioxide by algae would cause organisms that require carbon dioxide
to die out as well.
c. Salinity and sunlight are both abiotic factors that influence life in freshwater biomes. As organisms living in
freshwater biomes cannot tolerate high salt levels, these organisms would not survive if it were to increase
significantly. Many organisms that serve as food for others are photosynthetic and would die if algal blooms
obscure light. Their decomposition and depletion of oxygen by algae would cause organisms that require oxygen
to die out as well.
d. Salinity and temperature are both abiotic factors that influence life in freshwater biomes. As organisms living in
freshwater biomes cannot tolerate low salt concentrations, those organisms would not survive if salt
concentrations fell significantly. Many organisms that serve as food for others are photosynthetic and would die
if algal blooms obscured the light. Their decomposition and the depletion of oxygen by algae would cause
organisms that require oxygen to die out as well.
54. Is it possible to reverse global warming? What measures may help in reducing global climate change?
a. Because it has not yet affected ecosystems, it is possible to reverse global warming by reducing the usage of
fossil fuels, using alternative fuels, using alternatives to CFCs, and using natural sources of energy.
b. It may not be possible to reverse global warming as we are already witnessing changes in the environment,
plants, and animal behavior. However, taking multiple steps including reducing fossil fuel usage and using
natural sources of energy may slow down global climate change.
c. It is possible to reverse global warming by working on new technologies that will help in preventing temperature
changes worldwide. Using wind power and high-efficiency natural gas generation will be sufficient to achieve
this goal.
d. Many species, along with the elk population, would disappear.
55. As global temperatures change, many flowering plants are flowering earlier. What change would most likely occur if
the insect pollinators are not around at the same time?
Chapter 35 | Ecology and the Biosphere 1749
a. Insects will be deprived of their nectar, leading to decrease in numbers; but flowering plants will not be affected,
as other animals will pollinate them.
b. Flowering plants will not be pollinated resulting in their less population; but insects will not be affected, as
insects will feed on other organisms.
c. Neither plants nor pollinators will be affected, as new or different species of insects are going to pollinate the
flowering plants.
d. Both plant and pollinator numbers would decrease, as insects will be deprived of nectar and plants will not be
pollinated.
56. If scientists had to predict the rise in Earth’s temperature in the next one hundred years, what would they take into
consideration?
a. Scientists can predict the change in earth’s temperature only by analyzing previous and current data such as
dimensions and locations of glaciers as well as the water levels in lakes, rivers, and oceans.
b. Scientists could predict rise in temperature by analyzing previous and current data like dimensions and locations
of glaciers, water levels in lakes, rivers and oceans and by the number of annual rings in trees.
c. Scientists could predict rise in earth’s temperature by measuring the greenhouse gases present in the current
atmosphere. Counting and examining the number of annual rings in trees would provide information about past
temperature changes.
d. Scientists can predict the change in earth’s atmosphere by counting and analyzing the number of annual rings in
trees. Also, analyzing ice cores for over a year would predict the rise in Earth’s temperature in the next one
hundred years.
57. Many people cannot imagine a world without fossil fuels, but fossil fuels are finite resources and will eventually run
out. This is why drilling had begun in Arctic in an effort to find a new source of fossil fuels, though it is currently stopped.
What are the dangers of drilling in the Arctic? What are the alternatives?
a. Drilling as well as melting of ice in the Arctic affects organisms there and results in the release of large amounts
of methane, accelerating global warming. Investing in clean energy like wind, water, and solar power, which do
not release harmful gases, could be the alternative.
b. Drilling as well as melting of ice in the Arctic results in the release of large amounts of carbon monoxide,
accelerating global warming. Investing in clean energy like wind, water, and solar power, which do not release
harmful gases, could be the alternative.
c. Drilling as well as melting of ice in the Arctic results in the release of large amounts of carbon monoxide, which
is lethal. Investing in clean energy like wind, water, and solar power, which do not release harmful gases, could
be the alternative.
d. Drilling as well as melting of ice in the Arctic results in the release of large amounts of methane, accelerating
global warming. Investing in mining of earth minerals and metal ores could be the alternative.
a. The grasses will grow back, but the herbivores that lived there will not return, as they would have found new
land to live on. Therefore, the net primary productivity would decrease.
b. The grasses will not grow back, therefore the herbivores that lived there will not return. Thus, the net primary
productivity would decrease.
c. The grasses will grow back and the herbivores that lived there will probably return. The net primary productivity
should be similar to the previous season.
d. The grasses will grow back and the herbivores that lived there will probably return. The net primary productivity
would be less than the previous season.
60. The Karner blue butterfly larva secretes a carbohydrate, which is a source of energy for ants. In turn, ants tend to the
larva, increasing its likelihood to grow into an adult butterfly. This is an example of _____.
a. predation
b. competition
c. mutualism
d. parasitism
61. A lake in the Midwest experiences a sudden increase in the algae population (algal bloom) that covers the lake. This
results in changes in factors that affect net primary productivity, especially _______.
a. light and nutrient availability
b. predation by primary consumers
c. pollution
d. carbon dioxide
62. In bogs, paleontologists have discovered perfectly preserved bodies of humans and animals that have been there for
hundreds of years. How is this possible?
a. Bogs have high oxygen content and organic acids, which lowers the pH. Low pH and high oxygen content
prevents oxidation thus, slowing down decomposition.
b. Bogs have low oxygen content and organic acids, which increases the pH. High pH and low oxygen content
prevents oxidation thus, slowing down decomposition.
c. Bogs have low oxygen content and organic acids, which lowers the pH. Low pH and low oxygen content prevent
oxidation, thus slowing down decomposition.
d. Bogs have low oxygen content and organic acids, which lowers the pH. Low pH and low oxygen content
prevents reduction, thus slowing down decomposition.
63. You are asked to estimate the nutrient content of a lake and its possible effect on net primary productivity. What data
will you collect to determine the effect?
a. Sample water from different parts of the lake and determine nutrient composition.
b. Sample the carbon content of the phytoplankton growing.
c. Take sample of lake water and artificially enrich it, then see the effect of the enrichment on phytoplankton
growth compared with growth in unenriched lake water.
d. Wait for spring turnover to check for nutrients found in the lake floor.
64. The population of a certain species of deer has been reduced drastically because of indiscriminate hunting. How will
you determine the impact on the local ecosystem?
Chapter 35 | Ecology and the Biosphere 1751
a. To determine the effect of indiscriminate hunting on local ecosystem, environmental conditions should be
determined. If a drastic change in environmental conditions is observed then, indiscriminate hunting of deer
should be discouraged.
b. The number of predators, their effect on plants they feed on, availability of nutrients in soil, and number of pests
should be determined. If there is a drastic change in numbers, then indiscriminate hunting of deer should be
discouraged.
c. Determining the number of predators alone is sufficient to determine the impact of indiscriminate hunting on
local ecosystem. If there is a drastic change in numbers, then indiscriminate hunting of deer should be
discouraged.
d. Determination of the availability of nutrients in soil helps in determining the impact of indiscriminate hunting on
local ecosystem. If there is a drastic change in the availability, then indiscriminate hunting of deer should be
discouraged.
65. In a forest fire, many oak trees were destroyed. After the fire, numerous taller trees replaced the oak trees. What is the
best explanation of this event?
a. The tall trees grow faster and create a canopy, which did not allow oak trees to grow.
b. The burning of the trees changed the pH of the soil, which did not allow oak trees to grow.
c. Roots of shrubs and trees proliferate, taking over the place of the oak trees.
d. Oak trees succumb to pests, thus other pest resistant trees are able to proliferate.
66. What are possible consequences if there is a big oil spill in the middle of the ocean? How will it affect the biodiversity
and the net primary productivity? What are some strategies to clean up this oil spill?
a. Oil spills increase the amount of light and oxygen entering the ocean. The phytoplanktons may perish. Presence
of oil would limit mobility of marine animals and may result in death. Some chemicals and bioremediation can
help oil clean up.
b. Oil spills increase the amount of light and oxygen entering the ocean. The phytoplanktons may increase. The
mobility of marine animals increases. Biodiversity and, therefore, net primary productivity increases. Some
chemicals and bioremediation can help oil clean up.
c. Oil spills cover the surface of the ocean, reducing the amount of light entering the ocean. The marine organisms
that can survive independent of light will not be affected. Some chemicals and bioremediation can help oil clean
up.
d. Oil spills cover the surface of the ocean, reducing the amount of light and oxygen entering the ocean. The
phytoplankton may perish. Presence of oil would limit mobility of marine animals and may result in death. Some
chemicals and bioremediation can help oil clean up.
67. Global climate change has led to butterflies emerging earlier and amphibians mating earlier in the United Kingdom.
What impact is climate change most likely to have on the populations of these species in the next few years?
a. There will be no impact on the butterfly and amphibian populations.
b. The butterfly and amphibian numbers may increase as they adapt to the new conditions.
c. Their butterfly and amphibian numbers may decline as the plant hosts of butterflies may not flower earlier, and
young amphibians may not be viable if there is a lack of water.
d. It is hard to predict what will happen to the butterfly and amphibian populations because there are no similar
studies.
68. What are possible short-term and long-term effects of natural and human-induced processes on global climate change
and, consequently, ecosystems?
1752 Chapter 35 | Ecology and the Biosphere
a. Short-term changes include melting of glaciers and rising levels of water bodies that may cover islands close to
sea level, which may destroy the local ecosystem and animals. Long-term changes could include changes in
seasonal patterns, unseasonal rainfall, and changes in the life cycle of insects.
b. Short-term changes include changes in seasonal patterns, unseasonal rainfall, and changes in the life cycle of
insects and animals. Long-term changes could be changes in the flowering times of plants and rising levels of
water bodies that may cover islands close to sea level, destroying the local ecosystem.
c. Short-term changes include changes in seasonal patterns, unseasonal rainfall, and changes in the life cycle of
insects and animals. Long-term changes could include the melting of glaciers and a rise in levels of water
bodies, which may cover islands close to sea level, which could destroy the local ecosystem.
d. Short-term changes include melting of glaciers, unseasonal rainfall, and changes in the life cycle of insects and
animals. Long-term changes could include rising levels of water bodies that may cover islands close to sea level,
destroying the local ecosystem.
Figure 35.33
The role of humans in the last great extinction, the Holocene Extinction, during which the megafauna such as the wooly
mammoth, the wooly rhinoceros and the giant deer disappeared, has long been debated. Did we hunt these creatures to
extinction? By examining all available DNA evidence, Cooper et al (Science, 349, 2015) have compared time extinction
intervals with these oscillations of climate as shown in the table.
Chapter 35 | Ecology and the Biosphere 1753
Beginning extinction date (thousand years Ending extinction event (thousand years
Animal Label Location
ago) ago)
Bear a Beringia 24 21
Bison b Europe 35 32
Rhinoceros c Britain 36 32
Rhinoceros d Russia 14 13
North
Horse e 15 13
America
Horse f Beringia 43 38
North
Mastodon g 12 11
America
Mammoth h Europe 13 12
Mammoth i Eurasia 11 10
Musk Ox j Eurasia 48 44
Deer k Europe 13 12
Cave Lion l Beringia 14 12
Cave Bear m Europe 29 27
Additionally, the data shown in the graph below are obtained from ice cores. The deeper the sample, the older the sample.
The percent departure from the current O18 percentage that is graphed above is a measure of temperature relative to the
present temperature. The higher the isotope concentration, the higher the average temperature of the ocean.
Figure 35.34
a. Refine the graph by adding the interval of time of extinction with a label drawn from the table as shown by “a”.
b. Analyze these data in terms of the clustering of extinction events.
c. Based on your analysis, explain how ecosystems have changed during the last 40,000 years, and identify the
factor that caused these changes.
d. Based on the correlation between Earth’s temperature and the concentration of CO2 in the atmosphere, predict
what will happen to animal populations in the future.
1754 Chapter 35 | Ecology and the Biosphere
Chapter 36 | Population and Community Ecology 1755
36 | POPULATION AND
COMMUNITY ECOLOGY
Figure 36.1 Asian carp jump out of the water in response to electrofishing. The Asian carp in the inset photograph were
harvested from the Little Calumet River in Illinois in May, 2010, using rotenone, a toxin often used as an insecticide, in
an effort to learn more about the population of the species. (credit main image: modification of work by USGS; credit
inset: modification of work by Lt. David French, USCG)
Chapter Outline
36.1: Population Demography
36.2: Life Histories and Natural Selection
36.3: Environmental Limits to Population Growth
36.4: Population Dynamics and Regulation
36.5: Human Population Growth
36.6: Community Ecology
36.7: Behavioral Biology: Proximal and Ultimate Causes of Behavior
Introduction
Imagine sailing down a river in a small motorboat on a weekend afternoon; the water is smooth and you are enjoying the
warm sunshine and cool breeze when suddenly you are hit in the head by a 20-pound silver carp. This is a risk now on many
rivers and canal systems in Illinois and Missouri because of the presence of Asian carp.
This fish—actually a group of species including the silver, black, grass, and big head carp—has been farmed and eaten
in China for over 1000 years. It is one of the most important aquaculture food resources worldwide. In the United States,
however, Asian carp is considered a dangerous invasive species that disrupts community structure and composition to the
point of threatening native species.
The Asian carp is now threatening to invade the Great Lakes. You can read more about this invasion here
(http://openstaxcollege.org/l/32asiancarp) .
1756 Chapter 36 | Population and Community Ecology
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 2.3 The student is able to predict how changes in free energy availability affect organisms,
Objective populations, and ecosystems.
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
3.2 The student can refine scientific questions.
Practice
2.22 The student is able to refine scientific models and questions about the effect of complex
Learning
biotic and abiotic interactions on all biological systems, from cells and organisms to
Objective
populations, communities and ecosystems.
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Chapter 36 | Population and Community Ecology 1757
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.23 The student is able to design a plan for collecting data to show that all biological
Objective systems, including populations, are affected by complex biotic and abiotic interactions.
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 2.24 The student is able to analyze data to identify possible patterns and relationships
Objective between a biotic or abiotic factors and a biological system, including populations.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Learning 4.11 The student is able to justify the selection of the kind of data needed to answer scientific
Objective questions about the interaction of populations within communities.
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 4.12 The student is able to apply mathematical routines to quantities that describe
Objective communities composed of populations of organisms that interact in complex ways.
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.13 The student is able to predict the effects of a change in the community’s populations on
Objective the community.
In addition, content from this chapter is addressed in the AP Biology Laboratory Manual in the following lab(s):
• 1 Biodiversity in Leaf Litter
Populations are dynamic entities. Populations consist all of the species living within a specific area, and populations
fluctuate based on a number of factors: seasonal and yearly changes in the environment, natural disasters such as forest
fires and volcanic eruptions, and competition for resources between and within species. The statistical study of population
dynamics, demography, uses a series of mathematical tools to investigate how populations respond to changes in their
biotic and abiotic environments. Many of these tools were originally designed to study human populations. For example,
life tables, which detail the life expectancy of individuals within a population, were initially developed by life insurance
companies to set insurance rates. In fact, while the term demographics is commonly used when discussing humans, all
1758 Chapter 36 | Population and Community Ecology
Figure 36.2 Australian mammals show a typical inverse relationship between population density and body size.
Figure 36.3 A scientist uses a quadrat to measure population size and density. (credit: NPS Sonoran Desert Network)
For mobile organisms, such as mammals, birds, or fish, a technique called mark and recapture is often used. This method
involves marking a sample of captured animals in some way (such as tags, bands, paint, or other body markings), and
then releasing them back into the environment to allow them to mix with the rest of the population; later, a new sample is
collected, including some individuals that are marked (recaptures) and some individuals that are unmarked (Figure 36.4).
Figure 36.4 Mark and recapture is used to measure the population size of mobile animals such as (a) bighorn sheep,
(b) the California condor, and (c) salmon. (credit a: modification of work by Neal Herbert, NPS; credit b: modification of
work by Pacific Southwest Region USFWS; credit c: modification of work by Ingrid Taylar)
Using the ratio of marked and unmarked individuals, scientists determine how many individuals are in the sample. From
this, calculations are used to estimate the total population size. This method assumes that the larger the population, the lower
the percentage of tagged organisms that will be recaptured since they will have mixed with more untagged individuals. For
example, if 80 deer are captured, tagged, and released into the forest, and later 100 deer are captured and 20 of them are
already marked, we can determine the population size (N) using the following equation:
(number marked first catch x total number of second catch)
=N
number marked second catch
Using our example, the population size would be estimated at 400.
(80 x 100)
= 400
20
Therefore, there are an estimated 400 total individuals in the original population.
There are some limitations to the mark and recapture method. Some animals from the first catch may learn to avoid capture
in the second round, thus inflating population estimates. Alternatively, animals may preferentially be retrapped (especially
if a food reward is offered), resulting in an underestimate of population size. Also, some species may be harmed by the
marking technique, reducing their survival. A variety of other techniques have been developed, including the electronic
tracking of animals tagged with radio transmitters and the use of data from commercial fishing and trapping operations to
estimate the size and health of populations and communities.
Species Distribution
In addition to measuring simple density, further information about a population can be obtained by looking at the
1760 Chapter 36 | Population and Community Ecology
distribution of the individuals. Species dispersion patterns (or distribution patterns) show the spatial relationship between
members of a population within a habitat at a particular point in time. In other words, they show whether members of the
species live close together or far apart, and what patterns are evident when they are spaced apart.
Individuals in a population can be more or less equally spaced apart, dispersed randomly with no predictable pattern, or
clustered in groups. These are known as uniform, random, and clumped dispersion patterns, respectively (Figure 36.5).
Uniform dispersion is observed in plants that secrete substances inhibiting the growth of nearby individuals (such as the
release of toxic chemicals by the sage plant Salvia leucophylla, a phenomenon called allelopathy) and in animals like the
penguin that maintain a defined territory. An example of random dispersion occurs with dandelion and other plants that
have wind-dispersed seeds that germinate wherever they happen to fall in a favorable environment. A clumped dispersion
may be seen in plants that drop their seeds straight to the ground, such as oak trees, or animals that live in groups (schools
of fish or herds of elephants). Clumped dispersions may also be a function of habitat heterogeneity. Thus, the dispersion
of the individuals within a population provides more information about how they interact with each other than does a
simple density measurement. Just as lower density species might have more difficulty finding a mate, solitary species with
a random distribution might have a similar difficulty when compared to social species clumped together in groups.
Figure 36.5 Species may have uniform, random, or clumped distribution. Territorial birds such as penguins tend
to have uniform distribution. Plants such as dandelions with wind-dispersed seeds tend to be randomly distributed.
Animals such as elephants that travel in groups exhibit clumped distribution. (credit a: modification of work by Ben
Tubby; credit b: modification of work by Rosendahl; credit c: modification of work by Rebecca Wood)
Demography
While population size and density describe a population at one particular point in time, scientists must use demography
to study the dynamics of a population. Demography is the statistical study of population changes over time; that is, birth
rates, death rates, and life expectancies. Each of these measures, especially birth rates, may be affected by the population
characteristics described above. For example, a large population size results in a higher birth rate because more potentially
reproductive individuals are present. In contrast, a large population size can also result in a higher death rate because of
competition, disease, and the accumulation of waste. Similarly, a higher population density or a clumped dispersion pattern
results in more potential reproductive encounters between individuals, which can increase birth rate. Lastly, a female-biased
sex ratio (the ratio of males to females) or age structure (the proportion of population members at specific age ranges)
composed of many individuals of reproductive age can increase birth rates.
In addition, the demographic characteristics of a population can influence how the population grows or declines over time.
If birth and death rates are equal, the population remains stable. However, the population size will increase if birth rates
exceed death rates; the population will decrease if birth rates are less than death rates. Life expectancy is another important
factor; the length of time individuals remain in the population impacts local resources, reproduction, and the overall health
of the population. These demographic characteristics are often displayed in the form of a life table.
Life Tables
Life tables provide important information about the life history of an organism. Life tables divide the population into age
groups and often sexes, and show how long a member of that group is likely to live. They are modeled after actuarial tables
used by the insurance industry for estimating human life expectancy. Life tables may include the probability of individuals
dying before their next birthday (i.e., their mortality rate), the percentage of surviving individuals dying at a particular age
interval, and their life expectancy at each interval. An example of a life table is shown in Table 36.1 from a study of Dall
mountain sheep, a species native to northwestern North America. Notice that the population is divided into age intervals
(column A). The mortality rate (per 1000), shown in column D, is based on the number of individuals dying during the age
Chapter 36 | Population and Community Ecology 1761
interval (column B) divided by the number of individuals surviving at the beginning of the interval (Column C), multiplied
by 1000.
number of individuals dying
mortality rate = x 1000
number of individuals surviving
For example, between ages three and four, 12 individuals die out of the 776 that were remaining from the original 1000
sheep. This number is then multiplied by 1000 to get the mortality rate per thousand.
Table 36.1 This life table of Ovis dalli shows the number of deaths, number of survivors, mortality rate,
and life expectancy at each age interval for the Dall mountain sheep.
Survivorship Curves
Another tool used by population ecologists is a survivorship curve, which is a graph of the number of individuals surviving
at each age interval plotted versus time (usually with data compiled from a life table). These curves allow us to compare the
life histories of different populations (Figure 36.6). Humans and most primates exhibit a Type I survivorship curve because
a high percentage of offspring survive their early and middle years—death occurs predominantly in older individuals. These
types of species usually have small numbers of offspring at one time, and they give a high amount of parental care to them
to ensure their survival. Birds are an example of an intermediate or Type II survivorship curve because birds die more or
less equally at each age interval. These organisms also may have relatively few offspring and provide significant parental
care. Trees, marine invertebrates, and most fishes exhibit a Type III survivorship curve because very few of these organisms
survive their younger years; however, those that make it to an old age are more likely to survive for a relatively long period
1762 Chapter 36 | Population and Community Ecology
of time. Organisms in this category usually have a very large number of offspring, but once they are born, little parental care
is provided. Thus these offspring are on their own and vulnerable to predation, but their sheer numbers assure the survival
of enough individuals to perpetuate the species.
Figure 36.6 Survivorship curves show the distribution of individuals in a population according to age. Humans and
most mammals have a Type I survivorship curve because death primarily occurs in the older years. Birds have a Type
II survivorship curve, as death at any age is equally probable. Trees have a Type III survivorship curve because very
few survive the younger years, but after a certain age, individuals are much more likely to survive.
Activity
Design an investigation that a researcher might use to determine the size of a penguin population in the
Antarctic using the mark and release method. What biotic or abiotic factors might influence the size of the
penguin population in a given area?
Section Summary
Populations are individuals of a species that live in a particular habitat. Ecologists measure characteristics of populations:
size, density, dispersion pattern, age structure, and sex ratio. Life tables are useful to calculate life expectancies of individual
population members. Survivorship curves show the number of individuals surviving at each age interval plotted versus time.
how many offspring could be produced if an individual has as many offspring as possible. In animals, fecundity is inversely
proportional to the amount of care given to an individual offspring.
Information presented and the examples highlighted in the section support concepts outlined in Big Idea 1 and Big Idea 2
of the AP® Biology Curriculum Framework. The AP® Learning Objectives listed in the Curriculum Framework provide
a transparent foundation for the AP® Biology course, an inquiry-based laboratory experience, instructional activities, and
AP® exam questions. A learning objective merges required content with one or more of the seven science practices.
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Change in the genetic makeup of a population over time is evolution.
1.A
Essential
1.A.2 Natural selection acts on phenotypic variations in populations.
Knowledge
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Science 5.3 The student can evaluate the evidence provided by data sets in relation to a particular
Practice scientific question.
Learning 1.2 The student is able to evaluate evidence provided by data to qualitatively and
Objective quantitatively investigate the role of natural selection in evolution.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.2 The student can construct explanations of phenomena based on evidence produced
Practice through scientific practices.
2.1 The student is able to explain how biological systems use free energy based on empirical
Learning
data that all organisms require constant energy input to maintain organization, to grow and to
Objective
reproduce.
A species’ life history describes the series of events over its lifetime, such as how resources are allocated for growth,
maintenance, and reproduction. Life history traits affect the life table of an organism. A species’ life history is genetically
determined and shaped by the environment and natural selection.
provide little if any care for the offspring (they would not have the energy or the ability to do so anyway). Most of their
energy budget is used to produce many tiny offspring. Animals with this strategy are often self-sufficient at a very early
age. This is because of the energy tradeoff these organisms have made to maximize their evolutionary fitness. Because their
energy is used for producing offspring instead of parental care, it makes sense that these offspring have some ability to be
able to move within their environment and find food and perhaps shelter. Even with these abilities, their small size makes
them extremely vulnerable to predation, so the production of many offspring allows enough of them to survive to maintain
the species.
Animal species that have few offspring during a reproductive event usually give extensive parental care, devoting much of
their energy budget to these activities, sometimes at the expense of their own health. This is the case with many mammals,
such as humans, kangaroos, and pandas. The offspring of these species are relatively helpless at birth and need to develop
before they achieve self-sufficiency.
Plants with low fecundity produce few energy-rich seeds (such as coconuts and chestnuts) with each having a good chance
to germinate into a new organism; plants with high fecundity usually have many small, energy-poor seeds (like orchids)
that have a relatively poor chance of surviving. Although it may seem that coconuts and chestnuts have a better chance
of surviving, the energy tradeoff of the orchid is also very effective. It is a matter of where the energy is used, for large
numbers of seeds or for fewer seeds with more energy.
Early versus Late Reproduction
The timing of reproduction in a life history also affects species survival. Organisms that reproduce at an early age have
a greater chance of producing offspring, but this is usually at the expense of their growth and the maintenance of their
health. Conversely, organisms that start reproducing later in life often have greater fecundity or are better able to provide
parental care, but they risk that they will not survive to reproductive age. Examples of this can be seen in fishes. Small
fish like guppies use their energy to reproduce rapidly, but never attain the size that would give them defense against some
predators. Larger fish, like the bluegill or shark, use their energy to attain a large size, but do so with the risk that they will
die before they can reproduce or at least reproduce to their maximum. These different energy strategies and tradeoffs are key
to understanding the evolution of each species as it maximizes its fitness and fills its niche. In terms of energy budgeting,
some species blow it all and use up most of their energy reserves to reproduce early before they die. Other species delay
having reproduction to become stronger, more experienced individuals and to make sure that they are strong enough to
provide parental care if necessary.
Single versus Multiple Reproductive Events
Some life history traits, such as fecundity, timing of reproduction, and parental care, can be grouped together into general
strategies that are used by multiple species. Semelparity occurs when a species reproduces only once during its lifetime
and then dies. Such species use most of their resource budget during a single reproductive event, sacrificing their health
to the point that they do not survive. Examples of semelparity are bamboo, which flowers once and then dies, and the
Chinook salmon (Figure 36.7a), which uses most of its energy reserves to migrate from the ocean to its freshwater nesting
area, where it reproduces and then dies. Scientists have posited alternate explanations for the evolutionary advantage of
the Chinook’s post-reproduction death: A programmed suicide caused by a massive release of corticosteroid hormones,
presumably so the parents can become food for the offspring, or simple exhaustion caused by the energy demands of
reproduction; these are still being debated.
Iteroparity describes species that reproduce repeatedly during their lives. Some animals are able to mate only once per year,
but survive multiple mating seasons. The pronghorn antelope is an example of an animal that goes into a seasonal estrus
cycle heat: a hormonally induced physiological condition preparing the body for successful mating (Figure 36.7b). Females
of these species mate only during the estrus phase of the cycle. A different pattern is observed in primates, including humans
and chimpanzees, which may attempt reproduction at any time during their reproductive years, even though their menstrual
cycles make pregnancy likely only a few days per month during ovulation (Figure 36.7c).
Chapter 36 | Population and Community Ecology 1765
Play this interactive PBS evolution-based mating game (http://openstaxcollege.org/l/mating_game) to learn more
about reproductive strategies.
Explain why it is possible to make good guesses about the best mate selections in this game.
a. Organisms have reproductive strategies that are fairly easy to predict once the type of organism and the type
of habitat they live in is known.
b. Organisms have nutritional strategies that are fairly easy to predict once the type of organism and the type of
habitat they live in is known.
c. Organisms have reproductive strategies that are fairly easy to predict once the nutritional requirements and
the type of habitat they live in is known.
d. Organisms have nutritional strategies that are fairly easy to predict once the nutritional requirements and the
type of habitat they live in is known.
1766 Chapter 36 | Population and Community Ecology
Figure 36.8 Male fruit flies that had previously mated (sperm-depleted) picked larger, more fecund females more
often than those that had not mated (non-sperm-depleted). This change in behavior causes an increase in the
efficiency of a limited reproductive resource—sperm.
These studies demonstrate two ways in which the energy budget is a factor in reproduction. First, energy
expended on mating may reduce an animal’s lifespan, but by this time they have already reproduced, so
in the context of natural selection this early death is not of much evolutionary importance. Second, when
resources such as sperm (and the energy needed to replenish it) are low, an organism’s behavior can
change to give them the best chance of passing their genes on to the next generation. These changes in
behavior, so important to evolution, are studied in a discipline known as behavioral biology, or ethology, at
the interface between population biology and psychology.
Discuss how natural selection might influence the phenomenon revealed by this study.
a. Sperm-depleted males were successful in producing offspring when mated with small females. So, the genes
that influenced the behavior of sperm-depleted males to choose larger, more fecund females were selected.
b. Sperm-depleted males were successful in producing offspring when mated with large females. So, the genes
that influenced the behavior of sperm-depleted males to choose smaller, more fecund females were selected.
c. Sperm-depleted males were successful in producing offspring when mated with large females. So, the genes
that influenced the behavior of sperm-depleted males to choose larger, more fecund females were selected.
d. Sperm-depleted males were successful in producing offspring when mated with smaller females. So, the
genes that influenced the behavior of sperm-depleted males to choose smaller, less fecund females were
Chapter 36 | Population and Community Ecology 1767
selected.
Think About It
Why is long-term parental care not associated with having many offspring during a reproductive episode?
Section Summary
All species have evolved a pattern of living, called a life history strategy, in which they partition energy for growth,
maintenance, and reproduction. These patterns evolve through natural selection; they allow species to adapt to their
environment to obtain the resources they need to successfully reproduce. There is an inverse relationship between fecundity
and parental care. A species may reproduce early in life to ensure surviving to a reproductive age or reproduce later in life
to become larger and healthier and better able to give parental care. A species may reproduce once (semelparity) or many
times (iteroparity) in its life.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.5 Communities are composed of populations of organisms that interact in complex
Knowledge ways.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 4.12 The student is able to apply mathematical routines to quantities that describe
Objective communities composed of populations of organisms that interact in complex ways.
1768 Chapter 36 | Population and Community Ecology
Essential 4.A.5 Communities are composed of populations of organisms that interact in complex
Knowledge ways.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.13 The student is able to predict the effects of a change in the community’s populations on
Objective the community.
Although life histories describe the way many characteristics of a population (such as their age structure) change over time
in a general way, population ecologists make use of a variety of methods to model population dynamics mathematically.
These more precise models can then be used to accurately describe changes occurring in a population and better predict
future changes. Certain models that have been accepted for decades are now being modified or even abandoned due to their
lack of predictive ability, and scholars strive to create effective new models.
Exponential Growth
Charles Darwin, in his theory of natural selection, was greatly influenced by the English clergyman Thomas Malthus.
Malthus published a book in 1798 stating that populations with unlimited natural resources grow very rapidly, and then
population growth decreases as resources become depleted. This accelerating pattern of increasing population size is called
exponential growth.
The best example of exponential growth is seen in bacteria. Bacteria are prokaryotes that reproduce by prokaryotic fission.
This division takes about an hour for many bacterial species. If 1000 bacteria are placed in a large flask with an unlimited
supply of nutrients (so the nutrients will not become depleted), after an hour, there is one round of division and each
organism divides, resulting in 2000 organisms—an increase of 1000. In another hour, each of the 2000 organisms will
double, producing 4000, an increase of 2000 organisms. After the third hour, there should be 8000 bacteria in the flask, an
increase of 4000 organisms. The important concept of exponential growth is that the population growth rate—the number
of organisms added in each reproductive generation—is accelerating; that is, it is increasing at a greater and greater rate.
After 1 day and 24 of these cycles, the population would have increased from 1000 to more than 16 billion. When the
population size, N, is plotted over time, a J-shaped growth curve is produced (Figure 36.9).
