Jumat, 29 Desember 2017

Biosimilars, Biologics, New Legal Challenges for RA Treatments

Biosimilars, Biologics, New Legal Challenges for RA Treatments


Early last winter, Pfizer launched its new rheumatoid arthritis treatment, Inflectra, pricing it 15 percent below the $4,000-a-dose wholesale price of Remicade, the drug for which it is a close copy.

Pfizer figured its lower price would attract cost-conscious insurers.

A year later, though, its drug has barely scratched the market and Pfizer has filed an antitrust suit against its rivals, alleging they are thwarting lower-priced competition through “exclusionary contracts” and rebates.

The outcome of the case — filed in September in U.S. District Court against Johnson & Johnson, the maker of Remicade, and Janssen Biotech — could affect the future of biosimilars, a new class of drugs. Some policy experts say these near-copies of biologics are key to slowing spending on complex and expensive specialty medications like those used to treat rheumatoid arthritis.

At the heart of the case are rebates, which are discounts off the wholesale price of drugs.

Manufacturers offer them to help keep their products on insurers’ lists of covered drugs. The money mainly goes back to insurers and pharmacy benefit managers, who say the rebates help reduce health care spending.

But Pfizer alleges that those rebates are being used to thwart biosimilars’ entry into the marketplace.

“This is the first antitrust case we’ve seen like this around biosimilars,” said Michael Carrier, a Rutgers Law School professor “Pfizer is claiming that one form of anti-competitive behavior involves withholding rebates from insurers.”

Biosimilars are costly to produce, so they are not likely to trigger the same sharp pricing drop triggered by generics. Still, their manufacturers say they could bring consumers some relief to rival biologics’ high price tags.

Pfizer’s Inflectra is one of the first biosimilars to hit the market since Congress passed legislation in 2010 to pave the way.

According to Pfizer, weeks after Inflectra gained Food and Drug Admininstration approval, J&J moved to stake out its biologic turf.

J&J began requiring insurers and PBMs to sign “exclusionary contracts … designed to block both insurers from reimbursing and hospitals and clinics from purchasing Inflectra or other biosimilars of Remicade despite their lower pricing,” alleges the case filed in federal district court in Philadelphia.

If insurers don’t agree to the J&J contracts, the loss of rebates could “for some insurers, run into the tens of millions of dollars annually,” the Pfizer case alleges.

Even with its lower price, Pfizer faced an uphill battle to win market share.

Remicade is the fifth-biggest-selling drug by revenue in the U.S., reaping more than $4.8 billion in 2016 for makers J&J and Janssen, the suit said. Often, patients are reluctant to switch once they are established on an RA drug that is working for them.

Still, Pfizer thought it would pick up newly diagnosed patients and gain ground that way. But its lawsuit says the drug accounted for only about 4 percent of total sales, with Remicade getting the rest, by early September.

“We stand by our contracts,” said J&J and Janssen Biotech in a written statement. The firms also defend rebates as “competition that is doing what competition is meant to do: driving deeper discounts that will lead to overall lower costs.”

Yet the price of Remicade has not fallen, the Pfizer case says.

Since approval of Inflectra, J&J has raised the list price of Remicade by close to 9 percent, the lawsuit alleges. As of September, Remicade’s average sales price –after discounts and rebates — is more than 10 percent higher than Inflectra.

“This case is a big deal, because it has the potential to bring to light some of the anti-competitive contracting practices at work to keep … prices extremely high,” said Jaime King, a professor at University of California-Hastings College of the Law.



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Updated Obamacare Enrollment Figure Dips to 8.7 Million

Updated Obamacare Enrollment Figure Dips to 8.7 Million


(Reuters) – About 8.7 million people enrolled in healthcare plans for 2018 using the federal Obamacare marketplace, according to updated government figures released on Thursday.

The number represented a slight decline from the 2017 enrollment figure when about 9.2 million people signed up for health insurance policies from private insurers on the HealthCare.gov platform. It was slightly lower than the 8.8 million figure given last week by the Centers for Medicare and Medicaid Services (CMS).

The revised figure was due to some late cancellations, CMS said.

Proponents of Obamacare, as former President Barack Obama’s healthcare law is known, said the 2018 figure was relatively strong given President Donald Trump slashed the program’s advertising and outreach budget and cut the enrollment period in half.

Critics say the program is a failure as it is expensive and offers few plan choices.

The figures represent individual plan selections for the 39 Exchanges that used HealthCare.gov during the enrollment period which began on November 1 and expired on December 15.

The deadline was extended to December 31 in seven states affected by storms, including Florida and Texas. The figures did not include selections from state-based exchanges which do not use the HealthCare.gov platform.

CMS said it would put out a final report in March including figures from those states.



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Modifiable Factors May Explain Higher Risk of Diabetes in Blacks

Modifiable Factors May Explain Higher Risk of Diabetes in Blacks


Modifiable biologic, neighborhood, psychosocial, socioeconomic, and behavioral risk factors may explain most of the approximately two-fold higher risk of developing type 2 diabetes in blacks vs whites, researchers report.

The study, which included more than 4000 participants in the Coronary Artery Risk Development in Young Adults (CARDIA) study in their mid-20s who were followed into middle age, was published in the December 26 issue of the Journal of the American Medical Association.

“These results suggest prevention efforts that address racial inequalities in socioeconomic factors (eg, educational attainment and income) may be one strategy to reduce racial disparities in diabetes risk,” Michael P Bancks, PhD, from Northwestern University in Chicago, Illinois, and colleagues report.

Previous studies suggest that living in a disadvantaged neighborhood, inadequate access to healthcare, and having a low education level can lead to poor health-related behaviors and contribute to worsening biological factors, the researchers note.

“Findings from the present study support this hypothesis as individual-level and neighborhood-level social determinants did contribute significantly to disparities in diabetes.”

Racial Differences in Risk Factors for Diabetes

In the past decade, the greatest increase in the onset of diabetes has been in young blacks, Dr Bancks and colleagues note.

Using data from CARDIA, they aimed to investigate how modifiable diabetes risk factors during young adulthood might explain racial differences in the incidence of type 2 diabetes in middle age.

“The diabetes risk factors that were selected were modifiable, available in the study, known to vary by race in the literature, and categorized into the following groups: biological, neighborhood, psychosocial, socioeconomic, and behavioral,” the researchers explain.

They identified 4251 participants in CARDIA who were 18 to 30 years old when they entered the study in four American cities in 1985 to 1986 and had complete data through 2015 to 2016.

At baseline, participants were a mean age of 25 years, half (49%) were black, and 54% were women.

On average, blacks had worse socioeconomic status; they were less likely to have completed high school, work, be married, or have parents who completed high school.

In addition, blacks were more likely to report that their household had difficulty paying for essentials and were more likely than whites to live in a poor neighborhood.

They were also more likely to have certain poor health behaviors; they were more likely to be current smokers (32% vs 26%), and black women were less likely to be at least moderately physically active. 

Racial differences in biological variables included a higher mean body mass index and mean systolic blood pressure in blacks compared with whites.

During a mean follow-up of 25 years, 315 blacks and 189 whites developed type 2 diabetes.

After adjusting for age and study location, black women were nearly three-times more likely to develop diabetes than white women (hazard ratio [HR], 2.86; 95% CI, 2.19 – 3.72).

Similarly, black men were more likely to develop diabetes than white men (HR, 1.67; 95% CI, 1.28 – 2.17).

However, in models that successively adjusted for age and location, then biological, neighborhood, psychosocial, socioeconomic, and behavioral factors, there were no significant racial differences in the incidence of diabetes.

Specifically, in the model adjusted for all variables, black women were not significantly more likely to develop diabetes than white women (HR, 0.79; 95% CI, 0.55 – 1.14). Similarly, black men were not more likely to develop diabetes than white men (HR, 0.92; 95% CI, 0.62 – 1.38).

Thus, “differences in traditional modifiable diabetes risk factors between black and white individuals may contribute to the racial disparity in diabetes incidence in middle age,” the authors summarize.

CARDIA is supported by the National Heart, Lung, and Blood Institute (NHLBI), University of Alabama at Birmingham, Northwestern University, University of Minnesota, Kaiser Foundation Research Institute, Johns Hopkins University School of Medicine, and Intramural Research Program of the National Institute on Aging. Dr Bancks received support from the NHLBI for the current study.

For more diabetes and endocrinology news, follow us on Twitter and on Facebook .

JAMA 2017;318:2457-2465. Abstract



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Cotton Swabs Still a Major Cause of Eardrum Perforations

Cotton Swabs Still a Major Cause of Eardrum Perforations


(Reuters Health) – A sampling of U.S. emergency department records confirms that sticking anything smaller than your elbow in your ear is a good way to puncture an eardrum.

About 66% of patients treated for traumatic tympanic membrane perforations had hurt themselves by sticking “instruments,” in their ears, and nearly half of these cases involved cotton-tipped swabs.

“In our experience, cotton tip applicators (Q-tips and similar products) are frequently the instrument that patients will use to clean their ears,” lead author Dr. Eric Carnoil, an otolaryngologist at the University of Toronto, told Reuters Health by email.

“Our conjecture is that the majority of these injuries were caused by patients trying to get their own ear wax out,” he said.

Perforating the tympanic membrane can lead to hearing loss, Carnoil and his colleagues write online December 21 in JAMA Otolaryngology Head & Neck Surgery. Otolaryngologists see many tympanic membrane perforations that are most often caused by ear infections or trauma, Carnoil noted.

The current study focused on the traumatic causes of eardrum perforations. Many patients do not realize they can often injure the ear canal, push earwax further in (impaction), or even burst their eardrum, he said.

The researchers looked at five years of records from 100 nationally representative emergency departments in the U.S. and found over 900 visits for ear-related injuries. These represent almost 5,000 emergency department visits for tympanic membrane perforations nationally during the same period, the researchers write.

