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1.
Clin Microbiol Infect ; 22(12): 1005.e9-1005.e15, 2016 Dec.
Article in English | MEDLINE | ID: mdl-27615719

ABSTRACT

The incidence of Campylobacter infection in Israel, particularly among children <2 years of age, has risen over the last decade and became one of the highest among industrialized countries. This study explored the molecular epidemiology of Campylobacter jejuni in Israel over a decade (2003-2012) using multilocus sequence typing (MLST) combined with demographic metadata. Representative clinical isolates (438) from a large national repository together with selected veterinary isolates (74) were subject to MLST. The distribution of age groups, ethnicity and clinical source across various genotypes was evaluated using Poisson modelling. The 512 studied isolates were assigned 126 distinct sequence types (STs) (18.8% novel STs) grouped into 21 clonal complexes (CCs). Most human, poultry and bovine STs clustered together in the leading CCs. Three dominant STs (ST21, ST6608, ST4766) were detected only since 2006. Patients infected with the leading CCs were similarly distributed along densely populated areas. The frequency of blood isolates was higher in patients infected with CC353 (relative rate (RR)=2.0, 95% CI 1.03-3.9, adjusted p value (adj.p) 0.047) and CC42 (RR=4.4, 95% CI 1.7-11.6, adj.p 0.018) and lower with CC257 (RR=0.3, 95% CI 0.1-0.9, adj. p 0.047). The distribution of age groups and ethnicity also varied across the leading CCs. In conclusion, C. jejuni isolates in a national sample appeared highly diverse with a high proportion of new STs. Phylogenic analysis was compatible with poultry and cattle as possible food sources of clinical infection. Demographic characteristics of the infected patients coupled with strain invasiveness across different genotypes revealed a complex epidemiology of C. jejuni transmission in Israel.


Subject(s)
Campylobacter Infections/epidemiology , Campylobacter jejuni/genetics , Campylobacter jejuni/isolation & purification , Adolescent , Adult , Aged , Aged, 80 and over , Animals , Cattle , Child , Child, Preschool , Female , Food Contamination , Food Microbiology , Genotype , Humans , Infant , Israel/epidemiology , Male , Middle Aged , Molecular Epidemiology , Multilocus Sequence Typing , Poultry/microbiology , Red Meat/microbiology , Young Adult
2.
Hum Reprod ; 28(8): 2289-97, 2013 Aug.
Article in English | MEDLINE | ID: mdl-23739216

ABSTRACT

STUDY QUESTION: Does maternal exposure during pregnancy to higher ambient temperature increase the risk of congenital heart defects (CHDs)? SUMMARY ANSWER: Significant associations were found between maternal exposure during pregnancy to higher ambient temperature and CHDs risk especially during the cold season. WHAT IS KNOWN ALREADY: From rodents to non-human primates, a teratogenic effect of hyperthermic insult has been demonstrated. There are fewer data regarding the effect on the human fetus and specifically the association between maternal exposures during pregnancy to higher ambient temperature and CHDs. STUDY DESIGN, SIZE, DURATION: This population registry-based cohort study included 135 527 live and stillbirths in the Tel-Aviv region of Israel in 2000-2006. PARTICIPANTS/MATERIALS, SETTING, METHODS: Two clinical diagnostic groups of isolated cardiac defects (atrial septal defects and ventricular septal defects: n = 542 and 481, respectively) and one group of multiple cardiac defects (defined by the presence of two or more cardiac malformations, n = 607) were studied. Temperature measurements were constructed from ambient stations and used to assess the impact of maternal exposure to average ambient temperature and extreme heat events (daily average temperature above the 90th percentile) during Weeks 3-8 of pregnancy on risk of CHDs. Logistic models, adjusted for sociodemographic covariates, were used to evaluate the associations between temperature and CHDs. MAIN RESULTS AND THE ROLE OF CHANCE: Overall, we found no significant associations between ambient temperature and CHDs throughout the year, with one exception for multiple CHDs. After stratifying by season of conception, continuous exposure to average ambient temperature and maximum peak temperature (1°C increase) during the cold season increased the risk for multiple CHDs [odds ratio (OR) 1.05, 95% confidence interval (CI): 1.00, 1.10 and OR 1.03, 95% CI: 1.01, 1.05, respectively]. A 1-day increase in extreme heat events increased the risk for multiple CHDs (OR 1.13, 95% CI: 1.06, 1.21) and also for isolated atrial septal defects (OR 1.10, 95% CI: 1.02, 1.19). LIMITATIONS, REASONS FOR CAUTION: Information both on CHD cases and on ambient temperature was based on registries and it is possible that this may cause some misclassification. In urban areas, pregnant women may be exposed to higher temperatures than recorded by ambient monitors because of the 'heat island effect'. Furthermore, data for the amount of time spent indoors were unavailable and this could have resulted in exposure misclassification. WIDER IMPLICATIONS OF THE FINDINGS: The findings are important within the context of global climate change, which may have implications for public health in countries with mild winters and hot summers. STUDY FUNDING/COMPETING INTEREST(S): This study was supported by the Israeli Ministry of Environmental Protection (research grant-7-2-7) and by the Environment and Health Fund (PhD Fellowship Program). There are no competing interests.