The bacteria example is not representative of the real world where resources are limited. Furthermore, some bacteria will
die during the experiment and thus not reproduce, lowering the growth rate. Therefore, when calculating the growth rate of
a population, the death rate (D) (number organisms that die during a particular time interval) is subtracted from the birth
rate (B) (number organisms that are born during that interval). This is shown in the following formula:
ΔN (change in number)
= B (birth rate) - D (death rate)
ΔT (change in time)
The birth rate is usually expressed on a per capita (for each individual) basis. Thus, B (birth rate) = bN (the per capita birth
rate “b” multiplied by the number of individuals “N”) and D (death rate) =dN (the per capita death rate “d” multiplied by
the number of individuals “N”). Additionally, ecologists are interested in the population at a particular point in time, an
infinitely small time interval. For this reason, the terminology of differential calculus is used to obtain the “instantaneous”
growth rate, replacing the change in number and time with an instant-specific measurement of number and time.
dN = bN − dN = (b - d)N
dT
Notice that the “d” associated with the first term refers to the derivative (as the term is used in calculus) and is different
from the death rate, also called “d.” The difference between birth and death rates is further simplified by substituting the
term “r” (intrinsic rate of increase) for the relationship between birth and death rates:
dN = rN
dT
The value “r” can be positive, meaning the population is increasing in size; or negative, meaning the population is
decreasing in size; or zero, where the population’s size is unchanging, a condition known as zero population growth. A
further refinement of the formula recognizes that different species have inherent differences in their intrinsic rate of increase
(often thought of as the potential for reproduction), even under ideal conditions. Obviously, a bacterium can reproduce
more rapidly and have a higher intrinsic rate of growth than a human. The maximal growth rate for a species is its biotic
potential, or rmax, thus changing the equation to:
Chapter 36 | Population and Community Ecology 1769
dN = r
max N
dT
Figure 36.9 When resources are unlimited, populations exhibit exponential growth, resulting in a J-shaped curve.
When resources are limited, populations exhibit logistic growth. In logistic growth, population expansion decreases as
resources become scarce, and it levels off when the carrying capacity of the environment is reached, resulting in an
S-shaped curve.
Logistic Growth
Exponential growth is possible only when infinite natural resources are available; this is not the case in the real world.
Charles Darwin recognized this fact in his description of the “struggle for existence,” which states that individuals will
compete (with members of their own or other species) for limited resources. The successful ones will survive to pass on
their own characteristics and traits (which we know now are transferred by genes) to the next generation at a greater rate
(natural selection). To model the reality of limited resources, population ecologists developed the logistic growth model.
Carrying Capacity and the Logistic Model
In the real world, with its limited resources, exponential growth cannot continue indefinitely. Exponential growth may occur
in environments where there are few individuals and plentiful resources, but when the number of individuals gets large
enough, resources will be depleted, slowing the growth rate. Eventually, the growth rate will plateau or level off (Figure
36.9). This population size, which represents the maximum population size that a particular environment can support, is
called the carrying capacity, or K.
The formula we use to calculate logistic growth adds the carrying capacity as a moderating force in the growth rate. The
expression “K – N” is indicative of how many individuals may be added to a population at a given stage, and “K – N”
divided by “K” is the fraction of the carrying capacity available for further growth. Thus, the exponential growth model is
restricted by this factor to generate the logistic growth equation:
dN = r dN = r (K - N)
max max N K
dT dT
Notice that when N is very small, (K-N)/K becomes close to K/K or 1, and the right side of the equation reduces to rmaxN,
which means the population is growing exponentially and is not influenced by carrying capacity. On the other hand, when
N is large, (K-N)/K come close to zero, which means that population growth will be slowed greatly or even stopped.
Thus, population growth is greatly slowed in large populations by the carrying capacity K. This model also allows for the
population of a negative population growth, or a population decline. This occurs when the number of individuals in the
population exceeds the carrying capacity (because the value of (K-N)/K is negative).
A graph of this equation yields an S-shaped curve (Figure 36.9), and it is a more realistic model of population growth than
exponential growth. There are three different sections to an S-shaped curve. Initially, growth is exponential because there
are few individuals and ample resources available. Then, as resources begin to become limited, the growth rate decreases.
Finally, growth levels off at the carrying capacity of the environment, with little change in population size over time.
Role of Intraspecific Competition
The logistic model assumes that every individual within a population will have equal access to resources and, thus, an equal
chance for survival. For plants, the amount of water, sunlight, nutrients, and the space to grow are the important resources,
whereas in animals, important resources include food, water, shelter, nesting space, and mates.
In the real world, phenotypic variation among individuals within a population means that some individuals will be better
1770 Chapter 36 | Population and Community Ecology
adapted to their environment than others. The resulting competition between population members of the same species
for resources is termed intraspecific competition (intra- = “within”; -specific = “species”). Intraspecific competition for
resources may not affect populations that are well below their carrying capacity—resources are plentiful and all individuals
can obtain what they need. However, as population size increases, this competition intensifies. In addition, the accumulation
of waste products can reduce an environment’s carrying capacity.
Examples of Logistic Growth
Yeast, a microscopic fungus used to make bread, exhibits the classical S-shaped curve when grown in a test tube (Figure
36.10a). Its growth levels off as the population depletes the nutrients that are necessary for its growth. In the real world,
however, there are variations to this idealized curve. Examples in wild populations include sheep and harbor seals (Figure
36.10b). In both examples, the population size exceeds the carrying capacity for short periods of time and then falls below
the carrying capacity afterwards. This fluctuation in population size continues to occur as the population oscillates around
its carrying capacity. Still, even with this oscillation, the logistic model is confirmed.
Think About It
Describe the rate of population growth that would be expected at various parts of the S-shaped curve of logistic growth.
Chapter 36 | Population and Community Ecology 1771
Figure 36.10 (a) Yeast grown in ideal conditions in a test tube show a classical S-shaped logistic growth curve,
whereas (b) a natural population of seals shows real-world fluctuation.
1772 Chapter 36 | Population and Community Ecology
Explain the underlying reasons for the differences in the two curves shown in these examples.
a. Yeast is grown under ideal conditions, so the curve reflects limitations of resources in the controlled
environment. Seals live in a natural habitat where the same types of resources are limited; but, they face
other pressures like migration and changing weather.
b. Yeast is grown under natural conditions, so the curve reflects limitations of resources due to the environment.
Seals were also observed in natural conditions; but, there were more pressures in addition to the limitation of
resources like migration and changing weather.
c. Yeast is grown under ideal conditions, so the curve reflects limitations of resources in the uncontrolled
environment. Seals live in a natural environment where same types of resources are limited; but they face
other pressures like migration and changing weather.
d. Yeast is grown under ideal conditions, so the curve reflects limitations of resources in the controlled
environment. Seals live in a natural environment where the same types of resources are limited; but, they
face another pressure of migration of seals out of the population.
Section Summary
Populations with unlimited resources grow exponentially, with an accelerating growth rate. When resources become
limiting, populations follow a logistic growth curve. The population of a species will level off at the carrying capacity of its
environment.
Chapter 36 | Population and Community Ecology 1773
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.5 Communities are composed of populations of organisms that interact in complex
Knowledge ways.
Science 1.4 The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 4.11 The student is able to justify the selection of the kind of data needed to answer
Objective scientific questions about the interactions of populations within communities.
The logistic model of population growth, while valid in many natural populations and a useful model, is a simplification
of real-world population dynamics. Implicit in the model is that the carrying capacity of the environment does not change,
which is not the case. The carrying capacity varies annually; for example, some summers are hot and dry whereas others
are cold and wet. In many areas, the carrying capacity during the winter is much lower than it is during the summer.
Also, natural events such as earthquakes, volcanoes, and fires can alter an environment and hence its carrying capacity.
Additionally, populations do not usually exist in isolation. They engage in interspecific competition: that is, they share
the environment with other species, competing with them for the same resources. These factors are also important to
understanding how a specific population will grow.
Nature regulates population growth in a variety of ways. These are grouped into density-dependent factors, in which
the density of the population at a given time affects growth rate and mortality, and density-independent factors, which
influence mortality in a population regardless of population density. Note that in the former, the effect of the factor on the
population depends on the density of the population at onset. Conservation biologists want to understand both types because
this helps them manage populations and prevent extinction or overpopulation.
1774 Chapter 36 | Population and Community Ecology
Density-dependent Regulation
Most density-dependent factors are biological in nature (biotic), and include predation, inter- and intraspecific competition,
accumulation of waste, and diseases such as those caused by parasites. Usually, the denser a population is, the greater its
mortality rate. For example, during intra- and interspecific competition, the reproductive rates of the individuals will usually
be lower, reducing their population’s rate of growth. In addition, low prey density increases the mortality of its predator
because it has more difficulty locating its food source.
An example of density-dependent regulation is shown in Figure 36.11 with results from a study focusing on the giant
intestinal roundworm (Ascaris lumbricoides), a parasite of humans and other mammals. Denser populations of the parasite
exhibited lower fecundity: they contained fewer eggs. One possible explanation for this is that females would be smaller
in more dense populations (due to limited resources) and that smaller females would have fewer eggs. This hypothesis was
tested and disproved in a 2009 study which showed that female weight had no influence. The actual cause of the density-
dependence of fecundity in this organism is still unclear and awaiting further investigation.
Figure 36.11 In this population of roundworms, fecundity (number of eggs) decreases with population density.
Chapter 36 | Population and Community Ecology 1775
One of the consequences of an overly dense population is the spread of disease. The brown bat pictured
below has a contagious fungal infection called white nose syndrome.
Think About It
Describe an example of how density-dependent and density-independent factors might interact.
1776 Chapter 36 | Population and Community Ecology
It's easy to get lost in the discussion of dinosaurs and theories about why they went extinct 65 million years
ago. Was it due to a meteor slamming into Earth near the coast of modern-day Mexico, or was it from some
long-term weather cycle that is not yet understood? One hypothesis that will never be proposed is that
humans had something to do with it. Mammals were small, insignificant creatures of the forest 65 million
years ago, and no humans existed.
Woolly mammoths, however, began to go extinct about 10,000 years ago, when they shared the Earth
with humans who were no different anatomically than humans today (Figure 36.13). Mammoths survived
in isolated island populations as recently as 1700 BC. We know a lot about these animals from carcasses
found frozen in the ice of Siberia and other regions of the north. Scientists have sequenced at least 50
percent of its genome and believe mammoths are between 98 and 99 percent identical to modern elephants.
It is commonly thought that climate change and human hunting led to their extinction. A 2008 study
estimated that climate change reduced the mammoth’s range from 3,000,000 square miles 42,000 years
ago to 310,000 square miles 6,000 years ago. It is also well documented that humans hunted these
animals. A 2012 study showed that no single factor was exclusively responsible for the extinction of
these magnificent creatures. In addition to human hunting, climate change, and reduction of habitat, these
scientists demonstrated another important factor in the mammoth’s extinction was the migration of humans
across the Bering Strait to North America during the last ice age 20,000 years ago.
The maintenance of stable populations was and is very complex, with many interacting factors determining
the outcome. It is important to remember that humans are also part of nature. Once we contributed to a
species’ decline using primitive hunting technology only.
Explain the factors that may have contributed to the extinction of the woolly mammoth, and caused it to occur over a
long period of time.
a. Deforestation affected the ability of the woolly mammoth to find adequate habitat and food, and humans
contributed to declines in their population by hunting them.
b. Climate change affected the ability of the woolly mammoth to find adequate habitat and food, and humans
contributed to the decline in their population by hunting them.
c. Climate change affected the ability of the woolly mammoth to find adequate food even though they had
plenty of habitat, and humans contributed to declines in their population by hunting them.
d. Climate change affected the ability of the woolly mammoth to find adequate habitat and food, and a plague
affected Earth during that time causing their extinction.
Table 36.2
1778 Chapter 36 | Population and Community Ecology
Figure 36.14 (a) Elephants are considered K-selected species as they live long, mature late, and provide long-term
parental care to few offspring. Oak trees produce many offspring that do not receive parental care, but are considered
K-selected species based on longevity and late maturation. (b) Dandelions and jellyfish are both considered r-selected
species as they mature early, have short lifespans, and produce many offspring that receive no parental care.
Section Summary
Populations are regulated by a variety of density-dependent and density-independent factors. Species are divided into two
categories based on a variety of features of their life history patterns: r-selected species, which have large numbers of
offspring, and K-selected species, which have few offspring. The r- and K-selection theory has fallen out of use; however,
many of its key features are still used in newer, demographically-based models of population dynamics.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 1.4 The student can use representations and models to analyze situations or solve
Practice problems qualitatively and quantitatively.
Science 4.1 The student is able to justify the selection of the kind of data needed to answer scientific
Practice questions about the interaction of populations within communities.
Learning 4.11 The student is able to justify the selection of the kind of data needed to answer
Objective scientific questions about the interaction of populations within communities.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 4.12 The student is able to apply mathematical routines to quantities that describe
Objective communities composed of populations of organisms that interact in complex ways.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.13 The student is able to predict the effects of a change in the community’s populations on
Objective the community.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.16 The student is able to predict the effects of a change of matter or energy availability on
Objective communities.
Concepts of animal population dynamics can be applied to human population growth. Humans are not unique in their ability
to alter their environment. For example, beaver dams alter the stream environment where they are built. Humans, however,
have the ability to alter their environment to increase its carrying capacity sometimes to the detriment of other species (e.g.,
via artificial selection for crops that have a higher yield). Earth’s human population is growing rapidly, to the extent that
some worry about the ability of the earth’s environment to sustain this population, as long-term exponential growth carries
1780 Chapter 36 | Population and Community Ecology
Figure 36.15 Human population growth since 1000 AD is exponential (dark blue line). Notice that while the population
in Asia (yellow line), which has many economically underdeveloped countries, is increasing exponentially, the
population in Europe (light blue line), where most of the countries are economically developed, is growing much more
slowly.
A consequence of exponential human population growth is the time that it takes to add a particular number of humans to the
Earth is becoming shorter. Figure 36.16 shows that 123 years were necessary to add 1 billion humans in 1930, but it only
took 24 years to add two billion people between 1975 and 1999. As already discussed, at some point it would appear that
our ability to increase our carrying capacity indefinitely on a finite world is uncertain. Without new technological advances,
the human growth rate has been predicted to slow in the coming decades. However, the population will still be increasing
and the threat of overpopulation remains.
Chapter 36 | Population and Community Ecology 1781
Figure 36.16 The time between the addition of each billion human beings to Earth decreases over time. (credit:
modification of work by Ryan T. Cragun)
Click through this interactive view (http://openstaxcollege.org/l/human_growth) of how human populations have
changed over time.
Based on the interactive, how would you describe human population growth?
c. logistic growth
d. exponential growth
2002 decreased from 0.30 percent of the world's population to 0.24 percent. Thus, it appears that the influence of infectious
disease on human population growth is becoming less significant.
Figure 36.17 Typical age structure diagrams are shown. The rapid growth diagram narrows to a point, indicating
that the number of individuals decreases rapidly with age. In the slow growth model, the number of individuals
decreases steadily with age. Stable population diagrams are rounded on the top, showing that the number of
individuals per age group decreases gradually, and then increases for the older part of the population.
Compare the age structure for Stage 4 to that of Stage 3. What changes in population growth would have to occur for
a shift from Stage 3 to Stage 4?
a. Birth rates and death rates remains same in both Stage 3 and Stage 4.
b. Birth rates and death rates decline in Stage 4 compared to Stage 3.
c. Death rates decline in Stage 4 compared to Stage 3, but birth rates remain the same.
d. Birth rates decline in Stage 4 compared to Stage 3, but death rates remain the same.
Chapter 36 | Population and Community Ecology 1783
Figure 36.18 The percent growth rate of population in different countries is shown. Notice that the highest growth is
occurring in less economically developed countries in Africa and Asia.
Think About It
Describe the age structures in rapidly growing countries, slowly growing countries, and countries with zero population
growth.
1784 Chapter 36 | Population and Community Ecology
Visit this website (http://openstaxcollege.org/l/populations) and select “Launch movie” for an animation discussing the
global impacts of human population growth.
Section Summary
The world’s human population is growing at an exponential rate. Humans have increased the world’s carrying capacity
through migration, agriculture, medical advances, and communication. The age structure of a population allows us to predict
population growth. Unchecked human population growth could have dire long-term effects on our environment.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Chapter 36 | Population and Community Ecology 1785
Science 1.3 The student can refine representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science
3.2 The student can refine scientific questions.
Practice
2.22 The student is able to refine scientific models and questions about the effect of complex
Learning
biotic and abiotic interactions on all biological systems, from cells and organisms to
Objective
populations, communities, and ecosystems.
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.23 The student is able to design a plan for collecting data to show that all biological
Objective systems are affected by complex biotic and abiotic interactions.
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 2.24 The student is able to analyze data to identify possible patterns and relationships
Objective between a biotic or abiotic factor and a biological system.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
Learning 4.11 The student is able to justify the selection of the kind of data needed to answer scientific
Objective questions about the interaction of populations within communities.
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
Learning 4.12 The student is able to apply mathematical routines to quantities that describe
Objective communities composed of populations of organisms that interact in complex ways.
Essential
4.A.5 Communities are composed of populations of organisms that interact in complex ways.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
1786 Chapter 36 | Population and Community Ecology
Learning 4.13 The student is able to predict the effects of a change in the community’s populations on
Objective the community.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.15 The student is able to predict the effects of a change of matter or energy availability on
Objective communities.
Populations rarely, if ever, live in isolation from populations of other species. In most cases, numerous species share a
habitat. The interactions between these populations play a major role in regulating population growth and abundance. All
populations occupying the same habitat form a community: populations inhabiting a specific area at the same time. The
number of species occupying the same habitat and their relative abundance is known as species diversity. Areas with low
diversity, such as the glaciers of Antarctica, still contain a wide variety of living things, whereas the diversity of tropical
rainforests is so great that it cannot be counted. Ecology is studied at the community level to understand how species interact
with each other and compete for the same resources.
Figure 36.19 The cycling of lynx and snowshoe hare populations in Northern Ontario is an example of predator-prey
dynamics.
The idea that the population cycling of the two species is entirely controlled by predation models has come under question.
More recent studies have pointed to undefined density-dependent factors as being important in the cycling, in addition to
predation. One possibility is that the cycling is inherent in the hare population due to density-dependent effects such as
lower fecundity (maternal stress) caused by crowding when the hare population gets too dense. The hare cycling would
then induce the cycling of the lynx because it is the lynxes’ major food source. The more we study communities, the more
complexities we find, allowing ecologists to derive more accurate and sophisticated models of population dynamics.
Herbivory describes the consumption of plants by insects and other animals, and it is another interspecific relationship that
affects populations. Unlike animals, most plants cannot outrun predators or use mimicry to hide from hungry animals. Some
Chapter 36 | Population and Community Ecology 1787
plants have developed mechanisms to defend against herbivory. Other species have developed mutualistic relationships; for
example, herbivory provides a mechanism of seed distribution that aids in plant reproduction.
Defense Mechanisms against Predation and Herbivory
The study of communities must consider evolutionary forces that act on the members of the various populations contained
within it. Species are not static, but slowly changing and adapting to their environment by natural selection and other
evolutionary forces. Species have evolved numerous mechanisms to escape predation and herbivory. These defenses may
be mechanical, chemical, physical, or behavioral.
Mechanical defenses, such as the presence of thorns on plants or the hard shell on turtles, discourage animal predation and
herbivory by causing physical pain to the predator or by physically preventing the predator from being able to eat the prey.
Chemical defenses are produced by many animals as well as plants, such as the foxglove which is extremely toxic when
eaten. Figure 36.20 shows some organisms’ defenses against predation and herbivory.
Figure 36.20 The (a) honey locust tree (Gleditsia triacanthos) uses thorns, a mechanical defense, against herbivores,
while the (b) Florida red-bellied turtle (Pseudemys nelsoni) uses its shell as a mechanical defense against predators.
(c) Foxglove (Digitalis sp.) uses a chemical defense: toxins produced by the plant can cause nausea, vomiting,
hallucinations, convulsions, or death when consumed. (d) The North American millipede (Narceus americanus) uses
both mechanical and chemical defenses: when threatened, the millipede curls into a defensive ball and produces a
noxious substance that irritates eyes and skin. (credit a: modification of work by Huw Williams; credit b: modification
of work by “JamieS93”/Flickr; credit c: modification of work by Philip Jägenstedt; credit d: modification of work by Cory
Zanker)
Many species use their body shape and coloration to avoid being detected by predators. The tropical walking stick is an
insect with the coloration and body shape of a twig which makes it very hard to see when stationary against a background
of real twigs (Figure 36.21a). In another example, the chameleon can change its color to match its surroundings (Figure
36.21b). Both of these are examples of camouflage, or avoiding detection by blending in with the background.
1788 Chapter 36 | Population and Community Ecology
(a) (b)
Figure 36.21 (a) The tropical walking stick and (b) the chameleon use body shape and/or coloration to prevent
detection by predators. (credit a: modification of work by Linda Tanner; credit b: modification of work by Frank Vassen)
Some species use coloration as a way of warning predators that they are not good to eat. For example, the cinnabar moth
caterpillar, the fire-bellied toad, and many species of beetle have bright colors that warn of a foul taste, the presence of
toxic chemical, and/or the ability to sting or bite, respectively. Predators that ignore this coloration and eat the organisms
will experience their unpleasant taste or presence of toxic chemicals and learn not to eat them in the future. This type of
defensive mechanism is called aposematic coloration, or warning coloration (Figure 36.22).
Figure 36.22 (a) The strawberry poison dart frog (Oophaga pumilio) uses aposematic coloration to warn predators
that it is toxic, while the (b) striped skunk (Mephitis mephitis) uses aposematic coloration to warn predators of the
unpleasant odor it produces. (credit a: modification of work by Jay Iwasaki; credit b: modification of work by Dan
Dzurisin)
While some predators learn to avoid eating certain potential prey because of their coloration, other species have evolved
mechanisms to mimic this coloration to avoid being eaten, even though they themselves may not be unpleasant to eat
or contain toxic chemicals. In Batesian mimicry, a harmless species imitates the warning coloration of a harmful one.
Assuming they share the same predators, this coloration then protects the harmless ones, even though they do not have the
same level of physical or chemical defenses against predation as the organism they mimic. Many insect species mimic the
coloration of wasps or bees, which are: stinging, venomous insects, thereby discouraging predation (Figure 36.23).
(a) (b)
Figure 36.23 Batesian mimicry occurs when a harmless species mimics the coloration of a harmful species, as is seen
with the (a) bumblebee and (b) bee-like robber fly. (credit a, b: modification of work by Cory Zanker)
Chapter 36 | Population and Community Ecology 1789
In Müllerian mimicry, multiple species share the same warning coloration, but all of them actually have defenses. Figure
36.24 shows a variety of foul-tasting butterflies with similar coloration. In Emsleyan/Mertensian mimicry, a deadly prey
mimics a less dangerous one, such as the venomous coral snake mimicking the non-venomous milk snake. This type of
mimicry is extremely rare and more difficult to understand than the previous two types. For this type of mimicry to work,
it is essential that eating the milk snake has unpleasant but not fatal consequences. Then, these predators learn not to eat
snakes with this coloration, protecting the coral snake as well. If the snake were fatal to the predator, there would be no
opportunity for the predator to learn not to eat it, and the benefit for the less toxic species would disappear.
Figure 36.24 Several unpleasant-tasting Heliconius butterfly species share a similar color pattern with better-tasting
varieties, an example of Müllerian mimicry. (credit: Joron M, Papa R, Beltrán M, Chamberlain N, Mavárez J, et al.)
a. Mimicry and camouflage are adaptations that give these animals a advantage in finding prey over others that
do not have these adaptations.
b. Mimicry and camouflage are adaptations that give these animals a survival advantage over others that do not
have these adaptations.
c. Mimicry and camouflage are aposematic defense mechanisms that give these animals a survival advantage
over others that do not have these mechanisms.
d. Mimicry and camouflage are aposematic defense mechanisms that give these animals a reproductive
advantage over others that do not have these mechanisms.
1790 Chapter 36 | Population and Community Ecology
Figure 36.25 Paramecium aurelia and Paramecium caudatum grow well individually, but when they compete for the
same resources, the P. aurelia outcompetes the P. caudatum.
This exclusion may be avoided if a population evolves to make use of a different resource, a different area of the habitat,
or feeds during a different time of day, called resource partitioning. The two organisms are then said to occupy different
microniches. These organisms coexist by minimizing direct competition.
Symbiosis
Symbiotic relationships, or symbioses (plural), are close interactions between individuals of different species over an
extended period of time which impact the abundance and distribution of the associating populations. Most scientists accept
this definition, but some restrict the term to only those species that are mutualistic, where both individuals benefit from the
interaction. In this discussion, the broader definition will be used.
Commensalism
A commensal relationship occurs when one species benefits from the close, prolonged interaction, while the other neither
benefits nor is harmed. Birds nesting in trees provide an example of a commensal relationship (Figure 36.26). The tree is
not harmed by the presence of the nest among its branches. The nests are light and produce little strain on the structural
integrity of the branch, and most of the leaves, which the tree uses to get energy by photosynthesis, are above the nest so
they are unaffected. The bird, on the other hand, benefits greatly. If the bird had to nest in the open, its eggs and young
would be vulnerable to predators. Another example of a commensal relationship is the clown fish and the sea anemone.
The sea anemone is not harmed by the fish, and the fish benefits with protection from predators who would be stung upon
nearing the sea anemone.
Chapter 36 | Population and Community Ecology 1791
Figure 36.26 The southern masked-weaver bird is starting to make a nest in a tree in Zambezi Valley, Zambia. This
is an example of a commensal relationship, in which one species (the bird) benefits, while the other (the tree) neither
benefits nor is harmed. (credit: “Hanay”/Wikimedia Commons)
Mutualism
A second type of symbiotic relationship is called mutualism, where two species benefit from their interaction. Some
scientists believe that these are the only true examples of symbiosis. For example, termites have a mutualistic relationship
with protozoa that live in the insect’s gut (Figure 36.27a). The termite benefits from the ability of bacterial symbionts
within the protozoa to digest cellulose. The termite itself cannot do this, and without the protozoa, it would not be able to
obtain energy from its food (cellulose from the wood it chews and eats). The protozoa and the bacterial symbionts benefit
by having a protective environment and a constant supply of food from the wood chewing actions of the termite. Lichens
have a mutualistic relationship between fungus and photosynthetic algae or bacteria (Figure 36.27b). As these symbionts
grow together, the glucose produced by the algae provides nourishment for both organisms, whereas the physical structure
of the lichen protects the algae from the elements and makes certain nutrients in the atmosphere more available to the algae.
(a) (b)
Figure 36.27 (a) Termites form a mutualistic relationship with symbiotic protozoa in their guts, which allow both
organisms to obtain energy from the cellulose the termite consumes. (b) Lichen is a fungus that has symbiotic
photosynthetic algae living inside its cells. (credit a: modification of work by Scott Bauer, USDA; credit b: modification
of work by Cory Zanker)
Parasitism
A parasite is an organism that lives in or on another living organism and derives nutrients from it. In this relationship,
the parasite benefits, but the organism being fed upon, the host is harmed. The host is usually weakened by the parasite
as it siphons resources the host would normally use to maintain itself. The parasite, however, is unlikely to kill the host,
especially not quickly, because this would allow no time for the organism to complete its reproductive cycle by spreading
to another host.
The reproductive cycles of parasites are often very complex, sometimes requiring more than one host species. A tapeworm
is a parasite that causes disease in humans when contaminated, undercooked meat such as pork, fish, or beef is consumed
(Figure 36.28). The tapeworm can live inside the intestine of the host for several years, benefiting from the food the host
1792 Chapter 36 | Population and Community Ecology
is bringing into its gut by eating, and may grow to be over 50 ft long by adding segments. The parasite moves from species
to species in a cycle, making two hosts necessary to complete its life cycle. Another common parasite is Plasmodium
falciparum, the protozoan cause of malaria, a significant disease in many parts of the world. Living in human liver and
red blood cells, the organism reproduces asexually in the gut of blood-feeding mosquitoes to complete its life cycle. Thus,
malaria is spread from human to human by mosquitoes, one of many arthropod-borne infectious diseases.
Figure 36.28 This diagram shows the life cycle of a pork tapeworm (Taenia solium), a human worm parasite. (credit:
modification of work by CDC)
Characteristics of Communities
Communities are complex entities that can be characterized by their structure (the types and numbers of species present)
and dynamics (how communities change over time). Understanding community structure and dynamics enables community
ecologists to manage ecosystems more effectively.
Foundation Species
Foundation species are considered the base or bedrock of a community, having the greatest influence on its overall
structure. They are usually the primary producers: organisms that bring most of the energy into the community. Kelp, brown
algae, is a foundation species, forming the basis of the kelp forests off the coast of California.
Foundation species may physically modify the environment to produce and maintain habitats that benefit the other
organisms that use them. An example is the photosynthetic corals of the coral reef (Figure 36.29). Corals themselves
are not photosynthetic, but harbor symbionts within their body tissues (dinoflagellates called zooxanthellae) that perform
photosynthesis; this is another example of a mutualism. The exoskeletons of living and dead coral make up most of the reef
structure, which protects many other species from waves and ocean currents.
Chapter 36 | Population and Community Ecology 1793
Figure 36.29 Coral is the foundation species of coral reef ecosystems. (credit: Jim E. Maragos, USFWS)
Figure 36.30 The greatest species richness for mammals in North and South America is associated with the equatorial
latitudes. (credit: modification of work by NASA, CIESIN, Columbia University)
Keystone Species
A keystone species is one whose presence is key to maintaining biodiversity within an ecosystem and to upholding an
ecological community’s structure. The intertidal sea star, Pisaster ochraceus, of the northwestern United States is a keystone
species (Figure 36.31). Studies have shown that when this organism is removed from communities, populations of their
natural prey (mussels) increase, completely altering the species composition and reducing biodiversity. Another keystone
species is the banded tetra, a fish in tropical streams, which supplies nearly all of the phosphorus, a necessary inorganic
nutrient, to the rest of the community. If these fish were to become extinct, the community would be greatly affected.
1794 Chapter 36 | Population and Community Ecology
Figure 36.31 The Pisaster ochraceus sea star is a keystone species. (credit: Jerry Kirkhart)
Chapter 36 | Population and Community Ecology 1795
Invasive Species
Invasive species are non-native organisms that, when introduced to an area out of their native range,
threaten the ecosystem balance of that habitat. Many such species exist in the United States, as shown in
Figure 36.32. Whether enjoying a forest hike, taking a summer boat trip, or simply walking down an urban
street, you have likely encountered an invasive species.
Figure 36.32 In the United States, invasive species like (a) purple loosestrife (Lythrum salicaria) and the (b) zebra
mussel (Dreissena polymorpha) threaten certain aquatic ecosystems. Some forests are threatened by the spread
of (c) common buckthorn (Rhamnus cathartica), (d) garlic mustard (Alliaria petiolata), and (e) the emerald ash
borer (Agrilus planipennis). The (f) European starling (Sturnus vulgaris) may compete with native bird species for
nest holes. (credit a: modification of work by Liz West; credit b: modification of work by M. McCormick, NOAA;
credit c: modification of work by E. Dronkert; credit d: modification of work by Dan Davison; credit e: modification
of work by USDA; credit f: modification of work by Don DeBold)
One of the many recent proliferations of an invasive species concerns the growth of Asian carp populations.
Asian carp were introduced to the United States in the 1970s by fisheries and sewage treatment facilities
that used the fish’s excellent filter feeding capabilities to clean their ponds of excess plankton. Some of
the fish escaped, however, and by the 1980s they had colonized many waterways of the Mississippi River
basin, including the Illinois and Missouri Rivers.
Voracious eaters and rapid reproducers, Asian carp may outcompete native species for food, potentially
leading to their extinction. For example, black carp are voracious eaters of native mussels and snails,
limiting this food source for native fish species. Silver carp eat plankton that native mussels and snails
feed on, reducing this food source by a different alteration of the food web. In some areas of the
Mississippi River, Asian carp species have become the most predominant, effectively outcompeting native
fishes for habitat. In some parts of the Illinois River, Asian carp constitute 95 percent of the community's
biomass. Although edible, the fish is bony and not a desired food in the United States. Moreover, their
presence threatens the native fish and fisheries of the Great Lakes, which are important to local economies
and recreational anglers. Asian carp have even injured humans. The fish, frightened by the sound of
approaching motorboats, thrust themselves into the air, often landing in the boat or directly hitting the
boaters.
