@article{GerberQuarderGreefrathetal.2023, author = {Gerber, Sebastian and Quarder, Jascha and Greefrath, Gilbert and Siller, Hans-Stefan}, title = {Promoting adaptive intervention competence for teaching simulations and mathematical modelling with digital tools}, series = {Frontiers in Education}, volume = {8}, journal = {Frontiers in Education}, issn = {2504-284X}, doi = {10.3389/feduc.2023.1141063}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-323701}, year = {2023}, abstract = {Providing adaptive, independence-preserving and theory-guided support to students in dealing with real-world problems in mathematics lessons is a major challenge for teachers in their professional practice. This paper examines this challenge in the context of simulations and mathematical modelling with digital tools: in addition to mathematical difficulties when autonomously working out individual solutions, students may also experience challenges when using digital tools. These challenges need to be closely examined and diagnosed, and might - if necessary - have to be overcome by intervention in such a way that the students can subsequently continue working independently. Thus, if a difficulty arises in the working process, two knowledge dimensions are necessary in order to provide adapted support to students. For teaching simulations and mathematical modelling with digital tools, more specifically, these knowledge dimensions are: pedagogical content knowledge about simulation and modelling processes supported by digital tools (this includes knowledge about phases and difficulties in the working process) and pedagogical content knowledge about interventions during the mentioned processes (focussing on characteristics of suitable interventions as well as their implementation and effects on the students' working process). The two knowledge dimensions represent cognitive dispositions as the basis for the conceptualisation and operationalisation of a so-called adaptive intervention competence for teaching simulations and mathematical modelling with digital tools. In our article, we present a domain-specific process model and distinguish different types of teacher interventions. Then we describe the design and content of a university course at two German universities aiming to promote this domain-specific professional adaptive intervention competence, among others. In a study using a quasi-experimental pre-post design (N = 146), we confirm that the structure of cognitive dispositions of adaptive intervention competence for teaching simulations and mathematical modelling with digital tools can be described empirically by a two-dimensional model. In addition, the effectiveness of the course is examined and confirmed quantitatively. Finally, the results are discussed, especially against the background of the sample and the research design, and conclusions are derived for possibilities of promoting professional adaptive intervention competence in university courses.}, language = {en} } @article{KraemerBeckerBleyetal.2022, author = {Kraemer, Markus and Becker, Jana and Bley, Thorsten Alexander and Steinbrecher, Andreas and Minnerup, Jens and Hellmich, Bernhard}, title = {Diagnostik und Therapie der Riesenzellarteriitis}, series = {Der Nervenarzt}, volume = {93}, journal = {Der Nervenarzt}, number = {8}, issn = {0028-2804}, doi = {10.1007/s00115-021-01216-8}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-307771}, pages = {819-827}, year = {2022}, abstract = {Die Riesenzellarteriitis (RZA) ist in der Altersgruppe der {\"u}ber 50-J{\"a}hrigen die h{\"a}ufigste idiopathische systemische Vaskulitis. Die Erkrankung bedarf einer zeitnahen Diagnostik und Therapie, um schwere Komplikationen wie eine Erblindung oder einen Schlaganfall zu vermeiden. Die Rezidivneigung erfordert eine mehrj{\"a}hrige, zum Teil lebenslange Glukokortikoid(GC)-Therapie, was das Risiko GC-induzierter Langzeitnebenwirkungen erh{\"o}ht. Daher wird bei der Mehrzahl der Patienten eine additive GC-einsparende Therapie empfohlen. Hierzu steht der Anti-IL-6-Rezeptor-Antik{\"o}rper Tocilizumab in subkutaner Applikation als zugelassene Substanz zur Verf{\"u}gung, alternativ kann Methotrexat (MTX) eingesetzt werden (off-label).}, language = {de} } @article{StebaniBlaimerZableretal.2023, author = {Stebani, Jannik and Blaimer, Martin and Zabler, Simon and Neun, Tilmann and Pelt, Dani{\"e}l M. and Rak, Kristen}, title = {Towards fully automated inner ear analysis with deep-learning-based joint segmentation and landmark detection framework}, series = {Scientific Reports}, volume = {13}, journal = {Scientific Reports}, doi = {10.1038/s41598-023-45466-9}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-357411}, year = {2023}, abstract = {Automated analysis of the inner ear anatomy in radiological data instead of time-consuming manual assessment is a worthwhile goal that could facilitate preoperative planning and clinical research. We propose a framework encompassing joint semantic segmentation of the inner ear and anatomical landmark detection of helicotrema, oval and round window. A fully automated pipeline with a single, dual-headed volumetric 3D U-Net was implemented, trained and evaluated using manually labeled in-house datasets from cadaveric specimen (N = 43) and clinical practice (N = 9). The model robustness was further evaluated on three independent open-source datasets (N = 23 + 7 + 17 scans) consisting of cadaveric specimen scans. For the in-house datasets, Dice scores of 0.97 and 0.94, intersection-over-union scores of 0.94 and 0.89 and average Hausdorf distances of 0.065 and 0.14 voxel units were achieved. The landmark localization task was performed automatically with an average localization error of 3.3 and 5.2 voxel units. A robust, albeit reduced performance could be attained for the catalogue of three open-source datasets. Results of the ablation studies with 43 mono-parametric variations of the basal architecture and training protocol provided task-optimal parameters for both categories. Ablation studies against single-task variants of the basal architecture showed a clear performance beneft of coupling landmark localization with segmentation and a dataset-dependent performance impact on segmentation ability.}, language = {en} } @article{CucherMaricontiManciullietal.2023, author = {Cucher, Marcela A. and Mariconti, Mara and Manciulli, Tommaso and Vola, Ambra and Rosenzvit, Mara C. and Brehm, Klaus and Kamenetzky, Laura and Brunetti, Enrico}, title = {Circulating small RNA profiling of patients with alveolar and cystic echinococcosis}, series = {Biology}, volume = {12}, journal = {Biology}, number = {5}, issn = {2079-7737}, doi = {10.3390/biology12050715}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-319270}, year = {2023}, abstract = {Alveolar (AE) and cystic (CE) echinococcosis are two parasitic diseases caused by the tapeworms Echinococcus multilocularis and E. granulosus sensu lato (s. l.), respectively. Currently, AE and CE are mainly diagnosed by means of imaging techniques, serology, and clinical and epidemiological data. However, no viability markers that indicate parasite state during infection are available. Extracellular small RNAs (sRNAs) are short non-coding RNAs that can be secreted by cells through association with extracellular vesicles, proteins, or lipoproteins. Circulating sRNAs can show altered expression in pathological states; hence, they are intensively studied as biomarkers for several diseases. Here, we profiled the sRNA transcriptomes of AE and CE patients to identify novel biomarkers to aid in medical decisions when current diagnostic procedures are inconclusive. For this, endogenous and parasitic sRNAs were analyzed by sRNA sequencing in serum from disease negative, positive, and treated patients and patients harboring a non-parasitic lesion. Consequently, 20 differentially expressed sRNAs associated with AE, CE, and/or non-parasitic lesion were identified. Our results represent an in-depth characterization of the effect E. multilocularis and E. granulosus s. l. exert on the extracellular sRNA landscape in human infections and provide a set of novel candidate biomarkers for both AE and CE detection.