About 60% of patients were male, and most were 18 years old or younger. “Ear canal instrumentation” was the cause of injury in 61% of cases, and 45% of these specifically involved cotton-tipped applicators, the study found.

For children from infants to 5 years old, foreign instruments were the cause of 86% of injuries and for 6-to-12-year olds, it was 66%. Among adults 37 to 54 years old, sticking foreign objects in the ears caused 53% of perforations and among those 55 or older, it was 67%.

Besides cotton swabs, other objects included hairpins, toys, combs, pencils, straws, toothpicks and lollipop sticks.

Water activity, such as water skiing and diving, was also an important cause of injuries particularly among teenagers and 19- to 36-year-olds, Carnoil said.

Still, he said, “If you’ve taken away nothing else from this interview and the article, it is please, do not use Q-tips to clean your ears.”

Carnoil said many patients come into his office asking how they should clean the wax from their ears.

“Earwax is made in the outer 1/3 of the ear canal, and it is water-soluble. Therefore, after a shower, most people can get away with just using a washcloth to wipe the wax away from the ear,” he said.

It’s a nice study of emergency room visits for traumatic ear perforation, noted Dr. Hamid Djalilian, a professor of clinical otolaryngology at the University of California, Irvine, who wasn’t involved in the research. But the study “doesn’t capture all the patients who had this problem in the U.S. because it doesn’t include patients who sought care in an outpatient setting such as an urgent care, primary care physician, or ear nose and throat specialist,” he told Reuters Health by email.

The ears have a self-cleaning mechanism, said Djalilian. “This means that the dead skin of the ear canal along with the earwax gradually move outward and come out of the ear on their own.” Therefore, using a Q-tip (or anything else) is almost never necessary and nearly always will just push in the wax deeper into the canal rather than remove wax.

“A little bit of wax will stick to the Q-tip and make the user feel great about themselves that they accomplish something, but chances are approximately 5-10 times more wax was pushed in,” Djalilian said.

Using Q-tips (or other things) in the ear canal is also the leading cause of ear canal infections as it scratches the ear canal skin and allows bacteria to enter the skin causing otitis externa, he noted.

SOURCE: http://bit.ly/2BMihsf

JAMA Otolaryngol Head Neck Surg 2017.



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'Weak Link' Between Childhood Lead and Adult Criminal Behavior

'Weak Link' Between Childhood Lead and Adult Criminal Behavior


(Reuters Health) – Lead exposure during childhood has been tied to a variety of developmental problems, but a new study suggests it may not be associated with higher odds of criminal behavior later in life.

The study set out to address a flaw in much of the previous research linking lead and crime: mainly that it’s hard to determine how much of this connection might be explained by poverty and other socioeconomic circumstances that can influence both criminal activity and lead exposure.

Researchers followed 553 people born in Dunedin, New Zealand, in 1972 and 1973, when lead exposure was common among children of all economic backgrounds because of widespread use of leaded gasoline. All of the kids were tested for lead exposure when they were 11 years old, and the study team followed them until age 38 to see how many of them were convicted of crimes.

By the end of the study, 154 participants, or 28%, had at least one criminal conviction, the researchers report online December 26 in JAMA Pediatrics. But the odds of this happening were barely influenced by the amount of lead exposure people had during childhood. Just being male had a stronger effect than lead levels, the researchers note.

“Many studies have shown that higher exposure to lead could predict more criminal behavior, but our study actually found that there isn’t a clear connection between the two,” said lead author Amber Beckley, a researcher at Duke University in Durham, North Carolina.

The reason for the different results this time is that the current study found children from all walks of life had high lead levels, Beckley said by email.

“In our study, socioeconomic status was not associated with childhood lead exposure,” she added.

There’s no safe level of lead exposure. This toxin can damage the developing nervous system in young children, and blood lead levels as low as 5 micrograms per deciliter may lower intelligence quotient (IQ), according to the World Health Organization.

Participants in the current study had average blood lead levels more than twice that high when they were 11 years old in the early 1980s: 11.01 micrograms/dL.

Blood lead levels ranged from 4 to 31 micrograms/dL and didn’t vary according to socioeconomic status.

To see how many of these kids were later convicted of crimes, researchers searched police records and also interviewed participants six times to inquire about any criminal activity.

A total of 68 participants, or 12%, had a single criminal conviction and another 86 people had more than one conviction, the study found.

Only 53 people were violent offenders, while 101 participants were convicted of non-violent crimes.

Childhood lead exposure didn’t appear to influence at all whether people would commit violent crimes or become repeat offenders.

But it did appear to influence the odds that teens would participate in criminal activity, though this connection was weak and didn’t persist over time, the authors conclude.

One limitation of the study is that children only got one blood test for lead exposure, and multiple assessments can give a more accurate picture of total exposure, the researchers note. It’s also possible that results would be different today, when children typically have less exposure to lead than they did in the 1970s and 1980s.

It’s also possible that the connection between childhood lead exposure and criminal behavior might be stronger than the authors concluded, David Farrington of Cambridge University writes in an accompanying editorial. It may not be appropriate to describe the strength of the connection as “weak,” Farrington writes.

“More research is needed, of course, to investigate the independent, interactive and sequential effects of blood lead levels in relation to other risk factors for offending,” Farrington writes. He didn’t respond to emails seeking comment.

SOURCES: http://bit.ly/2lo9xSh and http://bit.ly/2lniM51

JAMA Pediatr 2017.



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New Urine Test Recommendations for Antipsychotic Adherence

New Urine Test Recommendations for Antipsychotic Adherence


Because adherence to prescribed antipsychotics by patients with serious mental illness such as schizophrenia is so low, new clinical recommendations have been released on when and how to use urine testing procedures to help monitor adherence.

Investigators carried out a literature review of 17 reports, conducted semistructured interviews with clinicians from nine community mental health clinics (CMHCs), and then convened a panel of physician experts to make recommendations on the monitoring of urine to determine adherence to antipsychotic drug regimens.

The panel’s consensus describes six clinical scenarios in which this type of monitoring should be conducted at the first evaluation and five scenarios in which monitoring is recommended following the initial evaluation. The panel recommends that monitoring be conducted at the site where the medication is prescribed, that education be provided before testing, and that feedback be provided afterward.

“There was strong agreement that monitoring can be used to improve assessment and thence clinical care and outcomes,” write the investigators, led by Amy N. Cohen, PhD, Department of Psychiatry and Biobehavioral Sciences, University of California, Los Angeles (UCLA).



Dr Amy Cohen

“I think the take-home message is that this strategy was very acceptable by patients. And across the board, all of the clinicians we talked to said that it was really helpful and opened up a dialogue with the patient,” Dr Cohen told Medscape Medical News.

She noted, though, that this is an “initial clinical consensus” and that more research is needed, including pilot studies in which the recommendations are compared with other adherence methods.

“That kind of comparison is important before there’s widespread incorporation of these guidelines,” she said. That said, “providers found urine-adherence monitoring to be extremely helpful, and it saves time. I’d recommend that it’s an avenue to be explored in community mental health clinics,” said Dr Cohen.

The full consensus recommendations were published online December 15 in Psychiatric Services.

“Vexing Challenge”

It has been estimated that 50% of patients do not follow their antipsychotic drug regimens, write the investigators. Yet, adherence could lead to substantial savings. For example, $1600 per patient with schizophrenia per year in Medicaid and criminal justice costs could be saved with better adherence, they write.

However, examining adherence “presents a vexing challenge,” they note. Both patient self-reports and clinician estimates have not been reliable, and there is a need for objective measures.

Beginning in 2013, “there have been urine testing technologies that simultaneously detect illicit substances as well as ingested medications and estimate levels of certain antipsychotic medications,” including aripiprazole, quetiapine, and risperidone, the researchers report. “However, there has been no consensus regarding effective implementation of this technology at mental health programs to improve adherence and guide treatment.”

“When we learned a bit about urine monitoring and knew that a variety of community clinics were using it, we wanted to explore how they were using it and if they were using that data to change care treatment plans,” said Dr Cohen.

The researchers used the RAND/UCLA Appropriateness Method in their search for consensus. This method is becoming popular “when there is inadequate evidence from controlled trial research,” they write.

They first reviewed 13 articles published between 2014 and 2017 and four unpublished reports. All of the articles addressed antipsychotic drug adherence, including urine monitoring.

As expected, the review showed that patient self-report and clinician assessment of adherence did not match objective measures, such as electronic or blood plasma monitoring.

The investigators also conducted telephone interviews between January and September 2016 with 13 clinical experts (11 physicians, one nurse, one counselor) from nine CMHCs in six states. All of the CMHCs were already “substantially” using urine-monitoring technology for assessing antipsychotic adherence, although not all used it at initial evaluation.

In light of this, the researchers convened a 1-day in-person meeting in September 2016. Nine individuals were invited to participate, but only four were able to do so. These two men and two women were all physicians and were from four states.

Before the meeting, the researchers created 46 hypothetical clinical scenarios, or “indications,” to be discussed.

“The indications were designed to be comprehensive, homogeneous, and manageable,” write the investigators. For each of the indications, the panel members rated three aspects: appropriateness to the population; impact on patient treatment, symptoms, and functioning; and feasibility in typical community mental health care. Each aspect was rated on a scale of 1 to 9. For appropriateness, a rating of 1 indicated extremely appropriate, and a rating of 9 indicated extremely inappropriate. For impact on patient treatment, 1 indicated highly unlikely, and 9 indicated highly likely. For feasibility, 1 indicated extremely difficulty, and 9 indicated very easy.

15 Top Indications

Results showed that 15 of the scenarios scored at least an average rating of 7.0 on all three aspects, indicating “usually appropriate,” “probably likely,” and “generally easy,” respectively.