The Great Lakes and their prized salmon and lake trout fisheries are also being threatened by these invasive
fish. Asian carp have already colonized rivers and canals that lead into Lake Michigan. One infested
waterway of particular importance is the Chicago Sanitary and Ship Channel, the major supply waterway
linking the Great Lakes to the Mississippi River. To prevent the Asian carp from leaving the canal, a series of
1796 Chapter 36 | Population and Community Ecology
electric barriers have been successfully used to discourage their migration; however, the threat is significant
enough that several states and Canada have sued to have the Chicago channel permanently cut off from
Lake Michigan. Local and national politicians have weighed in on how to solve the problem, but no one
knows whether the Asian carp will ultimately be considered a nuisance, like other invasive species such as
the water hyacinth and zebra mussel, or whether it will be the destroyer of the largest freshwater fishery of
the world.
The issues associated with Asian carp show how population and community ecology, fisheries
management, and politics intersect on issues of vital importance to the human food supply and economy.
Socio-political issues like this make extensive use of the sciences of population ecology (the study of
members of a particular species occupying a particular area known as a habitat) and community ecology
(the study of the interaction of all species within a habitat).
Why are invasive species such as the Asian carp such a problem in North America?
a. They release some chemicals into the water which are toxic to the flora and fauna of the freshwater habitats
in North America.
b. They kill the natural fish population native to freshwater habitats in North America by obtaining food from
them. The invasive species will then reproduce rapidly.
c. They provide food and other resources to the native fish population, resulting in an over increase in their
population. This decreases the amount of dissolved oxygen in the freshwater habitats of North America.
d. They are not native to freshwater habitats in North America and have no natural predators to keep their
population in check. As a result, they will reproduce rapidly competing with native fish for space, food, and
other resources.
Community Dynamics
Community dynamics are the changes in community structure and composition over time. Sometimes these changes are
induced by environmental disturbances such as volcanoes, earthquakes, storms, fires, and climate change. Communities
with a stable structure are said to be at equilibrium. Following a disturbance, the community may or may not return to the
equilibrium state.
Succession describes the sequential appearance and disappearance of species in a community over time. In primary
succession, newly exposed or newly formed land is colonized by living things; in secondary succession, part of an
ecosystem is disturbed and remnants of the previous community remain.
Primary Succession and Pioneer Species
Primary succession occurs when new land is formed or rock is exposed: for example, following the eruption of volcanoes,
such as those on the Big Island of Hawaii. As lava flows into the ocean, new land is continually being formed. On the
Big Island, approximately 32 acres of land is added each year. First, weathering and other natural forces break down the
substrate enough for the establishment of certain hearty plants and lichens with few soil requirements, known as pioneer
species (Figure 36.33). These species help to further break down the mineral rich lava into soil where other, less hardy
species will grow and eventually replace the pioneer species. In addition, as these early species grow and die, they add to
an ever-growing layer of decomposing organic material and contribute to soil formation. Over time the area will reach an
equilibrium state, with a set of organisms quite different from the pioneer species.
Chapter 36 | Population and Community Ecology 1797
Figure 36.33 During primary succession in lava on Maui, Hawaii, succulent plants are the pioneer species. (credit:
Forest and Kim Starr)
Secondary Succession
A classic example of secondary succession occurs in oak and hickory forests cleared by wildfire (Figure 36.34). Wildfires
will burn most vegetation and kill those animals unable to flee the area. Their nutrients, however, are returned to the ground
in the form of ash. Thus, even when areas are devoid of life due to severe fires, the area will soon be ready for new life to
take hold.
Before the fire, the vegetation was dominated by tall trees with access to the major plant energy resource: sunlight. Their
height gave them access to sunlight while also shading the ground and other low-lying species. After the fire, though, these
trees are no longer dominant. Thus, the first plants to grow back are usually annual plants followed within a few years
by quickly growing and spreading grasses and other pioneer species. Due to, at least in part, changes in the environment
brought on by the growth of the grasses and other species, over many years, shrubs will emerge along with small pine,
oak, and hickory trees. These organisms are called intermediate species. Eventually, over 150 years, the forest will reach
its equilibrium point where species composition is no longer changing and resembles the community before the fire. This
equilibrium state is referred to as the climax community, which will remain stable until the next disturbance.
Figure 36.34 Secondary succession is shown in an oak and hickory forest after a forest fire.
Activity
Don’t Trash the Campus. Design and implement a plan to investigate the impact of school litter on a
surrounding community. Based on collected data, create a proposal of short- and long-term solutions to the
trash problem on campus and submit the proposal to the student council for consideration. Describes ways
in which communities/ecosystems can recover from modern levels of local environmental disturbances.
1798 Chapter 36 | Population and Community Ecology
Section Summary
Communities include all the different species living in a given area. The variety of these species is called species richness.
Many organisms have developed defenses against predation and herbivory, including mechanical defenses, warning
coloration, and mimicry, as a result of evolution and the interaction with other members of the community. Two species
cannot exist in the same habitat competing directly for the same resources. Species may form symbiotic relationships such
as commensalism or mutualism. Community structure is described by its foundation and keystone species. Communities
respond to environmental disturbances by succession (the predictable appearance of different types of plant species) until a
stable community structure is established.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Organisms use feedback mechanisms to regulate growth and reproduction, and to maintain
Understanding
dynamic homeostasis.
2.C
Essential
2.C.2 Organisms respond to changes in their external environments.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.13 The student is able to predict the effects of a change in the community’s populations on
Objective the community.
Chapter 36 | Population and Community Ecology 1799
Enduring
Many biological processes involved in growth, reproduction and dynamic homeostasis
Understanding
include temporal regulation and coordination.
2.E
Essential 2.E.3 Timing and coordination of behavior are regulated by various mechanisms and are
Knowledge important in natural selection.
Science 4.1 The student can justify the selection of the kind of data needed to answer a particular
Practice scientific question.
2.21 The student is able to justify the selection of the kind of data needed to answer scientific
Learning
questions about the relevant mechanism that organisms use to respond to changes in their
Objective
external environment.
Essential 2.E.3 Timing and coordination of behavior are regulated by various mechanisms and are
Knowledge important in natural selection.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 2.38 The student is able to analyze data to support the claim that responses to information
Objective and communication of information affect natural selection.
Essential 2.E.3 Timing and coordination of behavior are regulated by various mechanisms and are
Knowledge important in natural selection.
Science
6.1 The student can justify claims with evidence.
Practice
Learning 2.39 The student is able to justify scientific claims, using evidence, to describe how timing
Objective and coordination of behavioral events in organisms are regulated by several mechanisms.
Essential 2.E.3 Timing and coordination of behavior are regulated by various mechanisms and are
Knowledge important in natural selection.
Science 7.2 The student can connect concepts in and across domain(s) to generalize or extrapolate
Practice in and/or across enduring understandings and/or big ideas.
Learning 2.40 The student is able to connect concepts in and across domain(s) to predict how
Objective environmental factors affect response to information and change behavior.
Living systems store, retrieve, transmit and respond to information essential to life
Big Idea 3
processes.
Enduring
Understanding Transmission of information results in changes within and between biological systems.
3.E
Essential
3.E.1 Individuals can act on information and communicate it to others.
Knowledge
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 3.40 The student is able to analyze data that indicate how organisms exchange information
Objective in response to internal changes and external cues, and which can change behavior.
Essential
3.E.1 Individuals can act on information and communicate it to others.
Knowledge
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
3.41 The student is able to create a representation that describes how organisms exchange
Learning
information in response to internal changes and external cues, and which can result in
Objective
changes in behavior.
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Essential
3.E.1 Individuals can act on information and communicate it to others.
Knowledge
Science
7.1 The student can connect phenomena and models across spatial and temporal scales.
Practice
Learning 3.42 The student is able to describe how organisms exchange information in response to
Objective internal changes or environmental cues.
Behavioral biology is the study of the biological and evolutionary bases for such changes. The idea that behaviors evolved
as a result of the pressures of natural selection is not new. Animal behavior has been studied for decades, by biologists in the
science of ethology, by psychologists in the science of comparative psychology, and by scientists of many disciplines in the
study of neurobiology. Although there is overlap between these disciplines, scientists in these behavioral fields take different
approaches. Comparative psychology is an extension of work done in human and behavioral psychology. Ethology is an
extension of genetics, evolution, anatomy, physiology, and other biological disciplines. Still, one cannot study behavioral
biology without touching on both comparative psychology and ethology.
One goal of behavioral biology is to dissect out the innate behaviors, which have a strong genetic component and are largely
independent of environmental influences, from the learned behaviors, which result from environmental conditioning. Innate
behavior, or instinct, is important because there is no risk of an incorrect behavior being learned. They are hard wired into
the system. On the other hand, learned behaviors, although riskier, are flexible, dynamic, and can be altered according to
changes in the environment.
Figure 36.35 Male three-spined stickleback fish exhibit a fixed action pattern. During mating season, the males, which
develop a bright red belly, react strongly to red-bottomed objects that in no way resemble fish.
Migration
Migration is the long-range seasonal movement of animals. It is an evolved, adapted response to variation in resource
availability, and it is a common phenomenon found in all major groups of animals. Birds fly south for the winter to get to
warmer climates with sufficient food, and salmon migrate to their spawning grounds. The popular 2005 documentary March
of the Penguins followed the 62-mile migration of emperor penguins through Antarctica to bring food back to their breeding
site and to their young. Wildebeests (Figure 36.36) migrate over 1800 miles each year in search of new grasslands.
Figure 36.36 Wildebeests migrate in a clockwise fashion over 1800 miles each year in search of rain-ripened grass.
(credit: Eric Inafuku)
Although migration is thought of as innate behavior, only some migrating species always migrate (obligate migration).
Animals that exhibit facultative migration can choose to migrate or not. Additionally, in some animals, only a portion of
the population migrates, whereas the rest does not migrate (incomplete migration). For example, owls that live in the tundra
may migrate in years when their food source, small rodents, is relatively scarce, but not migrate during the years when
rodents are plentiful.
Foraging
Foraging is the act of searching for and exploiting food resources. Feeding behaviors that maximize energy gain and
minimize energy expenditure are called optimal foraging behaviors, and these are favored by natural section. The painted
stork, for example, uses its long beak to search the bottom of a freshwater marshland for crabs and other food (Figure
36.37).
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Figure 36.37 The painted stork uses its long beak to forage. (credit: J.M. Garg)
Figure 36.38 This stork’s courtship display is designed to attract potential mates. (credit: Linda “jinterwas”/Flickr)
Distraction displays are seen in birds and some fish. They are designed to attract a predator away from the nest that
contains their young. This is an example of an altruistic behavior: it benefits the young more than the individual performing
the display, which is putting itself at risk by doing so.
Many animals, especially primates, communicate with other members in the group through touch. Activities such as
grooming, touching the shoulder or root of the tail, embracing, lip contact, and greeting ceremonies have all been observed
in the Indian langur, an Old World monkey. Similar behaviors are found in other primates, especially in the great apes.
The killdeer bird distracts predators from its eggs by faking a broken wing display in this video
(http://openstaxcollege.org/l/killdeer_bird) taken in Boise, Idaho.
Explain why the behavior shown in the video represents both a distraction display and an altruistic type of behavior.
a. The parent creates a distraction to attract the predator away from young fledgling by pretending to have a
broken wing. It is an altruistic behavior as the parent runs the risk of getting killed or harmed by predator.
b. The parent creates a distraction by being more aggressive and showing its willingness to fight. Altruistic
behavior is seen as the parent runs the risk of getting attacked, killed, or harmed by the predator.
c. Parent creates distraction to attract the predator away from young fledgling by pretending to have a broken
wing. It is exhibiting an altruistic behavior as in saving its fledgling; it is increasing its own fitness along
with the fitness of the young bird.
d. Parent creates distraction by being more aggressive and showing its willingness to fight. It is exhibiting an
altruistic behavior by saving its fledgling; it is decreasing its own fitness along with the fitness of the young
bird.
Altruistic Behaviors
Behaviors that lower the fitness of the individual but increase the fitness of another individual are termed altruistic.
Examples of such behaviors are seen widely across the animal kingdom. Social insects such as worker bees have no ability
to reproduce, yet they maintain the queen so she can populate the hive with her offspring. Meerkats keep a sentry standing
guard to warn the rest of the colony about intruders, even though the sentry is putting itself at risk. Wolves and wild dogs
bring meat to pack members not present during a hunt. Lemurs take care of infants unrelated to them. Although on the
surface, these behaviors appear to be altruistic, it may not be so simple.
There has been much discussion over why altruistic behaviors exist. Do these behaviors lead to overall evolutionary
advantages for their species? Do they help the altruistic individual pass on its own genes? And what about such activities
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between unrelated individuals? One explanation for altruistic-type behaviors is found in the genetics of natural selection. In
the 1976 book, The Selfish Gene, scientist Richard Dawkins attempted to explain many seemingly altruistic behaviors from
the viewpoint of the gene itself. Although a gene obviously cannot be selfish in the human sense, it may appear that way if
the sacrifice of an individual benefits related individuals that share genes that are identical by descent (present in relatives
because of common lineage). Mammal parents make this sacrifice to take care of their offspring. Emperor penguins migrate
miles in harsh conditions to bring food back for their young. Selfish gene theory has been controversial over the years and
is still discussed among scientists in related fields.
Even less-related individuals, those with less genetic identity than that shared by parent and offspring, benefit from
seemingly altruistic behavior. The activities of social insects such as bees, wasps, ants, and termites are good examples.
Sterile workers in these societies take care of the queen because they are closely related to it, and as the queen has offspring,
she is passing on genes from the workers indirectly. Thus, it is of fitness benefit for the worker to maintain the queen
without having any direct chance of passing on its genes due to its sterility. The lowering of individual fitness to enhance
the reproductive fitness of a relative and thus one’s inclusive fitness evolves through kin selection. This phenomenon
can explain many superficially altruistic behaviors seen in animals. However, these behaviors may not be truly defined as
altruism in these cases because the actor is actually increasing its own fitness either directly (through its own offspring) or
indirectly (through the inclusive fitness it gains through relatives that share genes with it).
Unrelated individuals may also act altruistically to each other, and this seems to defy the selfish gene explanation. An
example of this observed in many monkey species where a monkey will present its back to an unrelated monkey to have that
individual pick the parasites from its fur. After a certain amount of time, the roles are reversed and the first monkey now
grooms the second monkey. Thus, there is reciprocity in the behavior. Both benefit from the interaction and their fitness
is raised more than if neither cooperated nor if one cooperated and the other did not cooperate. This behavior is still not
necessarily altruism, as the giving behavior of the actor is based on the expectation that it will be the receiver of the behavior
in the future, termed reciprocal altruism. Reciprocal altruism requires that individuals repeatedly encounter each other, often
the result of living in the same social group, and that cheaters (those that never give back) are punished.
Evolutionary game theory, a modification of classical game theory in mathematics, has shown that many of these so-called
altruistic behaviors are not altruistic at all. The definition of pure altruism, based on human behavior, is an action that
benefits another without any direct benefit to oneself. Most of the behaviors previously described do not seem to satisfy
this definition, and game theorists are good at finding selfish components in them. Others have argued that the terms selfish
and altruistic should be dropped completely when discussing animal behavior, as they describe human behavior and may
not be directly applicable to instinctual animal activity. What is clear, though, is that heritable behaviors that improve the
chances of passing on one’s genes or a portion of one’s genes are favored by natural selection and will be retained in future
generations as long as those behaviors convey a fitness advantage. These instinctual behaviors may then be applied, in
special circumstances, to other species, as long as it doesn’t lower the animal’s fitness.
Finding Sex Partners
Not all animals reproduce sexually, but many that do have the same challenge: they need to find a suitable mate and often
have to compete with other individuals to obtain one. Significant energy is spent in the process of locating, attracting, and
mating with the sex partner. Two types of selection occur during this process and can lead to traits that are important to
reproduction called secondary sexual characteristics: intersexual selection, the choosing of a mate where individuals of
one sex choose mates of the other sex, and intrasexual selection, the competition for mates between species members of
the same sex. Intersexual selection is often complex because choosing a mate may be based on a variety of visual, aural,
tactile, and chemical cues. An example of intersexual selection is when female peacocks choose to mate with the male
with the brightest plumage. This type of selection often leads to traits in the chosen sex that do not enhance survival, but
are those traits most attractive to the opposite sex (often at the expense of survival). Intrasexual selection involves mating
displays and aggressive mating rituals such as rams butting heads—the winner of these battles is the one that is able to
mate. Many of these rituals use up considerable energy but result in the selection of the healthiest, strongest, and/or most
dominant individuals for mating. Three general mating systems, all involving innate as opposed to learned behaviors, are
seen in animal populations: monogamous, polygynous, and polyandrous.
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a. polyandrous
b. monogamous
c. intrasexual selection
d. polygynous
Activity
In 1980, John Endler published his investigation into natural selection in Trinidad guppies (Poecilia
reticulata). Some of these guppies have brighter coloration than others. Endler hypothesized that guppies
with less predation have brighter colors due to sexual selection because females prefer more brightly-
colored males. He then on to hypothesized that male guppies that experience greater predation become
more drab-colored to camouflage themselves from predators.. In addition to a laboratory study, he tested
this using a field experiment involving four areas. Area 1 had no guppies while area 2 had guppies but no
predators. Area 3 had guppies and a predator (Crenicichla alta). Endler introduced guppies from area 3
(which were drab because of predation) to area 1 (which had no guppies). The guppies that were relocated
to area 1 developed brighter colors over two years (enough for several guppy generations) and eventually
resembled the guppies in area 2. Make a diagram showing each of the locations, all of the fish species
present at the start, and the fish present at the end. Label the fish as more conspicuous colors or less
conspicuous colors.
Think About It
Describe how this experiment shows that there is genetic variability in the original population. How do you know that
there was genetic variability in the fish taken from area 1? Explain the tradeoff between bright colors that are attractive
to female guppies and the risk of predation. What would you expect to happen if you moved fish from area 2 back
to area 3? What would you expect to happen in each area if female fish began to prefer larger fish rather than more
brightly colored fish?
In monogamous systems, one male and one female are paired for at least one breeding season. In some animals, such as the
gray wolf, these associations can last much longer, even a lifetime. Several explanations have been proposed for this type
of mating system. The mate-guarding hypothesis states that males stay with the female to prevent other males from mating
with her. This behavior is advantageous in such situations where mates are scarce and difficult to find. Another explanation
is the male-assistance hypothesis, where males that remain with a female to help guard and rear their young will have more
and healthier offspring. Monogamy is observed in many bird populations where, in addition to the parental care from the
female, the male is also a major provider of parental care for the chicks. A third explanation for the evolutionary advantages
of monogamy is the female-enforcement hypothesis. In this scenario, the female ensures that the male does not have other
offspring that might compete with her own, so she actively interferes with the male’s signaling to attract other mates.
Polygynous mating refers to one male mating with multiple females. In these situations, the female must be responsible
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for most of the parental care as the single male is not capable of providing care to that many offspring. In resourced-based
polygyny, males compete for territories with the best resources, and then mate with females that enter the territory, drawn
to its resource richness. The female benefits by mating with a dominant, genetically fit male; however, it is at the cost of
having no male help in caring for the offspring. An example is seen in the yellow-rumped honeyguide, a bird whose males
defend beehives because the females feed on their wax. As the females approach, the male defending the nest will mate with
them. Harem mating structures are a type of polygynous system where certain males dominate mating while controlling
a territory with resources. Elephant seals, where the alpha male dominates the mating within the group are an example.
A third type of polygyny is a lek system. Here there is a communal courting area where several males perform elaborate
displays for females, and the females choose their mate from this group. This behavior is observed in several bird species
including the sage grouse and the prairie chicken.
In polyandrous mating systems, one female mates with many males. These types of systems are much rarer than
monogamous and polygynous mating systems. In pipefishes and seahorses, males receive the eggs from the female, fertilize
them, protect them within a pouch, and give birth to the offspring (Figure 36.39). Therefore, the female is able to provide
eggs to several males without the burden of carrying the fertilized eggs.
(a) (b)
Figure 36.39 Polyandrous mating, in which one female mates with many males, occurs in the (a) seahorse and the (b)
pipefish. (credit a: modification of work by Brian Gratwicke; credit b: modification of work by Stephen Childs)
Figure 36.40 The attachment of ducklings to their mother is an example of imprinting. (credit: modification of work by
Mark Harkin)
The International Crane Foundation has helped raise the world’s population of whooping cranes from 21 individuals to
about 600. Imprinting hatchlings has been a key to success: biologists wear full crane costumes so the birds never see
humans. Watch this video (http://openstaxcollege.org/l/whooping_crane) to learn more.
Workers wear a special costume when interacting with whooping crane chicks. Justify the need for this process.
a. Whooping crane chicks undergo habituation in which the chicks make a bond with the objects they see in the
environment. Therefore, workers must wear a special costume to fool the chick into thinking it is associating
with an adult whooping crane.
b. Whooping crane chicks undergo imprinting with the first object they see. Therefore, workers must wear
a special costume to fool the chick into thinking it is associating with an adult whooping crane to avoid
creating the expectation it will mate with a human.
c. Whooping crane chicks undergo imprinting with the first few objects they see. Therefore, workers must wear
a special costume to fool the chick into thinking it is associating with an adult whooping crane to avoid
creating the expectation that it will mate with a human.
d. Whooping crane undergoes habituation in which the chicks only make a bond with the first object they see.
The young chicks only trust that first object to feed them. Thus workers must wear a special costume to fool
the chick into thinking it is associating with an adult whooping crane.
Conditioned Behavior
Conditioned behaviors are types of associative learning, where a stimulus becomes associated with a consequence. During
operant conditioning, the behavioral response is modified by its consequences, with regards to its form, strength, or
frequency.
Classical Conditioning
In classical conditioning, a response called the conditioned response is associated with a stimulus that it had previously
not been associated with, the conditioned stimulus. The response to the original, unconditioned stimulus is called the
unconditioned response. The most cited example of classical conditioning is Ivan Pavlov’s experiments with dogs (Figure
36.41). In Pavlov’s experiments, the unconditioned response was the salivation of dogs in response to the unconditioned
stimulus of seeing or smelling their food. The conditioning stimulus that researchers associated with the unconditioned
response was the ringing of a bell. During conditioning, every time the animal was given food, the bell was rung. This was
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repeated during several trials. After some time, the dog learned to associate the ringing of the bell with food and to respond
by salivating. After the conditioning period was finished, the dog would respond by salivating when the bell was rung,
even when the unconditioned stimulus, the food, was absent. Thus, the ringing of the bell became the conditioned stimulus
and the salivation became the conditioned response. Although it is thought by some scientists that the unconditioned
and conditioned responses are identical, even Pavlov discovered that the saliva in the conditioned dogs had characteristic
differences when compared to the unconditioned dog.
Figure 36.41 In the classic Pavlovian response, the dog becomes conditioned to associate the ringing of the bell with
food.
It had been thought by some scientists that this type of conditioning required multiple exposures to the paired stimulus
and response, but it is now known that this is not necessary in all cases, and that some conditioning can be learned in a
single pairing experiment. Classical conditioning is a major tenet of behaviorism, a branch of psychological philosophy that
proposes that all actions, thoughts, and emotions of living things are behaviors that can be treated by behavior modification
and changes in the environment.
Operant Conditioning
In operant conditioning, the conditioned behavior is gradually modified by its consequences as the animal responds to the
stimulus. A major proponent of such conditioning was psychologist B.F. Skinner, the inventor of the Skinner box. Skinner
put rats in his boxes that contained a lever that would dispense food to the rat when depressed. While initially the rat would
push the lever a few times by accident, it eventually associated pushing the lever with getting the food. This type of learning
is an example of operant conditioning. Operant learning is the basis of most animal training. The conditioned behavior
is continually modified by positive or negative reinforcement, often a reward such as food or some type of punishment,
respectively. In this way, the animal is conditioned to associate a type of behavior with the punishment or reward, and, over
time, can be induced to perform behaviors that they would not have done in the wild, such as the tricks dolphins perform at
marine amusement park shows (Figure 36.42).
Figure 36.42 The training of dolphins by rewarding them with food is an example of positive reinforcement operant
conditioning. (credit: Roland Tanglao)
Cognitive Learning
Classical and operant conditioning are inefficient ways for humans and other intelligent animals to learn. Some primates,
including humans, are able to learn by imitating the behavior of others and by taking instructions. The development of
complex language by humans has made cognitive learning, the manipulation of information using the mind, the most
prominent method of human learning. In fact, that is how students are learning right now by reading this book. As students
Chapter 36 | Population and Community Ecology 1809
read, they can make mental images of objects or organisms and imagine changes to them, or behaviors by them, and
anticipate the consequences. In addition to visual processing, cognitive learning is also enhanced by remembering past
experiences, touching physical objects, hearing sounds, tasting food, and a variety of other sensory-based inputs. Cognitive
learning is so powerful that it can be used to understand conditioning in detail. In the reverse scenario, conditioning cannot
help someone learn about cognition.
Classic work on cognitive learning was done by Wolfgang Köhler with chimpanzees. He demonstrated that these animals
were capable of abstract thought by showing that they could learn how to solve a puzzle. When a banana was hung in their
cage too high for them to reach, and several boxes were placed randomly on the floor, some of the chimps were able to stack
the boxes one on top of the other, climb on top of them, and get the banana. This implies that they could visualize the result
of stacking the boxes even before they had performed the action. This type of learning is much more powerful and versatile
than conditioning.
Cognitive learning is not limited to primates, although they are the most efficient in using it. Maze running experiments
done with rats by H.C. Blodgett in the 1920s were the first to show cognitive skills in a simple mammal. The motivation for
the animals to work their way through the maze was a piece of food at its end. In these studies, the animals in Group I were
run in one trial per day and had food available to them each day on completion of the run (Figure 36.43). Group II rats were
not fed in the maze for the first six days and then subsequent runs were done with food for several days after. Group III rats
had food available on the third day and every day thereafter. The results were that the control rats, Group I, learned quickly,
and figured out how to run the maze in seven days. Group III did not learn much during the three days without food, but
rapidly caught up to the control group when given the food reward. Group II learned very slowly for the six days with no
reward to motivate them, and they did not begin to catch up to the control group until the day food was given, and then it
took two days longer to learn the maze.
Figure 36.43 Group I (the green solid line) found food at the end of each trial, group II (the blue dashed line) did not
find food for the first 6 days, and group III (the red dotted line) did not find food during runs on the first three days.
Notice that rats given food earlier learned faster and eventually caught up to the control group. The orange dots on the
group II and III lines show the days when food rewards were added to the mazes.
It may not be immediately obvious that this type of learning is different than conditioning. Although one might be tempted
to believe that the rats simply learned how to find their way through a conditioned series of right and left turns, E.C. Tolman
proved a decade later that the rats were making a representation of the maze in their minds, which he called a cognitive map.
This was an early demonstration of the power of cognitive learning and how these abilities were not just limited to humans.
Sociobiology
Sociobiology is an interdisciplinary science originally popularized by social insect researcher E.O. Wilson in the 1970s.
Wilson defined the science as “the extension of population biology and evolutionary theory to social organization.” The
main thrust of sociobiology is that animal and human behavior, including aggressiveness and other social interactions, can
be explained almost solely in terms of genetics and natural selection. This science is controversial; noted scientists such
as the late Stephen Jay Gould criticized the approach for ignoring the environmental effects on behavior. This is another
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example of the nature versus nurture debate of the role of genetics versus the role of environment in determining an
organism’s characteristics.
Sociobiology also links genes with behaviors and has been associated with biological determinism, the belief that all
behaviors are hardwired into our genes. No one disputes that certain behaviors can be inherited and that natural selection
plays a role retaining them. It is the application of such principles to human behavior that sparks this controversy, which
remains active today.
Lab Investigation
AP® Biology Investigative Labs: Inquiry-Based Approach, Investigation 12: Fruit Fly Behavior. This inquiry-
based investigation provides an opportunity for you to design and implement a series of experiments
using choice chambers to investigate behaviors that underlie directed movement (taxis) towards or away
from environmental stimuli, including chemical signals, light, and temperature, in a small population of
Drosophila.
Activity
Animal Behavior Field Study
Animal behavior can be studied in nearly every environment. Visit a local park, zoo, athletic field, or even
a location on your school campus and observe the behaviors and interactions among different animals
and with their environment. Consider the following questions in your study: How do animals exchange
information and alter behavior in response to stimuli? What mechanisms do animals use to communicate
information? What examples of innate and learned behaviors did you observe? What predictions can you
make about observed behavior(s) if environmental conditions change?
Think About It
Describe how Pavlov’s dog experiments are an example of classical conditioning. How does operant conditioning that
you use to train a pet to do a trick differ from classical conditioning? What type of conditioning describes how you
learned that studying likely will improve your grade on an AP® test?
Section Summary
Behaviors are responses to stimuli. They can either be instinctual/innate behaviors, which are not influenced by the
environment, or learned behaviors, which are influenced by environmental changes. Instinctual behaviors include mating
systems and methods of communication. Learned behaviors include imprinting and habituation, conditioning, and most
powerfully, cognitive learning. Although the connection between behavior, genetics, and evolution is well established, the
explanation of human behavior as entirely genetic is controversial.
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KEY TERMS
age structure proportion of population members at specific age ranges
aggressive display visual display by a species member to discourage other members of the same species or different
species
Batesian mimicry type of mimicry where a non-harmful species takes on the warning colorations of a harmful one
birth rate (B) number of births within a population at a specific point in time
carrying capacity (K) number of individuals of a species that can be supported by the limited resources of a habitat
climax community final stage of succession, where a stable community is formed by a characteristic assortment of plant
and animal species
cognitive learning knowledge and skills acquired by the manipulation of information in the mind
commensalism relationship between species wherein one species benefits from the close, prolonged interaction, while
the other species neither benefits nor is harmed
competitive exclusion principle no two species within a habitat can coexist when they compete for the same resources
at the same place and time
conditioned behavior behavior that becomes associated with a specific stimulus through conditioning
death rate (D) number of deaths within a population at a specific point in time
demographic-based population model modern model of population dynamics incorporating many features of the r-
and K-selection theory
density-dependent regulation regulation of population that is influenced by population density, such as crowding
effects; usually involves biotic factors
density-independent regulation regulation of populations by factors that operate independent of population density,
such as forest fires and volcanic eruptions; usually involves abiotic factors
distraction display visual display used to distract predators away from a nesting site
Emsleyan/Mertensian mimicry type of mimicry where a harmful species resembles a less harmful one
energy budget allocation of energy resources for body maintenance, reproduction, and parental care
environmental disturbance change in the environment caused by natural disasters or human activities
exponential growth accelerating growth pattern seen in species under conditions where resources are not limiting
fixed action pattern series of instinctual behaviors that, once initiated, always goes to completion regardless of changes
in the environment
foundation species species which often forms the major structural portion of the habitat
imprinting identification of parents by newborns as the first organism they see after birth
innate behavior instinctual behavior that is not altered by changes in the environment
interspecific competition competition between species for resources in a shared habitat or environment
intrasexual selection competition between members of the same sex for a mate
island biogeography study of life on island chains and how their geography interacts with the diversity of species found
there
iteroparity life history strategy characterized by multiple reproductive events during the lifetime of a species
K-selected species species suited to stable environments that produce a few, relatively large offspring and provide
parental care
keystone species species whose presence is key to maintaining biodiversity in an ecosystem and to upholding an
ecological community’s structure
kin selection sacrificing one’s own life so that one’s genes will be passed on to future generations by relatives
life history inherited pattern of resource allocation under the influence of natural selection and other evolutionary forces
life table table showing the life expectancy of a population member based on its age
mark and recapture technique used to determine population size in mobile organisms
monogamy mating system whereby one male and one female remain coupled for at least one mating season
mortality rate proportion of population surviving to the beginning of an age interval that die during the age interval
mutualism symbiotic relationship between two species where both species benefit
Müllerian mimicry type of mimicry where species share warning coloration and all are harmful to predators
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one-child policy China’s policy to limit population growth by limiting urban couples to have only one child or face the
penalty of a fine
parasite organism that uses resources from another species, the host
polyandry mating system where one female mates with many males
polygyny mating system where one male mates with many females
population density number of population members divided by the area or volume being measured
population size (N) number of population members in a habitat at the same time
quadrat square made of various materials used to determine population size and density in slow moving or stationary
organisms
r-selected species species suited to changing environments that produce many offspring and provide little or no parental
care
relative species abundance absolute population size of a particular species relative to the population sizes of other
species within the community
secondary succession succession in response to environmental disturbances that move a community away from its
equilibrium
semelparity life history strategy characterized by a single reproductive event followed by death
signal method of communication between animals including those obtained by the senses of smell, hearing, sight, or touch
species dispersion pattern (also, species distribution pattern) spatial location of individuals of a given species within a
habitat at a particular point in time
survivorship curve graph of the number of surviving population members versus the relative age of the member
symbiosis close interaction between individuals of different species over an extended period of time that impacts the
abundance and distribution of the associating populations
zero population growth steady population size where birth rates and death rates are equal
CHAPTER SUMMARY
36.1 Population Demography
Populations are individuals of a species that live in a particular habitat. Ecologists measure characteristics of populations:
size, density, dispersion pattern, age structure, and sex ratio. Life tables are useful to calculate life expectancies of
individual population members. Survivorship curves show the number of individuals surviving at each age interval plotted
versus time.