}, language = {en} } @article{MartinRommelThomasetal.2022, author = {Martin, Tamara and Rommel, Kathrin and Thomas, Carina and Eymann, Jutta and Kretschmer, Tanita and Berner, Reinhard and Lee-Kirsch, Min Ae and Hebestreit, Helge}, title = {Seltene Erkrankungen in den Daten sichtbar machen - Kodierung}, series = {Bundesgesundheitsblatt - Gesundheitsforschung - Gesundheitsschutz}, volume = {65}, journal = {Bundesgesundheitsblatt - Gesundheitsforschung - Gesundheitsschutz}, number = {11}, doi = {10.1007/s00103-022-03598-9}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-324275}, pages = {1133-1142}, year = {2022}, abstract = {Seltene Erkrankungen (SE) werden durch die im deutschen Gesundheitssystem verwendete Diagnosenklassifikation ICD-10-GM (International Statistical Classification of Diseases and Related Health problems, 10th Revision, German Modification) nur zu einem kleinen Teil eindeutig erfasst. Daher sind Aussagen zur H{\"a}ufigkeit von SE sowie zum speziellen Versorgungs- und Finanzierungsbedarf nicht m{\"o}glich, was zu einer l{\"u}ckenhaften Datenlage als Entscheidungsgrundlage f{\"u}r Krankenkassen, Leistungserbringer und Gesundheitspolitik f{\"u}hrt. Das Fehlen exakter Informationen behindert auch die wissenschaftliche Arbeit. Daher wird deutschlandweit ab 2023 die Verwendung der Alpha-ID-SE-Datei und der ORPHAcodes f{\"u}r die spezifische Erfassung von SE bei station{\"a}ren F{\"a}llen verpflichtend. Die Alpha-ID-SE-Datei verkn{\"u}pft die ICD-10-GM-Kodes mit den international anerkannten ORPHAcodes f{\"u}r die Diagnose von SE. Kommerzielle Anbieter stellen zunehmend die ben{\"o}tigten IT-Tools zur Kodierung von SE zur Verf{\"u}gung. An mehreren Universit{\"a}tskliniken mit Zentren f{\"u}r SE wurden L{\"o}sungen etabliert, die eine vollst{\"a}ndige Kodierung gew{\"a}hrleisten sollen. Hierzu geh{\"o}ren finanzielle Anreize f{\"u}r die kodierenden Bereiche, konkrete Nachfragen nach dem Vorliegen einer SE beim Kodiervorgang und eine semiautomatische Kodierung bei Patient*innen, die schon einmal mit einer SE an der Einrichtung betreut worden waren. Eine Kombination der verschiedenen Ans{\"a}tze verspricht die h{\"o}chste Wahrscheinlichkeit einer vollst{\"a}ndigen Kodierung. F{\"u}r ein umf{\"a}ngliches Bild der SE im Gesundheitssystem und um dem speziellen Versorgungs- und Finanzierungsbedarf besser Rechnung tragen zu k{\"o}nnen, w{\"a}re auch im ambulanten Bereich eine m{\"o}glichst spezifische und eindeutige Kodierung w{\"u}nschenswert. F{\"u}r komplexe SE und bisher undiagnostizierte Patient*innen wird zus{\"a}tzlich eine strukturierte Erfassung des Ph{\"a}notyps ben{\"o}tigt.}, language = {de} } @article{StrobelSickenbergerSchoenetal.2022, author = {Strobel, Katharina and Sickenberger, Christina and Schoen, Christoph and Kneitz, Hermann and Kolb-M{\"a}urer, Annette and Goebeler, Matthias}, title = {Diagnosis and therapy of Mycobacterium marinum: a single-center 21-year retrospective analysis}, series = {Journal der Deutschen Dermatologischen Gesellschaft}, volume = {20}, journal = {Journal der Deutschen Dermatologischen Gesellschaft}, number = {9}, doi = {10.1111/ddg.14847}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-318428}, pages = {1211 -- 1218}, year = {2022}, abstract = {Background and Objectives In Europe, infections with Mycobacterium (M.) marinum are rare. We conducted a retrospective single-center study to assess the clinical spectrum of M. marinum infection and its diagnosis, treatment and outcome under real-world conditions. Patients and Methods Eighteen patients presenting with M. marinum infections between 1998 and 2018 were identified in the data warehouse of the University Hospital W{\"u}rzburg and considered for detailed analysis. Results Twelve patients reported aquatic exposure. In 16/18 cases the upper extremities were affected. No invasive infections were detected. Mean time to diagnosis was 15 weeks. Histology revealed granulomatous inflammation in 14 patients while mycobacterial cultures were positive for M. marinum in 16 cases. Most patients received antibiotic monotherapy (14/18) while combination therapy was administered in four cases. Treatment (with a median duration of 10 weeks) was successful in 13 patients. Five patients were lost to follow-up. Conclusions Our retrospective analysis of M. marinum infections at a German tertiary referral center revealed a considerable diagnostic delay and the relevance of microbiological culture, PCR and histology for diagnosis. Monotherapy with clarithromycin (rather than doxycycline) appeared as a reasonable treatment option while immunosuppressed or -compromised patients and those with extended disease received combination therapy.}, language = {en} } @article{DetomasRitzelNasiKordhishtietal.2022, author = {Detomas, Mario and Ritzel, Katrin and Nasi-Kordhishti, Isabella and Wolfsberger, Stefan and Quinkler, Marcus and Losa, Marco and Tr{\"o}ger, Viola and Kroiss, Matthias and Fassnacht, Martin and Vila, Greisa and Honegger, J{\"u}rgen Bernd and Reincke, Martin and Deutschbein, Timo}, title = {Outcome of CRH stimulation test and overnight 8 mg dexamethasone suppression test in 469 patients with ACTH-dependent Cushing's syndrome}, series = {Frontiers in Endocrinology}, volume = {13}, journal = {Frontiers in Endocrinology}, issn = {1664-2392}, doi = {10.3389/fendo.2022.955945}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-289450}, year = {2022}, abstract = {Objective To evaluate diagnostic accuracy of the corticotropin-releasing hormone (CRH) stimulation test and the overnight 8 mg dexamethasone suppression test (DST) for the differentiation of Cushing's disease (CD) and ectopic Cushing's syndrome (ECS). Methods Retrospective study in 6 European centers. Inclusion criteria: patients with a) overt adrenocorticotropin (ACTH)-dependent Cushing's syndrome at the time of dynamic testing, b) histopathological confirmed tumors and/or c) postoperative biochemical remission and/or adrenal insufficiency. Optimal cut-offs were calculated via receiver operating characteristic (ROC) analysis using CD as reference. Results 469 patients were analyzed [78\% females; median age 43 years (IQR 19)]. CRH test and overnight 8 mg DST were performed in 420 [CD, n=394 (94\%); ECS, n=26 (6\%)] and 237 patients [228 CD (96\%), 9 ECS (4\%)]. Both tests were performed in 205 patients (44\%). The post-CRH \%-increase at 30 minutes of both ACTH (cut-off ≥31\%, sensitivity 83\%, specificity 85\%, AUC 0.81) and cortisol (cut-off ≥12\%, sensitivity 82\%, specificity 89\%, AUC 0.86) discriminated best between CD and ECS. A test duration of >60 minutes did not improve diagnostic performance of the CRH test. The optimal cortisol cut-off for the \%-suppression during the 8 mg DST was ≥55\% (sensitivity 80\%, specificity 78\%, AUC 0.75). Conclusion The CRH test has equivalent sensitivity but higher specificity than the 8 mg DST and is therefore the test of first choice. The diagnostic outcome of ACTH and cortisol is well comparable, however, sampling beyond 60 minutes post-CRH does not provide diagnostic benefits.}, language = {en} } @article{KrastlWeigerFilippietal.2021, author = {Krastl, G. and Weiger, R. and Filippi, A. and van Wees, H. and Ebeleseder, K. and Ree, M. and Connert, T. and Widbiller, M. and Tj{\"a}derhane, L. and Dummer, P. M. H. and Galler, K.}, title = {Endodontic management of traumatized permanent teeth: a comprehensive review}, series = {International Endodontic Journal}, volume = {54}, journal = {International Endodontic Journal}, number = {8}, doi = {10.1111/iej.13508}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-259412}, pages = {1221-1245}, year = {2021}, abstract = {The pulp plays a key role in the treatment of traumatic dental injuries (TDIs) and is strongly associated with the outcome, particularly in severe cases. A correct pulp diagnosis is essential as it forms the basis for developing the appropriate management strategy. However, many TDIs are complex, and their treatment requires a profound knowledge of the physiological and pathological responses of the affected tissues. This comprehensive review will look at the dentine-pulp complex and its interaction with the surrounding tissues following TDIs. The literature up to 2020 was reviewed based on several searches on PubMed and the Cochrane Library using relevant terms. In addition to the recently revised guidelines of the International Association of Dental Traumatology, this article aims to provide background information with a focus on endodontic aspects and to gather evidence on which a clinician can make decisions on the choice of the appropriate endodontic approach for traumatized permanent teeth.}, language = {en} } @article{EgenolfAltenschildescheKressetal.2021, author = {Egenolf, Nadine and Altenschildesche, Caren Meyer zu and Kreß, Luisa and Eggermann, Katja and Namer, Barbara and Gross, Franziska and Klitsch, Alexander and Malzacher, Tobias and Kampik, Daniel and Malik, Rayaz A. and Kurth, Ingo and Sommer, Claudia and {\"U}{\c{c}}eyler, Nurcan}, title = {Diagnosing small fiber neuropathy in clinical practice: a deep phenotyping study}, series = {Therapeutic Advances in Neurological Disorders}, volume = {14}, journal = {Therapeutic Advances in Neurological Disorders}, issn = {1756-2864}, doi = {10.1177/17562864211004318}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-232019}, year = {2021}, abstract = {Background and aims: Small fiber neuropathy (SFN) is increasingly suspected in patients with pain of uncertain origin, and making the diagnosis remains a challenge lacking a diagnostic gold standard. Methods: In this case-control study, we prospectively recruited 86 patients with a medical history and clinical phenotype suggestive of SFN. Patients underwent neurological examination, quantitative sensory testing (QST), and distal and proximal skin punch biopsy, and were tested for pain-associated gene loci. Fifty-five of these patients additionally underwent pain-related evoked potentials (PREP), corneal confocal microscopy (CCM), and a quantitative sudomotor axon reflex test (QSART). Results: Abnormal distal intraepidermal nerve fiber density (IENFD) (60/86, 70\%) and neurological examination (53/86, 62\%) most frequently reflected small fiber disease. Adding CCM and/or PREP further increased the number of patients with small fiber impairment to 47/55 (85\%). Genetic testing revealed potentially pathogenic gene variants in 14/86 (16\%) index patients. QST, QSART, and proximal IENFD were of lower impact. Conclusion: We propose to diagnose SFN primarily based on the results of neurological examination and distal IENFD, with more detailed phenotyping in specialized centers.