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1.
Article in English | MEDLINE | ID: mdl-36982049

ABSTRACT

Inflammatory bowel diseases (IBDs) are chronic conditions of unknown cause or cure. Treatment seeks to reduce symptoms and induce and maintain remission. Many patients have turned to alternatives, such as cannabis, to alleviate living with IBD. This study reports the demographics, prevalence, and perception on cannabis use of patients attending an IBD clinic. Patients agreed to participate and completed an anonymous survey during their visit or online. Descriptive analysis, Fisher's exact test, and Wilcoxon-Mann-Whitney rank-sum test were used. One hundred and sixty-two adults (85 males, 77 with CD) completed the survey. Sixty (37%) reported use of cannabis, of which 38 (63%) used it to relieve their IBD. A value of 77% reported low to moderate knowledge about cannabis, and 15% reported little to no knowledge. Among cannabis users, 48% had discussed use with their physician, but 88% said they would feel comfortable discussing medical cannabis for IBD. Most saw improvement of their symptoms (85.7%). A considerable number of patients with IBD use medical cannabis for their disease, unknown to their physician. The study reinforces the importance that physicians understand the role of cannabis in the treatment of IBD in order to appropriately counsel patients.


Subject(s)
Cannabis , Hallucinogens , Inflammatory Bowel Diseases , Medical Marijuana , Male , Adult , Humans , Medical Marijuana/therapeutic use , Inflammatory Bowel Diseases/epidemiology , Surveys and Questionnaires
2.
PLoS One ; 17(5): e0268546, 2022.
Article in English | MEDLINE | ID: mdl-35588401

ABSTRACT

In humid and temperate areas, Septoria nodorum blotch (SNB) is a major fungal disease of common wheat (Triticum aestivum L.) in which grain yield is reduced when the pathogen, Parastagonospora nodorum, infects leaves and glumes during grain filling. Foliar SNB susceptibility may be associated with sensitivity to P. nodorum necrotrophic effectors (NEs). Both foliar and glume susceptibility are quantitative, and the underlying genetics are not understood in detail. We genetically mapped resistance quantitative trait loci (QTL) to leaf and glume blotch using a double haploid (DH) population derived from the cross between the moderately susceptible cultivar AGS2033 and the resistant breeding line GA03185-12LE29. The population was evaluated for SNB resistance in the field in four successive years (2018-2021). We identified major heading date (HD) and plant height (PH) variants on chromosomes 2A and 2D, co-located with SNB escape mechanisms. Five QTL with small effects associated with adult plant resistance to SNB leaf and glume blotch were detected on 1A, 1B, and 6B linkage groups. These QTL explained a relatively small proportion of the total phenotypic variation, ranging from 5.6 to 11.8%. The small-effect QTL detected in this study did not overlap with QTL associated with morphological and developmental traits, and thus are sources of resistance to SNB.


Subject(s)
Quantitative Trait Loci , Triticum , Ascomycota , Disease Resistance/genetics , Phenotype , Plant Breeding , Plant Diseases/genetics , Plant Diseases/microbiology , Quantitative Trait Loci/genetics , Triticum/genetics , Triticum/microbiology
3.
P R Health Sci J ; 40(3): 110-114, 2021 Sep.
Article in English | MEDLINE | ID: mdl-34792923

ABSTRACT

OBJECTIVE: In 2017, the government of Puerto Rico legalized medical cannabis for several conditions including Crohn's disease (CD). There is little information about cannabis use in this population. This study aimed to develop a demographic characterization and evaluate patient perception on cannabis use for Inflammatory Bowel Disease (IBD) at the University of Puerto Rico Center for Inflammatory Bowel Diseases. METHODS: One hundred patients of ages 21 or older with a confirmed diagnosis of IBD were recruited to complete a voluntary anonymous questionnaire. RESULTS: 27% of the surveyed participants reported use of cannabis. Of these, 39% reported moderate knowledge and 53% reported little to no knowledge of medical cannabis. The majority did not discuss cannabis use with their physician (78%), and most saw improvement of their symptoms (68%). CONCLUSION: Cannabis is frequently considered by patients as a treatment option for IBD but most have limited knowledge about its use. The low number of patients that discuss cannabis use with their physician suggests the need for physician awareness of unreported use. It should also lead to the development of strategies for patient orientation regarding the uses, properties, and expectations of cannabis as a therapy.


