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The PI3K/mammalian Target of Rapamycin (mTOR) pathway is often aberrantly activated in rhabdomyosarcoma (RMS) and represents a promising therapeutic target. Recent evaluation of AZD8055, an ATP-competitive mTOR inhibitor, by the Preclinical Pediatric Testing Program showed in vivo antitumor activity against childhood solid tumors, including RMS. Therefore, in the present study, we searched for AZD8055-based combination therapies. Here, we identify a new synergistic lethality of AZD8055 together with ABT-737, a BH3 mimetic that antagonizes Bcl-2, Bcl-xL, and Bcl-w but not Mcl-1. AZD8055 and ABT-737 cooperate to induce apoptosis in alveolar and embryonal RMS cells in a highly synergistic fashion (combination index < 0.2). Synergistic induction of apoptosis by AZD8055 and ABT-737 is confirmed on the molecular level, as AZD8055 and ABT-737 cooperate to trigger loss of mitochondrial membrane potential, activation of caspases, and caspase-dependent apoptosis that is blocked by the pan-caspase inhibitor Z-VAD-fmk. Similar to AZD8055, the PI3K/mTOR inhibitor NVP-BEZ235, the PI3K inhibitor NVP-BKM120 and Akt inhibitor synergize with ABT-737 to trigger apoptosis, whereas no cooperativity is found for the mTOR complex 1 inhibitor RAD001. Interestingly, molecular studies reveal a correlation between the ability of different PI3K/mTOR inhibitors to potentiate ABT-737-induced apoptosis and to suppress Mcl-1 protein levels. Importantly, knockdown of Mcl-1 increases ABT-737-induced apoptosis similar to AZD8055/ABT-737 cotreatment. This indicates that AZD8055-mediated suppression of Mcl-1 protein plays an important role in the synergistic drug interaction. By identifying a novel synergistic interaction of AZD8055 and ABT-737, our findings have important implications for the development of molecular targeted therapies for RMS.
Parodontitis ist eine chronisch entzündliche nichtübertragbare Erkrankung, die alle Anteile des Zahnhalteapparates (Parodonts) betrifft und dort weitgehend irreversible Schäden verursacht. Schätzungen legen nahe, dass in Deutschland ca. 10 Mio. Menschen an einer schweren Parodontitis erkrankt sind. Parodontitis zeigt über viele Jahre zumeist wenige oder nur milde Symptome, die von den Patienten oft nicht wahrgenommen oder richtig eingeordnet werden. Fehlendes Bewusstsein kann dazu führen, dass zahnärztliche Behandlung erst in einem fortgeschrittenen Erkrankungsverlauf in Anspruch genommen wird, wenn umfangreiche Therapiemaßnahmen notwendig geworden sind und sich die Prognose für den Erhalt der Zähne verschlechtert hat. Der parodontale Screeningindex (PSI) ist ein einfaches und schnelles Instrument, mit dem die Notwendigkeit weiterführender diagnostischer Maßnahmen beurteilt werden kann. Der Index wird mittlerweile bei vielen Patienten durchgeführt. Trotzdem bleiben die Versorgungszahlen niedrig und hinter dem zurück, was für das Absenken der bestehenden Parodontitislast notwendig wäre. Jede Zahnarztpraxis muss in der Lage sein, Parodontitistherapie umzusetzen. Fachzahnärzte oder Spezialisten können die allgemeinzahnärztlichen Kollegen wesentlich bei der Behandlung von schweren Formen von Parodontitis unterstützen. Dazu ist eine Aufwertung des Faches in der universitären Ausbildung erforderlich, aber auch die zunehmende postgraduale Ausdifferenzierung von Spezialisten oder Fachzahnärzten für Parodontologie. Die neuen Behandlungsrichtlinien für die Parodontaltherapie (PAR-Therapie) erlauben die Versorgung der parodontal erkrankten Patienten auf Basis international anerkannter wissenschaftlicher Standards und verbessern damit die Rahmenbedingungen für die Parodontitistherapie in der zahnärztlichen Praxis.
In many neural systems anatomical motifs are present repeatedly, but despite their structural similarity they can serve very different tasks. A prime example for such a motif is the canonical microcircuit of six-layered neo-cortex, which is repeated across cortical areas, and is involved in a number of different tasks (e.g. sensory, cognitive, or motor tasks). This observation has spawned interest in finding a common underlying principle, a ‘goal function’, of information processing implemented in this structure. By definition such a goal function, if universal, cannot be cast in processing-domain specific language (e.g. ‘edge filtering’, ‘working memory’). Thus, to formulate such a principle, we have to use a domain-independent framework. Information theory offers such a framework. However, while the classical framework of information theory focuses on the relation between one input and one output (Shannon’s mutual information), we argue that neural information processing crucially depends on the combination of multiple inputs to create the output of a processor. To account for this, we use a very recent extension of Shannon Information theory, called partial information decomposition (PID). PID allows to quantify the information that several inputs provide individually (unique information), redundantly (shared information) or only jointly (synergistic information) about the output. First, we review the framework of PID. Then we apply it to reevaluate and analyze several earlier proposals of information theoretic neural goal functions (predictive coding, infomax and coherent infomax, efficient coding). We find that PID allows to compare these goal functions in a common framework, and also provides a versatile approach to design new goal functions from first principles. Building on this, we design and analyze a novel goal function, called ‘coding with synergy’, which builds on combining external input and prior knowledge in a synergistic manner. We suggest that this novel goal function may be highly useful in neural information processing.
Particulate matter emitted during autopsies can serve as a vector for numerous viruses or bacteria and can lead to infections. Reducing the exposure of those particles in indoor working environments is, therefore, an important issue. To assess the health risk for employees in forensic medicine, we measure particulate matter in the ambient air during autopsies by using an aerosol spectrometer. The autopsies were performed with either an ordinary oscillating saw or an adapted saw with a suction unit. The particle emissions from both saws were compared to each other in order to evaluate whether a technical adaption leads to a particle reduction. Furthermore, the particle exposure reduction by wearing a face mask and variations in the background concentration in the room were analyzed. High particle concentrations were measured while using the ordinary saw. By using the adapted saw or wearing a face mask, the particle exposure could mostly be avoided. On the majority of the working days, an increase in the background concentration could be observed. Based on this knowledge, the use of a proper suction unit and wearing a face mask during autopsies is necessary. Besides, it is important to have sufficient ventilation in the room so that long-lasting high background concentrations can be prevented.
Die Entzündung ist eine Folge von Reaktionen mit der Zielsetzung, die Ausbreitung einer Gewebeschädigung, oder eines Infektionserregers einzudämmen. Zelluläre und humorale Mechanismen interagieren dabei in einem komplexen Netzwerk. In diesem Übersichtsbeitrag zeigen wir die wichtigsten Wege des inflammatorischen Reaktionsgeschehens auf und diskutieren die Bedeutung von Laboratoriumsuntersuchungen für die Diagnostik und das Monitoring von Entzündungen.
Wesentliche Schritte im Ablauf der Entzündungsreaktion sind
- die Synthese von Prostaglandinen aus Arachidonsäure, die durch Phospholipasen A2 (PLA2)-katalysierte Hydrolyse aus Membranphospholipiden gebildet wird;
- Interaktionen zwischen Gefäßendothel und Leukozyten, die Leukozytenextravasation und die Freisetzung freier Sauerstoffradikale und von Elastase im Gewebe;
- die Bildung inflammatorischer Cytokine, ihr Effekt auf Entzündungszellen und ihre systemische Wirkung auf Organe;
- die Synthese von Akute-Phase-Proteinen, deren Plasmakonzentration bei Entzündung als Antwort auf eine Vielfalt von Schädigungen ansteigt.
Zur Diagnostik und Verlaufsbeurteilung entzündlicher Krankheiten hat die Bestimmung des C-reaktiven Proteins den höchsten Stellenwert. Die Elastase hat nur eine begrenzte Bedeutung. Die Bestimmung von PLA2, der 'inflammatorischen Cytokine TNFa, IL-1, IL-6 und des s!L-2R als generelle Entzündungsmarker kann in der Routinediagnostik noch nicht empfohlen werden. Eingehende klinische Untersuchungen zur diagnostischen Bedeutung müssen noch abgewartet werden.
Einleitung: Im Jahr 2016 wurde eine neue, individuelle Lehrform, das „Lernzentrum für ein individualisiertes medizinisches Tätigkeitstraining und Entwicklung“ („Limette“), an der Westfälischen Wilhelms-Universität Münster entwickelt. Das Ziel dieser Lernform ist und war es, nicht nur die theoretische Lehre, sondern vor allem die praktische Lehre und praktische Szenarien in einem geschütztem Lernumfeld in der medizinischen Lehrdidaktik in den Vordergrund zu stellen.
Die Studierenden nehmen an verschiedenen Fächern der Limette teil. In dieser Promotionsarbeit liegt der Fokus auf der Limette Patient Blood Management (PBM) und Transfusionsmedizin.
Vor Kursbeginn wird den Studierenden Zugang zu verschiedenen Vorbereitungsvideos sowie weiteren theoretischen Materialien über PBM und Transfusionsmedizin zur Verfügung gestellt. Bei der Limette durchläuft jeder Studierende sechs verschiedene Stationen. Hierbei beobachten Dozenten die Fertigkeiten und die Umsetzung der Aufgabenlösung durch halbverspiegelte Scheiben, im Umgang mit echten Blutprodukten oder die Kommunikation mit Patienten, die von Schauspielern dargestellt werden. Die Beobachtungen werden den Dozenten des Seminars, welches im Anschluss zur Nachbesprechung stattfindet, mitgeteilt. Hier teilen die Studierenden untereinander ihr Wissen, können den Dozenten Fragen stellen und werden ihnen weitere theoretisch-praktische Kenntnisse vermittelt.
Ziel der Arbeit: Die Promotionsarbeit hat die Auswertung der Selbsteinschätzungsbögen vor und nach der Limette mit anschließender Interpretation der Ergebnisse zum Ziel. Es soll eruiert werden, ob diese neue Lehrmethodik effektiv in der Umsetzung des Lehrerfolgs ist.
Methodik: Die Selbsteinschätzungsbögen hinsichtlich medizinischer Fertigkeiten und Tätigkeiten werden vor und nach der Limette von den Studierenden ausgefüllt. Die Aufgabenstellungen fokussieren sich jeweils auf medizinische Tätigkeiten, bei denen aus 13 verschiedenen Entrustable Professional Activities (EPAs) diejenigen hinterlegt werden, die bei dieser Aufgabe gelehrt werden. Die Differenz von post- zu prä- Selbsteinschätzung zeigt den Lehrerfolg. Die EPAs werden alle analysiert und mit Hilfe der sogenannten Cohen-Zahl interpretiert. Die Cohen Zahl ist definiert als die Differenz zwischen den Mittelwerten zweier Gruppen dividiert durch die gemeinsame Standardabweichung der beiden Populationen. Nach dem Autor Hattie wurde die Skalierung von Cohen für die Lehre angepasst und dabei folgende Einteilung definiert: d = 0,2 (klein), d = 0,4 (mittel) und d = 0,6 (groß). Alle Methoden mit d > 0,4 wurden als „Zone der gewünschten Effekte“ eingestuft.
Ergebnisse: Im Wintersemester 2021/2022 nahmen n=122 Studierende teil, von welchen n=50 beide Fragebögen komplettierten. Eine signifikante Zahl der dargestellten EPAs (50%) hat gute Ergebnisse erzielt, weist mithin einen Cohen´s Wert von d > 0,40 auf. Im Sommersemester 2022 nahmen n=99 Studierende teil, wobei nur n=29 beide Selbsterhebungsbögen komplettierten. Aufgrund des niedrigen Rücklaufs war die Zahl der ausgefüllten Selbsteinschätzungsbögen deutlich geringer und zugleich die Ergebnisse geringer ausgeprägt. In jenem Semester weist die Mehrheit der Ergebnisse einen Cohen´s d-Wert zwischen 0,15 und 0,4 auf, was als durchschnittlicher Lehrerfolg beurteilt wird.
Schlussfolgerung: Die Lehrform der Limette ist eine neue Form der praktischen Lehrvermittlung, die kontinuierlichen Anpassungen unterliegt. Eine hohe Zahl an ausgefüllten Selbsteinschätzungsbögen ist erstrebenswert, um den Lehrerfolg positiv und statistisch signifikant interpretieren zu können. Hierbei ist es nötig, die Lehre in der Limette auszuwerten und gegebenenfalls weitere Anpassungen durchzuführen.
Die Limette ist eine neue Lehrmethode mit einem guten Lehrerfolg hinsichtlich der Vermittlung praktischer Fähigkeiten und sozialer Kompetenz, welche auch an anderen Institutionen angewandt und umgesetzt werden könnte.
Die Einführung von Patient Blood Management (PBM) führt zu einem Paradigmenwechsel bezüglich Erkennen und Therapie der Anämie und zeigt Maßnahmen auf um die Entstehung einer Anämie zu verhindern. PBM unterstützt den Arzt im Entscheidungsdilemma zwischen positiver Wirkung und nachteiligen Nebenwirkungen von Bluttransfusionen. Mit PBM wird der Blutverbrauch deutlich reduziert und die Nebenwirkungen gesenkt. Nicht nur die therapeutischen Maßnahmen, sondern auch die diagnostischen PBM Maßnahmen im Labor führen zu einer relevanten Verringerung des Blutvolumens. PBM Studienergebnisse zeigen eine signifikant Reduktion der Morbidität und Mortalität und die Verbesserung des Patienten- Outcome. Ein weiterer positiver Nebeneffekt ist Schonung von Ressourcen in allen beteiligten Bereichen, welches zu einer relevanten Kostenreduktion und Steigerung der Wirtschaftlichkeit führt. Zusätzlich sensibilisiert das PBM bezüglich des Vorliegens, der Entwicklung und der Therapie einer anämischen Situation sowie den Umgang mit der kostbaren Ressource Blut. Die Bedeutung des PBM wird mittlerweile von der Industrie auch für das Labor unterstützt; für den Bereich POCT ist das PBM jedoch bisher noch nicht adäquat technisch realisiert.
Objectives: Since the introduction of non-vitamin K antagonist (VKA) oral anticoagulants (NOACs), an additional treatment option, apart from VKAs, has become available for stroke prevention in patients with atrial fibrillation (AF). For various reasons, it is important to consider patients’ preferences regarding type of medication, particularly in view of the established relationship between preferences towards treatment, associated burden of treatment, and treatment adherence. This review aimed to systematically analyse the scientific literature assessing the preferences of AF patients with regard to long-term oral anticoagulant (OAC) treatment.
Methods: We searched the MEDLINE, Scopus and EMBASE databases (from 1980 to 2015), added records from reference lists of publications found, and conducted a systematic review based on all identified publications. Outcomes of interest included any quantitative information regarding the opinions or preferences of AF patients towards OAC treatment, ideally specified according to different clinical or convenience attributes describing different OAC treatment options.
Results: Overall, 27 publications describing the results of studies conducted in 12 different countries were included in our review. Among these, 16 studies analysed patient preferences towards OACs in general. These studies predominantly assessed which benefits (mainly lower stroke risk) AF patients would require to tolerate harms (mainly higher bleeding risk) associated with an OAC. Most studies showed that patients were willing to accept higher bleeding risks if a certain threshold in stroke risk reduction could be reached. Nevertheless, most of the publications also showed that the preferences of AF patients towards OACs may differ from the perspective of clinical guidelines or the perspective of physicians. The remaining 11 studies included in our review assessed the preferences of AF patients towards specific OAC medication options, namely NOACs versus VKAs. Our review showed that AF patients prefer easy-to-administer treatments, such as treatments that are applied once daily without any food/drug interactions and without the need for bridging and frequent blood controls.
Conclusion: Stroke risk reduction and a moderate increase in the risk of bleeding are the most important attributes for an AF patient when deciding whether they are for or against OAC treatment. If different anticoagulation options have similar clinical characteristics, convenience attributes matter to patients. In this review, AF patients favour attribute levels that describe NOAC treatment.
Das Citizen Science-Projekt „Patient Science zur Erforschung Seltener Erkrankungen – eine bürgerwissenschaftliche Studie am Beispiel der Mukoviszidose“ wurde von 2017 bis 2020 vom Bundesministerium für Bildung und Forschung (BMBF) gefördert. Es wollte dezidiert ein bürgerwissenschaftliches Format für die Gesundheits- und medizinische Forschung erproben, das ein höchstes Maß an Partizipation für Bürger:innen bzw. Patient:innen ermöglicht, und zwar in allen Phasen des Forschungsprozesses. Das Forschungsteam bestand aus zwölf Patient:innen mit der chronischen Erkrankung Mukoviszidose und Angehörigen einerseits (den Patient Scientists bzw. Patientenforscher:innen) sowie aus acht professionellen Forscher:innen aus Sozialwissenschaften, Psychologie und Medizin bzw. ärztlichen und psychologischen Behandler:innen andererseits (den Berufsforscher:innen). Dieses 20köpfige Ko-Forscher:innen-Team führte gemeinsam eine komplette wissenschaftliche Studie zu Alltagsproblemen im Leben mit Mukoviszidose durch, also von der Bestimmung des konkreten Forschungsthemas und -designs über die Datenerhebung und -auswertung bis hin zur Verwertung und Veröffentlichung
der Ergebnisse.
Zunächst wurde in einem diskursiven Prozess das Forschungsthema und -design entwickelt, mit folgendem Ergebnis: Ziel der gemeinsam konzipierten und durchgeführten patientenwissenschaftlichen Studie sollte es sein, erstmalig die typischen und wichtigsten Alltagsprobleme von Mukoviszidose-Betroffenen in Deutschland mittels einer Online-Befragung systematisch zu erfassen und im Hinblick auf ihre Bedeutung und den daraus entstehenden Unterstützungs- und Orientierungsbedarf zu analysieren. Die Ergebnisse dieser Online-Befragung, an der insgesamt 902 Betroffene (Patient:innen und Eltern betroffener Kinder) teilgenommen haben, werden in einem eigenen Berichtsband veröffentlicht und auf der oben verlinkten Projektseite zur Verfügung gestellt.
Im vorliegenden Dokument geht es um die „Lessons Learned“ aus dem Forschungsprozess, also um die Erfahrungen und Erkenntnisse aus der Praxis des Pilotprojekts und um die Empfehlungen, die sich daraus für zukünftige Patient Science-Projekte ableiten lassen. Das Dokument richtet sich damit explizit an Praktiker:innen, Wissenschaftler:innen und Bürger:innen, die ein ähnliches bürgerwissenschaftliches Forschungsprojekt im Bereich Medizin und Gesundheitsforschung angehen wollen bzw. bereits durchführen.
Fasting Ramadan is known to influence patients’ medication adherence. Data on patients’ behavior to oral anticoagulant (OAC) drug intake during Ramadan is missing. We aimed to determine patient-guided modifications of OAC medication regimen during Ramadan and to evaluate its consequences. A multicenter cross-sectional study conducted in Saudi Arabia. Data were collected shortly after Ramadan 2019. Participants were patients who fasted Ramadan and who were on long-term anticoagulation. Patient-guided medication changes during Ramadan in comparison to the regular intake schedule before Ramadan were recorded. Modification behavior was compared between twice daily (BID) and once daily (QD) treatment regimens. Rates of hospital admission during Ramadan were determined. We included 808 patients. During Ramadan, 53.1% modified their intake schedule (31.1% adjusted intake time, 13.2% skipped intakes, 2.2% took double dosing). A higher frequency of patient-guided modification was observed in patients on BID regimen compared to QD regimen. During Ramadan, 11.3% of patients were admitted to hospital. Patient-guided modification was a strong predictor for hospital admission. Patient-guided modification of OAC intake during Ramadan is common, particularly in patients on BID regimen. It increases the risk of hospital admission during Ramadan. Planning of OAC intake during Ramadan and patient education on the risk of low adherence are advisable.
Die aktuelle Gesetzeslage fordert mit der im Rahmen der Gesundheitsreform 2007 eingeführten Versicherungspflicht und dem 2013 in Kraft getretenen Gesetz zur Beseitigung sozialer Überforderung bei Beitragsschulden in der Krankenversicherung eine Vollversicherung aller in Deutschland lebenden Personen. Die Erfahrungen aus medizinischen Versorgungseinrichtungen zeigen, dass dieses Ziel nicht erreicht wurde. Nach wie vor wird eine bedeutende Anzahl von Patienten ohne Krankenversicherung in Krankenhäusern, Arztpraxen und medizinischen Hilfseinrichtungen versorgt. In der vorliegenden Studie wird in einer praxisnahen Herangehensweise am Beispiel der Stadt Frankfurt am Main untersucht, wo die Ursachen dafür zu finden sind, wenn die Einbindung in das Regelsystem der Krankenversicherung nicht gelingt und wie sich dies auf die medizinische Versorgung der Betroffenen auswirkt.
Basierend auf einem qualitativen Studienkonzept wird das empirische Material mit Leitfadeninterviews erhoben und mit der qualitativen Inhaltsanalyse nach Gläser und Laudel ausgewertet. Die Auswahl der Interviewpartner erfolgt mittels Sampling über die Zusammenarbeit mit zwei medizinischen Hilfseinrichtungen als zentrale Kontakte im Forschungsfeld. Die 25 Patienteninterviews stellen eine exemplarische Auswahl an dort behandelten nichtversicherten Patienten dar. Die 21 Experteninterviews mit Gesprächspartnern aus den Arbeitsbereichen Hilfseinrichtungen, Krankenhäuser und Behörden bilden die unterschiedlichen Akteure und Sichtweisen im Handlungsfeld der Nichtversicherung ab. Mithilfe der qualitativen Inhaltsanalyse werden die erfassten Fälle rekonstruiert und auf ihre Kausalmechanismen hin analysiert.