}, language = {en} } @article{EndlichRichterMarxetal.2020, author = {Endlich, Darius and Richter, Tobias and Marx, Peter and Lenhard, Wolfgang and Moll, Kristina and Witzel, Bj{\"o}rn and Schulte-K{\"o}rne, Gerd}, title = {Spelling Error Detection : A Valid and Economical Task for Assessing Spelling Skills in Elementary-School Children}, series = {Zeitschrift f{\"u}r Entwicklungspsychologie und P{\"a}dagogische Psychologie}, volume = {52}, journal = {Zeitschrift f{\"u}r Entwicklungspsychologie und P{\"a}dagogische Psychologie}, number = {1-2}, issn = {0049-8637}, doi = {10.1026/0049-8637/a000227}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-244665}, pages = {25-40}, year = {2020}, abstract = {The ability to spell words correctly is a key competence for educational and professional achievement. Economical procedures are essential to identifying children with spelling problems as early as possible. Given the strong evidence showing that reading and spelling are based on the same orthographic knowledge, error-detection tasks (EDTs) could be considered such an economical procedure. Although EDTs are widely used in English-speaking countries, the few studies in German-speaking countries investigated only pupils in secondary school. The present study investigated N = 1,513 children in elementary school. We predicted spelling competencies (measured by dictation or gap-fill dictation) based on an EDT via linear regression. Error-detection abilities significantly predicted spelling competencies (R² between .509 and .679), indicating a strong connection. Predictive values in identifying children with poor spelling abilities with an EDT proved to be sufficient. Error detection for the assessment of spelling skills is therefore a valid instrument for transparent languages as well.}, language = {en} } @article{HofmannBoettgerRangeetal.2017, author = {Hofmann, Sigrun Ruth and B{\"o}ttger, Fanny and Range, Ursula and L{\"u}ck, Christian and Morbach, Henner and Girschick, Hermann Joseph and Suttorp, Meinolf and Hedrich, Christian Michael}, title = {Serum interleukin-6 and CCL11/eotaxin may be suitable biomarkers for the diagnosis of chronic nonbacterial osteomyelitis}, series = {Frontiers in Pediatrics}, volume = {5}, journal = {Frontiers in Pediatrics}, doi = {10.3389/fped.2017.00256}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-172744}, year = {2017}, abstract = {Objectives: Chronic recurrent multifocal osteomyelitis (CRMO), the most severe form of chronic nonbacterial osteomyelitis (CNO), is an autoinflammatory bone disorder. In the absence of diagnostic criteria or biomarkers, CNO/CRMO remains a diagnosis of exclusion. The aim of this study was to identify biomarkers for diagnosing multifocal disease (CRMO). Study design: Sera from 71 pediatric CRMO patients, 11 patients with osteoarticular infections, 62 patients with juvenile idiopathic arthritis (JIA), 7 patients with para-infectious or reactive arthritis, and 43 patients with acute leukemia or lymphoma, as well as 59 healthy individuals were collected. Multiplex analysis of 18 inflammation- and/or bone remodeling-associated serum proteins was performed. Statistical analysis included univariate ANOVA, discriminant analysis, univariate receiver operating characteristic (ROC) analysis, and logistic regression analyses. Results: For 14 of 18 blood serum proteins, significant differences were determined between CRMO patients, at least one alternative diagnosis, or healthy controls. Multi-component discriminant analysis delivered five biomarkers (IL-6, CCL11/eotaxin, CCL5/RANTES, collagen Iα, sIL-2R) for the diagnosis of CRMO. ROC analysis allowed further reduction to a core set of 2 biomarkers (CCL11/eotaxin, IL-6) that are sufficient to discern between CRMO, healthy controls, and alternative diagnoses. Conclusion: Serum biomarkers CCL11/eotaxin and IL-6 differentiate between patients with CRMO, healthy controls, and alternative diagnoses (leukemia and lymphoma, osteoarticular infections, para-infectious arthritis, and JIA). Easily accessible biomarkers may aid in diagnosing CRMO. Further studies testing biomarkers in larger unrelated cohorts are warranted.}, language = {en} } @article{ReimannStopperPolaketal.2020, author = {Reimann, Hauke and Stopper, Helga and Polak, Thomas and Lauer, Martin and Herrmann, Martin J. and Deckert, J{\"u}rgen and Hintzsche, Henning}, title = {Micronucleus frequency in buccal mucosa cells of patients with neurodegenerative diseases}, series = {Scientific Reports}, volume = {10}, journal = {Scientific Reports}, doi = {10.1038/s41598-020-78832-y}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-231430}, year = {2020}, abstract = {Neurodegenerative diseases show an increase in prevalence and incidence, with the most prominent example being Alzheimer's disease. DNA damage has been suggested to play a role in the pathogenesis, but the exact mechanisms remain elusive. We enrolled 425 participants with and without neurodegenerative diseases and analyzed DNA damage in the form of micronuclei in buccal mucosa samples. In addition, other parameters such as binucleated cells, karyolytic cells, and karyorrhectic cells were quantified. No relevant differences in DNA damage and cytotoxicity markers were observed in patients compared to healthy participants. Furthermore, other parameters such as lifestyle factors and diseases were also investigated. Overall, this study could not identify a direct link between changes in buccal cells and neurogenerative diseases, but highlights the influence of lifestyle factors and diseases on the human buccal cytome.}, language = {en} } @article{EvdokimovDinkelFranketal.2020, author = {Evdokimov, Dimitar and Dinkel, Philine and Frank, Johanna and Sommer, Claudia and {\"U}{\c{c}}eyler, Nurcan}, title = {Characterization of dermal skin innervation in fibromyalgia syndrome}, series = {PLoS One}, volume = {15}, journal = {PLoS One}, number = {1}, doi = {10.1371/journal.pone.0227674}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-229299}, year = {2020}, abstract = {Introduction We characterized dermal innervation in patients with fibromyalgia syndrome (FMS) as potential contribution to small fiber pathology. Methods Skin biopsies of the calf were collected (86 FMS patients, 35 healthy controls). Skin was immunoreacted with antibodies against protein gene product 9.5, calcitonine gene-related peptide, substance P, CD31, and neurofilament 200 for small fiber subtypes. We assessed two skin sections per patient; on each skin section, two dermal areas (150 x 700 mu m each) were investigated for dermal nerve fiber length (DNFL). Results In FMS patients we found reduced DNFL of fibers with vessel contact compared to healthy controls (p<0.05). There were no differences for the other nerve fiber subtypes. Discussion We found less dermal nerve fibers in contact with blood vessels in FMS patients than in controls. The pathophysiological relevance of this finding is unclear, but we suggest the possibility of a relationship with impaired thermal tolerance commonly reported by FMS patients.}, language = {en} } @article{AlbersBernsteinBrachmannetal.2016, author = {Albers, Gregory W. and Bernstein, Richard A. and Brachmann, Johannes and Camm, John and Easton, J. Donald and Fromm, Peter and Goto, Shinya and Granger, Christopher B. and Hohnloser, Stefan H. and Hylek, Elaine and Jaffer, Amir K. and Krieger, Derk W. and Passman, Rod and Pines, Jesse M. and Reed, Shelby D. and Rothwell, Peter M. and Kowey, Peter R.}, title = {Heart Rhythm Monitoring Strategies for Cryptogenic Stroke: 2015 Diagnostics and Monitoring Stroke Focus Group Report}, series = {Journal of the American Heart Association}, volume = {5}, journal = {Journal of the American Heart Association}, number = {e00294}, doi = {10.1161/JAHA.115.002944}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-165709}, pages = {1-11}, year = {2016}, abstract = {No abstract available.