Subject(s)
Cannabis/chemistry , Crohn Disease/drug therapy , Health Knowledge, Attitudes, Practice , Inflammatory Bowel Diseases/drug therapy , Medical Marijuana/therapeutic use , Adult , Female , Humans , Male , Middle Aged , Perception , Puerto Rico , Young Adult
5.
Genes (Basel) ; 12(5)2021 04 28.
Article in English | MEDLINE | ID: mdl-33924915

ABSTRACT

Genetic analysis of brown midrib sorghum (Sorghum bicolor) mutant lines assembled in our program has previously shown that the mutations fall into four allelic groups, bmr2, bmr6, bmr12 or bmr19. Causal genes for allelic groups bmr2, bmr6 and bmr12, have since been identified. In this report, we provide evidence for the nature of the bmr19 mutation. This was accomplished by introgressing each of the four bmr alleles into nine different genetic backgrounds. Polymorphisms from four resequenced bulks of sorghum introgression lines containing either mutation, relative to those of a resequenced bulk of the nine normal midrib recurrent parent lines, were used to locate their respective causal mutations. The analysis confirmed the previously reported causal mutations for bmr2 and bmr6 but failed in the case of bmr12-bulk due to a mixture of mutant alleles at the locus among members of that mutant bulk. In the bmr19-bulk, a common G → A mutation was found among all members in Sobic.001G535500. This gene encodes a putative folylpolyglutamate synthase with high homology to maize Bm4. The brown midrib phenotype co-segregated with this point mutation in two separate F2 populations. Furthermore, an additional variant allele at this locus obtained from a TILLING population also showed a brown midrib phenotype, confirming this locus as Bmr19.


Subject(s)
Folic Acid/metabolism , Lignin/biosynthesis , Peptide Synthases/genetics , Plant Proteins/genetics , Sorghum/genetics , Folic Acid/genetics , Genetic Background , Lignin/genetics , Peptide Synthases/metabolism , Plant Proteins/metabolism , Polymorphism, Single Nucleotide , Sorghum/metabolism
7.
HPB (Oxford) ; 23(8): 1253-1258, 2021 08.
Article in English | MEDLINE | ID: mdl-33468412

ABSTRACT

BACKGROUND: Although gallbladder cancer (GBCA) is characterized by a dismal prognosis, there is a proportion of patients who are cured. The aim of this study was to analyze the profile of these patients. METHODS: A database was queried for patients who underwent curative resection with a follow-up of at least 5 years. Patients were prospectively treated and registered by the same surgical team. A multivariate regression analysis was used to identify factors associated with long-term survival. RESULTS: From 1988 to 2013, 461 patients were evaluated and 112 who underwent resection were analyzed. Among the patients, five year survival was 57% while lymph node and liver compromise were the only independent factors associated with survival. On the other hand, the elapsed time between the cholecystectomy and the resection, the differentiation grade and the level of wall invasion did not have an independent effect on the prognosis. CONCLUSION: Despite its poor prognosis, a subset of patients can be cured of GBCA. R0 resection of patients without lymph and liver infiltration are key to GBCA survival.


Subject(s)
Gallbladder Neoplasms , Cholecystectomy/adverse effects , Gallbladder Neoplasms/pathology , Gallbladder Neoplasms/surgery , Humans , Liver/pathology , Neoplasm Staging , Prognosis , Retrospective Studies
8.
J Exp Zool A Ecol Integr Physiol ; 335(1): 96-107, 2021 01.
Article in English | MEDLINE | ID: mdl-32851814

ABSTRACT

Understanding the mechanisms behind critical thermal maxima (CTmax; the high body temperature at which neuromuscular coordination is lost) of organisms is central to understanding ectotherm thermal tolerance. Body size is an often overlooked variable that may affect interpretation of CTmax, and consequently, how CTmax is used to evaluate mechanistic hypotheses of thermal tolerance. We tested the hypothesis that body size affects CTmax and its interpretation in two experimental contexts. First, in four Sceloporus species, we examined how inter- and intraspecific variation in body size affected CTmax at normoxic and experimentally induced hypoxic conditions, and cloacal heating rate under normoxic conditions. Negative relationships between body size and CTmax were exaggerated in larger species, and hypoxia-related reductions in CTmax were unaffected by body size. Smaller individuals had faster cloacal heating rates and higher CTmax, and variation in cloacal heating rate affected CTmax in the largest species. Second, we examined how body size interacted with the location of body temperature measurements (i.e., cloaca vs. brain) in Sceloporus occidentalis, then compared this in living and deceased lizards. Brain temperatures were consistently lower than cloacal temperatures. Smaller lizards had larger brain-cloacal temperature differences than larger lizards, due to a slower cloacal heating rate in large lizards. Both live and dead lizards had lower brain than cloacal temperatures, suggesting living lizards do not actively maintain lower brain temperatures when they cannot pant. Thermal inertia influences CTmax data in complex ways, and body size should therefore be considered in studies involving CTmax data on species with variable sizes.