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All species have evolved a pattern of living, called a life history strategy, in which they partition energy for growth,
maintenance, and reproduction. These patterns evolve through natural selection; they allow species to adapt to their
environment to obtain the resources they need to successfully reproduce. There is an inverse relationship between
fecundity and parental care. A species may reproduce early in life to ensure surviving to a reproductive age or reproduce
later in life to become larger and healthier and better able to give parental care. A species may reproduce once
(semelparity) or many times (iteroparity) in its life.
Populations with unlimited resources grow exponentially, with an accelerating growth rate. When resources become
limiting, populations follow a logistic growth curve. The population of a species will level off at the carrying capacity of
its environment.
Populations are regulated by a variety of density-dependent and density-independent factors. Species are divided into two
categories based on a variety of features of their life history patterns: r-selected species, which have large numbers of
offspring, and K-selected species, which have few offspring. The r- and K-selection theory has fallen out of use; however,
many of its key features are still used in newer, demographically-based models of population dynamics.
The world’s human population is growing at an exponential rate. Humans have increased the world’s carrying capacity
through migration, agriculture, medical advances, and communication. The age structure of a population allows us to
predict population growth. Unchecked human population growth could have dire long-term effects on our environment.
Communities include all the different species living in a given area. The variety of these species is called species richness.
Many organisms have developed defenses against predation and herbivory, including mechanical defenses, warning
coloration, and mimicry, as a result of evolution and the interaction with other members of the community. Two species
cannot exist in the same habitat competing directly for the same resources. Species may form symbiotic relationships such
as commensalism or mutualism. Community structure is described by its foundation and keystone species. Communities
respond to environmental disturbances by succession (the predictable appearance of different types of plant species) until a
stable community structure is established.
Behaviors are responses to stimuli. They can either be instinctual/innate behaviors, which are not influenced by the
environment, or learned behaviors, which are influenced by environmental changes. Instinctual behaviors include mating
systems and methods of communication. Learned behaviors include imprinting and habituation, conditioning, and most
powerfully, cognitive learning. Although the connection between behavior, genetics, and evolution is well established, the
explanation of human behavior as entirely genetic is controversial.
REVIEW QUESTIONS
1. An ecologist is planning to measure both the size and density of a population. Identify the experimental method that can
best provide these data.
a. mark and recapture
b. mark and release
c. quadrat
d. life table
2. Which of the following statements can be made about the mark and recapture method of estimating population
numbers?
Chapter 36 | Population and Community Ecology 1815
a. Using quadrats for counting individuals in a population increases the accuracy of the mark and recapture
method.
b. The greater the number of individuals captured during the first round of mark and recapture, the greater is the
overall population size.
c. The mark and recapture method is useful for mammals and birds, but of little use for other organisms.
d. An underestimate of population size would tend to be observed in cases of studies involving animals that learn
to seek out bait.
3. Which type of dispersal pattern is characterized by even spacing between individuals in the population?
a. random
b. uniform
c. sparse
d. clumped
4. Identify the best method to show the life expectancy of an individual within a population.
a. mark only
b. mark and release
c. quadrat
d. life table
5. Describe how a researcher would best collect data in order to calculate mortality rates within a population.
a. For various age groups, count the number of individuals that died and the number that survived within a defined
time period.
b. For various age groups, count the number of individuals that were born and the number that died within a
defined time period.
c. For each sex, count the number of individuals that were born and the number that survived within a defined time
period.
d. For each sex, count the number of individuals that died and the number that were born within a defined time
period.
6. What survivorship pattern can be used to describe humans?
a. by a type I survivorship curve
b. by a type II survivorship curve
c. by a type III survivorship curve
d. by a type IV survivorship curve
7. Different species have different survival curves. A Type III survival curve would most likely be observed for _____.
a. whales
b. seals
c. salmon
d. polar bears
8. Which of the following is associated with long-term parental care?
a. few offspring
b. many offspring
c. semelparity
d. fecundity
9. Which of the following conditions is inversely related with fecundity?
1816 Chapter 36 | Population and Community Ecology
a. number of offspring
b. energy budget of parent
c. amount of parental care
d. age of parent
10. When studying a squash beetle native to the Everglades, scientists collected data to compare the squash beetle to
another beetle native to the Great Lakes region. What data would be used to compare the beetles’ reproductive potential?
a. temperature
b. population size
c. semelparity
d. fecundity
11. Albatrosses are birds that can live to age 60 and older. They usually do not start breeding until they reach age eight or
nine, which is relatively late compared to other bird species. Based on this information, which conditions might be a risk
to the survival of albatrosses?
a. Increased chance of individuals dying before reproducing
b. Slightly decreased life spans of individuals
c. Increased chance of offspring dying regardless of whether they had reproduced.
d. Decreased chances of mating between unrelated individuals
12. Frogs are animals with high fecundity. Based on this information, frogs are expected to have which characteristics?
a. high energy budget
b. extensive energy storage for each individual offspring
c. relatively small numbers of offspring
d. relatively little or no parental care
13. Species with limited resources usually exhibit a(n) ____ growth curve.
a. logistic
b. logical
c. experimental
d. exponential
14. Give an example of exponential population growth.
a. salamanders adapting to fungal infections
b. polar bears living in a warming habitat
c. bacteria growing in enriched medium in a lab
d. feral cats being trapped and neutered in a suburb
15. If a population moves to a new environment rich in resources, what type of growth curve will it exhibit in the short
term?
a. logistic
b. logical
c. experimental
d. exponential
16. If the major food source of seals declines due to pollution or overfishing, how would the seal population be affected?
Chapter 36 | Population and Community Ecology 1817
a. The carrying capacity of seals would decrease, as would the seal population.
b. The carrying capacity of seals would decrease, but the seal population would remain the same.
c. The number of seal deaths would increase but the number of births would also increase, so the population size
would remain the same.
d. The carrying capacity of seals would remain the same, but the population of seals would decrease.
17. Define carrying capacity of a population and explain whether it changes or remains fixed for a population.
a. Carrying capacity is the amount of land needed to support a population, and it is fixed for each population.
b. Carrying capacity is the amount of water and food resources required to support a population and it is fixed for
each population.
c. Carrying capacity is the maximum size of a population that can survive using the available resources and it can
vary up or down.
d. Carrying capacity is the time needed for a population to reach its maximum size and it can vary up or down.
18. Suppose a pesticide used by farmers wipes out the insect population that feeds a population of bats. Predict the effects
of this change on the bat population.
a. The carrying capacity of the population will increase.
b. The carrying capacity of the population will decrease.
c. The carrying capacity of the population will not change.
d. The carrying capacity of the population cannot be predicted.
19. Which explanation best defines density-dependent growth regulation.
a. a factor that affects population density but not population size
b. a factor that affects population size but not population density
c. a factor that affects population size regardless of population density
d. a factor that affects population size in ways related to population density
20. A forest fire is an example of ________ regulation.
a. density-dependent
b. density-independent
c. r-selected
d. K-selected
21. Species that have many offspring at one time are usually _______.
a. r-selected
b. K-selected
c. both r- and K-selected
d. not selected
22. The following statements compare r-selected and K-selected species. Identify the statement that makes an accurate
comparison.
a. r-selected and K-selected species both have limitations in the amount of energy they can invest in reproduction,
so they both use similar strategies.
b. r-selected and K-selected species both have limitations in the amount of energy they can invest in reproduction,
but they use completely different strategies.
c. r-selected and K-selected species use similar reproductive strategies but r-selected species require less energy to
reproduce than K-selected species.
d. r-selected and K-selected species use different reproductive strategies because r-selected species require less
energy to reproduce than K-selected species.
23. If a population moves to a new environment rich in resources, what type of growth curve will it exhibit?
1818 Chapter 36 | Population and Community Ecology
a. logistic
b. logical
c. experimental
d. exponential
24. Humans have altered environmental factors that have allowed the human population to grow exponentially. State an
example of such a factor.
a. interspecific competition
b. age structure
c. carrying capacity
d. reproductive strategies
25. Humans have altered their own carrying capacity. Explain how humans have changed their carrying capacity and the
consequences of this change.
a. By limiting their own carrying capacity, humans have enabled their population to grow rapidly.
b. By decreasing their own carrying capacity, humans have enabled their population to grow slowly.
c. By stabilizing their own carrying capacity, humans have enabled their population to grow steadily.
d. By increasing their own carrying capacity, humans have enabled their population to grow exponentially.
26. Humans have influenced their own carrying capacity in several ways. Some human activities increase carrying
capacity while others decrease it. Identify a human activity that has decreased the human carrying capacity of the
environment.
a. agriculture
b. using large amounts of natural resources
c. domestication of animals
d. use of language
27. Humans began developing oil as an energy source in the early part of the twentieth century. Explain the relationship
between this development and the human carrying capacity of Earth.
a. Drilling for oil enabled humans to increase food production through the use of machinery, which increased the
human carrying capacity of the Earth.
b. Oil production allowed new transportation methods faster than methods using animals, which decreased the
human carrying capacity of the Earth.
c. Accessing oil as an energy source created increased greenhouse gas emissions, which increased the human
carrying capacity of the Earth.
d. Oil as an energy source enabled humans to enjoy more recreational activities, which decreased the human
carrying capacity of the Earth.
28. The greatest proportion of young individuals can be found in ________.
a. economically developed countries
b. economically underdeveloped countries
c. countries with zero population growth
d. countries in Europe
29. Explain the correlation between age structure and the level of economic development observed in many countries.
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a. There is no correlation between the characteristics of age structures and the level of economic development.
b. Countries that are more economically developed tend to have fewer middle-aged individuals and more young
individuals than undeveloped countries.
c. A larger ratio of very young individuals to very old individuals characterizes the age structures of countries with
the highest economic development.
d. Age structures of economically undeveloped countries show greater proportions of children and fewer
proportions of elderly people.
30. Which environmental characteristic is likely to increase if the human population continues growing unchecked?
a. wilderness areas
b. fresh water supplies
c. fossil fuel reserves
d. atmospheric carbon dioxide
31. Predict and explain the effects of human population on biodiversity many years in the future.
a. Biodiversity will decline as human population increases because of habitat loss, increased pollution, and climate
change.
b. Biodiversity will decline as human population increases because of enhanced food supplies, medical advances,
and development of renewable energy sources.
c. Biodiversity will increase as human population increases because of habitat loss, increased pollution, and
climate change.
d. Biodiversity will increase as human population increases because of enhanced food supplies, medical advances,
and development of renewable energy sources.
32. Analyze the predator-prey graphs to identify the graph that correctly depicts a predator-prey cycle.
a. Figure 36.44
b. Figure 36.45
c. Figure 36.46
d. Figure 36.47
1820 Chapter 36 | Population and Community Ecology
a. The animal species would suffer increased loss through predation because its predators would not learn to avoid
eating it.
b. The animal species would suffer decreased loss through predation because it still produces harmful toxins that
would kill its predators.
c. The animal species would suffer no long-term loss through predation because it still produces foul tasting
compounds that its predators would learn to avoid.
d. The animal species would suffer increased loss through predation because predators would not be deterred by its
appearance and would find it to be tasty.
36. Explain how two different species can coexist in the same habitat according to the competitive exclusion principle.
a. Two species can coexist in the same habitat as long as they do not share the same trophic level.
b. Two species can coexist in the same habitat as long as they do not share the same mates.
c. Two species can coexist in the same habitat as long as they do not share the same resources.
d. Two species can coexist in the same habitat as long as they do not share the same life span.
37. Explain what would happen if the competitive exclusion principle were violated.
a. One species will prey on another species and drive it to extinction.
b. One species will adapt to another species invading its habitat.
c. One species will block another species’ access to a critical resource.
d. One species will contend with another species for the same resources.
38. Describe the symbiotic relationship of mutualism.
a. Only one species benefits and the other derives no benefit or harm from the relationship.
b. One species benefits and the other is harmed by the relationship.
c. Both species benefit from the relationship.
d. Neither species benefits nor is either species harmed.
39. Construct a sentence that describes the symbiotic relationships of mutualism, commensalism, and parasitism.
Chapter 36 | Population and Community Ecology 1821
a. Each new generation learned the migration behavior by observing older generations and mimicking their
behavior patterns.
b. In very early generations of this species, a few individuals found that migration improved their chances for
survival and taught their young to carry on the behavior.
c. Individuals that migrated survived through the winter, whereas individuals that did not migrate died, leading to
selection for migration in later generations.
d. When this butterfly emerged as a new species, by chance it inherited the genetic material that underlies long-
distance migration behavior from its ancestor.
46. Pheromones are used in communication between some organisms. What is a pheromone?
a. A pheromone is a type of chemical compound.
b. A pheromone is a type of display.
c. A pheromone is a type of language.
d. A pheromone is a type of song.
47. Construct a statement to describe the type of signal used by birds to communicate the presence of a predator to other
birds.
a. Birds release chemical compounds into the air that other birds rapidly recognize as signals of the presence of a
predator.
b. Birds flash visual signals such as wing flapping to communicate warnings to other birds whenever a predator is
present.
c. Birds physically touch other birds using tactile signals when they observe a predator entering their location.
d. Birds make aural signals such as calls that other birds can hear and learn about a predator that has been observed
in the area.
48. The sacrifice of the life of an individual so that the genes of relatives may be passed on is called ________.
a. operant conditioning
b. kin selection
c. kinesis
d. imprinting
49. Cite an example that describes how an animal expends energy in finding, selecting, or winning a mate.
a. Female swallows engage in aggressive harassment of a hawk during breeding season.
b. Male cardinals harass and peck at other male cardinals in their territory.
c. Both male and female squirrels build nests out of leaves, twigs, and other plant material.
d. Female black widow spiders eat males following copulation.
50. The polyandrous mating system term polyandry comes from the Greek words for many and man. Based on these word
origins, which best describes a polyandrous mating system?
a. One male mates with many females.
b. One female mates with one male.
c. One female mates with many males.
d. Many females mate with one male.
51. Describe an advantage of a monogamous relationship.
Chapter 36 | Population and Community Ecology 1823
a. Having a lot of males around to provide assistance with protecting and feeding offspring ensures that offspring
have the best chance of surviving.
b. When very few males are available in a population, this mating system makes sure that each male has a mating
partner.
c. In populations where very few females are available, this mating system ensures that no eggs are wasted.
d. The constant presence of one male throughout the offspring rearing process makes it more likely that offspring
will survive and be healthier.
52. The ability of rats to learn how to run a maze is an example of cognitive learning. Describe what happens during
cognitive learning.
a. Cognitive learning is a type of learning that occurs early in an animal’s development when it learns to bond to an
object or animal.
b. Cognitive learning occurs when an animal learns to associate a stimulus with a behavior not normally associated
with that stimulus.
c. Cognitive learning occurs when an animal learns a behavior in response to a positive stimulus or negative
stimulus.
d. Cognitive learning is the most complex type of learning that involves multiple types of brain processes to carry
out.
53. Contrast classical conditioning and operant conditioning.
a. In operant conditioning, the animal learns to associate a voluntary behavior with its consequences, whereas in
classical conditioning, the animal learns to associate a non-voluntary behavior with an unusual stimulus.
b. In operant conditioning, the animal does not learn a new behavior in response to a stimulus, whereas in classical
conditioning, the animal learns to associate a non-voluntary behavior with an unusual stimulus.
c. In operant conditioning, the animal learns to associate a voluntary behavior with its consequences, whereas in
classical conditioning, the animal does not learn a new behavior in response to a stimulus.
d. In operant conditioning, the animal learns to associate a non-voluntary behavior with an unusual stimulus,
whereas in classical conditioning, the animal learns to associate a voluntary behavior with its consequences.
a. Two populations could occupy the same range with the same number of individuals, giving different dispersal
patterns. However, both the populations may be dispersed randomly throughout the range, giving identical
population densities.
b. Two populations could occupy the different range with the different number of individuals, giving different
dispersal patterns. However, both the populations may move over this range in a herd, giving identical
population densities.
c. Two populations could occupy the same range with the different number of individuals, giving identical
population densities. However, one population may move over this range in a herd while the other population
may be dispersed randomly throughout the range.
d. Two populations could occupy the same range with the same number of individuals, giving identical population
densities. However, one population may move over this range in a herd while the other population may be
dispersed randomly throughout the range.
56. A population is observed to have very large numbers of very young individuals, but very low numbers of sexually
mature individuals. What hypothesis might a researcher propose about mortality patterns in this population, and how
would that researcher follow up to test her hypothesis?
a. The researcher might propose that the mortality rate of this species is very high during the developmental period
after sexual maturity is reached. She can test this hypothesis by constructing a life table and calculating mortality
rates at different age intervals.
b. The researcher might propose that the mortality rate of this species is very high during the developmental period
before sexual maturity is reached. She can test this hypothesis by using the mark and recapture method and
calculating population densities.
c. The researcher might propose that the mortality rate of this species is very high during the developmental period
before sexual maturity is reached. She can test this hypothesis by constructing a life table and calculating
mortality rates at different age intervals
d. The researcher might propose that the mortality rate of this species is very low during the developmental period
before sexual maturity is reached. She can test this hypothesis by constructing a quadrat and calculating
mortality rates at different age intervals.
57. An organism, such as an elephant, that invests in long-term care of its offspring faces risks to its survival as a result of
this investment. Explain those risks.
a. Organisms that invest in long-term parental care have many offspring. Having many offspring means there is
greater risk of rapid increase in population.
b. Organisms that invest in long-term parental care have few offspring. Having a limited number of offspring
means there is greater risk to the survival of the species when a single offspring dies.
c. Organisms that invest in long-term parental care have many offspring. Having many offspring means there is
greater risk to the survival of the species when a single offspring dies.
d. Organisms that invest in long-term parental care have few offspring. Having a limited number of offspring
means there is greater risk of rapid increase in population.
58. A honey bee colony contains one queen, hundreds of drones, and many thousands of worker bees. The queen produces
eggs, the drones produce sperm, and the workers are sterile. Explain how the reproductive strategy of honey bees benefits
the survival of the species. (credit: Food and Agriculture Organization of the United Nations)
a. The fertile queen and drones produce many offspring while sterile worker bees do not benefit the survival of the
species.
b. Worker bees produce many offspring while the sterile queen and drones do not benefit the survival of the
species.
c. The sterile queen and drones use the energy taken in by them for their own growth, growth and maintenance of
the hive, and protection and nurturing of offspring.
d. Sterile worker bees use the energy taken in by them for their own growth, growth and maintenance of the hive,
and protection and nurturing of offspring.
59. Two different plant species expend approximately the same amount of energy on reproduction, yet one produces many
seeds in a season and the other produces very few. Explain what is likely to be true of the seeds of these two species.
Chapter 36 | Population and Community Ecology 1825
a. In the plant species that produces many seeds, most of the energy is used to produce seeds, of which only a few
will germinate and produce another plant. In the species that produces few seeds, most of the energy is used to
increase the chances of seeds produced to germinate and grow into an adult plant.
b. In a plant species that produces many seeds, most of the energy is used to produce seeds, most of which will
germinate and produce another plant. In a species that produces few seeds, most of the energy is used to increase
the chances of seeds produced to germinate and grow into an adult plant.
c. In a plant species that produces many seeds, most of the energy is used to produce seeds, of which only a few
will germinate and produce another plant. In a species that produces few seeds, most of the energy is used to
reduce the chances of seeds produced to germinate and grow into an adult plant.
d. In a plant species that produces many seeds, most of the energy is used to increase the chances of seeds
produced to germinate and grow into an adult plant. In a species that produces few seeds, most of the energy is
used to produce those seeds, which will germinate and produce another plant.
60. Explain how rmax would be expected to differ for an elephant and a flea, and how that changes the time scale over
which populations of these two animals would be studied.
a. The rmax would be greater for an elephant because elephants reproduce at a faster rate than fleas. A shorter time
scale would be used to study changes over several elephant generations.
b. The rmax would be greater for a flea because fleas reproduce at a faster rate than elephants.
c. The rmax would be greater for a flea because fleas reproduce at a faster rate than elephants. A longer time scale
would be used to study changes over several flea generations than over several elephant generations.
d. The rmax would be greater for an elephant because elephants grow at an exponential rate, so the population
growth rate is greatly increased. A shorter time scale would be used to study changes over several elephant
generations.
61. These data were collected on a population of beetles in Florida.
Figure 36.48
a. Population shows logistic growth, as number of individuals approximately doubles every month and will likely
continue to grow logistically until its resources become depleted. At that point, the population growth rate will
slow down and level off to zero.
b. The population shows exponential growth, as the number of individuals approximately doubles every month and
will likely grow logistically in the future until its resources become limited. At that point, the population growth
rate will slow down and level off to zero.
c. The population shows exponential growth, as number of individuals approximately doubles every month and
will likely continue to grow exponentially until its resources become limited. At that point, the growth will
become logistic; the population growth rate will slow down and level off to zero.
d. The population shows logistic growth and is likely to grow exponentially as the resources are probably
increasing. The population growth rate will increase in the future as well.
1826 Chapter 36 | Population and Community Ecology
62. Explain how climate change might lead to a decrease in one population’s carrying capacity and an increase in the
carrying capacity of a different population.
a. Plant species that are drought-resistant would decline in warm temperatures whereas other species would thrive
in number in such a climate.
b. Plant species that are pest-resistant would thrive in warm temperatures whereas other species would decline in
number in such a climate.
c. Plant species that are drought-resistant would decline in cold temperatures whereas other species would thrive in
number in such a climate.
d. Plant species that are drought-resistant would thrive in warm temperatures whereas other species would decline
in number in such a climate.
63. How would you compare and contrast density-dependent growth regulation with density-independent growth
regulation? Give an example of each as they might affect a caterpillar population.
a. Both are environmental conditions that result in changes in population numbers. Density-independent factors
have different effects on population densities whereas density-dependent factors all have the same effect at
different densities. An example of the former is a caterpillar population being kept low by a pesticide because it
kills them regardless of their numbers. An example of the latter is a large caterpillar population leading to a
decrease in food availability, causing the caterpillar population to decline.
b. b. Both are environmental conditions that result in changes in population numbers. Density-independent factors
have the same effect at all population densities whereas density-dependent factors have different effects at
different densities. An example of the former is a caterpillar population being kept low by a pesticide because it
kills them regardless of their numbers. An example of the latter is a large caterpillar population leading to a
decrease in food availability, causing the caterpillar population to decline.
c. Both are environmental conditions that result in changes in population numbers. Density-independent factors
have the same effect at all population densities whereas density-dependent factors have different effects at
different densities. An example of the former is of a caterpillar population being kept low by a pesticide because
it kills them only when their numbers are low. In the case of the latter, a large caterpillar population leads to a
decrease in food availability, which will cause the caterpillar population to decline.
64. Why doesn’t a frog, which is an r-selected species, care for its offspring in the way a wolf, which is a K-selected
species, cares for its offspring?
a. Frogs have been selected by stable, predictable environments, therefore they do not feel the need to care for their
offspring like wolves.
b. Frogs use very little energy to produce large numbers of offspring, therefore they do not have enough remaining
to nurture them.
c. Smaller animals like frogs do not care for their offspring, whereas larger animals like wolves do.
d. Frogs expend a lot of energy to produce large numbers of offspring, leaving less energy for nurturing them.
65. Explain which features of a logistic growth curve are the same for every population exhibiting logistic growth and
which features might vary from one population to another.
a. The overall S-shape would be the same for all populations. The actual x-y values on the graphs, population
numbers corresponding to starting populations, and the ending carrying capacities could differ.
b. The overall carrying capacities would be the same for all populations. The actual x-y values on the graph and
population numbers corresponding to the starting populations could differ.
c. The overall S-shape would be the same for all populations showing logistic growth. The only factor that could
differ is the actual x-y values on the graphs indicating the time frames for the growth curves.
d. The x-y values on the graphs indicating the time frames for the growth curves would be the same. Overall S
shape and population numbers corresponding to the starting populations could differ.
66. Explain why the concept of carrying capacity is important when discussing human population growth.
Chapter 36 | Population and Community Ecology 1827
a. Humans can decrease the carrying capacity of their environment by developing food production methods and
engineering high quality shelters, which enables more people to live than would otherwise be possible.
b. Humans have been able to change the carrying capacity of their environment, which enables more people to
survive. By decreasing their own carrying capacity, humans are responsible for their population boom.
c. Humans have been able to change the carrying capacity of their environment, which enables more people to live.
By increasing their own carrying capacity, humans are responsible for their population boom.
d. Humans can increase the carrying capacity of their environment by developing food production methods and
engineering high quality shelters, which enables fewer people to live than would otherwise be possible. This
would result in population collapse.
67. The Industrial Revolution began with the invention of the steam engine. At about the same time, human population
began increasing exponentially. Explain how these two events are linked to the idea that humans are able to change the
carrying capacity of their environment.
a. The invention of the steam engine enabled people to use machines to carry out farming activities. The amount of
available resources needed to sustain human life increased with the invention of machines. This increase in
resources spurred exponential population growth.
b. The invention of the steam engine enabled people to develop pest-resistant crop varieties. The amount of
available resources needed to sustain human life increased with the invention of machines. This increase in
resources spurred exponential population growth.
c. The amount of available resources needed to sustain human life decreased with the invention of machines, but
the carrying capacity increased. This increase in carrying capacity spurred exponential population growth.
d. The invention of the steam engine enables the environment to be changed according to the needs of the people.
This regulation of environmental conditions spurred exponential population growth.
68. This diagram shows the age structure for a country. Analyze the age structure.
1828 Chapter 36 | Population and Community Ecology
Figure 36.49
Explain your reasoning.
a. This country is likely to be an economically developing country because it has a fairly even distribution of
individuals in all age groups.
b. This country is likely to be an economically developed country because it has many more very young people and
very few old people.
c. This country is likely to be an economically developed country because it has a fairly even distribution of
individuals in all age groups.
d. This country is likely to be an economically undeveloped country because it has many more very young people
and very few old people.
69. The global ecological footprint is defined as the total land area needed to supply all of the resources consumed by all
humans. This graph shows the relationship between time and the global human footprint measured in number of planet
Earths. Analyze the graph.
Chapter 36 | Population and Community Ecology 1829
Figure 36.50
What has been the consequence of human population change so far, and what are the consequences of continued
population change in the future?
a. The human population has exceeded Earth’s water resources. If the human population keeps increasing, the
ecological footprint of humans will increase far beyond the ability of Earth to support human population and our
population could crash.
b. The human population has exceeded Earth’s land area. If the human population keeps increasing, the ecological
footprint of humans will increase far beyond the ability of Earth to support human population and our population
could crash.
c. The human population has exceeded Earth’s land area to supply our resources of many types. If the human
population keeps increasing, the birth and death rates will decrease and our population could crash.
d. The human population has exceeded Earth’s water resources. If the human population keeps increasing, the birth
and death rates will decrease and our population could crash.
70. This graph shows a predator-prey cycle for wolves and moose.
1830 Chapter 36 | Population and Community Ecology
Figure 36.51
a. This graph reflects all of the influences on both populations in addition to the predator-prey influences.
b. This graph reflects all of the influences on both populations, but not the predator-prey influences.
c. This graph reflects just the influence of predator-prey interactions on both populations.
d. This graph reflects some of the influences on both populations other than the predator-prey influences.
71. Suppose a population of lizards becomes divided into two groups on two different islands after a devastating tsunami.
No predators of the lizard are present on one island, and on the other island is a fierce predator that uses the lizard as its
primary source of food. Assuming both populations encounter similar environments in every other way, and both survive
and grow over the next 100 years, how do you predict any of the characteristics of the two lizard populations to differ at
the end of that time? Give specific examples to explain your prediction.
a. The lizards on the island with no predators will likely evolve adaptations such as camouflaged coloration, sharp
spines, or toxins to defend against this predator. These adaptations will likely be absent in the other population
because they are adapted to other predators.
b. The lizards that survive the fierce predator will likely evolve adaptations such as camouflaged coloration, sharp
spines, or toxins to defend against this predator. These adaptations will likely be absent in the other population
because they are adapted to other predators.
c. The lizards that survive the fierce predator will likely evolve adaptations such as camouflaged coloration, sharp
spines, or toxins to defend against this predator. These adaptations will likely be absent in the other population
because this predator is not a factor in their survival.
d. The lizards on the island with no predators will likely evolve adaptations such as camouflaged coloration, sharp
spines, or toxins to defend against this predator. These adaptations will likely be absent in the other population
because they have survived this predator.
72. The downy woodpecker and the hairy woodpecker are two species that live in the same habitats. The downy
woodpecker is slightly smaller and has a smaller beak than the hairy woodpecker. The downy woodpecker uses its bill to
search for food on small twigs and branches while the hairy woodpecker is most often observed searching for food on tree
trunks. Explain how the competitive exclusion principle relates to this example.
Chapter 36 | Population and Community Ecology 1831
a. Both woodpeckers have identical bill structure, but do not access their food from the same places in the habitat.
They do not directly compete with one another for food and thus, can coexist in the same habitat.
b. Both live in the same habitat and have some similarities, but access their food from the same places in the
habitat. In this way, the two species can coexist in the same habitat.
c. Both woodpeckers share similarities in their bill structures. So, they directly compete with one another for food.
This directly relates to the competitive exclusion principle.
d. Both live in the same habitat and have some similarities, but do not access their food from the same places in the
habitat. In this way, the two species can coexist in the same habitat.
73. Honey bees are pollinators. Identify the type of symbiotic relationship that exists between honey bees and flowering
plants, and explain why your reasoning.
a. This is commensalism because bees help plants pollinate and, in turn, obtain nectar from the plants.
b. This is a mutualistic relationship, because bees obtain nectar from the plants, but do not provide any benefits to
the plants.
c. This is commensalism, because bees obtain nectar from the plants, but do not provide any benefits to the plants.
d. This is a mutualistic relationship, because bees help plants pollinate and, in turn, obtain nectar from the plants.
74. Prairie dogs are considered a keystone species in the western U.S. because of their extensive burrowing activities and
their role as a prey animal. Explain why these characteristics would result in the keystone role of prairie dogs in their
ecosystem.
a. Prairie dogs provide protection and shelter for small animals and harm predator animals in the ecosystem.
b. Without the prairie dogs, the ecosystem might collapse due to lack of protection and shelter for small animals
and lack of prey to sustain large predator animals.
c. Prairie dogs dig underground burrows, reducing aeration in the soil and preventing excessive growth of plants
above ground.
d. The burrows prairie dogs dig underground provide shelter for other species of animals as well as protection from
predators, but prevent growth of plants above ground.
75. Mating pairs of two different species of parrots sometimes lay their eggs in the same nest. When this happens, only one
mating pair ends up parenting the chicks even though chicks of both species may be present. The chicks in such mixed
nesting groups display some interesting behaviors summarized in the table.
Figure 36.52
1832 Chapter 36 | Population and Community Ecology
a. An alarm call is an innate behavior and a contact call is a learned behavior. Innate behavior comes out
automatically in response to a stimulus whereas learned behavior develops over time after observing other birds
carrying out the behavior.
b. The alarm call is a learned behavior and contact call is an innate behavior. Learned behavior develops over time
after observing birds carrying out the behavior whereas innate behavior comes out automatically in response to a
certain stimulus.
c. The alarm call is an innate behavior and contact call is a learned behavior. Innate behavior develops over time in
response to stimulus after continuous exposure. Learned behavior develops over time after observing other birds
carrying out their behavior.
d. The alarm call is a learned behavior and contact call is an innate behavior. Learned behavior comes out
automatically whereas innate behavior develops over time in response to stimulus after continuous exposure.
76. Mammals such as humans show a behavior known as the flight or fight response. Explain how natural selection was
likely involved in the development of this behavior that can be observed in humans today.
a. Individuals showing fight or flight behavior was more likely to survive than individuals lacking the trait. This
trait got randomly selected by natural selection, thus became preferentially incorporated into the human lineage.
b. Individuals showing fight or flight behavior were more likely to survive than individuals lacking the trait.
