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1.
J Occup Environ Hyg ; 8(5): 310-23, 2011 May.
Article in English | MEDLINE | ID: mdl-21491323

ABSTRACT

This study was conducted to verify the performance of a recently developed subjective rating (SR) exposure assessment technique and to compare estimates made using this and two other techniques (trade mean, or TM, and task-based, or TB, approaches) to measured exposures. Subjects (n = 68) each completed three full-shift noise measurements over 4 months. Individual measured mean exposures were created by averaging each subject's repeated measurements, and TM, TB, and SR estimates were created using noise levels from worksites external to the current study. The bias, precision, accuracy, and absolute agreement of estimates created using the three techniques were evaluated by comparing estimated exposures with measured exposures. Trade mean estimates showed little bias, while neither the TM nor the SR techniques produced unbiased estimates, and the SR estimates showed the greatest bias of the three techniques. Accuracy was essentially equivalent among the three techniques. All three techniques showed poor agreement with measured exposures and were not highly correlated with each other. Estimates from the SR technique generally performed similarly to the TM and TB techniques. Methods to incorporate information from each technique into exposure estimates should be explored.


Subject(s)
Environmental Monitoring/methods , Noise, Occupational , Occupational Exposure/analysis , Adult , Female , Humans , Male
2.
Occup Environ Med ; 63(5): 343-51, 2006 May.
Article in English | MEDLINE | ID: mdl-16551755

ABSTRACT

OBJECTIVES: To evaluate noise exposures and hearing loss prevention efforts in industries with relatively high rates of workers' compensation claims for hearing loss. METHODS: Washington State workers' compensation records were used to identify up to 10 companies in each of eight industries. Each company (n = 76) was evaluated by a management interview, employee personal noise dosimetry (n = 983), and employee interviews (n = 1557). RESULTS: Full-shift average exposures were > or =85 dBA for 50% of monitored employees, using Occupational Safety and Health Administration (OSHA) parameters with a 5 dB exchange rate (L(ave)), but 74% were > or =85 dBA using a 3 dB exchange rate (L(eq)). Only 14% had L(ave) > or =90 dBA, but 42% had L(eq) > or =90 dBA. Most companies conducted noise measurements, but most kept no records, and consideration of noise controls was low in all industries. Hearing loss prevention programmes were commonly incomplete. Management interview scores (higher score = more complete programme) showed significant associations with percentage of employees having L(ave) > or =85 dBA and presence of a union (multiple linear regression; R2 = 0.24). Overall, 62% of interviewed employees reported always using hearing protection when exposed. Protector use showed significant associations with percentage of employees specifically required to use protection, management score, and average employee time spent > or =95 dBA (R2 = 0.65). CONCLUSIONS: The findings raise serious concerns about the adequacy of prevention, regulation, and enforcement strategies in the United States. The percentage of workers with excessive exposure was 1.5-3 times higher using a 3 dB exchange rate instead of the OSHA specified 5 dB exchange rate. Most companies gave limited or no attention to noise controls and relied primarily on hearing protection to prevent hearing loss; yet 38% of employees did not use protectors routinely. Protector use was highest when hearing loss prevention programmes were most complete, indicating that under-use of protection was, in some substantial part, attributable to incomplete or inadequate company efforts.


Subject(s)
Hearing Loss, Noise-Induced/prevention & control , Industry , Noise, Occupational/legislation & jurisprudence , Occupational Diseases/prevention & control , Occupational Exposure/legislation & jurisprudence , Adult , Audiometry/statistics & numerical data , Cross-Sectional Studies , Data Collection/methods , Ear Protective Devices , Environmental Monitoring/methods , Female , Hearing Loss, Noise-Induced/diagnosis , Humans , Interviews as Topic , Linear Models , Male , Middle Aged , Noise, Occupational/prevention & control , Occupational Diseases/diagnosis , Occupational Exposure/prevention & control , Occupational Health/legislation & jurisprudence , Risk Assessment/methods , Threshold Limit Values , United States , United States Occupational Safety and Health Administration
3.
Am J Public Health ; 91(5): 710-6, 2001 May.
Article in English | MEDLINE | ID: mdl-11344876

