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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
61

Osteomielite por bacilos Gram-negativos: estudo comparativo das características clínico-microbiológicas e fatores de risco com as infecções por Staphylococcus aureus / Gram-negative bacilli osteomyelitis: comparative study of clinical-microbiological features and risk factors with Staphylococcus aureus infections

Vladimir Cordeiro de Carvalho 18 June 2013 (has links)
INTRODUÇÃO: As infecções osteoarticulares permanecem como um grande desafio para os profissionais de saúde envolvidos no seu manejo, a despeito do sucesso obtido com a introdução dos antimicrobianos para o tratamento das doenças infectocontagiosas no final da década de 1930. O Staphylococcus aureus (S. aureus) é o agente mais frequentemente encontrado nestas infecções e também é o agente mais estudado, porém possuímos poucas informações disponíveis na literatura médica a respeito das osteomielites por bacilos Gram-negativos (BGN). OBJETIVOS: A caracterização clínica e microbiológica dos episódios de osteomielite causadas por bacilos Gram-negativos. A determinação das diferenças evolutivas e dos fatores de risco para a ocorrência de osteomielite por bacilos Gram-negativos, quando comparadas à osteomielite causada por S. aureus. MÉTODOS: Análise retrospectiva dos casos de osteomielite causadas por bacilos Gram-negativos atendidos no Instituto de Ortopedia e Traumatologia do Hospital das Clínicas da Faculdade de Medicina da Universidade de São Paulo no período de janeiro de 2007 a janeiro de 2009. Apenas amostras de osso ou aspirado de canal medular foram consideradas válidas. RESULTADOS: Foram incluídos 89 pacientes no grupo S. aureus e 101 pacientes no grupo BGN. Os pacientes do grupo BGN eram predominantemente do sexo masculino (63%), com mediana de 42 anos de idade. Apresentaram-se com osteomielite crônica (43%) e osteomielite aguda associada à fratura exposta (32%), nos membros inferiores (71%), cuja principal sintomatologia inicial foi a fistulização (69%). Quando comparado ao grupo S. aureus, o grupo BGN estava estatisticamente associado com o antecedente de fratura exposta (35% vs. 18%; p=0,0064), apresentando ainda um maior tempo de internação hospitalar (mediana 41 vs. 24 dias; p=0,0114), maior tempo para a obtenção da primeira cultura positiva (mediana 10 vs. 6,5 dias; p=0,0042), antibioticoterapia mais prolongada (mediana 40 vs. 24 dias; p=0,0329), maior número de procedimentos cirúrgicos (média 3,41 vs. 2,47; p=0,0173) e maior uso de reparo do revestimento cutâneo (31% vs. 9%; p=0,0005). O grupo S. aureus estava estatisticamente associado com as osteomielites da coluna vertebral (23,6% vs. 6,9%; p=0,0008). Foram isolados 121 agentes Gram-negativos de 101 amostras clínicas e os agentes mais frequentes foram Enterobacter spp. (24,7%), Acinetobacter baumannii (21,4%), Pseudomonas aeruginosa (19,8%) e Klebsiella pneumoniae (8,2%). CONCLUSÕES: Os 101 pacientes portadores de osteomielite por BGN eram na sua maioria jovens, do sexo masculino, vítimas de traumas nos membros inferiores e que desenvolveram osteomielite aguda e crônica associadas a fraturas expostas. Os pacientes do grupo BGN necessitaram de um número maior de procedimentos cirúrgicos, maior uso de reparo do revestimento cutâneo, permaneceram internados por mais tempo, necessitaram de um número de dias maior para o isolamento do agente infeccioso e utilizaram antibioticoterapia mais prolongada, quando comparados aos pacientes do grupo S. aureus. O antecedente de fratura exposta foi o principal fator de risco para o desenvolvimento de osteomielite por um BGN, quando comparado ao grupo S. aureus / INTRODUCTION: Bone and joint infection remains a serious therapeutic challenge, despite the high success rate observed with antibiotic therapy in most bacterial disease since the end of 1930 decade. Staphylococcus aureus (S. aureus) is the most studied and the most frequently isolated pathogen, but there is insufficient information in medical literature regarding Gram- negative bacilli (GNB) osteomyelitis. OBJECTIVES: Describe clinical and microbiological characteristics of Gram-negative bacilli osteomyelitis. Establish evolving differences and risk factors for the occurrence of GNB osteomyelitis, compared to S. aureus osteomyelitis. METHODS: Retrospective analysis of all patients with GNB osteomyelitis treated at Institute of Orthopedics and Traumatology, Hospital das Clínicas - School of Medicine, Universidade de São Paulo from january 2007 to january 2009. Only bone or bone marrow aspirate samples were included. RESULTS: 89 patients were included in S. aureus group and 101 patients were included in GNB group. Patients in GNB group were mostly male (63%), with median age of 42 years. At presentation, they had chronic osteomyelitis (43%) and acute open-fracture associated osteomyelitis (32%), in the lower limbs (71%), with a discharging sinus as the main clinical sign (69%). When compared to S. aureus group, GNB group was statistically associated with a previous history of open-fracture (35% vs. 18%; p=0.0064), showed a longer length of hospital stay (median 41 vs. 24 days; p=0.0114), a higher number of days to isolate the infective bacteria (median 10 vs. 6,5 days; p=0.0042), a longer use of antibiotics (median 40 vs. 24 days; p=0.0329), a higher number of surgical procedures (mean 3,41 vs. 2,47; p=0.0173) and a higher rate of soft- tissue reconstruction (31% vs. 9%; p=0.0005). S. aureus group was statistically associated with spine osteomyelitis (23,6% vs. 6.9%; p=0.0008). 121 Gram-negative pathogens were isolated from 101 clinical samples and the most frequent agents were Enterobacter spp. (24.7%), Acinetobacter baumannii (21.4%), Pseudomonas aeruginosa (19.8%) and Klebsiella pneumoniae (8.2%). CONCLUSIONS: Patients with GNB osteomyelitis were mainly young, male, with lower limb trauma and developed chronic and open- fracture associated osteomyelitis. Patients in GNB group had a higher number of surgical procedures, a higher rate of soft-tissue reconstruction, a longer length of hospitalization, a longer time to isolate the infective bacteria and a prolonged use of antibiotics, when compared to patients in S. aureus group. A previous history of open-fracture was the main risk factor to development of GNB osteomyelitis, compared to S. aureus group
62