Subject(s)
Body Size/physiology , Lizards/physiology , Monitoring, Physiologic/veterinary , Thermotolerance , Animals , Body Temperature , Monitoring, Physiologic/methods
9.
Front Plant Sci ; 10: 1142, 2019.
Article in English | MEDLINE | ID: mdl-31616450

ABSTRACT

Public appetite for fossil fuels continues to drive energy prices and foment the build-up of intractable environmental problems. Ethanol (ETOH) production from lignocellulosic biomass grown in marginal lands offers a sustainable alternative without diverting arable land from food and feed production. The quantity and quality of lignocellulosic biomass can be enhanced by the abundant genetic diversity for biomass production as well as stem sugar and lignin composition in sorghum (Sorghum bicolor L. Moench). The objective of this study was to assess yield and quality of lignocellulosic biomass enhancement for ethanol production potential in a population of sorghum derived from two cultivars with contrasting biomass yield and compositional traits. We tested 236 recombinant inbred lines (RIL) of sorghum in a randomized complete block design (RCBD) with two replications for lignocellulosic biomass performance and determined hemicellulose, cellulose and lignin concentrations through detergent fiber analysis (DFA). The stover compositional values were used to estimate theoretical ethanol yield (ETOH on a mass basis) and production (ETOH on an area basis). Results showed that RIL carrying the brown midrib mutation had significantly higher theoretical glucose recovery (released glucose from cellulose, > 200 g kg-1). Those carrying both mutations, had high theoretical ethanol yield (>400 L ton-1) and high theoretical ethanol production (>14,500 L ha-1). Lignin concentration was determined as most reliable predictor (R2 = 0.67) for glucose recovery. Lignin and stem sugar concentrations (R2 = 0.46 and 0.35, respectively) were good predictors for ethanol yield. Stover yield traits (R2 = 0.89) were most important determinants for ethanol production. Our findings suggest that careful breeding of sorghum for genetic enhancement of biomass quantity and quality could double lignocellulosic ethanol yields.

10.
Rev. esp. cardiol. (Ed. impr.) ; 64(1): 43-50, ene. 2011. tab, ilus
Article in Spanish | IBECS | ID: ibc-83896

ABSTRACT

Introducción y objetivos. Los patrones de distribución de placa en las lesiones en bifurcación coronaria son poco conocidos, y se ha especulado que la carina es inmune a la arteriosclerosis, debido al efecto ateroprotector derivado del high wall shear stress. El objetivo fue analizar con ecografía intracoronaria (EIC) la distribución de placa en lesiones en bifurcación coronaria y su prevalencia en la carina. Métodos. En 195 bifurcaciones coronarias, se hizo una EIC sobre el vaso principal (VP), y en 91 también sobre el ramo secundario (RS). Se consideró que había placa en la carina cuando el grosor era ≥ 0,3mm. Se midió la carga de placa en distintos puntos: referencia proximal, carina, punto de área luminal mínima (ALM) y referencia distal. Tras implantar el stent en el VP se realizó una EIC. Resultados. La prevalencia de placa en la carina fue del 32% y su grosor, 0,8±0,36mm, menor que el observado en la contracarina (1,22±0,54mm; p<0,01). La prevalencia de placa fue mayor (52%) cuando el punto de ALM estaba localizado distal a la carina. La presencia de placa en la carina se asoció a menor incidencia de daño del ostium del RS tras tratar el VP (el 32 frente al 54%; p=0,04). Conclusiones. La carina no es inmune a la arteriosclerosis y hay placa en un tercio de las bifurcaciones. La prevalencia de placa es mayor en bifurcaciones con ALM distal a la carina y parece asociarse a menor incidencia de daño del ostium del RS (AU)


Introduction and objectives: The plaque distribution patterns in coronary bifurcation lesions are not well understood. It has been speculated that carina is free of plaque partly because of high wall shear stress providing an atheroprotective effect. To study plaque distribution with intravascular ultrasound (IVUS) in the coronary bifurcation and the prevalence of carina involvement. Methods: IVUS study was performed on 195 coronary bifurcation lesions in the main vessel (MV) and on 91 in the side branch (SB). Plaque at the carina was considered when its thickness was > 0.3 mm. Plaque burden was measured at different levels: proximal reference, distal, carina and at the point of minimal lumen area (MLA). Results: The prevalence of plaque at the carina was 32%. Its thickness was 0.8 (0.36) mm, less than that observed at the counter-carina [1.22 (0.54) mm; P < .01]. The prevalence was higher (52%) when the MLA point was distal to the carina. The plaque at the carina was associated with a lower incidence of damage at the SB ostium after stenting the MV (32% vs 54%; P < .04). Conclusions: The carina is not immune to atherosclerosis, showing plaque at this level in one third of the bifurcations. The incidence of plaque is higher in those bifurcations with the MLA point distal to the carina and seems to be associated with a lower incidence of damage to the SB ostium (AU)