The six indications for monitoring at the time of initial evaluation are as follows:

  • The patient has an established diagnosis of a serious mental illness.

  • The patient presents with new symptoms of a serious mental illness.

  • The patient has a serious mental illness and is at risk for poor adherence.

  • The patient has a serious mental illness and is homeless.

  • The patient has a co-occurring substance use disorder.

  • The patient is elderly.

Recommendations for repeated monitoring include the following:

  • Patients should undergo repeat monitoring when there is concern about a previous monitoring result.

  • Repeat monitoring is recommended when there is a change in the patient’s situation, such as in level of care or living requirement, that may require medication reconciliation.

  • Repeat monitoring is recommended when the patient experiences clinical deterioration or does not respond adequately to treatment.

  • The panel recommends that periodic testing be conducted, either at set intervals or on random occasions.

  • The panel recommends that for stable patients, testing be conducted at least annually.

The panel also made the following recommendations:

  • Urine should be collected on site where the medication is prescribed.

  • Verbal or written education should be provided on possible costs and the importance of treatment adherence before urine monitoring is conducted.

  • After testing, patients should be informed of the results.

  • A clinician should be available to address any patient concerns.

“Education and quick feedback of the results came up a lot during the consensus meeting,” said Dr Cohen. She noted that several of the clinics have already developed pamphlets explaining urine monitoring that can be handed out.

“It goes along with the whole idea of patient-centered care, recovery-oriented care in today’s environment.”

She noted that some patients don’t realize that they are noncompliant with their medication regimens because they misunderstand treatment instructions or they do not realize that missing even a few doses here and there makes a difference.

“But if they know that someone is going to check, they think, ‘I better get it together and pay attention.’ The people who used this technology said they really did see differences in their patient population in terms of improved adherence, and they felt that it was very easy to use,” she said.

Obstacles in implementing urine monitoring procedures included “integration with an electronic medical record, use within clinic workflow, and limited staff resources,” write the study authors.

“Future directions should include research studying the comparative effectiveness of urine monitoring and alternative strategies for assessing medication adherence” in these patients, they add.

“Wakes Us Up”

Asked to comment, Thomas N. Wise, MD, professor of psychiatry at Virginia Commonwealth University, the Johns Hopkins University School of Medicine, and the George Washington University School of Medicine, told Medscape Medical News that “this is a good report that wakes us up to better approaches” for measuring adherence.



Dr Thomas Wise

He added that it’s also a good reminder that treatment resistance could be due to patients not taking medication, not because the medication wasn’t effective.

Overall, the new recommendations “make sense,” said Dr Wise. He noted that increased adherence could save a substantial amount for each state. “We’re going to have to look at the costs of doing urine tests; but the more we do them, the unit price should come down,” he said.

“This is actually a pretty big deal. I suspect many people weren’t aware of these urine tests, so this is an important article.”

Dr Wise also said that the investigators’ use of different scenarios was “a clever methodology…. I’m just disappointed that more [clinicians] did not respond, but this certainly looks like a valid adherence measure,” he said.

“There still needs to be more work done and more data” before organizations such as the American Psychiatric Association (APA) adopt the measure or recommendations as part of their guidelines, said Dr Wise.

But he can see this area as something the APA’s Committee on Mental Health Information Technology would delve into.

“The investigators say that this isn’t the final answer, but they do point out a really important area ― and they’re continuing an important conversation.”

The study was funded by Ameritox, Ltd. Dr Cohen has received research support from Ameritox. The original article includes a full list of disclosures for the other study authors. Dr Wise has been a consultant with Asuka.

Psychiatric Services. Published online December 15, 2017. Abstract

Follow Deborah Brauser on Twitter: @MedscapeDeb. For more Medscape Psychiatry news, join us on Facebook and Twitter.



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Risk Factors for Hospital-Onset C difficile Identified

Risk Factors for Hospital-Onset C difficile Identified


Hospital patients have a higher risk of developing a Clostridium difficile infection (CDI) during their inpatient stay if they are receiving proton pump inhibitors (PPIs), H2 antagonists, sucralfate, or any of several specific antibiotics, according to a multicenter retrospective cohort study.

Although the mechanism for the increased infection risk remains unclear, “the results support the need for stewardship practices around both high-risk antibiotics and medications that alter gastric acid regulation,” Troy Watson, PharmD, and colleagues from the Hospital Corporation of America in Nashville, write in an article published online December 20 in Clinical Infectious Diseases. “Furthermore, the impact of de-prescribing acid suppression therapy coupled with antibiotic stewardship could greatly reduce the incidence of [hospital-onset] CDI.”

The authors found that carbapenems, third- and fourth-generation cephalosporins, metronidazole, and piperacillin/tazobactam all increased the risk for CDI. However, the risk dropped with use of clindamycin, macrolides, and tetracyclines.

“The clindamycin findings are somewhat surprising in that clindamycin has been classified as a high risk for development of a CDI in both the hospital and in the community,” the authors write. “This finding may be due to reduced use of clindamycin over time.” The results suggesting a possible protective effect from tetracycline and macrolide match up with previous research findings, they write.

To identify risk factors, Dr Watson and colleagues analyzed data from all 1,237,537 adults, 18 years and older, discharged from any of 150 hospitals in a large US healthcare system (Hospital Corporation of America) between October 1, 2015, and September 30, 2016. The researchers focused on hospital-onset infections and did not include pregnant or delivering patients, those with missing data, or those with a positive C difficile stool test within the first 3 days in the hospital.

The researchers also assessed patients’ demographic, medication, and laboratory data in their analysis, focusing on two classes of medication previously associated with CDI: acid-suppressing or acid-protecting medications and antibiotics.

Overall, 4587 (0.37%) patients had hospital-onset CDI. On average, patients with CDI were more likely to be admitted from long-term acute care and to have a higher Case Mix Index and more days in intensive care, have taken antibiotics longer, and have diabetes, Crohn’s disease, or ulcerative colitis. For each additional year in age, patients’ CDI risk increased by 0.5%, and women had 1.2 times greater odds of an infection than men.

Patients receiving PPIs had 44% greater odds of developing a hospital-onset CDI, those receiving H2 antagonists had 13% greater odds, and those receiving sucralfate had 37% greater odds (P < .001, for each).

Antibiotics most associated with increased risk for a CDI included carbapenems, third- and fourth-generation cephalosporins, metronidazole, and piperacillin/tazobactam, ranging from 1.25 to 2.28 times greater odds (P < .001). Patients receiving two or more different antibiotics had 1.65 greater odds of infection.

Meanwhile, patients had a lower risk for infection if they were receiving tetracyclines, macrolides, or clindamycin (odds ratios, 0.393 – 0.704; P < .005 for each).

Further, “the combination of PPIs with [fluoroquinolones], third generation cephalosporins, fourth generation cephalosporins, clindamycin or carbapenems did not significantly alter the odds of [hospital-onset] CDI,” report the authors. This latter finding contradicted the results of a prior meta-analysis “that concluded the use of PPIs and antibiotics together lead to a greater risk than PPIs alone,” they write.

“Since our study did not perform any strain typing, we cannot definitively determine what strains were prevalent in our study population,” the authors note. “It is possible that the circulating strain type or changing prescribing patterns could have impacted the observed relationship of antibiotics to the odds of [hospital-onset] CDI.”

An additional research limitation, according to the authors, is the possibility of unmeasured possible confounders, including “outpatient medications and over the counter substances (e.g., probiotics), dose, exposure duration, lifestyle factors and prior hospitalization or medication use.”

The authors have disclosed no relevant financial relationships.

Clin Infect Dis. Published online December 20, 2017 Abstract

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Epilepsy Treatment Outcomes Unchanged in Decades

Epilepsy Treatment Outcomes Unchanged in Decades


A new study has confirmed that fewer than two thirds of patients with newly diagnosed epilepsy are seizure-free after 1 year. The seizure-free rate in this new study is almost unchanged from the 64.0% in a smaller study published in 2000.

“Despite the introduction of many new antiepileptic drugs over the last two decades, the overall outcomes of people with newly diagnosed epilepsy has not changed fundamentally,” Patrick Kwan, MD, PhD, professor, neurology, Monash University, Melbourne, Australia, told Medscape Medical News.

A “paradigm shift” in treatment and research strategies is needed to improve the long-term outcomes of patients with epilepsy, said Dr Kwan, who at the time of the study was at the University of Melbourne.

Their report was published online December 26 in JAMA Neurology.

The initial study included 470 patients with newly diagnosed epilepsy at the Western Infirmary, Glasgow, Scotland, who were first treated between 1982 and 1998. The current study extended that time period to 2012.

The new analysis included 1795 patients, 53.7% male and with a median age of 33 years. About 21.5% had generalized epilepsy and 78.5% had focal epilepsy.

After diagnosing epilepsy, clinicians considered seizure type, adverse drug effects, and interaction profiles when selecting an appropriate antiepileptic drug (AED). Most patients in the study (98.8%) had experienced two or more seizures before starting treatment.

For the first 6 months after beginning treatment, patients were seen at the epilepsy clinic every 2 to 6 weeks. After that, they attended follow-up visits at least every 4 months.

Patients were asked to record the number of seizures they had between clinic visits and to describe these events.

Seizure freedom was defined as experiencing no seizures for at least the previous year. The overall 1-year seizure freedom rate was 63.7%. Most of the patients who became seizure-free (86.8%) achieved this by taking a single AED.

This 86.8% rate is lower than the proportion of patients in the earlier study whose seizures were controlled with monotherapy (90.5%).

In the new study, patients with generalized epilepsy had a better response to AED therapy than did those with focal epilepsy.