Subject(s)
Heart Defects, Congenital/etiology , Prenatal Exposure Delayed Effects , Temperature , Female , Humans , Odds Ratio , Pregnancy , Pregnancy Trimester, First , Retrospective Studies , Risk Assessment
3.
J Neurol ; 260(1): 62-70, 2013 Jan.
Article in English | MEDLINE | ID: mdl-22772304

ABSTRACT

The aim of this work was to estimate in an incident cohort of pharmacy-based PD patients the survival of men and women accounting for age at treatment initiation and to compare their gender-specific survival with that of the general Israeli population. A population-based cohort of 4,848 incident pharmacy-based PD cases with definite/probable/possible certainty was previously identified using a drug-tracer approach for 1999-2008. Survival analysis was performed for two time scales: survival after treatment initiation (disease duration), and life-time survival (life expectancy). Kaplan-Meier curves and Cox regressions were used to compare survival across gender. Gender-specific SMRs were calculated from national rates and were compared using Poisson regression. During the follow-up from first purchase of any anti-parkinsonian drug (mean 4.0 ± 2.6 years, range 2 months-10 years), 1,266 (26 %) of the cases died. Younger age at first anti-parkinsonian drug purchase and female gender were associated with increased survival after treatment initiation (HR = 1.089, 95 % CI 1.080-1.098 for 1-year age increase; HR = 0.716, 95 % CI 0.640-0.800, females vs. males). Life-time survival increased with older age at first anti-parkinsonian drug purchase and female gender (HR = 0.759, 95 % CI 0.746-0.771 for 1-year age increase; HR = 0.694, 95 % CI 0.621-0.776, females vs. males). Sensitivity analysis on a sub-cohort of definite cases (n = 2501) yielded similar results. In comparison to the general Israeli population, mortality among pharmacy-based PD patients was significantly increased (SMR(men) = 1.69, 95 % CI 1.57-1.81, SMR(women) = 1.49, 95 % CI 1.37-1.62), differently between genders (p < 0.01). Female gender was associated with longer, perhaps more benign disease course, and longer life expectancy. Earlier age at anti-parkinsonian drug initiation increased disease duration, but was associated with shorter life expectancy.


Subject(s)
Health Maintenance Organizations/statistics & numerical data , Parkinson Disease/epidemiology , Parkinson Disease/mortality , Pharmacy , Sex Characteristics , Adolescent , Adult , Age Factors , Aged , Aged, 80 and over , Antiparkinson Agents/therapeutic use , Child , Child, Preschool , Cohort Studies , Community Health Planning , Female , Humans , Israel/epidemiology , Male , Middle Aged , Parkinson Disease/diagnosis , Parkinson Disease/drug therapy , Regression Analysis , Sensitivity and Specificity , Survival Analysis , Survival Rate , Young Adult
4.
Epidemiol Infect ; 141(10): 2058-67, 2013 Oct.
Article in English | MEDLINE | ID: mdl-23232093

ABSTRACT

The overall incidence and serotype distribution of non-typhoid Salmonella (NTS) may vary between different geographical localities. To investigate possible regional differences and the effect of demographic factors, we studied 15 865 episodes of laboratory-confirmed NTS infection in Israel. Using Poisson models we found significant variation in the average annual incidence rate of NTS in 15 administrative sub-districts, which was inversely associated with the percent of rural residency (incidence rate ratio 0.75, 95% confidence interval 0.65­0.86, P<0.001). Variation was also found in the relative incidence of the most prominent serotypes (Enteritidis, Virchow, Typhimurium, Hadar, Infantis), which was affected by rural residency, the percent of non-Jewish population in the sub-district, and the percent of population aged o55 years in the sub-district.Rural residency had a major effect on the epidemiology of salmonellosis in Israel. Future research is required to understand whether decreased incidence in rural areas is an under-detection bias or reflects true differences in NTS illnesses.


Subject(s)
Salmonella Infections/epidemiology , Adolescent , Adult , Aged , Child , Child, Preschool , Female , Humans , Incidence , Infant , Israel/epidemiology , Male , Middle Aged , Poisson Distribution , Rural Population/statistics & numerical data
5.
Clin Microbiol Infect ; 17(2): 278-84, 2011 Feb.
Article in English | MEDLINE | ID: mdl-20132249