Subject(s)
Humans , Male , Middle Aged , Drug-Eluting Stents , Coronary Angiography/trends , Coronary Angiography , Coronary Artery Disease/pathology , Endocardial Cushion Defects/epidemiology , Cardiac Catheterization/methods , Angiography/methods , Coronary Stenosis/drug therapy , Coronary Stenosis/surgery , Angioplasty, Balloon, Coronary/methods , Constriction, Pathologic/surgery , Coronary Artery Disease/physiopathology , Ultrasonography , Arteriosclerosis/immunology , Endocardial Cushion Defects/drug therapy , Endocardial Cushion Defects
11.
Rev Esp Cardiol ; 64(1): 43-50, 2011 Jan.
Article in English | MEDLINE | ID: mdl-21190777

ABSTRACT

INTRODUCTION AND OBJECTIVES: The plaque distribution patterns in coronary bifurcation lesions are not well understood. It has been speculated that carina is free of plaque partly because of high wall shear stress providing an atheroprotective effect. To study plaque distribution with intravascular ultrasound (IVUS) in the coronary bifurcation and the prevalence of carina involvement. METHODS: IVUS study was performed on 195 coronary bifurcation lesions in the main vessel (MV) and on 91 in the side branch (SB). Plaque at the carina was considered when its thickness was > 0.3mm. Plaque burden was measured at different levels: proximal reference, distal, carina and at the point of minimal lumen area (MLA). RESULTS: The prevalence of plaque at the carina was 32%. Its thickness was 0.8 (0.36) mm, less than that observed at the counter-carina [1.22 (0.54) mm; P<.01]. The prevalence was higher (52%) when the MLA point was distal to the carina. The plaque at the carina was associated with a lower incidence of damage at the SB ostium after stenting the MV (32% vs 54%; P<.04). CONCLUSIONS: The carina is not immune to atherosclerosis, showing plaque at this level in one third of the bifurcations. The incidence of plaque is higher in those bifurcations with the MLA point distal to the carina and seems to be associated with a lower incidence of damage to the SB ostium.


Subject(s)
Coronary Artery Disease/diagnostic imaging , Coronary Artery Disease/epidemiology , Stents , Ultrasonography, Interventional , Coronary Artery Disease/surgery , Female , Humans , Male , Middle Aged , Prevalence
12.
Rev Esp Cardiol ; 62(11): 1240-9, 2009 Nov.
Article in English | MEDLINE | ID: mdl-19889335

ABSTRACT

INTRODUCTION AND OBJECTIVES: Percutaneous coronary intervention for ostial lesions of the left anterior descending coronary artery (LAD) remains a complex procedure. The aim of this study was to evaluate the usefulness of a method of treatment that we have termed the floating-stent approach. METHODS: The study involved 71 patients with ostial LAD lesions who underwent implantation of a drug-eluting stent in the LAD, which totally or partially covered the ostium of the circumflex artery. No further interventions were planned. Intravascular ultrasound was performed both at baseline and after treatment in 49 patients. All were followed up clinically (16+/-12 months). RESULTS: Angiography of the LAD demonstrated an immediate success rate of 100%. However, significant focal damage was observed in the circumflex ostium in 7 (10%) patients, three of whom needed treatment. The mean protrusion of the stent over the origin of the circumflex artery was 2.48+/-0.91 mm. The only predictor of circumflex ostial injury identified in the study was the carina having a spiky appearance on intravascular ultrasound, visible in the longitudinal view. We termed this feature the "eyebrow sign". Carina displacement was responsible for the focal damage in 13 of the 14 patient with this feature. Overall, the major cardiac adverse event rate during follow-up was 4%. CONCLUSIONS: Use of the floating-stent technique for treating LAD ostial lesions was straightforward and gave excellent medium-term RESULTS: Intravascular ultrasound showed that patients who had a carina with specific vulnerable anatomical features were predisposed to circumflex artery ostial injury.


Subject(s)
Coronary Stenosis/therapy , Drug-Eluting Stents , Coronary Stenosis/diagnostic imaging , Female , Humans , Male , Middle Aged , Prospective Studies , Prosthesis Implantation/methods , Ultrasonography
13.
Rev. esp. cardiol. (Ed. impr.) ; 62(11): 1240-1249, nov. 2009. ilus, tab
Article in Spanish | IBECS | ID: ibc-73898