Patients who did not achieve a year of seizure freedom by taking the first AED were more likely to have uncontrolled epilepsy with each additional AED (odds ratio, 1.73; 95% confidence interval, 1.56 – 1.91; P < .001 after adjustment for disease classification, age, and sex).While a second AED regimen could render about 11% more of these patients seizure-free, the benefit was reduced by more than half for the third regimen. And trying a fourth — or more — AED provided less than 5% additional probability of seizure freedom.

Marked Increase

The use of the newer AEDs increased markedly during the study. Early on, older drugs, such as carbamazepine, valproate, and phenytoin, were used much more frequently, but by the end of the study, medications such as valproate, levetiracetam, and lamotrigine were more prevalent.

But the proportion of patients who were seizure-free was similar for subgroups categorized by three time periods of AED initiation (1982 to 1991, 1992 to 2001, and 2002 to 2012).

Newer AEDs are not necessarily better tolerated than older drugs, commented Dr Kwan. The notion that these newer drugs have fewer side effects is a “probably not true,” but they may be easier to use because they don’t require complex drug monitoring, he said.  

From his own practice, Dr Kwan could see that the newer epilepsy drugs were not having “a huge impact” on patient outcomes, but he thought that the study would uncover at least some improvement.

However, despite “a stark change” in drugs used, with a shift from the older to the newer agents, he and his colleagues were surprised at how little change there was in outcome.

“It wasn’t just that there was little change; there was no change,” he said.

The researchers analyzed treatment outcomes by using the definition of seizure freedom proposed by the International League Against Epilepsy in 2010. According to this definition, seizure freedom can be an absence of seizures for three times the longest pretreatment interval between seizures, or for at least the previous year, whichever is greater.

The reason for the update was that some patients have infrequent seizures, “so not having a seizure for a year might have nothing to do with a drug,” explained Dr Kwan.

This analysis yielded findings similar to those obtained by using the original definition of not having seizures for a year.

The new study also confirmed that the prognosis of AED treatment was associated with such factors as the number of seizures that occurred before treatment, a family history of epilepsy in first-degree relatives, and a history of recreational drug use.

Although the study showed that seizure freedom rates haven’t changed over time at the population level, Dr Kwan pointed out that this may not be the case at the individual level.

“In terms of the frequency of seizures and their severity in individual patients, new drugs might make a difference, and this could well have made an impact on people’s lives, but we haven’t measured that.”

Epilepsy is “a very complex disorder” representing more than just a single disease, which makes it “very hard to find a magic bullet” that targets them all and makes “a huge impact” on outcomes, said Dr Kwan.

However, it’s important to develop better epilepsy therapies, and to do so requires a change in thinking and maybe “riskier approaches,” he said. He added that this change in thinking must come from “all stakeholders,” including funding organizations, research groups, and the pharmaceutical industry.

Clinicians should refer patients in whom two drugs have failed to a specialist center, where they may be considered for nonpharmacologic therapies, such as resective surgery and brain stimulation techniques, said Dr Kwan.

“Do this early; don’t leave it too late,” he said. “There’s evidence that the earlier you treat these patients, the better the outcome.”

Disconcerting Findings

Some of the new findings are sobering and somewhat disconcerting, W. Allen Hauser, MD, emeritus professor of neurology and epidemiology, Sergievsky Center, Columbia University, New York City, writes in an accompanying editorial. In an interview with Medscape Medical News, Dr Hauser elaborated on what he found so disconcerting.

“For so long, there have been efforts to develop new and more effective antiseizure medications,” he said. “I suspect that in the last 30 years, there have probably been 20 or more new drugs marketed in the US or Europe, or both. And over this time, in terms of at least new-onset epilepsy, which is what this study relates to, we don’t seem to be doing any better.”

He noted the “dramatic change” in medications over the course of the study, with the newer medications for the most part replacing older ones.

“But in terms of objective outcomes, which from the standpoint of epilepsy is seizure control, there really has been no change.”

That the newer drugs don’t increase the percentage of patients who are seizure free should not be surprising because, for the most part, seizure medications have been developed to try to prevent seizures rather than eliminate the underlying cause, said Dr Hauser.

“People have brain insults like a stroke or severe head injury and then develop epilepsy, and the ideal thing would be to develop something that prevents whatever the process is that leads to epilepsy. The medications we have available now, as far as we know, only suppress seizures; they do nothing in terms of preventing the process of becoming epileptogenic.”

Dr Hauser also noted that there’s little evidence that tolerability has improved with the advent of newer medications. So while the hope is to find an agent that stops seizures and has no side effects, “it doesn’t look like in either arena there has been any improvement with medications,” he said.

It could be, said Dr Hauser, that the two-thirds seizure freedom rate represents a “ceiling” for initial control of epilepsy.

However, he agreed that most of the new drugs do have some benefit. For example, they have improved bioavailability and pharmacokinetics, which makes management easier, he said.

Dr Kwan has received research grants from the National Health and Medical Research Council of Australia, the Australian Research Council, the US National Institutes of Health, Hong Kong Research Grants Council, Innovation and Technology Fund, Health and Health Services Research Fund, and Health and Medical Research Fund. He and/or his institution also received speaker or consultancy fees and/or research grants from Eisai, GlaxoSmithKline, Johnson & Johnson, Pfizer, and UCB Pharma. Dr Hauser is a member of the Sudden Unexpected Death in Epilepsy monitoring committee of Neuropace and a member of the editorial boards of Acta Neurologica Scandinavia, Epilepsy Research, and Neuroepidemiology.

JAMA Neurol. Published online December 26, 2017. Abstract, Editorial

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Score May Predict Which BE Patients Will Progress to Cancer

Score May Predict Which BE Patients Will Progress to Cancer


NEW YORK (Reuters Health) – A newly developed scoring system may be able to identify patients with Barrett’s esophagus (BE) at low, intermediate, and high risk for progression to high-grade dysplasia (HGD) and esophageal adenocarcinoma (EAC), researchers say.

Dr. Prateek Sharma of the Department of Veterans Affairs Medical Center in Kansas City, Missouri, told Reuters Health, “Since the vast majority of BE patients will never develop cancer or HGD, our current practice is to perform surveillance for all these patients.”

“On the other hand,” he said by email, “the minority of those who are at high risk for progression cannot be identified.”

“So, finally, after years at searching for biomarkers, risk factors, etc., this multicenter consortium has (found) easily identifiable factors – male gender, smoking, BE length, and low-grade dysplasia.”

“Each of these risk factors has been assigned points and weight (to produce the) progression of Barrett’s esophagus (PIB) score,” he explained. “This is very similar to the MELD scoring system for liver disease, for example.”

Dr. Sharma and colleagues analyzed data, from patients with BE at five centers in the U.S. and one in the Netherlands, gathered from 1985 through 2014.

As reported online December 19 in Gastroenterology, the analysis included 2,697 patients: mean age, 55; 84% male; 88% white; mean length of BE, 3.7 cm. Seventy percent of patients were used to derive the PIB risk-score model; 30% were used for the validation study. Median follow-up was 5.9 years.

During follow-up, 5.7% of patients developed either HGD or EAC. Male sex, smoking, length of BE, and baseline-confirmed low-grade dysplasia were significantly associated with progression, according to the authors.

The assigned scores identified patients who progressed. The report includes two examples:

1. 65-year-old man with a history of smoking, BE length of 5 cm, and non-dysplastic BE histology on index endoscopy.

Total score = 9 (male) + 5 (history of smoking) + 5 (BE length 5 cm) + 0 (non-dysplastic BE) = 19. This patient is at intermediate risk, with a 0.73% per year risk of progression to HGD/EAC.

2. 55-year-old woman with no history of smoking, BE length of 2 cm, and non-dysplastic BE on histology on index endoscopy.

Total score = 0 (female) + 0 (no history of smoking) + 2 (BE length 2 cm) + 0 (non-dysplastic BE) = 2. This patient is at low risk, with a 0.13% per year risk of progression to HGD/EAC.

At seven years, the hazard ratios for progression to HGD/EAC by risk category were 18.4 for the high-risk group (score: 21+ points) and 5.6 for the intermediate-risk group (11-20 points), compared to the low-risk group (0-10 points).

From a clinical standpoint, Dr. Sharma said, “Patients with a low score probably need reassurance; for high-risk patients, consider ablation or very close follow-up.” Those at intermediate risk should be monitored for three to five years.

Dr. Yujin Hoshida of The Tisch Cancer Institute at the Icahn School of Medicine at Mount Sinai in New York City commented, “The risk score was developed and validated in a large collection of multicenter patient cohorts with long-term follow-up using clinically readily available variables.”

“Therefore,” he told Reuters Health by email, “it is expected that the robustness and clinical applicability of the score is high, and such a score will make monitoring of patients at risk of developing esophageal cancer more efficient and cost-effective.”

“External validation and head-to-head comparison with previously reported scores will further elucidate the clinical utility of the score,” Dr. Hoshida concluded.

SOURCE: http://bit.ly/2pHp1Gd

Gastroenterology 2017.



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Yoga Helps Ease Vasomotor Symptoms of Menopause

Yoga Helps Ease Vasomotor Symptoms of Menopause


(Reuters Health) – Menopausal women who practice yoga may experience more relief from symptoms like night sweats and hot flashes than their peers who don’t do this type of exercise, a review of existing research suggests.

The study team examined data on 1,306 women in 13 different trials that randomly assigned some participants to practice yoga and others to get no treatment or to try a different type of intervention such as health education or other forms of exercise. All of the women suffered from menopause symptoms at the beginning of the trials.

Yoga was better than no treatment at reducing total menopause symptoms, anxiety related to symptoms, hot flashes and night sweats, and vaginal dryness and pain during sex, the study found.

“There were already clear hints from earlier studies that yoga might be good for relieving menopause-related psychological symptoms such as mood swings, depression or sleep problems,” said lead study author Holger Cramer, research director of the department of internal and integrative medicine at Kliniken Essen-Mitte and the University of Duisburg-Essen in Germany.