ABSTRACT

Among bacterial foodborne pathogens, non-typhoid Salmonella enterica (NTS) is a leading cause of death worldwide. This study assessed short-term and long-term mortality following NTS infection in Israel, and evaluated the effects of age, sex, source of isolation and different serotypes on mortality. The source of data was a national registry of NTS isolates submitted to the Salmonella Reference Center, Government Central Laboratories, in Jerusalem, Israel, during 1997-2006. Vital status was derived from the registry of the Israeli Ministry of the Interior. The survival of a cohort of 15,919 patients infected with the top five NTS serotypes was evaluated by calculating age-standardized mortality ratios (SMRs) and by Cox proportional hazards multivariate regressions at three follow-up time intervals: 30 days, 1 year and end of follow-up. The median follow-up time was 6.44 years (mean, 6.21 years; range, 1 day to 10.80 years). The cumulative crude mortality rates at the three time intervals were 0.68%, 1.86% and 4.40%, respectively, corresponding to increased SMRs of 16.95 (95% CI 13.9-20.46), 4.25 (95% CI 3.78-4.76), and 1.83 (95% CI 1.70-1.97), respectively. Cox regressions revealed that increasing age, extraintestinal source of isolation and NTS serotype had significant effects on mortality within all three follow-up intervals. The risk of mortality was increased for serotypes Infantis and Typhimurium, and decreased for serotypes Virchow and Hadar, as compared with serotype Enteritidis. The study revealed curtailed short-term and long-term survival following NTS infection that persisted for many years following detection by culture.


Subject(s)
Bacteremia/epidemiology , Bacteremia/mortality , Salmonella Infections/epidemiology , Salmonella Infections/mortality , Adolescent , Adult , Aged , Aged, 80 and over , Bacteremia/microbiology , Child , Child, Preschool , Female , Humans , Infant , Infant, Newborn , Israel/epidemiology , Male , Middle Aged , Survival Analysis , Young Adult
6.
Eur J Clin Microbiol Infect Dis ; 29(9): 1103-9, 2010 Sep.
Article in English | MEDLINE | ID: mdl-20535625

ABSTRACT

Extraintestinal disease occurs in 5-8% of non-typhoid Salmonella enterica (NTS) infections and is more likely to be associated with hospitalization and death. The study examined the epidemiology of extraintestinal NTS infections in Israel and the possible effects of patients' age and sex. NTS isolates passively submitted to the National Salmonella Reference Center during 1996-2006 were the source for the study cohort. Poisson regression models were used to assess incidence trends over the study years and to evaluate the effects of patients' age and sex on the incidence of extraintestinal NTS manifestations. A total of 36,822 stool and 1,415 (3.7%) patient-unique NTS isolates from blood (74.1%), urine (18.3%), and other sources (3.7%) were studied. Serotypes Enteritidis, Virchow, and Typhimurium accounted for 66.3% of the isolates. Analysis showed a highly significant quadratic (U-shaped) relationship between patients' age and the incidence of extraintestinal isolation (p < 0.001), with increasing risk in the two extremes of age. Differences between the incidence of blood and urine sources were significant in patients <10 and >or=60 years old (relative risk [RR] = 5.88, 95% confidence interval [CI] 3.36-10.30, p < 0.001 and RR = 1.66, 95% CI 1.09-2.53, p = 0.017, respectively). Males >or=60 years of age were more likely than females of the same age to have bacteremia (RR = 1.90, 95% CI 1.39-2.61, p > 0.001) and less likely to have urinary NTS isolation (RR = 0.50, 95% CI 0.28-0.89, p = 0.018). Serotype Virchow had the highest incidence in patients <10 years of age, while serotype Enteritidis had the highest incidence in patients >or=60 years old. The study revealed a complex effect of patients' age and sex on the epidemiology of extraintestinal NTS manifestations.


Subject(s)
Salmonella Infections/epidemiology , Salmonella enterica/isolation & purification , Adolescent , Adult , Age Factors , Aged , Aged, 80 and over , Child , Child, Preschool , Female , Humans , Incidence , Infant , Israel/epidemiology , Male , Middle Aged , Risk Factors , Salmonella Infections/microbiology , Salmonella enterica/classification , Serotyping , Sex Factors , Young Adult
7.
J Neural Transm (Vienna) ; 114(10): 1309-14, 2007.
Article in English | MEDLINE | ID: mdl-17576513

ABSTRACT

Fear of falling (FOF) is one of the key clinical features affecting older adults with a higher-level gait disorder (HLGD), however, its effect on gait is not clear. Twenty-one HLGD patients walked under four conditions: 1) usual walking, 2) while holding a physical therapist's hand, 3) while using a walker, and 4) while being guarded. All three interventions reduced FOF, but guarding did not significantly affect any gait parameter (p > 0.10) and the walker only increased gait speed. In contrast, handholding improved gait speed and reduced gait variability, however, an altered gait pattern persisted even with handholding. Interventions such as handholding, guarding or use of a walker apparently may reduce FOF in HLGD patients, but the impact of this reduction on gait is limited. Thus, it appears that the gait disturbances in these patients are apparently not simply the consequence of FOF.


