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1.
Pacing Clin Electrophysiol ; 45(3): 365-373, 2022 Mar.
Article in English | MEDLINE | ID: mdl-35023176

ABSTRACT

BACKGROUND: The risk factors for developing pacing induced left ventricular dysfunction (LVD) in patients with high burden of right ventricular pacing (RVP) is poorly understood. Therefore, in the present study, we aimed to assess the determinants of pacing induced LVD. METHODS: Our data were retrospectively collected from 146 patients with RVP > 40% who underwent generator change (GC) or cardiac resynchronization therapy (CRT) upgrade between 2016 and 2019 who had left ventricular ejection fraction (EF) ≥50% at initial implant. RESULTS: A total of 75 patients had CRT upgrade due to pacing induced LVD (EF < 50%) and 71 patients with preserved LV function (EF ≥ 50%) had a GC. Primary indication for pacing in both groups was complete heart block. Male predominance (p = .008), prior myocardial infarction (MI) (p = .001), atrial fibrillation (AF) (p = .009), chronic kidney disease (CKD) (p = .005), and borderline low systolic function (BLSF) (EF 50%-55%) (p = .04) were more prevalent in the CRT upgrade group. Presence of AF (odds ratio [OR] = 3.05, 95% confidence interval [CI] 1.42-6.58; p = .004), BLSF (OR = 3.8, 95% CI 1.22-11.8; p = .02), and male gender (OR = 2.41, 95% CI 1.14-5.08; p = .02) were independent predictors for RVP induced LVD. Age (OR = 1.08, 95% CI 1.02-1.14; p = .005) and BLSF (OR = 5.33, 95% CI 1.26-22.5; p = .023) were independent predictors of earlier development of LVD after implant. CONCLUSIONS: Our results suggested that AF, BLSF, and male gender are predictors for development of pacing induced LVD in patients with high RVP burden. LVD can occur at any time after pacemaker implant with BLSF and increasing age associated with earlier development of LVD.


Subject(s)
Atrial Fibrillation , Cardiac Resynchronization Therapy , Heart Failure , Ventricular Dysfunction, Left , Atrial Fibrillation/therapy , Cardiac Pacing, Artificial/methods , Cardiac Resynchronization Therapy/adverse effects , Cardiac Resynchronization Therapy/methods , Female , Heart Failure/therapy , Humans , Male , Retrospective Studies , Risk Factors , Stroke Volume , Treatment Outcome , United Kingdom/epidemiology , Ventricular Function, Left
2.
Catheter Cardiovasc Interv ; 88(6): 912-922, 2016 Nov 15.
Article in English | MEDLINE | ID: mdl-27801973

ABSTRACT

Current practice of sedation and anesthesia for patients undergoing pediatric congenital cardiac catheterization laboratory (PCCCL) procedures is known to vary among institutions, a multi-society expert panel with representatives from the Congenital Heart Disease Council of the Society for Cardiovascular Angiography and Interventions (SCAI), the Society for Pediatric Anesthesia (SPA) and the Congenital Cardiac Anesthesia Society (CCAS) was convened to evaluate the types of sedation and personnel necessary for procedures performed in the PCCCL. The goal of this panel was to provide practitioners and institutions performing these procedures with guidance consistent with national standards and to provide clinicians and institutions with consensus-based recommendations and the supporting references to encourage their application in quality improvement programs. Recommendations can neither encompass all clinical circumstances nor replace the judgment of individual clinicians in the management of each patient. The science of medicine is rooted in evidence, and the art of medicine is based on the application of this evidence to the individual patient. This expert consensus statement has adhered to these principles for optimal management of patients requiring sedation and anesthesia. What follows are recommendations for patient monitoring in the PCCCL regardless of whether minimal or no sedation is being used or general anesthesia is being provided by an anesthesiologist. © 2016 Wiley Periodicals Inc.


Subject(s)
Anesthesia, General/standards , Cardiac Catheterization , Conscious Sedation/standards , Consensus , Heart Defects, Congenital/surgery , Practice Guidelines as Topic , Angiography , Child , Heart Defects, Congenital/diagnosis , Humans
3.
Disabil Rehabil ; 36(13): 1100-7, 2014.
Article in English | MEDLINE | ID: mdl-24028351

ABSTRACT

PURPOSE: Neuromyelitis optica (NMO) is a rare autoimmune condition characterised by acute relapses of optic neuritis and extensive transverse myelitis. The aim of this qualitative study was to develop an improved understanding of the experiences of people living with NMO. METHOD: Fifteen participants completed a semi-structured interview and data were interpreted using a constant comparative method. Participants were recruited from the Northern UK NMO Service. RESULTS: Five major themes were identified: diagnosis and treatment, symptoms, adjustment, identity and support. CONCLUSION: Results suggest NMO is a difficult condition to live with due to the unpredictability of relapses and accrued disability of visual or spinal symptoms occurring with each relapse. Poor vision, reduced mobility, bladder dysfunction and pain affected participants' independence and experience of living with NMO. Participants reported that during relapse and recovery they would "put their life on hold". They identified the importance of periods of stability to enable them to adjust to their condition and therefore aim for "normality" of life that they believed was comparable to their peers. Implications for Rehabilitation Disability due to NMO has a major impact on an individual's life, abilities and identity. Timely treatment of relapse is essential to reduce or prevent disability. Health care professionals need to coordinate care locally and nationally. Multi-disciplinary work is vital to promote adjustment, coping strategies and support for people living with NMO.