Als Ergebnis der Untersuchung werden 13 Grundsituationen typischer Fälle von Nichtversicherung dargestellt und mit den strukturellen Rahmenbedingungen in Zusammenhang gebracht. Daraus werden die Entstehungsmechanismen von Nichtversicherung ersichtlich. Diese zeigen, dass das Fehlen der Krankenversicherung das Resultat einer multifaktoriellen Entwicklung ist. So wirken sich einerseits die individuellen Verhaltensweisen der Betroffenen sowie ihre jeweiligen Lebensum-stände, wie die berufliche Situation, die Wohnsituation, Herkunft, Aufenthaltsstatus und die gesundheitliche Situation, auf die Versicherungssituation aus. Andererseits kommt strukturellen Hürden eine wesentliche Bedeutung bei der Entstehung von Nichtversicherung zu. So lässt die Gesetzgebung in der Versicherungspflicht, dem Sozialleistungsbezug und im Aufenthaltsrecht Lücken, die zwar nicht notgedrungen zum Verlust der Krankenversicherung führen, aber in Wechselwirkung mit bestimmten Lebensumständen und Verhaltensweisen der einzelnen Personen die Eingliederung in das reguläre Versicherungssystem verhindern oder erschweren.
Im zweiten Teil der Studienergebnisse wird die Versorgungssituation für Patienten ohne Krankenversicherung beurteilt. Darin wird deutlich, dass Nichtversicherte im Vergleich zu regulär versicherten Personen schlechter medizinisch versorgt sind. Dies ist einem erschwerten Zugang zum Regelsystem der medizinischen Versorgung sowie den eingeschränkten Behandlungsmöglichkeiten im Hilfsnetz geschuldet. Trotz der gut ausgebauten Hilfestrukturen in Frankfurt am Main muss demnach die Versorgungs-situation für Nichtversicherte als unzureichend beurteilt werden.
Neben den Patienten sind auch die anderen Akteure von den Folgen des Nichtversichertseins betroffen. Dabei zeigen sich zwei gegensätzliche Perspektiven auf das Problemfeld. Auf der einen Seite stehen die hilfeleistenden Einrichtungen, die den Patienten eine medizinische Versorgung zukommen lassen, auf der anderen Seite die Kostenträger, die als Institutionen des Regelsystems diese medizinische Behandlung finanzieren. Die versorgenden Einrichtungen geraten in einen Konflikt zwischen ihrem Behandlungsauftrag, der sich aus der gesetzlich verankerten Behandlungspflicht und der ethischen Verantwortung den Patienten gegenüber ergibt, und dem wirtschaftli-chen Druck, der die Behandlungsmöglichkeiten bei unzureichender Finanzierung begrenzt. Die Kostenträger können ihre Zuständigkeit als Leistungsträger im Einzelfall prüfen und diese gegebenenfalls ablehnen. Da Nichtversicherte als unattraktive Kunden gelten, geht die Ablehnung meist mit einer Kostenersparnis einher und bedeutet somit für die Kostenträger keinen Nachteil. Die daraus entstehenden Versorgungsvakanzen werden wiederum vom Hilfsnetz aufgefangen.
Vor dem Hintergrund dieser Ergebnisse muss das Auftreten von Nichtversicherung als Problem gesehen werden, aus dem Handlungsbedarf hervorgeht, auch wenn die Gruppe der Nichtversicherten insgesamt nur einen kleinen Anteil an der Gesamtbevölkerung ausmacht. Die Zielsetzung dieser Studie ist es, eine fundierte Grundlage zu geben, auf der Lösungsansätze für die beschriebenen Konflikte erarbeitet werden können.
Background: Salivary gland cancer (SGC) is rare and a heterogeneous type of cancer. Prospective randomized trials are lacking. No guideline focusing on standard procedures of radiotherapy (RT) in the treatment of SGC exists. Therefore, we surveyed the members of the German Society of Radiation Oncology (DEGRO) to gain information about current therapeutic strategies of SGC. Methods: An anonymous questionnaire was designed and made available on the online platform umfrageonline.com. The corresponding link was sent to all DEGRO members who provided their user data for contact purposes. Alternatively, a PDF printout version was sent. Frequency distributions of responses for each question were calculated. The data were also analyzed by type of institution. Results: Sixty-seven responses were received, including answers from 21 university departments, 22 non-university institutions, and 24 radiation oncology practices. Six participants reported that their departments (practice: n = 5, non-university hospital: n = 1) did not treat SGC, and therefore the questionnaire was not completed. Concerning radiation techniques, target volume definition, and concomitant chemotherapy, treatment strategies varied greatly among the participants. Comparing university vs. non-university institutions, university hospitals treat significantly more patients with SGC per year and initiated more molecular pathological diagnostics. Conclusion: SGC represents a major challenge for clinicians, as reflected by the inhomogeneous survey results regarding diagnostics, RT approaches, and systemic therapy. Future prospective, multicenter clinical trials are warranted to improve and homogenize treatment of SGC and to individualize treatment according to histologic subtypes and risk factors.
Background; Salivary gland carcinomas (SGC) cover a heterogeneous group of malignancies with a lack of data of high-level evidence.
Methods; Clinical data of 127 patients treated for SGC at a university cancer center between 2002 and 2017 were analyzed retrospectively. The association of clinicopathological characteristics, treatment modalities, adverse events, and outcome was assessed.
Results: Patients received surgery (n = 65), surgery followed by (chemo-)radiotherapy (n = 56), or primary (chemo-)radiotherapy (n = 6). Injury to the cranial nerves or their branches was the most frequent surgical complication affecting 40 patients (33.1%). Ten year overall and progression-free survival rates were 73.2% and 65.4%, respectively. Parotid tumor site, advanced tumor, and positive nodal stage remained independent negative prognostic factors for overall survival, loco-regional and distant tumor control in multivariate analysis.
Conclusions: Optimizing treatment strategies for SGC, depending on distinct clinicopathological factors, remains challenging due to the low incidence rates of the disease.
Large-scale molecular profiling studies in recent years have shown that central nervous system (CNS) tumors display a much greater heterogeneity in terms of molecularly distinct entities, cellular origins and genetic drivers than anticipated from histological assessment. DNA methylation profiling has emerged as a useful tool for robust tumor classification, providing new insights into these heterogeneous molecular classes. This is particularly true for rare CNS tumors with a broad morphological spectrum, which are not possible to assign as separate entities based on histological similarity alone. Here, we describe a molecularly distinct subset of predominantly pediatric CNS neoplasms (n = 60) that harbor PATZ1 fusions. The original histological diagnoses of these tumors covered a wide spectrum of tumor types and malignancy grades. While the single most common diagnosis was glioblastoma (GBM), clinical data of the PATZ1-fused tumors showed a better prognosis than typical GBM, despite frequent relapses. RNA sequencing revealed recurrent MN1:PATZ1 or EWSR1:PATZ1 fusions related to (often extensive) copy number variations on chromosome 22, where PATZ1 and the two fusion partners are located. These fusions have individually been reported in a number of glial/glioneuronal tumors, as well as extracranial sarcomas. We show here that they are more common than previously acknowledged, and together define a biologically distinct CNS tumor type with high expression of neural development markers such as PAX2, GATA2 and IGF2. Drug screening performed on the MN1:PATZ1 fusion-bearing KS-1 brain tumor cell line revealed preliminary candidates for further study. In summary, PATZ1 fusions define a molecular class of histologically polyphenotypic neuroepithelial tumors, which show an intermediate prognosis under current treatment regimens.
Here, we present a peptide-based linear mixed models tool—PBLMM, a standalone desktop application for differential expression analysis of proteomics data. We also provide a Python package that allows streamlined data analysis workflows implementing the PBLMM algorithm. PBLMM is easy to use without scripting experience and calculates differential expression by peptide-based linear mixed regression models. We show that peptide-based models outperform classical methods of statistical inference of differentially expressed proteins. In addition, PBLMM exhibits superior statistical power in situations of low effect size and/or low sample size. Taken together our tool provides an easy-to-use, high-statistical-power method to infer differentially expressed proteins from proteomics data.
Compressive knee joint contact force during walking is thought to be related to initiation and progression of knee osteoarthritis. However, joint loading is often evaluated with surrogate measures, like the external knee adduction moment, due to the complexity of computing joint contact forces. Statistical models have shown promising correlations between medial knee joint contact forces and knee adduction moments in particularly in individuals with knee osteoarthritis or after total knee replacements (R2 = 0.44–0.60). The purpose of this study was to evaluate how accurately model-based predictions of peak medial and lateral knee joint contact forces during walking could be estimated by linear mixed-effects models including joint moments for children and adolescents with and without valgus malalignment. Peak knee joint moments were strongly correlated (R2 > 0.85, p < 0.001) with both peak medial and lateral knee joint contact forces. The knee flexion and adduction moments were significant covariates in the models, strengthening the understanding of the statistical relationship between both moments and medial and lateral knee joint contact forces. In the future, these models could be used to evaluate peak knee joint contact forces from musculoskeletal simulations using peak joint moments from motion capture software, obviating the need for time-consuming musculoskeletal simulations.
The induction of apoptosis is a direct way to eliminate tumor cells and improve cancer therapy. Apoptosis is tightly controlled by the balance of pro- and antiapoptotic Bcl-2 proteins. BH3 mimetics neutralize the antiapoptotic function of Bcl-2 proteins and are highly promising compounds inducing apoptosis in several cancer entities including pediatric malignancies. However, the clinical application of BH3 mimetics in solid tumors is impeded by the frequent resistance to single BH3 mimetics and the anticipated toxicity of high concentrations or combination treatments. One potential avenue to increase the potency of BH3 mimetics is the development of immune cell-based therapies to counteract the intrinsic apoptosis resistance of tumor cells and sensitize them to immune attack. Here, we describe spheroid cultures of pediatric cancer cells that can serve as models for drug testing. In these 3D models, we were able to demonstrate that activated allogeneic Natural Killer (NK) cells migrated into tumor spheroids and displayed cytotoxicity against a wide range of pediatric cancer spheroids, highlighting their potential as anti-tumor effector cells. Next, we investigated whether treatment of tumor spheroids with subtoxic concentrations of BH3 mimetics can increase the cytotoxicity of NK cells. Notably, the cytotoxic effects of NK cells were enhanced by the addition of BH3 mimetics. Treatment with either the Bcl-XL inhibitor A1331852 or the Mcl-1 inhibitor S63845 increased the cytotoxicity of NK cells and reduced spheroid size, while the Bcl-2 inhibitor ABT-199 had no effect on NK cell-mediated killing. Taken together, this is the first study to describe the combination of BH3 mimetics targeting Bcl-XL or Mcl-1 with NK cell-based immunotherapy, highlighting the potential of BH3 mimetics in immunotherapy.
Individual differences in perception are widespread. Considering inter-individual variability, synesthetes experience stable additional sensations; schizophrenia patients suffer perceptual deficits in, eg, perceptual organization (alongside hallucinations and delusions). Is there a unifying principle explaining inter-individual variability in perception? There is good reason to believe perceptual experience results from inferential processes whereby sensory evidence is weighted by prior knowledge about the world. Perceptual variability may result from different precision weighting of sensory evidence and prior knowledge. We tested this hypothesis by comparing visibility thresholds in a perceptual hysteresis task across medicated schizophrenia patients (N = 20), synesthetes (N = 20), and controls (N = 26). Participants rated the subjective visibility of stimuli embedded in noise while we parametrically manipulated the availability of sensory evidence. Additionally, precise long-term priors in synesthetes were leveraged by presenting either synesthesia-inducing or neutral stimuli. Schizophrenia patients showed increased visibility thresholds, consistent with overreliance on sensory evidence. In contrast, synesthetes exhibited lowered thresholds exclusively for synesthesia-inducing stimuli suggesting high-precision long-term priors. Additionally, in both synesthetes and schizophrenia patients explicit, short-term priors—introduced during the hysteresis experiment—lowered thresholds but did not normalize perception. Our results imply that perceptual variability might result from differences in the precision afforded to prior beliefs and sensory evidence, respectively.
Individual differences in perception are widespread. Considering inter-individual variability, synesthetes experience stable additional sensations; schizophrenia patients suffer perceptual deficits in e.g. perceptual organization (alongside hallucinations and delusions). Is there a unifying principle explaining inter-individual variability in perception? There is good reason to believe perceptual experience results from inferential processes whereby sensory evidence is weighted by prior knowledge about the world. Different perceptual phenotypes may result from different precision weighting of sensory evidence and prior knowledge. We tested this hypothesis by comparing visibility thresholds in a perceptual hysteresis task across medicated schizophrenia patients, synesthetes, and controls. Participants rated the subjective visibility of stimuli embedded in noise while we parametrically manipulated the availability of sensory evidence. Additionally, precise long-term priors in synesthetes were leveraged by presenting either synesthesia-inducing or neutral stimuli. Schizophrenia patients showed increased visibility thresholds, consistent with overreliance on sensory evidence. In contrast, synesthetes exhibited lowered thresholds exclusively for synesthesia-inducing stimuli suggesting high-precision long-term priors. Additionally, in both synesthetes and schizophrenia patients explicit, short-term priors – introduced during the hysteresis experiment – lowered thresholds but did not normalize perception. Our results imply that distinct perceptual phenotypes might result from differences in the precision afforded to prior beliefs and sensory evidence, respectively.
The purpose of this study is to compare the efficacy and safety of microwave ablation (MWA) versus laser-induced thermotherapy (LITT) as a local treatment for hepatocellular carcinoma (HCC,) with regard to therapy response, survival rates, and complication rates as measurable outcomes. This retrospective study included 250 patients (52 females and 198 males; mean age: 66 ± 10 years) with 435 tumors that were treated by MWA and 53 patients (12 females and 41 males; mean age: 67.5 ± 8 years) with 75 tumors that were treated by LITT. Tumor response was evaluated using CEMRI (contrast-enhanced magnetic resonance imaging). Overall, 445 MWA sessions and 76 LITT sessions were performed. The rate of local tumor progression (LTP) and the rate of intrahepatic distant recurrence (IDR) were 6% (15/250) and 46% (115/250) in the MWA-group and 3.8% (2/53) and 64.2% (34/53) in the LITT-group, respectively. The 1-, 3-, and 5-year overall survival (OS) rates calculated from the date of diagnosis were 94.3%, 65.4%, and 49.1% in the MWA-group and 96.2%, 54.7%, and 30.2% in the LITT-group, respectively (p-value: 0.002). The 1-, 2-, and 3-year disease-free survival (DFS) rates were 45.9%, 30.6%, and 24.8% in the MWA-group and 54.7%, 30.2%, and 17% in the LITT-group, respectively (p-value: 0.719). Initial complete ablation rate was 97.7% (425/435) in the MWA-group and 98.7% (74/75) in the LITT-group (p-value > 0.99). The overall complication rate was 2.9% (13/445) in the MWA-group and 7.9% (6/76) in the LITT-group (p-value: 0.045). Based on the results, MWA and LITT thermal ablation techniques are well-tolerated, effective, and safe for the local treatment of HCC. However, MWA is recommended over LITT for the treatment of HCC, since the patients in the MWA-group had higher survival rates.
Background and Aims: Prothrombin induced by vitamin K absence-II (PIVKA-II) is a serum biomarker linked to hepatocellular carcinoma (HCC), showing superiority to alpha-fetoprotein (AFP) for early disease detection. We aimed to assess the clinical and analytical performance of the Elecsys® PIVKA-II immunoassay in diagnosing HCC and evaluate PIVKA-II's technical performance.
Methods: Serum samples from adult cases (i.e. patients with a first-time HCC diagnosis; n = 168) and disease controls (i.e. patients without HCC with an at-risk condition; n = 208) were assessed. An AFP cut-off of 20 ng/mL was used to differentiate between HCC cases and disease controls. Clinical performance of the Elecsys PIVKA-II assay was compared with that of comparator assays (Lumipulse G PIVKA-II, μTASWako DCP, ARCHITECT PIVKA-II) using receiver operating characteristic curve analysis to determine the area under the curve (AUC) values.
Results: The Elecsys PIVKA-II assay compared favorably with comparator assays. Using a 28.4 ng/mL cut-off, the Elecsys PIVKA-II assay detected HCC with 86.9% sensitivity and 83.7% specificity. Clinical performance of the Elecsys PIVKA-II assay (AUC: 90.8%) was equivalent to that of comparator assays (AUC: 88.3–89.6%). Relatively high PIVKA-II concentrations were observed for cholangiocarcinoma and pancreatic cancer with the Elecsys assay in specificity panel analyses, indicating that high PIVKA-II concentrations should not be used alone in the absence of other clinical data.
Conclusions: The Elecsys PIVKA-II assay showed good analytical performance under routine laboratory conditions, comparing favorably with comparator assays. These findings support the suitability of the Elecsys PIVKA-II assay as an aid in HCC diagnosis.
Peri-implantitis: summary and consensus statements of group 3. The 6th EAO Consensus Conference 2021
(2021)
Objective: To evaluate the influence of implant and prosthetic components on peri-implant tissue health. A further aim was to evaluate peri-implant soft-tissue changes following surgical peri-implantitis treatment. Materials and methods: Group discussions based on two systematic reviews (SR) and one critical review (CR) addressed (i) the influence of implant material and surface characteristics on the incidence and progression of peri-implantitis, (ii) implant and restorative design elements and the associated risk for peri-implant diseases, and (iii) peri-implant soft-tissue level changes and patient-reported outcomes following peri-implantitis treatment. Consensus statements, clinical recommendations, and implications for future research were discussed within the group and approved during plenary sessions. Results: Data from preclinical in vivo studies demonstrated significantly greater radiographic bone loss and increased area of inflammatory infiltrate at modified compared to non-modified surface implants. Limited clinical data did not show differences between modified and non-modified implant surfaces in incidence or progression of peri-implantitis (SR). There is some evidence that restricted accessibility for oral hygiene and an emergence angle of >30 combined with a convex emergence profile of the abutment/prosthesis are associated with an increased risk for peri-implantitis (CR). Reconstructive therapy for peri-implantitis resulted in significantly less soft-tissue recession, when compared with access flap. Implantoplasty or the adjunctive use of a barrier membrane had no influence on the extent of peri-implant mucosal recession following peri-implantitis treatment (SR).
Die peripartale Depression tritt während der Schwangerschaft und in den 12 Monaten nach der Geburt auf. Zusätzlich zu Symptomen einer depressiven Episode ist die peripartale Depression durch schwangerschafts- oder kindbezogene Symptome wie infantizidale Vorstellungen, Gefühlslosigkeit gegenüber dem Kind, Versagensängste oder Insuffizienzgefühle als Mutter gekennzeichnet. Die Prävalenz liegt bei 7 bis 10 % präpartal und 7 bis 20 % postpartal. Folge ist ein erhöhtes Risiko für frühzeitige Wehentätigkeit, geringes Geburtsgewicht, intrauterine Wachstumsstörungen, Verhaltensstörungen und gestörte kognitive Entwicklung des Kindes. Außerdem steigt die Wahrscheinlichkeit für Mutter und Kind, im weiteren Leben erneut an einer Depression zu erkranken. Therapieoptionen stehen insbesondere psychotherapeutische Verfahren wie Interpersonelle Psychotherapie und Kognitive Verhaltenstherapie und eine antidepressive Therapie zur Verfügung.
Ziel der Arbeit war es, die Publikationen zu Depression und Schwangerschaft nach szientometrischen Kriterien zu analysieren und Charakteristika und Tendenzen der Forschung zu erkennen und zu interpretieren.
Nach Definition des Suchbegriffes wurden mithilfe der Datenbank Web of Science bzw. Web of Science Core Collection alle Publikationen zu Depression im Rahmen der Schwangerschaft von 1900 bis 2012 inklusive aller bibliometrischer Daten analysiert. Die Daten wurden nach Bereinigung hinsichtlich qualitativer Gesichtspunkte und szientometrischer Parameter wie Zitierungen, Zitationsrate und modifiziertem h-Index der Publikationen, Autoren, Institutionen und Nationen untersucht. Dabei wurden zusätzlich Genderaspekte und sozioökonomische Faktoren berücksichtigt.
Insgesamt wurden 7.330 Veröffentlichungen zu Pregnancy and Depression analysiert. 95,9 % davon waren in englischer Sprache veröffentlicht. Seit 1982 konnte eine kontinuierliche Zunahme der jährlichen Publikationen verzeichnet werden. Die Zahl der Zitierungen stieg seit 1979 ebenso jährlich an. Dabei sank die Zitationsrate seit 1990. Besonders viele Arbeiten wurden im Journal of Affective Disorders und im Archives of Womens Mental Health veröffentlicht. Unter den Forschungseinrichtungen fielen die Harvard University und St. George’s, University of London durch besonders viele Publikationen auf.
Wichtigste Wissenschaftsstandorte waren die USA, Großbritannien, Australien und Kanada, was sich in den meisten Publikationen, Zitierungen und den höchsten modifizierten h Indizes äußerte, gefolgt von meist europäischen Staaten. Unter Berücksichtigung sozioökonomischer Faktoren ergaben sich mehrere Besonderheiten: Die skandinavischen Staaten Norwegen, Schweden und Finnland finden sich unter den produktivsten Ländern nach Bereinigung um die Bevölkerungszahl. Nationen mit mittlerem und niedrigem Einkommen (Low- and middle income countries = LAMICs) wie Pakistan, Südafrika und Äthiopien leisten einen relevanten Beitrag zur Forschung, berücksichtigt man das Bruttoinlandsprodukt oder die Zahl der Wissenschaftler. Internationale Kooperation dieser Nationen entstanden insbesondere mit Großbritan-nien. Durch diese Zusammenarbeit wurde einerseits auf die höhere Prävalenz von Perinataler Depression in Entwicklungs und Schwellenländern hingewiesen. Andererseits wurde die schwangerschaftsassoziierte Depression als wichtiges Element von Global Mental Health anerkannt.
