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1.
Vet J ; 236: 49-55, 2018 06.
Article in English | MEDLINE | ID: mdl-29871750

ABSTRACT

The objective of this study was to determine the prevalence of enteropathogens in cats with and without diarrhea in four different models for managing unowned cats: short-term animal shelter, long-term sanctuary, home-based foster care, and trap-neuter-return. Fecal samples from 482 cats, approximately half of the cats with normal fecal consistency and half with diarrhea, were tested by zinc sulfate centrifugation and by real-time PCR for a panel of enteropathogens. At least one enteropathogen of feline or zoonotic importance was detected in a majority of cats, regardless of management model. For most enteropathogens, the presence or absence of diarrhea was not significantly associated with infection, the exceptions being Tritrichomonas foetus in sanctuary cats with diarrhea (26%) and normal fecal consistency (10%), respectively (P≤0.04), and feline coronavirus in foster cats (80% and 58%) (P≤0.001). The types of enteropathogens detected were related to the type of management model, e.g., viral and protozoal infections were most common in shelters, sanctuaries, and foster homes (confinement systems), whereas helminth infections were most common in trap-neuter-return programs (free-roaming cats). These results suggest that management practices for unowned cats are inadequate for control of enteropathogens and that the presence of diarrhea is a poor indicator of enteropathogen carriage. Risk-management strategies to reduce transmission to people and other animals should focus on sanitation, housing, compliance with preventive care guidelines, periodic surveillance, response to specific enteropathogens, humane population management of free-roaming community cats, public health education, and minimizing the duration and number of cats in mass confinement.


Subject(s)
Cat Diseases/microbiology , Cat Diseases/parasitology , Diarrhea/veterinary , Animals , Cat Diseases/epidemiology , Cats , Coronavirus, Feline/isolation & purification , Diarrhea/epidemiology , Diarrhea/microbiology , Diarrhea/parasitology , Feces/microbiology , Feces/parasitology , Prevalence , Tritrichomonas foetus/growth & development , United States/epidemiology
2.
Orthod Craniofac Res ; 19(4): 198-208, 2016 Nov.
Article in English | MEDLINE | ID: mdl-27647720

ABSTRACT

OBJECTIVES: To test the following two hypotheses: 1) different types of retainers result in distinct levels of biomarkers in gingival crevicular fluid (GCF) and 2) the retainer bonded to all mandibular anterior teeth induces more detrimental outcomes to the periodontium. SETTING AND SAMPLE POPULATION: The Department of Orthodontics at the University of Florida. The population consisted of individuals in the retention phase of orthodontic treatment. MATERIAL AND METHODS: This was a cross-sectional study that enrolled 36 individuals. Subjects in group 1 had retainers bonded to the mandibular canines only. Group 2 consisted of individuals having retainers bonded to all mandibular anterior teeth. Group 3 included patients using mandibular removable retainers. After clinical examination, GCF was collected from the mandibular incisor and biomarker levels were compared between the groups. RESULTS: Plaque accumulation and gingivitis differed significantly among groups, with the highest median values in group 2 subjects. Pairwise comparison of the groups with respect to gingivitis showed significant differences between groups 1 and 2. Significant differences among groups were detected for RANKL, OPG, OPN, M-CSF, MMP-3, and MMP-9. The ratio RANKL/OPG was significantly higher in group 2 subjects, with pairwise comparisons indicating that groups 1 and 2 differed from group 3. CONCLUSION: An association was found between orthodontic retention groups and GCF biomarker levels, which should be further explored in longitudinal studies. The presence of retainers bonded to all anterior teeth seems to increase plaque accumulation and gingivitis.


Subject(s)
Biomarkers/chemistry , Dental Bonding/adverse effects , Dental Bonding/methods , Dental Plaque/etiology , Gingival Crevicular Fluid/chemistry , Gingival Recession/etiology , Gingivitis/etiology , Incisor/pathology , Incisor/physiopathology , Orthodontic Retainers/adverse effects , Adolescent , Adult , Cross-Sectional Studies , Cuspid , Dental Plaque Index , Female , Humans , Interleukin 1 Receptor Antagonist Protein/chemistry , Interleukin-1beta/chemistry , Interleukin-6/chemistry , Interleukin-8/chemistry , Macrophage Colony-Stimulating Factor/chemistry , Male , Mandible , Matrix Metalloproteinase 3/chemistry , Matrix Metalloproteinase 9/chemistry , Middle Aged , Orthodontic Appliance Design , Osteopontin/chemistry , Osteoprotegerin/chemistry , Periodontal Index , RANK Ligand/chemistry
3.
Vet J ; 201(2): 196-201, 2014 Aug.
Article in English | MEDLINE | ID: mdl-24923756