"Leucocitose e monocitose são marcadores de risco para doença arterial coronária" / Increased leukocyte and monocyte counts as markers for coronary artery disease (CAD)

Abrahão Afiune Neto 19 January 2005 (has links)
Foram selecionados 231 indivíduos, no período de abril de 1997 a janeiro de 1998, divididos em dois grupos controle com 88 indivíduos e 143 pacientes com doença arterial coronária. Os pacientes foram subdivididos em dois grupos: 59 com angina estável e 84 com IAM. Foram analisadas as características clínicas, fatores de risco, pressão arterial sistólica e diastólica, perfil lipídico, glicemia, tabagismo, apoliproteína Al, apoliproteína B, lipoproteína (a), fibrinogênio, ácido úrico e hemograma completo. Análise multivariada mostrou que a idade, o HDL-colesterol, leucócitos e monócitos foram fatores de risco independentes para doença arterial coronária. / Between april 1997 and january 1998, 231 patients were selected and divided into two groups: control group with 88 patients and 143 patients with coronary artery disease. The latter group was then divided into two subgroups: 59 patients with stable angina and 84 patients with AMI. Clinical characteristics, risk factors, systolic and diastolic blood pressure, lipid profile, glycemia, smoking, apoliprotein Al, apoliprotein B, lipoprotein(a), fibrinogen, uric acid and total blood cell count were analyzed. Multivariate analysis showed age, HDL-cholesterol, leukocytes and monocytes as independent risk factors for coronay heart disease.
63

Impact of State Legislation in Tennessee on Opioid Prescribing Practices of Orthopedic Surgeons

Guidry, Corey, Dema, Blerim, Allen, Corinne, Stewart, David 01 March 2022 (has links)
OBJECTIVE: Post-operative patients are at increased risk of becoming chronic users of opioids, and overprescribing can lead to abuse and diversion. Though data have shown a decrease in opioid prescriptions nationally, limited studies have specifically evaluated the influence of state legislation on this trend. This study aimed to assess the impact of legislation in the state of Tennessee on opioid prescribing amongst orthopedic surgeons. DESIGN: This retrospective cohort analysis evaluated patients who received opioids post-orthopedic surgery before and after the state legislation was passed. SETTING: A community teaching hospital. PATIENTS AND PARTICIPANTS: Two hundred and three post-orthopedic surgery patients were included, with 101 in the preleg-islation and 102 in the post-legislation groups. INTERVENTIONS: State legislation in Tennessee limiting amounts of prescribed opioids went into effect in July 2018. MAIN OUTCOME MEASURE(S): The primary outcome was total morphine milligram equivalents (MMEs) prescribed, with secondary outcomes of days' supply, dosage units, and MME per day. RESULTS: Orthopedic surgery patients in the post-legislation arm were prescribed significantly fewer MME than those in the prelegislation arm (median MME 375 vs. 562.5; p < 0.001). Prescription days' supply, number of dosage units, and MME per day were also significant lower in the post-legislation group. CONCLUSIONS: After orthopedic surgery, patients in the post-legislation arm were prescribed a median 187.5 MME less than those in the prelegislation arm. Our findings suggest that state opioid legislation is associated with a reduction in the amount of opioids prescribed in certain orthopedic surgery patients, though further studies evaluating adequacy of pain control are warranted.
64

The combined influence of distance and neighbourhood deprivation on Emergency Department attendance in a large English population: a retrospective database study