Sudden, inheritable changes were naturally selected, which included the fight or flight behavior. Thus, this
response was incorporated into the human lineage.
c. Individuals showing fight or flight behavior were more likely to survive than individuals lacking this trait.
Therefore surviving individuals passed on their trait to offspring while non-surviving individuals do not. Thus,
this response became incorporated into human lineage.
d. Individuals showing fight or flight behavior were not more fit than individuals lacking this trait. However, the
trait was selected by natural selection due to a random chance event in the gene frequency of individuals
showing fight or flight behavior.
77. A researcher studying minnows, a type of fish, kept two groups of 20 fish in separate containers. The containers were
linked by a pair of small tubes outfitted with a pump that constantly circulated water between both tanks. The researcher
observed both groups of fish after placing a larger fish known to be a predator of minnows into one of the tanks. Fish in
both tanks demonstrated alarm behavior. How can you explain these observations?
a. Fish in the tank that received the predator released alarm signals in chemical form. These compounds circulated
and reached the other tank, eliciting an alarm response from the fish there nonetheless.
b. Fish in the tank that received the predator released alarm signals in the form of electrical signals. These
compounds circulated and reached the other tank, eliciting an alarm response from the fish there nonetheless.
c. The predator introduced in one tank of fish released alarm signals in chemical form. These compounds
circulated and reached the other tank, eliciting an alarm response from the fish there nonetheless.
d. Fish in the tank that did not receive the predator released alarm signals in the chemical form. These compounds
circulated and reached the other tank and elicited an alarm response from the fish.
78. In some species, males expend a great deal of energy in courtship rituals, whereas males of other species expend much
less energy, using other ways of attracting mates such as producing colorful plumage. What does this mean for any
leftover energy that leftover males of these species might have to devote to care for offspring?
a. Males of species carrying out courtship rituals are more likely to assist with parental care, whereas males that
use colorful plumage to attract mates are less likely to assist with parental care.
b. Males of species carrying out courtship rituals are more likely to assist with parental care, whereas males that
use colorful plumage to attract mates are more likely to assist with parental care because they have more energy
available.
c. Males of species carrying out courtship rituals and males of species that use colorful plumage to attract mates are
both likely to assist with parental care.
d. Males of species carrying out courtship rituals and males of species that use colorful plumage to attract mates are
both unlikely to assist in parental care because the females would be involved.
79. Female spotted sandpipers fight each other for resource-rich territories on their beach breeding grounds. Based on this,
which mating type would most likely be operating in this species?
Chapter 36 | Population and Community Ecology 1833
a. Polyandrous mating is most likely operating as the females are establishing territories apart from other females.
The females will then attract males to the resources they control which will result in many males attracted to few
females with the richest territories.
b. Polygynous mating is most likely operating as the females are establishing territories apart from other females.
The females from all territories would attract males to the resources they control, which would result in few
males attracted to many females in each territory.
c. Polyandrous mating is most likely operating as the females are establishing territories apart from other females.
The females from all territories would attract males to the resources they control, which would result in few
males attracted to many females in each territory.
d. Polygynous mating is most likely operating as the females are establishing territories apart from other females.
The females will then attract males to the resources they control which would result in many males attracted to
few females with the richest territories.
80. Describe Pavlov’s dog experiments as an example of classical conditioning.
a. Pavlov demonstrated classical conditioning through a maze running experiment with the dog. The motivation for
the dog to work its way through the maze was a piece of food at the end of the maze. The dog ran in one trial per
day and had food available at the end of the run.
b. Pavlov hung a chicken piece in a cage too high for the dog to reach and several boxes were placed randomly on
the floor. Eventually the dog was able to stack the boxes and climb on top to get the chicken piece through
classical conditioning.
c. Pavlov put a dog in a large box that contained a lever that would dispense food to the dog when pressed. While
initially the dog would push the lever a few times by accident, it eventually associated pushing the lever with
getting the food through classical conditioning.
d. Pavlov sounded a bell whenever food was presented to a dog, which produced saliva in response to the sight or
smell of the food. Through classical conditioning, the dog started responding to the bell ringing with salivation
as the dog came to associate the bell sound with the arrival of food.
Figure 36.53
(credit: Revista da Sociedade Brasileira de Medicina Tropical)
Based on the information given, how would mosquito populations change in Brazil if the climate shifted to very hot
(above 30°C) and very dry (below 60 percent humidity) conditions for an extended period of time? Explain your
reasoning.
a. The mosquito populations would decrease at temperatures above 30 °C as this is the upper limit for parous
females, leading to a drop in offspring production. Not much change would be seen in the population of
mosquitoes if the humidity dipped below 60 percent without a temperature change.
b. The mosquito populations would decrease, possibly reaching zero. As temperatures above 30 °C are the upper
limit for parous females, offspring production would drop. Drier conditions would have the same effect.
c. The mosquito populations would stay the same because temperatures above 30 °C and humidity below 60
percent is close to the favorable conditions of offspring production by parous females.
d. The mosquito populations would stay the same at temperatures above 30 °C as higher temperatures will not
affect the production of viable offspring by parous females. Drier conditions, below 60 percent humidity, would
cause a drop in the population as it is the lower limit for offspring production.
84. Researchers were interested in answering the question, “How does sheep grazing affect the population densities of
wild mountain birds?” To answer this question, the researchers counted population numbers of various birds in areas of
low-intensity sheep grazing and in areas of high-intensity sheep grazing. A third set of data was collected from control
areas in which no sheep grazing occurred. The results of this study are shown in these graphs.
Chapter 36 | Population and Community Ecology 1835
Figure 36.54
(credit: The Royal Society Publishing: Biology Letters)
All of the bird species eat insects as their primary source of nutrition. The group labeled insect eaters combines many
species because the numbers for individual species were too small to show separately as shown for the meadow pipit and
willow grouse, which are both highly abundant. Because all of the birds are insect eaters, construct a scientific question
related to this fact that the researchers could ask to refine their study even further. Explain your reasoning.
a. Does sheep grazing make insects more available to birds? This question refines the question about how sheep
grazing affects bird populations because it asks more specifically how sheep grazing changes the food
availability for the birds.
b. How does sheep grazing make insects more available to birds? This question refines the question about how
sheep grazing affects insect populations because it asks more specifically how sheep grazing changes the food
availability for the insects.
c. Does sheep grazing make insects more available to birds? This question refines the question about how sheep
grazing affects bird populations because it asks more specifically how sheep grazing changes the food
availability for the insects.
d. How does sheep grazing make insects more available to birds? This question refines the question about how
sheep grazing affects bird populations because it asks more specifically how sheep grazing changes the food
availability for the insects.
85. A pond ecosystem in an open field begins to be shaded by the growth of trees around its perimeter. Predict changes in
this pond after the trees grow large enough to completely shade the pond.
a. The population sizes of all organisms will decrease in response to lower energy flowing into the pond.
b. The population densities of all organisms will increase in response to lower temperatures in the pond.
c. The population distributions of large organisms will shift from clumped to random in response to lower energy
flowing into the pond.
d. The population distributions of small organisms will shift from uniform to clumped in response to lower
temperatures in the pond.
86. A researcher has been studying a wildflower population growing in a large meadow. The researcher counted individual
plants and mapped their locations. Analysis of the data revealed that the wildflower has a uniform population distribution.
1836 Chapter 36 | Population and Community Ecology
This result prompts the researcher to ask a new scientific question to further refine his understanding of the ecology of this
plant species. Construct a scientific question the researcher might ask that is directly prompted by his first set of findings.
a. When does this plant species flower and how does it attract pollinators?
b. Does this wildflower species have any adaptations that function to defend the plant against herbivores?
c. Which species of insects and/or birds are pollinators for this wildflower species?
d. Does this wildflower species secrete any chemical compounds that inhibit growth of others of its species?
87. Fruit flies are found in many different areas in the world. Fruit flies that are resistant to cold temperatures tend to have
decreased fecundity at early ages compared to flies that are not capable of surviving the cold. Explain a likely reason for
why this set of traits is observed. (credit: Anthony Zera Publications)
a. Flies having traits that traded early reproductive energy for greater storage of energy in their bodies were favored
via natural selection because they survived the cold better than flies that did not have these traits.
b. In cold conditions, flies have less need for reproduction than in warm conditions and so energy normally used
for reproduction is diverted to other survival functions.
c. Flies respond to weather conditions to shift their energy resources to either storage in their bodies in the cold or
to reproduction when conditions become warm again.
d. All fruit flies have the same genetic makeup, but express different patterns of genes under different conditions,
which results in expression of certain genes for cold conditions and others for warm conditions.
88. Female parasitoid wasps lay their eggs inside the bodies of caterpillars. The caterpillars die when the eggs hatch, and
the young wasps feed on the body of the caterpillar. Egg-laying females of two species of parasitoid wasps were studied in
special growth chambers in which a food source was either provided or omitted. This table summarizes some of the data
collected.
Chapter 36 | Population and Community Ecology 1837
Figure 36.55
Identify the statement most consistent with these data.
a. When energy availability is low, females put more energy than normal into producing offspring.
b. When energy availability is high, females produce offspring with higher viability.
c. When energy availability is low, females shift energy away from reproduction and toward their own survival.
d. When energy availability is high, females cannot both produce viable offspring and maintain their own survival.
89. During breeding season, many female elk mate with males, but not all mated females become pregnant. Female elk
having body fat less than 6 percent were found to have greatly reduced chances of becoming pregnant than female elk
having body fat above 10 percent. Explain how natural selection was likely involved in establishing this trait in elk.
(credit: USGS Northern Prairie Wildlife Research Center)
a. Through natural selection, female elk that did not have the energy reserves to carry a pregnancy to term and did
not become pregnant died whereas those which became pregnant anyway were favored.
b. Natural selection favored the selection of traits preventing pregnancies in female elk with low fat reserves, so
this trait has become predominant in natural elk herds observed today.
c. Natural selection randomly changes the frequency of genes allowing traits preventing pregnancies in female elk
with low fat reserves to be favored.
d. Natural selection leads to a sudden inheritable change in the genome of the female elk, ensuring female elk with
very high fat reserves can effectively carry out pregnancy.
1838 Chapter 36 | Population and Community Ecology
90. Research on elk in Yellowstone National Park was conducted to determine how body condition affects survival of the
elk over the winter months. It was found that the probability of survival of female elk is greater when they have
accumulated 15 percent or more body fat by the end of fall. Female elk with body fat less than 10 percent in late fall were
found to be at high risk of not surviving the winter. Explain why this pattern is likely to be observed. (credit: USGS
Northern Prairie Wildlife Research Center)
a. In winter, the availability of food decreases. So, there needs to be a certain threshold level of energy their bodies
store in the form of fat to ensure their survival.
b. In winter, the availability of food increases. So, there should be a certain threshold level of energy in their bodies
stored in the form of fat to ensure their survival.
c. In winter, elk’s requirement for food increases due to increase in metabolic activities. So, there should be a
certain threshold level of energy in their bodies stored in the form of fat to ensure their survival.
d. Elk release more energy in winter. So, there should be a certain threshold level of energy in their bodies stored in
the form of fat to ensure their survival.
91. The table contains birth rates and death rates for populations of several species living in the same ecosystem. Analyze
the data.
Figure 36.56
Analyze the data to identify the population(s) experiencing a negative change in population size.
a. species A only
b. species A and species C
c. species B and species D
d. species B and species E
92. The data in the table were collected on the population size of a species of plant growing in a region during the years
after a flood destroyed the area.
Chapter 36 | Population and Community Ecology 1839
Figure 36.57
Explain what the data indicate about this population.
a. The plant population grew exponentially throughout the years as the numbers of individuals increased at an
exponential rate. The population eventually became stable after reaching a maximum number of 120 individuals,
which could be the carrying capacity of the environment.
b. The population grew exponentially in the first few years and later became logistic as the rate slowed down. The
population eventually became stable after reaching a maximum number of 120 individuals, which could be the
carrying capacity of the local environment.
c. The plant population grew logistically throughout the years as the growth rate of the population slowed down.
The population eventually became stable after reaching a maximum number of 120 individuals, which could be
the carrying capacity of the environment.
d. The population grew exponentially in the first few years and later became logistic as the rate slowed down. The
population eventually became stable after reaching a number of around 116 individuals, which could be the
carrying capacity of the environment.
93. It has been suggested a population of a flowering plant is being jeopardized by population declines in a butterfly
species thought to be the primary pollinator of the plant. Identify data that could best be used to either justify or refute this
suggestion.
1840 Chapter 36 | Population and Community Ecology
a. nectar energy provided to the butterfly species per visit to a flower of the plant species in a field
b. number of fruits produced per flower of plants in a section of a field screened off from access by the butterfly
species
c. number of butterfly visits per flower per day in various fields throughout the growing range of the plant
d. species of flowers visited by individual butterflies in a field and frequency of visits to each flower species
94. A company wants to establish suspended cultures of mussels in a natural estuary from which they can farm mussels in
a sustainable enterprise. The suspended cultures would keep the mussels contained for easy capture, but would allow free
flow of estuary waters in and out of the cultures. The company wants to know the maximum number of mussels they can
farm each month and maintain a sustainable system. A biologist has suggested that the limiting factor for mussels in this
specific environment is the amount of phytoplankton that the mussels feed on. Identify data that could best be used to
either justify or refute this suggestion.
a. rates of growth of newly established mussel cultures in a lab under different phytoplankton concentrations
b. phytoplankton population changes in the estuary as a function of intensity and duration of sunlight exposure
c. biomasses of natural mussel populations and phytoplankton populations in the estuary determined at many
different times
d. lab measurements of phytoplankton biomass in response to added mussel population numbers
95. A conservation group has claimed that the introduction of logging into a forest ecosystem will decrease the carrying
capacity of trout living in a stream within the ecosystem. Which data could be used to either justify or refute this claim?
a. Growth rate of trout in the stream before and after logging
b. Death rate of trout in the stream after the introduction of logging
c. Number of trout in the stream after the introduction of logging
d. Number of trout in the stream before and after logging
96. Predict how human population change in the next 50 years is likely to affect marine ecosystems.
a. Humans will decrease their own carrying capacity, which will also decrease the carrying capacities of marine
ecosystems.
b. Decreased fishing can be expected, which will lead to rebounds in fish populations and healthier marine
ecosystems.
c. Increases in greenhouse gas emissions are likely, with increases in ocean temperatures that trigger shifts in
marine populations.
d. Biodiversity of marine ecosystems will increase as humans use engineering to increase food production in the
oceans.
97. Describe how the quantity of waste from human activities can be expected to change in the next 50 years and why.
Explain how that change could impact a specific ecosystem.
a. The amount of waste generated by human activities will increase exponentially as the human population
continues to increase exponentially. Removal of waste would require a decrease in habitats, which will lead to
decrease in populations of species dependent on those habitats.
b. The amount of waste generated by human activities will increase exponentially as the human population
continues to increase exponentially. Removal of waste will require an increase in habitats, which will lead to
exponential increase in populations of species dependent on those habitats.
c. The amount of waste generated by human activities will decrease exponentially as the human population
continues to increase exponentially. Removal of waste would require an increase in habitats, which will lead to
exponential increase in populations of species dependent on those habitats.
d. The amount of waste generated by human activities will decrease exponentially as the human population
continues to increase exponentially. Removal of waste will require a decrease in habitats, which will lead to
decrease in populations of species dependent on those habitats.
98. A company wants to establish suspended cultures of mussels in a natural estuary from which they can farm mussels in
a sustainable enterprise. The suspended cultures would keep the mussels contained for easy capture, but would allow free
flow of estuary waters in and out of the cultures. The company wants to know the maximum number of mussels they can
farm each month and maintain a sustainable system. A biologist has suggested that the limiting factor for mussels is the
Chapter 36 | Population and Community Ecology 1841
amount of phytoplankton that the mussels feed on. Identify data that could best be used to either justify or refute this
suggestion.
a. rates of growth of newly established mussel cultures in a lab under different phytoplankton concentrations
b. phytoplankton population changes in the estuary as a function of intensity and duration of sunlight exposure
c. biomasses of natural mussel populations and phytoplankton populations in the estuary determined at many
different times
d. lab measurements of phytoplankton biomass in response to added mussel population numbers
99. A non-venomous species of snake has a wide geographical range. In one region, the species has dull coloration and in
another region, the species exhibits bright coloration that resembles a local venomous species of snake. A hypothesis has
been proposed that the bright coloration is an adaptation to defend against predation, an example of Batesian mimicry.
Describe an experimental design that could be used to test this hypothesis.
a. Run field tests in which dull individuals and brightly colored individuals are captured and switched into the
other’s territory to see how many of each survive.
b. Run field tests in which video cameras are set up to record predators capturing dull individuals and brightly
colored individuals in their native territories.
c. Run laboratory tests in which predators familiar with the venomous snake are offered dull individuals and
brightly colored individuals to see if the predators show a preference.
d. Run laboratory tests in which predators familiar with the dull colored nonvenomous snake are offered venomous
brightly colored individuals and nonvenomous brightly colored individuals to see if the predators show a
preference.
100. Frogs are amphibians and most species spend time both on land and in water. Female frogs are vulnerable to
predation by fish when they enter the water to lay eggs. A hypothesis has been proposed that frogs rely on chemical
detection of predators in addition to visual detection. In other words, frogs detect the presence of predator fish by
chemicals released by fish into the water. Design an experiment to test this hypothesis.
a. Arrange containers of water in which water can be freely shared between two compartments. Fish are contained
within one compartment and frogs in another such that the frogs on one side cannot see or hear fish on the other
side. Observe and compare the egg-laying behavior of female frogs in the presence and absence of predator fish
in the fish tank.
b. Arrange containers of water in which water can be freely shared between two compartments. Fish and frogs are
contained within one compartment such that frogs cannot see or hear fish. Observe and compare the egg-laying
behavior of female frogs in the presence and absence of predator fish.
c. Arrange containers of water in which water can be freely shared between two compartments. Fish and frogs are
contained within one compartment such that frogs can see or hear fish. Observe and compare the egg-laying
behavior of female frogs in the presence and absence of predator fish in the fish tank.
d. Arrange containers of water in which water can be freely shared between two compartments. Fish are contained
within one compartment and frogs in another such that frogs on one side can see or hear fish on the other side.
Observe and compare the egg-laying behavior of female frogs in the presence and absence of predator fish in the
fish tank.
101. A biologist studied two populations of the same species of a small fish living in different locations in the same
tropical stream. He noticed that adult male fish were either spotted or unspotted and made careful counts of the two
variants in the two stream locations in 1998. He repeated his population studies ten years later. Construct a hypothesis that
accounts for these data.
1842 Chapter 36 | Population and Community Ecology
Figure 36.58
Construct a hypothesis that accounts for these data.
a. A new prey species of the fish established itself only in the downstream portion of the stream between 1998 and
2008.
b. A new prey species of the fish established itself only in the upstream portion of the stream between 1998 and
2008.
c. A new predator of the fish established itself only in the downstream portion of the stream between 1998 and
2008.
d. A new predator of the fish established itself in both the upstream and downstream portions of the stream
between 1998 and 2008.
102. A species of marine snail is found in shallow waters near coastlines. This snail feeds on detritus on the ocean bottom.
Researchers noticed that snails in one area had a mottled appearance, while snails in another area were solid in color. The
researchers set up areas in each region for study and then released both mottled and solid snails into the solid snail region
and released both mottled and solid snails into the mottled snail region. The survival rate of each variant was measured.
Results are summarized in this table.
Figure 36.59
Chapter 36 | Population and Community Ecology 1843
Construct a possible hypothesis that accounts for these data. Explain your reasoning.
a. A possible hypothesis is that the coloration of the snail is dependent on environmental conditions. Camouflage
in both mottled and solid snails is best during optimum environmental conditions and does not change according
to the region in which they are placed.
b. A possible hypothesis is that the coloration of the snail is an adaptation in the form of camouflage to protect the
snail from predators in the region it is invading. Mottled snails are best camouflaged in the solid snail region and
stand out to predators and suffer greater predation when placed in their native region.
c. A possible hypothesis is that the coloration of the snail is an adaptation in the form of camouflage to protect the
snail from predators in its native region. Mottled snails are best camouflaged in their native region and stand out
to predators and suffer greater predation when placed in the region normally occupied by solid snails.
d. A possible hypothesis is that the coloration of the snail is an adaptation in the form of camouflage to protect the
snail from predators in its native region. Solid snails are best camouflaged in mottled snail region and are more
obvious to predators when placed in their native region.
103. The graph summarizes data concerning four different species of lizards that inhabit tropical habitats.
Figure 36.60
a. All species will coexist with one another because they consume the same amounts of food.
b. Species A, B, and C will best coexist because of their similarities in amount and type of food eaten.
c. Species A and B will best coexist because they have the most overlap in diet.
d. Species D will best coexist with any one of the other species because this species eats completely different types
of food.
104. Warblers are a group of small songbirds consisting of many species. The table summarizes data collected on the diets
of two species of warblers. In addition, both species A and B use the same types of nesting materials and sites for building
nests.
Figure 36.61
A biologist observes that Species A and Species B primarily inhabit different regions of a forest in western Canada.
1844 Chapter 36 | Population and Community Ecology
During a forest fire that wiped out the region it inhabited, Species B fled to the region inhabited by Species A. Predict
what is likely to happen to these two species in the future. Explain your reasoning.
a. Both the species will survive because of difference in needs for food.
b. Species A will increase in population whereas species B will remain the same due to the overlapping needs for
food.
c. Unless the species can modify their diets, it is likely that only one of these species will survive in this region due
to the difference in needs for food. The species that loses will either die off or migrate to another region.
d. Unless the species can modify their diets, it is likely that only one of these species will survive in this region due
to the overlapping needs for food. The species that loses will either die off or migrate to another region.
105. Himalayan blackberries are an invasive species that has spread in the forest of the Pacific Northwest. The plants
develop thick tangles of cane covered with thorns that cover ground with a tight mat. Ecologists hypothesized that
Himalayan blackberries displace native species of shrubs by reproducing faster and reducing areas available for growth.
They recorded the density of blackberries and native salmonberries, a native shrub, along a creek for several years.
a. Blackberries promote the growth of salmonberry shrubs.
b. Blackberries and salmonberry shrubs do not interfere with each other’s growth.
c. Salmonberry shrubs prevent the growth of blackberries.
d. Blackberries displace salmonberry shrubs.
106. Predict how ecosystems in the northernmost land regions will be affected by human population change in the next 50
years.
a. Biodiversity of these northernmost regions will remain constant as humans will find other more habitable
locations to house their growing numbers.
b. The populations of organisms presently inhabiting these regions will shift as global warming causes many
species to decline and new species to move in.
c. The carrying capacity of these regions for humans will decrease as the human population increases
exponentially.
d. Ecosystems can be expected to remain untouched by humans as new technologies are developed to sustain a
growing population.
107. A researcher is interested in investigating whether the croaking pattern produced by males in a frog species is a
learned behavior or an innate behavior. Which of the following would best help the researcher answer this question?
a. genetic analyses of adult male frogs raised in isolation and in multigenerational frog communities
b. field observations of adult frogs in their native habitat during mating season
c. video recordings of individual frogs raised in large multigenerational frog communities
d. audio recordings of individual frogs at sexual maturity after being raised in total isolation
108. A biologist hypothesizes birds of various species recognize the predator warning calls of other bird species. The
biologist has established several feeders in a forest where birds come to feed regularly. They are spread out over a wide
area, making it difficult to observe all of the boxes at the same time. Describe how the biologist can use this site to collect
data to test his hypothesis.
a. The biologist can use video cameras to record the behavior of birds coming to the feeders.
b. The biologist can leave an audio recorder near the feeders.
c. The biologist can record the behavior of birds by comparing them with other birds using video cameras.
d. The biologist could observe the birds continually for one month.
109. Yellow buntings are birds that feed on butterflies, including Aglaisurticae, a species of butterfly that has bright
circular coloring on its wing called an eyespot. Biologists have hypothesized that eyespots mimic owl eyes. Owls are
predators of yellow buntings. In laboratory experiments using yellow buntings captured from the wild and held in
captivity, individual birds were observed during sessions in which they were given butterflies that had either not been
treated or had been treated to remove their eyespots. Yellow buntings were scored according to whether they showed
fleeing behavior when they encountered butterflies of both types. The data were compiled in this table.
Chapter 36 | Population and Community Ecology 1845
Figure 36.62
How do these data support the claim that one species’ response to information can affect natural selection in another
species?
a. Comparison of the total number of encounters shows that more birds responded to the eyespot, a trait that will
likely be selected against in natural populations of the butterfly.
b. Comparison of the number of birds attacking butterflies with and without eyespots suggests that the presence of
an eyespot makes butterflies more visible to predators resulting in selection against the trait.
c. Comparison of the number of birds fleeing from butterflies with and without eyespots indicates that the eyespot
trait has been disfavored because this trait makes the butterflies stand out to predators.
d. Comparison of the number of birds fleeing from butterflies with and without eyespots suggests that selection has
occurred in butterflies in favor of the eyespot trait, which mimics a predator of the bird.
110. Biologists analyzed the sound frequencies of different calls made by a small bird species that serve as prey for a much
larger predator bird species. The small bird makes three different kinds of calls: a mobbing call that a group of adults make
when mobbing a single predator bird in defense of their nests, a scolding call that a single bird makes to scold a predator
bird perched nearby, and a warning call that a single bird makes to warn other birds when a predator bird flies into the
vicinity. A table was created to summarize the data from this analysis and show the range of sound frequencies audible to
the prey and predator species.
Figure 36.63
Explain how these data support the claim that communication of information affects natural selection in the small bird
1846 Chapter 36 | Population and Community Ecology
species.
a. A scolding call made by small birds can be heard by large predator birds, which is required to scold away the
birds; therefore, this trait is favorable and has been naturally selected.
b. As the mobbing call made by small birds can be heard by large predator birds, therefore small birds cannot
defend their nests without the predators knowing. This unfavorable trait is thus naturally selected.
c. The warning call made by small birds cannot be heard by large predator birds, giving the small birds an
advanced warning. This is an unfavorable trait that gives birds a survival disadvantage.
d. The warning call made by small birds cannot be heard by large predator birds, giving the small birds an
advanced warning. This is a favorable trait that gives birds a survival advantage.
111. Which of the following statements most directly supports the claim that Monarch butterfly migration is a regulated
event?
a. Monarch butterflies fly up to 3,000 miles from their summer habitat in North America to their winter habitat in
Mexico.
b. Because the life span of a Monarch butterfly is so short, not every generation of Monarchs migrates.
c. Monarch caterpillars feed on milkweed while adult butterflies feed on flower nectar.
d. Changes in day length trigger hormonal and nervous system changes in Monarchs that result in behavioral
changes.
112. What evidence supports the claim that the timing of entry into hibernation by grizzly bears is regulated?
a. Grizzly bears go into hibernation at the end of winters. This observation provides evidence that there is some
environmental cue that triggers physiological changes in bears.
b. Grizzly bears do not go into hibernation at the beginning of autumn. This observation provides evidence that
there is some environmental cue that triggers physiological changes in bears.
c. Grizzly bears go into hibernation at random times during the year. This observation provides evidence that there
is some environmental cue that triggers physiological changes in bears.
d. Grizzly bears do not go into hibernation at random times during the year. This observation provides evidence
that there is some environmental cue that triggers physiological changes in bears.
113. Some animal behaviors can be modified by experience. Which of the following accurately predicts how an
experiential factor is likely to affect an animal’s behavior?
a. A species of salmon will migrate up the same river regardless of increases in predators that visit these waterways
from one year to the next.
b. Female elk that had difficult deliveries of calves will continue to mate with males in succeeding mating seasons.
c. Bears that receive food from humans are later more likely to break into human habitations than bears that are not
approached by humans.
d. A bird raised from an egg isolated in a lab environment will give the same alarm call as birds of the same
species raised in the wild.
114. Estivation is a type of dormancy that some animals enter during hot, dry periods. Typically, the metabolisms of these
animals slow down, their bodies retain water, and they may shift to altered nitrogen metabolism. Predict how the behavior
of an animal such as a lizard would change in response to environmental factors that trigger the lizard into entering
estivation.
a. The lizard would sit on a rock to remain protected from predation and water loss. The breathing and heart rate
would slow as it begins estivating. Then it would only do critical activities needed to sustain its living state.
b. The lizard would live in a shaded spot to remain protected from predation and water loss. The breathing and
heart rate would slow as it begins estivating. This way a lizard can perform all activities.
c. The lizard would stay in a shaded spot to remain protected from predation and water loss. Its breathing and heart
rate would slow as it begins estivating. Then it would only do critical activities needed to sustain its living state.
d. The lizard would live in a shaded spot to remain protected from predation and water loss. The breathing and
heart rate would increase as it begins estivating. Then it would only do critical activities needed to sustain its
living state.
Chapter 36 | Population and Community Ecology 1847
115. Many animals produce chemical compounds that function as alarm cues. Researchers interested in determining
whether salamanders fall into this group performed the following experiment. Long-toed salamanders were captured from
the wild. A few were injured and tissue from their injuries was collected and ground up with water. This solution was used
to moisten a paper towel. Others were not injured and placed on moistened paper towels for 48 hours. The moistened
paper towels were placed at one end of a rectangular box (stimulus end) and a paper towel moistened with water was
placed at the other end (control end). In each test, a salamander was placed in the center and the researchers observed the
direction in which the salamander moved. Multiple trials were performed using paper towels moistened with chemicals
from injured and non-injured salamanders and the data was compiled into a table. Which of the following statements is an
accurate analysis of the data?
Figure 36.64
Which of the following statements is an accurate analysis of the data?
a. This salamander releases chemical compounds during injury that elicit avoidance behavior in members of its
own species.
b. Chemical compounds released from this salamander species during injury elicit attractant behavior in members
of its own species.
c. Both injured and non-injured salamanders produce chemical compounds that elicit avoidance behavior in non-
injured salamanders.
d. There was a statistically significant difference between stimulus and control results from treatment involving
non-injured salamanders.
116. Biologists have observed some animal species making predator warning calls when no predator is in the area. In one
species of bird, for example, individuals appeared to perform this behavior as a means for deceiving other birds into
fleeing from a food source that the bird making the call was then better able to access.
In investigating the possibility that this bird species uses false alarm calls to improve its access to food, the following
experiment was conducted. Researchers set up a bird feeding table in a protected area to attract two species of birds,
species A and B. They either clumped food in one concentrated pile on the table, allowing a few birds to feed
simultaneously, or dispersed the food in a much wider area under and around the table so that it was available to large
numbers of birds. They then observed the number of times an individual in species A gave a predator warning call and
whether species B was present at the feeding table. The data collected by the researchers are shown in the table.
1848 Chapter 36 | Population and Community Ecology
Figure 36.65
What do the data suggest about the use of deception by species A?
a. Species A may sometimes use deception in cases when food is plentiful but concentrated in a way that access is
limited to a small group of birds. A bird that had restricted access to the food has open access because of the
alarm. The bird only carries out this deceptive behavior in cases where it’s necessary.
b. Species A may sometimes use deception in cases when food is plentiful but concentrated in a way that access is
available to a large group of birds. A bird that had restricted access to the food has open access because of the
alarm. The bird only carries out this deceptive behavior in cases where it’s necessary.
c. Species A may sometimes use deception in cases when food is plentiful but dispersed in a way that access is
limited to a small group of birds. A bird that had restricted access to the food has open access because of the
alarm. The bird only carries out this deceptive behavior in cases where it’s necessary.
d. Species A may sometimes use deception in cases when food is plentiful but concentrated in a way that access is
available to a small group of birds. A bird that had unrestricted access to the food has open access because of the
alarm. Deceptive behavior is carried out regardless of whether it is needed or not.
117. This representation was created to describe how the behavior of a cat was affected as it was exposed to different
stimuli.