ABSTRACT

OBJECTIVES: This study examined hospital preparedness for incidents involving chemical or biological weapons. METHODS: By using a questionnaire survey of 224 hospital emergency departments in 4 northwestern states, we examined administrative plans, training, physical resources, and representative medication inventories. RESULTS: Responses were received from 186 emergency departments (83%). Fewer than 20% of respondent hospitals had plans for biological or chemical weapons incidents. About half (45%) had an indoor or outdoor decontamination unit with isolated ventilation, shower, and water containment systems, but only 12% had 1 or more self-contained breathing apparatuses or supplied air-line respirators. Only 6% had the minimum recommended physical resources for a hypothetical sarin incident. Of the hospitals providing quantitative answers about medication inventories, 64% reported sufficient ciprofloxacin or doxycycline for 50 hypothetical anthrax victims, and only 29% reported sufficient atropine for 50 hypothetical sarin victims (none had enough pralidoxime). CONCLUSIONS: Hospital emergency departments generally are not prepared in an organized fashion to treat victims of chemical or biological terrorism. The planned federal efforts to improve domestic preparedness will require substantial additional resources at the local level to be truly effective.


Subject(s)
Bioterrorism , Chemical Warfare , Disaster Planning/organization & administration , Emergency Service, Hospital/organization & administration , Health Resources , Cross-Sectional Studies , Decontamination , Humans , Northwestern United States , Pacific States , Patient Isolation , Protective Devices , Public Health
4.
AAOHN J ; 49(11): 512-8, 2001 Nov.
Article in English | MEDLINE | ID: mdl-11760706

ABSTRACT

1. Bioterrorism is the intentional release of a biological agent--bacterial, viral, or genetically altered--to instill fear or create chaos, massive casualities, illness, and death in humans, animals, or plants. 2. The threat of bioterrorism is real. Although every community is vulnerable, terrorists seek densely populated, highly visible targets. 3. Occupational and environmental health nurses must to be able to recognize and report signs and symptoms of an early bioweapons outbreak in their workplaces and communities. Only thorough preparedness and planning will result in effective mitigation and treatment. 4. The Bioterrorism Readiness Plan (at http://www.apic.org and http://www.CDC.gov/ncidod/hip) is a template for health care professionals to help plan a realistic response to bioterrorism. It serves as a tool for successful collaboration and communication among all disciplines and public health agencies for the best possible outcomes.


Subject(s)
Bioterrorism/prevention & control , Occupational Health Nursing/methods , Public Health Practice , Workplace , Anthrax/epidemiology , Anthrax/prevention & control , Bioterrorism/statistics & numerical data , Bioterrorism/trends , Communication , Cooperative Behavior , Disease Outbreaks/prevention & control , Disease Outbreaks/statistics & numerical data , Humans , Information Services , Internet , Nursing Assessment/methods , Patient Care Team/organization & administration , Population Surveillance/methods , Smallpox/epidemiology , Smallpox/prevention & control , United States/epidemiology
6.
Occup Environ Med ; 56(2): 93-105, 1999 Feb.
Article in English | MEDLINE | ID: mdl-10448313