ABSTRACT

Upper respiratory infection (URI) is a pervasive problem in cats and impacts the capacity and cost of sheltering programs. This study determined the pattern of respiratory pathogens in cats with and without clinical signs of URI in four different models for managing unowned cats, namely, (1) short-term animal shelters (STS), (2) long-term sanctuaries (LTS), (3) home-based foster care programs (FCP), and (4) trap-neuter-return programs for community cats (TNR). Conjunctival and oropharyngeal swabs from 543 cats, approximately half of which showed clinical signs of URI, were tested for feline herpes virus-1 (FHV), feline calicivirus (FCV), Chlamydia felis, Bordetella bronchiseptica, Mycoplasma felis, and canine influenza virus by real-time PCR. FHV (59%, 41%) and B. bronchiseptica (33%, 24%) were more prevalent in both clinically affected and nonclinical cats, respectively, in STS than other management models. FCV (67%, 51%) and M. felis (84%, 86%) were more prevalent in LTS than any other management model. Clinically affected cats in FCP were more likely to carry FHV (23%, 6%), C. felis (24%, 10%), or M. felis (58%, 38%) than were nonclinical cats. Clinically affected cats in TNR were more likely to carry FCV (55%, 36%) or C. felis (23%, 4%) than were nonclinical cats. The prevalence of individual pathogens varied between different management models, but the majority of the cats in each model carried one or more respiratory pathogens regardless of clinical signs. Both confined and free-roaming cats are at risk of developing infectious respiratory disease and their health should be protected by strategic vaccination, appropriate antibiotic therapy, effective biosecurity, feline stress mitigation, and alternatives to high-density confinement.


Subject(s)
Animal Welfare , Cat Diseases/epidemiology , Respiratory Tract Infections/veterinary , Animals , Cat Diseases/microbiology , Cat Diseases/virology , Cats , Female , Male , Prevalence , Real-Time Polymerase Chain Reaction/veterinary , Respiratory Tract Infections/epidemiology , Respiratory Tract Infections/microbiology , Respiratory Tract Infections/virology , Southeastern United States/epidemiology
4.
Int J Obes (Lond) ; 29(7): 746-54, 2005 Jul.
Article in English | MEDLINE | ID: mdl-15917856

ABSTRACT

OBJECTIVES: The beta-adrenergic receptor (betaAR) genes are candidate genes for obesity because of their roles in energy homeostasis and promotion of lipolysis in human adipose tissue. Objective is to determine the association between obesity and polymorphisms in genes of the beta(1)AR (ADRB1), beta(2)AR (ADRB2), beta(3)AR (ADRB3), Gs protein alpha (GNAS1), to which all three beta-receptors couple and the G protein beta3 subunit (GNB3), to which beta(3)ARs couple. DESIGN: A case-control genetic association study. SUBJECTS: A total of 643 black or white women enrolled in Women's Ischemia Syndrome Evaluation (WISE) study. MEASUREMENTS: Genotypes were determined by PCR with single primer extension. Associations between genotype and body mass index (BMI), waist-to-hip ratio (WHR), waist circumference, and obesity were made. RESULTS: Polymorphisms in the three betaAR genes, GNAS1, and GNB3 were not associated with BMI, WHR, waist circumference, or obesity. Linear and logistic regression analyses found no contribution of either genotype or haplotype with anthropometric measurements or obesity. CONCLUSIONS: Our study suggests that among American women with suspected coronary heart disease, polymorphisms in the betaARs and their G-protein-coupled receptors do not contribute to increased BMI, WHR, waist circumference, or obesity. Given that 50% of all women die from coronary heart disease, and a higher percentage have heart disease during their lifetime, our results are likely generalizable to many American women.


Subject(s)
Obesity/genetics , Polymorphism, Genetic , Receptors, Adrenergic, beta/genetics , Receptors, G-Protein-Coupled/metabolism , Adipose Tissue/metabolism , Adult , Aged , Aged, 80 and over , Black People , Body Mass Index , Cohort Studies , Female , Gene Frequency , Haplotypes , Humans , Linkage Disequilibrium , Logistic Models , Middle Aged , Obesity/ethnology , Obesity/metabolism , White People
5.
J Womens Health Gend Based Med ; 9(7): 769-77, 2000 Sep.
Article in English | MEDLINE | ID: mdl-11025869

ABSTRACT

Physical activity and functional capacity have not been assessed by questionnaire for criterion validity in women. We wished to evaluate the ability of a physical activity and a functional capacity assessment questionnaire to predict functional capacity measured by treadmill exercise stress testing, as well as correlate with cardiac risk factors and angiographic coronary artery disease (CAD) in women. In a National Heart, Lung and Blood Institute (NHLBI)-sponsored cross-sectional population study involving four academic medical centers, 476 women with cardiac risk factors undergoing coronary angiography for evaluation for suspected myocardial ischemia were enrolled in the Women's Ischemia Syndrome Evaluation (WISE). The main outcome measures were functional capacity measured during symptom-limited exercise treadmill testing, cardiac risk factors, and CAD, using core laboratory-determined measures. Physical activity measured by the Postmenopausal Estrogen and Progesterone Intervention physical activity questionnaire (PEPI-Q) and functional capacity measured by the Duke Activity Status Index (DASI) questionnaire, correlated with functional capacity measured in metabolic equivalents (METS), as estimated during symptom-limited exercise treadmill testing (r = 0.27, p = 0.001 and r = 0.31, p = 0. 0002, respectively). The DASI was a significant independent predictor of functional capacity even after adjustment for cardiac risk factors, and the PEPI-Q was not. The DASI and PEPI-Q scores were inversely associated with higher numbers and levels of cardiac risk factors, as well as angiographic CAD. The DASI questionnaire is a reasonable correlate of functional capacity achieved during symptom-limited treadmill exercise testing in women with suspected myocardial ischemia. Lower functional capacity or physical activity measured by the DASI and PEPI-Q, respectively, is associated with more prevalent cardiac risk factors and angiographic CAD. These findings suggest that the DASI and, to a lesser extent, the PEPI-Q have criterion validity for use in health-related research in women.