“Based on the new data, yoga can also effectively relieve physical symptoms such as hot flashes, night sweats, fatigue or bladder problems,” Cramer said by email. “This indicates a potentially beneficial effect of yoga for all women with menopausal symptoms.”

Women go through menopause when they stop menstruating, which typically happens between ages 45 and 55. As the ovaries curb production of the hormones estrogen and progesterone in the years leading up to menopause and afterward, women can experience symptoms ranging from vaginal dryness to mood swings, joint pain and insomnia.

In the current study, yoga was better than other types of exercise for vasomotor symptoms like hot flashes and night sweats.

Yoga was also better for overall menopause symptoms than health education.

The analysis included four trials from the U.S., three from India, two each from Brazil and China, and one each from Germany and South Korea.

The median cohort size was 54 (range, 30 to 355).

The small trials ranged in length from 4 to 16 weeks and had women practice yoga or do other interventions anywhere from 1 to 14 times weekly.

Women who did yoga in the trials tried a variety of different forms, including hatha yoga that focuses on breathing and meditation and Iyengar yoga, which concentrates on body alignment.

The variety of approaches to yoga used in different trials made it difficult to determine what type of practice might help most with menopause symptoms, the authors noted December 6 online in Maturitas.

Even so, the results offer fresh evidence of the potential for yoga to help with menopause symptoms, said Dr. James Stahl of the Dartmouth-Hitchcock Medical Center and Geisel School of Medicine Lebanon, New Hampshire.

“All of the mind-body tools, yoga, acupuncture, qi gong, and meditation probably work through multiple mechanisms – through remodeling how the mind-body perceives sensations and signals, how the mind-body responds to those stimuli and finally through helping set or reset the mind-body’s steady state,” Stahl, who wasn’t involved in the study, said by email.

Because yoga is a relatively low-risk physical activity that can be easily adapted to different fitness levels, patients should consider it for symptom relief, said Dr. Rachael Polis, a researcher at Crozer-Keystone Health System headquartered in Springfield, Pennsylvania.

“Yoga is relatively low-impact, inexpensive, can be practiced anywhere, and during any time of day,” Polis, who wasn’t involved in the study, said by email.

“For this reason, it’s a great early intervention for patients to attempt,” Polis added. “I do recommend someone new to yoga take classes with a well-trained instructor who can teach correct body alignment and suggest posture modifications when needed.”

SOURCE: http://bit.ly/2llD5jx

Maturitas 2017.



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'Artificial Pancreas' Works During Intense Exercise

'Artificial Pancreas' Works During Intense Exercise


(Reuters Health) – An “artificial pancreas” that monitors blood sugar and automatically delivers insulin may make it safer for teens with type 1 diabetes to participate in sports, a U.S. study suggests.

Researchers focused on a group of 32 teens with type 1 diabetes who participated in a five-day skiing camp, spending about five hours a day on the slopes. Half of the athletes used an artificial pancreas (closed-loop insulin delivery system); the rest wore their regular insulin pumps and administered insulin themselves using an open-loop system.

With the artificial pancreas, participants had blood sugar levels in a healthy range about 71% of the time, compared with 65% of the time among teens using the open-loop system, researchers report online November 21 in Diabetes Care.

Dangerously low blood sugar also happened less often with the artificial pancreas.

“All type 1 diabetes patients using an insulin pump should very seriously consider using an artificial pancreas, regardless of how active they are,” said lead study author Marc Breton of the Center for Diabetes Technology at the University of Virginia in Charlottesville.

“The artificial pancreas will work (and well) even if you exercise a lot, and you will benefit from its automation even if you already know how to control your blood glucose during and after exercise,” Breton said by email. “Eventually, this system may allow people with diabetes the freedom to participate safely in physical activities that they likely avoided in the past.”

Current artificial pancreas systems can monitor blood sugar every few minutes and use that information to adjust insulin delivery. This may be less cumbersome for athletes than open-loop systems, which require them to manually adjust the amount of insulin delivered by their pump based on readouts from a separate glucose monitor.

In the study, athletes had dangerously low blood sugar 1.8% of the time with the artificial pancreas, compared with 3.2% of the time with the open-loop system.

Dangerously high blood sugar also happened less often with the artificial pancreas: 7% of the time compared with 9.3% of the time with the open-loop system.

Beyond its small size, other limitations of the study include the focus on athletes without a history of dangerously low blood sugar, which may limit how much the findings apply to all people with type 1 diabetes, the authors note. In the study, teens also had intense supervision by doctors that might not occur in real life.

The type, intensity and duration of physical activity all matter, said Ali Cinar, director of the Engineering Center for Diabetes Research and Education at the Illinois Institute of Technology in Chicago.

“People trying a new type of exercise or routine should be careful in tracking their metabolic variations and adjusting their hypoglycemia prevention routines,” Cinar, who wasn’t involved in the study, said by email. “A well-designed artificial pancreas can make these adjustments automatically.”

While the findings suggest an artificial pancreas may make it easier for athletes to manage type 1 diabetes, more research is needed to see if a device can be designed to respond to a wide variety of exercise experiences, said Michael Riddell of the Muscle Health Research Centre at York University in Toronto.

“At present, it is extremely difficult to mimic the normal physiologic response that a healthy pancreas has to exercise,” Riddell, who wasn’t involved in the study, said by email.

SOURCE: http://bit.ly/2vXnxdU

Diabetes Care 2017.



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'Cascade Testing' Important for Hereditary Gynecologic Cancers

'Cascade Testing' Important for Hereditary Gynecologic Cancers


NEW YORK (Reuters Health) – Patients who have been told that they have a relative with a genetic mutation should under “cascade testing,” the American College of Obstetricians and Gynecologists (ACOG) advises in a new Committee Opinion paper.

Increasingly, patients with ovarian, breast, endometrial and colon cancer are being identified as having relevant genetic mutations. Cascade testing involves genetic counseling and testing for blood relatives of people who have been identified with specific mutations.

“Testing protocols and other interventions may save lives and improve health and quality of life for these family members. Obstetrician-gynecologists should know who is eligible for cascade testing and should use all available resources to ensure that cascade testing is offered and occurs in a timely manner,” the ACOG Committee on Gynecologic Practice says.

To initiate cascade testing, providers need a letter or other documentation indicating that the patient’s relative has a specific genetic mutation. “The specifically indicated test should be ordered only after the patient has been counseled about potential outcomes and has expressly decided to be tested,” ACOG says in a news release.

“Ob-gyns have to be prepared for all of the steps in cascade testing,” lead committee chair Dr. Kristen Matteson, adds in the release. “Most importantly, we must help patients navigate what is often a complex and emotional process. Patients may be confused by their own diagnosis or what it means to receive a letter informing them of a relative’s diagnosis. It’s vital that ob-gyns are prepared with information and resources to help women make informed and timely choices about available options and the appropriate next steps if further testing is desired,” says Dr. Matteson.

After a patient receives their results, providers should be prepared to provide counseling on the findings, and when appropriate, recommend further testing and preventive services, the committee advises. They note that the follow-up process may include a conversation about how patients with positive results tell family members who may share the mutation. ACOG recommends that providers encourage patients with a positive diagnosis to tell relatives of the familial risk.

“At no point should a health care provider contact and notify at-risk family members without explicit permission from their patient. Sharing that information may violate the Health Insurance Portability and Accountability Act, or state laws, or both,” ACOG says in the release.

Providers should also be aware of the potential barriers to cascade testing. For example, even if tested, the index patient may have difficulty processing the information or presenting it to his or her family members. Some patients may have logistical challenges to reaching estranged or distant relatives. Limited access to genetic counseling services, as well as insurance coverage issues, are also potential barriers to completing cascade testing.

“Such barriers, however, may be overcome with health care provider awareness and participation in local and state initiatives to improve implementation of cascade testing. Resources (available within federal and state agencies, professional societies, and in advocacy and community groups) are critical to the successful implementation of cascade testing,” the committee writes.

The ACOG Committee Opinion, “Cascade Testing: Testing Women for Known Hereditary Genetic Mutations Associated With Cancer,” was published online December 21 in Obstetrics & Gynecology. The Society of Gynecologic Oncology has endorsed the document.

SOURCE: http://bit.ly/2Dqc3Pa

Obstet Gynecol 2017.



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Macedonia Introduces Emergency Measures as Smog Chokes Capital

Macedonia Introduces Emergency Measures as Smog Chokes Capital


SKOPJE (Reuters) – Macedonia took emergency measures against dense smog enveloping its cities, an annual winter scourge in the Western Balkans blamed on a mix of coal burning, ageing industry and high-polluting emissions from older vehicles.

The government said residents of Skopje and Tetovo had been granted free travel on trains and buses to discourage use of cars while those with chronic illnesses and pregnant women were excused from work. Outdoors sports activities were also banned.

Local media said shops ran out of face masks as many people sought to protect themselves from the subzero and largely windless air in Skopje, which sits at the bottom of a valley.

A World Health Organisation (WHO) study published early this year said Skopje was among 10 European cities with the highest concentration of toxic particles.

Skopje and four other Balkan cities in that list rely for their energy including heating during frigid winters on high-polluting lignite coal, a holdover from decades of old Communist Yugoslav rule.

Sarajevo, Tuzla and Zenica in Bosnia, as well as Kosovo’s capital Pristina, suffer from similar high air pollution.

A recent study by the Health and Environment Alliance (HEAL) found 16 aging, communist-era lignite plants in areas of former Yugoslavia emit as much pollution as all of the European Union’s 296 power plants combined.

With an eye on future EU membership, the governments of ex-Yugoslav republics have pledged to tackle emission levels.

Under the EU’s Industrial Emissions Directive, emissions in the region would have to be reduced by 90% for sulphur dioxide, by 67% for nitrogen oxides and 94% of airborne particulates by 2028.