Subject(s)
Activities of Daily Living , Adaptation, Psychological , Neuromyelitis Optica/physiopathology , Neuromyelitis Optica/psychology , Adolescent , Adult , Aged , Disability Evaluation , Female , Humans , Interviews as Topic , Male , Middle Aged , Neuromyelitis Optica/diagnosis , Neuromyelitis Optica/therapy , Qualitative Research , Recurrence , Social Support
4.
Mult Scler ; 19(12): 1647-54, 2013 Oct.
Article in English | MEDLINE | ID: mdl-23652213

ABSTRACT

OBJECTIVE: The objective of this paper is to investigate demographic and disease factors associated with changes in employment role and status in multiple sclerosis (MS). METHODS: Questionnaires on current symptoms, employment status and factors associated with changes in employment were sent to a community sample of 566 MS patients. RESULTS: A total of 221 completed questionnaires were analysed. Of 169 employed at diagnosis, 43.3% had left employment at a mean of 11.9 years after disease onset. Of those still employed, 55% had changed their role or working hours to accommodate symptoms relating to their disease. These patients reported greater fatigue (p = 0.001), pain (p = 0.033) and memory problems (p = 0.038) than those whose employment had remained unaffected. Multinomial logistic regression revealed the factors most strongly predictive of employment status were disability level, years of education, disease duration and fatigue (p = 0.032). CONCLUSIONS: Despite changes to public perceptions and legislative protection over the last 20 years, high rates of MS patients still leave the workforce prematurely, reduce working hours or change employment roles. These data have significant implications when considering social and economic impacts of MS, support the value of employment metrics as long-term outcome measures, and demonstrate the need to improve employment requirements and flexibility of working practices in individuals with MS.


Subject(s)
Employment/statistics & numerical data , Multiple Sclerosis/economics , Multiple Sclerosis/epidemiology , Adult , Age Factors , Age of Onset , Aged , Confidence Intervals , Disability Evaluation , Disease Progression , Educational Status , Fatigue/etiology , Female , Humans , Male , Memory Disorders/etiology , Memory Disorders/psychology , Mental Disorders/etiology , Mental Disorders/psychology , Middle Aged , Multiple Sclerosis/psychology , Odds Ratio , Quality of Life , Regression Analysis , Sex Characteristics , Socioeconomic Factors , Surveys and Questionnaires , United Kingdom/epidemiology
5.
Nature ; 491(7425): 586-9, 2012 Nov 22.
Article in English | MEDLINE | ID: mdl-23086145

ABSTRACT

Recent estimates of Antarctica's present-day rate of ice-mass contribution to changes in sea level range from 31 gigatonnes a year (Gt yr(-1); ref. 1) to 246 Gt yr(-1) (ref. 2), a range that cannot be reconciled within formal errors. Time-varying rates of mass loss contribute to this, but substantial technique-specific systematic errors also exist. In particular, estimates of secular ice-mass change derived from Gravity Recovery and Climate Experiment (GRACE) satellite data are dominated by significant uncertainty in the accuracy of models of mass change due to glacial isostatic adjustment (GIA). Here we adopt a new model of GIA, developed from geological constraints, which produces GIA rates systematically lower than those of previous models, and an improved fit to independent uplift data. After applying the model to 99 months (from August 2002 to December 2010) of GRACE data, we estimate a continent-wide ice-mass change of -69 ± 18 Gt yr(-1) (+0.19 ± 0.05 mm yr(-1) sea-level equivalent). This is about a third to a half of the most recently published GRACE estimates, which cover a similar time period but are based on older GIA models. Plausible GIA model uncertainties, and errors relating to removing longitudinal GRACE artefacts ('destriping'), confine our estimate to the range -126 Gt yr(-1) to -29 Gt yr(-1) (0.08-0.35 mm yr(-1) sea-level equivalent). We resolve 26 independent drainage basins and find that Antarctic mass loss, and its acceleration, is concentrated in basins along the Amundsen Sea coast. Outside this region, we find that West Antarctica is nearly in balance and that East Antarctica is gaining substantial mass.