Rudge, G.M., Mohammed, Mohammed A., Fillingham, S.C., Girling, A.J., Sidhu, K., Stevens, A.J. January 2013 (has links)
Yes / The frequency of visits to Emergency Departments (ED) varies greatly between populations. This may reflect variation in patient behaviour, need, accessibility, and service configuration as well as the complex interactions between these factors. This study investigates the relationship between distance, socio-economic deprivation, and proximity to an alternative care setting (a Minor Injuries Unit (MIU)), with particular attention to the interaction between distance and deprivation. It is set in a population of approximately 5.4 million living in central England, which is highly heterogeneous in terms of ethnicity, socio-economics, and distance to hospital. The study data set captured 1,413,363 ED visits made by residents of the region to National Health Service (NHS) hospitals during the financial year 2007/8. Our units of analysis were small units of census geography having an average population of 1,545. Separate regression models were made for children and adults. For each additional kilometre of distance from a hospital, predicted child attendances fell by 2.2% (1.7%-2.6% p<0.001) and predicted adult attendances fell by 1.5% (1.2% -1.8%, p<0.001). Compared to the least deprived quintile, attendances in the most deprived quintile more than doubled for children (incident rate ratio (IRR) = 2.19, (1.90-2.54, p<0.001)) and adults (IRR 2.26, (2.01-2.55, p<0.001)). Proximity of an MIU was significant and both adult and child attendances were greater in populations who lived further away from them, suggesting that MIUs may reduce ED demand. The interaction between distance and deprivation was significant. Attendance in deprived neighbourhoods reduces with distance to a greater degree than in less deprived ones for both adults and children. In conclusion, ED use is related to both deprivation and distance, but the effect of distance is modified by deprivation.
65

Impact of type of drug insurance on adherence, persistence and costs of antidepressant drugs : a Quebec population-based study

Assayag, Jonathan 01 1900 (has links)
Contexte: À date, il existe peu de données sur l’adhésion, la persistance et les coûts associés aux antidépresseurs selon le type d’assurance médicament (privé ou public). Objectif: Comparer selon le régime d’assurance médicament (privé ou public), l'adhésion, la persistance et les coûts des antidépresseurs. Méthodes de recherche: Une étude de cohorte appariée a été réalisée en utilisant des bases de données du Québec. Sujets: Nous avons sélectionné 194 patients assurés par un régime privé et 1923 patients assurés par le régime public de la Régie de l’assurance maladie du Québec (RAMQ) (18-64 ans) qui ont rempli au moins une ordonnance pour un antidépresseur entre décembre 2007 et septembre 2009. Mesures: L’adhésion, mesurée sur une période d’un an, a été estimée en utilisant le proportion of prescribed days covered (PPDC). Un modèle de régression linéaire a été utilisé afin d’estimer la différence moyenne en PPDC entre les patients assurés par un régime privé et ceux assurés par le régime public de la RAMQ. La persistance a été comparé entre ces deux groupes avec un modèle de régression de survie Cox, et le coût mensuel d'antidépresseurs ($ CAN) a été comparé entre ces deux groupes en utilisant un modèle de régression linéaire. Résultats: Le PPDC parmi les patients assurés par un régime privé était de 86,4% (intervalle de confiance (IC) 95%: 83,3%-89,5%) versus 81,3% (IC 95%: 80,1%-82,5%) pour les patients assurés par le régime public de la RAMQ, pour une différence moyenne ajustée de 6,7% (IC 95%: 3,0%-10,4%). La persistance après un an parmi les patients assurés par un régime privé était de 49,5% versus 18,9% pour les patients assurés par le régime public de la RAMQ (p <0,001), et le rapport de risque ajusté était de 0,48 (IC 95%: 0,30-0,76). Comparativement aux patients assurés par le régime public de la RAMQ, les patients ayant une assurance privée ont payé 14,94 $ CAD (95% CI: $12,30-$17,58) de plus par mois en moyenne pour leurs antidépresseurs. Conclusion: Les patients assurés par un régime privé avaient une meilleure adhésion, persistance, mais avaient aussi un plus haut coût pour leurs antidépresseurs que ceux assurés par le régime public de la RAMQ. Cette différence de coûts peut être due aux différentes exigences de paiement en pharmacie entre les deux régimes ainsi qu’aux limites des honoraires des pharmaciens imposés par le régime public. / Background: The influence of the type of drug insurance on adherence, persistence and cost of antidepressants is not well known. Objective: To compare adherence, persistence and cost of antidepressants in patients with private and public drug insurance. Research Design: A matched cohort study was conducted using prescription claims databases from Quebec, Canada. Subjects: 194 privately and 1923 publicly insured patients (18-64 years) who filled at least one prescription for an antidepressant between December 2007 and September 2009. Measures: Adherence over one year was estimated using the proportion of prescribed days covered (PPDC). The difference in mean PPDC between patients with private and public drug insurance was estimated with a linear regression model. Persistence was compared between the groups with a Cox regression model, and the monthly cost of antidepressants (CAD$) was compared between the two groups using linear regression. Results: The PPDC was 86.4% (95% CI: 83.3-89.5) in patients with private and 81.3% (95%CI: 80.1-82.5) in patients with public drug insurance and the adjusted mean difference was 6.7% (95% CI: 3.0-10.4). Persistence was 49.5% in patients with private and 18.9% in patients with public drug insurance at one year (p<0.001), and the adjusted hazard ratio was 0.48 (95%CI: 0.30-0.76). Patients privately insured paid 14.94$ CAD (95% CI: 12.30; 17.58) more per month on average for their antidepressants. Conclusion: Better adherence and persistence and higher costs were observed in privately insured patients. Cost difference might be due to different pharmacy payment requirements and pharmacists’ honorary restrictions under the public plan.
66