Subject(s)
Accidental Falls/prevention & control , Fear , Gait Disorders, Neurologic , Geriatrics , Locomotion/physiology , Physical Therapy Modalities , Aged , Aged, 80 and over , Female , Gait Disorders, Neurologic/physiopathology , Gait Disorders, Neurologic/psychology , Gait Disorders, Neurologic/rehabilitation , Humans , Male , Regression Analysis , Trauma Severity Indices , Veterans Disability Claims
8.
J Electromyogr Kinesiol ; 17(4): 484-92, 2007 Aug.
Article in English | MEDLINE | ID: mdl-16822681

ABSTRACT

Isokinetic strength measurements of the quadriceps and hamstring that are commonly conducted using a 90 degrees range of motion (RoM) may involve some risk to specific knee patient groups. Testing these muscles at a much shorter RoM may reduce the risk but in order to render this method clinically acceptable the reproducibility of the derived test findings has to be established. Therefore the main objective of this study was to assess the reproducibility of isokinetic peak torque and normalized EMG scores of these muscles based on 90 degrees (0-90 degrees flexion, LR) and three successive short RoMs: 0-30 degrees (SR1), 30-60 degrees (SR2) and 60-90 degrees (SR3). Eight healthy subjects were tested three times with a 2 week between-session interval. All tests were performed on the dominant limb and consisted of maximal concentric and eccentric exertions. The velocities applied were 90 degrees /s for LR and 30 degrees /s for each of the SRs. Findings indicated no between-session improvement in strength. Based on the coefficient of variation the measurement error for all isokinetic strength scores remained stable throughout the testing sessions ranging 0.6-13.9% with the absolute majority of instances less than 10%. The reproducibility of the EMG scores was poorer ranging 1.5-25% and 0.5-19% for the quadriceps and hamstring, respectively. It is concluded that testing of knee muscles at short (30 degrees ) RoMs does not compromise the reproducibility of the strength or EMG scores derived from the commonly used RoM of 90 degrees . However, whereas strength was reproducible to within the accepted clinical standards, the corresponding EMG scores were characterized by a wider error band.


Subject(s)
Electromyography , Knee Joint/physiology , Lower Extremity/physiology , Muscle Strength/physiology , Muscle, Skeletal/physiology , Range of Motion, Articular/physiology , Adult , Humans , Male , Physical Exertion/physiology , Reproducibility of Results , Torque
9.
J Neurol ; 252(11): 1310-5, 2005 Nov.
Article in English | MEDLINE | ID: mdl-15895303

ABSTRACT

Falls are one of the most serious complications of gait disturbances in patients with Parkinson's disease (PD). Among previous reports, the percentage of patients with PD who fall varies between 38% to 68%. We sought to determine the frequency of falls and the factors associated with falls in a group of patients with idiopathic PD who attended an outpatient, tertiary movement disorders clinic. 350 ambulatory, non-demented patients (230 males) were studied. Mean age was 69.7+/-10.6 years (range: 43-97 yrs) and mean duration of PD symptoms was 8.6+/- 6.2 years (range: 1-33 yrs). Assessments included characterization of demographics, disease duration, disease severity as measured by the Hoehn and Yahr Scale (H&Y), co-morbidities, the presence of depressive symptoms, the presence of urinary incontinence, use of anti-parkinsonian medications, and two performance-based tests of balance and gait (tandem standing and Timed Up & Go). Fall history was determined during three time periods: previous week, previous month, and previous year. Univariate and multivariate logistic regression models were applied to evaluate the relationship between the above-mentioned factors and falls. 46% of the subjects reported at least one fall in the previous year and 33% reported 2 or more falls and were classified as Fallers. Fallers had significantly more prolonged and advanced PD compared with Non-fallers (p=0.001 and p<0.001, respectively). Urinary incontinence was the factor most closely associated with falls (crude and adjusted OR were 1.95 and 5.89, respectively). Other factors significantly associated with fall status included increased Timed Up & Go times and increased PD duration. These findings confirm that falls are a common problem among patients with advanced PD and suggest easily measurable features that may be used to prospectively identify those PD patients with the greatest risk of falls.


Subject(s)
Accidental Falls/statistics & numerical data , Parkinson Disease/physiopathology , Urinary Incontinence/etiology , Adult , Aged , Aged, 80 and over , Antiparkinson Agents/therapeutic use , Female , Humans , Male , Middle Aged , Outpatients , Parkinson Disease/drug therapy , Risk Factors
10.
J Neural Transm (Vienna) ; 111(10-11): 1447-53, 2004 Oct.
Article in English | MEDLINE | ID: mdl-15480845