ABSTRACT

OBJECTIVES: It is plausible that neurodegenerative processes of aging might have a contributing role in the development of chronic effects of exposure to organic solvents. This study evaluated the risk for neuropsychological deficits among retired workers, relative to their histories of exposure to occupational solvents. METHODS: This cross sectional study evaluated retired male workers, 62-74 years of age, including 89 people with previous long-term occupational exposure to solvents (67 retired painters and 22 retired aerospace manufacturing workers), and 126 retired carpenters with relatively minimal previous exposure to solvents. Subjects completed a standardised neuropsychological evaluation and psychiatric interview, structured interviews for histories of occupational exposure and alcohol consumption, and questionnaires assessing neurological and depressive symptoms. RESULTS: By comparison with the carpenters, the painters on average reported greater cumulative alcohol consumption and had lower scores on the WAIS-R vocabulary subtest, usually presumed to reflect premorbid intellectual functioning. These findings, however, were not sufficient to account for the other study findings. Controlling for age, education, vocabulary score, and alcohol use, the painters had lower mean scores on test measures of motor, memory, and reasoning ability; and a subgroup of aerospace workers with moderate to high cumulative exposure to solvents (n = 8) had lower mean scores on measures of visuomotor speed, and motor, attention, memory, and reasoning ability. Subjects were more likely to have an increased number of relatively abnormal test scores (three or more outlier scores on 17 test measures) among both the painter group (odds ratio (OR), 3.1; 95% confidence interval (95% CI) 1.5 to 6.2) and the subgroup of aerospace workers with higher cumulative exposure (OR 5.6; 95% CI 1.0 to 38). The painters, but not the aerospace workers, reported significantly more neurological and depressive symptoms. CONCLUSIONS: The findings are consistent with residual central nervous system dysfunction from long-term exposure to organic solvents, persisting years after the end of exposure.


Subject(s)
Nervous System Diseases/chemically induced , Occupational Diseases/chemically induced , Occupational Exposure/adverse effects , Solvents/adverse effects , Aged , Aging/psychology , Cross-Sectional Studies , Humans , Lead/blood , Male , Mental Processes/drug effects , Middle Aged , Nervous System Diseases/psychology , Neuropsychological Tests , Occupational Diseases/psychology , Occupations , Retirement , Solvents/administration & dosage
7.
Am J Respir Crit Care Med ; 159(1): 119-24, 1999 Jan.
Article in English | MEDLINE | ID: mdl-9872828

ABSTRACT

Seattle firefighters participate in a voluntary annual medical surveillance program including measurements of ventilatory capacity (FVC and FEV1) and single-breath diffusing capacity of carbon monoxide (DLCO). From 1989 to 1996, average % predicted DLCO (Crapo) for all participating firefighters declined from 94.4% (95% confidence interval [CI]: 93.4% to 95.5%) to 87.3% (95% CI: 86.2% to 88.3%), with no significant change in average FVC or FEV1. A random-effects regression model based on data from 812 firefighters with at least two annual sets of DLCO measurements showed the expected associations between DLCO and age, height, gender, race, ventilatory capacity, and smoking. In addition, two important temporal changes were observed, including, for an average firefighter, a large mean decline in DLCO of -1.02 ml/min/mm Hg associated with year of measurement, and a relatively smaller decline of -0.006 ml/min/mm Hg associated with number of fires fought. Although the stability of ventilatory capacity over time is reassuring, the marked temporal decline in diffusing capacity among this population of firefighters raises issues of concern. Interpretation of the observed decline poses a dilemma in terms of the reliability and efficacy of diffusing capacity as a screening tool, in whether DLCO is subject to unacceptable technical variability or whether it might provide more sensitive detection of early adverse respiratory effects of smoke inhalation.


Subject(s)
Carbon Monoxide , Fires , Occupational Health , Population Surveillance , Pulmonary Diffusing Capacity , Respiration , Adult , Female , Forced Expiratory Volume/physiology , Humans , Longitudinal Studies , Male , Regression Analysis , Smoking , Time Factors , Vital Capacity/physiology
8.
Am J Ind Med ; 33(6): 519-28, 1998 Jun.
Article in English | MEDLINE | ID: mdl-9582942

ABSTRACT

This study examined non-federal workers' compensation claims accepted for hearing-related conditions in Washington state during 1984-1991. Seventy percent of 6,539 filed claims were accepted (n = 4,547); most accepted claims resulted in disability compensation (n = 3,660; 80%). A transient 50-fold increase in claims from one worksite accounted for one-third of all hearing-related claims in the state for 2 years. The number and incidence of accepted claims from all other worksites increased significantly across the study period. The incidence was 0.3 per 10(3) workers per year, overall, but was at least five-fold higher in industries that accounted for half of accepted claims, and reached 38- to 71-fold higher in some industries. This study indicates: 1) workers' compensation claims under-estimate the true frequency of occupational illness, representing only the "tip of the iceberg;" 2) hearing loss is a growing problem in occupational health; and 3) workers' compensation data are potentially useful to identify specific high-incidence industries for possible interventions.