"Valor prognóstico e preditivo da expressão imunoistoquímica de timidilato sintase em pacientes portadores de adenocarcinoma colorretal" / Prognostic and predictive value of the immunohistochemical expression of thymidylate synthase in patients with colorectal carcinoma

Aguiar Junior, Samuel 02 April 2004 (has links)
O objetivo do estudo foi estudar a expressão de timidilato sintase (TS) como fator preditivo para eficácia de quimioterapia adjuvante com 5-fluorouracil (5-FU) e como fator prognóstico para sobrevida em pacientes portadores de câncer colorretal. Trata-se de estudo retrospectivo em uma série de 114 pacientes com carcinoma colorretal estádios II ou III, distribuídos em dois grupos: 1)cirurgia exclusiva (n=61); 2)cirurgia seguida de quimioterapia com 5-FU (n=53). A expressão de TS foi determinada por imunoistoquímica. Observou-se que a expressão intratumoral de TS foi capaz de selecionar pacientes que se beneficiaram com emprego de quimioterapia adjuvante, mas não se mostrou como variável independente para risco de recidiva ou óbito / The purpose of this study was trying to assess the value of TS expression as a predictive factor in the efficacy of adjuvant chemotherapy in colorectal cancer, as well as its independent prognostic value for survival. It deals with a retrospective study that assesses a series of 114 individuals with high risk colorectal cancer, distributed into two different groups: 1)surgery alone (n=61); 2)surgery and 5-FU-based chemotherapy (n=53). TS expression was determined by immunohistochemistry. We observed that TS expression may select patients that benefit from adjuvant chemotherapy, but it was not shown as an independent variable for the risk of recurrence or death
67

Avaliação dos critérios de invasão do seio cavernoso nas imagens de ressonância magnética de adenomas hipofisários: utilização da regressão logística na análise estatística e correlação dos exames com os achados cirúrgicos / Evaluation of cavernous sinus invasion criteria in Magnetic Resonance Imaging (MRI) of pituitary adenomas: utilization of the logistic regression in the statistical analysis and correlation of the images with the surgical findings

Vieira Junior, Joaquim Oliveira 16 December 2004 (has links)
O objetivo do autor neste trabalho foi definir critérios pré-operatórios de invasão do seio cavernoso em imagens de Ressonância Magnética (RM) de pacientes com adenomas hipofisários. Neste estudo retrospectivo, foram revisadas as imagens de RM de 103 pacientes com adenomas hipofisários tratados cirurgicamente (48 com invasão do seio cavernoso) e compararam 8 sinais de imagem com os achados cirúrgicos (critério de referência para invasão). A análise estatística foi realizada utilizando o teste de qui-quadrado (X2), e a sensibilidade, especificidade, valor preditivo positivo(VPP) e valor preditivo negativo (VPN) foram obtidos para cada grupo de sinais. Também foram calculados, por regressão logística, os valores de \"odds ratio\" dos critérios mais significativos, e realizada a regressão logística múltipla para análise conjunta desses critérios. O seio cavernoso não estava invadido com certeza quando: a glândula hipofisária normal estava interposta entre ele e o adenoma (VPP, 100%); o compartimento venoso medial foi visibilizado (VPP, 100%); a porcentagem de envolvimento carotídeo pelo tumor foi menor que 25% (VPN, 100%) e o tumor não cruzava a linha intercarotídea medial (VPN, 100%). A invasão do seio cavernoso era certa (VPP, 100%) se: a porcentagem de envolvimento carotídeo era igual ou maior que 45%; 3 ou mais compartimentos venosos não eram visibilizados e o compartimento venoso lateral não era visibilizado. A presença de invasão era altamente sugestiva quando: o compartimento venoso inferior não era visibilizado (VPP, 92,8%); o tumor cruzava a linha intercarotídea lateral (VPP, 96,1%) e quando a parede dural lateral do seio cavernoso estava abaulada (VPP, 92,3%). Na análise conjunta, o critério com maior significância estatística para invasão foi o envolvimento carotídeo pelo adenoma > 30% / The author\'s objective in this study was to define preoperative MRI criteria of cavernous sinus invasion by pituitary adenoma. In this retrospective study, the authors reviewed the MR images of 103 patients with pituitary adenomas treated surgically (48 with cavernous sinus invasion) and compared 8 groups of MR imaging signs with the surgical findings (the standard of reference criterion for invasion). Statistical analysis was performed using a qui-square test (X2), and the sensitivity, specificity, positive predictive value (PPV) and negative predictive value (NPV) were obtained for each group of signs. The odds ratio of the most significant criteria was also obtained and the multiple logistic regression test was used to evaluate the criteria all together. The cavernous sinus was definitely not invaded when: normal pituitary gland was interposed between the adenoma and it (PPV, 100%); the medial venous compartment was depicted (PPV, 100%); the percentage of encasement of the intracavernous internal carotid artery (ICA) was lower than 25% (NPV, 100%) and the medial intercarotid line was not crossed (NPV, 100%). Invasion of the cavernous sinus was certain (PPV, 100%) if: the percentage of encasement of the intracavernous ICA was 45% or greater and three or more venous compartment or the lateral venous compartment was not depicted. It was highly probable invaded if: the inferior venous compartment was not depicted (PPV, 92,8%); the lateral intercarotid line was crossed (PPV, 96,1%) and the lateral dural wall of the cavernous sinus was bulged (PPV, 92,3%). The most valuable criterion of cavernous sinus invasion by statistical analysis was the percentage of encasement of intracavernous ICA >30%.
68