ABSTRACT

Introducción y objetivos. El tratamiento percutáneo de las lesiones ostiales de la arteria coronaria descendente anterior (DA) es complejo. El propósito de este estudio es valorar la utilidad de una estrategia de tratamiento que denominamos stent flotante. Métodos. Se estudió a 71 pacientes con estenosis ostial de la DA tratados mediante el implante de un stent farmacoactivo en la DA, cubriendo parcialmente el origen de la arteria circunfleja (Cx), sin planificar manipulaciones ulteriores. Se realizó un estudio ultrasónico basal y tras tratamiento en 49 pacientes. Se hizo seguimiento clínico prospectivo en todos los pacientes (16 ± 12 meses). Resultados. El éxito angiográfico inmediato en la DA fue del 100%. Se observó daño focal significativo en el ostium de la Cx en 7 (10%) pacientes, de los que 3 precisaron tratamiento. El grado de protrusión del stent cubriendo el origen de la Cx fue de 2,48 ± 0,91 mm. En el estudio de predictores de daño del ostium de la Cx, se identificó la presencia de un patrón ultrasónico de la carina, visible en la reconstrucción longitudinal que, por su forma puntiaguda, denominamos «signo de la ceja». Su desplazamiento fue la causa del daño en 13 de los 14 pacientes. La suma de eventos cardiacos mayores al seguimiento fue del 4%. Conclusiones. La técnica del stent flotante en el tratamiento de las lesiones ostiales de la DA es simple, con excelente resultado a medio plazo. El estudio ultrasónico identifica a los pacientes con una anatomía vulnerable de la carina, predictora del daño en la arteria circunfleja (AU)


Introduction and objectives. Percutaneous coronary intervention for ostial lesions of the left anterior descending coronary artery (LAD) remains a complex procedure. The aim of this study was to evaluate the usefulness of a method of treatment that we have termed the floating-stent approach. Methods. The study involved 71 patients with ostial LAD lesions who underwent implantation of a drug-eluting stent in the LAD, which totally or partially covered the ostium of the circumflex artery. No further interventions were planned. Intravascular ultrasound was performed both at baseline and after treatment in 49 patients. All were followed up clinically (16±12 months). Results. Angiography of the LAD demonstrated an immediate success rate of 100%. However, significant focal damage was observed in the circumflex ostium in 7 (10%) patients, three of whom needed treatment. The mean protrusion of the stent over the origin of the circumflex artery was 2.48±0.91 mm. The only predictor of circumflex ostial injury identified in the study was the carina having a spiky appearance on intravascular ultrasound, visible in the longitudinal view. We termed this feature the «eyebrow sign». Carina displacement was responsible for the focal damage in 13 of the 14 patient with this feature. Overall, the major cardiac adverse event rate during follow-up was 4%. Conclusions. Use of the floating-stent technique for treating LAD ostial lesions was straightforward and gave excellent medium-term results. Intravascular ultrasound showed that patients who had a carina with specific vulnerable anatomical features were predisposed to circumflex artery ostial injury (AU)


Subject(s)
Humans , Heart Septal Defects, Atrial/surgery , Stents , Transposition of Great Vessels/surgery , Coronary Vessel Anomalies , Coronary Vessels/anatomy & histology
14.
Iatreia ; 22(2): 132-142, jun. 2009.
Article in Spanish | LILACS | ID: lil-554015

ABSTRACT

Introducción: hay poca información sobre las relaciones entre la falla de la terapia antimalárica y algunos factores del hospedero (estado nutricional, fenotipo y genotipo del citocromo CYP450 que metaboliza el medicamento antipalúdico). Objetivo: explorar si la falla terapéutica de la mefloquina dada a pacientes con malaria falciparum no complicada se puede explicar por la influencia del estado nutricional del enfermo y del fenotipo y genotipo de su citocromo CYP3A4. Materiales y métodos: estudio de casos y controles no pareado. Pacientes: hombres y mujeres adultos, de Turbo y El Bagre (Antioquia, Colombia). Resultados: se evaluó la respuesta terapéutica en 46 enfermos; hubo solo tres fallas (6,5%); por la muy baja ocurrencia de falla terapéutica (n = 3/46), los resultados se presentan en forma descriptiva para los 46 pacientes. La relación dextrometorfano/3-metoximorfinano fue 0,39 (mediana); 20% fueron metabolizadores lentos. Las concentraciones sanguíneas medianas de mefloquina a las 24 horas (C24h) y al día 14 (Cd14) fueron 1.363 + 397 ng/mL y 978 + 106 ng/mL, respectivamente. Los 46 pacientes presentaron el alelo CYP3A4*2 (silvestre). Conclusión: no se pudo evaluar con profundidad la relación entre la respuesta a la terapia antimalárica, por una parte y, por otra, la actividad del CYP450 y el estado nutricional, pero hubo hallazgos que justifican la evaluación y control de las características del hospedero en estudios posteriores de farmacocinética antimalárica.