}, language = {en} } @article{HammHoeger2011, author = {Hamm, Henning and H{\"o}ger, Peter H}, title = {Skin Tumors in Childhood}, series = {Deutsches {\"A}rzteblatt International}, volume = {108}, journal = {Deutsches {\"A}rzteblatt International}, number = {20}, doi = {10.3238/arztebl.2011.0347}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-142402}, pages = {347-353}, year = {2011}, abstract = {Background: Dermatologists, paediatricians, and general practitioners are often consulted by worried parents for the evaluation of a cutaneous tumor. Methods: Selective literature review. Results: Only 1-2\% of skin tumors excised in children turn out to be malignant when examined histologically. Warning signs of malignancy include rapid growth, firm consistency, diameter exceeding 3 cm, ulceration, a non-movable mass, and presence in the neonatal period. The more common malignant skin tumors in adults-basal cell carcinoma, cutaneous squamous cell carcinoma, and melanoma-are very rare in childhood. Congenital melanocytic nevi and sebaceous nevi bear a lower malignant potential than previously believed; nevertheless, their excision is often indicated. A Spitz nevus can mimic a melanoma both clinically and histologically. Some benign skin tumors of childhood tend to regress spontaneously within a few years but may cause complications at particular locations and when multiple. For infantile hemangiomas requiring systemic treatment because of imminent obstruction or ulceration, propranolol seems to have a far more favorable risk-benefit ratio than corticosteroids. Conclusion: Physicians need specialized knowledge in order to decide whether a skin tumor in a child should be excised, non-surgically treated, or further evaluated, or whether it can be safely left untreated because of the likelihood of spontaneous remission.}, language = {en} } @article{GilbertEdenMeffertetal.2018, author = {Gilbert, F. and Eden, L. and Meffert, R. and Konietschke, F. and Lotz, J. and Bauer, L. and Staab, W.}, title = {Intra- and interobserver reliability of glenoid fracture classifications by Ideberg, Euler and AO}, series = {BMC Musculoskeletal Disorders}, volume = {19}, journal = {BMC Musculoskeletal Disorders}, number = {89}, doi = {10.1186/s12891-018-2016-8}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-176482}, year = {2018}, abstract = {Background: Representing 3\%-5\% of shoulder girdle injuries scapula fractures are rare. Furthermore, approximately 1\% of scapula fractures are intraarticularfractures of the glenoid fossa. Because of uncertain fracture morphology and limited experience, the treatment of glenoid fossa fractures is difficult. The glenoid fracture classification by Ideberg (1984) and Euler (1996) is still commonly used in literature. In 2013 a new glenoid fracture classification was introduced by the AO. The purpose of this study was to examine the new AO classification in clinical practice in comparison with the classifications by Ideberg and Euler. Methods: In total CT images of 84 patients with glenoid fossa fractures from 2005 to 2018 were included. Parasagittal, paracoronary and axial reconstructions were examined according to the classifications of Ideberg, Euler and the AO by 3 investigators (orthopedic surgeon, radiologist, student of medicine) at three individual time settings. Inter- and intraobserver reliability of the three classification systems were ascertained by computing Inter- and Intraclass (ICCs) correlation coefficients using Spearman's rank correlation coefficient, 95\%-confidence intervals as well as F-tests for correlation coefficients. Results: Inter- and intraobserver reliability for the AO classification showed a perspicuous coherence (R = 0.74 and R = 0.79). Low to moderate intraobserver reliability for Ideberg (R = 0.46) and Euler classification (R = 0.41) was found. Furthermore, data show a low Interobserver reliability for both Ideberg and Euler classification (R < 0.2). Both the Inter- and Intraclass reliability using AO is significantly higher than those using Ideberg and Euler (p < 0.05). Using the new AO classification, it was possible to find a proper class for every glenoid fossa fracture. On average, according to Euler classification 10 of 84 fractures were not classifiable whereas to Ideberg classification 21 of 84 fractures were not classifiable. Conclusion: The new AO classification system introduced 2013 facilitates reliable grading of glenoid fossa fractures with high inter- and intraobserver reliability in 84 patients using CT images. It should possibly be applied in order to enable a valid, reliable and consistent academic description of glenoid fossa fractures. The established classifications by Euler and Ideberg are not capable of providing a similar reliability.}, language = {en} } @article{KraemerBijnensStoerketal.2015, author = {Kr{\"a}mer, Johannes and Bijnens, Bart and St{\"o}rk, Stefan and Ritter, Christian O. and Liu, Dan and Ertl, Georg and Wanner, Christoph and Weidemann, Frank}, title = {Left ventricular geometry and blood pressure as predictors of adverse progression of Fabry cardiomyopathy}, series = {PLoS ONE}, volume = {10}, journal = {PLoS ONE}, number = {11}, doi = {10.1371/journal.pone.0140627}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-145131}, pages = {e0140627}, year = {2015}, abstract = {Background In spite of several research studies help to describe the heart in Fabry disease (FD), the cardiomyopathy is not entirely understood. In addition, the impact of blood pressure and alterations in geometry have not been systematically evaluated. Methods In 74 FD patients (mean age 36±12 years; 45 females) the extent of myocardial fibrosis and its progression were quantified using cardiac magnetic-resonance-imaging with late enhancement technique (LE). Results were compared to standard echocardiography complemented by 2D-speckle-tracking, 3D-sphericity-index (SI) and standardized blood pressure measurement. At baseline, no patient received enzyme replacement therapy (ERT). After 51±24 months, a follow-up examination was performed. Results Systolic blood pressure (SBP) was higher in patients with vs. without LE: 123±17 mmHg vs. 115±13 mmHg; P = 0.04. A positive correlation was found between SI and the amount of LE-positive myocardium (r = 0.51; P<0.001) indicating an association of higher SI in more advanced stages of the cardiomyopathy. SI at baseline was positively associated with the increase of LE-positive myocardium during follow-up. The highest SBP (125±19 mmHg) and also the highest SI (0.32±0.05) was found in the subgroup with a rapidly increasing LE (ie, ≥0.2\% per year; n = 16; P = 0.04). Multivariate logistic regression analysis including SI, SBP, EF, left ventricular volumes, wall thickness and NT-proBNP adjusted for age and sex showed SI as the most powerful parameter to detect rapid progression of LE (AUC = 0.785; P<0.05). Conclusions LV geometry as assessed by the sphericity index is altered in relation to the stage of the Fabry cardiomyopathy. Although patients with FD are not hypertensive, the SBP has a clear impact on the progression of the cardiomyopathy.}, language = {en} } @article{SmithBrayHoffmanetal.2015, author = {Smith, Craig J. and Bray, Benjamin D. and Hoffman, Alex and Meisel, Andreas and Heuschmann, Peter U. and Wolfe, Charles D. A. and Tyrrell, Pippa J. and Rudd, Anthony G.}, title = {Can a novel clinical risk score improve pneumonia prediction in acute stroke care? A UK multicenter cohort study}, series = {Journal of the American Heart Association}, volume = {4}, journal = {Journal of the American Heart Association}, number = {1}, doi = {10.1161/JAHA.114.001307}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-144602}, pages = {e001307}, year = {2015}, abstract = {Background Pneumonia frequently complicates stroke and has amajor impact on outcome. We derived and internally validated a simple clinical risk score for predicting stroke-associated pneumonia (SAP), and compared the performance with an existing score (A\(^{2}\)DS\(^{2}\)). Methods and Results We extracted data for patients with ischemic stroke or intracerebral hemorrhage from the Sentinel Stroke National Audit Programme multicenter UK registry. The data were randomly allocated into derivation (n=11 551) and validation (n=11 648) samples. A multivariable logistic regression model was fitted to the derivation data to predict SAP in the first 7 days of admission. The characteristics of the score were evaluated using receiver operating characteristics (discrimination) and by plotting predicted versus observed SAP frequency in deciles of risk (calibration). Prevalence of SAP was 6.7\% overall. The final 22-point score (ISAN: prestroke Independence [modified Rankin scale], Sex, Age, National Institutes of Health Stroke Scale) exhibited good discrimination in the ischemic stroke derivation (C-statistic 0.79; 95\% CI 0.77 to 0.81) and validation (C-statistic 0.78; 95\% CI 0.76 to 0.80) samples. It was well calibrated in ischemic stroke and was further classified into meaningful risk groups (low 0 to 5, medium6 to 10, high 11 to 14, and very high >= 15) associated with SAP frequencies of 1.6\%, 4.9\%, 12.6\%, and 26.4\%, respectively, in the validation sample. Discrimination for both scores was similar, although they performed less well in the intracerebral hemorrhage patients with an apparent ceiling effect. Conclusions The ISAN score is a simple tool for predicting SAP in clinical practice. External validation is required in ischemic and hemorrhagic stroke cohorts.