Seit 1992 veröffentlichen pro Jahr mehr Frauen als Männer zu Peripartaler Depression. Die weibliche Autorenschaft liegt bei 63 %. Unter den produktivsten Wissenschaftlern sind 8 Autorinnen und 6 Autoren. Die produktivsten Autoren sind die US Amerikanerin K.L. Wisner und die Britin L. Murray. Letztere wurde am häufigsten zitiert und führt die Liste der modifizierten h Indizes mit einem Wert von 68 an. Für den britischen Autor und Begründer des Screening-Instruments Edinburgh Postnatal Depression Scale (EPDS) J.L. Cox wurde die höchste Zitationsrate berechnet.
Im Gegensatz zu Veröffentlichungen in gynäkologischen Fachzeitschriften oder szientometrischen Arbeiten zu psychiatrischen Erkrankungen wie Schizophrenie ist der Frauenanteil in allen untersuchten Teilbereichen dem Männeranteil überlegen. Einzige Ausnahme ist die Letztautorenschaft. Diese Ergebnisse stellen eine Besonderheit dar, da eine weibliche Dominanz der Wissenschaft im Schnittbereich zwischen Psychiatrie, Psychosomatik, Psychologie und Frauenheilkunde bisher nicht beschrieben ist.
Periodontal furcation lesions: a survey of diagnosis and management by general dental practitioners
(2021)
Aim: The aim of this study was to explore general dental practitioners' (GDPs) attitude to periodontal furcation involvement (FI). Materials and methods: An online survey focused on diagnosis and management of periodontal FI was circulated to GDPs in seven different countries. Results: A total of 400 responses were collected. Nearly a fifth of participants reported rarely or never taking 6-point pocket charts; 65.8% of participants had access to a Nabers probe in their practice. When shown clinical pictures and radiographs of FI-involved molars, the majority of participants correctly diagnosed it. Although 47.1% of participants were very/extremely confident in detecting FI, only 8.9% felt very/extremely confident at treating it. Differences in responses were detected according to country and year of qualification, with a trend towards less interest in periodontal diagnosis and treatment in younger generations. Lack of knowledge of management/referral pathways (reported by 22.8%) and lack of correct equipment were considered the biggest barriers to FI management. Most participants (80.9%) were interested in learning more about FI, ideally face to face followed by online tutorials. Conclusions: Plans should be put in place to improve general dentists' knowledge and ability to manage FI, as this can have a significant impact on public health.
Die Herzinsuffizienz im hohen Lebensalter spielt wegen der demografischen Entwicklung in Deutschland eine zunehmende Rolle im perioperativen Setting der Herzchirurgie. Auch nehmen strukturelle Schäden und Dysfunktionen am Herzen aufgrund von chronischen kardiovaskulären Erkrankungen zu. Diese bedürfen oftmals einer operativen Intervention als Therapie. Zum perioperativen Monitoring werden verschiedene Laborwerte herangezogen, um mögliche Komplikationen frühzeitig zu erkennen. In der vorliegenden Studie wurde das Augenmerk auf Hochrisikopatienten mit Herzinsuffizienz gelegt. Die Fragestellung behandelt, ob sich gewisse Entzündungsmarker bei Hochrisikopatienten, vor allem im hohen Lebensalter, bei verschiedenen Risikogruppen unterscheiden. Es handelt sich um eine prospektive Beobachtungsstudie, in der 94 Patienten perioperativ untersucht wurden. Diese wurden in zwei Gruppen mit jeweils 47 Patienten unterteilt. Die eine enthielt Patienten unter 75 Jahren mit einer linksventrikulären Ejektionsfraktion <35%, einer operationsbedürftigen Mehrklappen-Erkrankung oder einer Herzklappendysfunktion, kombiniert mit einer operationswürdigen koronaren Herzkrankheit. In der zweiten Gruppe wählte man Patienten in einem Alter ab 75 Jahren mit einer operationsbedürftigen Herzkrankheit. Bestimmt wurden die Entzündungsparameter CRP, Procalcitonin, Interleukin 6 und Interleukin 8. Zusätzlich wurde NT-pro-BNP als Marker für Herzinsuffizienz bestimmt. Die Blutentnahmen erfolgten präoperativ, unmittelbar postoperativ, am 1.,2. und 5. Tag postoperativ. Die präoperativen Werte wurden mit dem Risikoprofil der Patienten in Korrelation gesetzt. Dabei stach heraus, dass bei Patienten mit stattgehabter kardialer Dekompensation die Werte von CRP, NT-proBNP, IL6 und IL8 signifikant erhöht waren. Postoperativ erlitten diese Patienten häufiger eine Rethorakotomie. Außerdem ergab sich ein signifikanter Zusammenhang zwischen der Höhe der postoperativen Entzündungsparameter und dem Auftreten einer postoperativen Sepsis oder Infektion. Hier zeigte sich, dass CRP erst ab dem 5. Tag postoperativ als Indikator für eine solche gewertet werden kann, während Procalcitonin, IL6 und IL8 schon unmittelbar postoperativ als Parameter für das Auftreten einer Sepsis oder Infektion herangezogen werden können. In der vorliegenden Studie wurden jedoch nicht die Zeitpunkte der postoperativen Komplikationen bestimmt, was eine Prüfung auf Unterschied mit den postoperativen Etnzündungswerten erschwert. Zwischen den perioperativen Verläufen der bestimmten Parameter gab es zwischen den beiden Gruppen keinen signifikanten Unterschied. Dies impliziert, dass eine Ejektionsfraktion <35%/eine Mehrklappen-Erkrankung und ein Alter über 75 Jahren bei gröstenteils normwertiger EF als ebenbürtige Risikofaktoren angesehen werden können.
Highligths
• Immune-inflammatory alterations might appear in subjects with ADHD.
• Blood levels of tumor necrosis factor-α might be reduced in individuals with ADHD.
• Individuals with ADHD might show elevated blood levels of interleukin-6.
Abstract
It has been observed that subclinical inflammation might be involved in the pathophysiology of attention deficit/hyperactivity disorder (ADHD). However, studies investigating peripheral blood levels of immune-inflammatory markers have provided mixed findings. We performed a systematic review and meta-analysis of studies comparing unstimulated serum or plasma levels of C-reactive protein (CRP) and cytokines in subjects with ADHD and healthy controls (the PROSPERO registration number: CRD 42021276869). Online searches covered the publication period until 30th Sep 2021 and random-effects meta-analyses were carried out. Out of 1844 publication records identified, 10 studies were included. The levels of interleukin (IL)-6 were significantly higher in studies of participants up to the age of 18 years (k = 10, g = 0.70, 95%CI: 0.10–1.30, p = 0.023) and after including those above the age of 18 years (k = 10, g = 0.71, 95%CI: 0.12–1.31, p = 0.019). In turn, the levels of tumor necrosis factor-α (TNF-α) were significantly lower in subjects with ADHD compared to healthy controls (k = 7, g = −0.16, 95%CI: −0.30 - -0.03, p = 0.020). Individual studies had a high contribution to the overall effect, since the overall effect was no longer significant after removing single studies. No significant differences were found with respect to the levels of CRP, IL-1β, IL-10 and interferon-γ. The present findings indicate that individuals with ADHD tend to show elevated levels of IL-6 and reduced levels of TNF-α. Larger and longitudinal studies recording potential confounding factors and comorbid psychopathology are needed to confirm our findings.
Aims: This post hoc analysis of ELIMINATE-AF evaluated requirements of unfractionated heparin (UFH) and procedure-related bleeding in atrial fibrillation (AF) patients undergoing ablation with uninterrupted edoxaban or vitamin K antagonist (VKA) therapy.
Methods and results: Patients were randomized 2:1 to once-daily edoxaban 60 mg (or dose-reduced 30 mg) or dose-adjusted VKA (target international normalized ratio: 2.0–3.0). Uninterrupted anticoagulation was mandated for 21–28 days’ pre-ablation and 90 days’ post-ablation. During ablation, UFH administration targeted an activated clotting time (ACT) of 300–400 s. Periprocedural bleeding was differentiated between procedure-related (bleeding at puncture side, cardiac tamponade) and unrelated events. Of 614 randomized patients, 553 received study drug and underwent catheter ablation (edoxaban n = 375; VKA n = 178). The median (Q1–Q3) time from last dose to ablation procedure was 14.8 (13.3–16.5) vs. 16.5 (14.8–19.5) h (edoxaban vs. VKA group, respectively). Mean ACT (SD) ≥300 s was observed in 52% edoxaban- vs. 76% VKA-treated patients, despite a higher mean (SD) UFH dose in the edoxaban vs. VKA group [14 261 (6397) IU vs. 11 473 (4300) IU; exploratory P-value < 0.0001]. In the edoxaban group, 13 patients (3.5%) had procedure-related bleeds of whom 9 had received an UFH dose above the median (13 000 IU). In the VKA arm, 7 patients (3.9%) had procedure-related bleeds of whom 3 had received an UFH dose above the median (10 225 IU).
Conclusion: The rate of procedure-related major/clinically relevant non-major bleeding did not differ between the treatment arms despite higher doses of UFH used with edoxaban vs. VKA to achieve a target ACT during AF ablation.
Das kolorektale Karzinom ist eine der am häufigsten vorkommenden Tumorerkrankung weltweit. In den letzten Jahren wurden viele molekulare Zusammenhänge in der Entstehung des kolorektalen Karzinoms entdeckt. Aus diesen Erkenntnissen konnten neue Therapiemöglichkeiten entwickelt werden. Aktuell werden im europäischen Raum die UICC-Stadien zur Einschätzung der Tumoraggressivität angewandt um die bestmöglichen Therapieoptionen zu gewährleisten.
In der hier vorgestellten Arbeit konnte bei einem Kollektiv von 195 Patienten mit kolorektalen Karzinomen gezeigt werden, dass an H.E.-Schnitten morphologische Phänomene wie Tumor Budding und bestimmte morphologisch fassbare Veränderungen in der Tumorumgebung (Mikroenviroment, epithelialmesenchymale Transition) signifikant und zuverlässig diagnostiziert werden können und davon abgeleitet die Aggressivität eines kolorektalen Karzinoms eingeschätzt werden kann.
Hierbei wurden alle Fälle, bei denen eine Tumoreinzelzelle bzw. ein Zellcluster mit weniger als fünf Zellen mikroskopiert werden konnte, in die Gruppe der Tumorbudds aufgenommen. Der Nachweis von Tumorbudds war ein unabhängiger Marker auf eine systemische Tumorausbreitung.
Es fand sich überdurchschnittlich häufig ein Zusammenhang zwischen Tumor Budding und schlechteren Überlebensraten sowie einer fortgeschrittenen Tiefeninfiltration (höhere pT-Stadien), Lymphknoten- oder Fernmetastasen bzw. hohen UICC-Stadien III/IV.
Ein weiteres Hauptaugenmerk wurde auf morphologische Veränderungen des Mikroenviroments und hierbei insbesondere auf die Fibroblasten des den Tumor umgebenden Bindegewebes sowie Zellen des Immunsystems, u.a. Lymphozyten und Makrophagen gelegt. Es konnte ein signifikanter Zusammenhang einer fibroblastenreichen Umgebungsreaktion mit wenigen Makrophagen und Lymphozyten und einem positiven Lymphknotenstatus oder hohen UICC Stadien III/IV gezeigt werden.
Beim Vergleich der Umgebungsreaktion mit dem Tumor Budding wurden in Bezug auf den Lymphknotenstatus und dem UICC-Stadium signifikant häufiger eine fibroblastenreiche Reaktion in Kombination mit einem Tumor Budding als eine Gewebsreaktion in Kombination mit Tumor Budding bei Tumoren mit Lymphknotenmetastasen bzw. hohen UICC-Stadien III/IV nachgewiesen.
Vergleichende Untersuchungen zwischen den oben beschriebenen morphologischen Veränderungen und Mutationen des Exon 2 im KRAS-Gen blieben ohne eine statistische Signifikanz. Der Vergleich der Sequenziermethode nach Sanger mit der Pyrosequenzierung ergab eine geringfügig höhere Sensitivität für die Sangersequenzierung, wenngleich ohne statistische Signifikanz.
Die Ergebnisse der hier vorgelegten Arbeit bestätigen die hohe Wertigkeit des Tumor Buddings und der Umgebungsreaktion des Tumors für die Einschätzung der Tumoraggressivität. Die Veränderungen sind einfach an H.E.-Routineschnitten zu diagnostizieren. Diese morphologischen Veränderungen spiegeln wahrscheinlich den entscheidenden Übergang eines lokal aggressiv wachsenden Tumors in einen Tumor mit Lymphknoten- und Fernmetastasierung wieder. Möglicherweise spielt die Interaktion zwischen Fibrozyten/blasten und ortsständigen oder eingewanderten Makrophagen eine wichtigere Rolle in der körpereigenen Tumorabwehr als bisher angenommen.
Peroxisome proliferator-activated receptors (PPARs) are ligand-activated transcription factors that are implicated in the regulation of lipid and glucose homeostasis. PPAR agonists have been shown to control inflammatory processes, in part by inhibiting distinct proinflammatory genes (e.g. Il-1β and IFN-γ). IL-8 is a member of the proinflammatory chemokine family that is important for various functions, such as mediating the adhesion of eosinophilic granulocytes onto endothelial cells. The influence of PPARδ activators on the expression of IL-8 in noninduced quiescent endothelial cells is unclear. Therefore, we explored the influence of PPARδ activators on the expression of IL-8 in nonstimulated endothelial cells. PPARδ agonists induce IL-8 expression in human umbilical vein endothelial cells. This induction is demonstrated at the level of both protein and mRNA expression. Transcriptional activation studies using IL-8 reporter gene constructs and DNA binding assays revealed that PPARδ agonists mediated their effects via an NFκB binding site. It is well known that IL-8 is also regulated by mRNA stability. To provide further evidence for this concept, we performed mRNA stability assays and found that PPARδ agonists induce the mRNA stability of IL-8. In addition, we showed that PPARδ agonists induce the phosphorylation of ERK1/2 and p38, which are known to be involved in the increase of mRNA stability. The inhibition of these MAPK signaling pathways resulted in a significant suppression of the induced IL-8 expression and the reduced mRNA stability. Therefore, our data provide the first evidence that PPARδ induces IL-8 expression in nonstimulated endothelial cells via transcriptional as well as posttranscriptional mechanisms.
Hirschsprung’s disease (HD) is a congenital disorder, characterized by aganglionosis in the distal part of the gastrointestinal tract. Despite complete surgical resection of the aganglionic segment, both constipation and fecal incontinence persist in a considerable number of patients with limited treatment options. There is growing evidence for structural abnormalities in the ganglionic bowel proximal to the aganglionosis in both humans and animals with HD, which may play a role in persistent bowel dysfunction. These abnormalities include: (1) Histopathological abnormalities of enteric neural cells; (2) Imbalanced expression of neurotransmitters and neuroproteins; (3) Abnormal expression of enteric pacemaker cells; (4) Abnormalities of smooth muscle cells; and (5) Abnormalities within the extracellular matrix. Hence, a better understanding of these previously unrecognized neuropathological abnormalities may improve follow-up and treatment in patients with HD suffering from persistent bowel dysfunction following surgical correction. In the long term, further combination of clinical and neuropathological data will hopefully enable a translational step towards more individual treatment for HD.
As some cognitive functions decline in old age, the ability to decide about important life events such as medical treatment is endangered. Environmental support to improve the comprehension of health-related information is therefore necessary. With a small-scale explorative approach, the present survey study aimed at investigating person-environment fit (PE-fit) of support provided during medical consultations. This fit was calculated by assessing the match between aids provided by five medical practitioners during medical consultations and aids most appreciated by the geriatric patients (N = 88). The results showed that the largest discrepancies of used and appreciated aids could be found concerning the opportunity to discuss decisions with relatives, the possibility to take notes, the use of objects, pictures and a keyword list. Female patients indicated a lower PE-fit. These findings highlight discrepancies between the use of specific aids and the wishes of patients and call for thoughtful use of aids during consultations with geriatric patients.
As some cognitive functions decline in old age, the ability to decide about important life events such as medical treatment is endangered. Environmental support to improve the comprehension of health-related information is therefore necessary. With a small-scale explorative approach, the present survey study aimed at investigating person-environment fit (PE-fit) of support provided during medical consultations. This fit was calculated by assessing the match between aids provided by five medical practitioners during medical consultations and aids most appreciated by the geriatric patients (N = 88). The results showed that the largest discrepancies of used and appreciated aids could be found concerning the opportunity to discuss decisions with relatives, the possibility to take notes, the use of objects, pictures and a keyword list. Female patients indicated a lower PE-fit. These findings highlight discrepancies between the use of specific aids and the wishes of patients and call for thoughtful use of aids during consultations with geriatric patients.
Background: The aim of this study was to identify pre-operative parameters able to predict length of stay (LoS) based on clinical data and patient-reported outcome measures (PROMs) from a scorecard database in patients with significant aortic stenosis who underwent TAVI (transfemoral aortic valve implantation). Methods: 302 participants (51.7% males, age range 78.2–84.2 years.) were prospectively recruited. After computing the median LoS value (=6 days, range = 5–8 days), we implemented a decision tree algorithm by setting dichotomized values at median LoS as the dependent variable and assessed baseline clinical variables and PROMs (Clinical Frailty Scale (CFS), EuroQol-5 Dimension-5 Levels (EQ-5D) and Kansas City Cardiomyopathy Questionnaire (KCCQ)) as potential predictors. Results: Among clinical parameters, only peripheral arterial disease (p = 0.029, HR = 1.826) and glomerular filtration rate (GFR, cut-off < 33 mL/min/1.73 m2, p = 0.003, HR = 2.252) were predictive of LoS. Additionally, two PROMs (CFS; cut-off = 3, p < 0.001, HR = 1.324 and KCCQ; cut-off = 30, p = 0.003, HR = 2.274) were strong predictors. Further, a risk score for LoS (RS_LoS) was calculated based on these predictors. Patients with RS_LoS = 0 had a median LoS of 5 days; patients RS_LoS ≥ 3 had a median LoS of 8 days. Conclusions: based on the pre-operative values of the above four predictors, a personalized prediction of LoS after TAVI can be achieved.
Recent data have clearly shown that a sustained virologic response can be achieved in different HCV infected patient populations with various interferon-free treatment regimens. Despite the successful implementation of telaprevir- and boceprevir-based triple therapies, all-oral regimens will certainly become a first choice for a number of HCV-infected patients in the very near future, as triple therapy approaches are burdened with significant side-effects and limited success in patients with advanced liver fibrosis and prior null-response to pegylated interferon-α (pegIFN-α)/ribavirin therapy. However, available data from phase I and II clinical trials evaluating interferon-free regimens have not yet revealed a clearly outstanding all-oral combination, and numerous challenges remain to be addressed by intensive ongoing and future research. In particular, thus far evaluated all-oral regimens did not cure a satisfactory percentage of patients with unfavorable baseline characteristics, namely patients infected with HCV genotype 1a, previous null-response to pegIFN-α/ribavirin, or liver cirrhosis. In this review, we summarize available data of interferon-free regimens for the treatment of chronic hepatitis C and assess implications for perspectives and challenges in the further development of all-oral therapies.
Peutz–Jeghers syndrome (PJS) is a rare autosomal-dominant inherited disorder characterized by gastrointestinal hamartomas, mucocutaneous pigmentation, and an elevated cancer risk. Moreover, intussusception risk may be as high as 50% at the age of 20 years and is caused by large polyps. There is some evidence that endoscopic surveillance of PJS patients with removal of small intestinal polyps with a diameter of more than 15 mm efficiently prevents intussusceptions. In recent years, capsule endoscopy (CE) has largely replaced small-bowel radiography techniques to screen for small-bowel polyps. Magnetic resonance imaging may be equally efficient as CE for screening of large polyps. Balloon enteroscopy may be used for endoscopic snare resection of polyps. This article is part of an expert video encyclopedia.
Simple Summary:
Pharmacological activation of tumor suppressor p53 is a promising therapeutic strategy for a range of hematologic and solid cancers. Whether p53 activation augments or suppresses anti-tumor innate immunity is less understood. Here we show that treatment of differentiating human macrophages with a p53 activator idasanutlin suppresses their inflammatory responses to activators of toll-like receptors (TLR) -4 and -7/8. This is accompanied by reduced expression of TLR7, TLR8, as well as TLR4 co-receptor CD14. These data help evaluating the possibilities of combining p53-targeting and immunostimulatory anti-cancer therapies.
Abstract:
The transcription factor p53 has well-recognized roles in regulating cell cycle, DNA damage repair, cell death, and metabolism. It is an important tumor suppressor and pharmacological activation of p53 by interrupting its interaction with the ubiquitin E3 ligase mouse double minute 2 homolog (MDM2) is actively explored for anti-tumor therapies. In immune cells, p53 modulates inflammatory responses, but the impact of p53 on macrophages remains incompletely understood. In this study, we used the MDM2 antagonist idasanutlin (RG7388) to investigate the responses of primary human macrophages to pharmacological p53 activation. Idasanutlin induced a robust p53-dependent transcriptional signature in macrophages, including several pro-apoptotic genes. However, idasanutlin did not generally sensitize macrophages to apoptosis, except for an enhanced response to a Fas-stimulating antibody. In fully differentiated macrophages, idasanutlin did not affect pro-inflammatory gene expression induced by toll-like receptor 4 (TLR4), TLR3, and TLR7/8 agonists, but inhibited interleukin-4-induced macrophage polarization. However, when present during monocyte to macrophage differentiation, idasanutlin attenuated inflammatory responses towards activation of TLR4 and TLR7/8 by low doses of lipopolysaccharide or resiquimod (R848). This was accompanied by a reduced expression of CD14, TLR7, and TLR8 in macrophages differentiated in the presence of idasanutlin. Our data suggest anti-inflammatory effects of pharmacological p53 activation in differentiating human macrophages.