Subject(s)
Coronary Disease/pathology , Health Surveys , Physical Fitness , Activities of Daily Living , Aged , Coronary Angiography , Coronary Disease/etiology , Cross-Sectional Studies , Exercise Test , Female , Health Status , Humans , Middle Aged , Myocardial Ischemia/physiopathology , Myocardial Ischemia/therapy , Predictive Value of Tests , Risk Assessment , Surveys and Questionnaires/standards
6.
J Dent Res ; 78(11): 1745-53, 1999 Nov.
Article in English | MEDLINE | ID: mdl-10576171

ABSTRACT

The most appropriate timing for the treatment of Class II malocclusions is controversial. Some clinicians advocate starting a first phase in the mixed dentition, followed by a phase 2 in the permanent dentition. Others see no clear advantage to that approach and recommend that the entire treatment be done in the late mixed or early permanent dentition. This study examines how orthodontists, blinded to treatment approach, perceive the impact of phase 1 treatment on phase 2 needs. The sample consisted of 242 Class II subjects, aged 10 to 15, who had completed phase 1 or observation in a randomized clinical trial (RCT). For each subject, video orthodontic records, a questionnaire, a fact sheet, and a cephalometric tracing were sent to five randomly selected reviewing orthodontists blinded to subject group and study purpose. Reviewing orthodontists were asked to assess treatment need, general approach, need for extractions, priority, difficulty, and determinants. Orthodontists agreed highly on treatment need (95%) and moderately on treatment approach (84%) and extraction need (80%). They did not perceive differences in need, approach, or extractions between treated and control groups. Treated subjects were judged as less difficult (p = 0.0001) and to have a lower treatment priority (p = 0.0001) than controls. In ranking problems that affect treatment decisions, the orthodontists ranked dental Class II (p = 0.005) and skeletal relationships (p = 0.004) more highly in control than in treated patients. These data indicate that orthodontists do not perceive phase 1 treatment for Class II as preventing the need for a second phase or as offering any particular advantage with respect to preventing the need for extractions or other skeletal treatments in that second phase. They do view early Class II treatment as an effective means of reducing the difficulty of and priority for phase 2.


Subject(s)
Attitude of Health Personnel , Health Services Needs and Demand/classification , Malocclusion, Angle Class II/therapy , Orthodontics, Corrective/classification , Adolescent , Analysis of Variance , Cephalometry , Child , Female , Health Services Needs and Demand/statistics & numerical data , Humans , Male , Malocclusion, Angle Class II/diagnostic imaging , Observer Variation , Orthodontics, Corrective/methods , Orthodontics, Corrective/statistics & numerical data , Radiography , Statistics, Nonparametric , Surveys and Questionnaires , Time Factors
7.
Angle Orthod ; 69(4): 325-33, 1999 Aug.
Article in English | MEDLINE | ID: mdl-10456600

ABSTRACT

This paper examines the relationship between orthodontists' subjective assessment of treatment need and objective measurements obtained during standardized intra- and extraoral examinations. Logistic regression modeling was used to develop predictive models of treatment need. Data were obtained from 1155 eighth-grade students by four orthodontists who used standardized examination forms to assess demographics, trauma, skeletal relationships, morphologic malocclusion traits, and mandibular function. At the conclusion of the examination, the orthodontist rated the subjective treatment need as none, elective, recommended, soon, or immediate. For some analyses, the categories were collapsed to represent no need and need. The peer assessment rating (PAR) index (American validated version) was computed from the clinical exam findings and scoring of dental models; PAR scores were used to document malocclusion severity and treatment difficulty. Spearman rank correlation coefficients quantified the relationship between PAR scores and need categories. Logistic regression analysis modeled treatment need using components of the PAR index as well as other variables. The components of these models, as well as sensitivity and specificity, were compared with malocclusion severity/treatment difficulty scores obtained from malocclusion assessments using the PAR index. The five subjective treatment need categories and the PAR index scores were significantly correlated (rho = 0.62, p<0.001). Significant differences were detected between the need and no need groups for all PAR components (p<0.001). PAR index scores and predicted probabilities from logistic regression models performed equally well for classification purposes (no need, need). The data suggest that the PAR index is highly correlated with orthodontists' subjective assessment of treatment need when that assessment is made in the absence of financial considerations and patient desires.