Subject(s)
Gravitation , Ice Cover , Models, Theoretical , Satellite Communications , Seawater/analysis , Antarctic Regions , Artifacts , Freezing , Oceans and Seas , Research Design , Time Factors , Uncertainty
6.
J Psychosom Res ; 73(4): 272-6, 2012 Oct.
Article in English | MEDLINE | ID: mdl-22980532

ABSTRACT

OBJECTIVE: The expression of clinically significant depression symptoms during and post multiple sclerosis (MS) relapse was investigated. The point prevalence of possible depression during a confirmed MS relapse and at 2 and 6months post-relapse was examined and the influence of disability on the time course of depression symptoms post-relapse determined. METHODS: 132 sequential patients were recruited from an open access relapse clinic. Clinical data including disability (Expanded Disability Status Scale: EDSS) and depression symptoms (Hospital Anxiety and Depression Scale depression subscale: HADS-D) were recorded at 0, 2 and 6months post-relapse. RESULTS: Prevalence of possible depression (HADS-D score of≥8) was 44.5% during relapse, reducing to 29.2% at 2months and 34.4% at 6months post-relapse. HADS-D scores were significantly lower at follow-up than during relapse. Possible depression at relapse was significantly related to a higher likelihood of possible depression at 2month follow-up (OR 12.12) and improvement in EDSS was related to a lower likelihood (OR 0.51). EDSS at relapse (OR 1.47) and possible depression at relapse (OR 11.87) were significantly associated with possible depression 6months post-relapse. CONCLUSIONS: High rates of possible depression were observed during relapse. Although depression scores reduced significantly post-relapse, rates of possible depression at follow-ups remained high. The results suggest that although improvements in disability may influence depression symptoms over the short-term, once depression symptoms are elevated at relapse then depression symptoms become persistent. Further studies are required on the relationship between relapses and depression and whether targeted psychological interventions are beneficial.


Subject(s)
Depression/psychology , Depressive Disorder/psychology , Multiple Sclerosis/psychology , Adult , Anxiety/diagnosis , Anxiety/epidemiology , Anxiety/psychology , Depression/diagnosis , Depression/epidemiology , Depressive Disorder/diagnosis , Depressive Disorder/epidemiology , Disability Evaluation , Disabled Persons , Female , Humans , Male , Middle Aged , Prevalence , Psychiatric Status Rating Scales , Recurrence
7.
Am Heart J ; 158(5): 829-35, 2009 Nov.
Article in English | MEDLINE | ID: mdl-19853705

ABSTRACT

BACKGROUND: In primary angioplasty (primary percutaneous coronary intervention [PPCI]) for acute myocardial infarction, institutional logistical delays can increase door-to-balloon times, resulting in increased mortality. METHODS: We moved from a thrombolysis (TL) service to 24/7 PPCI for direct access and interhospital transfer in April 2004. Using autonomous ambulance diagnosis with open access to the myocardial infarction center catheter laboratory, we compared reperfusion times and clinical outcomes for the final 2 years of TL with the first 3 years of PPCI. RESULTS: Comparison was made between TL (2002-2004, n = 185) and PPCI (2004-2007, n = 704); all times are medians in minutes (interquartile range): for TL, symptom to needle 153 (85-225), call to needle 58 (49-73), first professional contact (FPC) to needle 47 (39-63), door to needle 18 (12-30) (mortality: 7.6% at 30 days, 9.2% at 1 year); for interhospital transfer PPCI (n = 227), symptom to balloon 226 (175-350), call to balloon 135 (117-188), FPC to balloon 121 (102-166), first door-to-balloon 100 (80-142) (mortality: 7.0% at 30 days, 12.3% at 1 year); for direct-access PPCI (n = 477), symptom to balloon 142 (101-238), call to balloon 79 (70-93), FPC to balloon 69 (59-82), door to balloon 20 (16-29) (mortality: 4.6% at 30 days, 8.6% at 1 year). There was no difference between direct-access PPCI and TL times for symptom to needle/balloon. Direct-access PPCI was significantly quicker for the group than in-hospital thrombolysis for door to needle/balloon times due to the lack of any long wait patients (P < .001). CONCLUSIONS: Interhospital transfer remains slow even with rapid institutional door-to-balloon times. With autonomous ambulance diagnosis and open access direct to the catheter laboratory, a median door-to-balloon time of <30 minutes day and night was achieved, and >95% of patients were reperfused within 1 hour.


Subject(s)
Angioplasty, Balloon, Coronary , Fibrinolytic Agents/therapeutic use , Myocardial Infarction/mortality , Myocardial Infarction/therapy , Thrombolytic Therapy , Adult , Aged , Female , Humans , Male , Middle Aged , Myocardial Infarction/drug therapy , Risk Assessment , Time Factors , Treatment Outcome
8.
J Clin Psychol Med Settings ; 15(4): 331-7, 2008 Dec.
Article in English | MEDLINE | ID: mdl-19104991

ABSTRACT

A 14 session, structured, mindfulness skills group utilizing short (10 min) practices was undertaken by clinical psychologists in training as a voluntary lunchtime activity. The present study was a preliminary investigation into whether a short course of brief mindfulness exercises could facilitate the development of personal understandings of mindfulness without requiring a significant time commitment that might impinge upon participants' ability to take part. Quantitative and qualitative evaluations suggested that the course could be a useful experiential introduction to mindfulness for clinicians. The results also suggested that the format of frequent, brief exercises could have utility for conducting mindfulness-based training in time-limited environments but further research is required to examine the effects of frequency and duration of practice on the development of mindfulness skills.


Subject(s)
Education, Medical, Graduate/methods , Meditation/methods , Meditation/psychology , Psychology, Clinical/education , Students, Medical/psychology , Attitude of Health Personnel , Female , Humans , Male , Self Disclosure , Students, Medical/statistics & numerical data , Surveys and Questionnaires
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