Chapter 36 | Population and Community Ecology 1849
Figure 36.66
Which term describes the process represented by the exposure to footsteps followed by loud noise in this diagram?
a. innate behavior.
b. classical conditioning
c. operant conditioning
d. cognitive learning
118. Elk migrate from summer feeding grounds in high mountain meadows down into lower valleys during winter. Using
the words behavioral changes, physiological changes, seasonal changes, and migration, write the order of events that occur
to bring about this migration.
a. seasonal changes, physiological changes, migration, and behavioral changes, respectively
b. physiological changes, seasonal changes, behavioral changes, and migration, respectively
c. seasonal changes, behavioral changes, physiological changes, and migration, respectively
d. seasonal changes, physiological changes, behavioral changes, and migration, respectively
119. Some fish swim in schools, which can respond rapidly by moving quickly away from predator threats. In schools, fish
swim in a coordinated pattern without moving chaotically and bumping into one another. Which type of communication
between individuals accounts for the precisely coordinated movements of all of the fish in a school in response to a threat?
a. aural signals
b. pheromone signals
c. tactile signals
d. visual signals
120. Describe a situation in which animals of the same species exchange information in response to an approaching
predator. Include a description of how the information flows between individuals.
1850 Chapter 36 | Population and Community Ecology
a. Herring gulls have a brightly colored bill. When a predator approaches, the parent gull stands over its chick and
taps the bill on the ground in front of it, which elicits a begging response from a hungry chick.
b. Prairie dogs live in underground burrows. If a look-out observes an approaching predator, they give an aural
alarm cry communicating the information to the foraging individuals who then run back to safety.
c. Herring gulls have a brightly colored bill. When a predator approaches, the parent gull stands over its nest and
taps the bill on the ground to elicit a begging response from its chick, thereby warning other gulls.
d. Prairie dogs live inside the bark of trees. If a look-out observes an approaching predator, they give an aural alarm
cry communicating the information to the foraging individuals who then run back to safety.
Because p and q are probabilities for a case where only two alleles exist, p+q=1. Additionally (p+q) 2=1, leading to the
Hardy-Weinberg equation
p 2k + 2p k q k + q 2k = 1
/
F k⎛⎝AA⎞⎠ = p 2k w AA W F k⎛⎝Aa⎞⎠ = 2p k q k w Aa / W F k = q 2k w aa / W W = p 2 w AA + 2pqw Aa + q 2 w aa
Haldane divides by the factor W=Fk(AA)+Fk(Aa)+Fk(aa) so that the probabilities that are still calculated with Equation
36.9 to continue to satisfy the condition for p and q to represent probabilities: (p+q)2=1.
Chapter 36 | Population and Community Ecology 1851
a. Justify Haldane’s model in terms of what the factors wAA, wAa, and waa mean.
b. Suppose that wAA = wAa = 1, but that waa = 0.8. Predict what will happen to the population over time.
Fitness is determined by the environment. Moree (The American Naturalist, 86, 1952) measured the relative
fitness in Drosophila melanogaster of a recessive allele that imparts black eye color as population density
increases. A varying number of flies with an equal number of males and females were placed in a pint jar and
progeny counted. In each experiment the population was initially heterozygous.
c. Apply Haldane’s approach to calculate the probability p in the first generation after mating 150 female and 150
male flies that are heterozygous using wAA = wAa = 1.
Rendel (Evolution, 5, 1951) conducted an investigation of the dependence of fecundity (fertility) on light in
ebony-eyed D. melanogaster. A summary of some of the data that he reported is shown in the table below:
d. Pose two scientific questions concerning the behavioral response indicated by the data that can be tested
experimentally.
REFERENCES
37 | ECOSYSTEMS
Figure 37.1 In the southwestern United States, rainy weather causes an increase in production of pinyon nuts, causing
the deer mouse population to explode. Deer mice may carry a virus called Sin Nombre (a hantavirus) that causes
respiratory disease in humans and has a high fatality rate. In 1992–1993, wet El Niño weather caused a Sin Nombre
epidemic. Navajo healers, who were aware of the link between this disease and weather, predicted the outbreak.
(credit "highway": modification of work by Phillip Capper; credit "mouse": modification of work by USFWS)
Chapter Outline
37.1: Ecology of Ecosystems
37.2: Energy Flow through Ecosystems
37.3: Biogeochemical Cycles
Introduction
In 1993, an interesting example of ecosystem dynamics occurred when a rare lung disease struck inhabitants of the
southwestern United States. This disease had an alarming rate of fatalities, killing more than half of early patients, many
of whom were Native Americans. These formerly healthy young adults died from complete respiratory failure. The disease
was unknown, and the Centers for Disease Control (CDC), the United States government agency responsible for managing
potential epidemics, was brought in to investigate. The scientists could have learned about the disease had they known
to talk with the Navajo healers who lived in the area and who had observed the connection between rainfall and mice
populations, thereby predicting the 1993 outbreak.
The cause of the disease, determined within a few weeks by the CDC investigators, was the hantavirus known as Sin
Nombre, the virus with no name. With insights from traditional Navajo medicine, scientists were able to characterize the
disease and rapidly and institute effective health measures to prevent its spread. Though not as common any more, infections
from hantavirus still occur. You can read more about hantavirus in this CDC article (http://openstaxcollege.org/l/32hanta)
.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential
2.A.1 All living systems require constant input of free energy.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 2.3 The student is able to predict how changes in free energy availability affect organisms,
Objective populations, and ecosystems.
Enduring
Growth and dynamic homeostasis of a biological system are influenced by changes in the
Understanding
system’s environment.
2.D
2.D.1 All biological systems from cells and organisms to populations, communities and
Essential
ecosystems are affected by complex biotic and abiotic interactions involving exchange of
Knowledge
matter and free energy.
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 2.24 The student is able to analyze data to identify possible patterns and relationships
Objective between a biotic or abiotic factor and a biological system, including an ecosystem.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
4.14 The student is able to apply mathematical routines to quantities that describe
Learning
interactions among living systems and their environment, which result in the movement of
Objective
matter and energy.
Chapter 37 | Ecosystems 1855
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.15 The student is able to use visual representations to analyze situations or solve
Learning
problems qualitatively to illustrate how interactions among living systems and with their
Objective
environment result in the movement of matter and energy.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.16 The student is able to predict the effects of a change of matter or energy availability on
Objective communities and ecosystems.
An ecosystem is a community of living organisms and their interactions with their abiotic (non-living) environment.
Ecosystems can be small, such as the tide pools found near the rocky shores of many oceans, or large, such as the Amazon
Rainforest in Brazil (Figure 37.2).
Figure 37.2 A (a) tidal pool ecosystem in Matinicus Island in Maine is a small ecosystem, while the (b) Amazon
Rainforest in Brazil is a large ecosystem. (credit a: modification of work by “takomabibelot”/Flickr; credit b: modification
of work by Ivan Mlinaric)
There are three broad categories of ecosystems based on their general environment: freshwater, ocean water, and terrestrial.
Within these broad categories are individual ecosystem types based on the organisms present and the type of environmental
habitat.
Ocean ecosystems are the most common, comprising 75 percent of the Earth's surface and consisting of three basic types:
shallow ocean, deep ocean water, and deep ocean surfaces (the low depth areas of the deep oceans). The shallow ocean
ecosystems include extremely biodiverse coral reef ecosystems, and the deep ocean surface is known for its large numbers
of plankton and krill (small crustaceans) that support it. These two environments are especially important to aerobic
respirators worldwide as the phytoplankton perform 40 percent of all photosynthesis on Earth. Although not as diverse as
the other two, deep ocean ecosystems contain a wide variety of marine organisms. Such ecosystems exist even at the bottom
of the ocean where light is unable to penetrate through the water.
Freshwater ecosystems are the rarest, occurring on only 1.8 percent of the Earth's surface. Lakes, rivers, streams, and
springs comprise these systems; they are quite diverse, and they support a variety of fish, amphibians, reptiles, insects,
phytoplankton, fungi, and bacteria.
Terrestrial ecosystems, also known for their diversity, are grouped into large categories called biomes, such as tropical
rain forests, savannas, deserts, coniferous forests, deciduous forests, and tundra. Grouping these ecosystems into just a few
biome categories obscures the great diversity of the individual ecosystems within them. For example, there is great variation
in desert vegetation: the saguaro cacti and other plant life in the Sonoran Desert, in the United States, are relatively abundant
1856 Chapter 37 | Ecosystems
compared to the desolate rocky desert of Boa Vista, an island off the coast of Western Africa (Figure 37.3).
Figure 37.3 Desert ecosystems, like all ecosystems, can vary greatly. The desert in (a) Saguaro National Park,
Arizona, has abundant plant life, while the rocky desert of (b) Boa Vista island, Cape Verde, Africa, is devoid of plant
life. (credit a: modification of work by Jay Galvin; credit b: modification of work by Ingo Wölbern)
Ecosystems are complex with many interacting parts. They are routinely exposed to various disturbances, or changes in
the environment that effect their compositions: yearly variations in rainfall and temperature and the slower processes of
plant growth, which may take several years. Many of these disturbances are a result of natural processes. For example,
when lightning causes a forest fire and destroys part of a forest ecosystem, the ground is eventually populated by grasses,
then by bushes and shrubs, and later by mature trees, restoring the forest to its former state. The impact of environmental
disturbances caused by human activities is as important as the changes wrought by natural processes. Human agricultural
practices, air pollution, acid rain, global deforestation, overfishing, eutrophication, oil spills, and illegal dumping on land
and into the ocean are all issues of concern to conservationists.
Equilibrium is the steady state of an ecosystem where all organisms are in balance with their environment and with each
other. In ecology, two parameters are used to measure changes in ecosystems: resistance and resilience. The ability of an
ecosystem to remain at equilibrium in spite of disturbances is called resistance. The speed at which an ecosystem recovers
equilibrium after being disturbed, called its resilience. Ecosystem resistance and resilience are especially important when
considering human impact. The nature of an ecosystem may change to such a degree that it can lose its resilience entirely.
This process can lead to the complete destruction or irreversible altering of the ecosystem.
Figure 37.4 These are the trophic levels of a food chain in Lake Ontario at the United States-Canada border. Energy
and nutrients flow from photosynthetic green algae at the bottom to the top of the food chain: the Chinook salmon.
One major factor that limits the length of food chains is energy. Energy is lost as heat between each trophic level due to the
second law of thermodynamics. Thus, after a limited number of trophic energy transfers, the amount of energy remaining
in the food chain may not be great enough to support viable populations at yet a higher trophic level.
The loss of energy between trophic levels is illustrated by the pioneering studies of Howard T. Odum in the Silver Springs,
Florida, ecosystem in the 1940s (Figure 37.5). The primary producers generated 20,819 kcal/m2/yr (kilocalories per square
meter per year), the primary consumers generated 3368 kcal/m2/yr, the secondary consumers generated 383 kcal/m2/yr, and
the tertiary consumers only generated 21 kcal/m2/yr. Thus, there is little energy remaining for another level of consumers in
this ecosystem.
1858 Chapter 37 | Ecosystems
Figure 37.5 The relative energy in trophic levels in a Silver Springs, Florida, ecosystem is shown. Each trophic level
has less energy available and supports fewer organisms at the next level.
There is a problem when using food chains to accurately describe most ecosystems. Even when all organisms are grouped
into appropriate trophic levels, some of these organisms can feed on species from more than one trophic level; likewise,
some of these organisms can be eaten by species from multiple trophic levels. In other words, the linear model of
ecosystems, the food chain, is not completely descriptive of ecosystem structure. A holistic model—which accounts for
all the interactions between different species and their complex interconnected relationships with each other and with the
environment—is a more accurate and descriptive model for ecosystems. A food web is a graphic representation of a holistic,
non-linear web of primary producers, primary consumers, and higher-level consumers used to describe ecosystem structure
and dynamics (Figure 37.6).
Figure 37.6 This food web shows the interactions between organisms across trophic levels in the Lake Ontario
ecosystem. Primary producers are outlined in green, primary consumers in orange, secondary consumers in blue, and
tertiary (apex) consumers in purple. Arrows point from an organism that is consumed to the organism that consumes
it. Notice how some lines point to more than one trophic level. For example, the opossum shrimp eats both primary
producers and primary consumers. (credit: NOAA, GLERL)
A comparison of the two types of structural ecosystem models shows strength in both. Food chains are more flexible for
analytical modeling, are easier to follow, and are easier to experiment with, whereas food web models more accurately
represent ecosystem structure and dynamics, and data can be directly used as input for simulation modeling.
Chapter 37 | Ecosystems 1859
Head to this online interactive simulator (http://openstaxcollege.org/l/food_web) to investigate food web function. In
the Interactive Labs box, under Food Web, click Step 1. Read the instructions first, and then click Step 2 for additional
instructions. When you are ready to create a simulation, in the upper-right corner of the Interactive Labs box, click OPEN
SIMULATOR.
What happens to a food web in the absence of primary producers such as plants? Why?
a. A food web will be produced, but position of some organisms will vary in the food web as their diet will
vary.
b. Some primary consumers will perform the function of primary producers in the food web or chain.
c. A food web is unable to be produced as there is no basal energy source for consumers to obtain energy from.
d. A food web is unable to be produced because very less amount of basal energy source is available for
consumers to obtain energy from.
Two general types of food webs are often shown interacting within a single ecosystem. A grazing food web (such as the
Lake Ontario food web in Figure 37.6) has plants or other photosynthetic organisms at its base, followed by herbivores
and various carnivores. A detrital food web consists of a base of organisms that feed on decaying organic matter (dead
organisms), called decomposers or detritivores. These organisms are usually bacteria or fungi that recycle organic material
back into the biotic part of the ecosystem as they themselves are consumed by other organisms. As all ecosystems require
a method to recycle material from dead organisms, most grazing food webs have an associated detrital food web. For
example, in a meadow ecosystem, plants may support a grazing food web of different organisms, primary and other levels
of consumers, while at the same time supporting a detrital food web of bacteria, fungi, and detrivorous invertebrates feeding
off dead plants and animals.
1860 Chapter 37 | Ecosystems
Three-spined Stickleback
It is well established by the theory of natural selection that changes in the environment play a major role in
the evolution of species within an ecosystem. However, little is known about how the evolution of species
within an ecosystem can alter the ecosystem environment. In 2009, Dr. Luke Harmon, from the University
of Idaho in Moscow, published a paper that for the first time showed that the evolution of organisms into
subspecies can have direct effects on their ecosystem environment.
The three-spined stickleback (Gasterosteus aculeatus) is a freshwater fish that evolved from a saltwater fish
to live in freshwater lakes about 10,000 years ago, which is considered a recent development in evolutionary
time (Figure 37.7). Over the last 10,000 years, these freshwater fish then became isolated from each other
in different lakes. Depending on which lake population was studied, findings showed that these sticklebacks
then either remained as one species or evolved into two species. The divergence of species was made
possible by their use of different areas of the pond for feeding called micro niches.
Dr. Harmon and his team created artificial pond microcosms in 250-gallon tanks and added muck from
freshwater ponds as a source of zooplankton and other invertebrates to sustain the fish. In different
experimental tanks they introduced one species of stickleback from either a single-species or double-
species lake.
Over time, the team observed that some of the tanks bloomed with algae while others did not. This puzzled
the scientists, and they decided to measure the water's dissolved organic carbon (DOC), which consists of
mostly large molecules of decaying organic matter that give pond-water its slightly brownish color. It turned
out that the water from the tanks with two-species fish contained larger particles of DOC (and hence darker
water) than water with single-species fish. This increase in DOC blocked the sunlight and prevented algal
blooming. Conversely, the water from the single-species tank contained smaller DOC particles, allowing
more sunlight penetration to fuel the algal blooms.
This change in the environment, which is due to the different feeding habits of the stickleback species in
each lake type, probably has a great impact on the survival of other species in these ecosystems, especially
other photosynthetic organisms. Thus, the study shows that, at least in these ecosystems, the environment
and the evolution of populations have reciprocal effects that may now be factored into simulation models.
Figure 37.7 The three-spined stickleback evolved from a saltwater fish to freshwater fish. (credit: Barrett Paul,
USFWS)
In the take microcosms, why were algal blooms possible in the presence of one, but not two stickleback species?
a. Bacause there were larger molecules of dissolved organic content in the presence of two species versus one
species.
b. Because two stickleback species consume all of the nutrients required by the algae to bloom.
c. Bacause one species had more dissolved organic matter available in their habitat than the other species.
d. Because more algae is consumed in the presence of two stickleback species versus only one species.
Chapter 37 | Ecosystems 1861
Figure 37.8 This conceptual model shows the flow of energy through a spring ecosystem in Silver Springs,
Florida. Notice that the energy decreases with each increase in trophic level.
Why do you think the value for gross productivity of the primary producers is the same as the value for total heat and
/ /
respiration ( 20, 810 kcal m 2 yr )?
a. Total heat and respiration refers to the energy used by all trophic levels and the energy provided by the
primary producers is more than the energy provided by primary consumers to these levels.
b. Gross productivity of primary producers is the same as the value for total heat and respiration because of the
high efficiency of conversion of solar energy to energy used by all trophic levels by primary producers.
c. The value for gross productivity of primary producers and total heat and respiration is same as primary
producers provide energy to primary consumers and secondary consumers only.
d. Total heat and respiration refers to energy used by all trophic levels and the only accessible energy to these
1864 Chapter 37 | Ecosystems
a. Because there may not be enough predators that can eat each of the prey species.
b. Non-maximal feeding of predators occurs due to inadequate dispersal of prey species in the marine
ecosystems.
c. Non maximal feeding of predators may occur due to the presence of new prey species with effective defenses
that are inherited.
Activity
Investigate a food web in an aquatic or terrestrial ecosystem of your choice, for example, coral reef. Create
a diagram of the food web and describe the role of each organism in the web. Then arbitrarily remove one
organism from the food web and predict how this will affect the ecosystem with respect to the movement of
matter and energy. Put that organism back in your food web and remove a different organism. Predict how
the ecosystem will be affected. Was your prediction the same as it was for the first organism?
Think About It
What are the differences and similarities between food chains and food webs? How are both used to describe an
ecosystem with respect to the movement of matter and energy through the ecosystem?
Section Summary
Ecosystems exist on land, at sea, in the air, and underground. Different ways of modeling ecosystems are necessary to
understand how environmental disturbances will affect ecosystem structure and dynamics. Conceptual models are useful to
show the general relationships between organisms and the flow of materials or energy between them. Analytical models are
used to describe linear food chains, and simulation models work best with holistic food webs.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 2.2 The student can apply mathematical routines to quantities that describe natural
Practice phenomena.
4.14 The student is able to apply mathematical routines to quantities that describe
Learning
interactions among living systems and their environment, which result in the movement of
Objective
matter and energy.
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.15 The student is able to use visual representations to analyze situations or solve
Learning
problems qualitatively to illustrate how interactions among living systems and with their
Objective
environment result in the movement of matter and energy.
All living things require energy in one form or another. Energy is required by most complex metabolic pathways (often
in the form of adenosine triphosphate, ATP), especially those responsible for building large molecules from smaller
compounds, and life itself is an energy-driven process. Living organisms would not be able to assemble macromolecules
(proteins, lipids, nucleic acids, and complex carbohydrates) from their monomeric subunits without a constant energy input.
It is important to understand how organisms acquire energy and how that energy is passed from one organism to
another through food webs and their constituent food chains. Food webs illustrate how energy flows directionally through
ecosystems, including how efficiently organisms acquire it, use it, and how much remains for use by other organisms of the
food web.
Figure 37.9 Swimming shrimp, a few squat lobsters, and hundreds of vent mussels are seen at a hydrothermal vent
at the bottom of the ocean. As no sunlight penetrates to this depth, the ecosystem is supported by chemoautotrophic
bacteria and organic material that sinks from the ocean’s surface. This picture was taken in 2006 at the submerged NW
Eifuku volcano off the coast of Japan by the National Oceanic and Atmospheric Administration (NOAA). The summit of
this highly active volcano lies 1535 m below the surface.
In Silver Springs, the TLTE between the first two trophic levels was approximately 14.8 percent. The low efficiency of
energy transfer between trophic levels is usually the major factor that limits the length of food chains observed in a food
web. The fact is, after four to six energy transfers, there is not enough energy left to support another trophic level. In
the Lake Ontario example shown in Ecology of Ecosystems, only three energy transfers occurred between the primary
producer, (green algae), and the apex consumer (Chinook salmon).
Ecologists have many different methods of measuring energy transfers within ecosystems. Some transfers are easier or more
difficult to measure depending on the complexity of the ecosystem and how much access scientists have to observe the
ecosystem. In other words, some ecosystems are more difficult to study than others, and sometimes the quantification of
energy transfers has to be estimated.
Another main parameter that is important in characterizing energy flow within an ecosystem is the net production efficiency.
Net production efficiency (NPE) allows ecologists to quantify how efficiently organisms of a particular trophic level
incorporate the energy they receive into biomass; it is calculated using the following formula
net consumer productivity
NPE = × 100.
assimilation
Net consumer productivity is the energy content available to the organisms of the next trophic level. Assimilation is the
biomass (energy content generated per unit area) of the present trophic level after accounting for the energy lost due to
incomplete ingestion of food, energy used for respiration, and energy lost as waste. Incomplete ingestion refers to the fact
that some consumers eat only a part of their food. For example, when a lion kills an antelope, it will eat everything except
the hide and bones. The lion is missing the energy-rich bone marrow inside the bone, so the lion does not make use of all
the calories its prey could provide.
Thus, NPE measures how efficiently each trophic level uses and incorporates the energy from its food into biomass to fuel
the next trophic level. In general, cold-blooded animals (ectotherms), such as invertebrates, fish, amphibians, and reptiles,
use less of the energy they obtain for respiration and heat than warm-blooded animals (endotherms), such as birds and
mammals. The extra heat generated in endotherms, although an advantage in terms of the activity of these organisms in
colder environments, is a major disadvantage in terms of NPE. Therefore, many endotherms have to eat more often than
ectotherms to get the energy they need for survival. In general, NPE for ectotherms is an order of magnitude (10x) higher
than for endotherms. For example, the NPE for a caterpillar eating leaves has been measured at 18 percent, whereas the
NPE for a squirrel eating acorns may be as low as 1.6 percent.
The inefficiency of energy use by warm-blooded animals has broad implications for the world's food supply. It is widely
accepted that the meat industry uses large amounts of crops to feed livestock, and because the NPE is low, much of the
energy from animal feed is lost. For example, it costs about $0.01 to produce 1000 dietary calories (kcal) of corn or
soybeans, but approximately $0.19 to produce a similar number of calories growing cattle for beef consumption. The same
energy content of milk from cattle is also costly, at approximately $0.16 per 1000 kcal. Much of this difference is due to
the low NPE of cattle. Thus, there has been a growing movement worldwide to promote the consumption of non-meat and
non-dairy foods so that less energy is wasted feeding animals for the meat industry.
Pyramid ecosystem modeling can also be used to show energy flow through the trophic levels. Notice that these numbers
are the same as those used in the energy flow compartment diagram in Figure 37.8. Pyramids of energy are always upright,
and an ecosystem without sufficient primary productivity cannot be supported. All types of ecological pyramids are useful
for characterizing ecosystem structure. However, in the study of energy flow through the ecosystem, pyramids of energy are
the most consistent and representative models of ecosystem structure (Figure 37.10).
Figure 37.10 Ecological pyramids depict the (a) biomass, (b) number of organisms, and (c) energy in each trophic
level.
Pyramids depicting the number of organisms or biomass may be inverted, upright, or even diamond-shaped. Which
type of pyramid is always upright and why?
a. Pyramid of biomass, as biomass will always be found at the base and there is loss and not gain of biomass
through the trophic levels.
b. Pyramid of number, as the numbers of producers is always more than the number of consumers in every
ecosystem.
c. Pyramid of energy, as energy will always be found at the base and there is loss and not gain of energy through
the trophic levels.
d. Pyramid of predators, as predators are always fewer in an ecosystem than the producers for the ecosystem to
work efficiently.
trophic level consumed many organisms of the lower level, which caused DDT to increase in birds (apex consumers) that
ate fish. Thus, the birds accumulated sufficient amounts of DDT to cause fragility in their eggshells. This effect increased
egg breakage during nesting and was shown to have adverse effects on these bird populations. The use of DDT was banned
in the United States in the 1970s.
Other substances that biomagnify are polychlorinated biphenyls (PCBs), which were used in coolant liquids in the United
States until their use was banned in 1979, and heavy metals, such as mercury, lead, and cadmium. These substances were
best studied in aquatic ecosystems, where fish species at different trophic levels accumulate toxic substances brought
through the ecosystem by the primary producers. As illustrated in a study performed by the National Oceanic and
Atmospheric Administration (NOAA) in the Saginaw Bay of Lake Huron (Figure 37.11), PCB concentrations increased
from the ecosystem’s primary producers (phytoplankton) through the different trophic levels of fish species. The apex
consumer (walleye) has more than four times the amount of PCBs compared to phytoplankton. Also, based on results from
other studies, birds that eat these fish may have PCB levels at least one order of magnitude higher than those found in the
lake fish.
Figure 37.11 This chart shows the PCB concentrations found at the various trophic levels in the Saginaw Bay
ecosystem of Lake Huron. Numbers on the x-axis reflect enrichment with heavy isotopes of nitrogen (15N), which is a
marker for increasing trophic level. Notice that the fish in the higher trophic levels accumulate more PCBs than those
in lower trophic levels. (credit: Patricia Van Hoof, NOAA, GLERL)
Other concerns have been raised by the accumulation of heavy metals, such as mercury and cadmium, in certain types
of seafood. The United States Environmental Protection Agency (EPA) recommends that pregnant women and young
children should not consume any swordfish, shark, king mackerel, or tilefish because of their high mercury content. These
individuals are advised to eat fish low in mercury, such as salmon, tilapia, shrimp, pollock, and catfish. Biomagnification is
a good example of how ecosystem dynamics can affect our everyday lives, even influencing the food we eat.
Chapter 37 | Ecosystems 1871
Many people enjoy eating swordfish, but pregnant women and young children should avoid it due to its high
mercury content resulting from biomagnification.
Figure 37.12
Why does biomagnification render larger, predatory species such as swordfish more toxic to humans than smaller,
planktivorous species such as anchovies?
a. Larger animals consume many small organisms, which leads to accumulation of oxygen in their body over
time.
b. Larger animals consume many small organisms, which leads to accumulation of mercury in their body over
time.
c. Larger animals consume many small organisms, which leads to accumulation of hydrogen in their body over
time.
d. Larger animals consume many small organisms, which leads to accumulation of polyglucose in their body
over time.
Lab Investigation
AP® Biology Investigation Labs: Inquiry-Based Approach, Investigation 10: Energy Dynamics. This inquiry-
based investigation provides an opportunity for you to explore factors that govern energy capture, allocation,
storage, and transfer between producers and consumers in a terrestrial ecosystem composed of Wisconsin
Fast Plants (producers) and cabbage white butterfly (Pieris rapae) larvae.
Activity
An ecosystem consists of earthworms, heterotrophic soil bacteria, grass, deer, beetles, and a lion. Create a
mini-poster to describe the trophic structure of the ecosystem, how each organism receives inputs of energy
and nutrients, where outputs (e.g., wastes) go, and the effect(s) each organisms has on the others. Include
all energy transformations and transfers based on the hypothetical assumption that 9,500 J of net energy is
available at the producer level.
1872 Chapter 37 | Ecosystems
Section Summary
Organisms in an ecosystem acquire energy in a variety of ways, which is transferred between trophic levels as the energy
flows from the bottom to the top of the food web, with energy being lost at each transfer. The efficiency of these transfers
is important for understanding the different behaviors and eating habits of warm-blooded versus cold-blooded animals.
Modeling of ecosystem energy is best done with ecological pyramids of energy, although other ecological pyramids provide
other vital information about ecosystem structure.
Biological systems utilize free energy and molecular building blocks to grow, to reproduce,
Big Idea 2
and to maintain dynamic homeostasis.
Enduring
Understanding Growth, reproduction and maintenance of living systems require free energy and matter.
2.A
Essential 2.A.3 Organisms must exchange matter with the environment to grow, reproduce and
Knowledge maintain organization.
Science 1.1 The student can create representations and models of natural or man-made phenomena
Practice and systems in the domain.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
2.9 The student is able to represent graphically or model quantitatively the exchange of
Learning molecules between an organism and its environment, and the subsequent use of these
Objective molecules to build new molecules that facilitate dynamic homeostasis, growth and
reproduction.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Chapter 37 | Ecosystems 1873
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 1.4 The student can use representations and models to analyze situations or solve problems
Practice qualitatively and quantitatively.
4.15 The student is able to use visual representations to analyze situations or solve
Learning
problems qualitatively to illustrate how interactions among living systems and with their
Objective
environment results in the movement of matter and energy.
Water contains hydrogen and oxygen, which is essential to all living processes. The hydrosphere is the area of the Earth
where water movement and storage occurs, such as liquid water on the surface and beneath the surface or frozen (rivers,
lakes, oceans, groundwater, polar ice caps, and glaciers), and as water vapor in the atmosphere. Carbon is found in all
organic macromolecules and is an important constituent of fossil fuels. Nitrogen is a major component of our nucleic acids
and proteins and is critical to human agriculture. Phosphorus, a major component of nucleic acid (along with nitrogen), is
one of the main ingredients in artificial fertilizers used in agriculture and their associated environmental impacts on our
surface water. Sulfur, critical to the 3–D folding of proteins (as in disulfide binding), is released into the atmosphere by the
burning of fossil fuels, such as coal.
The cycling of these elements is interconnected. For example, the movement of water is critical for the leaching of nitrogen
and phosphate into rivers, lakes, and oceans. Furthermore, the ocean itself is a major reservoir for carbon. Thus, mineral
nutrients are cycled, either rapidly or slowly, through the entire biosphere, from one living organism to another, and between
the biotic and abiotic world.
Figure 37.13 Only 2.5 percent of water on Earth is fresh water, and less than 1 percent of fresh water is easily
accessible to living things.
Water cycling is extremely important to ecosystem dynamics. Water has a major influence on climate and, thus, on the
environments of ecosystems, some located on distant parts of the Earth. Most of the water on Earth is stored for long periods
in the oceans, underground, and as ice. Figure 37.14 illustrates the average time that an individual water molecule may
spend in the Earth’s major water reservoirs. Residence time is a measure of the average time an individual water molecule
stays in a particular reservoir. A large amount of the Earth’s water is locked in place in these reservoirs as ice, beneath the
ground, and in the ocean, and, thus, is unavailable for short-term cycling (only surface water can evaporate).
Figure 37.14 This graph shows the average residence time for water molecules in the Earth’s water reservoirs.
There are various processes that occur during the cycling of water, shown in Figure 37.15. These processes include the
following:
• evaporation/sublimation
• condensation/precipitation
• subsurface water flow
• surface runoff/snowmelt
• streamflow
The water cycle is driven by the sun’s energy as it warms the oceans and other surface waters. This leads to the evaporation
(water to water vapor) of liquid surface water and the sublimation (ice to water vapor) of frozen water, which deposits large
amounts of water vapor into the atmosphere. Over time, this water vapor condenses into clouds as liquid or frozen droplets
and is eventually followed by precipitation (rain or snow), which returns water to the Earth’s surface. Rain eventually
Chapter 37 | Ecosystems 1875
permeates into the ground, where it may evaporate again if it is near the surface, flow beneath the surface, or be stored for
long periods. More easily observed is surface runoff: the flow of fresh water either from rain or melting ice. Runoff can then
make its way through streams and lakes to the oceans or flow directly to the oceans themselves.
Head to this website (http://openstaxcollege.org/l/freshwater) to learn more about the world’s fresh water supply.
Water characterizes the most common and the most rare ecosystems worldwide. Why is it essential to find ways to
manage water resources for human populations?
a. Humans utilize water from oceans, which is the most common ecosystem.
Rain and surface runoff are major ways in which minerals, including carbon, nitrogen, phosphorus, and sulfur, are cycled
from land to water. The environmental effects of runoff will be discussed later as these cycles are described.
Figure 37.15 Water from the land and oceans enters the atmosphere by evaporation or sublimation, where it
condenses into clouds and falls as rain or snow. Precipitated water may enter freshwater bodies or infiltrate the soil.
The cycle is complete when surface or groundwater reenters the ocean. (credit: modification of work by John M. Evans
and Howard Perlman, USGS)
1876 Chapter 37 | Ecosystems
Figure 37.16 Carbon dioxide gas exists in the atmosphere and is dissolved in water. Photosynthesis converts carbon
dioxide gas to organic carbon, and respiration cycles the organic carbon back into carbon dioxide gas. Long-term
storage of organic carbon occurs when matter from living organisms is buried deep underground and becomes
fossilized. Volcanic activity and, more recently, human emissions, bring this stored carbon back into the carbon cycle.
(credit: modification of work by John M. Evans and Howard Perlman, USGS)
Chapter 37 | Ecosystems 1877
Click this link (http://openstaxcollege.org/l/themecarbon) to read information about the United States Carbon Cycle
Science Program.