}, language = {en} } @article{LitovkinVanEyndeJoniauetal.2015, author = {Litovkin, Kirill and Van Eynde, Aleyde and Joniau, Steven and Lerut, Evelyne and Laenen, Annouschka and Gevaert, Thomas and Gevaert, Olivier and Spahn, Martin and Kneitz, Burkhard and Gramme, Pierre and Helleputte, Thibault and Isebaert, Sofie and Haustermans, Karin and Bollen, Mathieu}, title = {DNA Methylation-Guided Prediction of Clinical Failure in High-Risk Prostate Cancer}, series = {PLoS ONE}, volume = {10}, journal = {PLoS ONE}, number = {6}, doi = {10.1371/journal.pone.0130651}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-151705}, pages = {e0130651}, year = {2015}, abstract = {Background Prostate cancer (PCa) is a very heterogeneous disease with respect to clinical outcome. This study explored differential DNA methylation in a priori selected genes to diagnose PCa and predict clinical failure (CF) in high-risk patients. Methods A quantitative multiplex, methylation-specific PCR assay was developed to assess promoter methylation of the APC, CCND2, GSTP1, PTGS2 and RARB genes in formalin-fixed, paraffin-embedded tissue samples from 42 patients with benign prostatic hyperplasia and radical prostatectomy specimens of patients with high-risk PCa, encompassing training and validation cohorts of 147 and 71 patients, respectively. Log-rank tests, univariate and multivariate Cox models were used to investigate the prognostic value of the DNA methylation. Results Hypermethylation of APC, CCND2, GSTP1, PTGS2 and RARB was highly cancer-specific. However, only GSTP1 methylation was significantly associated with CF in both independent high-risk PCa cohorts. Importantly, trichotomization into low, moderate and high GSTP1 methylation level subgroups was highly predictive for CF. Patients with either a low or high GSTP1 methylation level, as compared to the moderate methylation groups, were at a higher risk for CF in both the training (Hazard ratio [HR], 3.65; 95\% CI, 1.65 to 8.07) and validation sets (HR, 4.27; 95\% CI, 1.03 to 17.72) as well as in the combined cohort ( HR, 2.74; 95\% CI, 1.42 to 5.27) in multivariate analysis. Conclusions Classification of primary high-risk tumors into three subtypes based on DNA methylation can be combined with clinico-pathological parameters for a more informative risk-stratification of these PCa patients.}, language = {en} } @article{RickmanLachAbhyankaretal.2015, author = {Rickman, Kimberly A. and Lach, Francis P. and Abhyankar, Avinash and Donovan, Frank X. and Sanborn, Erica M. and Kennedy, Jennifer A. and Sougnez, Carrie and Gabriel, Stacey B. and Elemento, Olivier and Chandrasekharappa, Settara C. and Schindler, Detlev and Auerbach, Arleen D. and Smogorzewska, Agata}, title = {Deficiency of UBE2T, the E2 Ubiquitin Ligase Necessary for FANCD2 and FANCI Ubiquitination, Causes FA-T Subtype of Fanconi Anemia}, series = {Cell Reports}, volume = {12}, journal = {Cell Reports}, doi = {10.1016/j.celrep.2015.06.014}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-151525}, pages = {35 -- 41}, year = {2015}, abstract = {Fanconi anemia (FA) is a rare bone marrow failure and cancer predisposition syndrome resulting from pathogenic mutations in genes encoding proteins participating in the repair of DNA interstrand crosslinks (ICLs). Mutations in 17 genes (FANCA-FANCS) have been identified in FA patients, defining 17 complementation groups. Here, we describe an individual presenting with typical FA features who is deficient for the ubiquitin-conjugating enzyme (E2), UBE2T. UBE2T is known to interact with FANCL, the E3 ubiquitin-ligase component of the multiprotein FA core complex, and is necessary for the monoubiquitination of FANCD2 and FANCI. Proband fibroblasts do not display FANCD2 and FANCI monoubiquitination, do not form FANCD2 foci following treatment with mitomycin C, and are hypersensitive to crosslinking agents. These cellular defects are complemented by expression of wild-type UBE2T, demonstrating that deficiency of the protein UBE2T can lead to Fanconi anemia. UBE2T gene gains an alias of FANCT.}, language = {en} } @article{HofmannVoellerNagelsetal.2015, author = {Hofmann, Reiner and V{\"o}ller, Heinz and Nagels, Klaus and Bindl, Dominik and Vettorazzi, Eik and Dittmar, Ronny and Wohlgemuth, Walter and Neumann, Till and St{\"o}rk, Stefan and Bruder, Oliver and Wegscheider, Karl and Nagel, Eckhard and Fleck, Eckart}, title = {First outline and baseline data of a randomized, controlled multicenter trial to evaluate the health economic impact of home telemonitoring in chronic heart failure - CardioBBEAT}, series = {Trials}, volume = {16}, journal = {Trials}, number = {343}, doi = {10.1186/s13063-015-0886-8}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-151429}, year = {2015}, abstract = {Background: Evidence that home telemonitoring for patients with chronic heart failure (CHF) offers clinical benefit over usual care is controversial as is evidence of a health economic advantage. Methods: Between January 2010 and June 2013, patients with a confirmed diagnosis of CHF were enrolled and randomly assigned to 2 study groups comprising usual care with and without an interactive bi-directional remote monitoring system (Motiva\(^{®}\)). The primary endpoint in CardioBBEAT is the Incremental Cost-Effectiveness Ratio (ICER) established by the groups' difference in total cost and in the combined clinical endpoint "days alive and not in hospital nor inpatient care per potential days in study" within the follow-up of 12 months. Results: A total of 621 predominantly male patients were enrolled, whereof 302 patients were assigned to the intervention group and 319 to the control group. Ischemic cardiomyopathy was the leading cause of heart failure. Despite randomization, subjects of the control group were more often in NYHA functional class III-IV, and exhibited peripheral edema and renal dysfunction more often. Additionally, the control and intervention groups differed in heart rhythm disorders. No differences existed regarding risk factor profile, comorbidities, echocardiographic parameters, especially left ventricular and diastolic diameter and ejection fraction, as well as functional test results, medication and quality of life. While the observed baseline differences may well be a play of chance, they are of clinical relevance. Therefore, the statistical analysis plan was extended to include adjusted analyses with respect to the baseline imbalances. Conclusions: CardioBBEAT provides prospective outcome data on both, clinical and health economic impact of home telemonitoring in CHF. The study differs by the use of a high evidence level randomized controlled trial (RCT) design along with actual cost data obtained from health insurance companies. Its results are conducive to informed political and economic decision-making with regard to home telemonitoring solutions as an option for health care. Overall, it contributes to developing advanced health economic evaluation instruments to be deployed within the specific context of the German Health Care System.}, language = {en} } @article{UnnewehrStich2015, author = {Unnewehr, Markus and Stich, August}, title = {Fighting Hepatitis B in North Korea: Feasibility of a Bi-modal Prevention Strategy}, series = {Journal of Korean Medical Science}, volume = {30}, journal = {Journal of Korean Medical Science}, doi = {10.3346/jkms.2015.30.11.1584}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-138773}, pages = {1584-1588}, year = {2015}, abstract = {In North Korea, the prevalence of hepatitis B is high due to natural factors, gaps in vaccination, and the lack of antiviral treatment. Aid projects are urgently needed, however impeded by North Korea's political and economical situation and isolation. The feasibility of a joint North Korean and German humanitarian hepatitis B prevention program was assessed. Part 1: Hepatitis B vaccination catch-up campaign. Part 2: Implementation of endoscopic ligation of esophageal varices (EVL) by trainings in Germany and North Korea. By vaccinating 7 million children between 2010 and 2012, the hepatitis B vaccination gap was closed. Coverage of 99.23\% was reached. A total of 11 hepatitis B-induced liver cirrhosis patients (mean age 41.1 yr) with severe esophageal varices and previous bleedings were successfully treated by EVL without major complications. A clinical standard operating procedure, a feedback system and a follow-up plan were developed. The bi-modal preventive strategy was implemented successfully. Parts of the project can serve as an example for other low-income countries, however its general transferability is limited due to the special circumstances in North Korea.}, language = {en} } @article{DuhrKennKickuthetal.2011, author = {Duhr, Carolin D. and Kenn, Werner and Kickuth, Ralph and Kerscher, Alexander G. and Germer, Christoph-Thomas and Hahn, Dietbert and Pelz, Joerg O. W.