Gastrosquise: avaliação do padrão de crescimento fetal e predição de baixo peso no nascimento / Fetal gastroschisis: evaluation of pattern and prediction of low birth weight

Centofanti, Sandra Frankfurt 08 October 2014 (has links)
INTRODUÇÃO: Gastrosquise é uma malformação da parede abdominal do feto e uma das principais complicações relacionadas à restrição de crescimento fetal. Objetivo principal: avaliar o padrão de crescimento de fetos com gastrosquise para cada parâmetro biométrico. Objetivo secundário: avaliar o déficit de crescimento em três períodos gestacionais e predizer recém-nascidos pequenos para idade gestacional a partir de medidas de parâmetros biométricos abaixo do percentil 10. MÉTODOS: Este é um estudo do tipo coorte retrospectivo. Foram selecionados 70 casos para avaliação do padrão de crescimento. As medidas de cada parâmetro biométrico: circunferência cefálica, circunferência abdominal, comprimento femoral, razão circunferência cefálica/circunferência abdominal e peso fetal estimado foram plotadas em um gráfico de dispersão para comparação com a curva de referência. A diferença porcentual entre as médias das medidas dos fetos com gastrosquise em relação aos normais foi determinada. Para a avaliação do déficit de crescimento foram incluídos 59 casos, com ao menos um exame em cada período gestacional (I:20 a 25 semanas e 6 dias; II:26 a 31 semanas e 6 dias; III: 32 semanas até o parto). O déficit de cada parâmetro biométrico foi obtido a partir da comparação entre os períodos gestacionais. Para a predição de recém-nascido pequeno para idade gestacional foram utilizadas as medidas abaixo do percentil 10 de cada parâmetro biométrico nos períodos I e II. RESULTADOS: Na avaliação do padrão de crescimento, observa-se diferença significativa entre os fetos com gastrosquise e fetos normais a partir de 20 semanas de gestação (p<0,005). Na avaliação do déficit de crescimento, apenas peso fetal estimado apresentou diferença significativa (p=0,030). O porcentual de fetos com peso fetal estimado abaixo do percentil 10 no período 2 foi 40% maior do que no período 1, e 93% maior no período 3 do que no 1. Na predição de recémnascidos pequeno para idade gestacional, apenas a circunferência cefálica (razão chance= 6.07; sensibilidade= 70.8%; especificidade= 71.4%) e a circunferência abdominal (razão chance=0,558; sensibilidade= 41,7%; especificidade= 80%) no período II, foram consideradas. CONCLUSÃO: Fetos com gastrosquise apresentam medidas dos parâmetros biométricos significativamente menores do que as de fetos normais, a partir de 20 semanas de gestação. Na avaliação do déficit de crescimento, observa-se maior incidência de restrição de crescimento fetal nos períodos II e III em comparação ao período I. É possível predizer recém-nascidos com baixo peso ao nascimento, a partir de medidas de circunferência cefálica e circunferência abdominal, abaixo do percentil 10 no período II / INTRODUCTION: Gastroschisis is a congenital abdominal wall defect of the fetus and one of its main complications is related to fetal growth restriction. OBJECTIVES: Primary: To evaluate the growth pattern of fetuses with gastroschisis according to each biometric parameter; Secondary: to evaluate growth deficit in three gestational periods and to predict low birth weight from measures of biometric parameters below the 10th percentile. METHODS: This is a retrospective cohort study. We selected 70 cases for evaluation of the growth pattern. The measurements of each biometric parameter: head circumference, abdominal circumference, femur length, head circumference/abdominal circumference ratio and estimated fetal weight were plotted in a growth chart for comparison with the curve of normality. The percentage difference between the mean values of the fetuses with gastroschisis in relation to normal fetuses was then determined. For the evaluation of growth deficit 59 cases with at least one exam in each gestational period (I: 20 to 25 weeks and 6 days; II: 26 to 31 weeks and 6 days; III: 32 weeks until delivery) were included. The deficit of each biometric parameter was obtained from the comparison between these gestational periods. For the prediction of low birth weight, the measures below the 10th percentile of each biometric parameter in periods I and II were tested. RESULTS: In the evaluation of the growth pattern a significant difference between the fetuses with gastroschisis and normal fetuses from 20 weeks of gestation (p < 0.005) is observed. In the evaluation of growth deficit only estimated fetal weight showed a significant difference (p= 0.030). The percentage of fetuses with estimated fetal weight values below 10 percentile in period 2 was 40% higher than that in period I, and 93% higher in period III than in I. In the prediction of low birth weight, only head circunference (odds ratio= 6.07; sensitivity= 70.8 %; specificity = 71.4 %) and abdominal circunference (odds ratio= 0.558; sensitivity = 41.7 %; specificity = 80 %) in period II were predictive. CONCLUSION: Fetuses with gastroschisis show biometric parameters measures significantly smaller than the measures of normal fetuses with 20 weeks of gestation and/or more. In the evaluation of growth deficit, there is a higher incidence of fetal growth restriction in periods II and III. It is possible to predict newborns with low birth weight from measures of head circunfernce and abdominal circunference below the 10th percentile in period II
69