Introduction: Information on the relationship between treatment failure in malaria and factors of the host (nutritional status, phenotype and genotype of cytochrome CYP450) involved in the metabolism of antimalarials is scarce. Objective: To explore whether treatment failure of mefloquine administered to patients with noncomplicated falciparum malaria can be explained in terms of the patient’s nutritional status and the CYP3A4 phenotype and genotype. Materials and methods: Non-matched case-control study. Patients were adult males and females, inhabitants of Turbo and El Bagre (Antioquia, Colombia). Results: The therapeutic response was assessed in 46 patients, and there were only three failures (6.5%); due to the rare occurrence of therapeutic failure (n = 3/46), results are presented in a descriptive way for the 46 patients. The dextrometorphan/3-methoxymorphinan ratio was 0.39 (median); 20% of the patients were slow metabolizers. The blood concentrations of mefloquine at 24 hours (C24h) and at day 14 (Cd14) were (median) 1.363 ± 397 ng/mL and 978 ± 106 ng/mL, respectively. All 46 patients had the wild CYP3A4*2 allele. Conclusion: We were unable to assess in depth the relationship between the response to mefloquine, on the one hand and, on the other, CYP450 activity and nutritional status. However, there were findings that justify the assessment and control of the characteristics of the host in subsequent studies of antimalarial pharmacokinetics.


Subject(s)
Alleles , Malnutrition , Ferritins , Malaria , Mefloquine , Selenium , Vitamin A
15.
Colomb. med ; 39(3): 276-286, jul.-sept. 2008.
Article in Spanish | LILACS | ID: lil-573207

ABSTRACT

Introducción: La malaria, la anemia y la parasitosis intestinal coexisten y constituyen problemas de salud pública en Colombia. Datos disponibles en la literatura biomédica llevan a pensar que estos problemas no son aislados sino que estßn interrelacionados. Por otra parte, los suplementos de retinol han sido efectivos para reducir la mortalidad infantil, con disminución de complicaciones en niños palúdicos, posiblemente por efectos del retinol sobre la función inmune, desviando la respuesta de citocinas hacia un patrón TH2, que también protege de desarrollar anemia grave. Esta revisión tiene como objetivo describir parte de las relaciones vistas en la literatura biomédica mundial, entre retinol y malaria, retinol y anemia, retinol, malaria y parasitosis intestinal, anemia y malaria y mostrar la mediación de estas interrelaciones por el patrón de citocinas TH1/TH2 en sujetos con malaria. Metodología: Se consultaron las siguientes bases de literatura biomédica: Medline, Lilacs, Spingerlik, Md Consultant, Web of Science, Ovid, Scient Direct, Ebsco y Cochrane. También se buscó información para documentar la prevalencia de desnutrición, deficiencia subclínica de retinol, anemia y malaria en niños colombianos, lo mismo que sobre el papel antinfeccioso del retinol.Resultados: Existe asociación entre parasitosis intestinal y malaria; algunos estudios indican que los helmintos predisponen a contraer malaria en niños. De otro lado, los parßsitos mencionados, también se han relacionado con anemia y bajas concentraciones plasmßticas de retinol, que a la vez se asocian con malaria. Sin embargo, no se encontró información que relacione simultaneamente todos estos tópicos y que muestre la respuesta de citocinas TH1/TH2 como la articulación de todos ellos.


Introduction: Malaria infection, anaemia and intestinal parasitism, are important public health problems in Colombia. Available data suggests that these are not separate conditions, but interrelated. On the other hand, retinol supplementation successfully decreases mortality in children. In malaria endemic areas, this supplement reduces severe malaria in children, due to immune modulation by retinol. For example, retinoic acid induced a bias towards a TH2 immune response, an event that is associated with protection against severe anaemia. This review aimed at describing some relationships, reported in global biomedical literature, between retinol and malaria; retinol and anaemia; retinol, malaria and intestinal parasites; anaemia and malaria; and to how the TH1/TH2 cytokine pattern in individuals with malaria changes according to retinol supplementation. Methods: The following biomedical literature databases were consulted: Medline, Lilacs, Spingerlik, Md. Consultant, Web of Science, Ovid, Scient Direct, Ebsco and Cochrane. Information documenting prevalence of malnutrition, subclinical retinol deficiency, anaemia and malaria in Colombian children, as well as papers on the anti-infectious role of retinol were also. Results: A relationship between malaria and intestinal parasitic infections was reported. Some studies indicate that helminth infection predispose children to suffer malaria. On the other hand, these intestinal parasites have also been associated with anaemia and low retinol plasma concentrations, which in turn are associated with malaria. No co-relation regarding a simultaneous link between all these conditions, and the TH1/TH2 balance was observed. Conclusions: The study of associations between malaria, anaemia, intestinal parasite infections and low retinol level, with the TH1/TH2 cytokine response as centerpiece is essential to prevent or provide early treatment.