Subject(s)
Malocclusion/diagnosis , Peer Review, Health Care/methods , Adolescent , Chi-Square Distribution , Child , Dentists/psychology , Humans , Logistic Models , Malocclusion/pathology , Needs Assessment , Observer Variation , Odds Ratio , Orthodontics , Reproducibility of Results , Sensitivity and Specificity , Severity of Illness Index , Statistics, Nonparametric
8.
J Glaucoma ; 8(3): 204-7, 1999 Jun.
Article in English | MEDLINE | ID: mdl-10376262

ABSTRACT

PURPOSE: The effect of midazolam on intraocular pressure (IOP) in adults was studied as an initial step in determining whether it can be used as a preoperative anxiolytic or sedative agent in children with glaucoma who are undergoing examination for IOP measurements. METHODS: This study followed a prospective, placebo controlled, randomized, double masked design. Fifty-five participants were enrolled after informed consent was obtained. Each enrolled patient underwent a brief history and eye examination. Measurements of IOP were taken at baseline and 5, 10, and 15 minutes after intravenous administration of 1 mg midazolam or placebo. IOP was the primary outcome measured. RESULTS: There was no difference in IOP fluctuation from baseline between patients who received midazolam and those who received placebo. CONCLUSION: Early results indicate that because midazolam does not lower IOP, it may be a useful adjunct to ketamine anesthesia in children with glaucoma undergoing ophthalmologic examination under anesthesia. However, studies of midazolam must be conducted in children and patients with glaucoma before its use in these populations can be recommended.


Subject(s)
Anesthetics, Intravenous/pharmacology , Anti-Anxiety Agents/pharmacology , Hypnotics and Sedatives/pharmacology , Intraocular Pressure/drug effects , Midazolam/pharmacology , Anesthesia, Intravenous/methods , Double-Blind Method , Female , Humans , Male , Middle Aged , Prospective Studies , Tonometry, Ocular
9.
J Am Coll Cardiol ; 33(6): 1462-8, 1999 May.
Article in English | MEDLINE | ID: mdl-10334409

ABSTRACT

OBJECTIVES: The aim of this project was to assess the utility of dobutamine stress echocardiography (DSE) for evaluation of women with suspected ischemic heart disease. BACKGROUND: Most investigations addressing efficacy of diagnosis and treatment of coronary artery disease (CAD) have been performed in predominantly male populations. As part of the Women's Ischemia Syndrome Evaluation (WISE) study, DSE was assessed in women participating at the University of Florida clinical site. METHODS: Women with chest pain or other symptoms suggestive of myocardial ischemia and clinically indicated coronary angiography were eligible for the WISE study. Enrolled subjects underwent DSE using a modified protocol. Coronary stenosis was assessed by core laboratory quantitative coronary angiography (QCA). RESULTS: The 92 women studied ranged in age from 34 to 82 years (mean 57.5). All women had > or = 1 major risk for CAD, and most (89, 97%) had > or = 2 risk factors. In 78 women (85%), left ventricular wall motion was normal at baseline and during peak infusion. The remaining 14 women had wall motion abnormalities during DSE. By QCA, 25 women (27%) had > or = 50% coronary stenosis, including 10 with single-vessel obstruction. Dobutamine stress echocardiography was abnormal in 10 of these 25 women, yielding overall sensitivity of 40%, and 60% for multivessel stenosis. Exclusion of women with inadequate heart rate response yielded overall sensitivity of 50%, and 81.8% for multivessel stenosis. Dobutamine stress echocardiography was normal in 54 of the 67 women with < 50% coronary narrowing, specificity 80.6%. CONCLUSIONS: Dobutamine stress echocardiography reliably detects multivessel stenosis in women with suspected CAD. However, DSE is usually negative in women with single-vessel stenosis, and in the larger subset without coronary stenosis. Ongoing protocols of the WISE study are expected to improve diagnostic accuracy in women with single-vessel disease, as well as provide important data in the substantial number of women with chest pain but without epicardial coronary artery stenosis.


Subject(s)
Cardiotonic Agents , Chest Pain/diagnostic imaging , Coronary Disease/diagnostic imaging , Dobutamine , Echocardiography/drug effects , Exercise Test/drug effects , Adult , Aged , Aged, 80 and over , Female , Humans , Male , Middle Aged , Myocardial Contraction/drug effects , Sensitivity and Specificity , Sex Factors
10.
Semin Orthod ; 4(3): 138-45, 1998 Sep.
Article in English | MEDLINE | ID: mdl-9807150

ABSTRACT

Epidemiological studies of the occlusal status of the US population do not include the prevalence of orthodontic asymmetries. To estimate the magnitude of dental and facial asymmetries in adolescents with no history of orthodontic treatment, data were analyzed from two mass orthodontic screenings that had been conducted on public schoolchildren in Florida. An analysis of orthodontic records of patients in treatment at the Virginia Commonwealth University graduate orthodontic clinic provided prevalence data on dental and facial asymmetries in a population of orthodontic patients. In the Florida studies, the two screenings yielded 5,817 untreated children (mean age, 9.3 +/- 0.8 years) and 861 untreated children (mean age, 14.4 +/- 0.5 years). Sagittal molar asymmetry was found in 30% of the children in the first screening and in 23% in the second screening. Additional asymmetry assessments in the second screening showed 12% facial asymmetry and 21% noncoincidence of dental midlines. Among orthodontic patients, the most common asymmetry trait was mandibular midline deviation from the facial midline. This occurred in 62% of patients, followed, in descending order of frequency, by lack of dental midline coincidence (46%), maxillary midline deviation from the facial midline (39%), molar classification asymmetry (22%), maxillary occlusal asymmetry (20%), mandibular occlusal asymmetry (18%), facial asymmetry (6%), chin deviation (4%), and nose deviation (3%).