Avaliação urodinâmica em pacientes com sintomas do trato urinário inferior e volume prostático menor que 40 centímetros cúbicos / Urodynamic evaluation of patients with lower urinary tract symptoms and prostate volumes less than 40cc

Araujo, Rogério Matos 26 March 2004 (has links)
INTRODUÇÃO - As manifestações clínicas da hiperplasia prostática benigna envolvem a interação entre três fatores: sintomas miccionais, aumento do volume prostático e obstrução infravesical. A relação entre estes fatores é complexa e parcialmente entendida. O objetivo do presente estudo foi avaliar os achados urodinâmicos de pacientes com sintomas do trato urinário inferior e volume prostático menor que 40cm3, com ênfase nos parâmetros obstrução infravesical, hiperatividade detrusora e contratilidade detrusora. CASUÍSTICA E MÉTODOS - Os prontuários e exames urodinâmicos de 33 pacientes foram analisados retrospectivamente. A média de idade dos pacientes foi de 60,3 ± 9,3 anos, variando de 40 a 78 anos. Os sintomas do trato urinário inferior foram avaliados com o escore internacional de sintomas prostáticos (IPSS). O volume prostático e os seguintes parâmetros urodinâmicos foram analisados: fluxo máximo, capacidade cistométrica máxima, complacência, presença de hiperatividade detrusora, fluxo máximo no estudo fluxo/pressão, pressão detrusora no fluxo máximo, contratilidade detrusora e resíduo miccional. Analisou-se, também, o impacto da obstrução infravesical, hiperatividade detrusora e volume prostático nos sintomas miccionais e parâmetros urodinâmicos. RESULTADOS - As médias do volume prostático e IPSS foram 26,5 ± 6,9cm3 e 16,8 ± 5,0, respectivamente. Anormalidades urodinâmicas foram encontradas em 30 (90,9%) pacientes, sendo obstrução infravesical e hiperatividade detrusora os achados mais freqüentes, cada qual acometendo 16 (48,5%) pacientes. A prevalência da hiperatividade detrusora foi de 50,0% entre os pacientes obstruídos e de 47,0% nos pacientes sem obstrução infravesical (p = 0,99). Hipocontratilidade detrusora foi observada em 18,8% dos obstruídos e 64,7% dos pacientes sem obstrução (p = 0,013). O índice de contratilidade detrusora foi de 111,7 ± 20,8 nos pacientes obstruídos e de 92,9 ± 17,3 nos pacientes sem obstrução (p = 0,008). Nos pacientes com e sem hiperatividade detrusora, encontrou-se diferença estatisticamente significativa na complacência vesical, que foi de 15,4 ± 9,6ml/cmH2O nos pacientes com hiperatividade detrusora e de 28,8 ± 10,8ml/cmH2O nos pacientes sem hiperatividade detrusora (p = 0,007). CONCLUSÕES - O estudo urodinâmico identifica anormalidades vesicais na maioria dos pacientes com sintomas do trato urinário inferior e volume prostático menor que 40cm3. Embora a obstrução infravesical seja um achado comum, mais da metade dos pacientes tiveram outras alterações vesicais responsáveis pelos seus sintomas, principalmente hiperatividade detrusora e diminuição da contratilidade detrusora, reforçando o valor dos exames urodinâmicos nesta população. / INTRODUCTION - The clinical manifestations of benign prostatic hyperplasia involve the correlation of three elements: voiding symptoms, prostate enlargement and bladder outlet obstruction. The interaction between these factors is complex and incompletely understood. The objective of this study was to evaluate the urodynamic findings in patients with lower urinary tract symptoms and prostate volumes less than 40cc, focusing on the parameters bladder outlet obstruction, detrusor overactivity and detrusor hypocontractility. PATIENTS AND METHODS - The records and urodynamic studies of 33 patients with lower urinary tract symptoms and prostate volumes less than 40cc were reviewed. Average age of the patients was 60.3 ± 9.3 years (range 40 to 78 years). Lower urinary tract symptoms were evaluated with the International Prostate Symptom Score (IPSS). Prostate volume and the following urodynamic parameters were analyzed: maximum flow rate, maximum cystometric capacity, compliance, presence of detrusor overactivity, maximum flow rate during pressure/flow studies, detrusor pressure at maximum flow rate, detrusor contractility e post void residual volume. We also evaluated the impact of bladder outlet obstruction, detrusor overactivity and prostate volume on the voiding symptoms and urodynamic parameters. RESULTS -Mean prostate volume and IPSS were 26.5 ± 6.9 cc and 16.8 ± 5.0, respectively. Urodynamic abnormalities were found in 30 (90.9%) patients, with a preponderance of bladder outlet obstruction and detrusor overactivity, each affecting 16 (48.5%) patients. The prevalence of detrusor overactivity was 50.0% in the obstructed patients and 47.0% in patients without bladder outlet obstruction (p = 0.99). Detrusor hypocontractility was present in 18.8% of the obstructed patients and 64.7% of the non-obstructed patients (p = 0.013). The detrusor contractility index was 111.7 ± 20.8 in the obstructed patients and 92.9 ± 17.3 in those without bladder outlet obstruction (p = 0.008). In the patients with and without detrusor overactivity there was a statistically significant difference in bladder compliance, which was 15.4 ± 9.6 ml/cmH2O in the patients with detrusor overactivity and 28.8 ± 10.8 ml/cmH2O in those without detrusor overactivity (p = 0.007). CONCLUSIONS - Urodynamic studies identify bladder abnormalities in most patients with lower urinary tract symptoms and prostate volumes less than 40cc. Although bladder outlet obstruction is a common diagnosis, more than half of the patients had other types of bladder dysfunction as the basis for their voiding symptoms, predominantly detrusor overactivity and decreased detrusor contractility, emphasizing the value of urodynamic studies in this population.
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Análise e comparação da expressão imunoistoquímica de marcadores moleculares (ERCC1, Bcl-2, Lin28a e Ki67) potencialmente preditores de resposta à quimioterapia em carcinomas neuroendócrinos extra-pulmonares e carcinoma de pequenas células de pulmão / Evaluation of biomarkers (ERCC1, BCL-2, Lin28a e Ki67) potencially predictive of response and prognosis in patients with high-grade extrapulmonary neuroendocrine carcinomas or small cell lung cancer treated with platin-based chemotherapy