But the region plans to invest billions of euros in building more coal-fired plants with a total capacity of 2,600 megawatts (MW) to meet rising demand for electricity as old plants are phased out in the next decade.

Environmentalists fear the renewed investment in coal could backfire if governments are forced to spend hundreds of millions of euros more to meet EU environmental standards to qualify for accession to the bloc.



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More Ophthalmologists Using EHRs, but Say Productivity Is Down

More Ophthalmologists Using EHRs, but Say Productivity Is Down


Use of electronic health records (EHRs) has more than doubled among US ophthalmologists in the last decade, yet most of these physicians perceive EHRs as decreasing their productivity and increasing office costs, according to a cross-sectional survey study published online December 28 in JAMA Ophthalmology.

“The adoption rate for ophthalmologists in our survey (72.1%) was in line with that of other specialties,” report Michele C. Lim, MD, from the University of California, Davis, in Sacramento, and colleagues.

The researchers emailed surveys to 2000 ophthalmologists out of more than 18,000 active US members of the American Academy of Ophthalmology in 2015 to 2016. A random selection from mailing address Zip codes generated the sample, and survey responses remained anonymous. “This sampling process was intended to provide a geographically diverse population of ophthalmologists while minimizing the opportunity for multiple responses from physicians who practiced within the same group,” the authors explain in their article.

The survey asked ophthalmologists whether they had started using EHRs, how they perceived their financial and clinical productivity before and after EHR adoption, and their interaction with Medicare and Medicaid programs with perks for those who use EHRs.

Among the 348 (17.4%) ophthalmologists who completed the survey, 72.1% had adopted EHRs in their practice. The proportion of ophthalmologists who reported adoption of EHRs in similar previous surveys was 19% of 592 respondents in 2006 and 47% of 492 respondents in 2011.

Most respondents worked in physician-owned practices devoted solely to ophthalmology, with an average 22 years of practice and an average 5.3 years of EHR use. Nearly all had previously used paper records, and 88% of those currently using EHRs were present for the transition from paper records.

Just more than half the respondents (52%) hosted their EHR data at or near their practice, whereas 34% used a cloud-based server. One in 10 of those using EHRs did not know where the data were stored.

The mean number of ophthalmologists in a practice was higher among those with an EHR than without. “[O]phthalmologists from practices that were part of an integrated health system, government health system, or university were more likely to have adopted EHR than not,” the authors report.

Ophthalmologists reported a variety of methods to view in-office test results, but paper reports still dominated, with 46% usage. However, 37% viewed images in the EHR, and 39% used vendor software, followed by scanned printed images and picture archiving and communication systems. (Offices could report multiple methods.)

Half the respondents (50%) reported satisfaction with their practice’s clinical documentation system, and 49% were satisfied with their image management system.

Despite the increase in adoption, more physicians today than in the past perceived EHRs as having a negative effect on their productivity and financial bottom line. More than half of respondents in 2016 believed their productivity, as measured in patients seen per day, had decreased since adopting EHRs compared with less than 20% in 2006, when more than 60% saw an increase in productivity after EHR implementation.

Despite these concerns, three previous studies of academic ophthalmology practices found no change in patient volume after EHR adoption, Dr Lim and colleagues note, and only one smaller past study saw a decline. “The perception of productivity decline may be partially owing to the multiple tasks that are required to obtain incentive payments,” the authors write.

A much higher proportion of physicians today also reported increases in overall post-EHR practice costs than in 2006 and 2011. More than 70% perceived an increase in the more recent survey compared with 40% in 2011 and less than 15% in 2006.

When asked about the effect of EHRs on revenue, the answers were less consistent. Thirty-five percent of respondents said it had remained the same since EHR adoption, 41% perceived a decrease, and almost 9% felt there had been an increase.

Meanwhile, a quarter of respondents believed EHR use made it easier to provide quality care compared with 35% who thought it was harder and 36% who saw no difference.

Respondents did perceive positive attitudes toward EHRs among their patients: 76% thought their patients felt mostly positive or neutral toward EHR use. Yet, when asked if they would return to paper records if given the opportunity, 36% of ophthalmologists said they would.

When the survey asked about federal Medicaid and Medicare programs that incentivize use of EHRs, 63% of respondents felt they knew enough about the program to decide whether to participate, but 11% had little or no knowledge.

“Among all respondents, 60% (n = 209) had already attested to stage 1 of the incentive program, 7.5% (n = 26) were planning to, 21% (n = 73) were not planning to, and 12% (n = 42) were unsure,” the authors write. Leading reasons for not attesting to stage 1 included the cost of participation, the complexity of participation, and perceiving the incentive as irrelevant to their practice. Similar reasons were cited for not attesting to stage 2, although 41% had already done so and 42% planned to.

The authors note that the sample size was relatively small, and the low response rate suggests the findings may not represent the attitudes and beliefs of ophthalmologists nationwide.

“[I]t is possible that those who responded to the survey were more likely to have negative opinions of the EHR or that early, more enthusiastic adopters were more likely to have been included in the 2006 EHR survey and that this may account for the shift in opinions,” Dr Lim and colleagues write. They also note that they did not collect financial data from practices, so responses related to finances are based only on physicians’ perceptions.

Echoing that point, Jennifer S. Weizer, MD, and colleagues from the University of Michigan’s Kellogg Eye Center in Ann Arbor, note in an accompanying commentary that the negative perceptions reported in this survey may result from selection bias and may not match up with available qualitative data.

“It would be interesting to determine whether the use of scribes was associated with a higher or lower rate of satisfaction with EHRs,” they write.

The commentary authors also point to the 53% of respondents who saw net positive value in keeping EHRs despite the 68% who saw paper documentation as faster. “It is this value proposition that may likely underlie the future of EHR implementation and physician perceptions about EHR systems,” Dr Weizer and colleagues write. “At its root, the Lim et al study illustrates the significant opportunities to create a better, more cohesive EHR system that includes integrated clinical and image documentation.”

The research was funded by the American Academy of Ophthalmology. One coauthor reported unpaid work on the Scientific Advisory Board for Clarity Medical Systems and being a steering committee consultant for RAINBOW study at Novartis. Another coauthor has received research support from Alcon Labs.

JAMA Ophthalmol. Published online December 28, 2017. Article full text, Commentary extract

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Cancer Risk Rises With More CV Procedures in Congenital-HD Adults

Cancer Risk Rises With More CV Procedures in Congenital-HD Adults


MONTREAL, QC — Repeated exposure to radiation from imaging for cardiovascular procedures in adults with congenital heart disease is related, in dose-response fashion, to increased lifetime risk of cancer, a longitudinal cohort-based study suggests[1].

The cumulative incidence of cancer in >24,000 such patients, who were at least aged 25 in 1995, was 15.3%; cancer was diagnosed at a median age of 55. The risk over 15 years was 8.5% for those with a history of at least six cardiovascular procedures, during which they were exposed to low-dose ionizing radiation (LDIR), and only 3.3% for those who had undergone up to one such procedure (P<0.0001).

The findings in a population that undergoes repeated cardiovascular imaging, often starting at a young age, and which is aging in growing numbers, support radiation levels “as low as reasonably achievable” for any imaging procedure, authors of the study, led by Dr Sarah Cohen (McGill University, Montreal, QC) conclude in their report published December 21, 2017 in Circulation.

They also argue for “the selection of nonLDIR-related imaging whenever medically appropriate” for patients with congenital heart disease.

The analysis covered 250,791 person-years of follow-up in 24,833 adult patients with congenital heart disease who were aged 18 to 64 from 1995 to 2009 without a prior cancer diagnosis. Lifetime LDIR exposure from procedures was imputed based on expected dosages by procedure according to the literature, caution the authors.

A case-control analysis matched each patient who developed cancer with four random patients from the cohort without cancer based on sex, congenital heart disease severity, birth year, and age at cancer diagnosis. In that analysis, 5.5% of cases and 2.8% of controls were among those with a history of at least six cardiovascular procedures. And 74.3% of cases and 83.7% of controls had a history of no more than one procedure (P<0.0001), the authors write.

In multivariate analysis of the entire cohort, cumulative LDIR exposure independently predicted a cancer diagnosis at a per-procedure odds ratio (OR) of 1.08 (95% CI 1.04–1.13). The OR was 1.10 (95% CI 1.05–1.16) after excluding anyone diagnosed with a smoking-related cancer.

Covariates in the analysis included age, sex, year of birth, congenital heart disease severity, hypertension, diabetes, hypercholesterolemia, obesity, heart failure, atrial arrhythmia, coronary artery disease, kidney disease, peripheral atherosclerosis, pulmonary hypertension, history of stroke, history of infective endocarditis, and surgical history.

Adjusted ORs by degree of LDIR exposure, compared to the lowest-exposure group with no more than one cardiovascular procedure, were

  • 1.39 (95% CI 1.06–1.82) for two or three procedures

  • 1.38 (95% CI 0.90–2.12) for four or five procedures

  • 2.37 (95% CI 1.47–3.84) for six and more procedures

In women, the most frequently diagnosed malignancies were breast cancer in 34.5%, respiratory cancers in 14.2%, genitourinary cancers in 13.3%, and gastrointestinal cancers in 11.5%.

The most frequent in men were genitourinary cancers in 30.8%, gastrointestinal cancers in 23.2%, hematologic cancers in 19.0%, and respiratory cancers in 14.8%.

The authors had no disclosures. The report contains the statement, “The data, analytic methods, and study materials will not be made available to other researchers for purposes of reproducing the results or replicating the procedure since we are unable to share the data due to confidentiality agreement governed by [Régie de l’Assurance Maladie du Québec],” the province’s medical claims agency.