}, title = {Optimizing of preoperative computed tomography for diagnosis in patients with peritoneal carcinomatosis}, series = {World Journal of Surgical Oncology}, volume = {9}, journal = {World Journal of Surgical Oncology}, number = {171}, doi = {10.1186/1477-7819-9-171}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-138024}, year = {2011}, abstract = {Background and Objective This study evaluates whether Computer Tomography is an effective procedure for preoperative staging of patients with Peritoneal Carcinomatosis. Method A sample of 37 patients was analyzed with contrast enhanced abdominal Computer Tomography, followed by surgical staging. All Computer Tomography scans were evaluated 3 times by 2 radiologists with one radiologist reviewing 2 times. The efficacy of Computer Tomography was evaluated using the Spearman correlation coefficient. Correlations were analyzed by abdominopelvic region to assess results of the Peritoneal Carcinomatosis Index (PCI) aggregating the 13 regions. Surgical findings were compared to radiological findings. Results Results indicate high correlations between the surgical and radiological Peritoneal Carcinomatosis Indices. Analyses of the intra-class correlation between the first and second reading of one radiologist suggest high intra-observer reliability. Correlations by abdominopelvic region show higher values in the upper and middle regions and relatively lower values in the lower regions and the small bowel (correlation coefficients range between 0.418 and 0.726, p < 0.010; sensitivities range between 50\% and 96\%; and specificities range between 62\% and 100\%). Conclusion Computer Tomography represents an effective procedure in the preoperative staging of patients with PC. However, results by abdominopelvic region show lower correlation, therefore suggest lower efficacy. These results are supported by analyses of sensitivity and accuracy by lesion size. This suggests that Computer Tomography is an effective procedure for pre-operative staging but less for determining a tumor's accurate extent.}, language = {en} } @article{DasenbrookLuDonnolaetal.2013, author = {Dasenbrook, Elliot C. and Lu, Luan and Donnola, Shannon and Weaver, David E. and Gulani, Viskas and Jakob, Peter M. and Konstan, Michael W. and Flask, Chris A.}, title = {Normalized T1 Magnetic Resonance Imaging for Assessment of Regional Lung Function in Adult Cystic Fibrosis Patients - A Cross-Sectional Study}, series = {PLOS ONE}, volume = {8}, journal = {PLOS ONE}, number = {9}, issn = {1932-6203}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-128346}, pages = {e73286}, year = {2013}, abstract = {Background: Cystic fibrosis (CF) patients would benefit from a safe and effective tool to detect early-stage, regional lung disease to allow for early intervention. Magnetic Resonance Imaging (MRI) is a safe, non-invasive procedure capable of providing quantitative assessments of disease without ionizing radiation. We developed a rapid normalized T1 MRI technique to detect regional lung disease in early-stage CF patients. Materials and Methods: Conventional multislice, pulmonary T1 relaxation time maps were obtained for 10 adult CF patients with normal spirometry and 5 healthy non-CF control subjects using a rapid Look-Locker MRI acquisition (5 seconds/imaging slice). Each lung absolute T1 map was separated into six regions of interest (ROI) by manually selecting upper, central, and lower lung regions in the left and right lungs. In order to reduce the effects of subject-to-subject variation, normalized T1 maps were calculated by dividing each pixel in the absolute T1 maps by the mean T1 time in the central lung region. The primary outcome was the differences in mean normalized T1 values in the upper lung regions between CF patients with normal spirometry and healthy volunteers. Results: Normalized T1 (nT1) maps showed visibly reduced subject-to-subject variation in comparison to conventional absolute T1 maps for healthy volunteers. An ROI analysis showed that the variation in the nT1 values in all regions was <= 2\% of the mean. The primary outcome, the mean (SD) of the normalized T1 values in the upper right lung regions, was significantly lower in the CF subjects [.914 (.037)] compared to the upper right lung regions of the healthy subjects [.983 (.003)] [difference of .069 (95\% confidence interval .032-.105); p=.001). Similar results were seen in the upper left lung region. Conclusion: Rapid normalized T1 MRI relaxometry obtained in 5 seconds/imaging slice may be used to detect regional early-stage lung disease in CF patients.}, language = {en} } @article{SchreiberSchneideratKressetal.2013, author = {Schreiber, Olivia and Schneiderat, Peter and Kress, Wolfram and Rautenstrauss, Bernd and Senderek, Jan and Schoser, Bendikt and Walter, Maggie C.}, title = {Facioscapulohumeral muscular dystrophy and Charcot-Marie-Tooth neuropathy 1A-evidence for "double trouble" overlapping syndromes}, series = {BMC Medical Genetics}, volume = {14}, journal = {BMC Medical Genetics}, number = {92}, issn = {1471-2350}, doi = {10.1186/1471-2350-14-92}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-121963}, year = {2013}, abstract = {Background: We report on a patient with genetically confirmed overlapping diagnoses of CMT1A and FSHD. This case adds to the increasing number of unique patients presenting with atypical phenotypes, particularly in FSHD. Even if a mutation in one disease gene has been found, further genetic testing might be warranted in cases with unusual clinical presentation. Case presentation: The reported 53 years old male patient suffered from walking difficulties and foot deformities first noticed at age 20. Later on, he developed scapuloperoneal and truncal muscle weakness, along with atrophy of the intrinsic hand and foot muscles, pes cavus, claw toes and a distal symmetric hypoesthesia. Motor nerve conduction velocities were reduced to 20 m/s in the upper extremities, and not educible in the lower extremities, sensory nerve conduction velocities were not attainable. Electromyography showed both, myopathic and neurogenic changes. A muscle biopsy taken from the tibialis anterior muscle showed a mild myopathy with some neurogenic findings and hypertrophic type 1 fibers. Whole-body muscle MRI revealed severe changes in the lower leg muscles, tibialis anterior and gastrocnemius muscles were highly replaced by fatty tissue. Additionally, fatty degeneration of shoulder girdle and straight back muscles, and atrophy of dorsal upper leg muscles were seen. Taken together, the presenting features suggested both, a neuropathy and a myopathy. Patient's family history suggested an autosomal dominant inheritance. Molecular testing revealed both, a hereditary motor and sensory neuropathy type 1A (HMSN1A, also called Charcot-Marie-Tooth neuropathy 1A, CMT1A) due to a PMP22 gene duplication and facioscapulohumeral muscular dystrophy (FSHD) due to a partial deletion of the D4Z4 locus (19 kb). Conclusion: Molecular testing in hereditary neuromuscular disorders has led to the identification of an increasing number of atypical phenotypes. Nevertheless, finding the right diagnosis is crucial for the patient in order to obtain adequate medical care and appropriate genetic counseling, especially in the background of arising curative therapies.}, language = {en} } @article{VerruaFerranteFilopantietal.2014, author = {Verrua, Elisa and Ferrante, Emanuele and Filopanti, Marcello and Malchiodi, Elena and Sala, Elisa and Giavoli, Claudia and Arosio, Maura and Lania, Andrea Gerardo and Ronchi, Christina Lucia and Mantovani, Giovanna and Beck-Peccoz, Paolo and Spada, Anna}, title = {Reevaluation of Acromegalic Patients in Long-Term Remission according to Newly Proposed Consensus Criteria for Control of Disease}, series = {International Journal of Endocrinology}, journal = {International Journal of Endocrinology}, issn = {1687-8345}, doi = {10.1155/2014/581594}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-117790}, pages = {581594}, year = {2014}, abstract = {Acromegaly guidelines updated in 2010 revisited criteria of disease control: if applied, it is likely that a percentage of patients previously considered as cured might present postglucose GH nadir levels not adequately suppressed, with potential implications on management. This study explored GH secretion, as well as hormonal, clinical, neuroradiological, metabolic, and comorbid profile in a cohort of 40 acromegalic patients considered cured on the basis of the previous guidelines after a mean follow-up period of 17.2 years from remission, in order to assess the impact of the current criteria. At the last follow-up visit, in the presence of normal IGF-I concentrations, postglucose GH nadir was over 0.4 mu g/L in 11 patients (Group A) and below 0.4 mu g/L in 29 patients (Group B); moreover, Group A showed higher basal GH levels than Group B, whereas a significant decline of both GH and postglucose GH nadir levels during the follow-up was observed in Group B only. No differences in other evaluated parameters were found. These results seem to suggest that acromegalic patients considered cured on the basis of previous guidelines do not need a more intensive monitoring than patients who met the current criteria of disease control, supporting instead that the cut-off of 0.4 mcg/L might be too low for the currently used GH assay.