Rêgo, Juliana Florinda de Mendonça 21 November 2016 (has links)
INTRODUÇÃO: O carcinoma de pulmão de pequenas células (CPPC) e o carcinoma neuroendócrino (CNE) extra-pulmonar apresentam características histopatológicas e tratamentos similares, porém os desfechos encontrados nos dois grupos podem ser diferentes. Avaliamos a expressão de alguns biomarcadores e a associação destes com taxa de resposta (TR) à quimioterapia baseada em platina e sobrevida global (SG) nos dois grupos. METODOS: Realizamos estudo retrospectivo de pacientes com CPPC e CNE extra-pulmonares tratados com quimioterapia baseada em platina. Todas as amostras tumorais foram revisadas pelo mesmo patologista (R.S.S.M.) e analisadas quanto a expressão imunoistoquímica de Ki-67, ERCC1, Bcl-2 e Lin28a, a qual foi determinada através do H-escore (calculado multiplicando o produto da intensidade da coloração - 0 a 3 - com a porcentagem de células positivas - 0 a 100 -, podendo variar de 0 a 300 - positivo quando >= 200). Os biomarcadores foram analisados tanto como variáveis contínuas quanto categóricas e a TR foi determinada por RECIST 1.1. A associação entre a expressão de cada biomarcador e a TR foi avaliada através do teste de qui-quadrado ou teste exato de Fisher para variáveis categóricas e regressão logística simples para variáveis contínuas. Sobrevida global foi estimada por Kaplan-Meier e as curvas foram comparadas por log-rank. O modelo de regressão de cox foi utilizado para avaliar associação entre SG e a expressão de biomarcadores como variável contínua. RESULTADOS: Entre Julho de 2006 e Julho de 2014, 142 pacientes foram identificados: N=82 (57,7%) com CPPC e N=60 (42,3%) com CNE extra-pulmonar. As características clínicas eram semelhantes em ambos os grupos. Mediana de ki67 foi de 60% (7-100) no CPPC e de 50% (20-95%) no segundo grupo (p=0,858). Com uma mediana de 5 ciclos por paciente (N=123 elegíveis para análise de TR), a TR foi de 86,8% no CPPC, enquanto nos com CNE extra-pulmonar, foi de 44,6% (p < 0.001). A mediana de SG (N=132 elegíveis para análise da SG) foi similar entre os grupos (10,3 meses em CPPC e 11,1 meses em CNE extra-pulmonar; p=0,069). Não houve diferença no padrão de expressão do ERCC1 (p=0,277) e do Lin28a (p=0,051) entre os grupos. Bcl2 foi expresso em 38 pacientes (46,3%) com CPPC e em 17 pacientes (28,3%) com CNE extra-pulmonar (p=0,030). Apenas no grupo com CNE extra-pulmonar, a alta expressão do Bcl2 foi associada com pior prognóstico (8,0 meses vs 14,7 meses; p=0,025). A expressão dos demais marcadores em CNE extra-pulmonar e dos quatro em CPPC não apresentou influência sobre a SG, não havendo também associação entre estes e a taxa de resposta à quimioterapia. Dentre os pacientes com CNE extra-pulmonar, não houve diferença na SG ou na TR entre os pacientes com carcinoma bem diferenciado (N=13;) e com carcinoma pouco diferenciado (N=47). CONCLUSÃO: Apesar do CPPC e do CNE extra-pulmonar serem tratados de forma semelhante, nesta coorte a taxa de resposta entre os grupos foi significativamente diferente. Quando comparado com CPPC, os pacientes com CNE extra-pulmonar apresentam uma