Ventrikulitis bezeichnet eine Infektion der inneren Liquorräume des Gehirns. Sie tritt gehäuft nach neurochirurgischen Eingriffen, wie z.B. der Anlage einer EVD oder eines VP-Shunts auf, da die Fremdkörper als Eintrittspforten für Bakterien dienen können. Zur Therapie der Ventrikulitis werden am Universitätsklinikum Frankfurt nach hausinternem Standard Meropenem und Vancomycin verwendet. Bei beiden Antibiotika ist für die Therapie von entscheidender Bedeutung, dass ihre Wirkstoffkonzentration über einen möglichst langen Zeitraum oberhalb der MHK liegt. Bei der Ventrikulitis ist insbesondere die Wirkstoffkonzentration im Liquor ausschlaggebend. Problematisch ist bei der Therapie, dass die verabreichten Antibiotika die Blut-Hirn-Schranke überwinden müssen. Diese ist im Normalfall für Medikamente schwer durchlässig, allerdings kann ihre Barrierefunktion durch Infektionen abgeschwächt sein. Zur Therapie der Ventrikulitis wurden als Standard im Universitätsklinikum Frankfurt am Main bislang 3x2g Meropenem und 2x1g Vancomycin täglich als diskontinuierlicher, verlängerter Bolus verabreicht.
In einer Studie von Blassmann et al.191 zeigte sich, dass sich durch dieses Dosisregime nur in etwa der Hälfte der Fälle eine ausreichende Wirkstoffkonzentration im Liquor einstellte. Daraus ergab sich die Fragestellung, ob durch kontinuierliche TDM-gesteuerte Gabe von Meropenem und Vancomycin (wie sie seit 2016 in der Neurochirurgie des Universitätsklinikums Frankfurt angewandt wird) höhere Liquorspiegel zu erreichen sind, und ob sich Nomogramme für die Eindosierung und Dosisanpassung für Parameter, wie die Kreatinin-Clearance, erstellen lassen.
Um der Fragestellung auf den Grund zu gehen, wurden neun Patienten, die an Ventrikulitis erkrankt waren und mit diesem Dosisregime behandelt wurden, in diese Studie eingeschlossen. Hauptzielgrößen waren die Serum- und Liquorkonzentration von Meropenem und Vancomycin. Darüber hinaus wurden vor allem Entzündungsparameter und Nierenfunktionsparameter erfasst. Für die Eindosierung wurden modifizierte Nomogramme einer Studie verwendet, in der Sepsis-Patienten mittels kontinuierlicher Infusion von Meropenem und Vancomycin behandelt wurden.
Die entnommenen Serum- und Liquorproben wurden an die Apotheke des Klinikums Heidenheim versendet und dort analysiert. Jeweils 24 Stunden nach den Messungen erfolgten notwendige Dosisanpassungen, während weitere 24 Stunden später erneut gemessen wurde.
Die Auswertung der Ergebnisse ergab, dass die verwendeten Dosierungen deutlich über den bisherigen Standarddosierungen beider Medikamente lagen. Die resultierenden Wirkstoffkonzentrationen im Serum und im Liquor befanden sich fast ausschließlich innerhalb des angestrebten Intervalls. Die Entzündungsparameter nahmen im Verlauf ab, während die Nierenfunktionsparameter konstant blieben, oder sich trotz hoher Dosierung von Vancomycin sogar verbessert haben.
Die Simulation des Modells ergab zunächst eine Diskrepanz zwischen gemessenen und simulierten Werten. Nach einer Parameteranpassung gelang es, das Verhalten der Meropenemkonzentrationen in dem untersuchten Dosisregime besser zu simulieren, während bei Vancomycin weiterhin Abweichungen bestehen blieben. Mit den neu geschätzten Parametern wurde für Meropenem eine neue Simulation durchgeführt, um die Dosis zu optimieren. Außerdem wurde der Zusammenhang zwischen der Meropenem- und der Kreatinin-Clearance überprüft. Im letzten Schritt wurden aus der optimierten Dosis und der initialen bzw. mittleren Kreatinin-Clearance Nomogramme erstellt, wobei die optimierte Dosis in zwei Nomogrammen auch auf das Körpergewicht des jeweiligen Patienten bezogen wurde. Daraus ergaben sich schließlich die Nomogramme für die Eindosierung und Dosisanpassung für Meropenem.
Als Fazit lässt sich in Bezug auf die Eingangsfrage festhalten, dass durch kontinuierliche TDM-gesteuerte Gabe von Meropenem und Vancomycin viel zuverlässiger wirksame Liquorspiegel dieser Medikamente zu erreichen sind als mit der bisherigen Standarddosierung. Außerdem konnten für Meropenem Nomogramme für die Eindosierung und Dosisanpassung erstellt werden, während die fehlende Korrelation der Vancomycinwerte mit der Kreatinin-Clearance dies nicht zuließ. Für Vancomycin muss daher eine mindestens tägliche Konzentrationsmessung empfohlen werden.
Grundsätzlich bleibt aber festzuhalten, dass durch die kontinuierliche TDM-gesteuerte Gabe viel zuverlässiger wirksame Liquorkonzentrationen der beiden Antibiotika erreicht werden konnten, verglichen mit der diskontinuierlichen Gabe.
Background: Nearly all patients with newly diagnosed glioblastoma experience recurrence following standard-of-care radiotherapy (RT) + temozolomide (TMZ). The purpose of the phase III randomized CheckMate 548 study was to evaluate RT + TMZ combined with the immune checkpoint inhibitor nivolumab (NIVO) or placebo (PBO) in patients with newly diagnosed glioblastoma with methylated MGMT promoter (NCT02667587).
Methods: Patients (N = 716) were randomized 1:1 to NIVO [(240 mg every 2 weeks × 8, then 480 mg every 4 weeks) + RT (60 Gy over 6 weeks) + TMZ (75 mg/m2 once daily during RT, then 150-200 mg/m2 once daily on days 1-5 of every 28-day cycle × 6)] or PBO + RT + TMZ following the same regimen. The primary endpoints were progression-free survival (PFS) and overall survival (OS) in patients without baseline corticosteroids and in all randomized patients.
Results: As of December 22, 2020, median (m)PFS (blinded independent central review) was 10.6 months (95% CI, 8.9-11.8) with NIVO + RT + TMZ vs 10.3 months (95% CI, 9.7-12.5) with PBO + RT + TMZ (HR, 1.1; 95% CI, 0.9-1.3) and mOS was 28.9 months (95% CI, 24.4-31.6) vs 32.1 months (95% CI, 29.4-33.8), respectively (HR, 1.1; 95% CI, 0.9-1.3). In patients without baseline corticosteroids, mOS was 31.3 months (95% CI, 28.6-34.8) with NIVO + RT + TMZ vs 33.0 months (95% CI, 31.0-35.1) with PBO + RT + TMZ (HR, 1.1; 95% CI, 0.9-1.4). Grade 3/4 treatment-related adverse event rates were 52.4% vs 33.6%, respectively.
Conclusions: NIVO added to RT + TMZ did not improve survival in patients with newly diagnosed glioblastoma with methylated or indeterminate MGMT promoter. No new safety signals were observed.
Background: Autism spectrum disorder (ASD) is characterized by impaired social communication and interaction, and stereotyped, repetitive behaviour and sensory interests. To date, there is no effective medication that can improve social communication and interaction in ASD, and effect sizes of behaviour-based psychotherapy remain in the low to medium range. Consequently, there is a clear need for new treatment options. ASD is associated with altered activation and connectivity patterns in brain areas which process social information. Transcranial direct current stimulation (tDCS) is a technique that applies a weak electrical current to the brain in order to modulate neural excitability and alter connectivity. Combined with specific cognitive tasks, it allows to facilitate and consolidate the respective training effects. Therefore, application of tDCS in brain areas relevant to social cognition in combination with a specific cognitive training is a promising treatment approach for ASD. Methods: A phase-IIa pilot randomized, double-blind, sham-controlled, parallel-group clinical study is presented, which aims at investigating if 10 days of 20-min multi-channel tDCS stimulation of the bilateral tempo-parietal junction (TPJ) at 2.0 mA in combination with a computer-based cognitive training on perspective taking, intention and emotion understanding, can improve social cognitive abilities in children and adolescents with ASD. The main objectives are to describe the change in parent-rated social responsiveness from baseline (within 1 week before first stimulation) to post-intervention (within 7 days after last stimulation) and to monitor safety and tolerability of the intervention. Secondary objectives include the evaluation of change in parent-rated social responsiveness at follow-up (4 weeks after end of intervention), change in other ASD core symptoms and psychopathology, social cognitive abilities and neural functioning post-intervention and at follow-up in order to explore underlying neural and cognitive mechanisms. Discussion: If shown, positive results regarding change in parent-rated social cognition and favourable safety and tolerability of the intervention will confirm tDCS as a promising treatment for ASD core-symptoms. This may be a first step in establishing a new and cost-efficient intervention for individuals with ASD.
Traumatic brain injury (TBI) is often complicated by long-lasting disabilities, including headache, fatigue, insomnia, hyperactivity, and cognitive deficits. In a previous study in mice, we showed that persistent non-goal-directed hyperactivity is a characteristic post-TBI behavior that was associated with low levels of endocannabinoids in the perilesional cortex. We now analyzed lipidome patterns in the brain and plasma in TBI versus sham mice in association with key behavioral parameters and endocannabinoids. Lipidome profiles in the plasma and subcortical ipsilateral and contralateral brain were astonishingly equal in sham and TBI mice, but the ipsilateral perilesional cortex revealed a strong increase in neutral lipids represented by 30 species of triacylglycerols (TGs) of different chain lengths and saturation. The accumulation of TG was localized predominantly to perilesional border cells as revealed by Oil Red O staining. In addition, hexosylceramides (HexCer) and phosphatidylethanolamines (PE and ether-linked PE-O) were reduced. They are precursors of gangliosides and endocannabinoids, respectively. High TG, low HexCer, and low PE/PE-O showed a linear association with non-goal-directed nighttime hyperactivity but not with the loss of avoidance memory. The analyses suggest that TG overload and HexCer and PE deficiencies contributed to behavioral dimensions of post-TBI psychopathology.
Phosphodiesterase type 2A (PDE2A) hydrolyzes cyclic nucleotides cAMP and cGMP, thus efficiently controlling cNMP-dependent signaling pathways. PDE2A is composed of an amino-terminal region, two regulatory GAF domains, and a catalytic domain. Cyclic nucleotide hydrolysis is known to be activated by cGMP binding to GAF-B; however, other mechanisms may operate to fine-tune local cyclic nucleotide levels. In a yeast two-hybrid screening we identified XAP2, a crucial component of the aryl hydrocarbon receptor (AhR) complex, as a major PDE2A-interacting protein. We mapped the XAP2 binding site to the GAF-B domain of PDE2A. PDE assays with purified proteins showed that XAP2 binding does not change the enzymatic activity of PDE2A. To analyze whether PDE2A could affect the function of XAP2, we studied nuclear translocation of AhR, i.e. the master transcription factor controlling the expression of multiple detoxification genes. Notably, regulation of AhR target gene expression is initiated by tetrachlorodibenzodioxin (TCDD) binding to AhR and by a poorly understood cAMP-dependent pathway followed by the translocation of AhR from the cytosol into the nucleus. Binding of PDE2A to XAP2 inhibited TCDD- and cAMP-induced nuclear translocation of AhR in Hepa1c1c7 hepatocytes. Furthermore, PDE2A attenuated TCDD-induced transcription in reporter gene assays. We conclude that XAP2 targets PDE2A to the AhR complex, thereby restricting AhR mobility, possibly by a local reduction of cAMP levels. Our results provide first insights into the elusive cAMP-dependent regulation of AhR.
In the course of the odontogenesis of bovine incisors several clearly distinguishable phosphohydrolase activities are observed in the pulp and in dental hard tissues. Using various substrates and inhibitors, unspecific alkaline phosphatase, two isoenzymes of acid phosphatase, Ca2+-activated ATPase and inorganic pyrophosphatase are characterized. The enzymatic activity of alkaline phosphatase in pulp and hard tissues is significantly high at the beginning of dentine and enamel mineralization. The specific activity of this enzyme decreases quite fast with the beginning of root formation, then more slowly, until it reaches a constant final value. Histochemical studies show that during mineralization the maximum of alkaline phosphatase activity is in the subodontoblasts. Lower enzyme concentrations are found in the stratum intermedium and in the outer enamel epithelium during that process.
The specific activities of ATPase, acid phosphatases and pyrophosphatase show little temporal variation during tooth development, but they also appear in a characteristic spatial pattern in the dental tissues.
There is evidence that endothelial nitric-oxide synthase (eNOS) is regulated by reciprocal dephosphorylation of Thr497 and phosphorylation of Ser1179. To examine the interrelationship between these sites, cells were transfected with wild-type (WT), T497A, T497D, S1179D, and T497A/S1179D eNOS and activity, NO release and eNOS localization were assessed. Although eNOS T497A, S1179D and T497A/S1179D eNOS had greater enzymatic activity than did WT eNOS in lysates, basal production of NO from cells was markedly reduced in cells transfected with T497A and T497A/S1179D eNOS but augmented in cells transfected with S1179D eNOS. Stimulating cells with ATP or ionophore normalized the loss of function seen with T497A and T497A/S1179D eNOS to levels observed with WT and S1179D eNOS, respectively. Despite these functional differences, the localization of eNOS mutants were similar to WT. Because both T497A and T497A/S1179D eNOS exhibited higher enzyme activity but reduced production of NO, we examined whether these mutations were “uncoupling” NO synthesis. T497A and T497A/S1179D eNOS generated 2-3 times more superoxide anion than WT eNOS, and both basal and stimulated interactions of T497A/S1179D eNOS with hsp90 were reduced in co-immunoprecipitation experiments. Thus, the phosphorylation/dephosphorylation of Thr497 may be an intrinsic switch mechanism that determines whether eNOS generates NO versus superoxide in cells.
Lactate dehydrogenase from pig heart is inactivated by the NAD+ -analog P1-N6-(4-azidophenylethyl)adenosine-P2-[4-(3-azidopyridinio)butyl]diphosphate (6) upon irradiation with UV light of wavelengths in the range from 300 to 380 nm. The decrease in enzyme activity can be prevented by the addition of NAD+ and oxalate. The modified enzyme shows a reduced binding capacity for its coenzyme as compared to native lactate dehydrogenase. The amount of incorporated coenzyme is deduced from the ribose content of inactivated enzyme. Tryptic digestion of the modified protein and separation of the peptides by HPLC yields 5 ribose-containing fractions. One of them, fraction 6 6 , is split by treatment with nucleotide pyrophosphatase into two subfractions, 63 and 58. Only subfraction 63 contains ribose. Whereas peptide 58 shows a UV absorption spectrum similar to that of 4-(3-aminopyridinio)-butyl phosphate (3). Amino acid analyses of the peptides indicate that the inactivator forms covalent bonds with different parts of the protein: Peptide 63 is characterized by a great portion of hydrophobic amino acids whereas peptide 58 shows a high degree of hydrophilicity.
Many countries have restricted public life during the SARS-CoV2 pandemic. As related measures limited the access to sports facilities, this dissertation aimed (1) to examine changes in physical activity (PA) and well-being in affected countries, and (2) to determine the effectiveness of a digital home exercise program in this context.
Part 1 (PA/well-being) of the dissertation was a digital survey administered in 14 countries. Participants reported a 41 - 42% reduction of PA (NPAQ-SF) during restrictions (n=13,503 valid responses). Compliance with international PA guidelines decreased by nearly 19%. Mental well-being declined substantially (n=14,975 responses; 68.1 to 51.9 points on the WHO5 index) and the proportion of individuals at risk of depression tripled (14.2% to 45.2%). Physical well-being (SF-36 Pain) decreased slightly (85.8% to 81.3%). About two thirds (68.1%) of the respondents reported being interested in digital home exercise.
For Part 2 (digital home exercise) of the dissertation, an international multicenter randomized, controlled trial was performed allocating healthy adults (n=763; 33±12 years) to an intervention (IG) or control (CG) group. In contrast to the CG, the IG was offered live-streamed home exercise for four weeks. Subsequently, both groups had access to pre-recorded workouts for another four weeks. Outcomes were measured weekly using validated questionnaires. Mixed-models data analyses revealed an up to 1.65-fold (95% CI: 1.4-1.94; week 1) increase of PA relative to the CG. Moreover, small improvements in exercise motivation (SKK scale), psychological well-being (WHO-5 index), sleep quality (MOS Sleep Scale), and anxiety symptoms (GAD-7 Scale) were observed for IG.
The results of this dissertation suggest that public life restrictions associated with the pandemic had significant adverse effects on movement behavior and well-being. Digital home exercise can help to maintain and/or increase health- beneficial PA and well-being and may hence represent a supportive element of viral containment efforts.
Physical activity and well-being during the second COVID19-related lockdown in Germany in 2021
(2021)
In the second wave of the COVID-19 pandemic in Germany, lockdown measures were reinstalled and were in place between November 2020 and April 2021, including the closure of physical activity facilities. The aim of the current online survey was to assess the lockdown effects on physical activity and well-being in the general population. Pre-lockdown vs. lockdown differences were tested with the Χ2 test and the Student’s t-test for paired data. Predictor variables to explain compliance with physical activity recommendations were identified using a fixed-effects binary logistic regression analysis. Data of 993 respondents were analyzed. Transport-related and leisure-time physical activity decreased (p < 0.001, d = 0.25, and p < 0.001, d = 0.33, respectively). Compliance with physical activity recommendations decreased from 42.2% to 29.4% (chi2 (1, 1986) = 35.335, p < 0.001, V = 0.13). Well-being decreased significantly (t (990) = 23.405, p < 0.001) by 16.3 points (d = 0.74). Physical activity and well-being declined in German adults during the second COVID-19-related lockdown. Physical activity should be promoted also in light of the emerging evidence on its protective effects against COVID-19.
Physical inactivity is discussed as one of the most detrimental influences for lifestyle-related medical complications such as obesity, heart disease, hypertension, diabetes and premature mortality in in- and outpatients with major depressive disorder (MDD). In contrast, intervention studies indicate that moderate-to-vigorous-intensity physical activity (MVPA) might reduce complications and depression symptoms itself. Self-reported data on depression [Beck-Depression-Inventory-II (BDI-II)], general habitual well-being (FAHW), self-esteem and physical self-perception (FAHW, MSWS) were administrated in a cross-sectional study with 76 in- and outpatients with MDD. MVPA was documented using ActiGraph wGT3X + ® accelerometers and fitness was measured using cardiopulmonary exercise testing (CPET). Subgroups were built according to activity level (low PA defined as MVPA < 30 min/day, moderate PA defined as MVPA 30–45 min/day, high PA defined as MVPA > 45 min/day). Statistical analysis was performed using a Mann–Whitney U and Kruskal–Wallis test, Spearman correlation and mediation analysis. BDI-II scores and MVPA values of in- and outpatients were comparable, but fitness differed between the two groups. Analysis of the outpatient group showed a negative correlation between BDI-II and MVPA. No association of inpatient MVPA and psychopathology was found. General habitual well-being and self-esteem mediated the relationship between outpatient MVPA and BDI-II. The level of depression determined by the BDI-II score was significantly higher in the outpatient low- and moderate PA subgroups compared to outpatients with high PA. Fitness showed no association to depression symptoms or well-being. To ameliorate depressive symptoms of MDD outpatients, intervention strategies should promote habitual MVPA and exercise exceeding the duration recommended for general health (≥ 30 min/day). Further studies need to investigate sufficient MVPA strategies to impact MDD symptoms in inpatient settings. Exercise effects seem to be driven by changes of well-being rather than increased physical fitness.
By means of differential thermoanalysis, the miscibility of the main polar tetraether lipid of Thermoplasma acidophilum with two ester lipids, dipalmitoyl phosphatidylcholine and dipalmitoyl phosphatidylglycerol, resp., in the presence of excess water was studied. It is shown that with increasing fraction of tetraether lipid in the mixture, the transition range of dipalmitoyl phosphatidylcholine is broadened and the temperature of the maximum heat flow (Tm) is shifted to lower temperatures; furthermore, the enthaply change (ΔH) of the transition declines. Similar results were obtained with mixtures of tetraether lipid with dipalmitoyl phosphatidylglycerol. It is therefore concluded that the main polar tetraether lipid of Thermoplasma acidophilum , which essentially forms monomolecular layers, is able to form stable common phases with bilayer-forming ester lipids. Miscibility of the tetraether lipid with dipalmitoyl phosphatidylglycerol, which are both monovalent anions at neutral pH, is also observed in the presence of high proton or calcium ion concentrations.
The lung tumor microenvironment plays a critical role in the tumorigenesis and metastasis of lung cancer, resulting from the crosstalk between cancer cells and microenvironmental cells. Therefore, comprehensive identification and characterization of cell populations in the complex lung structure is crucial for development of novel targeted anti-cancer therapies. Here, a hierarchical clustering approach with multispectral flow cytometry was established to delineate the cellular landscape of murine lungs under steady-state and cancer conditions. Fluorochromes were used multiple times to be able to measure 24 cell surface markers with only 13 detectors, yielding a broad picture for whole-lung phenotyping. Primary and metastatic murine lung tumor models were included to detect major cell populations in the lung, and to identify alterations to the distribution patterns in these models. In the primary tumor models, major altered populations included CD324+ epithelial cells, alveolar macrophages, dendritic cells, and blood and lymph endothelial cells. The number of fibroblasts, vascular smooth muscle cells, monocytes (Ly6C+ and Ly6C–) and neutrophils were elevated in metastatic models of lung cancer. Thus, the proposed clustering approach is a promising method to resolve cell populations from complex organs in detail even with basic flow cytometers.
Zielsetzung: Ziel dieser Studie war die Überprüfung der Machbarkeit einer softwaregestützten radiologischen Evaluation der Cageposition und Quantifizierung einer möglichen Cagemigration und -sinterung anhand computertomographisch gewonnener DICOM-Daten im Rahmen des Heilungsprozesses interkorporell fusionierter Patienten. Zusätzlich dazu wurde eine mögliche Korrelation zum Fusionsverhalten des Cages sowie zum klinischen Outcome der Patienten analysiert.