Subject(s)
Facial Asymmetry/epidemiology , Malocclusion/epidemiology , Adolescent , Black People , Child , Dentition, Mixed , Dentition, Permanent , Female , Florida/epidemiology , Humans , Male , Malocclusion/therapy , Prevalence , Sex Characteristics , Statistics, Nonparametric , Virginia/epidemiology , White People
11.
Angle Orthod ; 68(2): 107-14, 1998 Apr.
Article in English | MEDLINE | ID: mdl-9564419

ABSTRACT

In 1994, 1155 eight-grade students in Alachua County, Fla., were asked about self-perception of and level of concern for their occlusal status. Clinical assessments of orthodontic parameters were also recorded. Twenty-five percent of the students had a history of orthodontic treatment. Of the remaining students who had no history of orthodontic treatment, 74% reported satisfaction with the way their teeth looked, 64% expressed no perceived need for braces, and 57% were judged clinically to have optional or no orthodontic needs. Sex, soft tissue profile, overjet, anterior crowding, and molar classification were significantly associated with the perception of need for braces while race and overbite were not. Clinical judgment of orthodontic need differed significantly among levels of satisfaction with teeth. Eighth graders with no history of orthodontic treatment were generally satisfied with the appearance of their teeth and perceived less need for braces than clinicians.


Subject(s)
Dental Occlusion , Malocclusion/psychology , Orthodontics, Corrective/psychology , Self Concept , Adolescent , Black People , Child , Face/anatomy & histology , Female , Health Services Needs and Demand , Humans , Incisor/pathology , Male , Malocclusion/classification , Malocclusion/pathology , Malocclusion/therapy , Molar/pathology , Perception , Personal Satisfaction , Sex Factors , White People
12.
Biometrics ; 54(2): 426-43, 1998 Jun.
Article in English | MEDLINE | ID: mdl-9629637

ABSTRACT

Using genetic marker data from affected sibling pairs, we study likelihood-based linkage analysis under quasi-recessive, quasi-dominant, and general single-locus models. We use an epidemiologic parameterization under a model where the marker locus is closely linked to the putative disease susceptibility gene. This model and parameterization allow inferences about the relative risk associated with the susceptible genotype. We base inferences on approximate likelihoods that focus on the affected siblings in the sibship and, using these likelihoods, we derive closed-form maximum likelihood estimators for model parameters and closed-form likelihood ratio statistics for tests that the relative risk associated with the susceptible genotype is one. Under the general single-locus model, our likelihood ratio test is the same as the iteratively computed triangle test proposed by Holmans (1993, American Journal of Human Genetics 52, 362-374) for the case where marker identity-by-descent is known; our derivation gives a closed form for the test statistic. We present quartiles of the distribution of parameter estimates and critical values for the exact null distribution of our likelihood ratio test statistics; we also give large-sample approximations to their null distributions. We show that the powers of our likelihood ratio tests exceed the powers of more commonly used nonparametric affected-sibling-pair tests when the data meet the inheritance model assumptions used to derive the test; we also show that our tests' powers are robust to violation of model assumptions. We conclude that our model-based inferences provide a practical alternative to more common affected-sibling-pair tests when investigators have some knowledge about the mode of inheritance of a disease and that our methods may sometimes be useful for comparing the genetic relative risk with environmental relative risks.


Subject(s)
Genetic Diseases, Inborn/genetics , Genetic Markers , Likelihood Functions , Models, Genetic , Disease Susceptibility , Genetic Linkage , HLA Antigens/genetics , Humans , Models, Statistical , Nasopharyngeal Neoplasms/genetics , Nuclear Family , Risk , Risk Factors
13.
Ophthalmology ; 105(3): 561-6, 1998 Mar.
Article in English | MEDLINE | ID: mdl-9499791

ABSTRACT

OBJECTIVE: This study aimed to compare the quality of life (Q of L) of patients with glaucoma and control subjects and to determine the relationships between Q of L and demographic and clinical variables in patients with glaucoma. DESIGN: The study design was a stratified cross-sectional study. PARTICIPANTS: A gender-, race-, and age-stratified cross-sectional sample of patients with glaucoma (n = 56) and control subjects (n = 54) was obtained. Additional patients (n = 12) were included to examine the relationships between glaucoma, its therapy, and Q of L. INTERVENTION: The Medical Outcomes Study short form (MOS-20), the Activities of Daily Vision Scale (ADVS), and questions related to glaucoma and side effects of treatment were administered. Descriptive statistics characterized demographic variables and MOS and ADVS scales. Group differences were evaluated using chi-square, Fisher's and Ordinal Exact, Wilcoxon rank-sum, and two-sample t tests. Spearman rank correlations were obtained between MOS-ADVS scores and clinical and demographic variables. Regression was used for multivariate analysis. MAIN OUTCOME MEASURES: The MOS scores, ADVS scores, visual acuity, visual fields, and demographic variables were measured. RESULTS: Patients scored significantly lower than did the control subjects in all MOS-20 categories except pain. Differences were physical (-20%), role (-43%), mental health (-10%), general health (-22%), and social (-9%). The only category that was not statistically significant was that of pain (P = 0.075). In the glaucoma subgroup, there were differences between whites and nonwhites in MOS subscales physical, role, social, pain, and health, and ADVS near vision. In patients, current medications and previous surgeries correlated with ADVS subscales night vision, near vision, and glare; visual acuity and fields correlated with MOS subscales physical, role and health, and all ADVS subscales. A multiple regression model including visual acuity and fields, urban residence, and female gender explained 61% of the variability in ADVS overall score. CONCLUSIONS: The Q-of-L perception differed between patients with glaucoma and control subjects. Increasing field loss, decreased visual acuity, and complexity of therapy correlated with patients' reduction in activities of daily vision.