Subject(s)
Hearing Loss, Noise-Induced/epidemiology , Industry/statistics & numerical data , Noise, Occupational/statistics & numerical data , Occupational Exposure/statistics & numerical data , Workers' Compensation/statistics & numerical data , Adolescent , Adult , Aged , Bias , Cross-Sectional Studies , Female , Hearing Loss, Noise-Induced/etiology , Humans , Incidence , Male , Middle Aged , Noise, Occupational/adverse effects , Occupational Exposure/adverse effects , Occupations/statistics & numerical data , Risk Factors , Washington/epidemiology
9.
Am J Ind Med ; 33(6): 529-36, 1998 Jun.
Article in English | MEDLINE | ID: mdl-9582943

ABSTRACT

This study examined 4,547 workers' compensation claims accepted for hearing-related conditions in Washington state between 1984 and 1991; 80% resulted in disability compensation (n = 3,660). Acute hearing-related conditions comprised 11% of accepted conditions (95% confidence interval [CI], 2-15%); most claims were for chronic noise-related hearing loss. Tinnitus was reported in 64% of accepted claims (95% CI, 54-75%). The median binaural-equivalent hearing loss in compensated claims was 12.5% (inter-quartile interval, 5-22%; 90th percentile, 34%), although it declined by 30% during the study period. The number of claims and associated impairment increased with claimant age, but the number of claims dropped dramatically after age 65. Annual total disability settlements almost tripled in 8 years, totaling $22.8 million. This study indicates that occupational hearing-related conditions: 1) are manifested by mild to moderate hearing loss, accompanied by tinnitus in a majority of cases; 2) may be under-recognized in older, formerly noise-exposed individuals; and 3) were associated with substantial increases in compensation and medical costs over time, through 1991.


Subject(s)
Health Care Costs/statistics & numerical data , Hearing Loss, Noise-Induced/epidemiology , Occupational Diseases/epidemiology , Occupational Exposure/statistics & numerical data , Adolescent , Adult , Aged , Costs and Cost Analysis , Cross-Sectional Studies , Female , Hearing Loss, Noise-Induced/economics , Humans , Incidence , Industry/economics , Industry/statistics & numerical data , Insurance Coverage/economics , Insurance Coverage/statistics & numerical data , Male , Middle Aged , Occupational Diseases/economics , Occupational Exposure/economics , Tinnitus/economics , Tinnitus/epidemiology , Washington/epidemiology , Workers' Compensation/economics , Workers' Compensation/statistics & numerical data
10.
Environ Health Perspect ; 105 Suppl 1: 37-53, 1997 Feb.
Article in English | MEDLINE | ID: mdl-9114276

ABSTRACT

Porphyrias are relatively uncommon inherited or acquired disorders in which clinical manifestations are attributable to a disturbance of heme synthesis (porphyrin metabolism), usually in association with endogenous or exogenous stressors. Porphyrias are characterized by elevations of heme precursors in blood, urine, and/or stool. A number of chemicals, particularly metals and halogenated hydrocarbons, induce disturbances of heme synthesis in experimental animals. Certain chemicals have also been linked to porphyria or porphyrinuria in humans, generally involving chronic industrial exposures or environmental exposures much higher than those usually encountered. A noteworthy example is the Turkish epidemic of porphyria cutanea tarda produced by accidental ingestion of wheat treated with the fungicide hexachlorobenzene. Measurements of excreted heme precursors have the potential to serve as biological markers for harmful but preclinical effects of certain chemical exposures; this potential warrants further research and applied field studies. It has been hypothesized that several otherwise unexplained chemical-associated illnesses, such as multiple chemical sensitivity syndrome, may represent mild chronic cases of porphyria or other acquired abnormalities in heme synthesis. This review concludes that, although it is reasonable to consider such hypotheses, there is currently no convincing evidence that these illnesses are mediated by a disturbance of heme synthesis; it is premature or unfounded to base clinical management on such explanations unless laboratory data are diagnostic for porphyria. This review discusses the limitations of laboratory measures of heme synthesis, and diagnostic guidelines are provided to assist in evaluating the symptomatic individual suspected of having a porphyria.