Material und Methoden: In den postoperativen CT Datensätzen von 67 Patienten nach monosegmentaler, dorsal instrumentierter TLIF wurde mithilfe der Software VGStudio Max die Cageposition bestimmt. Eine im postoperativen Verlauf eingetretene Lageänderung ≥ 1 mm bzw. ≥ 3° wurde hierbei als minimale Migration / Sinterung, eine Lageänderung ≥ 3 mm bzw. ≥ 10° als deutliche Migration / Sinterung des Cages gewertet. Um zu prüfen, ob das Migrations- und Sinterungsverhalten einen Einfluss auf die Osteogenese hat, erfolgte auf Basis der von Bridwell et al publizierten Fusionskriterien in den 12 Monate postoperativen CT-Aufnahmen eine Evaluation des Fusionstatus‘. Zur klinischen Beurteilung wurden der Oswestry Disability Index, die Visuelle Analogskala, der Schmerzmittelbedarf und der modifizierte Pationnaire Questionnaire der Patienten ausgewertet.
Ergebnisse: Die Messung der Cageposition mittels VGStudio Max ist eine präzise und reliable Methode zur Quantifizierung einer Cagemigration und -sinterung. Insgesamt war bei 85,1% der Patienten eine Migration (61,2% minimal, 23,9% deutlich) und bei 58,2% der Patienten eine Sinterung (32,8% minimal, 25,4% deutlich) des Cages nachweisbar. Radiologische Zeichen einer Pseudarthrose fanden sich bei 5 Patienten (7,5%). Die übrigen 92,5% der Patienten wiesen eine Grad I bzw. II Fusion auf.
Cagemigration und -sinterung hatten keinen signifikanten Einfluss auf das Fusionsverhalten und das klinische Outcome. Eine Korrelation zwischen Fusionsergebnis und klinischem Outcome bestand ebenfalls nicht.
Schlussfolgerung: Die Inzidenz der Cagemigration ist - unter Berücksichtigung auch geringfügiger Lageänderungen der Cages - deutlich höher als vorbeschrieben. Auf Basis des Migrations- bzw. Sinterungsverhaltens von Cages können jedoch keine Rückschlüsse auf das Fusionsergebnis gezogen werden. Als Kriterium in der Fusionsbeurteilung eignet sich der Nachweis einer Cagemigration bzw. -sinterung daher nicht in dem Ausmaß wie bisher vermutet.
Recent advances in mathematical modelling and artificial intelligence have challenged the use of traditional regression analysis in biomedical research. This study examined artificial and cancer research data using binomial and multinomial logistic regression and compared its performance with other machine learning models such as random forests, support vector machines, Bayesian classifiers, k-nearest neighbours and repeated incremental clipping (RIPPER). The alternative models often outperformed regression in accurately classifying new cases. Logistic regression had a structural problem similar to early single-layer neural networks, which limited its ability to identify variables with high statistical significance for reliable class assignment. Therefore, regression is not always the best model for class prediction in biomedical datasets. The study emphasises the importance of validating selected models and suggests that a mixture of experts approach may be a more advanced and effective strategy for analysing biomedical datasets.
Formation of the anteroposterior and dorsoventral body axis in the Caenorhabditis elegans embryo depends on cortical actomyosin flows and advection of polarity determinants. The role of this patterning mechanism in tissue polarization immediately after formation of cell-cell contacts is not fully understood. Here, we demonstrate that planar cell polarity (PCP) is established in the C. elegans embryo at the time of left-right (l/r) symmetry breaking. At this stage, centripetal cortical flows asymmetrically and differentially advect anterior polarity determinants (aPARs) PAR-3, PAR-6 and PKC-3 from cell-cell contacts to the medial cortex, which results in their unmixing from apical myosin. Advection generally requires GSK-3 and CDC-42, while advection of PAR-6 specifically depends on the RhoGAP PAC-1. Concurrent asymmetric retention of PAR-3, E-cadherin/HMR-1, PAC-1 and opposing retention of the antagonistic Wnt pathway components APC/APR-1 and Frizzled/MOM-5 at apical cell-cell contacts leads to planar asymmetries. The most obvious mark of PCP, asymmetric retention of PAR-3 at posterior cell-cell contacts on the left side of the embryo, is required for proper cytokinetic cell intercalation. Hence, our data uncover how PCP can be established through Wnt signaling as well as dissociation and planar asymmetric retention of aPARs mediated by distinct Rho GTPases and their regulators.
Diabetes mellitus is a major risk factor for cardiovascular disease. Platelets from diabetic patients are hyperreactive and release microparticles that carry activated cysteine proteases or calpains. Whether platelet-derived calpains contribute to the development of vascular complications in diabetes is unknown. Here we report that platelet-derived calpain1 (CAPN1) cleaves the protease-activated receptor 1 (PAR-1) on the surface of endothelial cells, which then initiates a signaling cascade that includes the activation of the tumor necrosis factor (TNF)-α converting enzyme (TACE). The latter elicits the shedding of the endothelial protein C receptor and the generation of TNF-α, which in turn, induces intracellular adhesion molecule (ICAM)-1 expression to promote monocyte adhesion. All of the effects of CAPN1 were mimicked by platelet-derived microparticles from diabetic patients or from wild-type mice but not from CAPN1−/− mice, and were not observed in PAR-1-deficient endothelial cells. Importantly, aortae from diabetic mice expressed less PAR-1 but more ICAM-1 than non-diabetic mice, effects that were prevented by treating diabetic mice with a calpain inhibitor as well as by the platelet specific deletion of CAPN1. Thus, platelet-derived CAPN1 contributes to the initiation of the sterile vascular inflammation associated with diabetes via the cleavage of PAR-1 and the release of TNF-α from the endothelial cell surface.
Essentials
• The role of platelet IL-1β release in chronic inflammation is currently unclear.
• Platelets from 65 patients with varying degrees of chronic inflammation were studied.
• Chronic inflammation linked to reduced levels of intracellular IL-1β and IL-1β release.
• Chronic inflammation induces a phenotype that indicates chronic IL-1β release from platelets.
Abstract
Background: Chronic inflammation is a cardiovascular risk factor, and interleukin-1β (IL-1β) is central to the inflammatory host response. Platelets contain the NLRP3 inflammasome and are able to translate IL-1β messenger RNA (mRNA) and secrete mature IL-1β upon activation. However, the role of a chronic inflammatory environment in platelet IL-1β mRNA and protein content remains unclear.
Objectives: The aim of the current study was to investigate intracellular platelet IL-1β and IL-1β mRNA in a chronic inflammatory state.
Methods: Sixty-five patients with stable inflammation (ie, high-sensitivity C-reactive protein within predefined margins in 2 separate measurements) were stratified according to high-sensitivity C-reactive protein levels in low (0.0-0.9 mg/L), medium (1.0-2.9 mg/L), and high (3.0-9.9 mg/L) risk groups. Platelet reactivity as well as platelet IL-1β protein synthesis were studied.
Results: The highest risk group was characterized by a distinct cardiovascular risk profile and approximately 20% higher platelet counts. While platelet reactivity was not different, a reduction in intracellular platelet IL-1β mRNA and IL-1β protein levels was observed in the highest risk group and was linked to decreased platelet size and granularity. This signature suggests a phenotype of chronic IL-1β secretion and could be experimentally phenocopied by stimulation of platelets from healthy volunteers with either TRAP-6 or collagen related peptide (CRP-XL).
Conclusion: Our data suggest a phenotype of chronic IL-1β secretion by platelets in patients with chronic sterile inflammation.
RBFOX1 is a highly pleiotropic gene that contributes to several psychiatric and neurodevelopmental disorders. Both rare and common variants in RBFOX1 have been associated with several psychiatric conditions, but the mechanisms underlying the pleiotropic effects of RBFOX1 are not yet understood. Here we found that, in zebrafish, rbfox1 is expressed in spinal cord, mid- and hindbrain during developmental stages. In adults, expression is restricted to specific areas of the brain, including telencephalic and diencephalic regions with an important role in receiving and processing sensory information and in directing behaviour. To investigate the effect of rbfox1 deficiency on behaviour, we used rbfox1sa15940, a rbfox1 loss-of-function line. We found that rbfox1sa15940 mutants present hyperactivity, thigmotaxis, decreased freezing behaviour and altered social behaviour. We repeated these behavioural tests in a second rbfox1 loss-of-function line with a different genetic background, rbfox1del19, and found that rbfox1 deficiency affects behaviour similarly in this line, although there were some differences. rbfox1del19 mutants present similar thigmotaxis, but stronger alterations in social behaviour and lower levels of hyperactivity than rbfox1sa15940 fish. Taken together, these results suggest that rbfox1 deficiency leads to multiple behavioural changes in zebrafish that might be modulated by environmental, epigenetic and genetic background effects, and that resemble phenotypic alterations present in Rbfox1-deficient mice and in patients with different psychiatric conditions. Our study thus highlights the evolutionary conservation of rbfox1 function in behaviour and paves the way to further investigate the mechanisms underlying rbfox1 pleiotropy on the onset of neurodevelopmental and psychiatric disorders.
RBFOX1 is a highly pleiotropic gene that contributes to several psychiatric and neurodevelopmental disorders. Both rare and common variants in RBFOX1 have been associated with several psychiatric conditions, but the mechanisms underlying the pleiotropic effects of RBFOX1 are not yet understood. Here we found that, in zebrafish, rbfox1 is expressed in spinal cord, mid- and hindbrain during developmental stages. In adults, expression is restricted to specific areas of the brain, including telencephalic and diencephalic regions with an important role in receiving and processing sensory information and in directing behaviour. To investigate the effect of rbfox1 deficiency on behaviour, we used rbfox1sa15940, a rbfox1 loss-of-function line. We found that rbfox1sa15940 mutants present hyperactivity, thigmotaxis, decreased freezing behaviour and altered social behaviour. We repeated these behavioural tests in a second rbfox1 loss-of-function line with a different genetic background, rbfox1del19, and found that rbfox1 deficiency affects behaviour similarly in this line, although there were some differences. rbfox1del19 mutants present similar thigmotaxis, but stronger alterations in social behaviour and lower levels of hyperactivity than rbfox1sa15940 fish. Taken together, these results suggest that rbfox1 deficiency leads to multiple behavioural changes in zebrafish that might be modulated by environmental, epigenetic and genetic background effects, and that resemble phenotypic alterations present in Rbfox1-deficient mice and in patients with different psychiatric conditions. Our study thus highlights the evolutionary conservation of rbfox1 function in behaviour and paves the way to further investigate the mechanisms underlying rbfox1 pleiotropy on the onset of neurodevelopmental and psychiatric disorders.
Einleitung
APP und die Alzheimersche Krankheit
Das Alzheimer Amyloid Precursor Protein (APP) ist ein Typ-1 Transmembranprotein mit einem Molekulargewicht von 110-135 kDa [Selkoe et al. 1988, Weidemann et al. 1989]. Es wird in allen bisher untersuchten Geweben exprimiert und weist in mehrzelligen Organismen einen hohen Konservierungsgrad auf [Robakis et al. 1987, Rosen et al. 1989]. APP ist unter anderem Vorläufer des β-A4-Peptides (Aβ), das in extrazellulären Aggregaten (Plaques) im Zentralen Nervensystem von Alzheimer-Patienten akkumuliert [Masters et al. 1985]. Die sogenannte „Amyloid-Hypothese der Alzheimerschen Erkrankung“ besagt, dass das Aβ-Peptid eine pathologische Kaskade initiiert, die zur Bildung von amyloiden Plaques, neuronaler Funktionsstörung und letztendlich Demenz führt [Hardy 1997, Selkoe 1999].
Prozessierung des APP
Der Hauptanteil des zellulären APP wird über den (nicht pathogenen) α-Sekretase-Weg prozessiert, wobei das sekretorische APP (α-sAPP) freigesetzt wird, das beinahe der gesamten N-terminalen Ektodomäne des APP entspricht. Die α-Sekretase spaltet APP innerhalb der Aβ-Domäne und verhindert somit die Bildung des pathogenen Aβ-Peptides. Kandidaten für die Katalyse dieser Spaltung sind Proteasen der ADAM-Familie [Buxbaum et al. 1998, Hooper et al. 1997, Koike et al. 1999, Lammich et al. 1999, Loechel et al. 1998].
Das Aβ-Peptid entsteht bei der sukzessiven proteolytischen Spaltung des APP durch die sogenannten β- und γ-Sekretasen. Bei der β-Sekretase handelt es sich um die Aspartat-Protease BACE (β-site APP cleaving enzyme) [Hussain et al. 1999, Sinha et al. 1999, Vassar et al. 1999, Yan et al. 1999]. Die Identität der γ-Sekretase ist noch nicht endgültig geklärt, jedoch spielen Presenilin-1 und -2 sowie Nicastrin eine Rolle bei der γ-Spaltung des APP [de Strooper et al. 1998, 1999, Struhl et al. 2000, Wolfe et al. 1999].
Unter physiologischen Bedingungen wird ca. 30% des APP durch α-Sekretasen prozessiert, ein viel geringerer Anteil dagegen durch die β-Sekretasen. Mehr als die Hälfte des zellulären APP bleibt ungespalten [Koo 2002].
Biologische Funktionen des APP
Die Funktionen des APP lassen sich unterscheiden nach Funktionen der kurzen zytoplasmatischen Domäne und der ca. 100 kDa großen Ektodomäne (α-sAPP). Die zytoplasmatische Domäne des APP stellt eine Plattform für die Bindung verschiedener Interaktionspartner dar. In Kooperation mit den Bindungspartnern spielt APP eine Rolle in unterschiedlichsten zellulären Prozessen wie vesikulärem Transport, Zellmotilität oder Genaktivierung [Review siehe Annaert und de Strooper 2002]. Die meisten Interaktionspartner der zytoplasmatischen Domäne des APP binden an die YENPTY-Sequenz nahe des C-Terminus des APP, die auch als Signal für die Endozytose des APP dient [Perez et al. 1999].
Die sekretorische Ektodomäne des APP hat eine wachstumsfördernde und neuroprotektive Wirkung. Um diese Wirkung auszuüben, bindet α-sAPP an einen bisher unbekannten Rezeptor, der auf der Zelloberfläche diverser Zelltypen wie Neuronen, Fibroblasten, Thyreozyten und Keratinozyten exprimiert wird [Review siehe Schmitz et al. 2002].
Polarer Transport des APP
In polaren MDCK Zellen wird das APP-Holoprotein fast ausschließlich zur basolateralen Zelloberfläche transportiert [Haass et al. 1994]. Es wurde gezeigt, dass dieser polare Transport des APP durch Tyrosin 653 in der zytoplasmatischen Domäne des APP beeinflusst wird. Mutation dieses Tyrosins zu Alanin führte zu partieller Fehlsortierung von ca. 50% des APP zur apikalen Plasmamembran. Die Sekretion von α-sAPP dagegen fand in MDCK-Zellen unabhängig von Tyrosin 653 basolateral statt [Haass et al. 1995].
Intrazellulärer Proteintransport durch Adaptor-Protein-Komplexe
Am intrazellulären Proteintransport sind Adaptor-Protein-Komplexe (APs) beteiligt, die bestimmte Sortierungssignale in der zytoplasmatischen Domäne von Frachtproteinen erkennen. Bis heute sind vier dieser tetrameren AP-Komplexe (AP-1 bis AP-4) bekannt, die zum Teil verschiedene Isoformen einzelner Untereinheiten aufweisen, z.B. AP-1A und AP-1B [Review: Boehm und Bonifacino 2001]. Jeder AP-Komplex spielt eine Rolle in einem bestimmten Schritt des intrazellulären Proteintransportes. Für AP-1A wird eine Funktion im anterograden und retrograden Transport zwischen Endosomen und TGN beschrieben [Review: Hinners und Tooze 2003]. AP-2 vermittelt Endozytose verschiedener Transmembranproteine von der Plasmamembran [Review: Kirchhausen 2002]. AP-3 spielt eine Rolle im Proteintransport zu Lysosomen und Lysosom-ähnlichen Organellen wie Melanosomen [Robinson und Bonifacino 2001]. AP-4 sowie AP1-B sortieren Proteine zur basolateralen Plasmamembran polarer Epithelzellen [Fölsch et al. 1999, Simmen etal. 2002].
Die Sortierungsmotive, die von Adaptor-Komplexen in der zytoplasmatischen Domäne der Fracht-Proteine gebunden werden, enthalten in den meisten Fällen entweder ein Tyrosin oder zwei Leucine. Das gesamte Motiv besteht aus jeweils vier bis zehn Aminosäuren [Review siehe Bonifacino und Traub 2003].
Ziele der Arbeit
In der vorliegenden Arbeit wurde der polare Transport des APP in Epithelzellen untersucht. Ein Ziel war es, Faktoren zu finden, die den basolateralen Transport des APP in Abhängigkeit von Tyrosin 653 vermitteln. Des weiteren sollte der Transport von APP und sAPP in verschiedenen Epithelzelllinien analysiert werden. Um ein gutes Werkzeug zur Detektion von APP zu haben, wurden GFP-APP-Fusionsproteine hergestellt und charakterisiert.
Ergebnisse und Diskussion
GFP-APP-Fusionsproteine wurden hergestellt und in MDCK-, FRT- und LLC-PK1-Zellen stabil exprimiert. Die Charakterisierung der GFP-APP-Fusionsproteine durch Immunfluoreszenzanalysen zeigte, dass die chimeren Proteine im TGN sowie in peripheren Vesikeln lokalisiert sind und mit endogenem APP stark kolokalisieren. GFPAPP war somit gut geeignet, um den intrazellulären Transport des APP zu untersuchen.
Eine Analyse der zytoplasmatischen Domäne des APP im Bereich des Tyrosin 653 zeigte, dass dieses Tyrosin und die drei folgenden Aminosäuren (YTSI) ein Konsensus-Motiv für die Bindung von tetrameren Adaptor-Protein-Komplexen darstellen.
Zu Beginn dieser Arbeit waren AP-1 bis AP-3 bereits gut charakterisiert, wohingegen für AP-4 keine Funktion bekannt war. In Kollaboration mit Simmen et al. konnte gezeigt werden, dass AP-4 den basolateralen Transport einiger Proteine vermittelt [Simmen et al. 2002]. Immunfluoreszenzanalysen lokalisierten AP-4 im TGN und peripheren Vesikeln, die unterschiedlich von AP-1A/B markierten Strukturen waren. Da kaum Kolokalisation von AP-4 und AP-1A/B zu beobachten war, ist die Lokalisation von AP-4 und AP-1B, das auch eine Rolle im basolateralen Proteintransport spielt, in unterschiedlichen Subdomänen des TGN und unterschiedlichen vesikulären Strukturen anzunehmen.
Polarer Transport des APP durch Adaptor-Protein-Komplexe
Die mögliche Funktion von AP-1 und AP-4 im Transport von APP wurde zunächst mit Hilfe von in vitro-Bindungsstudien untersucht. Dazu wurde die zytoplasmatische Domäne des APP als GST-Fusionsprotein kloniert und exprimiert. Die Frachtproteinbindenden Untereinheiten von AP-1 und AP-4 wurden unter Verwendung von radioaktiv markiertem Methionin durch in vitro-Transkription und -Translation hergestellt. In Bindungsstudien interagierten AP-1A und AP-1B mit der zytoplasmatischen Domäne des APP, nicht aber AP-4. Diese Ergebnisse deuten an, dass AP-1A und AP-1B eine Rolle im intrazellulären Transport von APP spielen könnten. AP-4 dagegen scheint nicht an diesem Prozess beteiligt zu sein.
Durch Mutation des Tyrosin 653 in APP zu Alanin (Y653A) wurde die Interaktion zwischen AP-1B und APP stark verringert, was darauf hindeutet, dass dieses Tyrosin einen Teil des Bindungsmotivs für AP-1B darstellt. Übereinstimmend damit entspricht die genaue Aminosäureabfolge des Y653TSI-Motivs den Sotierungsmotiv-Präferenzen von AP-1B [Ohno et al. 1999]. Die Interaktion von AP-1A dagegen war mit WildtypAPP und der Tyrosin-Mutante vergleichbar und scheint somit auf einem anderen Interaktions-Motiv zu basieren. AP-1A und AP-1B erkennen somit unterschiedliche Sortierungsmotive in der zytoplasmatischen Domäne des APP und kooperieren möglicherweise im intrazellulären Transport des APP. Diese Ergebnisse sind der erste Bericht über eine Interaktion von Adaptor-Protein-Komplexen mit der zytoplasmatischen Domäne des APP.
Die Rolle von AP-1B im basolateralen Transport von APP wurde genauer untersucht mit Hilfe der LLC-PK1 Zelllinie, die kein AP-1B exprimiert [Ohno et al. 1999]. In LLCPK1-Zellen werden verschiedene Proteine unpolar zur apikalen und basolateralen Membran verteilt, die in MDCK-Zellen durch Interaktion mit AP-1B basolateral transportiert werden [Fölsch et al. 1999, Sugimoto et al. 2002]. Um den Transport von APP in polaren LLC-PK1-Zellen zu untersuchen, wurde Plasmamembran-ständiges GFP-APP durch zwei unabhängige Methoden nachgewiesen: die apikale oder basolaterale Oberfläche der Zellen wurde selektiv entweder biotinyliert oder mit GFPAntikörpern markiert. Beide Methoden zeigten, dass GFP-APP in LLC-PK1-Zellen sowohl an der apikalen als auch an der basolateralen Zelloberfläche lokalisiert ist. Somit wird auch APP in diesen Zellen im Vergleich zu MDCK-Zellen anders sortiert. Dieses Ergebnis festigt die Hypothese einer Funktion von AP-1B im Transport von APP, die aufgrund der Daten der in vitro-Bindungsstudien aufgestellt wurde.