Subject(s)
Glaucoma/physiopathology , Quality of Life , Visual Acuity/physiology , Visual Fields/physiology , Activities of Daily Living , Adult , Aged , Black People , Cross-Sectional Studies , Female , Glaucoma/ethnology , Glaucoma/therapy , Humans , Male , Middle Aged , Pilot Projects , United States , White People
14.
Am J Orthod Dentofacial Orthop ; 113(1): 40-50, 1998 Jan.
Article in English | MEDLINE | ID: mdl-9457018

ABSTRACT

In this study we examined anteroposterior cephalometric changes in children enrolled in a randomized controlled trial of early treatment for Class II malocclusion. Children, aged 9.6 +/- 0.8 years at the start of study, were randomly assigned to control (n = 81), bionator (n = 78), and headgear/biteplane (n = 90) treatments. Cephalograms were obtained initially, after Class I molars were obtained or 2 years had elapsed, after an additional 6 months during which treated subjects were randomized to retention or no retention and after a final 6 months without appliances. Calibrated examiners, blinded to group, used Johnston's analysis to measure anteroposterior cephalometric changes. Statistical analysis was used to determine annual skeletal and dental changes during treatment, retention, and follow-up, and overall. Our data reveal that both bionator and head-gear treatments corrected Class II molar relationships, reduced overjets and apical base discrepancies, and caused posterior maxillary tooth movement. The skeletal changes, largely attributable to enhanced mandibular growth in both headgear and bionator subjects, were stable a year after the end of treatment, but dental movements relapsed.


Subject(s)
Activator Appliances , Extraoral Traction Appliances , Facial Bones/pathology , Malocclusion, Angle Class II/therapy , Tooth/pathology , Analysis of Variance , Cephalometry , Child , Female , Follow-Up Studies , Humans , Incisor/pathology , Linear Models , Longitudinal Studies , Male , Malocclusion, Angle Class II/pathology , Mandible/growth & development , Mandible/pathology , Maxilla/pathology , Molar/pathology , Orthodontic Appliances , Orthodontic Retainers , Prospective Studies , Recurrence , Single-Blind Method , Tooth Movement Techniques/instrumentation , Tooth Movement Techniques/methods
15.
Clin Orthod Res ; 1(1): 20-8, 1998 Aug.
Article in English | MEDLINE | ID: mdl-9918642

ABSTRACT

A survey was administered to 168 parents and their children at the end of mixed dentition treatment for Class II correction utilizing bionators and headgears to investigate attitudes of parents and patients toward bionators and headgears and to elicit factors associated with compliance. Directional differences between parent and child responses occurred frequently with agreement ranging from 41 to 100%, averaging 69% overall. The results indicate that the orthodontic patient population has medical and dental health as a priority. While parental and child reasons for seeking treatment may be different, it appears that both groups seek care for perceived benefits of health, decreased present and future oral problems, peer influences, and dental self image improvement. Additionally, children who are undergoing treatment perceive that others do not understand what they are going through, they may be embarrassed, and some may break their appliances to annoy the parent or orthodontist. Pain, decreased ability to speak, and difficulty chewing were reported to decrease appliance wear. Patient understanding of the treatment goals was reported to increase compliance. The bionator caused more instances of speech problems and associated non-compliance than the headgear. The headgear caused more instances of pain, but did not cause significantly less associated compliance than the bionator. The results suggest that bolstering the patient-orthodontist relationship, informing the patient about the treatment goals, methods, and their individual role, and offering immediate short term rewards can potentially increase patient compliance.


Subject(s)
Attitude to Health , Malocclusion, Angle Class II/therapy , Orthodontics, Interceptive/instrumentation , Orthodontics, Interceptive/psychology , Patient Compliance , Activator Appliances , Chi-Square Distribution , Child , Extraoral Traction Appliances , Humans , Malocclusion, Angle Class II/psychology , Motivation , Parents/psychology , Patient Acceptance of Health Care , Prospective Studies , Surveys and Questionnaires
16.
J Am Coll Cardiol ; 30(4): 955-61, 1997 Oct.
Article in English | MEDLINE | ID: mdl-9316524