Subject(s)
Anemia , Helminths , Iron , Malaria , Vitamin A , Immunity, Cellular
16.
Am J Geriatr Cardiol ; 16(3): 136-42, 2007.
Article in English | MEDLINE | ID: mdl-17483664

ABSTRACT

The modification of cognitive function with age has been the focus of numerous studies. Most of the research has suggested that these changes, at least in the majority of individuals, occur only at a very advanced stage; however, those conditions that are treatable and potentially reversible are acute in onset and often associated with acute confusional states. Therefore, physicians should be aware of the possibility of reversible causes of cognitive change in their elderly patients, including certain medications responsible for memory loss and other organ system diseases. In addition, the authors stress that not all memory loss in geriatric patients is due to Alzheimer's disease and that when history and physical examination provide evidence of hypertension and magnetic resonance imaging provides evidence of leukoaraiosis, a diagnosis of vascular dementia should be considered.


Subject(s)
Dementia/diagnosis , Geriatric Assessment , Vascular Diseases/drug therapy , Aged , Antihypertensive Agents/adverse effects , Cognition Disorders/complications , Confusion/chemically induced , Dementia/complications , Dementia, Vascular/complications , Dementia, Vascular/diagnosis , Diagnosis, Differential , Humans , Memory Disorders/chemically induced , Memory Disorders/diagnosis , Vascular Diseases/complications
17.
Rev Med Chil ; 134(7): 920-6, 2006 Jul.
Article in Spanish | MEDLINE | ID: mdl-17130977

ABSTRACT

BACKGROUND: Surgery is a curative treatment for gastric cancer (GC). As relapse is frequent, adjuvant therapies such as postoperative chemo radiotherapy have been tried. In Chile, some hospitals adopted Macdonald's study as a protocol for the treatment of GC. AIM: To determine methodological quality and internal and external validity of the Macdonald study. MATERIAL AND METHOD: Three instruments were applied that assess methodological quality. A critical appraisal was done and the internal and external validity of the methodological quality was analyzed with two scales: MINCIR (Methodology and Research in Surgery), valid for therapy studies and CONSORT (Consolidated Standards of Reporting Trials), valid for randomized controlled trials (RCT). Guides and scales were applied by 5 researchers with training in clinical epidemiology. RESULTS: The reader's guide verified that the Macdonald study was not directed to answer a clearly defined question. There was random assignment, but the method used is not described and the patients were not considered until the end of the study (36% of the group with surgery plus chemo radiotherapy did not complete treatment). MINCIR scale confirmed a multicentric RCT, not blinded, with an unclear randomized sequence, erroneous sample size estimation, vague objectives and no exclusion criteria. CONSORT system proved the lack of working hypothesis and specific objectives as well as an absence of exclusion criteria and identification of the primary variable, an imprecise estimation of sample size, ambiguities in the randomization process, no blinding, an absence of statistical adjustment and the omission of a subgroup analysis. CONCLUSION: The instruments applied demonstrated methodological shortcomings that compromise the internal and external validity of the.


Subject(s)
Biomedical Research/standards , Evidence-Based Medicine/standards , Practice Guidelines as Topic , Research Design/standards , Stomach Neoplasms/therapy , Antineoplastic Combined Chemotherapy Protocols/standards , Chile , Combined Modality Therapy/standards , Data Interpretation, Statistical , Humans , Quality Control , Randomized Controlled Trials as Topic/standards , Stomach Neoplasms/surgery
18.
Rev. méd. Chile ; 134(7): 920-926, jul. 2006. ilus
Article in Spanish | LILACS | ID: lil-434595

ABSTRACT

Background: Surgery is a curative treatment for gastric cancer (GC). As relapse is frequent, adjuvant therapies such as postoperative chemo radiotherapy have been tried. In Chile, some hospitals adopted Macdonald's study as a protocol for the treatment of GC. Aim: To determine methodological quality and internal and external validity of the Macdonald study. Material and method: Three instruments were applied that assess methodological quality. A critical appraisal was done and the internal and external validity of the methodological quality was analyzed with two scales: MINCIR (Methodology and Research in Surgery), valid for therapy studies and CONSORT (Consolidated Standards of Reporting Trials), valid for randomized controlled trials (RCT). Guides and scales were applied by 5 researchers with training in clinical epidemiology. Results: The reader's guide verified that the Macdonald study was not directed to answer a clearly defined question. There was random assignment, but the method used is not described and the patients were not considered until the end of the study (36% of the group with surgery plus chemo radiotherapy did not complete treatment). MINCIR scale confirmed a multicentric RCT, not blinded, with an unclear randomized sequence, erroneous sample size estimation, vague objectives and no exclusion criteria. CONSORT system proved the lack of working hypothesis and specific objectives as well as an absence of exclusion criteria and identification of the primary variable, an imprecise estimation of sample size, ambiguities in the randomization process, no blinding, an absence of statistical adjustment and the omission of a subgroup analysis. Conclusion: The instruments applied demonstrated methodological shortcomings that compromise the internal and external validity of the study.