Subject(s)
Heme/biosynthesis , Porphyrias/etiology , Environmental Exposure , Environmental Health , Humans , Hydrocarbons, Halogenated/toxicity , Lead/toxicity , Metals/toxicity , Porphyrias/diagnosis , Porphyrias/metabolism , Porphyrins/metabolism , Porphyrins/urine
12.
Occup Environ Med ; 52(10): 679-85, 1995 Oct.
Article in English | MEDLINE | ID: mdl-7489059

ABSTRACT

OBJECTIVE: To determine if subclinical hepatotoxicity is associated with exposure to perchloroethylene at concentrations commonly experienced in the workplace, and whether surveillance with serum hepatic transaminase activity underestimates such effects. METHODS: Hepatic parenchymal echogenicity on ultrasonography and serum hepatic transaminase activity were compared in 29 community based dry cleaning operators exposed to perchloroethylene, and a control group of 29 non-exposed laundry workers. Perchloroethylene exposure was assessed by work history and air monitoring. RESULTS: Mean hepatic transaminase activities were minimally increased in dry cleaners compared with laundry workers. Increased alanine aminotransferase activities, between 1.0 and 1.5 times the normal limits, were found in five of 27 (19%) dry cleaners compared with one of 26 (4%) laundry workers. In contrast, diffuse parenchymal changes in echogenicity, as determined by hepatic ultrasonography, were increased nearly twofold in dry cleaners, occurring in 18 of 27 (67%) dry cleaners compared with 10 of 26 (39%) laundry workers (P < 0.05), and were most strongly associated with increased perchloroethylene exposure in older dry to dry or wet transfer operations (odds ratio 4.2, 95% confidence interval 1.1-15.3). Mean eight hour time weighted average perchloroethylene exposure for dry cleaners was 16 ppm, which is less than the permissible exposure limit of 100 ppm in the United States. CONCLUSIONS: It was concluded that mild to moderate hepatic parenchymal changes occur more frequently in workers exposed to perchloroethylene than in populations not exposed to chemical solvents, and that these effects are underestimated by serum hepatic transaminase activity.


Subject(s)
Chemical and Drug Induced Liver Injury , Liver/diagnostic imaging , Occupational Diseases/chemically induced , Occupational Exposure/adverse effects , Solvents/adverse effects , Tetrachloroethylene/adverse effects , Adult , Female , Humans , Liver/drug effects , Liver/enzymology , Liver Diseases/diagnosis , Liver Function Tests , Male , Middle Aged , Occupational Diseases/diagnosis , Transaminases/blood , Ultrasonography
13.
Am J Ind Med ; 26(6): 821-30, 1994 Dec.
Article in English | MEDLINE | ID: mdl-7892833

ABSTRACT

Workers' compensation claims filed for occupational illness are generally more complicated to resolve than are injury claims, and they may therefore face higher likelihood of rejection. This study analyzed outcomes and predictive factors for claims filed from one clinic in Washington State between 1982 and 1986 by 157 male patients for nonmalignant asbestos-related lung disease. Among 50 federal Longshore claims, 46 (92%) were unresolved or could not be located by claims administrators. In contrast, 118 (89%) of State Fund claims had been resolved, with 48% accepted without consistent relationship to disease severity. Claims filed under both jurisdictions showed a twofold greater risk of rejection by the State Fund (relative risk, RR = 2.0; 95% confidence interval, 95% CI = 1.3-3.2). State Fund claims filed for nonwhite patients were rejected more often than those of white patients, although the association was explained at least partially by jurisdictional overlap (adjusted RR = 1.5; 95% CI = 1.05-2.1). This study indicates a need to scrutinize the handling of occupational disease claims by the federal Longshore system and to consider the adverse influences of jurisdictional conflicts and possible race-associated factors on compensation of occupational illness.