ABSTRACT

OBJECTIVES: We sought to evaluate the effects of intermittent transdermal nitroglycerin (TD-NTG) on the occurrence of ischemia during patch-off hours in patients with stable angina pectoris receiving a beta-adrenergic blocking agent or calcium antagonist, or both. BACKGROUND: The current recommendations for the use of intermittent TD-NTG may be associated with the occurrence of rebound ischemia. METHODS: This was a multicenter, randomized, double-blind, placebo-controlled, crossover trial with three study periods. Tolerability to TD-NTG was assessed in Period I. Seventy-two patients were assigned to receive either double-blind transdermal placebo or maximally tolerated TD-NTG for 2 weeks (Period II) and were then crossed over to the alternative treatment for another 2 weeks (Period III). The patients were instructed to apply medication daily at 8 AM, to remove it at 10 PM and to note symptoms and sublingual nitroglycerin (SL-NTG) use in a diary. The occurrence of ischemia was assessed from patient-perceived angina, symptom-limited exercise treadmill test (ETT) and 48-h ambulatory electrocardiographic (AECG) monitoring. RESULTS: Transdermal NTG (0.2 to 0.4 mg/h) significantly reduced the magnitude of ST segment depression at angina onset during ETT compared with placebo. Total angina frequency was not significantly different between TD-NTG (mean [+/-SD] 3.2 +/- 4.2) and placebo (3.3 +/- 5.2). During patch-off hours, angina frequency increased with TD-NTG (1.1 +/- 2.1) compared with placebo (0.7 +/- 1.6) (p = 0.03). Similar trends for an increase in ischemia after TD-NTG were also observed from AECG analyses. Specifically, ischemia frequency tended to be lower during patch-off hours for placebo than with TD-NTG (0.05 +/- 0.09 vs. 0.08 +/- 0.20 episodes/h, respectively, p = 0.08), even though frequency of ischemia tended to be higher during patch-on hours for placebo than with TD-NTG (0.12 +/- 0.19 vs. 0.07 +/- 0.15 episodes/h, respectively, p = 0.11). During placebo, ischemia frequency decreased 58% (patch-on to patch-off, p = 0.01) compared with a 14% increase with TD-NTG. These changes attenuate the usual circadian variation in ischemia. CONCLUSIONS: An increase in ischemia frequency during patch-off hours after use of intermittent TD-NTG was perceived by patients, and this subjective finding was supported by a corresponding trend for AECG ischemia to increase during these same hours.


Subject(s)
Angina Pectoris/drug therapy , Myocardial Ischemia/chemically induced , Nitroglycerin/administration & dosage , Nitroglycerin/adverse effects , Vasodilator Agents/administration & dosage , Vasodilator Agents/adverse effects , Administration, Cutaneous , Adrenergic beta-Antagonists/therapeutic use , Adult , Aged , Calcium Channel Blockers/therapeutic use , Cross-Over Studies , Double-Blind Method , Drug Administration Schedule , Drug Therapy, Combination , Electrocardiography, Ambulatory , Exercise Test , Female , Humans , Male , Middle Aged
17.
J Vasc Surg ; 25(6): 984-93; discussion 993-4, 1997 Jun.
Article in English | MEDLINE | ID: mdl-9201158

ABSTRACT

PURPOSE: The use of intraoperative autologous transfusion devices expanded during the last decade as a result of the increased awareness of transfusion-associated complications. This study was designed to determine whether routine use of an intraoperative autologous transfusion device (Haemonetics Cell Saver [CS]) during elective infrarenal aortic reconstructions is cost-effective ($50,000/QALYs threshold). METHODS: A decision analysis tree was constructed to model all of the complications that are associated with red blood cell replacement during aortic reconstructions for both abdominal aortic aneurysm (AAA) and aortoiliac occlusive disease (AIOD). It was assumed that a unit of CS return (CSR; 250 ml/unit) equaled a unit of packed red blood cells (PRBCs) and that all CS transfusions were necessary. Transfusion requirements (AAA:PRBC = 2.8 +/- 3.2 units, CSB = 3.7 +/- 3.2 units; AIOD:PRBC = 3.1 +/- 3.0 units, CSR = 2.1 +/- 1.7 units) were determined from retrospective review of all elective aortic reconstructions (AAA, N = 63; AIOD, N = 75) from Jan. 1991 to June 1995 in which the CS was used (82.1% of all reconstructions). Risk of allogenic transfusion-related complications (transfusion reaction, hepatitis B, hepatitis C, human immunodeficiency virus, human T-cell lymphotropic virus types I and II) and their associated treatment costs (expressed in dollars and quality-adjusted life years (QALYs) were obtained from the medical literature, institutional audit, and a consensus of physicians. RESULTS: Routine use of the CS during elective infrarenal aortic reconstructions was not cost-effective in our practice. Use during reconstructions for AAA repairs cost $263.75 but added only 0.00218 QALYs, for a rate of $120,794/QALY. Use during reconstructions for AIOD was even more costly at $356.68 and provided even less benefit at 0.00062 QALYs, for a rate of $578,275/QALY. The sensitivity analyses determined that the routine use of the CS would be cost-effective in our practice only for AAA repairs if the incidence of hepatitis C were tenfold greater than the baseline assumption. The model determined that CS was cost-effective if the CSR exceed 5 units during reconstructions for AAA and 6 units during reconstructions for AIOD. CONCLUSIONS: The routine use of the CS during elective infrarenal aortic reconstructions is not cost-effective. The use of the device should be reserved for a select group of aortic reconstructions, including those in which cost-effective salvage volumes are anticipated. Alternatively, the CS should be used as a reservoir and activated as a salvage device if significant bleeding is encountered.