Polare Sekretion des sAPP ist unabhängig vom Transport des Holoproteins
Neben dem Transport des APP-Holoproteins war auch die polare Sekretion des sAPP Thema dieser Arbeit. Es war gezeigt worden, dass basolaterale Sekretion des sAPP in MDCK-Zellen unabhängig vom Transport des APP-Holoproteins ist [Haass et al. 1995]. Dieses Ergebnis konnte in der vorliegenden Arbeit bestätigt und auf andere Zelllinien erweitert werden. Um die korrekte Sekretion von GFP-sAPP nachzuweisen, wurde die GFP-sAPP-Sekretion zunächst in polaren MDCK-Zellen untersucht, die stabil GFP-APP exprimierten. Da GFP am N-Terminus des APP angefügt ist, trägt auch das sezernierte APP die GFP-Markierung. GFP-sAPP konnte mittels Immunpräzipitation mit GFP-spezifischen Antikörpern lediglich im basolateralen Medium nachgewiesen werden. Somit sezernieren MDCK-Zellen GFP-sAPP in gleicher Polarität wie von Haass et al. für endogenes sAPP gezeigt wurde [Haass et al. 1995].
Experimente in GFP-APP exprimierenden LLC-PK1- und FRT-Zellen zeigten, dass auch hier die polare Sekretion des GFP-sAPP und der Transport des APPHoloproteins zwei unabhängige Prozesse sind. Polare LLC-PK1-Zellen transportierten GFP-APP zur apikalen und basolateralen Plasmamembran (siehe oben). GFP-sAPP-Sekretion aus polaren LLC-PK1-Zellen dagegen fand ausschließlich basolateral statt. In FRT-Zellen wurde GFP-sAPP im Gegensatz zu MDCK- und LLCPK1-Zellen apikal sezerniert. Kolokalisation des GFP-APP mit Transferrin-Rezeptor in FRT-Zellen deutete dagegen an, dass das Holoprotein wie in MDCK-Zellen basolateral transportiert wird. Dies ist auch zu erwarten, da FRT-Zellen AP-1B exprimieren und es auch in dieser Zelllinie basolateralen Transport vermittelt [A. Gonzalez, persönlich, ASCB 2003]. Nach diesen Ergebnissen zu urteilen, finden auch in FRT und LLC-PK1-Zellen APP-Transport und sAPP-Sekretion unabhängig voneinander statt.
Basolaterale sAPP-Sekretion ist unabhängig von der Ektodomäne
In MDCK-Zellen wurde zusätzlich die Sekretion eines GFP-APP untersucht, in dem der Großteil der Ektodomäne deletiert und durch GFP ersetzt wurde, die SekretaseSchnittstellen jedoch noch vorhanden waren. Durch Immunfluoreszenzanalyse wurde zunächst nachgewiesen, dass die subzelluläre Lokalisation dieser Deletionsmutante der des endogenen APP entspricht. Die Sekretion dieses stark verkürzten sAPP erfolgte wie die des Wildtyps basolateral. Dieses Ergebnis deutet an, dass die Determinante für die basolaterale Sekretion des sAPP nicht innerhalb der Ektodomäne liegt, wie in einigen älteren Publikationen angenommen wird [Haass et al. 1995, de Strooper et al. 1995]. Neuere Ergebnisse dagegen führen die polare Sekretion des sAPP auf die basolaterale Lokalisation der α-Sekretase zurück [Capell et al. 2002], was die basolaterale Sekretion der Deletionsmutante erklären könnte.
sAPP-Bindung an polaren Zellen
Durch Interaktion mit einem bisher unbekannten Rezeptorprotein erfüllt sAPP für verschiedene Zelltypen die Funktion eines Wachstumsfaktors [Saitoh et al., 1989, Pietrzik et al., 1998, Hoffmann et al., 2000]. Da viele Wachstumsfaktor-Rezeptoren selektiv entweder an der apikalen oder basolateralen Plasmamembran von Epithelzellen lokalisiert sind, wurden Bindungsstudien mit rekombinant exprimiertem sAPP (sAPPrec) an polaren FRT und MDCK-Zellen durchgeführt. Analyse der Bindung mit einem sAPPrec-spezifischen Antikörper zeigte, dass sAPP ausschließlich an der apikalen Plasmamembran beider Zelllinien bindet. Da die Sekretion des sAPP in FRT-Zellen ebenso apikal erfolgt, ist in dieser Zelllinie eine autokrine Regulation durch sAPP vorstellbar, was auch durch vorherige Ergebnisse angedeutet wurde [Pietrzik et al. 1998]. Für MDCK-Zellen, die sAPP basolateral sezernieren und apikal binden, muss ein anderer Regulationsmechanismus vorliegen. Es könnte sich um parakrine Regulation handeln, was jedoch noch bestätigt werden muss.
Fazit: In dieser Arbeit wurde zum ersten Mal gezeigt, dass tetramere Adaptor-ProteinKomplexe eine Rolle im intrazellulären Transport von APP spielen. In diesem Zusammenhang wurde die Funktion des AP-4-Komplexes in einer Kollaboration analysiert. Es wurde gezeigt, dass AP-1A und AP-1B eine Rolle im Transport von APP spielen. Eine Funktion von AP-4 im Transport von APP ist nach den vorliegenden Ergebnissen unwahrscheinlich. Untersuchungen zur APP-Sortierung in verschiedenen Epithelzelllinien zeigten, dass die Hypothese der Unabhängigkeit von APP-Transport und sAPP-Sekretion als genereller Mechanismus angesehen werden kann. Durch Analyse der sAPP-Bindung an polaren FRT- und MDCK-Zellen wurde erstmals die polare Lokalisation des putativen sAPP-Rezeptors untersucht, was einen ersten Einblick in den Mechanismus der sAPP-vermittelten Regulation in polaren Zellen ermöglichte.
Biomolecular condensation underlies the biogenesis of an expanding array of membraneless assemblies, including stress granules (SGs) which form under a variety of cellular stresses. Advances have been made in understanding the molecular grammar that dictates the behavior of a few key scaffold proteins that make up these phases but how the partitioning of hundreds of other SG proteins is regulated remains largely unresolved. While investigating the rules that govern the condensation of ataxin-2, a SG protein implicated in neurodegenerative disease, we unexpectedly identified a short 14aa sequence that acts as an ataxin-2 condensation switch and is conserved across the eukaryote lineage. We identify poly(A)-binding proteins as unconventional RNA-dependent chaperones that control this regulatory switch. Our results uncover a hierarchy of cis and trans interactions that fine-tune ataxin-2 condensation and reveal a new molecular function for ancient poly(A)-binding proteins as emulsifiers of biomolecular condensate proteins. These findings may inspire novel approaches to therapeutically target aberrant phases in disease.
Der Basismechanismus immunchemischer Reaktionen ist die Antigen-Antikörper-Reaktion. Die nachzuweisenden Substanzen haben in der Bestimmungsreaktion Antigen-Funktion. Die zur Bestimmung der Substanz
im Test eingesetzten Antikörper können polyklonalen oder monoklonalen Ursprungs sein.
Polyklonal gebildete Antikörper werden technisch gewonnen durch die Reinigung der Immunglobulinfraktion immunisierter Tiere. Trotz mehrerer Reinigungsschritte wird vielfach nicht ein spezifischer Antikörper gewonnen, sondern eine heterogene Antikörperfraktion, die neben dem spezifischen Antikörper weitere Antikörper mit unterschiedlicher Affinität Avidität und Spezifität gegen die immunchemisch zu analysierende Substanz enthält.
Die technische Gewinnung monoklonaler Antikörper verläuft im ersten Schritt ähnlich der auf polyklonalem Wege; ein Tier wird immunisiert mit dem immundiagnostisch zu bestimmenden Antigen. Es wird jedoch nachfolgend nicht Blut des immunisierten Tieres zur Antikörpergewinnung entnommen, sondern die MHz. In vitro werden im nächsten Schritt Antigen-sensibilisierte B-Lymphozyten aus der Milz mit Myelomzellen der Maus unter Bildung von Hybridzellen fusioniert. Die Hybridzellen werden selektioniert und diejenigen cloniert, die den gewünschten spezifischen Antikörper bilden. Auf diesem Wege können Antikörper einheitlicher Affinität, Avidität und Spezifität in größeren Mengen gewonnen werden.
Die Vor- und Nachteile poly- und monoklonal gebildeter Antikörper für immunchemische Tests werden dargestellt.
Treatment of chronic myeloid leukemia (CML) and Philadelphia chromosome-positive acute leukemia (Ph+ ALL) has been revolutionized with the advent of tyrosine kinase inhibitors (TKIs). Most patients with CML achieve long-term survival similar to individuals without CML due to treatment with TKIs not only in frontline but also in further lines of therapy. The third-generation TKI ponatinib has demonstrated efficacy in patients with refractory CML and Ph+ ALL. Ponatinib is currently the most potent TKI in this setting demonstrating activity against T315I mutant clones. However, ponatinib’s safety data revealed a dose-dependent, increased risk of serious cardiovascular (CV) events. Guidance is needed to evaluate the benefit–risk profile of TKIs, such as ponatinib, and safety measures to prevent treatment-associated CV events. An expert panel of German hematologists and cardiologists summarize current evidence regarding ponatinib’s efficacy and CV safety profile. We propose CV management strategies for patients who are candidates for ponatinib.
Background: Tisagenlecleucel, an anti-CD19 chimeric antigen receptor T cell therapy, has demonstrated efficacy in children and young adults with relapsed/refractory B cell acute lymphoblastic leukemia (B-ALL) in two multicenter phase 2 trials (ClinicalTrials.gov, NCT02435849 (ELIANA) and NCT02228096 (ENSIGN)), leading to commercialization of tisagenlecleucel for the treatment of patients up to age 25 years with B-ALL that is refractory or in second or greater relapse.
Methods: A pooled analysis of 137 patients from these trials (ELIANA: n=79; ENSIGN: n=58) was performed to provide a comprehensive safety profile for tisagenlecleucel.
Results: Grade 3/4 tisagenlecleucel-related adverse events (AEs) were reported in 77% of patients. Specific AEs of interest that occurred ≤8 weeks postinfusion included cytokine-release syndrome (CRS; 79% (grade 4: 22%)), infections (42%; grade 3/4: 19%), prolonged (not resolved by day 28) cytopenias (40%; grade 3/4: 34%), neurologic events (36%; grade 3: 10%; no grade 4 events), and tumor lysis syndrome (4%; all grade 3). Treatment for CRS included tocilizumab (40%) and corticosteroids (23%). The frequency of neurologic events increased with CRS severity (p<0.001). Median time to resolution of grade 3/4 cytopenias to grade ≤2 was 2.0 (95% CI 1.87 to 2.23) months for neutropenia, 2.4 (95% CI 1.97 to 3.68) months for lymphopenia, 2.0 (95% CI 1.87 to 2.27) months for leukopenia, 1.9 (95% CI 1.74 to 2.10) months for thrombocytopenia, and 1.0 (95% CI 0.95 to 1.87) month for anemia. All patients who achieved complete remission (CR)/CR with incomplete hematologic recovery experienced B cell aplasia; however, as nearly all responders also received immunoglobulin replacement, few grade 3/4 infections occurred >1 year postinfusion.
Conclusions: This pooled analysis provides a detailed safety profile for tisagenlecleucel during the course of clinical trials, and AE management guidance, with a longer follow-up duration compared with previous reports.
Portal hypertension, defined as increased pressure in the portal vein, develops as a consequence of increased intrahepatic vascular resistance due to the dysregulation of liver sinusoidal endothelial cells (LSECs) and hepatic stellate cells (HSCs), frequently arising from chronic liver diseases. Extrahepatic haemodynamic changes contribute to the aggravation of portal hypertension. The pathogenic complexity of portal hypertension and the unsuccessful translation of preclinical studies have impeded the development of effective therapeutics for patients with cirrhosis, while counteracting hepatic and extrahepatic mechanisms also pose a major obstacle to effective treatment. In this review article, we will discuss the following topics: i) cellular and molecular mechanisms of portal hypertension, focusing on dysregulation of LSECs, HSCs and hepatic microvascular thrombosis, as well as changes in the extrahepatic vasculature, since these are the major contributors to portal hypertension; ii) translational/clinical advances in our knowledge of portal hypertension; and iii) future directions.
Background: No simple classification system has emerged for ‘advanced basal cell carcinomas’, and more generally for all difficult-to-treat BCCs (DTT-BCCs), due to the heterogeneity of situations, TNM inappropriateness to BCCs, and different approaches of different specialists. Objective: To generate an operational classification, using the unconscious ability of experts to simplify the great heterogeneity of the clinical situations into a few relevant groups, which drive their treatment decisions. Method: Non-supervised independent and blinded clustering of real clinical cases of DTT-BCCs was used. Fourteen international experts from different specialties independently partitioned 199 patient cases considered ‘difficult to treat’ into as many clusters they want (≤10), choosing their own criteria for partitioning. Convergences and divergences between the individual partitions were analyzed using the similarity matrix, K-mean approach, and average silhouette method. Results: There was a rather consensual clustering of cases, regardless of the specialty and nationality of the experts. Mathematical analysis showed that consensus between experts was best represented by a partition of DTT-BCCs into five clusters, easily recognized a posteriori as five clear-cut patterns of clinical situations. The concept of ‘locally advanced’ did not appear consistent between experts. Conclusion: Although convergence between experts was not granted, this experiment shows that clinicians dealing with BCCs all tend to work by a similar pattern recognition based on the overall analysis of the situation. This study thus provides the first consensual classification of DTT-BCCs. This experimental approach using mathematical analysis of independent and blinded clustering of cases by experts can probably be applied to many other situations in dermatology and oncology.
Background: No simple staging system has emerged for basal cell carcinomas (BCCs), since they do not follow the TNM process, and practitioners failed to agree on simple clinical or pathological criteria as a basis for a classification. Operational classification of BCCs is required for decision-making, trials and guidelines. Unsupervised clustering of real cases of difficult-to-treat BCCs (DTT-BCCs; part 1) has demonstrated that experts could blindly agree on a five groups classification of DTT-BCCs based on five patterns of clinical situations. Objective: Using this five patterns to generate an operational and comprehensive classification of BCCs. Method: Testing practitioner's agreement, when using the five patterns classification to ensure that it is robust enough to be used in the practice. Generating the first version of a staging system of BCCs based on pattern recognition. Results: Sixty-two physicians, including 48 practitioners and the 14 experts who participated in the generation of the five different patterns of DTT-BCCs, agreed on 90% of cases when classifying 199 DTT-BCCs cases using the five patterns classification (part 1) attesting that this classification is understandable and usable in practice. In order to cover the whole field of BCCs, these five groups of DTT-BCCs were added a group representing the huge number of easy-to-treat BCCs, for which sub-classification has little interest, and a group of very rare metastatic cases, resulting in a four-stage and seven-substage staging system of BCCs. Conclusion: A practical classification adapted to the specificities of BCCs is proposed. It is the first tumour classification based on pattern recognition of clinical situations, which proves to be consistent and usable. This EADO staging system version 1 will be improved step by step and tested as a decision tool and a prognostic instrument.
Die Rate von positiven Blutkulturen wird in der Literatur mit 6,4% bis 18% angegeben. Hierbei wird nicht zwischen Einsendungen zur Bestätigung des Verdachts auf eine Sepsis bzw. zum Ausschluß einer Sepsis unterschieden. In einer prospektiven Untersuchung bei 315 Patienten mit Verdacht auf Sepsis, bei denen Blutkulturen beimpft wurden, konnte bei 199 (63%) ein ätiologischer Nachweis erbracht werden.
Hintergrund: Bei steigender Lebenserwartung ergibt sich in Zukunft eine steigende Prävalenz der degenerativen Aortenklappenstenose (AS). Die Transkathether-Aortenklappenimplantation (TAVI) erfährt immer größere Bedeutung in der Behandlung der symptomatischen, hochgradigen AS. Eine paravalvuläre Leckage (PVL) ist ein anerkannter Risikofaktor für eine erhöhte Mortalität und sollte periinterventionell adäquat erkannt und behandelt werden. Eine Postdilatation als typische korrigierende Intervention (CI) kann allerdings zu schwerwiegenden Komplikationen führen. Weitere Instrumente zur Entscheidung über die Notwendigkeit einer CI sind erstrebenswert. Für die Aortenregurgitationsindex-Ratio (ARI-Ratio) und für die präprozedurale Kalklast, gemessen mit der Mehrschicht-Computertomografie (MSCT), wurde gezeigt, dass beide prädiktiv sind für die Notwendigkeit einer periinterventionellen CI.
Ziele: Die ARI-Ratio und der Kalkstatus wurde in Hinblick auf ihren prädiktiven Wert für die Notwendigkeit einer CI miteinander verglichen.
Methoden: Von 199 Patienten nach TAVI erhielten 38,9 % eine Portico™, 29,5 % eine Symetis Acurate™, 21,5 % eine Sapien 3™ und 10,1 % eine Evolut™. Es wurde retrospektiv der postinterventionell erhobene systolische (SB), diastolische (DB) und linksventrikuläre enddiastolische Blutdruck (LVEDP) im ARI zusammengefasst: [(DBP - LVEDP) / SBP] × 100. Die ARI-Ratio wurde berechnet als Quotient zwischen ARI nach und vor dem Eingriff. Des Weiteren wurden die MSCTs mittels „3mensio Structural Heart“ analysiert insbesondere in Hinblick auf die Verkalkung des linksventrikulären Ausflusstrakts, der Aortenklappe (gesamt sowie der einzelnen Taschen) und des sinotubulären Übergang. Dabei wurde der Kalzium-Volumen-Score auf Basis drei verschiedener Thresholds benutzt (500 Hounsfield Einheiten (HU), 800 HU und visuell-individuell). Im Folgenden wurden ROC-Kurven für den ARI-Ratio und für die verschiedenen Kalklastparameter erstellt um die Notwendigkeit einer CI zu beurteilen. Schließlich wurde die Area under the curve (AUC) der ARI-Ratio mit denen der Kalklastsurrogatparameter verglichen.
Ergebnisse: Die ARI-Ratio zeigte mit einer AUC von 0,747 das beste Ergebnis. Bei den Verkalkungsparametern zeigte die Verkalkung der noncoronaren Aortenklappentasche die beste AUC, nachfolgend die der gesamten Aortenklappe. Der 800-HU-Threshold zeigte bessere AUCs als 500 HU. Von 19 Verkalkungssurrogatparametern zeigten elf einen statistisch signifikanten Vorhersagewert auf. Die ARI-Ratio zeigte eine signifikante Überlegenheit gegenüber sechs dieser Parameter. Für die fünf Verbliebenen konnte kein signifikanter Unterschied nachgewiesen werden.
Schlussfolgerung: Die ARI-Ratio ist ein besserer Prädiktor für die Notwendigkeit einer CI als die Kalzifikationsparameter. Auch diverse Kalzifikationsparameter haben diesbezüglich eine Aussagekraft. Die Kalzifikationsparameter können bereits präinterventionell beurteilt werden können, die ARI-Ratio nur periinterventionell. Es sollte neben der Anschauung von bereits etablierten Methoden ein integrativer Ansatz gewählt werden, der Kalklast und ARI-Ratio für die Entscheidung zur Notwendigkeit einer CI miteinschließt. Weitere Studien zur Standardisierung der Verkalkungsparameter sind notwendig für eine weitere Einordnung deren Vorhersagekraft. Es bestanden teils erhebliche Unterschiede zwischen den verwendeten Klappenprothesentypen. Weitere Studien mit einer größeren Anzahl an verschiedenen Prothesentypen könnten richtungsweisende Subgruppenanalysen möglich machen.
The sudden infant death syndrome (SIDS) is one of the leading causes of postneonatal infant death. It has been shown that there exists a complex relationship between SIDS and inherited cardiac disease. Next-generation sequencing and surveillance of cardiac channelopathy and cardiomyopathy genes represent an important tool for investigating the cause of death in SIDS cases. In the present study, targeted sequencing of 80 genes associated with genetic heart diseases in a cohort of 31 SIDS cases was performed. To determine the spectrum and prevalence of genetic heart disease associated mutations as a potential monogenic basis for SIDS, a stringent variant classification was applied and the percentage of rare (minor allele frequency ≤ 0.2%) and ultra-rare variants (minor allele frequency ≤ 0.005%) in these genes was assessed. With a minor allele frequency of ≤ 0.005%, about 20% of the SIDS cases exhibited a variant of uncertain significance (VUS), but in only 6% of these cases, gene variants proved to be “potentially informative.” The present study shows the importance of careful variant interpretation. Applying stringent criteria misinterpretations are avoided, as the results of genetic analyses may have an important impact of the family members involved.
The regulation of bone vasculature by chronic diseases, such as heart failure is unknown. Here, we describe the effects of myocardial infarction and post-infarction heart failure on the bone vascular cell composition. We demonstrate an age-independent loss of type H endothelium in heart failure after myocardial infarction in both mice and humans. Using single-cell RNA sequencing, we delineate the transcriptional heterogeneity of human bone marrow endothelium, showing increased expression of inflammatory genes, including IL1B and MYC, in ischemic heart failure. Endothelial-specific overexpression of MYC was sufficient to induce type H bone endothelial cells, whereas inhibition of NLRP3-dependent IL-1β production partially prevented the post-myocardial infarction loss of type H vasculature in mice. These results provide a rationale for using anti-inflammatory therapies to prevent or reverse the deterioration of bone vascular function in ischemic heart disease.