Subject(s)
Asbestos/adverse effects , Lung Diseases/economics , Lung Diseases/etiology , Occupational Diseases/economics , Occupational Diseases/etiology , Workers' Compensation , Aged , Analysis of Variance , Humans , Insurance Claim Review/legislation & jurisprudence , Insurance Claim Review/standards , Lung Diseases/diagnosis , Male , Middle Aged , Occupational Diseases/diagnosis , Retrospective Studies , Washington
14.
J Occup Med ; 36(7): 718-30, 1994 Jul.
Article in English | MEDLINE | ID: mdl-7931736

ABSTRACT

Multiple chemical sensitivity syndrome (MCS) does not appear to fit established principles of toxicology. Yet social, political, and economic forces are demanding that MCS be defined medically, even though to date scientific studies have not identified pathogenic mechanisms for the condition or any objective diagnostic criteria. Consequently, a working definition of MCS can rely only on an individual's subjective symptoms of distress and attribution to environmental exposures rather than currently measurable objective evidence of disease. Nevertheless, patients labeled with MCS are clearly distressed and many are functionally disabled. In this review, four theories of causation are explored: (1) MCS is a purely biologic/physical or psychophysiologic reaction to low-level chemical exposures. (2) MCS symptoms may be elicited by low-level environmental chemical exposures, but the sensitivity is initiated by psychologic stress. (3) MCS is a misdiagnosis and chemical exposure is not the cause. The symptoms may be due to misdiagnosed physical or psychologic illness. (4) MCS is an illness belief system manifest by culturally shaped illness behavior. Areas for further research regarding the etiologies of MCS are suggested. Recognizing that the cause of the syndrome may be multifactorial, strategies are proposed for clinical evaluation and management in Part II of this manuscript using a biopsychosocial model of illness.


Subject(s)
Multiple Chemical Sensitivity , Humans , Multiple Chemical Sensitivity/epidemiology , Multiple Chemical Sensitivity/etiology , Multiple Chemical Sensitivity/physiopathology , Research
15.
J Occup Med ; 36(7): 731-7, 1994 Jul.
Article in English | MEDLINE | ID: mdl-7931737

ABSTRACT

Multiple chemical sensitivity syndrome (MCS) does not appear to fit established principles of toxicology. Social, political, and economic forces are demanding that MCS be defined medically, even though scientific studies have failed as yet to identify pathogenic mechanisms for the condition or any objective diagnostic criteria. Consequently, a working definition of MCS can only rely on a person's subjective symptoms of distress and attribution to environmental exposures rather than currently measurable objective evidence of disease. Nevertheless, patients labeled with MCS are clearly distressed and many are functionally disabled. Without reconciling the different theories of etiology of MCS discussed in Part I of this report, and recognizing that the cause of the syndrome may be multifactorial, strategies are proposed for clinical evaluation and management of patients with MCS using a biopsychosocial model of illness. The social implications of this illness are also discussed.


Subject(s)
Multiple Chemical Sensitivity , Health Policy , Humans , Multiple Chemical Sensitivity/diagnosis , Multiple Chemical Sensitivity/economics , Multiple Chemical Sensitivity/therapy
16.
J Occup Med ; 36(7): 747-51, 1994 Jul.
Article in English | MEDLINE | ID: mdl-7931740