}, language = {en} } @phdthesis{Schaefer2014, author = {Schaefer, Frauke}, title = {Diagnosis and therapy of malaria under the conditions of a developing country - the example of Burkina Faso}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-102863}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2014}, abstract = {Malaria is a challenging infection with increasing and wide-spread treatment failure risk due to resistance. With a estimated death toll of 1-3 Million per year, most cases of Malaria affect children under the age of five years in Sub-Saharan Africa. In this thesis, I analyse the current status of malaria control (focussing on diagnosis and therapy) in Burkina Faso to show how this disease burdens public health in endemic countries and to identify possible approaches to improvement. MB is discussed as a therapeutic option under these circumstances. Burkina Faso is used as a representative example for a country in Sub-Saharan Africa with high endemicity for malaria and is here portrayed, its health system characterised and discussed under socioeconomic aspects. More than half of this country's population live in absolute poverty. The burden that malaria, especially treatment cost, poses on these people cannot be under-estimated. A retrospective study of case files from the university pediatric hospital in Burkina Faso's capital, Ouagadougou, shows that the case load is huge, and especially the specific diagnosis of severe malaria is difficult to apply in the hospital's daily routine. Treatment policy as proposed by WHO is not satisfactorily implemented neither in home treatment nor in health services, as data for pretreatment clearly show. In the face of growing resistance in malaria parasites, pharmacological combination therapies are important. Artemisinins currently are the last resort of malaria therapy. As I show with homology models, even this golden bullet is not beyond resistance development. Inconsidered mass use has rendered other drugs virtually useless before. Artemisinins should thus be protected similar to reserve antibiotics against multi-resistant bacteria. There is accumulating evidence that MB is an effective drug against malaria. Here the biological effects of both MB alone and in combination therapy is explored via modeling and experimental data. Several different lines of MB attack on Plasmodium redox defense were identified by analysis of the network effects. Next, CQ resistance based on Pfmdr1 and PfCRT transporters as well as SP resistance were modeled in silico. Further modeling shows that MB has a favorable synergism on antimalarial network effects with these commonly used antimalarial drugs, given their correct application. Also from the economic point of view MB shows great potential: in terms of production price, it can be compared to CQ, which could help to diminuish the costs of malaria treatment to affordable ranges for those most affected and struk by poverty. Malaria control is feasible, but suboptimal diagnosis and treatment are often hindering the achievment of this goal. In order to achieve malaria control, more effort has to be made to implement better adjusted and available primary treatment strategies for uncomplicated malaria that are highly standardised. Unfortunately, campaigns against malaria are chronically underfinanced. In order to maximize the effect of available funds, a cheap treatment option is most important, especially as pharmaceuticals represent the biggest single matter of expense in the fight against malaria.}, subject = {Malaria}, language = {en} } @phdthesis{Querfurt2007, author = {Querfurt, Alexander Pablo}, title = {Wertigkeit von Immunfluoreszenz und Polymerasekettenreaktion in der Diagnose und klinischen Bewertung bei der Afrikanischen Trypanosomiasis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-31511}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2007}, abstract = {In der vorliegenden Arbeit wurde ein repr{\"a}sentatives Kollektiv von 97 Schlafkrankheitspatienten aus Angola klinisch untersucht und von je 96 Patienten Blut- und Liquorproben gewonnen. Hauptfragestellungen waren, ob die PCR-Technik zur Diagnose und Stadieneinteilung der HAT beitr{\"a}gt und ob sich aus dem qualitativen und quantitativen Nachweis von Immunglobulinen Zusammenh{\"a}nge mit dem klinischen Bild der Krankheit herstellen lassen. Da mehrfach von Inkonsistenzen bei den Ergebnissen einer von Moser et al. (1989) als sehr sensitiv publizierten PCR berichtet wurde und die viel versprechenden Resultate der von Kabiri et al. (1999) beschriebenen PCR nicht reproduziert werden konnten, wurde eine von Matovu et al. (2001) publizierte PCR zum Nachweis von trypanosomaler DNA (TbAT1-Gen) verwendet. Je nach analysiertem Medium und verwendetem Purifikations-Kit ergaben sich analytische Nachweisgrenzen von 10 bis 10² Parasiten/10 µl PCR-Ansatz, entsprechend rechnerischer Nachweisgrenzen von ca. 5000 Trypanosomen/ml Blut und ca. 3000 Trypanosomen/ml Liquor. Von 96 Blutproben waren 20 positiv in der PCR (20,8\%). Gemessen an den jeweiligen mikroskopischen Diagnostikmethoden kam dies einer Sensitivit{\"a}t von 31,1\% und einer Spezifit{\"a}t von 92,3\% gleich. Die Liquorproben von 55 Stadium-II-Patienten zeigten in 4 F{\"a}llen ein positives Resultat in der PCR (7,3\%), entsprechend einer Sensitivit{\"a}t von 21,4\% und einer Spezifit{\"a}t von 97,6\%. Alle Liquorproben von Stadium-I-Patienten waren negativ in der PCR. Die Ergebnisse der Blut- und Liquorproben waren in {\"u}ber 99\% der F{\"a}lle reproduzierbar. Es bestanden jeweils Zusammenh{\"a}nge zwischen den Resultaten der PCR mit denen der herk{\"o}mmlichen mikroskopischen Nachweismethoden wie LKP und Liquor-Mikroskopie. Neben der offensichtlich zu geringen analytischen Nachweisgrenze bei gleichzeitig niedriger Parasit{\"a}mie der Patienten kommen auch Faktoren wie DNA-Verlust durch das benutzte DNA-Purifikationskit oder Gen-Deletionen der Trypanosomen als Ursache f{\"u}r die hohe Anzahl der falsch-negativen PCR Ergebnisse in Betracht. Die Resultate der hier angewendeten PCR trugen nicht zur L{\"o}sung des diagnostischen Problems der serologisch positiven, aber aparasit{\"a}men Patienten bei, lieferten jedoch Hinweise, dass die Parasitenlast im Blut bei Patienten im fortgeschrittenen Stadium h{\"o}her ist als bei solchen im Anfangsstadium. Insgesamt stellt diese Methode aber keine Bereicherung in der Diagnosestellung oder der Stadieneinteilung bei der HAT dar und sollte speziellen Fragestellungen wie Melarsoprol-Resistenzbestimmungen vorbehalten werden. Der IFT wurde nach der von Wery et al. (1970) beschriebenen Methode in modifizierter Form durchgef{\"u}hrt. Im Serum fanden sich f{\"u}r spezifisches IgG hohe, f{\"u}r spezifisches IgM mittlere und f{\"u}r spezifisches IgA niedrige Titer. Die jeweiligen Titer waren in der vorliegenden Arbeit h{\"o}her als in der Referenzliteratur, wahrscheinlich bedingt durch die Subjektivit{\"a}t der Endpunktlesung. W{\"a}hrend insgesamt Patienten mit direktem Parasitennachweis signifikant h{\"o}here Serumspiegel an spezifischem IgM aufwiesen, konnte bei manchen Kranken trotz Trypanosomen-Pr{\"a}senz kein spezifisches IgM im Serum oder Liquor nachgewiesen werden. Bei Patienten im fortgeschrittenen Stadium waren die Spiegel der einzelnen Antik{\"o}rperklassen im Serum gegen{\"u}ber denen von Patienten im Anfangsstadium signifikant h{\"o}her. Dieses Ph{\"a}nomen k{\"o}nnte auf einer Akkumulation der spezifischen Immunglobuline gegen die st{\"a}ndig wechselnden Oberfl{\"a}chenantigene der Trypanosomen im Laufe der Krankheit beruhen. Die H{\"o}hen der jeweiligen spezifischen Antik{\"o}rperspiegel im Serum standen nicht in Zusammenhang mit pathologischen Befunden bei der Untersuchung von K{\"o}rpertemperatur, Blutdruck, Puls, Lymphadenopathien, Hepato- oder Splenomegalien, Bauchschmerz und Untergewicht. Das Fehlen eines Vergleichskollektives, die große Symptom-Variabilit{\"a}t und die Subjektivit{\"a}t einiger Untersuchungsmethoden erschwerten dabei allerdings die Objektivierung des klinischen Zustandes im Hinblick auf allgemeing{\"u}ltige Aussagen. Interessante Nebenfunde in dieser Arbeit waren die nach wie vor ungekl{\"a}rt hohe Pr{\"a}valenz von Untergewicht, Hinweise auf Kreislaufregulationsst{\"o}rungen und der Zusammenhang des Auftretens des Winterbottom-Zeichens mit der Zugeh{\"o}rigkeit zum Stadium II. Im Liquor konnte nur in wenigen F{\"a}llen bei Stadium-II-Patienten spezifisches IgG nachgewiesen werden. Das Vorkommen dieses Immunglobulins stand jedoch im Zusammenhang mit pathologischen Ergebnissen der Patienten in den Stand- und Gangversuchen. Aufgrund des Vorteils der einfachen und schnellen Durchf{\"u}hrbarkeit k{\"o}nnten sich diese Untersuchungen als sinnvolle Diagnostikerg{\"a}nzung in der Neuroinflammationsdetektion bei der HAT erweisen. Spezifisches IgM und IgA lagen im Liquor bei allen Proben unter der Testgrenze und bieten keine Anhaltspunkte f{\"u}r eine sinnvolle Verwendung als Diagnostik- oder Verlaufsparameter.