ABSTRACT

BACKGROUND: It was commonly assumed that psychotic phenomena in Parkinson's disease (PD) are mainly drug related. Accumulating evidence suggests the existence of other risk factors for psychosis in PD. Aims. To evaluate the contribution of the drug profile of patients with PD to emergence of hallucinations. METHODS: We compared patients with and without hallucinations, using Cox proportional hazards model, concerning drug profile at the time of hallucinations emergence. RESULTS: Of 422 consecutive patients, 113 had dementia, while 90 patients experienced hallucinations (46 had both dementia and hallucinations). The mean levodopa dose for the group of patients with hallucinations was 650 +/- 279 mg/day at the time of hallucinations onset, which was not significantly different from the levodopa dose at last visit for the group without hallucinations (621 +/- 326 mg/day). Supplementary treatment with amantadine, selegiline, dopamine agonists, entacapone and anticholinergics did not increase the risk for the development of hallucinations. CONCLUSIONS: We did not confirm drug treatment as a risk factor for hallucinations in PD. Our study suggests the existence of "endogenic" factors as substantial contributors in the genesis of PD hallucinations. The clinical implications may be earlier administration of antipsychotic treatment and not as traditionally accepted, dose reduction of antiparkinsonian drugs.


Subject(s)
Antiparkinson Agents/adverse effects , Hallucinations/etiology , Parkinson Disease/complications , Parkinson Disease/drug therapy , Adult , Aged , Aged, 80 and over , Aging/physiology , Antiparkinson Agents/therapeutic use , Dementia/complications , Female , Hallucinations/epidemiology , Hallucinations/psychology , Humans , Levodopa/adverse effects , Levodopa/therapeutic use , Male , Middle Aged , Parkinson Disease/psychology , Retrospective Studies , Risk Factors , United Kingdom/epidemiology
11.
Parkinsonism Relat Disord ; 10(3): 143-8, 2004 Mar.
Article in English | MEDLINE | ID: mdl-15036168

ABSTRACT

BACKGROUND: Dysrhythmia is one of the features frequently associated with the motor disturbance in Parkinson's disease (PD). The mechanism responsible for this phenomenon is not known. OBJECTIVES: To assess the rhythmic movements of the hand in PD patients in general and in parkinsonian subtypes. METHODS: Fifty-one PD patients (32 males) with mean age 66.3 +/- 9.1 years (6.6 years of symptoms) and 36 healthy controls (age 64.9 +/- 13.2, range 40-85) were studied. Subjects were asked to tap with their dominant or less affected arm on a digitized switch board at their most comfortable pace (16 s), fastest tapping speed (12 s), and at different frequencies provided by a metronome. The mean rhythm and the tap-to-tap variation were compared. Performance of the PD patients and control subjects were compared, as there were different subtypes of PD patients. Patients were subclassified into: tremor predominant (TP) (14 patients), freezing predominant (FP) (11 patients), akinetic-rigid (AR) (12 patients) and an unclassified group (UC) (14 patients). Results. There was no significance difference between patients and controls in the self-chosen, most comfortable tapping rate or in the tap-to-tap variation of the self-paced task. PD patients tapped at a significantly slower rate than controls when asked to tap at their fastest rate (4.39 +/- 1.32 vs. 5.14 +/- 1.31 Hz; p < 0.01). This difference was the result of an especially slow performance of the TP and AR subgroups (3.85+/-1.20 and 3.88+/-1.46, respectively; p < 0.01 compared to the control group). TP was the only subgroup to show an increased tap-to-tap variation at their fastest tapping rate compared to the control group (0.070 +/- 0.057 vs. 0.029 +/- 0.025 s, respectively, p < 0.05). The TP subgroup also showed hastening when they followed an externally given rhythm of 2.5 Hz and they tapped at 2.73 +/- 0.36 Hz p < 0.05). CONCLUSIONS: Externally driven and self-paced tapping are preserved in patients with PD, when examined at their best 'on' state. The tremor predominant subgroup seems to have specific pacing disturbances.


Subject(s)
Hand/physiology , Movement/physiology , Parkinson Disease/physiopathology , Adult , Aged , Aged, 80 and over , Analysis of Variance , Female , Humans , Male , Middle Aged , Parkinson Disease/classification , Time Factors
12.
Ann Occup Hyg ; 46(1): 69-77, 2002 Jan.
Article in English | MEDLINE | ID: mdl-12005135

ABSTRACT

The benefits of using linear mixed-effects models for occupational exposure assessment were studied by re-analysing three data sets from two published surveys with repeated exposure measurements. The relative contributions of particular characteristics affecting exposure levels were assessed as in a multiple regression model, while controlling for the correlation between repeated measurements. While one-way ANOVA allows one only to estimate unconditioned variance components, a mixed model enables estimation of between- and within-worker variance components of exposure levels while accounting for the fixed effects of work characteristics. Consequently, we can identify the work characteristics affecting each variance component. Mixed models were applied to the data sets with repeated measurements and auxil iary information on work characteristics. The between-worker variance components were reduced by 35, 66 and 80%, respectively, in the three data sets when work characteristics were taken into account. The within-worker (day-to-day) variability was reduced only in the pig farmer data set, by 25%, when accounting for work activities. In addition, coefficients of work characteristics from the mixed model were compared with coefficients resulting from originally published multiple linear regression models. In the rubber manufacturing data, the coefficients of the mixed model showed similar relative importance, but were generally smaller than the coefficients from regression models. However, in the pig farm data, only the coefficients of work activities were somewhat reduced. The mixed model is a helpful tool for estimating factors affecting exposure and suitable variance components. Identifying the factors in the working environment that affect the between-worker variability facilitates a posteriori grouping of workers into more uniformly exposed groups. Identifying the factors that affect the within-worker variance is helpful for hazard control and in designing efficient sampling schemes with reference to time schedule.