ABSTRACT

Previous research has shown exposure-related increases in the prevalence of acquired color vision deficits among printers. We administered the Lanthony D-15 desaturated test of color vision to 82 print shop workers. Two tests of cognitive function, Trails A and B and the Symbol Digit Modalities Test, were also administered. Personal air sampling indicated that current exposure to organic solvents was highest among printers and lowest among bindery workers. In contrast to previous studies, the age-adjusted quantitative Lanthony D-15 desaturated test error scores did not differ significantly between exposure groups, and the proportion of subjects with > or = 1 error was greater in the lower-exposure, rather than higher-exposure, groups (P = .03). Of note, the proportion of subjects with > or = 2 errors did not differ significantly between groups (P = .24). Cognitive tests showed no significant association with exposure. These results are discussed in the context of methodological issues related to lighting sources, reliability of test results, and establishment of criteria for identifying deficits.


Subject(s)
Color Vision Defects/chemically induced , Solvents/adverse effects , Adult , Aged , Color Perception Tests , Female , Humans , Male , Middle Aged , Occupational Exposure/adverse effects , Prevalence , Printing , Reproducibility of Results
17.
Ann Intern Med ; 119(2): 97-103, 1993 Jul 15.
Article in English | MEDLINE | ID: mdl-8129805

ABSTRACT

OBJECTIVE: To examine the role of immunologic, psychological, and neuropsychological factors in multiple chemical sensitivity. DESIGN: Case-control comparison. SETTING: Community allergy practice (cases), university-based clinics for musculoskeletal injuries (controls). PARTICIPANTS: Forty-one patients with chemical sensitivity and 34 control patients with chronic musculoskeletal injuries. MAIN OUTCOME MEASURES: Immunologic measures included autoantibody titers, lymphocyte surface markers, and interleukin-1 generation by monocytes. Psychological evaluation included standardized measures of anxiety, depression, and somatization. RESULTS: Immunologic testing did not differentiate patients with chemical sensitivity from controls. The only difference noted (lower interleukin-1 generation among cases) appeared attributable to laboratory methods. Patients with chemical sensitivity reported greater prevalence of current anxiety or depressive disorder (44% versus 15%, P = 0.006). This difference, however, did not appear to precede the onset of chemical sensitivity, and 25% of chemically sensitive patients showed no significant current psychological disturbance. Cases reported significantly more "medically unexplained" physical symptoms before and after the onset of chemical sensitivity. When considering only symptoms that preceded chemical sensitivity, 25% of cases (and no controls) satisfied criteria for somatization disorder. Neuropsychological testing revealed no significant case-control differences. CONCLUSIONS: Immunologic testing failed to confirm findings from earlier uncontrolled studies, militating against proposed immunologic mechanisms. The decreased memory and concentration frequently described in multiple chemical sensitivity were not confirmed by brief neuropsychological testing. Psychological symptoms, although not necessarily etiologic, are a central component of chemical sensitivity.


Subject(s)
Hypersensitivity/immunology , Hypersensitivity/psychology , Adult , Antigens, Surface/blood , Autoantibodies/blood , Biomarkers/blood , Case-Control Studies , Environmental Exposure , Female , Humans , Interleukin-1/biosynthesis , Lymphocytes/immunology , Male , Middle Aged , Musculoskeletal System/injuries , Neuropsychological Tests
18.
Br J Ind Med ; 50(4): 368-77, 1993 Apr.
Article in English | MEDLINE | ID: mdl-8494777

ABSTRACT

A cross sectional study to evaluate symptom reporting and neuropsychological test performance among a cohort of car body repair workers (n = 124) was performed using a computer-administered test system. Subjects with high and medium current exposures to solvent and paint (n = 39 and 32), and low exposure subjects who formerly painted (n = 29) reported significantly more acute and chronic neurological symptoms than did low exposure subjects with no history of painting (n = 24). Subjects with higher current exposure performed significantly less well on selected tests of visual perception and memory, but there were no significant exposure related differences in mood state, motor speed, or visuomotor performance. The exposure related effects were most noticeable among subjects 35 years or older. The findings are consistent with age interactive central neurotoxic effects of current exposure to solvents or of cumulative past exposure, although the study is unable to distinguish between these possibilities. The computer administered test system was effective in this field based investigation involving multiple, geographically dispersed worksites.