}, subject = {Trypanosomiase}, language = {de} } @phdthesis{Sieber2005, author = {Sieber, Dirk Karl Christian}, title = {Osteoporoseerkennung bei Schenkelhalsfrakturen - eine vernachl{\"a}ssigte Diagnose - Diagnosestellung und resultierende Therapie}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-20531}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2005}, abstract = {In dieser Arbeit wurden die Diagnostik- und Behandlungsabl{\"a}ufe von 250 Patienten nach erlittener proximaler Femurfraktur in der Region W{\"u}rzburg (Deutschland) untersucht. Auswertungsschwerpunkte waren die durchgef{\"u}hrte Diagnostik zur Abkl{\"a}rung einer Osteoporose, die Einleitung einer Pharmakotherapie und die Informations{\"u}bermittlung an den weiterbehandelnden Arzt. Aus den erhobenen Daten konnte eine Inzidenz f{\"u}r die Jahre 1993 und 1994 von 180 und eine Inzidenzdichte auf 100.000 Einwohner von 138,5 pro Jahr gemeinsam f{\"u}r Frauen und M{\"a}nner hochgerechnet werden. Das mittlere Alter der untersuchten Patienten lag bei 76,3 Jahren, die 10\%-Perzentile bei 59, die 90\%-Perzentile bei 89 Jahren und der Median war 80 Jahre, und damit vergleichbar mit den anderen internationalen Studien. Die geschlechtsspezifischen Verteilung der Frakturen zeigte ein deutliches {\"U}bergewicht der Frauen (194 vs. 56 bei M{\"a}nnern). Bei allen Patienten unterblieb eine weitere Abkl{\"a}rung der Frakturursache w{\"a}hrend des station{\"a}ren Aufenthaltes, obwohl die Diagnose Osteoporose zumindest hoch wahrscheinlich (241 F{\"a}lle) oder station{\"a}r festgestellt worden war (147 F{\"a}lle, radiologisch oder histologisch). - In keinem Fall wurde die zur Differenzialdiagnose erforderliche Laborroutine vollst{\"a}ndig durchgef{\"u}hrt. - In 147 F{\"a}llen wurde die Diagnose einer Osteoporose durch den Radiologen (konventionelle R{\"o}ntgenaufnahme) oder durch den Pathologen (Untersuchung des Femurkopfes) gestellt (in 127 F{\"a}llen radiologisch, in 58 F{\"a}llen histopathologisch). - Bei nur 20 der so festgestellten 147 F{\"a}lle (13,6 \%) wurde eine Osteoporose-Therapie station{\"a}r eingeleitet und in nur 13 F{\"a}llen als Therapieempfehlung f{\"u}r den Entlassungsbericht {\"u}bernommen. - Wurde die Diagnose durch den Radiologen oder Pathologen gestellt, so unterblieb in 2 von 3 F{\"a}llen jegliche Erw{\"a}hnung im Entlassungsbericht. Wurde sie erw{\"a}hnt, dann h{\"a}ufig nur in der Form des R{\"o}ntgen- oder Histologiebefunds. - Die Diagnose Osteoporose wurde in 19,6 \% der Entlassungsbriefe {\"u}bermittelt und lag damit um ca. 5 \% h{\"o}her als der internationale Vergleich. - W{\"a}re die station{\"a}r in 147 F{\"a}llen bereits festgestellte Diagnose jedes Mal {\"u}bermittelt worden, h{\"a}tte sich statt 19,6 \% eine Quote von 58,8 \% erreichen lassen. Eine Schenkelhalsfraktur steigert die Morbidit{\"a}t und Mortalit{\"a}t der betroffenen Patienten erheblich. Lediglich 23 von zuvor 195 Patienten konnten bei Entlassung aus der Akutklinik ohne Hilfe gehen, w{\"a}hrend die Zahl der vollst{\"a}ndig immobilen Patienten von 2 auf 23 Patienten zum Zeitpunkt der Entlassung zunahm. 14 Patienten (5,6 \%) starben im Krankenhaus oder im dokumentierten Beobachtungszeitraum. 26 Patienten (10,4 \%) erlitten bereits ihre zweite proximale Femurfraktur, 12 (4,8 \%) davon innerhalb nur eines Jahres und zwei sogar ihre dritte proximale Femurfraktur (0,8\%). Die f{\"u}r den Patienten wirkungsvollen und das Gesundheitssystem kosteneffektiven Behandlungsm{\"o}glichkeiten machen eine weiterf{\"u}hrende diagnostische Abkl{\"a}rung und Behandlung der proximalen Femurfraktur aus ethischen und sozio{\"o}konomischen Gr{\"u}nden erforderlich. Dies betrifft den Arzt der Akutversorgung und den weiterbehandelnden Arzt gleichermaßen. Die Behandlung sollte multimodal unter Einschluss einer ad{\"a}quaten Pharmakotherapie erfolgen. Die aktuellen Therapieempfehlungen lassen sich auch f{\"u}r den nicht Osteologen verst{\"a}ndlich und praktikabel aus den aktuellen Leitlinien z.B. der Deutschen Gesellschaft f{\"u}r Osteologie entnehmen und anwenden. Zu m{\"o}glichen nicht medikament{\"o}sen Maßnahmen geh{\"o}ren Behandlungskonzepte mit Mobilisationstraining (Fallverh{\"u}tung), H{\"u}ftprotektoren und Reduktion/Vermeidung von Sedativa (v. a. Benzodiazepine). Das Bewusstsein von {\"A}rzten und Patienten muss f{\"u}r den Zusammenhang „Fraktur mit inad{\"a}quatem Trauma" und „Osteoporose" gesch{\"a}rft werden. Fortbildungen und {\"O}ffentlichkeitsarbeit k{\"o}nnen hier wertvolle Dienste leisten. Jede erlittene Fraktur mit inad{\"a}quatem Trauma sollte bei Arzt und Patient die Frage nach einer Osteoporose aufwerfen. Eine weiterf{\"u}hrende Abkl{\"a}rung sollte gegebenenfalls eingeleitet und die Notwendigkeit einer Behandlung {\"u}berpr{\"u}ft werden. - Diese Studie belegt, dass die Versorgung f{\"u}r den untersuchten Zeitraum v{\"o}llig ungen{\"u}gend ist. - Sie kann als Basis dienen, um Verbesserungen in diesem Bereich zu dokumentieren. - Sie zeigt, dass umfassende Anstrengungen erforderlich sind, das Bewusstsein f{\"u}r den Zusammenhang proximale Femurfraktur und Osteoporose zu sch{\"a}rfen und effektive Pr{\"a}ventionsmaßnahmen (z.B. Verhinderung einer zweiten Schenkelhalsfraktur) einzuleiten.}, language = {de} } @phdthesis{Thorwarth2006, author = {Thorwarth, Christian}, title = {Diagnostische und therapeutische chirurgische Konzepte bei intestinaler Isch{\"a}mie}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-18191}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2006}, abstract = {Im Rahmen der vorliegenden Arbeit erfolgte eine retrospektive Analyse von 86 Patienten der Chirurgischen Universit{\"a}tsklinik W{\"u}rzburg die von 02/1995 bis 07/2002 aufgrund mesenterialer Isch{\"a}mien therapiert werden mussten. Ziel der Untersuchung war eine Bewertung aktueller diagnostischer und therapeutischer M{\"o}glichkeiten und deren Einfluss auf die Erfolgsprognose der Erkrankung. Das klinische Erscheinungsbild der akuten Verschlussformen war gerade in der entscheidenden Fr{\"u}hphase sehr uncharakteristisch. Daher kommt der sorgf{\"a}ltigen Anamneseerhebung eine große Bedeutung zu. Bei der chronischen mesenterialen Isch{\"a}mie kommt es zu postprandialen Schmerzen und Gewichtsverlust, meist als akute Verschlimmerung eines Dauerschmerzes etwa 10 - 30 Minuten nach einer Mahlzeit mit Regredienz innerhalb der n{\"a}chsten Stunden. Als diagnostische Verfahren kamen Sonografie, Nativaufnahme, Duplex-, Farbduplexsonografie und Computertomografie zum Einsatz. Alleine mit Hilfe der intraarteriellen Subtraktionsangiografie gelang ein zuverl{\"a}ssiger Nachweis akuter oder chronischer viszeraler Isch{\"a}mien. Ist die angiografische Abkl{\"a}rung aufgrund mangelnder apparativer Ausstattung nicht m{\"o}glich, muss z{\"u}gig eine diagnostische Laparoskopie durchgef{\"u}hrt werden. Eine typische Konstellation von Laborparametern konnte zu diesem Zeitpunkt nicht erhoben werden. Lediglich dem Serumlaktat kam eine Bedeutung zu, jedoch ließ die H{\"o}he keine R{\"u}ckschl{\"u}sse auf die Ausdehnung der isch{\"a}mischen Bezirke zu. Operative Therapieverfahren haben die m{\"o}glichst schnelle Strombahnwiederherstellung und Revaskularisiation der infarktbedrohten Darmabschnitte zum Ziel. Die alleinige Darmresektion ist angezeigt, wenn eine Gef{\"a}ßrekonstruktion technisch nicht m{\"o}glich erscheint. Arterielle Rekonstruktionsverfahren wie Embolektomie oder Methoden mit Gef{\"a}ßersatz- bzw. Transplantatmaterial sind indiziert, wenn die M{\"o}glichkeit einer Restitutio nach Perfusionswiederherstellung besteht. Eine prophylaktische Rekonstruktion bei asymptomatischen Viszeralarterienverschluss scheint bei der chronischen Verlaufsform nicht sinnvoll. Die Indikation f{\"u}r eine second - look Operation sollte großz{\"u}gig gestellt werden! Bei kurzstreckiger Verschlussmorphologie erscheinen Stenosen der Viszeralarterien auch f{\"u}r perkutane transluminale Angioplastie geeignet. Bei der nicht okklusiven Form der Mesenterialisch{\"a}mie haben kardiologisch - intensivmedizinische Maßnahmen als alleinige Therapie Vorrang. Der wichtigste prognostische Faktor f{\"u}r die erfolgreiche Behandlung und damit auch f{\"u}r die Gesamtprognose der akuten Verlaufsform ist die fr{\"u}hzeitige Diagnosestellung und Behandlung.}, language = {de} } @phdthesis{Haas2002, author = {Haas, Achim}, title = {Stanzbiopsie oder chirurgische Biopsie im Retroperitoneum und Mediastinum? Klinische Wertigkeit f{\"u}r die Lymphomdiagnostik}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-6345}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Es wurde anhand retroperitonealer und mediastinaler Stanzbiopsien untersucht, inwieweit eine definitive Lymphomdiagnose einschließlich der relevanten Subtypisierung gem{\"a}ß der REAL- bzw. WHO-Klassifikation erfolgte.}, language = {de} }