Compare and contrast carbon sources and sinks, and provide one example of each.
a. Carbon sources, such as burning fossil fuels, produce carbon while carbon sinks, such as oceans, absorb
carbon.
b. Carbon sources, such as volcanic activity, absorb carbon while carbon sinks, such as vegetation, produce
carbon.
c. Carbon sources, such as vegetation, produce carbon while carbon sinks, such as volcanic activity, absorb
carbon.
d. Carbon sources, such as volcanic activity, produce carbon while carbon sinks, such as burning fossil fuels,
absorb carbon.
Figure 37.17 Carbon dioxide reacts with water to form bicarbonate and carbonate ions.
The equilibrium coefficients are such that more than 90 percent of the carbon in the ocean is found as bicarbonate ions.
Some of these ions combine with seawater calcium to form calcium carbonate (CaCO3), a major component of marine
organism shells. These organisms eventually form sediments on the ocean floor. Over geologic time, the calcium carbonate
forms limestone, which comprises the largest carbon reservoir on Earth.
On land, carbon is stored in soil as a result of the decomposition of living organisms (by decomposers) or from weathering
of terrestrial rock and minerals. This carbon can be leached into the water reservoirs by surface runoff. Deeper underground,
on land and at sea, are fossil fuels: the anaerobically decomposed remains of plants that take millions of years to form.
Fossil fuels are considered a non-renewable resource because their use far exceeds their rate of formation. A non-renewable
resource, such as fossil fuel, is either regenerated very slowly or not at all. Another way for carbon to enter the atmosphere
is from land (including land beneath the surface of the ocean) by the eruption of volcanoes and other geothermal systems.
Carbon sediments from the ocean floor are taken deep within the Earth by the process of subduction: the movement of one
tectonic plate beneath another. Carbon is released as carbon dioxide when a volcano erupts or from volcanic hydrothermal
vents.
Carbon dioxide is also added to the atmosphere by the animal husbandry practices of humans. The large numbers of land
animals raised to feed the Earth’s growing population results in increased carbon dioxide levels in the atmosphere due to
farming practices and the respiration and methane production. This is another example of how human activity indirectly
affects biogeochemical cycles in a significant way. Although much of the debate about the future effects of increasing
atmospheric carbon on climate change focuses on fossils fuels, scientists take natural processes, such as volcanoes and
respiration, into account as they model and predict the future impact of this increase.
Figure 37.18 Nitrogen enters the living world from the atmosphere via nitrogen-fixing bacteria. This nitrogen and
nitrogenous waste from animals is then processed back into gaseous nitrogen by soil bacteria, which also supply
terrestrial food webs with the organic nitrogen they need. (credit: modification of work by John M. Evans and
Howard Perlman, USGS)
Human activity can release nitrogen into the environment by two primary means: the combustion of fossil fuels, which
releases different nitrogen oxides, and by the use of artificial fertilizers in agriculture, which are then washed into lakes,
streams, and rivers by surface runoff. Atmospheric nitrogen is associated with several effects on Earth’s ecosystems
including the production of acid rain (as nitric acid, HNO3) and greenhouse gas (as nitrous oxide, N2O) potentially causing
climate change. A major effect from fertilizer runoff is saltwater and freshwater eutrophication, a process whereby nutrient
runoff causes the excess growth of microorganisms, depleting dissolved oxygen levels and killing ecosystem fauna.
A similar process occurs in the marine nitrogen cycle, where the ammonification, nitrification, and denitrification processes
are performed by marine bacteria. Some of this nitrogen falls to the ocean floor as sediment, which can then be moved to
land in geologic time by uplift of the Earth’s surface and thereby incorporated into terrestrial rock. Although the movement
of nitrogen from rock directly into living systems has been traditionally seen as insignificant compared with nitrogen fixed
from the atmosphere, a recent study showed that this process may indeed be significant and should be included in any study
of the global nitrogen cycle.
1880 Chapter 37 | Ecosystems
Think About It
What is the process of nitrogen fixation and how does it relate to crop rotation in agriculture?
Figure 37.19 In nature, phosphorus exists as the phosphate ion (PO43−). Weathering of rocks and volcanic activity
releases phosphate into the soil, water, and air, where it becomes available to terrestrial food webs. Phosphate enters
the oceans via surface runoff, groundwater flow, and river flow. Phosphate dissolved in ocean water cycles into marine
food webs. Some phosphate from the marine food webs falls to the ocean floor, where it forms sediment. (credit:
modification of work by John M. Evans and Howard Perlman, USGS)
Excess phosphorus and nitrogen that enters these ecosystems from fertilizer runoff and from sewage causes excessive
growth of microorganisms and depletes the dissolved oxygen, which leads to the death of many ecosystem fauna, such as
shellfish and finfish. This process is responsible for dead zones in lakes and at the mouths of many major rivers (Figure
Chapter 37 | Ecosystems 1881
37.19).
Figure 37.20 Dead zones occur when phosphorus and nitrogen from fertilizers cause excessive growth of
microorganisms, which depletes oxygen and kills fauna. Worldwide, large dead zones are found in coastal areas of
high population density. (credit: NASA Earth Observatory)
A dead zone is an area within a freshwater or marine ecosystem where large areas are depleted of their normal flora and
fauna; these zones can be caused by eutrophication, oil spills, dumping of toxic chemicals, and other human activities. The
number of dead zones has been increasing for several years, and more than 400 of these zones were present as of 2008.
One of the worst dead zones is off the coast of the United States in the Gulf of Mexico, where fertilizer runoff from the
Mississippi River basin has created a dead zone of over 8463 square miles. Phosphate and nitrate runoff from fertilizers also
negatively affect several lake and bay ecosystems including the Chesapeake Bay in the eastern United States.
1882 Chapter 37 | Ecosystems
Chesapeake Bay
Figure 37.21 This (a) satellite image shows the Chesapeake Bay, an ecosystem affected by phosphate and nitrate
runoff. A (b) member of the Army Corps of Engineers holds a clump of oysters being used as a part of the oyster
restoration effort in the bay. (credit a: modification of work by NASA/MODIS; credit b: modification of work by U.S.
Army)
The Chesapeake Bay has long been valued as one of the most scenic areas on Earth; it is now in distress
and is recognized as a declining ecosystem. In the 1970s, the Chesapeake Bay was one of the first
ecosystems to have identified dead zones, which continue to kill many fish and bottom-dwelling species,
such as clams, oysters, and worms. Several species have declined in the Chesapeake Bay due to surface
water runoff containing excess nutrients from artificial fertilizer used on land. The source of the fertilizers
(with high nitrogen and phosphate content) is not limited to agricultural practices. There are many nearby
urban areas and more than 150 rivers and streams empty into the bay that are carrying fertilizer runoff
from lawns and gardens. Thus, the decline of the Chesapeake Bay is a complex issue and requires the
cooperation of industry, agriculture, and everyday homeowners.
Of particular interest to conservationists is the oyster population; it is estimated that more than 200,000
acres of oyster reefs existed in the bay in the 1700s, but that number has now declined to only 36,000
acres. Oyster harvesting was once a major industry for Chesapeake Bay, but it declined 88 percent between
1982 and 2007. This decline was due not only to fertilizer runoff and dead zones but also to overharvesting.
Oysters require a certain minimum population density because they must be in close proximity to reproduce.
Human activity has altered the oyster population and locations, greatly disrupting the ecosystem.
The restoration of the oyster population in the Chesapeake Bay has been ongoing for several years with
mixed success. Not only do many people find oysters good to eat, but they also clean up the bay. Oysters
are filter feeders, and as they eat, they clean the water around them. In the 1700s, it was estimated that
it took only a few days for the oyster population to filter the entire volume of the bay. Today, with changed
water conditions, it is estimated that the present population would take nearly a year to do the same job.
Restoration efforts have been ongoing for several years by non-profit organizations, such as the
Chesapeake Bay Foundation. The restoration goal is to find a way to increase population density so the
oysters can reproduce more efficiently. Many disease-resistant varieties (developed at the Virginia Institute
of Marine Science for the College of William and Mary) are now available and have been used in the
construction of experimental oyster reefs. Efforts to clean and restore the bay by Virginia and Delaware have
been hampered because much of the pollution entering the bay comes from other states, which stresses
the need for inter-state cooperation to gain successful restoration.
The new, hearty oyster strains have also spawned a new and economically viable industry—oyster
Chapter 37 | Ecosystems 1883
aquaculture—which not only supplies oysters for food and profit, but also has the added benefit of cleaning
the bay.
How did fertilizer runoff produce a dead zone in the Chesapeake Bay?
a. Excess nitrogen from fertilizer decreases microbial growth, depleting dissolved oxygen in water, thereby
killing the fauna of the ecosystem.
b. Fertilizer runoff decreases the carbon dioxide concentration in water, thereby killing fauna of the ecosystem.
c. Fertilizer runoff produces a dead zone in the Chesapeake Bay by increasing oxygen concentration in the
ecosystem.
d. Excess nitrogen from fertilizer increases microbial growth, depleting dissolved oxygen in water, thereby
killing the fauna of the ecosystem.
Figure 37.22 Sulfur dioxide from the atmosphere becomes available to terrestrial and marine ecosystems when it is
dissolved in precipitation as weak sulfuric acid or when it falls directly to the Earth as fallout. Weathering of rocks also
makes sulfates available to terrestrial ecosystems. Decomposition of living organisms returns sulfates to the ocean,
soil and atmosphere. (credit: modification of work by John M. Evans and Howard Perlman, USGS)
On land, sulfur is deposited in four major ways: precipitation, direct fallout from the atmosphere, rock weathering, and
geothermal vents (Figure 37.22). Atmospheric sulfur is found in the form of sulfur dioxide (SO2), and as rain falls through
the atmosphere, sulfur is dissolved in the form of weak sulfuric acid (H2SO4). Sulfur can also fall directly from the
atmosphere in a process called fallout. Also, the weathering of sulfur-containing rocks releases sulfur into the soil. These
rocks originate from ocean sediments that are moved to land by the geologic uplifting of ocean sediments. Terrestrial
ecosystems can then make use of these soil sulfates (SO4–), and upon the death and decomposition of these organisms,
release the sulfur back into the atmosphere as hydrogen sulfide (H2S) gas.
1884 Chapter 37 | Ecosystems
Figure 37.23 At this sulfur vent in Lassen Volcanic National Park in northeastern California, the yellowish sulfur
deposits are visible near the mouth of the vent.
Sulfur enters the ocean via runoff from land, from atmospheric fallout, and from underwater geothermal vents. Some
ecosystems (Figure 37.9) rely on chemoautotrophs using sulfur as a biological energy source. This sulfur then supports
marine ecosystems in the form of sulfates.
Human activities have played a major role in altering the balance of the global sulfur cycle. The burning of large quantities
of fossil fuels, especially from coal, releases larger amounts of hydrogen sulfide gas into the atmosphere. As rain falls
through this gas, it creates the phenomenon known as acid rain. Acid rain is corrosive rain caused by rainwater falling to
the ground through sulfur dioxide gas, turning it into weak sulfuric acid, which causes damage to aquatic ecosystems. Acid
rain damages the natural environment by lowering the pH of lakes, which kills many of the resident fauna; it also affects
the man-made environment through the chemical degradation of buildings. For example, many marble monuments, such as
the Lincoln Memorial in Washington, DC, have suffered significant damage from acid rain over the years. These examples
show the wide-ranging effects of human activities on our environment and the challenges that remain for our future.
Click this link (http://openstaxcollege.org/l/climate_change) to learn more about global climate change.
The greenhouse effect is considered natural and essential to human survival. Why, then, is society concerned about the
impact of human activities on the greenhouse gas effect?
b. Human activities strengthen the greenhouse effect by trapping more heat in the atmosphere.
c. Human activities decrease the release of carbon dioxide gas, thereby strengthening the greenhouse effect.
d. Human activities cause less heat to be trapped in the atmosphere and decrease the temperature.
Section Summary
Mineral nutrients are cycled through ecosystems and their environment. Of particular importance are water, carbon,
nitrogen, phosphorus, and sulfur. All of these cycles have major impacts on ecosystem structure and function. As human
activities have caused major disturbances to these cycles, their study and modeling is especially important. A variety of
Chapter 37 | Ecosystems 1885
human activities, such as pollution, oil spills, and events) have damaged ecosystems, potentially causing global climate
change. The health of Earth depends on understanding these cycles and how to protect the environment from irreversible
damage.
1886 Chapter 37 | Ecosystems
KEY TERMS
acid rain corrosive rain caused by rainwater falling to the ground through sulfur dioxide gas, turning it into weak sulfuric
acid; can damage structures and ecosystems
analytical model ecosystem model that is created with mathematical formulas to predict the effects of environmental
disturbances on ecosystem structure and dynamics
assimilation biomass consumed and assimilated from the previous trophic level after accounting for the energy lost due to
incomplete ingestion of food, energy used for respiration, and energy lost as waste
biogeochemical cycle cycling of mineral nutrients through ecosystems and through the non-living world
biomagnification increasing concentrations of persistent, toxic substances in organisms at each trophic level, from the
primary producers to the apex consumers
biomass total weight, at the time of measurement, of living or previously living organisms in a unit area within a trophic
level
chemoautotroph organism capable of synthesizing its own food using energy from inorganic molecules
conceptual model (also, compartment models) ecosystem model that consists of flow charts that show the interactions
of different compartments of the living and non-living components of the ecosystem
dead zone area within an ecosystem in lakes and near the mouths of rivers where large areas of ecosystems are depleted of
their normal flora and fauna; these zones can be caused by eutrophication, oil spills, dumping of toxic chemicals, and
other human activities
detrital food web type of food web in which the primary consumers consist of decomposers; these are often associated
with grazing food webs within the same ecosystem
ecological pyramid (also, Eltonian pyramid) graphical representation of different trophic levels in an ecosystem based
of organism numbers, biomass, or energy content
ecosystem community of living organisms and their interactions with their abiotic environment
ecosystem dynamics study of the changes in ecosystem structure caused by changes in the environment or internal
forces
equilibrium steady state of an ecosystem where all organisms are in balance with their environment and each other
eutrophication process whereby nutrient runoff causes the excess growth of microorganisms, depleting dissolved oxygen
levels and killing ecosystem fauna
fallout direct deposit of solid minerals on land or in the ocean from the atmosphere
food chain linear representation of a chain of primary producers, primary consumers, and higher-level consumers used to
describe ecosystem structure and dynamics
food web graphic representation of a holistic, non-linear web of primary producers, primary consumers, and higher-level
consumers used to describe ecosystem structure and dynamics
grazing food web type of food web in which the primary producers are either plants on land or phytoplankton in the
water; often associated with a detrital food web within the same ecosystem
gross primary productivity rate at which photosynthetic primary producers incorporate energy from the sun
holistic ecosystem model study that attempts to quantify the composition, interactions, and dynamics of entire
ecosystems; often limited by economic and logistical difficulties, depending on the ecosystem
Chapter 37 | Ecosystems 1887
hydrosphere area of the Earth where water movement and storage occurs
microcosm re-creation of natural ecosystems entirely in a laboratory environment to be used for experiments
net consumer productivity energy content available to the organisms of the next trophic level
net primary productivity energy that remains in the primary producers after accounting for the organisms’ respiration
and heat loss
net production efficiency (NPE) measure of the ability of a trophic level to convert the energy it receives from the
previous trophic level into biomass
non-renewable resource resource, such as fossil fuel, that is either regenerated very slowly or not at all
primary consumer trophic level that obtains its energy from the primary producers of an ecosystem
primary producer trophic level that obtains its energy from sunlight, inorganic chemicals, or dead and/or decaying
organic material
residence time measure of the average time an individual water molecule stays in a particular reservoir
resilience (ecological) speed at which an ecosystem recovers equilibrium after being disturbed
simulation model ecosystem model that is created with computer programs to holistically model ecosystems and to
predict the effects of environmental disturbances on ecosystem structure and dynamics
trophic level position of a species or group of species in a food chain or a food web
trophic level transfer efficiency (TLTE) energy transfer efficiency between two successive trophic levels
CHAPTER SUMMARY
37.1 Ecology of Ecosystems
Ecosystems exist on land, at sea, in the air, and underground. Different ways of modeling ecosystems are necessary to
understand how environmental disturbances will affect ecosystem structure and dynamics. Conceptual models are useful
to show the general relationships between organisms and the flow of materials or energy between them. Analytical models
are used to describe linear food chains, and simulation models work best with holistic food webs.
Organisms in an ecosystem acquire energy in a variety of ways, which is transferred between trophic levels as the energy
flows from the bottom to the top of the food web, with energy being lost at each transfer. The efficiency of these transfers
is important for understanding the different behaviors and eating habits of warm-blooded versus cold-blooded animals.
Modeling of ecosystem energy is best done with ecological pyramids of energy, although other ecological pyramids
provide other vital information about ecosystem structure.
Mineral nutrients are cycled through ecosystems and their environment. Of particular importance are water, carbon,
nitrogen, phosphorus, and sulfur. All of these cycles have major impacts on ecosystem structure and function. As human
activities have caused major disturbances to these cycles, their study and modeling is especially important. A variety of
1888 Chapter 37 | Ecosystems
human activities, such as pollution, oil spills, and events) have damaged ecosystems, potentially causing global climate
change. The health of Earth depends on understanding these cycles and how to protect the environment from irreversible
damage.
REVIEW QUESTIONS
1. What type of ecosystem is the rarest on Earth, among both terrestrial and aquatic ecosystems?
a. ocean
b. freshwater
c. grasslands
d. tundra
2. If an ecosystem is considered to be highly resilient, what can be inferred about that ecosystem?
a. The ecosystem is in a steady state.
b. The ecosystem has the ability to remain in equilibrium despite disturbance.
c. The ecosystem recovers quickly from disturbance.
d. The ecosystem is exposed to disturbances.
3. What is a re-created ecosystem in a laboratory environment known as?
a. mesocosm
b. simulation
c. microcosm
d. duplication
4. A scientist wants to analyze how deer grazing alters plant species composition in a forest and sections off a portion of
the forest for observation and analysis. What type of system is the scientist using?
a. mesocosm
b. simulation
c. microcosm
d. duplication
5. What term describes the use of mathematical equations in the modeling of linear aspects of ecosystems?
a. analytical modeling
b. simulation modeling
c. conceptual modeling
d. microcosm modeling
6. If a scientist constructs a flow chart to depict the interactions among species in an estuary, what kind of model is she
creating?
a. analytical model
b. stimulation model
c. conceptual model
d. microcosm model
7. What are usually the primary producers in an ocean grazing food web?
a. plants
b. animals
c. fungi
d. phytoplankton
8. Which of the following statements is true of trophic levels in an ecosystem?
Chapter 37 | Ecosystems 1889
a. photoautotrophs
b. chemoautotrophs
c. primary consumers
d. secondary consumers
17. What is the process whereby nitrogen is brought into organic molecules called?
a. nitrification
b. denitrification
c. nitrogen fixation
d. nitrogen cycling
18. Which of the following is a mechanism by which phosphorus is released into the environment?
a. rock weathering
b. decomposition of organic molecules
c. volcanic activity
d. geothermal vent activity
19. What is produced by eutrophication via excess nitrogen where a hydrologic reservoir lacks normal flora and fauna?
a. fixation
b. acid rain
c. dead zones
d. nitrification
20. What is a potential consequence of excess phosphorus and nitrogen in an ecosystem?
a. This could result in increased global temperatures.
b. Subduction can be promoted.
c. These elements might be fixed in excess.
d. A dead zone could be produced from depleted oxygen.
21. What term is given for freshwater that flows from rain or melting ice in the hydrologic cycle?
a. residence time
b. surface runoff
c. evaporation
d. sublimation
22. What most strongly influences how much carbon is present in a given location?
a. Presence of fossils
b. Runoff from the land into bodies of water
c. Eutrophication of bodies of water
d. Exchange of carbon between the atmosphere and water
a. The ecosystem is either recreated or partitioned in both the experiments, which may alter the dynamics of the
ecosystem the experiments are aiming to analyze.
b. In both the experiments, dynamics of the ecosystem may get altered due to differences in species numbers and
diversity although there are no alterations in the environment.
c. In both the experiments, the ecosystem is recreated which may alter the dynamics of the ecosystem the
experiments are aiming to analyze.
d. Altering a natural ecosystem through partitioning, which occurs in both the experiments may change its
dynamics due to differences in species numbers and diversity.
25. If a scientist wanted to monitor a desert food chain, what type of model might they develop and why?
a. An analytical model would be ideal because they can address simple, linear ecosystem components that are
mathematically complex.
b. A simulation model would be ideal because they can address simple, linear systems that are mathematically
complex.
c. An analytical model would be ideal as they are considered ecologically more realistic than any other model.
d. A simulation model would be ideal because it uses numerical techniques to solve problems and visualize the
complex relationships that exist in the ecosystem.
26. Compare and contrast food chains and food webs. What are the strengths of each concept in describing ecosystems?
a. Both food chain and food web follow a single path as energy is transferred in an ecosystem. Food chains are
easier to follow and experiment with but less accurate whereas food webs are more holistic and complex.
b. Both food web and food chain describe energy transfer dynamics in an ecosystem. Food chains are non-linear
systems which are easier to follow and experiment with whereas food webs are linear, holistic and can be
directly used as input for simulation models.
c. Both food chain and food web follow a single path as energy is transferred in an ecosystem. Food chains are
linear systems, easier to follow and used directly as input for simulation models, whereas food webs are non-
linear, accurate, holistic and flexible for analytical modeling.
d. Both food web and food chain describe energy transfer dynamics in an ecosystem. Food chains are linear
systems that are relatively easy to follow and use for experiments, whereas food webs are non-linear, accurate
and holistic and can be directly used as input for simulation models.
27. Name one natural and one human-related type of disturbance. Why are they of concern to conservationists?
a. Lightening is a type of natural disturbance whereas pollution is a human related disturbance. Both are of concern
to conservationists because they can cause changes to some individual species, but not to entire ecosystems.
b. Fire is a type of natural disturbances whereas agriculture is a human related disturbance. Both types are of
concern to conservationists because ecosystems cannot bounce back from a disturbance.
c. Pollution is a type of natural disturbance whereas lightening is a human related disturbance. Both are of concern
to conservationists because they alter ecosystems.
d. Lightening is a type of natural disturbance whereas pollution is a human related disturbance. Both are of concern
to conservationists because they alter ecosystems.
28. Compare grazing and detrital food webs. Why would they both be present in the same ecosystem?
a. The primary producers of detrital food webs are decomposers whereas those of grazing food webs are non-
photosynthetic. Both primary producers support different components of the ecosystem.
b. The primary producers of detrital food webs are photosynthetic whereas those of grazing food webs are
decomposers. Both primary producers support different components of the ecosystem.
c. The primary producers of detrital food webs are decomposers whereas those of grazing food webs are
photosynthetic. Both primary producers support different components of the ecosystem.
d. The primary producers of detrital food webs are chemoautotrophs whereas those of grazing food webs are
photosynthetic. Both primary producers support different components of the ecosystem.
29. How does the amount of food that endotherms and ectotherms consume compare with their net production efficiency
(NPE)?
1892 Chapter 37 | Ecosystems
a. The amount of food eaten by an animal does not affect its net production efficiency (NPE).
b. Endotherms use more energy compared to ectotherms due to energy loss from heat production.
c. Both endotherms and ectotherms use the same energy from food.
d. Ectotherms use more energy compared to endotherms due to energy loss from heat production.
30. Compare the three types of ecosystem pyramids and how well they describe ecosystem structure. Identify which ones
can be inverted and give a specific example of an inverted pyramid for each.
a. The three types of ecosystem pyramids are pyramids of energy, number and biomass out of which number and
energy pyramids can be inverted. Examples of inverted pyramids of number and energy are temperate forests in
summer and phytoplankton in the English Channel respectively.
b. The three types of ecosystem pyramids are pyramids of energy, number and biomass out of which number and
biomass pyramids can be inverted. Examples of inverted pyramids of number and biomass are temperate forests
in summer and phytoplankton in the English Channel respectively.
c. The three types of ecosystem pyramids are pyramids of energy, number and biomass out of which number and
biomass pyramids can be inverted. Examples of inverted pyramids of number and biomass are temperate forests
in summer and Silver Springs ecosystem in Florida respectively.
d. The three types of ecosystem pyramids are pyramids of energy, number and biomass out of which number and
biomass pyramids can be inverted. Examples of inverted pyramids of number and biomass are grasslands in
summer and phytoplankton in the English Channel respectively.
31. Why do scientists more commonly analyze net primary productivity compared with gross primary productivity?
a. Net primary productivity incorporates features like production at present and next trophic levels, whereas gross
primary productivity does not.
b. Net primary productivity is the rate at which photosynthetic primary producers incorporate energy from the sun.
c. As net primary productivity is the energy content available to the organisms of the next trophic level.
d. As respiration and heat loss uses energy of the primary producer, therefore, net primary productivity is what is
actually available to primary consumers.
32. Describe nitrogen fixation and why it is important to agriculture.
a. The process of nitrate formation from ammonia is called nitrogen fixation. It improves agricultural production as
nitrogen is required by plants for nucleotide and protein formation.
b. The process of nitrogen being incorporated into organic molecule is called nitrogen fixation. It improves the
crop yield by allowing the plants to compete with weeds.
c. The reduction of nitrates back to nitrogen gas is called nitrogen fixation. It improves agricultural production as
nitrogen is required by plants for nucleotide and protein formation.
d. The process of nitrogen being incorporated into organic molecules is called nitrogen fixation. It improves
agricultural production as nitrogen is required by plants for nucleotide and protein formation.
33. How do agricultural animals such as cattle raise atmospheric carbon levels? What is a side effect?
a. Cattle produce carbon monoxide, which when inhaled, even in small quantities, can cause death.
b. Cattle produce carbon monoxide, which is a major contributor to global warming.
c. Agricultural animals increase the amount of greenhouse gases by producing carbon dioxide and methane, so
they contribute to global warming.
d. Agricultural animals increase the amount of greenhouse gases by producing ozone, which contributes to global
warming.
34. What form of sulfur is found in the atmosphere and how does it leave the atmosphere?
a. hydrogen sulfide, which leaves the atmosphere as weak sulfur dioxide rain
b. sulfur dioxide, which leaves the atmosphere as weak sulfur dioxide rain
c. hydrogen sulfide, which leaves the atmosphere as weak sulfuric acid rain
d. sulfur dioxide, which leaves the atmosphere as weak sulfuric acid rain
Chapter 37 | Ecosystems 1893
a. A
b. B
c. C
d. D
40. Using the flow chart showing carbon flow in a grassland ecosystem, how much carbon, in grams per meter squared, is
released into the atmosphere as a result of the metabolic activity of herbivores? Give your answer to the nearest whole
number.
Figure 37.24
a. 125 g/m2
b. 65 g/m2
c. 60 g/m2
d. 5 g/m2
Chapter 37 | Ecosystems 1895
41. The food web for a meadow habitat occupies 25.6 km2. The primary producers’ biomass is uniformly distributed
throughout the habitat and totals 1,500 kg/km2.
Figure 37.25
Developers have approved a project that will permanently reduce the primary producers’ biomass by 50 percent and
remove all rabbits and deer. What is the most likely result at the completion of the project?
a. The biomass of coyotes will be 6 kg, and the biomass of hawks will be 0.5 kg.
b. The biomass of coyotes will be dramatically reduced.
c. The coyotes will switch prey preferences and outcompete the hawks.
d. There will be 50 percent fewer voles and 90 percent fewer hawks.
42. This figure shows a food web of an ecosystem.
1896 Chapter 37 | Ecosystems
Figure 37.26
What would happen to the food web if all of the species of the entire row B was wiped out by a natural disaster such as an
oil spill? Why?
a. The producers may die out, causing the food web to collapse.
b. The food web would not be affected as the secondary and tertiary consumers would become primary and
secondary consumers, respectively.
c. The tertiary consumers would die out due to lack of food and this could potentially lead to collapse of the entire
food web.
d. The food web might suffer from loss of primary producers for a while which would then recover quickly, thus,
reviving the ecosystem.
43. Humans are very active in modifying ecosystems worldwide. If a new set of buildings on the edge of a forest blocks
sunlight from reaching the majority of one part of the forest, what might happen to that part of the forest?
a. Herbivores would occur in high abundance.
b. Plants would occur in high abundance.
c. Everything would remain the same.
d. Herbivores would occur in low abundance.
44. If you examined predator-prey relationships within an ecosystem and noticed that the removal of predators also
resulted in the die-off of herbivores, what would you suspect occurred?
Chapter 37 | Ecosystems 1897
Figure 37.27
a. Analyze the interactions among species and indicate primary producers by circling the node in the food web.
Identify the primary producers by circling the nodes in the food web.
b. Predict quantitatively how free energy availability for a top species such as the one designated as T in the web
changes if it feeds directly on S, assuming the abundance of species S is limited only by radiant energy input.
c. Consider the consequences of the dietary shift described in B if the abundance of species becomes depleted due
to consumption by species T. Under those circumstances refine your analysis of the food web to describe the
potential effect on species Q and R.
d. Based on the preceding analyses, construct a claim regarding the effect of the structure, in terms of biodiversity
and number of interactions among species, on ecosystem stability.
REFERENCES
38 | CONSERVATION
BIOLOGY AND
BIODIVERSITY
Figure 38.1 Lake Victoria in Africa, shown in this satellite image, was the site of one of the most extraordinary
evolutionary findings on the planet, as well as a casualty of devastating biodiversity loss. (credit: modification of work
by Rishabh Tatiraju, using NASA World Wind software)
Chapter Outline
38.1: The Biodiversity Crisis
38.2: The Importance of Biodiversity to Human Life
38.3: Threats to Biodiversity
38.4: Preserving Biodiversity
Introduction
In the 1980s, biologists working in Lake Victoria in Africa discovered one of the most extraordinary products of evolution
on the planet. Located in the Great Rift Valley, Lake Victoria is a large lake about 68,900 km2 in area (larger than
Lake Huron, the second largest of North America’s Great Lakes). Biologists were studying species of a family of fish
called cichlids. They found that as they sampled for fish in different locations of the lake, they never stopped finding
new species, and they identified nearly 500 evolved types of cichlids. But while studying these variations, they quickly
discovered that the invasive Nile Perch was destroying the lake’s cichlid population, bringing hundreds of cichlid species
to extinction with devastating rapidity. You can read more about the new species of cichlids at the Science Daily website
(http://openstaxcollege.org/l/32dreampond) .
1902 Chapter 38 | Conservation Biology and Biodiversity
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Life continues to evolve within a changing environment.
1.C
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Knowledge
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 1.20 The student is able to analyze data related to questions of speciation and extinction
Objective throughout the Earth’s history.
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Knowledge
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Learning 1.21 The student is able to design a plan for collecting data to investigate the scientific claim
Objective that speciation and extinction have occurred throughout the Earth’s history.
Biological systems interact, and these systems and their interactions possess complex
Big Idea 4
properties.
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Chapter 38 | Conservation Biology and Biodiversity 1903
Essential
4.B.4 Distribution of local and global ecosystems changes over time.
Knowledge
Science 6.3 The student can articulate the reasons that scientific explanations and theories are
Practice refined or replaced.
Learning 4.20 The student is able to explain how the distribution of ecosystems changes over time by
Objective identifying large-scale events that have resulted in these changes in the past.
Traditionally, ecologists have measured biodiversity by taking into account both the number of species and their
commonness. Biodiversity can be estimated at a number of levels of organization of living things. These estimation
indexes, which came from information theory, are most useful as a first step in quantifying biodiversity between and within
ecosystems; they are less useful when the main concern among conservation biologists is simply the loss of biodiversity.
However, biologists recognize that measures of biodiversity, in terms of species diversity, may help focus efforts to preserve
the biologically or technologically important elements of biodiversity.
The Lake Victoria cichlids provide an example through which we can begin to understand biodiversity. The biologists
studying cichlids in the 1980s discovered hundreds of cichlid species representing a variety of specializations to particular
habitat types and specific feeding strategies: eating plankton floating in the water, scraping and then eating algae from
rocks, eating insect larvae from the bottom, and eating the eggs of other species of cichlid. The cichlids of Lake Victoria
are the product of an adaptive radiation. An adaptive radiation is a rapid (less than three million years in the case of the
Lake Victoria cichlids) branching through speciation of a phylogenetic tree into many closely related species; typically, the
species radiate into different habitats and niches. The Galápagos finches are an example of a modest adaptive radiation with
15 species. The cichlids of Lake Victoria are an example of a spectacular adaptive radiation that includes about 500 species.