Subject(s)
Linear Models , Occupational Exposure/analysis , Analysis of Variance , Humans
13.
Occup Environ Med ; 59(2): 106-12, 2002 Feb.
Article in English | MEDLINE | ID: mdl-11850553

ABSTRACT

OBJECTIVES: To compare respiratory symptoms and upper airway inflammation in domestic waste collectors and controls, and to find the association between measures of upper airway inflammation on the one hand and exposure concentrations of organic dust or respiratory symptoms on the other hand. METHODS: In a cross sectional study among 47 waste collectors and 15 controls, questionnaire data on respiratory symptoms were collected. Nasal lavage (NAL), to assess upper airway inflammation, was performed before and after a work shift at the beginning and at the end of the working week. In NAL fluid, cells were counted and differentiated and concentrations of interleukin 6 (IL6), IL8, tumour necrosis factor-alpha (TNF alpha), and IL1 beta were measured. In collectors, inhalable dust samples were collected in which bacterial endotoxin and mould beta(1-->3)-glucan were assessed. RESULTS: Prevalence of respiratory symptoms was higher in waste collectors than in controls. Geometric mean exposure concentrations were 0.58 mg/m(3) for dust, 39 EU/m(3) for endotoxin, and 1.3 microg/m(3) for beta(1-->3)-glucan. At the end of the week collectors had higher concentrations of total cells and IL8 in NAL before and after a shift than controls (cells, before 1.9-fold p<0.10, after 3.3-fold p<0.01; IL8, before and after 1.8-fold p<0.05), and after/before work shift ratios of total cells were also higher (2.3-fold p=0.06) in collectors than in controls. Cells in NAL fluid consisted predominantly of neutrophils and epithelial cells, whereas eosinophils and mononuclear cells were rarely found. Exposure to dust and endotoxin was associated with concentrations of IL8 after the shift (p<0.05). Increased concentrations of IL8 (p<0.05) and total cells (p<0.10) after the shift were associated with respiratory symptoms. Concentrations of IL6, TNF alpha, and IL1 beta were not associated with waste collecting, symptoms, or exposure. CONCLUSIONS: Waste collectors show signs of increased upper airway inflammation and respiratory symptoms compared with controls. Exposure to organic dust probably underlies the inflammation mediated by neutrophils that result in respiratory symptoms.


Subject(s)
Dust/adverse effects , Occupational Diseases/etiology , Occupational Exposure/adverse effects , Refuse Disposal/statistics & numerical data , Respiratory Tract Diseases/etiology , Adult , Cross-Sectional Studies , Humans , Interleukin-1/metabolism , Interleukin-6/metabolism , Interleukin-8/metabolism , Male , Nasal Lavage Fluid/chemistry , Netherlands/epidemiology , Respiration Disorders/etiology , Tumor Necrosis Factor-alpha/metabolism , Waste Products/adverse effects
14.
J Expo Anal Environ Epidemiol ; 11(5): 414-21, 2001.
Article in English | MEDLINE | ID: mdl-11687915

ABSTRACT

Hygiene surveys of pollutants exposure data can be analyzed by analysis of variance (ANOVA) model with a random worker effect. Typically, workers are classified into homogeneous exposure groups, so it is very common to obtain a zero or negative ANOVA estimate of the between-worker variance (sigma2B). Negative estimates are not sensible and also pose problems for estimating the probability (theta) that in a job group, a randomly selected worker's mean exposure exceeds the occupational exposure standard. Therefore, it was suggested by Rappaport et al. to replace a non-positive estimate with an approximate one-sided 60% upper confidence bound. This article develops an alternative estimator, based on the upper tolerance interval suggested by Wang and Iyer. We compared the performance of the two methods using real data and simulations with respect to estimating both the between-worker variance and the probability of overexposure in balanced designs. We found that the method of Rappaport et al. has three main disadvantages: (i) the estimated sigma2B remains negative for some data sets; (ii) the estimator performs poorly in estimating sigma2B and theta with two repeated measures per worker and when true sigma2B is quite small, which are quite common situations when studying exposure; (iii) the estimator can be extremely sensitive to small changes in the data. Our alternative estimator offers a solution to these problems.