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Medicare Penalizes Group of 751 Hospitals for Patient Injuries

Medicare Penalizes Group of 751 Hospitals for Patient Injuries


The federal government Thursday lowered a year’s worth of Medicare payments to 751 hospitals to penalize them for having the highest rates of patient injuries.

More than half also were punished last year through the penalty, which was created by the Affordable Care Act and began four years ago. The program is designed as a financial incentive for hospitals to avoid infections and other mishaps, such as blood clots and bedsores.

Get The Data: See All 751 Hospitals Penalized

The penalties again fell heavily on teaching hospitals, although less than before. A third of them were punished this year, a Kaiser Health News analysis of the penalties found. Last year, the penalty was levied on nearly half of the nation’s teaching hospitals.

The 115 penalized academic medical centers this year include Denver Health Medical Center, Grady Memorial Hospital in Atlanta, The Mount Sinai Hospital in New York City, Northwestern Memorial Hospital in Chicago, Stanford Health Care hospitals in California and the University of California-San Francisco (UCSF) Medical Center, according to federal records.

“Academic medical centers serve patients with more-complex conditions who are at greater risk of hospital-acquired infections (HAIs) compared to community health care providers,” Stanford Health Care said in a written statement. “Hospitals with a high rate of immunocompromised patients will always seem to have higher HAIs.”

Hospitals that treat large proportions of low-income people also were fined more than hospitals with a more affluent patient base, the analysis found. About a third of those safety-net hospitals were penalized, roughly the same as last year.

The penalties have been controversial from the beginning. The hospital industry faults them as unfairly punishing hospitals that treat sicker patients and those that do a better job of identifying infections and other patient complications. Patient advocates say that, while not perfect, the penalties have been a valuable prod to make hospital executives consider more than the bottom line.

“The program has been very instrumental in focusing hospitals on the problems of patient safety and improved quality,” said Dr. Kevin Kavanagh, board chairman of Health Watch USA, a patient advocacy group. However, he said, the financial uncertainty created by the Republican efforts to revoke the Affordable Care Act has not helped.

“Right now it’s hard for hospitals to improve patient safety when there’s been so much turmoil in the health care market,” he said. “The hospitals have the tools and knowledge to make it better, and they should do so.”

Dr. Atul Grover, executive vice president at the Association of American Medical Colleges, said that while teaching hospitals as a group fared better than last year, “we are still disproportionately affected.”

There were 336 hospitals that lost money a year ago but were spared this time, the analysis showed. They include Barnes Jewish Hospital in St. Louis, Brigham and Women’s Hospital in Boston, Cedars-Sinai Medical Center in Los Angeles, the Cleveland Clinic, Geisinger Medical Center in Danville, Pa., Hospital of the University of Pennsylvania in Philadelphia, Intermountain Medical Center in Murray, Utah, and the University of Michigan Health System in Ann Arbor.

Medicare penalized 425 hospitals that it also had punished last year. For all the penalized hospitals, the reductions will retroactively apply to Medicare payments from the beginning of the federal fiscal year in October and through the end of September 2018. Medicare will cut by 1 percent its payments for each patient’s stay as well as the amount of money hospitals get to teach medical residents and to care for low-income people. The total amount for each hospital depends on how much they end up billing Medicare.

The factors considered in the Hospital-Acquired Condition Reduction Program include rates of infections from hysterectomies, colon surgeries, urinary tract catheters and central line tubes inserted into veins. It also encompasses rates of methicillin-resistant Staphylococcus aureus , or MRSA, and  Clostridium difficile , known as C-diff. Medicare also takes into account the frequency of 10 types of in-hospital injuries, including bed sores, hip fractures, blood clots, sepsis and post-surgical wound ruptures. Together, these kinds of potentially avoidable events are known as hospital-acquired conditions, or HACs.

Some hospitals have been targeting the infections that Medicare not only penalizes but also publicizes on its Hospital Compare website. UCSF, for instance, said it has been focused on reducing surgical site infections and C-diff cases. “We remain committed to continually decreasing infection rates to provide the highest level of care for our patients,” UCSF said in a statement.

While the Centers for Medicare & Medicaid Services had tweaked its methods for assessing payments, the hospital industry remained displeased with the core design of the penalty. Congress decreed that Medicare penalize the worst-performing quarter of general hospitals each year, guaranteeing that more than about 750 hospitals lose money every year even if they had improved their safety records.

In some cases, the difference between penalized hospitals and those that escaped punishment was negligible, said Nancy Foster, vice president for quality and patient safety at the American Hospital Association. “It’s a ‘HACidental’ payment policy,” she said. “It’s frustrating that you know that many hospitals end up getting a significant penalty when their performance is not different from other hospitals.”

Several types of hospitals are excluded from being considered for penalties. They include hospitals that treat psychiatric patients, veterans or children. Also exempted are hospitals with the “critical access” designation for being the only provider in an area. Maryland hospitals are excluded from the program because Medicare has a separate method of paying them.



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Arthritis in Chikungunya Patients Not Due to Persistent Virus

Arthritis in Chikungunya Patients Not Due to Persistent Virus


Chikungunya virus (CHIKV) infection, a mosquito-borne disease reported in the Americas in 2013, leaves about one quarter of those infected with persistent arthritis, according to data from the Chikungunya Arthritis Mechanisms in the Americas (CAMA) study. The joint symptoms, however, do not appear to be associated with persistent infection, suggesting it is safe to treat patients with regimens used for other types of inflammatory arthritis.

Chronic joint pain after CHIKV infection has been reported previously in prior studies, but the frequency was unclear, with estimates ranging from 30% to 70%. Therefore, Aileen Y. Chang, MD, MSPH, from the Department of Medicine at George Washington University in Washington, DC, and colleagues conducted a cross-sectional follow-up of a prospective cohort of 500 patients who had been clinically diagnosed during the 2014 to 2015 Columbian epidemic.

The patients, referred for the study by primary care providers, had clinically suspected CHIKV, defined as fever greater than 38°C, severe joint pain or arthritis, acute onset of erythema, and residing or having visited an area with evidence of CHIKV transmission.

Of these subjects, 485 were serologically confirmed as having CHIKV and responded to baseline questions regarding joint pain. The most commonly affected joints were wrists, ankles, and fingers, and initial joint pain had lasted a median of 4 days. The authors note there were no significant increases in rheumatoid arthritis-associated markers or in C-reactive protein in subjects with CHIKV-associated arthritis.

With a median follow-up of 20 months, 25.4% of participants reported in a telephone interview that they had persistent joint pain. Factors associated with persistent pain included initial symptoms of headache or joint pain, 4 or more days of initial symptom, 4 or more weeks of initial pain, missed work, missed normal activities, and college graduate status. At follow-up, most patients had only one swollen joint, but also had tenderness in three more joints, with a mean global pain score of 47.

“The finding of chronic joint pain in one fourth of the patients infected with CHIKV approximately 2 years after initial infection has important implications for prediction of the magnitude of disability and health system costs after the Latin American epidemic,” the authors write in an article published online December 20 in Arthritis & Rheumatology. “Prior predictions had over-estimated the expected frequency of CHIKV-related joint pain in Latin America indicating 48% of CHIKV-infected people were predicted to have chronic chikungunya arthritis 20 months after acute infection.”

The authors explain in an accompanying article published at the same time that although small studies have shown apparent benefit from treating CHIKV with antivirals such as ribavirin or immunosuppressants such as methotrexate, hydroxychloroquine, etanercept, adalimumab, or sulfasalazine, large-scale clinical studies will require deeper understanding of CHIKV pathophysiology. “If persistent CHIKV infection is responsible for ongoing arthritis, immunocompromising disease modifying agents may be improper and potentially dangerous treatments. Alternatively, if CHIKV does not persist in the joint, then evaluation of immunomodulating arthritis agents could be useful,” they write.

To address that question, the researchers also performed a cross-sectional analysis of synovial fluid from 38 CHIKV-infected subjects with chronic arthritis and 10 location-matched control patients who were CHIKV-negative and did not have arthritis. The researchers tested the synovial fluid for CHIKV, viral RNA, and viral proteins, using viral culture, quantitative reverse transcription polymerase chain reaction, and mass spectrometry, respectively. All three assays were negative, indicating that the joint pain is not a result of persistent viral infection.

Furthermore, plasma cytokine/chemokine concentrations did not differ significantly between cases and controls, which also supports that conclusion.

The researchers conclude, “This finding suggests that CHIKV may cause arthritis through induction of potential host autoimmunity suggesting a role for immunomodulating medications in the treatment of CHIKV arthritis or that low-level viral persistence exists in synovial tissue only that is undetectable in synovial fluid.”

The authors have disclosed no relevant financial relationships.

Arthritis Rheum. Published online December 20, 2017. Chronic joint pain abstract, Arthritis abstract

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New AAN Guideline: Exercise Has Cognitive Benefits in MCI

New AAN Guideline: Exercise Has Cognitive Benefits in MCI


For patients with mild cognitive impairment (MCI), regular exercise is likely to improve cognitive functioning, an updated guideline from the American Academy of Neurology (AAN) concludes.

“It’s exciting that exercise may help improve memory at this stage, as it’s something most people can do, and of course it has overall health benefits,” lead author Ronald C Petersen, MD, PhD, from the Mayo Clinic in Rochester, Minnesota, said in a statement.

The new guideline says cognitive training may improve cognitive measures, but there is no high-quality evidence to support pharmacologic treatments to ease symptoms of MCI.

The new AAN guideline on MCI, which is endorsed by the Alzheimer’s Association, was published online December 27 in Neurology. It updates to the AAN’s 2001 guideline on MCI.

To update the MCI guideline, Dr Peterson and the guideline panel systematically reviewed the latest published articles on MCI prevalence, prognosis, and treatment.