Subject(s)
Occupational Exposure/adverse effects , Solvents/adverse effects , Adult , Affect , Automobiles , Cohort Studies , Cross-Sectional Studies , Female , Humans , Male , Neuropsychological Tests , Paint/adverse effects , Psychophysiology , Vocabulary
19.
West J Med ; 157(4): 425-9, 1992 Oct.
Article in English | MEDLINE | ID: mdl-1462536

ABSTRACT

Occupational and environmental diseases are underrecognized. Among the barriers to the successful diagnosis, treatment, and prevention of these conditions are inadequate consultative and information resources. We describe the 10-year clinical and training experiences of an academically affiliated referral center that has as its primary goal the identification of work-related and other environmental diseases. The University of Washington Occupational and Environmental Medicine Program has evaluated 6,048 patients in its diagnostic and screening clinics. Among the 2,841 seen in the diagnostic clinics, 1,553 (55%) had a work-related condition. The most prevalent diagnoses included asbestos-related lung disease (n = 603), toxic encephalopathy (n = 160), asthma (n = 119), other specific respiratory conditions (n = 197), carpal tunnel syndrome (n = 86), and dermatitis (n = 82). The clinics serve as a training site for fellows in the specialty training program, primary care internal medicine residents, residents from other medical specialties, and students in industrial hygiene, toxicology, and occupational health nursing. The program serves two additional important functions: providing consultative services to community physicians and training specialists and other physicians in this underserved area of medicine.


Subject(s)
Hospitals, Special , Occupational Diseases , Occupational Medicine/education , Adolescent , Adult , Aged , Aged, 80 and over , Female , Humans , Male , Middle Aged , Occupational Diseases/diagnosis , Occupational Diseases/epidemiology , Program Development , Time Factors , Washington
20.
Environ Res ; 59(1): 217-28, 1992 Oct.
Article in English | MEDLINE | ID: mdl-1425511

ABSTRACT

To assess the potential effects on neuropsychiatric performance of chronic occupational exposure to organophosphate insecticides, we performed a prospective longitudinal study of a cohort of apple orchard pesticide applicators and a comparison cohort of beef slaughter-house workers. The study group consisted of 49 applicators and 40 comparison subjects who completed both an initial evaluation (preseason) prior to the onset of the approximately 6-month pesticide spraying season and a follow-up evaluation (postseason) about 1 month following the end of spraying season. The applicator cohort had a greater number (n = 22, 45%) of individuals who identified primary preference for Spanish-language testing than did the comparison cohort (n = 5, 13%). Stratification by language preference revealed no significant differences in background characteristics between the two cohorts, except for fewer years of education in the Spanish-language preference applicators versus control subgroups (5.0 +/- 3.1 vs 7.8 +/- 3.7 years, respectively). After controlling for language preference, there were no statistically significant differences between the applicators and control cohorts on neuropsychological subtests of the computerized test battery. Preseason baseline performance on individual tests was a significant predictor of postseason test performance. After controlling for baseline performance, the only statistically significant exposure related across-season changes in neuropsychological performance was for one subtest (Symbol Digit Substitution) and was confined to the Spanish language preference subgroups, with worse adjusted postseason performance among applicators versus controls (P = 0.001). This study found no clear evidence of clinically significant decrements in neuropsychological performance following one 6-month season of pesticide exposure in a cohort of applicators who were felt to have generally low, intermittent, and well-controlled organophosphate exposures.


Subject(s)
Agricultural Workers' Diseases/psychology , Neuropsychological Tests , Occupational Diseases/psychology , Pesticides/adverse effects , Adult , Agricultural Workers' Diseases/chemically induced , Agricultural Workers' Diseases/epidemiology , Cohort Studies , Follow-Up Studies , Humans , Longitudinal Studies , Occupational Diseases/chemically induced , Occupational Diseases/epidemiology , Organophosphorus Compounds/adverse effects
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