Subject(s)
Environmental Pollutants/analysis , Models, Theoretical , Occupational Exposure/statistics & numerical data , Bias , Humans
15.
Spine (Phila Pa 1976) ; 26(15): 1680-8, 2001 Aug 01.
Article in English | MEDLINE | ID: mdl-11474355

ABSTRACT

STUDY DESIGN: Maximal and submaximal (feigned) cervical motions in healthy patients were compared. OBJECTIVE: To test the efficiency of the coefficient of variation in differentiating maximal (sincere) from submaximal (feigned) cervical motion in healthy patients. SUMMARY OF BACKGROUND DATA: Although limitation of cervical motion is a recognized impairment, no well-founded approach for verifying the degree to which a patient is maximizing his or her performance is available currently. METHODS: A new ultrasound-based system for three-dimensional motion analysis of the head was used to test 25 healthy patients (22 women and 3 men) ages 26 to 48 years. During the first test, (Test 1), the patients were asked initially to move the head maximally at a self-determined velocity in all the primary directions: flexion, extension, right and left rotation, and right and left lateral flexion. They then were presented with a short vignette describing a fictitious accident and asked, using the same protocol, to perform the same types of cervical motions as if they had experienced an injury. No further instructions were provided. A retest (Test 2) in reverse order (feigned effort first) took place 1 to 16 weeks (mean, 3.3 weeks) later. RESULTS: The range of motion and average velocity were significantly smaller (P = 0.0001) in the feigned than in the maximal performance in all directions and on both tests. Feigned range of motion and velocity also were significantly reduced in Test 2 (P = 0.006), as compared with those in Test 1 (P = 0.0001). The range of motion coefficient of variation in the feigned performance (CVf) remained stable on the retest, but was significantly larger on both tests (P < 0.001) than the corresponding CV derived from maximal performance (CVm). Furthermore, a case-by-case analysis showed that whereas the American Medical Association guidelines identified only 16% of the feigned cases, the use of CVf and CVm resulted in a corresponding rate of 87%. Tolerance intervals at 95% and 99% indicated total separation between the distributions of CVf and CVm, respectively. The average velocity-based CVf and CVm were not of a comparable differentiating power. CONCLUSIONS: This study indicates that in healthy patients, feigned performance may be differentiated from maximal (sincere) performance effectively and reproducibly using the coefficient of variation.


Subject(s)
Neck/physiology , Physical Exertion/physiology , Range of Motion, Articular/physiology , Adult , Electrodiagnosis/instrumentation , Exercise Test/statistics & numerical data , False Positive Reactions , Female , Humans , Male , Middle Aged , Neck/diagnostic imaging , Reproducibility of Results , Ultrasonography
16.
Arch Environ Health ; 55(6): 439-46, 2000.
Article in English | MEDLINE | ID: mdl-11128883

ABSTRACT

The authors used a mixed-effects model on a cohort of 258 randomly chosen workers in 7 fuel-distribution facilities to examine the association between airborne benzene exposure and task and timing factors. During an 8-y period, 692 repeated personal measurements were performed. Filler task, warm month, Tuesday, credit day, and time period (1992-1996) were associated significantly with higher exposures to benzene. The authors controlled for the time period, and task type strongly affected the between-worker variance; therefore, two exposure groups (i.e., fillers and nonfillers) were adequate for purposes of exposure grouping strategy. Timing factors (after controlling for task and period effects) strongly affected the high within-worker variance (> 2 than between-worker variance). Long-term exposure would be better represented if the sample was stratified by warm/nonwarm months and if measurement days were selected randomly.


Subject(s)
Benzene/analysis , Chemical Industry , Environmental Monitoring/methods , Occupational Exposure/prevention & control , Adult , Analysis of Variance , Benzene/adverse effects , Cohort Studies , Fuel Oils , Humans , Israel , Male , Middle Aged , Multivariate Analysis , Occupational Exposure/adverse effects , Occupational Exposure/analysis , Occupational Health , Probability , Risk Factors , Time Factors
17.
Occup Med (Lond) ; 49(1): 11-5, 1999 Jan.
Article in English | MEDLINE | ID: mdl-10451582

ABSTRACT

Workers' right-to-know (WRTK) laws and regulations were established to empower workers to protect their health by providing them with information about the hazards to which they are exposed while at work. The present study was conducted to examine the implementation of WRTK regulations in Israel. We interviewed 552 workers and 33 safety officers from a random sample employed at 50 industrial plants. The workers' questionnaire included items on awareness and self-management of workplace hazards, and the safety officers answered questions about job experience and hazards communications to workers. In 36% of cases workers and their safety officers disagreed about the existence of hazards in the workplace (p < 0.001). Most (78%) of the workers' knowledge about work hazards was based on informal sources, i.e., not those stipulated by the regulations. There were also discrepancies between worker and safety officer reports regarding the provision of safety training upon employment (p < 0.001), recent instructions about special risks and distribution of relevant printed material. We found that more than 5% of workers were unable to read the language in which the hazards material was written and 22% had levels of education below that required to comprehend the technical terms used. There are serious problems in the implementation of WRTK regulations in Israel. We recommend that employers be made aware of the importance of these laws and of their proactive duty to comply with them and that the material distributed to workers be written in simpler terms and/or explained orally in a language they understand. These findings have important implications for all countries with similar legislation and should form the basis for further and more comprehensive studies world-wide.