Subject(s)
Humans , Biomedical Research/standards , Evidence-Based Medicine/standards , Practice Guidelines as Topic , Research Design/standards , Stomach Neoplasms/therapy , Antineoplastic Combined Chemotherapy Protocols/standards , Chile , Combined Modality Therapy/standards , Data Interpretation, Statistical , Quality Control , Randomized Controlled Trials as Topic/standards , Stomach Neoplasms/surgery
19.
J Gastrointest Surg ; 10(2): 186-92, 2006 Feb.
Article in English | MEDLINE | ID: mdl-16455449

ABSTRACT

The goal was to study our experience in the management of a series of patients with a potentially curative subserosal gallbladder cancer who were prospectively treated by the authors. Between April 1988 and July 2004, 139 patients were enrolled in our prospective database. Of the above, 120 were operated on with an open procedure and the rest with laparoscopic surgery. In only eight patients was the diagnosis suspected before the cholecystectomy. The majority of tumors were adenocarcinoma. Six patients had an epidermoid tumor, and one had a carcinosarcoma. Of the patients, 74 underwent reoperation, while in 55 (70.2%) it was possible to perform an extended cholecystectomy with a curative aim. Operative mortality was 0%, and operative morbidity was 16%. Lymph node metastases were found in 10 (18.8%), while in 7 (13.2%) the liver was involved. The overall survival rate was 67.7%, while in those who underwent resection, the survival rate was 77%. Through the use of a multivariate analysis, the presence of lymph node metastasis was found to be an independent factor with respect to prognosis. The feasibility of performing an extended cholecystectomy in patients with gallbladder cancer and invasion of the subserosal layer allows for a good survival rate. The presence of lymph node metastases represents the main poor prognosis factor, and some type of adjuvant therapy should be studied in this particular group.


Subject(s)
Gallbladder Neoplasms/surgery , Adenocarcinoma/pathology , Adenocarcinoma/surgery , Adult , Aged , Aged, 80 and over , Cholecystectomy , Cholecystectomy, Laparoscopic , Cohort Studies , Epidermal Cyst/pathology , Epidermal Cyst/surgery , Female , Follow-Up Studies , Gallbladder Diseases/pathology , Gallbladder Diseases/surgery , Gallbladder Neoplasms/pathology , Humans , Lymphatic Metastasis/pathology , Male , Middle Aged , Neoplasm Invasiveness , Prognosis , Prospective Studies , Reoperation , Serous Membrane/pathology , Survival Rate
20.
Am Heart J ; 148(5): 857-64, 2004 Nov.
Article in English | MEDLINE | ID: mdl-15523318

ABSTRACT

BACKGROUND: Rapamycin-eluting stents (RES) have been shown to reduce restenosis in many types of lesions. However, the ideal strategy for the treatment of coronary bifurcated lesions has not been established to date. This randomized study compares 2 strategies for the RES treatment of bifurcation lesions: a simple approach (stenting the main vessel and balloon dilatation for the side branch [SB]) versus a complex approach (stents for both vessels). METHODS: To compare both strategies, a randomized study was conducted in 91 patients with true coronary bifurcation lesions. All patients received an RES at the main vessel, covering the SB. Patients from group A (n = 47) were assigned to balloon dilation of the involved SB (simple strategy); patients in group B (n = 44) were randomized to receive a second stent at the SB origin (complex strategy). There were no differences between groups regarding baseline clinical and angiographic data. RESULTS: Major adverse cardiac events occurred in 3 patients from group A (2 non-Q-wave myocardial infarctions and 1 target lesion revascularization). Six-month angiographic reevaluation was obtained in 80 patients (88%). Restenosis of the main vessel was observed in 1 (2%) patient from group A and in 4 (10%) from group B. Restenosis of the SB appeared in 2 (5%) patients from group A and in 6 (15%) from group B. CONCLUSIONS: Both strategies are effective in reducing the restenosis rate, with no differences in terms of clinical outcome. Elective SB stenting seems to provide no advantages over the simpler stent jail followed by SB balloon dilation.


Subject(s)
Angioplasty, Balloon, Coronary/methods , Coronary Disease/therapy , Coronary Restenosis/prevention & control , Immunosuppressive Agents/administration & dosage , Sirolimus/administration & dosage , Stents , Coronary Angiography , Coronary Disease/pathology , Coronary Vessels/pathology , Cross-Over Studies , Female , Follow-Up Studies , Humans , Male , Middle Aged , Treatment Outcome
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