Subject(s)
Aortic Aneurysm, Abdominal/surgery , Aortic Diseases/surgery , Arterial Occlusive Diseases/surgery , Blood Transfusion, Autologous/economics , Decision Trees , Aged , Aortic Aneurysm, Abdominal/economics , Aortic Aneurysm, Abdominal/mortality , Aortic Diseases/economics , Aortic Diseases/mortality , Arterial Occlusive Diseases/economics , Arterial Occlusive Diseases/mortality , Blood Transfusion, Autologous/instrumentation , Cost-Benefit Analysis , Elective Surgical Procedures , Female , Humans , Iliac Artery , Intraoperative Care/economics , Life Expectancy , Male , Middle Aged , Quality-Adjusted Life Years , Sensitivity and Specificity
18.
J Am Dent Assoc ; 128(12): 1669-79, 1997 Dec.
Article in English | MEDLINE | ID: mdl-9415764

ABSTRACT

The authors surveyed general dentists, periodontists, pediatric dentists and dental hygienists in three U.S. geographical regions to estimate the percentage who practiced tobacco use cessation activities in their dental offices. A total of 1,746 dentists and 723 dental hygienists completed either a long or short version of a mailed survey or telephone interview. The authors found that tobacco cessation activities are not a routine part of dental practice and that tobacco control activities and training vary by dentist type and geographical region.


Subject(s)
Attitude of Health Personnel , Attitude to Health , Dentist-Patient Relations , Dentists/statistics & numerical data , Smoking Cessation/statistics & numerical data , Smoking Prevention , Adult , Chi-Square Distribution , Clinical Competence , Counseling , Dental Hygienists/statistics & numerical data , Female , Follow-Up Studies , General Practice, Dental/statistics & numerical data , Health Behavior , Humans , Interviews as Topic , Male , Middle Aged , Patient Education as Topic , Pediatric Dentistry/statistics & numerical data , Periodontics/statistics & numerical data , Private Practice/statistics & numerical data , Professional-Patient Relations , Smoking Cessation/methods , Surveys and Questionnaires , Telephone , United States/epidemiology
19.
Angle Orthod ; 66(6): 423-32, 1996.
Article in English | MEDLINE | ID: mdl-8974178

ABSTRACT

This study examined risk factors associated with incisor injury in 3396 third and fourth grade school children in Alachua County, Florida. One of six orthodontists completed a standardized examination form for each child to assess severity of incisor injury, gender, age, race, skeletal relationships, morphologic malocclusion, incisor exposure, interlabial gap, TMJ sounds, chin trauma, and history of lower facial trauma. One in five (19.2%) exhibited some degree of incisor injury. This was limited to a single tooth in 73.1% of those with injury, while enamel injury predominated (89.4%). The majority of the injuries (75.4%) were localized in the maxillary arch, with central incisors the most frequently traumatized. Chi-square tests of association indicated that gender, race, school, orthodontist, history of lower facial trauma, chin trauma, profile, and maxillary and mandibular horizontal positions were associated with incisor injury (P < 0.05). Wilcoxon rank sum tests identified differences in age, overjet, time of screening, and interlabial gap between those with and without injury (P < 0.05). Results of logistic regression analyses indicated risk of incisor injury was greater for children who had a prognathic maxilla, a history of trauma, were older, were male, and had greater overjet and mandibular anterior spacing.


Subject(s)
Incisor/injuries , Age Factors , Child , Chin/injuries , Dental Enamel/injuries , Diastema , Female , Florida/epidemiology , Humans , Lip/injuries , Lip/pathology , Logistic Models , Male , Malocclusion/classification , Malocclusion/epidemiology , Mandible/pathology , Maxilla/injuries , Maxilla/pathology , Risk Factors , Sex Factors , Temporomandibular Joint Disorders/epidemiology , Tooth Injuries/epidemiology , Trauma Severity Indices , White People
20.
Angle Orthod ; 66(5): 381-91, 1996.
Article in English | MEDLINE | ID: mdl-8893108

ABSTRACT

The study examined the reliability among seven orthodontists in judging dental and facial aspects of malocclusion in a screening of elementary schoolchildren. Data included measures typically recorded during a clinical orthodontic examination: facial assessment of skeletal/incisor relationships and individual measures of morphologic malocclusion. Interexaminer reliability data were collected on 52 children. Pairwise comparisons between orthodontists were made using exact percent agreement and agreement within one category. Kappa statistics and one-sided Z-tests were used to evaluate observed agreement compared with agreement that would be expected by chance. Median Kappa statistics indicated that the reliability of maxillary and mandibular anteroposterior positions, incisor exposure, interlabial gap, and maxillary crowding was poor (K < 0.40). Acceptable reliability existed for mandibular anterior crowding, facial convexity, overbite, overjet, and molar classification (median Kappas ranged from 0.48 to 0.72). Excellent reliability existed only for evaluating the presence of a posterior crossbite (K = 0.79). The results caution that the language of clinical orthodontic diagnosis is imprecise.


Subject(s)
Malocclusion/diagnosis , Orthodontics/statistics & numerical data , Cephalometry , Child , Confidence Intervals , Facial Bones/pathology , Female , Humans , Incisor/pathology , Lip/pathology , Male , Malocclusion/classification , Malocclusion/pathology , Mandible/pathology , Maxilla/pathology , Molar/pathology , Observer Variation , Photography , Reproducibility of Results
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