We investigated the molecular mechanism of cyclic GMP-induced down-regulation of soluble guanylyl cyclase expression in rat aorta. 3-(5′-Hydroxymethyl-2′-furyl)-1-benzyl indazole (YC-1), an allosteric activator of this enzyme, decreased the expression of soluble guanylyl cyclase α1 subunit mRNA and protein. This effect was blocked by the enzyme inhibitor 4H-8-bromo-1,2,4-oxadiazolo(3,4-d)benz(b-1,4)oxazin-1-one (NS2028) and by actinomycin D. Guanylyl cyclase α1mRNA-degrading activity was increased in protein extracts from YC-1-exposed aorta and was attenuated by pretreatment with actinomycin D and NS2028. Gelshift and supershift analyses using an adenylate-uridylate-rich ribonucleotide from the 3′-untranslated region of the α1 mRNA and a monoclonal antibody directed against the mRNA-stabilizing protein HuR revealed HuR mRNA binding activity in aortic extracts, which was absent in extracts from YC-1-stimulated aortas. YC-1 decreased the expression of HuR, and this decrease was prevented by NS2028. Similarly, down-regulation of HuR by RNA interference in cultured rat aortic smooth muscle cells decreased α1 mRNA and protein expression. We conclude that HuR protects the guanylyl cyclase α1 mRNA by binding to the 3′-untranslated region. Activation of guanylyl cyclase decreases HuR expression, inducing a rapid degradation of guanylyl cyclase α1 mRNA and lowering α1 subunit expression as a negative feedback response.
Within the scope of this technical report, the feasibility of indocyanine green (ICG) as a fluorescent agent for postmortem angiography of the heart is tested. The study included 4 deceased persons with no respective medical history of heart diseases. The basic patterns of findings in ICG fluorescence angiography associated with healthy hearts are presented. The method can easily be integrated into a workflow without restricting the macroscopic or histologic diagnostics. This paper represents the fundamental technical and analytical basis for upcoming studies concerning the possibilities and limitations of fluorescence angiography in the diagnosis of heart pathology.
Objectives: To correlate the radiological assessment of the mastoid facial canal in postoperative cochlear implant (CI) cone-beam CT (CBCT) and other possible contributing clinical or implant-related factors with postoperative facial nerve stimulation (FNS) occurrence. Methods: Two experienced radiologists evaluated retrospectively 215 postoperative post-CI CBCT examinations. The mastoid facial canal diameter, wall thickness, distance between the electrode cable and mastoid facial canal, and facial-chorda tympani angle were assessed. Additionally, the intracochlear position and the insertion angle and depth of electrodes were evaluated. Clinical data were analyzed for postoperative FNS within 1.5-year follow-up, CI type, onset, and causes for hearing loss such as otosclerosis, meningitis, and history of previous ear surgeries. Postoperative FNS was correlated with the measurements and clinical data using logistic regression. Results: Within the study population (mean age: 56 ± 18 years), ten patients presented with FNS. The correlations between FNS and facial canal diameter (p = 0.09), wall thickness (p = 0.27), distance to CI cable (p = 0.44), and angle with chorda tympani (p = 0.75) were statistically non-significant. There were statistical significances for previous history of meningitis/encephalitis (p = 0.001), extracochlear-electrode-contacts (p = 0.002), scala-vestibuli position (p = 0.02), younger patients’ age (p = 0.03), lateral-wall-electrode type (p = 0.04), and early/childhood onset hearing loss (p = 0.04). Histories of meningitis/encephalitis and extracochlear-electrode-contacts were included in the first two steps of the multivariate logistic regression. Conclusion: The mastoid-facial canal radiological assessment and the positional relationship with the CI electrode provide no predictor of postoperative FNS. Histories of meningitis/encephalitis and extracochlear-electrode-contacts are important risk factors.
In dieser Arbeit konnte gezeigt werden, daß die Proteinkinase Akt das
Zellzyklusprotein p21 in Endothelzellen an der Aminosäure Threonin 145
phosphoryliert und auf diese Weise p21 posttranskriptionell reguliert. So führt die Aktabhängige Phosphorylierung zur Aufhebung der PCNA-Bindungsfähigkeit und zu einer Abnahme der Komplexbildung von p21 mit Cdk2 und Cdk4. Dementsprechend reduziert die Akt-Phosphorylierung von p21 an Threonin 145 die Hemmung der Cdk2-Aktivierung durch p21, begünstigt damit die Phosphorylierung von Retinoblastoma-Protein und die Freisetzung des Transkriptionsfaktors E2F. Diese Daten weisen auf einen neuen Signaltransduktionsweg hin, über den Akt die Endothelzellproliferation reguliert.
Außerdem führt die Akt-vermittelte Phosphorylierung von p21 an T145 zur Stabilisierung von p21 gegenüber Caspase-abhängiger Degradation während der pro-apoptotischen Stimulation der Endothelzellen und schützt die Zellen gegenüber der Apoptose-Induktion durch TNFα. Die p21-Phosphorylierung durch Akt stellt dabei einen essentiellen Mechanismus der endothelzellprotektiven Wirkung von Akt dar, denn in Abwesenheit von p21 infolge Antisense-Transfektion vermag die Überexpression von Akt nicht mehr zu einer Senkung der endothelialen Apoptoserate nach TNFα -Stimulation führen.
Transcription factors (TFs) guide effector proteins like chromatin-modifying or -remodeling enzymes to distinct sites in the genome and thereby fulfill important early steps in translating the genome’s sequence information into the production of proteins or functional RNAs. TFs of the same family are often highly conserved in evolution, raising the question of how proteins with seemingly similar structure and DNA-binding properties can exert physiologically distinct functions or respond to context-specific extracellular cues. A good example is the TALE superclass of homeodomain-containing proteins. All TALE-homeodomain proteins share a characteristic, 63-amino acid long homeodomain and bind to similar sequence motifs. Yet, they frequently fulfill non-redundant functions even in domains of co-expression and are subject to regulation by different signaling pathways. Here we provide an overview of posttranslational modifications that are associated with murine and human TALE-homeodomain proteins and discuss their possible importance for the biology of these TFs.
Trauma ist in Deutschland und weltweit eine der häufigsten Todesursache bei Personen unter 55 Jahren. Eine traumatische Verletzung von Gewebe führt zur Freisetzung von sogenannten damage-associated molecular patterns (DAMPs), die eine Entzündungskaskade auslösen, welche die Organfunktion negativ beeinträchtigt. Dies führt bei anhaltender Entzündung zunächst zu Organdysfunktion, was im weiteren Verlauf zu Organversagen führt und im Spätstadium im multiplen Organversagen (MOF) enden kann. In den meisten Fällen ist die inflammatorische Antwort des Immunsystems auf das Trauma adäquat und entspricht einem gut koordinierten Netzwerk von Immunzellen, Zytokinen und Chemokinen, welches zur Wiederherstellung des geschädigten Gewebes führt. Wenn dieses Netzwerk jedoch nicht im Gleichgewicht ist, kann die Entzündungsreaktion durch eine sogenannte feed-forward-loop von Inflammation und Gewebeschäden verstärkt werden. Wenn dieser Prozess systemisch wird, spricht man vom systemic inflammatory response syndrome (SIRS). Auf der anderen Seite gibt es ein Gegenstück zu SIRS, nämlich das sogenannte compensatory anti-inflammatory response syndrome (CARS). Auch ein Überschießen von CARS kann den Verlauf der posttraumatischen Inflammation negativ beeinträchtigen. Sowohl eine Verschiebung in Richtung von SIRS als auch in Richtung von CARS kann zu Organfunktionsstörungen, nosokomialen Infektionen und letztendlich zum Tod führen. Daher ist eine ausgeglichene, frühe posttraumatische Immunantwort für ein gutes Outcome von entscheidender Bedeutung.
Monozyten nehmen eine kritische Stellung sowohl in der primären Immunantwort nach Trauma als auch nach Infektion ein. Durch die Oberflächenexpression von diversen sogenannten pattern-recocnition receptors (PRRs), insbesondere Toll-Like-Rezeptoren (TLRs), können Monozyten Pathogene und sogenannte pathogen-associated molecular patterns (PAMPs) erkennen und neutralisieren. Darüber hinaus können Monozyten PAMPs über major histocompatibility complex class II -Moleküle (MHC-II) dem adaptiven Immunsystem präsentieren und somit als zelluläre Verbindung zwischen dem angeborenen und dem adaptiven Immunsystem fungieren. TLR2, eine Untergruppe der TLRs, ist einer der Hauptrezeptoren für PAMPs von grampositiven Bakterien wie S. aureus, dem Hauptkeim für posttraumatische Wundinfektionen und nosokomiale Infektionen.
Es gibt immer noch keinen Konsens über den Einfluss von Trauma auf die Funktion von Monozyten und deren Expressionsprofil von PRRs und MHC-II-Molekülen nach einem Trauma. Verschiedene Studien berichten von einer beeinträchtigten TLR2-Expression bei Monozyten nach Trauma, während sich in anderen Studien eine konstante oder sogar erhöhte TLR2-Expression bei Monozyten nach Trauma gezeigt hat. Die Daten sind auch in Bezug auf die posttraumatische Phagozytoseleistung von Monozyten unbeständig. Während in einigen Studien im frühen posttraumatischen Verlauf im Vergleich zu gesunden Probanden von einer erhöhten Anzahl zirkulierender Monozyten mit erhaltener Phagozytoseleistung berichtet wird, zeigten andere Studien eine verminderte Phagozytoseleistung von Monozyten nach Trauma. Darüber hinaus gibt es widersprüchliche Ergebnisse bezüglich der Fähigkeit von Monozyten, proinflammatorische Zytokine wie Interleukin (IL)-1β oder Tumor necrosis factor (TNF)-α freizusetzen.
Zusammengefasst ist die derzeitige Studienlage widersprüchlich. Zusätzlich wurde es in bisherigen Studien verpasst, die Kombination verschiedener Aspekte wie die Funktionalität der Monozyten in Bezug auf Phänotypisierung oder funktioneller Assays und deren Beobachtung über einen längeren Zeitraum miteinzubeziehen.
Die unterschiedlichen Ergebnisse der bisherigen Studien könnte durch die Natur des Polytraumas bedingt sein, beispielsweise durch verschiedene Verletzungsmuster und Verletzungsschwere, die unterschiedliche Erstversorgung am Unfallort, die Zeit bis zur Ankunft in der Notaufnahme oder die unterschiedliche primäre und definitive Versorgung der Verletzungen. All das kann zu einer unterschiedlichen Antwort des Immunsystems und somit zu unterschiedlichen Outcomes führen.
Daher war es Ziel unserer Studie, die oben genannten Variablen zu eliminieren, und eine kontrollierte Polytraumastudie am Schweinemodell durchzuführen, um die Funktionalität von Schweinemonozyten über einen Zeitraum von 72 Stunden nach Trauma zu untersuchen.
Zusätzlich und im Gegensatz zu früheren Studien haben wir die Phänotypisierung von Monozyten (TLR2 und MHC-II [SLA-DR]) mit einem funktionellen Phagozytose-Assay kombiniert und deren direkte Assoziation in einem unabhängigen Assay analysiert.
Peripheres Blut wurde vor (-1h) und direkt nach der Induktion des Polytraumas (PT) (0h) entnommen, sowie 3,5h, 5,5h, 24h und 72h später. Die Expression von H(S)LA-DR und TLR2 auf Schweine-Monozyten wurde untersucht. Außerdem wurde die Phagozytierungsaktivität von Schweinemonozyten gemessen.
Darüber hinaus wurden aus mechanistischen Gründen Blutproben von 10 gesunden Schweinen zunächst einem TLR2-neutralisierenden Antikörper und anschließend S. aureus-Partikeln ausgesetzt, bevor die Phagozytoseleistung der Monozyten untersucht wurde.
Die Anzahl der CD14 + -Monozyten aller zirkulierenden Leukozyten blieb während des Beobachtungszeitraums konstant, während der Prozentsatz der CD14 + H(S)LA-DR + -Monozyten direkt, 3,5h und 5,5h nach dem Trauma signifikant abnahm. Der Prozentsatz von TLR2 + exprimierenden Zellen aus allen Monozyten verringerte sich direkt, 3,5h und 5,5h nach dem Trauma signifikant. Der Prozentsatz der phagozytierenden Monozyten nahm direkt nach Trauma ab und blieb in den ersten 3,5 Stunden nach dem Trauma niedriger, stieg jedoch nach 24 Stunden an. Die Antagonisierung von TLR2 verringerte signifikant die Phagozytoseleistung der Monozyten.
Sowohl der verringerte Prozentsatz der aktivierten als auch der TLR2-exprimierenden Monozyten blieb bestehen, solange die verringerte Phagozytoseleistung beobachtet wurde.
Darüber hinaus führte auch die Neutralisation von TLR2 zu einer verminderten Phagozytoseleistung. Daher nehmen wir an, dass eine verringerte TLR2-Expression für die verringerte Phagozytoseleistung verantwortlich ist.
Background: To assess the potential of radiomic features to quantify components of blood in intraaortic vessels to non-invasively predict moderate-to-severe anemia in non-contrast enhanced CT scans. Methods: One hundred patients (median age, 69 years; range, 19–94 years) who received CT scans of the thoracolumbar spine and blood-testing for hemoglobin and hematocrit levels ± 24 h between 08/2018 and 11/2019 were retrospectively included. Intraaortic blood was segmented using a spherical volume of interest of 1 cm diameter with consecutive radiomic analysis applying PyRadiomics software. Feature selection was performed applying analysis of correlation and collinearity. The final feature set was obtained to differentiate moderate-to-severe anemia. Random forest machine learning was applied and predictive performance was assessed. A decision-tree was obtained to propose a cut-off value of CT Hounsfield units (HU). Results: High correlation with hemoglobin and hematocrit levels was shown for first-order radiomic features (p < 0.001 to p = 0.032). The top 3 features showed high correlation to hemoglobin values (p) and minimal collinearity (r) to the top ranked feature Median (p < 0.001), Energy (p = 0.002, r = 0.387), Minimum (p = 0.032, r = 0.437). Median (p < 0.001) and Minimum (p = 0.003) differed in moderate-to-severe anemia compared to non-anemic state. Median yielded superiority to the combination of Median and Minimum (p(AUC) = 0.015, p(precision) = 0.017, p(accuracy) = 0.612) in the predictive performance employing random forest analysis. A Median HU value ≤ 36.5 indicated moderate-to-severe anemia (accuracy = 0.90, precision = 0.80). Conclusions: First-order radiomic features correlate with hemoglobin levels and may be feasible for the prediction of moderate-to-severe anemia. High dimensional radiomic features did not aid augmenting the data in our exemplary use case of intraluminal blood component assessment.
Venöse thromboembolische Erkrankungen ereignen sich bei ca. l von 1000 Individuen jährlich. Meist handelt es sich dabei um ein multi-faktorielles Geschehen, das durch Zusammenwirken erworbener bzw. exogener Risikofaktoren einerseits sowie genetisch bedingter Veränderungen andererseits verursacht ist. In den letzten Jahren wurden mehrere Risikofaktoren der hereditären Thrombophilie identifiziert, die inzwischen als etabliert gelten. Daneben gibt es jedoch eine Reihe weiterer genetischer Defekte, deren Beteiligung bei der Entstehung venöser Thrombosen wahrscheinlich oder zumindest theoretisch denkbar ist. In diesem Überblick werden als solche Lipoprotein (a), Thrombomodulin, Fibrinogen, der Thrombin-aktivierbare Fibrinolyse Inhibitor (TAFI),Gewebefaktor (Tissue Factor) sowie der Endothelzell-Protein C Rezeptor (EPCR) dargestellt, ihre biochemischen Eigenschaften sowie physiologischen Funktionen zusammengefaßt und bekannte Mutationen bzw. Polymorphismen der betreffenden Gene als mögliche Risikofaktoren der hereditären Thrombophilie diskutiert. Vorzugsweise werden die bisherigen Kenntnisse über ihre wahrscheinliche pathophysiologische Beteiligung bei der Entstehung venöser Gefäßverschlüsse kritisch gewürdigt.
Background: Due to the coronavirus disease 2019 (COVID-19) pandemic, interventions in the upper airways are considered high-risk procedures for otolaryngologists and their colleagues. The purpose of this study was to evaluate limitations in hearing and communication when using a powered air-purifying respirator (PAPR) system to protect against severe acute respiratory syndrome coronavirus type 2 (SARS-CoV-2) transmission and to assess the benefit of a headset. Methods: Acoustic properties of the PAPR system were measured using a head and torso simulator. Audiological tests (tone audiometry, Freiburg speech test, Oldenburg sentence test (OLSA)) were performed in normal-hearing subjects (n = 10) to assess hearing with PAPR. The audiological test setup also included simulation of conditions in which the target speaker used either a PAPR, a filtering face piece (FFP) 3 respirator, or a surgical face mask. Results: Audiological measurements revealed that sound insulation by the PAPR headtop and noise, generated by the blower-assisted respiratory protection system, resulted in significantly deteriorated hearing thresholds (4.0 ± 7.2 dB hearing level (HL) vs. 49.2 ± 11.0
Background: Trauma may be associated with significant to life-threatening blood loss, which in turn may increase the risk of complications and death, particularly in the absence of adequate treatment. Hydroxyethyl starch (HES) solutions are used for volume therapy to treat hypovolemia due to acute blood loss to maintain or re-establish hemodynamic stability with the ultimate goal to avoid organ hypoperfusion and cardiovascular collapse. The current study compares a 6% HES 130 solution (Volulyte 6%) versus an electrolyte solution (Ionolyte) for volume replacement therapy in adult patients with traumatic injuries, as requested by the European Medicines Agency to gain more insights into the safety and efficacy of HES in the setting of trauma care.
Methods: TETHYS is a pragmatic, prospective, randomized, controlled, double-blind, multicenter, multinational trial performed in two parallel groups. Eligible consenting adults ≥ 18 years, with an estimated blood loss of ≥ 500 ml, and in whom initial surgery is deemed necessary within 24 h after blunt or penetrating trauma, will be randomized to receive intravenous treatment at an individualized dose with either a 6% HES 130, or an electrolyte solution, for a maximum of 24 h or until reaching the maximum daily dose of 30 ml/kg body weight, whatever occurs first. Sample size is estimated as 175 patients per group, 350 patients total (α = 0.025 one-tailed, power 1–β = 0.8). Composite primary endpoint evaluated in an exploratory manner will be 90-day mortality and 90-day renal failure, defined as AKIN stage ≥ 2, RIFLE injury/failure stage, or use of renal replacement therapy (RRT) during the first 3 months. Secondary efficacy and safety endpoints are fluid administration and balance, changes in vital signs and hemodynamic status, changes in laboratory parameters including renal function, coagulation, and inflammation biomarkers, incidence of adverse events during treatment period, hospital, and intensive care unit (ICU) length of stay, fitness for ICU or hospital discharge, and duration of mechanical ventilation and/or RRT.
Discussion: This pragmatic study will increase the evidence on safety and efficacy of 6% HES 130 for treatment of hypovolemia secondary to acute blood loss in trauma patients.
Trial registration:Registered in EudraCT, No.: 2016-002176-27 (21 April 2017) and ClinicalTrials.gov, ID: NCT03338218 (09 November 2017).
Background: While swallowing disorders are frequent sequela following posterior fossa tumor (PFT) surgery in children, data on dysphagia frequency, severity, and outcome in adults are lacking. The aim of this study was to investigate dysphagia before and after surgical removal of PFT. Additionally, we tried to identify clinical predictors for postsurgical swallowing disorders. Furthermore, this study explored the three-month outcome of dysphagic patients.
Methods: In a cohort of patients undergoing PFT surgery, dysphagia was prospectively assessed pre- and postoperatively using fiberoptic endoscopic evaluation of swallowing. Patients with severe dysphagia at discharge were re-evaluated after three months. Additionally, clinical and imaging data were collected to identify predictors for post-surgical dysphagia. Results: We included 26 patients of whom 15 had pre-operative swallowing disorders. After surgery, worsening of pre-existing dysphagia could be noticed in 7 patients whereas improvement was observed in 2 and full recovery in 3 subjects. New-onset dysphagia after surgery occurred in a minority of 3 cases. Postoperatively, 47% of dysphagic patients required nasogastric tube feeding. Re-evaluation after three months of follow-up revealed that all dysphagic patients had returned to full oral intake.
Conclusion: Dysphagia is a frequent finding in patients with PFT already before surgery. Surgical intervention can infer a deterioration of impaired swallowing function placing affected patients at temporary risk for aspiration. In contrast, surgery can also accomplish beneficial results resulting in both improvement and full recovery. Overall, our findings show the need of early dysphagia assessment to define the safest feeding route for the patient.
Endocannabinoids (ECs) are potent lipid mediators with high physiological relevance. They are involved in a wide variety of diseases like depression or multiple sclerosis and are closely connected to metabolic parameters in humans. Therefore, their suitability as a biomarker in different (patho-)physiological conditions is discussed intensively and predominantly investigated by analyzing systemic concentrations in easily accessible matrices like blood. Carefully designed pre-analytical sample handling is of major importance for high-quality data, but harmonization is not achieved yet. Whole blood is either processed to serum or plasma before the onset of analytical workflows and while knowledge about pre-analytical challenges in plasma handling is thorough they were not systematically investigated for serum.
Therefore, the ECs AEA and 2-AG, and closely related EC-like substances 1-AG, DHEA, and PEA were examined by LC-MS/MS in serum samples of nine healthy volunteers employing different pre-analytical sample handling protocols, including prolonged coagulation, and storage after centrifugation at room temperature (RT) or on ice. Furthermore, all analytes were also assessed in plasma samples obtained from the same individuals at the same time points to investigate the comparability between those two blood-based matrices regarding obtained concentrations and their 2-AG/1-AG ratio.
This study shows that ECs and EC-like substances in serum samples were significantly higher than in plasma and are especially prone to ex vivo changes during initial and prolonged storage for coagulation at RT. Storage on ice after centrifugation is less critical. However, storage at RT further increases 1-AG and 2-AG concentrations, while also lowering the already reduced 2-AG/1-AG ratio due to isomerization. Thus, avoidance of prolonged processing at RT can increase data quality if serum as the matrix of choice is unavoidable. However, serum preparation in itself is expected to initiate changes of physiological concentrations as standard precautionary measures like fast and cooled processing can only be utilized by using plasma, which should be the preferred matrix for analyses of ECs and EC-like substances.