The data show that MCI prevalence increases with age, at 6.7% for ages 60 to 64 years, 8.4% for ages 65 to 69 years, 10.1% for ages 70 to 74 years, 14.8% for ages 75 to 79 years, and 25.2% for ages 80 to 84 years. The data also suggest that the incidence for the development of dementia is 14.9% in individuals with MCI older than age 65 years followed for 2 years.

The guideline recommends that patients with MCI exercise regularly as part of an overall approach to managing their symptoms. Although long-term studies have not been conducted, studies lasting 6 months suggest twice-weekly exercise training may improve memory.

There are currently no medications approved by the US Food and Drug Administration for the treatment of MCI, and there are currently no high-quality, long-term studies that suggest drugs or dietary changes can improve cognitive functioning in patients with MCI, the guideline says.

As for cognitive training, there is “insufficient” evidence to support or refute the use of any individual cognitive intervention strategy for MCI, the guideline says. There is “weak evidence” that cognitive training may be beneficial in improving measures of cognitive function, and physicians may recommend cognitive training for patients with MCI, the AAN says in a news release.

The updated MCI guideline also advises clinicians to:

  • assess for MCI using validated tools in appropriate scenarios (level B);

  • evaluate patients with MCI for modifiable risk factors, assess for functional impairment, and assess for and treat behavioral/neuropsychiatric symptoms (level B);

  • monitor cognitive status of patients with MCI over time (level B);

  • stop cognitively impairing medications where possible, and treat behavioral symptoms (level B);

  • consider not offering cholinesterase inhibitors (level B), and if offering, first discuss lack of evidence (level A);

  • recommend regular exercise (level B);

  • consider recommending cognitive training (level C);

  • discuss diagnosis, prognosis, long-term planning, and the lack of effective drug options (level B); and

  • consider discussing biomarker research with patients with MCI and families (level C).

Development of the guideline was funded by the American Academy of Neurology. Full disclosures for the guideline panel are listed with the original article.

Neurology. Published online December 27, 2017. Abstract

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Kamis, 28 Desember 2017

CDC Advisory: Flu Increasing, Be Ready With Antivirals

CDC Advisory: Flu Increasing, Be Ready With Antivirals


Influenza activity, predominantly from A(H3N2), has increased significantly in recent weeks, according to the Centers for Disease Control and Prevention (CDC), which issued a health advisory Wednesday.

Given the characteristics of this season’s flu, the CDC is recommending, in addition to the flu vaccine for prevention, increased use of neuraminidase inhibitor (NAI) antivirals for treatment.

Quick treatment is crucial and “should not be delayed even for a few hours to wait for the results of testing,” according to the advisory. Treatment works best when started within 2 days of onset but has shown benefit for some patients even when initiated later.

Focus on treatment is important because in past seasons, A(H3N2) has been linked with more deaths and hospitalizations in people aged 65 years and older and young children than in other groups. Also, this year’s vaccine effectiveness may be as low as last year’s, at 32% for A(H3N2), the CDC says.

NAIs have been effective in randomized trials but have been underused with both outpatients and inpatients, the CDC notes.

The advisory reminds clinicians that all inpatients and all high-risk patients (whether inpatient or outpatient) who are suspected of having or confirmed to have influenza should be treated.

Those groups include the following:

  • Patients with severe, complicated, or progressive illness, including outpatients with severe or prolonged progressive symptoms or those who develop pneumonia;

  • Children under age 2 years or people 65 years and older, as well as people younger than 19 years who are receiving long-term aspirin therapy;

  • American Indians/Alaska natives;

  • Women who are pregnant or within 2 weeks postpartum;

  • People with suppressed immune systems;

  • Extremely obese people (body mass index of at least 40); and

  • Those living in long-term care facilities.

Treatment is also indicated when flu is suspected or confirmed for “persons with chronic pulmonary (including asthma), cardiovascular (except hypertension alone), renal, hepatic, hematological (including sickle cell disease), and metabolic disorders (including diabetes mellitus), or neurologic and neurodevelopment conditions (including disorders of the brain, spinal cord, peripheral nerve, and muscle such as cerebral palsy, epilepsy [seizure disorders], stroke, intellectual disability [mental retardation], moderate to severe developmental delay, muscular dystrophy, or spinal cord injury),” the CDC advises.

To more effectively treat patients quickly, the CDC says providers may want to consider setting up phone triage lines or write antiviral prescriptions without testing and before an office visit when treatment is deemed necessary over the phone.

Three NAIs are approved by the US Food and Drug Administration and recommended for the 2017-2018 season: oseltamivir; zanamivir; and peramivir.

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Ex-lawyer for Shkreli Convicted of Aiding Fraud Scheme

Ex-lawyer for Shkreli Convicted of Aiding Fraud Scheme


(Reuters) – A New York corporate lawyer who once advised Martin Shkreli was convicted on Wednesday of charges he helped the former pharmaceutical executive steal millions of dollars from a drug company to pay back investors in two failed hedge funds.

Evan Greebel, who was outside counsel to Shkreli’s former company Retrophin Inc, was found guilty by a federal jury in Brooklyn of charges that he conspired to commit wire fraud and securities fraud, the U.S. government said.

“We are shocked by the verdict,” said Reed Brodsky, a lawyer for Greebel. “We will continue to fight for justice for Evan Greebel and his family.”

Greebel, 44, was a partner at the law firm Katten Muchin Rosenman when he was working for Retrophin. He later joined the firm Kaye Scholer, but resigned after his arrest in December 2015.

Shkreli, 34, became notorious in 2015 when he raised the price of anti-parasitic drug Daraprim to $750 a pill, from $13.50, as chief executive of Turing Pharmaceuticals. The price hike is not related to the criminal case.

The charges he and Greebel faced related to Shkreli’s management of his previous drug company, Retrophin, and of two hedge funds, MSMB Capital and MSMB Healthcare, from 2009 to 2014.

A jury in August found Shkreli guilty of defrauding MSMB investors, but not guilty of conspiring with Greebel to steal from Retrophin.

In September, following his conviction, Shkreli was jailed after he placed a $5,000 bounty on former presidential candidate Hillary Clinton’s hair, prompting U.S. District Judge Kiyo Matsumoto to revoke his bail.

According to prosecutors, Greebel faces a maximum sentence of 20 years in prison on the wire fraud count.



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Spine Surgery Safety at Hospitals vs Outpatient Facilities

Spine Surgery Safety at Hospitals vs Outpatient Facilities


(Reuters Health) – Patients who get spinal surgery at outpatient centers may be more likely to have serious complications or require repeat operations than their counterparts who get these procedures in a hospital, a U.S. study suggests.

Researchers focused on anterior cervical discectomy and fusion (ACDF), which involves removing a damaged disc in the neck to reduce pressure on the spinal cord or nerve root that can cause pain, numbness and weakness. Most of these surgeries are done in hospitals with a one- or two-night stay, but a growing number of people are going instead to outpatient centers that may have lower costs in part because they don’t keep patients overnight.

The study looked at outcomes for 1,215 patients who had outpatient ACDF and 10,964 people who had these operations in a hospital between 2011 and 2016.

Overall, there were few complications, researchers report online November 16 in The Spine Journal.

One year after surgery, 5.5% of the people who had outpatient surgery needed repeat operations, as did 4.1% in the inpatient group.

After accounting for individual patient characteristics like age, gender and other health problems, the researchers found that people who had outpatient ACDF were 79% more likely to require repeat operations within one year than patients who had operations in a hospital.

Outpatients were also 25% more likely to experience postoperative kidney failure.

“We were surprised that the outpatient cohort had greater rates of postoperative renal failure since these patients are typically younger and healthier to undergo surgery in the outpatient setting,” said senior study author Dr. Don Young Park of the David Geffen School of Medicine at the University of California, Los Angeles.

“Our study is the first to show that outpatient ACDF is associated with some increased risk, even in ideal surgical candidates,” Park said by email.

All of the patients in the study had insurance through Humana.

In both the inpatient and outpatient groups, half of the patients were at least 65 to 69 years old.

The study wasn’t a controlled experiment designed to prove whether or how the location of surgery might influence the outcomes.

Another limitation of the study is that it relied on insurance claims data and lacked detailed medical information on individual patients, the authors note. Researchers also didn’t have data on early complications such as emergency room visits or hospitalizations.

Individual patient factors missing from the insurance claims data might explain the slight differences in outcomes between inpatient and outpatient operations, said Dr. Matthew McGirt of Carolina Neurosurgery & Spine Associates in Charlotte, North Carolina, who wasn’t involved in the study.

“There was no way to show the patient groups were similar with regards to risk factors for failed fusion,” McGirt said by email.

One factor that might have made a difference is smoking status, noted Dr. John Ratliff, a researcher at Stanford University Medical Center in California who wasn’t involved in the study.

“Smoking cessation is important in preventing post-operative complications,” Ratliff said by email. “Unfortunately, this study does not assess smoking status.”

Still, the findings add to the evidence that these operations can be done safely, but should be considered only after other treatments such as physical therapy, pain medication or steroid injections fail, doctors say.

“Surgery should be reserved for patients with severe pain despite an appropriate course of non-operative treatment or for those with neurologic deficits,” said Dr. Frank Phillips, a researcher at Rush University Medical Center in Chicago who wasn’t involved in the study.

“In appropriately selected patients, the success rate for ACDF procedure in terms of improving symptoms is generally above 90 percent,” Phillips said by email.

Part of that selection process should involve considering which patients have the lowest complication risk and may be the most appropriate candidates for outpatient operations, said Dr. Daniel Refai, a researcher at Emory University in Atlanta who wasn’t involved in the study.

“Insurance companies and physician-owned ambulatory centers are driving patients to more outpatient surgeries,” Refai said by email. “But without proper selection, patients may be at increased risk with poorer outcomes.”

SOURCE: http://bit.ly/2zDvHVF

Spine J 2017.



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