At the time biologists were making this discovery, some species began to quickly disappear. A culprit in these declines was
a species of large fish that was introduced to Lake Victoria by fisheries to feed the people living around the lake. The Nile
perch was introduced in 1963, but lay low until the 1980s when its populations began to surge. The Nile perch population
grew by consuming cichlids, driving species after species to the point of extinction (the disappearance of a species). In
fact, there were several factors that played a role in the extinction of perhaps 200 cichlid species in Lake Victoria: the Nile
perch, declining lake water quality due to agriculture and land clearing on the shores of Lake Victoria, and increased fishing
pressure. Scientists had not even catalogued all of the species present—so many were lost that were never named. The
diversity is now a shadow of what it once was.
The cichlids of Lake Victoria are a thumbnail sketch of contemporary rapid species loss that occurs all over Earth and is
caused by human activity. Extinction is a natural process of macroevolution that occurs at the rate of about one out of 1
million species becoming extinct per year. The fossil record reveals that there have been five periods of mass extinction
in history with much higher rates of species loss, and the rate of species loss today is comparable to those periods of
mass extinction. However, there is a major difference between the previous mass extinctions and the current extinction
we are experiencing—human activity. Specifically, three human activities have a major impact: destruction of habitat,
introduction of exotic species, and over-harvesting. Predictions of species loss within the next century, a tiny amount of
time on geological timescales, range from 10 percent to 50 percent. Extinctions on this scale have only happened five other
times in the history of the planet, and they have been caused by cataclysmic events that changed the course of the history of
life in each instance. Earth is now in one of those times.
Types of Biodiversity
Scientists generally accept that the term biodiversity describes the number and kinds of species in a location or on the planet.
Species can be difficult to define, but most biologists still feel comfortable with the concept and are able to identify and
count eukaryotic species in most contexts. Biologists have also identified alternate measures of biodiversity, some of which
are important for planning how to preserve biodiversity.
Genetic diversity is one of those alternate concepts. Genetic diversity or variation is the raw material for adaptation in a
species. A species’ future potential for adaptation depends on the genetic diversity held in the genomes of the individuals in
populations that make up the species. The same is true for higher taxonomic categories. A genus with very different types
of species will have more genetic diversity than a genus with species that look alike and have similar ecologies. If there
were a choice between one of these genera of species being preserved, the one with the greatest potential for subsequent
evolution is the most genetically diverse one. It would be ideal not to have to make such choices, but increasingly this may
be the norm.
Many genes code for proteins, which in turn carry out the metabolic processes that keep organisms alive and reproducing.
1904 Chapter 38 | Conservation Biology and Biodiversity
Genetic diversity can be measured as chemical diversity in that different species produce a variety of chemicals in their
cells, both the proteins as well as the products and byproducts of metabolism. This chemical diversity has potential benefit
for humans as a source of pharmaceuticals, so it provides one way to measure diversity that is important to human health
and welfare.
Humans have generated diversity in domestic animals, plants, and fungi. This diversity is also suffering losses because of
migration, market forces, and increasing globalism in agriculture, especially in heavily populated regions such as China,
India, and Japan. The human population directly depends on this diversity as a stable food source, and its decline is troubling
biologists and agricultural scientists.
It is also useful to define ecosystem diversity, meaning the number of different ecosystems on the planet or in a given
geographic area (Figure 38.2). Whole ecosystems can disappear even if some of the species might survive by adapting to
other ecosystems. The loss of an ecosystem means the loss of interactions between species, the loss of unique features of
coadaptation, and the loss of biological productivity that an ecosystem is able to create. An example of a largely extinct
ecosystem in North America is the prairie ecosystem. Prairies once spanned central North America from the boreal forest in
northern Canada down into Mexico. They are now all but gone, replaced by crop fields, pasture lands, and suburban sprawl.
Many of the species survive, but the hugely productive ecosystem that was responsible for creating the most productive
agricultural soils is now gone. As a consequence, soils are disappearing or must be maintained at greater expense.
Figure 38.2 The variety of ecosystems on Earth—from (a) coral reef to (b) prairie—enables a great diversity of species
to exist. (credit a: modification of work by Jim Maragos, USFWS; credit b: modification of work by Jim Minnerath,
USFWS)
what is known, there is no central repository of names or samples of the described species; therefore, there is no way to be
sure that the 1.5 million descriptions is an accurate number. It is a best guess based on the opinions of experts in different
taxonomic groups. Given that Earth is losing species at an accelerating pace, science is very much in the place it was with
the Lake Victoria cichlids—knowing little about what is being lost. Table 38.1 presents recent estimates of biodiversity in
different groups.
Table 38.1
There are various initiatives to catalog described species in accessible ways, and the internet is facilitating that effort.
Nevertheless, it has been pointed out that at the current rate of species description, which according to the State of Observed
Species Report is 17,000-20,000 new species per year, it will take close to 500 years to finish describing life on this planet.
Over time, the task becomes both increasingly impossible and increasingly easier as extinction removes species from the
planet.
Naming and counting species may seem an unimportant pursuit given the other needs of humanity, but it is not simply an
accounting. Describing species is a complex process by which biologists determine an organism’s unique characteristics and
whether or not that organism belongs to any other described species. It allows biologists to find and recognize the species
after the initial discovery, and allows them to follow up on questions about its biology. In addition, the unique characteristics
of each species make it potentially valuable to humans or other species on which humans depend. Understanding these
characteristics is the value of finding and naming species.
Patterns of Biodiversity
Biodiversity is not evenly distributed on Earth. Lake Victoria contained almost 500 species of cichlids alone, ignoring the
other fish families present in the lake. All of these species were found only in Lake Victoria; therefore, the 500 species
of cichlids were endemic. Endemic species are found in only one location. Endemics with highly restricted distributions
are particularly vulnerable to extinction. Higher taxonomic levels, such as genera and families, can also be endemic. Lake
Huron contains about 79 species of fish, all of which are found in many other lakes in North America. What accounts for the
difference in fish diversity in these two lakes? Lake Victoria is a tropical lake, while Lake Huron is a temperate lake. Lake
Huron in its present form is only about 7,000 years old, while Lake Victoria in its present form is about 15,000 years old.
Biogeographers have suggested these two factors, latitude and age, are two of several hypotheses to explain biodiversity
patterns on the planet.
1906 Chapter 38 | Conservation Biology and Biodiversity
Biogeographer
Biogeography is the study of the distribution of the world’s species—both in the past and in the present. The
work of biogeographers is critical to understanding our physical environment, how the environment affects
species, and how environmental changes impact the distribution of a species; it has also been critical to
developing evolutionary theory. Biogeographers need to understand both biology and ecology. They also
need to be well-versed in evolutionary studies, soil science, and climatology.
There are three main fields of study under the heading of biogeography: ecological biogeography, historical
biogeography (called paleobiogeography), and conservation biogeography. Ecological biogeography
studies the current factors affecting the distribution of plants and animals. Historical biogeography, as the
name implies, studies the past distribution of species. Conservation biogeography, on the other hand, is
focused on the protection and restoration of species based upon known historical and current ecological
information. Each of these fields considers both zoogeography and phytogeography—the past and present
distribution of animals and plants.
One of the oldest observed patterns in ecology is that species biodiversity in almost every taxonomic group increases as
latitude declines. In other words, biodiversity increases closer to the equator (Figure 38.3).
Figure 38.3 This map illustrates the number of amphibian species across the globe and shows the trend toward higher
biodiversity at lower latitudes. A similar pattern is observed for most taxonomic groups.
It is not yet clear why biodiversity increases closer to the equator, but hypotheses include the greater age of the ecosystems
in the tropics versus temperate regions that were largely devoid of life or drastically impoverished during the last glaciation.
The idea is that greater age provides more time for speciation. Another possible explanation is the increased energy the
tropics receive from the sun versus the decreased energy that temperate and polar regions receive. It is not entirely clear
how greater energy input could translate into more species. The complexity of tropical ecosystems may promote speciation
by increasing the heterogeneity, or number of ecological niches, in the tropics relative to higher latitudes. The greater
heterogeneity provides more opportunities for coevolution, specialization, and perhaps greater selection pressures leading
to population differentiation. However, this hypothesis suffers from some circularity—ecosystems with more species
encourage speciation, but how did they get more species to begin with? The tropics have been perceived as being more
stable than temperate regions, which have a pronounced climate and day-length seasonality. The tropics have their own
forms of seasonality, such as rainfall, but they are generally assumed to be more stable environments and this stability might
promote speciation.
Regardless of the mechanisms, it is certainly true that all levels of biodiversity are greatest in the tropics. Additionally, the
Chapter 38 | Conservation Biology and Biodiversity 1907
rate of endemism is highest, and there are more biodiversity hotspots. However, this richness of diversity also means that
knowledge of species is lowest, and there is a high potential for biodiversity loss.
Conservation of Biodiversity
In 1988, British environmentalist Norman Myers developed a conservation concept to identify areas rich in species and
at significant risk for species loss—biodiversity hotspots. Biodiversity hotspots are geographical areas that contain high
numbers of endemic species. The purpose of the concept was to identify important locations on the planet for conservation
efforts, a kind of conservation triage. By protecting hotspots, governments are able to protect a larger number of species.
The original criteria for a hotspot included the presence of 1500 or more endemic plant species and 70 percent of the area
disturbed by human activity. There are now 34 biodiversity hotspots (Figure 38.4) containing large numbers of endemic
species, which include half of Earth’s endemic plants.
Figure 38.4 Conservation International has identified 34 biodiversity hotspots, which cover only 2.3 percent of the
Earth’s surface but have endemic to them 42 percent of the terrestrial vertebrate species and 50 percent of the world’s
plants.
Figure 38.5 Percent extinction occurrences as reflected in the fossil record have fluctuated throughout Earth’s history.
Sudden and dramatic losses of biodiversity, called mass extinctions, have occurred five times.
Paleontologists have identified five strata in the fossil record that appear to show sudden and dramatic (greater than half
of all extant species disappearing from the fossil record) losses in biodiversity. These are called mass extinctions. There
are many lesser, yet still dramatic, extinction events, but the five mass extinctions have attracted the most research. An
argument can be made that the five mass extinctions are only the five most extreme events in a continuous series of large
extinction events throughout the Phanerozoic (since 542 million years ago). In most cases, the hypothesized causes are still
controversial; however, the most recent event seems clear.
The Five Mass Extinctions
The fossil record of the mass extinctions was the basis for defining periods of geological history, so they typically occur
at the transition point between geological periods. The transition in fossils from one period to another reflects the dramatic
loss of species and the gradual origin of new species. These transitions can be seen in the rock strata. Table 38.2 provides
data on the five mass extinctions.
Mass Extinctions
Geological Period Mass Extinction Name Time (millions of years ago)
Ordovician–Silurian end-Ordovician O–S 450–440
Late Devonian end-Devonian 375–360
Permian–Triassic end-Permian 251
Triassic–Jurassic end-Triassic 205
Cretaceous–Paleogene end-Cretaceous K–Pg (K–T) 65.5
Table 38.2 This table shows the names and dates for the five mass extinctions in
Earth’s history.
The Ordovician-Silurian extinction event is the first recorded mass extinction and the second largest. During this period,
about 85 percent of marine species (few species lived outside the oceans) became extinct. The main hypothesis for its cause
is a period of glaciation and then warming. The extinction event actually consists of two extinction events separated by
about 1 million years. The first event was caused by cooling, and the second event was due to the subsequent warming. The
climate changes affected temperatures and sea levels. Some researchers have suggested that a gamma-ray burst, caused by a
nearby supernova, is a possible cause of the Ordovician-Silurian extinction. The gamma-ray burst would have stripped away
Chapter 38 | Conservation Biology and Biodiversity 1909
the Earth’s ozone layer causing intense ultraviolet radiation from the sun and may account for climate changes observed
at the time. The hypothesis is speculative, but extraterrestrial influences on Earth’s history are an active line of research.
Recovery of biodiversity after the mass extinction took from 5 to 20 million years, depending on the location.
The late Devonian extinction may have occurred over a relatively long period of time. It appears to have affected marine
species and not the plants or animals inhabiting terrestrial habitats. The causes of this extinction are poorly understood.
The end-Permian extinction was the largest in the history of life. Indeed, an argument could be made that Earth nearly
became devoid of life during this extinction event. The planet looked very different before and after this event. Estimates are
that 96 percent of all marine species and 70 percent of all terrestrial species were lost. It was at this time, for example, that
the trilobites, a group that survived the Ordovician–Silurian extinction, became extinct. The causes for this mass extinction
are not clear, but the leading suspect is extended and widespread volcanic activity that led to a runaway global-warming
event. The oceans became largely anoxic, suffocating marine life. Terrestrial tetrapod diversity took 30 million years to
recover after the end-Permian extinction. The Permian extinction dramatically altered Earth’s biodiversity makeup and the
course of evolution.
The causes of the Triassic–Jurassic extinction event are not clear and hypotheses of climate change, asteroid impact, and
volcanic eruptions have been argued. The extinction event occurred just before the breakup of the supercontinent Pangaea,
although recent scholarship suggests that the extinctions may have occurred more gradually throughout the Triassic.
The causes of the end-Cretaceous extinction event are the ones that are best understood. It was during this extinction event
about 65 million years ago that the dinosaurs, the dominant vertebrate group for millions of years, disappeared from the
planet (with the exception of a theropod clade that gave rise to birds). Indeed, every land animal that weighed more then
25 kg became extinct. The cause of this extinction is now understood to be the result of a cataclysmic impact of a large
meteorite, or asteroid, off the coast of what is now the Yucatán Peninsula. This hypothesis, proposed first in 1980, was
a radical explanation based on a sharp spike in the levels of iridium (which rains down from space in meteors at a fairly
constant rate but is otherwise absent on Earth’s surface) at the rock stratum that marks the boundary between the Cretaceous
and Paleogene periods (Figure 38.6). This boundary marked the disappearance of the dinosaurs in fossils as well as many
other taxa. The researchers who discovered the iridium spike interpreted it as a rapid influx of iridium from space to the
atmosphere (in the form of a large asteroid) rather than a slowing in the deposition of sediments during that period. It was
a radical explanation, but the report of an appropriately aged and sized impact crater in 1991 made the hypothesis more
believable. Now an abundance of geological evidence supports the theory. Recovery times for biodiversity after the end-
Cretaceous extinction are shorter, in geological time, than for the end-Permian extinction, on the order of 10 million years.
1910 Chapter 38 | Conservation Biology and Biodiversity
Figure 38.6 In 1980, Luis and Walter Alvarez, Frank Asaro, and Helen Michels discovered, across the world,
a spike in the concentration of iridium within the sedimentary layer at the K–Pg boundary. These researchers
hypothesized that this iridium spike was caused by an asteroid impact that resulted in the K–Pg mass extinction.
In the photo, the iridium layer is the light band. (credit: USGS)
Scientists measured the relative abundance of fern spores above and below the Cretaceous-Paleogene boundary in a
rock sample. Which of the following statements most likely represents their findings?
a. An abundance of fern spores from several species was found above the Cretaceous-Paleogene boundary, but
none were found below.
b. Fern spores were found both above and below the Cretaceous-Paleogene boundary, but the spores were more
abundant below the boundary than above the boundary.
c. Many species of fern spores were found both above and below the boundary, but the total number of spores
was greater above the boundary.
d. An abundance of fern spores from several species was found below the Cretaceous-Paleogene boundary, but
none were found above.
c. Debris in the atmosphere formed a thick cloud, which blocked the sun. Plants and animals died.
d. A giant tsunami wiped out all the dinosaurs from the surface of the Earth.
Chapter 38 | Conservation Biology and Biodiversity 1911
number of recently extinct species is increasing because extinct species now are being described from skeletal remains. And
third, some species are probably already extinct even though conservationists are reluctant to name them as such. Taking
these factors into account raises the estimated extinction rate closer to 100 E/MSY. The predicted rate by the end of the
century is 1500 E/MSY.
A second approach to estimating present-time extinction rates is to correlate species loss with habitat loss by measuring
forest-area loss and understanding species-area relationships. The species-area relationship is the rate at which new species
are seen when the area surveyed is increased. Studies have shown that the number of species present increases as the size of
the island increases. This phenomenon has also been shown to hold true in other habitats as well. Turning this relationship
around, if the habitat area is reduced, the number of species living there will also decline. Estimates of extinction rates based
on habitat loss and species-area relationships have suggested that with about 90 percent habitat loss an expected 50 percent
of species would become extinct. Species-area estimates have led to species extinction rate calculations of about 1000 E/
MSY and higher. In general, actual observations do not show this amount of loss and suggestions have been made that there
is a delay in extinction. Recent work has also called into question the applicability of the species-area relationship when
estimating the loss of species. This work argues that the species-area relationship leads to an overestimate of extinction
rates. A better relationship to use may be the endemics-area relationship. Using this method would bring estimates down to
around 500 E/MSY in the coming century. Note that this value is still 500 times the background rate.
Figure 38.7 Studies have shown that the number of species present increases with the size of the habitat. (credit:
modification of work by Adam B. Smith)
Chapter 38 | Conservation Biology and Biodiversity 1913
Choose What you can do from the navigation menu at the left of the home page and answer the question: Why would
eating less meat lead to biodiversity preservation?
a. because livestock farming accounts for 40 percent of all deforestation, which reduces habitats for numerous
species, leads to building up of greenhouse gases, soil erosion and increase in rainfall
b. because livestock farming accounts for 40 percent of all deforestation, which reduces habitats for numerous
species, leads to building up of greenhouse gases, soil erosion and decrease in rainfall
c. because livestock farming accounts for 63 percent of all deforestation, which reduces habitats for numerous
species, leads to building up of greenhouse gases, soil erosion and increase in rainfall
d. because livestock farming accounts for 63 percent of all deforestation, which reduces habitats for numerous
species and leads to a build up of greenhouse gases, soil erosion and decrease in rainfall
Think About It
How have large-scale events results in changes in ecosystem dynamics? What are some hypotheses about the causes
of mass extinctions? What types of evidence do scientists use to support these hypotheses? What particular evidence
supports a specific event’s occurrence?
Section Summary
Biodiversity exists at multiple levels of organization and is measured in different ways depending on the goals of those
taking the measurements. These measurements include numbers of species, genetic diversity, chemical diversity, and
ecosystem diversity. The number of described species is estimated to be 1.5 million with about 17,000 new species being
described each year. Estimates for the total number of species on Earth vary but are on the order of 10 million. Biodiversity
is negatively correlated with latitude for most taxa, meaning that biodiversity is higher in the tropics. The mechanism for
this pattern is not known with certainty, but several plausible hypotheses have been advanced.
Five mass extinctions with losses of more than 50 percent of extant species are observable in the fossil record. Biodiversity
recovery times after mass extinctions vary, but have been up to 30 million years. Recent extinctions are recorded in written
history and are the basis for one method of estimating contemporary extinction rates. The other method uses measures of
habitat loss and species-area relationships. Estimates of contemporary extinction rates vary, but some rates are as high as
500 times the background rate, as determined from the fossil record, and are predicted to rise.
1914 Chapter 38 | Conservation Biology and Biodiversity
Human Health
Contemporary societies that live close to the land often have a broad knowledge of the medicinal uses of plants growing in
their area. Most plants produce secondary plant compounds, which are toxins used to protect the plant from insects and
other animals that eat them, but some of which also work as medication. For centuries in Europe, older knowledge about
the medical uses of plants was compiled in herbals—books that identified plants and their uses. Humans are not the only
species to use plants for medicinal reasons: the great apes, orangutans, chimpanzees, bonobos, and gorillas have all been
observed self-medicating with plants.
Modern pharmaceutical science also recognizes the importance of these plant compounds. Examples of significant
medicines derived from plant compounds include aspirin, codeine, digoxin, atropine, and vincristine (Figure 38.8). Many
medicines were once derived from plant extracts but are now synthesized. It is estimated that, at one time, 25 percent of
modern drugs contained at least one plant extract. That number has probably decreased to about 10 percent as natural plant
ingredients are replaced by synthetic versions. Antibiotics, which are responsible for extraordinary improvements in health
and lifespans in developed countries, are compounds largely derived from fungi and bacteria.
Chapter 38 | Conservation Biology and Biodiversity 1915
Figure 38.8 Catharanthus roseus, the Madagascar periwinkle, has various medicinal properties. Among other uses, it
is a source of vincristine, a drug used in the treatment of lymphomas. (credit: Forest and Kim Starr)
In recent years, animal venoms and poisons have excited intense research for their medicinal potential. By 2007, the
FDA had approved five drugs based on animal toxins to treat diseases such as hypertension, chronic pain, and diabetes.
Another five drugs are undergoing clinical trials, and at least six drugs are being used in other countries. Other toxins under
investigation come from mammals, snakes, lizards, various amphibians, fish, snails, octopuses, and scorpions.
Aside from representing billions of dollars in profits, these medicines improve people’s lives. Pharmaceutical companies are
actively looking for new compounds synthesized by living organisms that can function as medicine. It is estimated that 1/3
of pharmaceutical research and development is spent on natural compounds and that about 35 percent of new drugs brought
to market between 1981 and 2002 were from natural compounds. The opportunities for new medications will be reduced in
direct proportion to the disappearance of species.
Agricultural Diversity
Since the beginning of human agriculture more than 10,000 years ago, human groups have been breeding and selecting
crop varieties. This crop diversity matched the cultural diversity of highly subdivided populations of humans. For example,
potatoes were domesticated beginning around 7,000 years ago in the central Andes of Peru and Bolivia. The potatoes grown
in that region belong to seven species and the number of varieties likely is in the thousands. Each variety has been bred
to thrive at particular elevations and soil and climate conditions. The diversity is driven by the diverse demands of the
topography, the limited movement of people, and the demands created by crop rotation for different varieties that will do
well in different fields.
Potatoes are only one example of human-generated diversity. Every plant, animal, and fungus that has been cultivated by
humans has been bred from original wild ancestor species into diverse varieties arising from the demands for food value,
adaptation to growing conditions, and resistance to pests. The potato demonstrates a well-known example of the risks of low
crop diversity: The tragic Irish potato famine when the single variety grown in Ireland became susceptible to a potato blight,
wiping out the crop. The loss of the crop led to famine, death, and mass emigration. Resistance to disease is a chief benefit
to maintaining crop biodiversity, and lack of diversity in contemporary crop species carries similar risks. Seed companies,
which are the source of most crop varieties in developed countries, must continually breed new varieties to keep up with
evolving pest organisms. These same seed companies, however, have participated in the decline of the number of varieties
available as they focus on selling fewer varieties in more areas of the world.
The ability to create new crop varieties relies on the diversity of varieties available and the accessibility of wild forms related
to the crop plant. These wild forms are often the source of new gene variants that can be bred with existing varieties to create
varieties with new attributes. Loss of wild species related to a crop will mean the loss of potential in crop improvement.
Maintaining the genetic diversity of wild species related to domesticated species ensures our continued food supply.
Since the 1920s, government agriculture departments have maintained seed banks of crop varieties as a way to maintain crop
diversity. This system has flaws because, over time, seed banks are lost through accidents, and there is no way to replace
them. In 2008, the Svalbard Global Seed Vault (Figure 38.9) began storing seeds from around the world as a backup system
to the regional seed banks. If a regional seed bank stores varieties in Svalbard, losses can be replaced from Svalbard. The
seed vault is located deep into the rock of an arctic island. Conditions within the vault are maintained at ideal temperature
and humidity for seed survival, but the deep underground location of the vault in the arctic means that failure of the vault’s
systems will not compromise the climatic conditions inside the vault.
1916 Chapter 38 | Conservation Biology and Biodiversity
Figure 38.9 The Svalbard Global Seed Vault is a storage facility for seeds of Earth’s diverse crops. (credit: Mari
Tefre, Svalbard Global Seed Vault)
The Svalbard Global Seed Vault is located on Spitsbergen island in Norway, which has an arctic climate. Why might
an arctic climate be good for seed storage?
a. Such severe climatic conditions don’t let seeds dry out; they retain water and remain viable.
b. The ground is permanently frozen, so the seeds will be kept at 10°C even if the electricity fails.
c. Because such a climate extends the dormancy periods of seeds to more than what is normal.
d. Because the ground is permanently frozen, the seeds will be kept below 0°C even if electricity fails.
Crop success is largely dependent on the quality of the soil. Although some agricultural soils are rendered sterile using
controversial cultivation and chemical treatments, most contain a huge diversity of organisms that maintain nutrient
cycles—breaking down organic matter into nutrient compounds that crops need for growth. These organisms also maintain
soil texture that affects water and oxygen dynamics in the soil that are necessary for plant growth. If farmers had to maintain
arable soil using alternate means, the cost of food would be much higher than it is now. These kinds of processes are called
ecosystem services. They occur within ecosystems, such as soil ecosystems, as a result of the diverse metabolic activities of
the organisms living there, but they provide benefits to human food production, drinking water availability, and breathable
air.
Other key ecosystem services related to food production are plant pollination and crop pest control. Over 150 crops in the
United States require pollination to produce. One estimate of the benefit of honeybee pollination within the United States is
$1.6 billion per year; other pollinators contribute up to $6.7 billion more.
Many honeybee populations are managed by apiarists who rent out their hives’ services to farmers. Honeybee populations
in North America have been suffering large losses caused by a syndrome known as colony collapse disorder, whose cause
is unclear. Other pollinators include a diverse array of other bee species and various insects and birds. Loss of these species
would make growing crops requiring pollination impossible, increasing dependence on other crops.
Finally, humans compete for their food with crop pests, most of which are insects. Pesticides control these competitors;
however, pesticides are costly and lose their effectiveness over time as pest populations adapt. They also lead to collateral
damage by killing non-pest species and risking the health of consumers and agricultural workers. Ecologists believe that
the bulk of the work in removing pests is actually done by predators and parasites of those pests, but the impact has not
been well studied. A review found that in 74 percent of studies that looked for an effect of landscape complexity on natural
enemies of pests, the greater the complexity, the greater the effect of pest-suppressing organisms. An experimental study
found that introducing multiple enemies of pea aphids (an important alfalfa pest) increased the yield of alfalfa significantly.
This study shows the importance of landscape diversity via the question of whether a diversity of pests is more effective at
control than one single pest; the results showed this to be the case. Loss of diversity in pest enemies will inevitably make it
more difficult and costly to grow food.
Chapter 38 | Conservation Biology and Biodiversity 1917
What would be the most effective approach to reversing the damage of overfishing?
a. Ban all fishing in the oceans of the world for ten years.
d. Set aside 40 percent of the world's oceans as no-fishing zones with international cooperation for
enforcement.
Section Summary
Humans use many compounds that were first discovered or derived from living organisms as medicines: secondary plant
compounds, animal toxins, and antibiotics produced by bacteria and fungi. More medicines are expected to be discovered
in nature. Loss of biodiversity will impact the number of pharmaceuticals available to humans.
Crop diversity is a requirement for food security, and it is being lost. The loss of wild relatives to crops also threatens
breeders’ abilities to create new varieties. Ecosystems provide ecosystem services that support human agriculture:
pollination, nutrient cycling, pest control, and soil development and maintenance. Loss of biodiversity threatens these
ecosystem services and risks making food production more expensive or impossible. Wild food sources are mainly aquatic,
but few are being managed for sustainability. Fisheries’ ability to provide protein to human populations is threatened when
extinction occurs.
Biodiversity may provide important psychological benefits to humans. Additionally, there are moral arguments for the
maintenance of biodiversity.
1918 Chapter 38 | Conservation Biology and Biodiversity
Big Idea 1 The process of evolution drives the diversity and unity of life.
Enduring
Understanding Life continues to evolve within a changing environment.
1.C
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Knowledge
Science
5.1 The student can analyze data to identify patterns or relationships.
Practice
Learning 1.20 The student is able to analyze data related to questions of speciation and extinction
Objective throughout the Earth’s history.
Essential
1.C.1 Speciation and extinction have occurred throughout Earth’s history.
Knowledge
Science 4.2 The student can design a plan for collecting data to answer a particular scientific
Practice question.
Learning 1.21 The student is able to design a plan for collecting data to investigate the scientific claim
Objective that speciation and extinction have occurred throughout the Earth’s history.
Biological systems interact, and these systems and their interaction possess complex
Big Idea 4
properties.
Enduring
Understanding Interactions within biological systems lead to complex properties.
4.A
Essential 4.A.6 Interactions among living systems and with their environment result in the movement
Knowledge of matter and energy.
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Chapter 38 | Conservation Biology and Biodiversity 1919
Learning 4.16 The student is able to predict the effects of a change of matter or energy availability on
Objective communities.
Biological systems interact, and these systems and their interaction possess complex
Big Idea 4
properties.
Enduring
Understanding Competition and cooperation are important aspects of biological systems.
4.B
Essential
4.B.4 Distribution of local and global ecosystems changes over time.
Knowledge
Science 6.4 The student can make claims and predictions about natural phenomena based on
Practice scientific theories and models.
Learning 4.21 The student is able to predict consequences of human actions on both local and global
Objective ecosystems.
The human population requires resources to survive and grow, and those resources are being removed unsustainably from
the environment. As mentioned, the three greatest proximate threats to biodiversity are habitat loss, overharvesting, and
introduction of exotic species. The first two of these are a direct result of human population growth and resource use.
The third results from increased mobility and trade. A fourth major cause of extinction, anthropogenic climate change,
has not yet had a large impact, but it is predicted to become significant during this century. Global climate change is
also a consequence of human population needs for energy and the use of fossil fuels to meet those needs (Figure 38.10).
Environmental issues, such as toxic pollution, have specific targeted effects on species, but they are not generally seen as
threats at the magnitude of the others.
Figure 38.10 Atmospheric carbon dioxide levels fluctuate in a cyclical manner. However, the burning of fossil fuels in
recent history has caused a dramatic increase in the levels of carbon dioxide in the Earth’s atmosphere, which have
now reached levels never before seen in human history. Scientists predict that the addition of this greenhouse gas to
the atmosphere is resulting in climate change that will significantly impact biodiversity in the coming century.
Habitat Loss
Humans rely on technology to modify their environment and replace certain functions that were once performed by the
natural ecosystem. Other species cannot do this. Elimination of their ecosystem—whether it is a forest, a desert, a grassland,
a freshwater estuarine, or a marine environment—will kill the individuals in the species. Remove the entire habitat within
the range of a species and, unless they are one of the few species that do well in human-built environments, the species
will become extinct. Human destruction of habitats accelerated in the latter half of the twentieth century. Consider the
1920 Chapter 38 | Conservation Biology and Biodiversity
exceptional biodiversity of Sumatra: It is home to one species of orangutan, a species of critically endangered elephant, and
the Sumatran tiger, but half of Sumatra’s forest is now gone. The neighboring island of Borneo, home to the other species
of orangutan, has lost a similar area of forest. Forest loss continues in protected areas of Borneo. The orangutan in Borneo
is listed as endangered by the International Union for Conservation of Nature (IUCN), but it is simply the most visible of
thousands of species that will not survive the disappearance of the forests of Borneo. The forests are removed for timber
and to plant palm oil plantations (Figure 38.11). Palm oil is used in many products including food products, cosmetics,
and biodiesel in Europe. A five-year estimate of global forest cover loss for the years 2000–2005 was 3.1 percent. In the
humid tropics where forest loss is primarily from timber extraction, 272,000 km2 was lost out of a global total of 11,564,000
km2 (or 2.4 percent). In the tropics, these losses certainly also represent the extinction of species because of high levels of
endemism.
Figure 38.11 (a) One species of orangutan, Pongo pygmaeus, is found only in the rainforests of Borneo, and
the other species of orangutan (Pongo abelii) is found only in the rainforests of Sumatra. These animals are
examples of the exceptional biodiversity of (c) the islands of Sumatra and Borneo. Other species include the (b)
Sumatran tiger (Panthera tigris sumatrae) and the (d) Sumatran elephant (Elephas maximus sumatranus), both
critically endangered species. Rainforest habitat is being removed to make way for (e) oil palm plantations such as this
one in Borneo’s Sabah Province. (credit a: modification of work by Thorsten Bachner; credit b: modification of work
by Dick Mudde; credit c: modification of work by U.S. CIA World Factbook; credit d: modification of work by “Nonprofit
Organizations”/Flickr; credit e: modification of work by Dr. Lian Pin Koh)
Chapter 38 | Conservation Biology and Biodiversity 1921
Habitat destruction can affect ecosystems other than forests. Rivers and streams are impo