menor responsividade à quimioterapia baseada em platina, mas com tendência a maior SG. Dentre os CNE extra-pulmonares, a alta expressão de Bcl-2 foi associada a pior prognóstico. Os demais biomarcadores não apresentaram papel preditor de resposta ou prognóstico / INTRODUCTION: Small cell lung cancer (SCLC) and high-grade extrapulmonary neuroendocrine carcinomas (EPNEC) share similar histopathological features and treatment, but outcomes may differ. We evaluated the expression of biomarkers and their association with response rate (RR) to platin-based chemotherapy and overall survival (OS) in these entities. METHODS: We conducted a retrospective analysis of patients with advanced EPNEC and SCLC treated with platinum-based chemotherapy. A single pathologist (R.S.S.M.) revised all samples. Paraffin-embedded tumor samples were tested for Ki-67, ERCC1, Bcl-2 and Lin28a expression by immunohistochemistry (IHC). Final IHC score (H-score) was calculated multiplying the intensity of staining by grading (0-300, with >= 200 considered positive). Biomarkers were analyzed as both categorical and continuous variables. RR was determined by RECIST 1.1. Associations between each biomarkers expression and RR were assessed using Chi-square or Fisher\'s exact test for categorical variables and univariate logistic regression for continuous variables. OS was estimated by the Kaplan-Meier method and curves were compared by log-rank. Cox regression analysis was used to evaluate any association between biomarkers expression (continuous variables) and OS. RESULTS: From July 2006 to July 2014, 142 patients were identified: N=82 (57,7%) with SCLC and N=60 (42,3%) with EPNEC. Baseline clinical characteristics were similar. Median Ki67 was 60% (7-100) among SCLC patients and 50% (20-95%) in EPNEC (p=0,858). With a median of 5 cycles per patient in both groups (N=123 evaluable patients), the RR was significantly higher in the SCLC group (86,8% vs 44.6%; p < 0.001). Median OS (N=132 evaluable patients) was similar between the groups (10.3 months in SCLC and 11.1 months in EPNEC; p=0,069). In the EPNEC group, there wasn\'t any difference in OS or RR between the patients with welldifferentiated (N=13) and poorly differentiated carcinoma (N=47). ERCC1 (p=0.277) and Lin28a (p=0.051) were similarly expressed between the groups. Bcl2 was expressed in 38 SCLC patients (46.3%) and in 17 EPNEC patients (28.3%; p=0.030). Only in the EPNEC group, Bcl2 high expression was associated with worse survival (8.0 months vs 14.7 months; p = 0.025). RR to chemotherapy was not influenced by the expression of the ERCC1, Lin28a, Bcl-2, Ki-67 in either EPNEC or SCLC groups. CONCLUSION: Even though SCLC and EPNEC are treated similarly, in this cohort, the rate response differed significantly. When compared with SCLC, patients with EPNEC apparently had tumors less responsive to platin-based chemotherapy, but tended to live longer. In EPNEC treated with platin, high expression of Bcl2 was associated with poor prognosis. We could not identify additional predictive or prognostic biomarkers

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