Subject(s)
Health Education/legislation & jurisprudence , Industry/legislation & jurisprudence , Occupational Health/legislation & jurisprudence , Adolescent , Adult , Aged , Attitude , Female , Humans , Industry/standards , Israel , Male , Middle Aged , Risk Assessment , Safety Management/standards , Surveys and Questionnaires
18.
Ann Occup Hyg ; 41(4): 485-500, 1997 Aug.
Article in English | MEDLINE | ID: mdl-9284649

ABSTRACT

Four hundred and forty personal air measurements were carried out on 54 workers, employed in the main processes in six different factories (6-13 in each). Potential exposure was to lead, benzene and dust. Ten randomly repeated hygiene surveys were carried out over 1 year. In order to estimate the magnitude of the variability in workers' exposure over time, its sources, the variance between workers and the variance within a worker, a nested unbalanced analysis-of-variance model was fitted to the log-transformed data. Of the total exposure variance, the within variance of a worker's exposure over time was 51% (geometrical standard deviation, GSD = 3.1) and the between workers, factories and air contaminants variance was 49%. The exposure variance between all the workers was due mainly to variance between workers within the same factory (67%). Outdoor locations, mobility of the worker and mobility of the sources of exposure result in a positive influence on both the variance between (26%, ANOVA) and the variance of a worker over time (39%, regression). These variables are therefore important in the sampling strategy of workers' exposure. For valid compliance testing and assessment of workers' exposure the mean and the within- and between-variance of the workers' exposure over time should be considered. The exposure should be measured several times a year randomly in order to prevent workers misclassification. To assess yearly exposure, a GSD = 3.1 can be used to calculate confidence limits for the arithmetic mean of worker's exposure measurements, in circumstances similar to those in this study.


Subject(s)
Air Pollution/analysis , Environmental Monitoring/statistics & numerical data , Occupational Exposure/statistics & numerical data , Analysis of Variance , Breath Tests , Cohort Studies , Environmental Monitoring/methods , Humans , Israel , Longitudinal Studies , Models, Statistical , Normal Distribution , Occupational Exposure/analysis , Prospective Studies , Random Allocation , Time Factors
19.
Occup Med (Lond) ; 45(4): 193-8, 1995 Aug.
Article in English | MEDLINE | ID: mdl-7662933

ABSTRACT

In order to define priorities for improvement of the Occupational Hygiene Service, Institute for Occupational Health, Tel Aviv University, consumer satisfaction was evaluated by postal questionnaire. The questionnaire covered items on service accessibility and quality, including staff courtesy and respect for the consumer, cost, satisfaction with the service in general over time, and satisfaction with the last service received, and was sent to all 144 regular clients of the institute during the years 1990 and 1991. Satisfaction items were rated from 1 (not at all satisfied) to 5 (completely satisfied). Multivariant analysis showed that: (i) satisfaction with the waiting period for the last service report and satisfaction with the courtesy of the last service and respect for the consumer had the strongest influence on general satisfaction with the service over time; (ii) satisfaction with the waiting period for the last service report was also the most important component in satisfaction with the last service received. Despite the increasing interest in Israel in health service costs, and because the price of the service is subsidized (50%), this item was not found to be significant with regard to satisfaction with the service. In conclusion, we recommend the use of this relatively easy and inexpensive methodology which allowed us to define precisely the key factor for service improvement, ie the waiting period for the service report.


Subject(s)
Consumer Behavior , Occupational Health , Health Expenditures , Health Services Accessibility , Humans , Israel , Surveys and Questionnaires
20.
Public Health Rev ; 23(1): 59-71, 1995.
Article in English | MEDLINE | ID: mdl-7761609

ABSTRACT

The passing of regulations requiring periodic occupational hygiene monitoring surveys is one way of controlling workers' exposure to hazardous materials. The results of this study showed that this control is ineffective. The source of data was Occupational Hygiene Survey (OHS) records which were archived in the Institute for Occupational Health, Tel Aviv University and related only to workplaces that requested an OHS. The mean frequency of surveys carried out in the workplaces studied was significantly lower than the required one. Although the main factors required to ensure effective implementation of the regulations exist in Israel, i.e., monitoring services and enforcement authorities, excursions above permitted levels (overexposure) are still widely occurring. From all the measurements made over the study period (1989-1991) the ranges of overexposure were 31-75% for silica, 26-32% for talc, and 19-41% for lead. The results of the study highlighted the need to strengthen the authority of the bodies involved in occupational hygiene by increasing intervention. This could be achieved by enlarging the capabilities of the enforcement authorities by giving authority to occupational health physicians and to the organization carrying out the survey.


Subject(s)
Environmental Monitoring/standards , Occupational Exposure/prevention & control , Occupational Health/legislation & jurisprudence , Hazardous Waste , Israel , Program Evaluation
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