The emerging disciplines of lipidomics and metabolomics show great potential for the discovery of diagnostic biomarkers, but appropriate pre-analytical sample-handling procedures are critical because several analytes are prone to ex vivo distortions during sample collection. To test how the intermediate storage temperature and storage period of plasma samples from K3EDTA whole-blood collection tubes affect analyte concentrations, we assessed samples from non-fasting healthy volunteers (n = 9) for a broad spectrum of metabolites, including lipids and lipid mediators, using a well-established LC-MS-based platform. We used a fold change-based approach as a relative measure of analyte stability to evaluate 489 analytes, employing a combination of targeted LC-MS/MS and LC-HRMS screening. The concentrations of many analytes were found to be reliable, often justifying less strict sample handling; however, certain analytes were unstable, supporting the need for meticulous processing. We make four data-driven recommendations for sample-handling protocols with varying degrees of stringency, based on the maximum number of analytes and the feasibility of routine clinical implementation. These protocols also enable the simple evaluation of biomarker candidates based on their analyte-specific vulnerability to ex vivo distortions. In summary, pre-analytical sample handling has a major effect on the suitability of certain metabolites as biomarkers, including several lipids and lipid mediators. Our sample-handling recommendations will increase the reliability and quality of samples when such metabolites are necessary for routine clinical diagnosis.
Purpose: Optimization of local therapies in synovial sarcoma (SS) considered unresectable at diagnosis is needed. We evaluated the effects of neoadjuvant versus adjuvant radiation versus surgery only on long-term outcomes.
Methods: Patients with macroscopic SS tumors before chemotherapy (IRS-group-III) in the trials CWS-81, CWS-86, CWS-91, CWS-96, CWS-2002-P and SoTiSaR-registry were analyzed. Local therapies were scheduled after 3 neoadjuvant chemotherapy cycles.
Results: Median age of 145 patients was 14.5 years. 106 survivors had median follow-up of 7.0 years. Tumor site was 96 extremities, 19 head–neck, 16 shoulder/hip, 14 trunk. Tumors were < 3 cm in 16, 3–5 cm in 28, 5–10 cm in 55, > 10 cm in 34 patients. In a secondary resection during chemotherapy, R0-status was accomplished in 82, R1 in 30, R2 in 21 (12 missing). Radiotherapy was administered to 115 (R0 61, R1 29, R2 20, missing 5), thereof 57 before and 52 after tumor resection. 23 were treated with surgery only. For all patients, 5 year event-free (EFS) and overall survival (OS) was 68.9% ± 7.6 (95%CI) and 79.1% ± 6.9. To establish independent significance, tumor site, size, surgical results and sequencing of local therapies were analyzed in a Cox regression analysis. Variables associated with EFS and OS are site, size and sequencing of local therapies. Variables associated with local recurrence are site, surgical results and sequencing of local therapies. The only variable associated with suffering metastatic recurrence is tumor size.
Conclusion: Differences in sequencing of local therapy procedures are independently associated with outcomes. Best local control is achieved when tumors are irradiated pre-operatively and undergo R0 or R1 resection thereafter.
Predicting adult Attention Deficit Hyperactivity Disorder (ADHD) using vocal acoustic features
(2021)
Background: It is a key concern in psychiatric research to investigate objective measures to support and ultimately improve diagnostic processes. Current gold standard diagnostic procedures for attention deficit hyperactivity disorder (ADHD) are mainly subjective and prone to bias. Objective measures such as neuropsychological measures and EEG markers show limited specificity. Recent studies point to alterations of voice and speech production to reflect psychiatric symptoms also related to ADHD. However, studies investigating voice in large clinical samples allowing for individual-level prediction of ADHD are lacking. The aim of this study was to explore a role of prosodic voice measures as objective marker of ADHD.
Methods: 1005 recordings were analyzed from 387 ADHD patients, 204 healthy controls, and 100 clinical (psychiatric) controls. All participants (age range 18-59 years, mean age 34.4) underwent an extensive diagnostic examination according to gold standard methods and provided speech samples (3 min in total) including free and given speech. Paralinguistic features were calculated, and random forest based classifications were performed using a 10-fold cross-validation with 100 repetitions controlling for age, sex, and education. Association of voice features and ADHD-symptom severity assessed in the clinical interview were analyzed using random forest regressions.
Results and Conclusion ADHD was predicted with AUC = 0.76. The analysis of a non-comorbid sample of ADHD resulted in similar classification performance. Paralinguistic features were associated with ADHD-symptom severity as indicated by random forest regression. In female participants, particularly with age < 32 years, paralinguistic features showed the highest classification performance (AUC = 0.86).
Paralinguistic features based on derivatives of loudness and fundamental frequency seem to be promising candidates for further research into vocal acoustic biomarkers of ADHD. Given the relatively good performance in female participants independent of comorbidity, vocal measures may evolve as a clinically supportive option in the complex diagnostic process in this patient group.
Competing Interest Statement: EA participated and received payments in the national advisory board ADHD of Shire/Takeda. JL is co-founder and CTO of PeakProfiling GmbH. He created audio-features used in this study, that are intellectual property of PeakProfiling GmbH. FH received payments by PeakProfiling GmbH.
Clinical Trial: NCT01104623
Objective: To assess predictive factors for poststroke pneumonia (PSP) in patients with acute ischemic stroke (AIS) due to large vessel occlusion (LVO) of the anterior circulation, with special regard to the impact of intravenous thrombolysis (IVT) and endovascular treatment (EVT) on the risk of PSP. As a secondary goal, the validity of the A2DS2, PNEUMONIA, and ISAN scores in LVO will be determined.
Methods: Analysis was based on consecutive data for the years 2017 to 2019 from the prospective inpatient stroke registry covering the entire federal state of Hesse, Germany, using the Kruskal-Wallis test and binary logistic regression.
Results: Data from 4,281 patients with LVO were included in the analysis (54.8% female, median age = 78 years, range = 18–102), of whom 66.4% (n = 2,843) received recanalization therapy (RCT). In total, 19.4% (n = 832) of all LVO patients developed PSP. Development of PSP was associated with an increase in overall in-hospital mortality of 32.1% compared with LVO patients without PSP (16.4%; p < 0.001). Incidence of PSP was increased in 2132 patients with either EVT (n = 928; 25.9% PSP incidence) or combined EVT plus IVT (n = 1,204; 24.1%), compared with 2,149 patients with IVT alone (n = 711; 15.2%) or conservative treatment only (n = 1,438; 13.5%; p < 0.001). Multivariate analysis identified EVT (OR 1.5) and combined EVT plus IVT (OR 1.5) as significant independent risk factors for PSP. Furthermore, male sex (OR 1.9), age ≥ 65 years (OR 1.7), dysphagia (OR 3.2) as well as impaired consciousness at arrival (OR 1.7) and the comorbidities diabetes (OR 1.4) and atrial fibrillation (OR 1.3) were significantly associated risk factors (each p < 0.001). Minor stroke (NIHSS ≤ 4) was associated with a significant lower risk of PSP (OR 0.5). Performance of risk stratification scores varied between A2DS2 (96.1% sensitivity, 20.7% specificity), PNEUMONIA (78.2% sensitivity and 45.1% specificity) and ISAN score (98.0% sensitivity, 20.0% specificity).
Conclusion: Nearly one in five stroke patients with LVO develops PSP during acute care. This risk of PSP is further increased if an EVT is performed. Other predictive factors are consistent with those previously described for all AIS patients. Available risk stratification scores proved to be sensitive tools in LVO patients but lack specificity.
Simple Summary: The incidence of brain metastases from breast cancer is increasing and the treatment is still a major challenge. Several scores have been developed in order to estimate the prognosis of patients with brain metastases by objective criteria. Here, we validated all three published graded-prognostic-assessment (GPA)-scores in a subcohort of 882 breast cancer patients with brain metastases in the Brain Metastases in the German Breast Cancer (BMBC) registry. Although all three available GPA-scores were associated with OS, they all show limitations mainly in predicting short-term (below 3 months) survival but also in long-term (above 12 months) survival. We discuss the test performances of all scores in our work and provide evidence how physicians should use them as a tool to select patients for different treatment options.
Abstract: Several scores have been developed in order to estimate the prognosis of patients with brain metastases (BM) by objective criteria. The aim of this analysis was to validate all three published graded-prognostic-assessment (GPA)-scores in a subcohort of 882 breast cancer (BC) patients with BM in the Brain Metastases in the German Breast Cancer (BMBC) registry. The median age at diagnosis of BM was 57 years. All in all, 22.3% of patients (n = 197) had triple-negative, 33.4% (n = 295) luminal A like, 25.1% (n = 221) luminal B/HER2-enriched like and 19.2% (n = 169) HER2 positive like BC. Age ≥60 years, evidence of extracranial metastases (ECM), higher number of BM, triple-negative subtype and low Karnofsky-Performance-Status (KPS) were all associated with worse overall survival (OS) in univariate analysis (p < 0.001 each). All three GPA-scores were associated with OS. The breast-GPA showed the highest probability of classifying patients with survival above 12 months in the best prognostic group (specificity 68.7% compared with 48.1% for the updated breast-GPA and 21.8% for the original GPA). Sensitivities for predicting 3 months survival were very low for all scores. In this analysis, all GPA-scores showed only moderate diagnostic accuracy in predicting the OS of BC patients with BM.
Purpose: While more advanced COVID-19 necessitates medical interventions and hospitalization, patients with mild COVID-19 do not require this. Identifying patients at risk of progressing to advanced COVID-19 might guide treatment decisions, particularly for better prioritizing patients in need for hospitalization.
Methods: We developed a machine learning-based predictor for deriving a clinical score identifying patients with asymptomatic/mild COVID-19 at risk of progressing to advanced COVID-19. Clinical data from SARS-CoV-2 positive patients from the multicenter Lean European Open Survey on SARS-CoV-2 Infected Patients (LEOSS) were used for discovery (2020-03-16 to 2020-07-14) and validation (data from 2020-07-15 to 2021-02-16).
Results: The LEOSS dataset contains 473 baseline patient parameters measured at the first patient contact. After training the predictor model on a training dataset comprising 1233 patients, 20 of the 473 parameters were selected for the predictor model. From the predictor model, we delineated a composite predictive score (SACOV-19, Score for the prediction of an Advanced stage of COVID-19) with eleven variables. In the validation cohort (n = 2264 patients), we observed good prediction performance with an area under the curve (AUC) of 0.73 ± 0.01. Besides temperature, age, body mass index and smoking habit, variables indicating pulmonary involvement (respiration rate, oxygen saturation, dyspnea), inflammation (CRP, LDH, lymphocyte counts), and acute kidney injury at diagnosis were identified. For better interpretability, the predictor was translated into a web interface.
Conclusion: We present a machine learning-based predictor model and a clinical score for identifying patients at risk of developing advanced COVID-19.
Background: The adequate allocation of inpatient care resources requires assumptions about the need for health care and how this need will be met. However, in current practice, these assumptions are often based on outdated methods (e.g. Hill-Burton Formula). This study evaluated floating catchment area (FCA) methods, which have been applied as measures of spatial accessibility, focusing on their ability to predict the need for health care in the inpatient sector in Germany.
Methods: We tested three FCA methods (enhanced (E2SFCA), modified (M2SFCA) and integrated (iFCA)) for their accuracy in predicting hospital visits regarding six medical diagnoses (atrial flutter/fibrillation, heart failure, femoral fracture, gonarthrosis, stroke, and epilepsy) on national level in Germany. We further used the closest provider approach for benchmark purposes. The predicted visits were compared with the actual visits for all six diagnoses using a correlation analysis and a maximum error from the actual visits of ± 5%, ± 10% and ± 15%.
Results: The analysis of 229 million distances between hospitals and population locations revealed a high and significant correlation of predicted with actual visits for all three FCA methods across all six diagnoses up to ρ = 0.79 (p < 0.001). Overall, all FCA methods showed a substantially higher correlation with actual hospital visits compared to the closest provider approach (up to ρ = 0.51; p < 0.001). Allowing a 5% error of the absolute values, the analysis revealed up to 13.4% correctly predicted hospital visits using the FCA methods (15% error: up to 32.5% correctly predicted hospital). Finally, the potential of the FCA methods could be revealed by using the actual hospital visits as the measure of hospital attractiveness, which returned very strong correlations with the actual hospital visits up to ρ = 0.99 (p < 0.001).
Conclusion: We were able to demonstrate the impact of FCA measures regarding the prediction of hospital visits in non-emergency settings, and their superiority over commonly used methods (i.e. closest provider). However, hospital beds were inadequate as the measure of hospital attractiveness resulting in low accuracy of predicted hospital visits. More reliable measures must be integrated within the proposed methods. Still, this study strengthens the possibilities of FCA methods in health care planning beyond their original application in measuring spatial accessibility.
Aging is accompanied by unisensory decline. To compensate for this, two complementary strategies are potentially relied upon increasingly: first, older adults integrate more information from different sensory organs. Second, according to the predictive coding (PC) model, we form “templates” (internal models or “priors”) of the environment through our experiences. It is through increased life experience that older adults may rely more on these templates compared to younger adults. Multisensory integration and predictive coding would be effective strategies for the perception of near-threshold stimuli, which may however come at the cost of integrating irrelevant information. Both strategies can be studied in multisensory illusions because these require the integration of different sensory information, as well as an internal model of the world that can take precedence over sensory input. Here, we elicited a classic multisensory illusion, the sound-induced flash illusion, in younger (mean: 27 years, N = 25) and older (mean: 67 years, N = 28) adult participants while recording the magnetoencephalogram. Older adults perceived more illusions than younger adults. Older adults had increased pre-stimulus beta-band activity compared to younger adults as predicted by microcircuit theories of predictive coding, which suggest priors and predictions are linked to beta-band activity. Transfer entropy analysis and dynamic causal modeling of pre-stimulus magnetoencephalography data revealed a stronger illusion-related modulation of cross-modal connectivity from auditory to visual cortices in older compared to younger adults. We interpret this as the neural correlate of increased reliance on a cross-modal predictive template in older adults leading to the illusory percept.
Introduction and hypothesis: We conducted a systematic review of the effectiveness of local preemptive analgesia for postoperative pain control in women undergoing vaginal hysterectomy.
Methods: MEDLINE, EMBASE, the Cochrane Central Register of Controlled Trials and the Cochrane Database of Systematic Reviews were searched systematically to identify eligible studies published through September 25, 2019. Only randomized controlled trials and systematic reviews addressing local preemptive analgesia compared to placebo at vaginal hysterectomy were considered. Data were extracted by two independent reviewers. Results were compared, and disagreement was resolved by discussion. Forty-seven studies met inclusion criteria for full-text review. Four RCTs, including a total of 197 patients, and two SRs were included in the review.
Results: Preemptive local analgesia reduced postoperative pain scores up to 6 h and postoperative opioid requirements in the first 24 h after surgery.
Conclusion: Preemptive local analgesia at vaginal hysterectomy results in less postoperative pain and less postoperative opioid consumption.
Background: There is evidence of a volume outcome relationship for liver transplantation. In Germany, there is a minimum volume threshold of 20 transplantations per year for each center. Thresholds potentially lead to centralization of the healthcare supply, generating longer travel times. Objective: This study assessed whether patients are willing to travel longer times to transplantation centers for better outcomes (lower hospital mortality and higher 3-year survival) and identified patient characteristics influencing their choices. Methods: Participants were recruited in hospitals and via random samples at registration offices. Discrete choice experiments were used to identify trade-offs in their choices between local and regional centers. Descriptive statistics and logistic regression models were used to measure patients’ preferences and quantify potentially influencing characteristics. Results: Overall, 82.22% (in-hospital mortality) and 84.44% (3-year survival) of the participants opted to accept a longer travel time in order to receive a liver transplantation with better outcomes. Conclusion: Most participants were willing to trade shorter travel times for lower mortality risks and higher 3-year survival in cases of liver transplantation.
Prenatal and postnatal experiences associated with epigenetic changes in the adult mouse brain
(2018)
To analyze the influences of early-life history on the brain epigenome, the offspring of mouse dams kept in an enriched or standard environment were exposed postnatally to enriched, standard, or adverse conditions. The methylation patterns of 7 candidate genes (9 loci) involved in developmental programming of stress vulnerability/resilience and psychiatric disease were analyzed in 6 brain regions of adult male and female mice. Exposure to an enriched prenatal environment was associated with widespread epigenetic changes (all of small effect size), affecting 29 of 324 (9%) gene/region-specific methylation patterns. The effects of either adverse or enriched postnatal conditions were tested separately in the two prenatal cohorts. Significant changes were observed in 2 of 324 (0.6%) loci in offspring of dams in a standard environment and 6 of 324 (1.9%) loci in animals that were exposed prenatally to an enriched environment. Prenatal life experiences appear to have a bigger effect on the adult brain epigenome than postnatal experiences. Positive prenatal life experiences may increase epigenetic plasticity of the brain later in life. All observed between-group differences were sex-specific, consistent with largely different developmental trajectories of the male and female brain. Multiple changes of small effect size are consistent with a multifactorial model of developmental programming of adult behavior and disease susceptibility.
Background: Duodenal obstruction is a rare cause of congenital bowel obstruction. Prenatal ultrasound could be suggestive of duodenal atresia if polyhydramnios and the double bubble sign are visible. Prenatal diagnosis should prompt respective prenatal care, including surgery. The aim of this study was to investigate the rate and importance of prenatally diagnosed duodenal obstruction, comparing incomplete and complete duodenal obstruction. Methods: A retrospective, single-center study was performed using data from patients operated on for duodenal obstruction between 2004 and 2019. Prenatal ultrasound findings were obtained from maternal logbooks and directly from the investigating obstetricians. Postnatal data were obtained from electronic charts, including imaging, operative notes and follow-up. Results: A total of 33/64 parents of respective patients agreed to provide information on prenatal diagnostics. In total, 11/15 patients with complete duodenal obstruction and 0/18 patients with incomplete duodenal obstruction showed typical prenatal features. Prenatal diagnosis prompted immediate surgical treatment after birth. Conclusion: Prenatal diagnosis of congenital duodenal obstruction is only achievable in cases of complete congenital duodenal obstruction by sonographic detection of the pathognomonic double bubble sign. Patients with incomplete duodenal obstruction showed no sign of duodenal obstruction on prenatal scans and thus were diagnosed and treated later.
Objective: To assess the current medical practice in Europe regarding prenatal dexamethasone (Pdex) treatment of congenital adrenal hyperplasia (CAH) due to 21-hydroxylase deficiency.
Design and methods: A questionnaire was designed and distributed, including 17 questions collecting quantitative and qualitative data. Thirty-six medical centres from 14 European countries responded and 30 out of 36 centres were reference centres of the European Reference Network on Rare Endocrine Conditions, EndoERN.
Results: Pdex treatment is currently provided by 36% of the surveyed centres. The treatment is initiated by different specialties, that is paediatricians, endocrinologists, gynaecologists or geneticists. Regarding the starting point of Pdex, 23% stated to initiate therapy at 4–5 weeks postconception (wpc), 31% at 6 wpc and 46 % as early as pregnancy is confirmed and before 7 wpc at the latest. A dose of 20 µg/kg/day is used. Dose distribution among the centres varies from once to thrice daily. Prenatal diagnostics for treated cases are conducted in 72% of the responding centres. Cases treated per country and year vary between 0.5 and 8.25. Registries for long-term follow-up are only available at 46% of the centres that are using Pdex treatment. National registries are only available in Sweden and France.
Conclusions: This study reveals a high international variability and discrepancy in the use of Pdex treatment across Europe. It highlights the importance of a European cooperation initiative for a joint international prospective trial to establish evidence-based guidelines on prenatal diagnostics, treatment and follow-up of pregnancies at risk for CAH.
Background & Aims: Acute-on-chronic liver failure (ACLF) is a syndrome associated with organ failure and high short-term mortality. Recently, the role of surgery as a precipitating event for ACLF has been characterised. However, the impact of preoperative transjugular intrahepatic portosystemic shunt (TIPS) placement on ACLF development in patients with cirrhosis undergoing surgery has not been investigated yet.
Methods: A total of 926 patients (363 with cirrhosis undergoing surgery and 563 patients with TIPS) were screened. Forty-five patients with preoperative TIPS (TIPS group) were 1:1 propensity matched to patients without preoperative TIPS (no-TIPS group). The primary endpoint was the development of ACLF within 28 and 90 days after surgery. The secondary endpoint was 1-year mortality. Results were confirmed by a differently 1:2 matched cohort (n = 176).
Results: Patients in the no-TIPS group had significantly higher rates of ACLF within 28 days (29 vs. 9%; p = 0.016) and 90 days (33 vs. 13%; p = 0.020) after surgery as well as significantly higher 1-year mortality (38 vs. 18%; p = 0.023) compared with those in the TIPS group. Surgery without preoperative TIPS and Chronic Liver Failure Consortium–Acute Decompensation (CLIF-C AD) score were independent predictors for 28- and 90-day ACLF development and 1-year mortality after surgery, especially in patients undergoing visceral surgery. In the no-TIPS group, a CLIF-C AD score of >45 could be identified as cut-off for patients at risk for postoperative ACLF development benefiting from TIPS.
Conclusions: This study suggests that preoperative TIPS may result in lower rates of postoperative ACLF development especially in patients undergoing visceral surgery and with a CLIF-C AD score above 45.
Lay summary: Acute-on-chronic liver failure (ACLF) is a syndrome that is associated with high short-term mortality. Surgical procedures are a known precipitating event for ACLF. This study investigates the role of preoperative insertion of a transjugular intrahepatic portosystemic shunt (TIPS) on postoperative mortality and ACLF development. Patients with TIPS insertion before a surgical procedure exhibit improved postoperative survival and lower rates of postoperative ACLF, especially in patients undergoing visceral surgery and with a high CLIF-C AD prognostic score. Thus, this study suggests preoperative TIPS insertion in those high-risk patients.