TY - JOUR A1 - Seefried, Lothar A1 - Genest, Franca A1 - Baumann, Jasmin A1 - Heidemeier, Anke A1 - Meffert, Rainer A1 - Jakob, Franz T1 - Efficacy of Zoledronic Acid in the Treatment of Nonmalignant Painful Bone Marrow Lesions: A Triple‐Blind, Randomized, Placebo‐Controlled Phase III Clinical Trial (ZoMARS) JF - Journal of Bone and Mineral Research N2 - Bone marrow lesions (BML) represent areas of deteriorated bone structure and metabolism characterized by pronounced water‐equivalent signaling within the trabecular bone on magnetic resonance imaging (MRI). BML are associated with repair mechanisms subsequent to various clinical conditions associated with inflammatory and non‐inflammatory injury to the bone. There is no approved treatment for this condition. Bisphosphonates are known to improve bone stability in osteoporosis and other bone disorders and have been used off‐label to treat BML. A randomized, triple‐blind, placebo‐controlled phase III trial was conducted to assess efficacy and safety of single‐dose zoledronic acid (ZOL) 5 mg iv with vitamin D 1000 IU/d as opposed to placebo with vitamin D 1000 IU/d in 48 patients (randomized 2:1) with BML. Primary efficacy endpoint was reduction of edema volume 6 weeks after treatment as assessed by MRI. After treatment, mean BML volume decreased by 64.53% (±41.92%) in patients receiving zoledronic acid and increased by 14.43% (±150.46%) in the placebo group (p = 0.007). A decrease in BML volume was observed in 76.5% of patients receiving ZOL and in 50% of the patients receiving placebo. Pain level (visual analogue scale [VAS]) and all categories of the pain disability index (PDI) improved with ZOL versus placebo after 6 weeks but reconciled after 6 additional weeks of follow‐up. Six serious adverse events occurred in 5 patients, none of which were classified as related to the study drug. No cases of osteonecrosis or fractures occurred. Therefore, single‐dose zoledronic acid 5 mg iv together with vitamin D may enhance resolution of bone marrow lesions over 6 weeks along with reduction of pain compared with vitamin D supplementation only. KW - bone biology KW - osteoporosis KW - bone marrow lesion/edema KW - bisphosphonates KW - zoledronic acid Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-276368 VL - 37 IS - 3 SP - 420 EP - 427 ER - TY - JOUR A1 - Weider, Margareta A1 - Schlagenhauf, Ulrich A1 - Seefried, Lothar T1 - Oral health status of adult hypophosphatasia patients: A cross‐sectional study JF - Journal of Clinical Periodontology N2 - Aim This study evaluated the oral health status of adult patients with hypophosphatasia (HPP). Materials and Methods Parameters of oral health assessment comprised decayed/missing/filled teeth (DMFT) index, probing pocket depth and clinical attachment level (CAL) as well as documentation of tooth loss and periodontal health status according to CCD/AAP criteria. Findings were compared with national reference data (DMS V survey) reporting oral health status in age‐related controls. Within‐group comparisons were made between the HPP patients harbouring one versus two alkaline phosphatase liver/bone/kidney type (ALPL) gene variants. Results Of 80 HPP patients (64 female) with a mean age of 46.4 years (range 24–78) and one (n = 55) or two (n = 18) variants (n = 7 lacking testing) within the ALPL gene, those with two variants displayed substantially higher tooth loss rate (14.0 ± 9.3) than those affected by only one ALPL variant (4.1 ± 5.4), who did not differ substantially from healthy DMS V controls. While DMFT score and severe periodontal diseases (PDs) of HPP patients with one variant only increased with progressing age, the two‐variant sub‐cohort age independently exhibited increased DMFT scores and a higher rate of severe PDs. Conclusions HPP patients affected by two variants of the ALPL gene exhibited a higher risk of periodontitis and tooth loss than the general population, while patients with one variant developed clinically relevant oral disease symptoms with progressing ageing. KW - dental status KW - hypophosphatasia KW - inflammation KW - periodontal disease KW - tooth loss Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-293777 VL - 49 IS - 12 SP - 1253 EP - 1261 ER - TY - JOUR A1 - Rodrigues, Johannes A1 - Weiß, Martin A1 - Hewig, Johannes A1 - Allen, John J. B. T1 - EPOS: EEG Processing Open-Source Scripts JF - Frontiers in Neuroscience N2 - Background: Since the replication crisis, standardization has become even more important in psychological science and neuroscience. As a result, many methods are being reconsidered, and researchers’ degrees of freedom in these methods are being discussed as a potential source of inconsistencies across studies. New Method: With the aim of addressing these subjectivity issues, we have been working on a tutorial-like EEG (pre-)processing pipeline to achieve an automated method based on the semi-automated analysis proposed by Delorme and Makeig. Results: Two scripts are presented and explained step-by-step to perform basic, informed ERP and frequency-domain analyses, including data export to statistical programs and visual representations of the data. The open-source software EEGlab in MATLAB is used as the data handling platform, but scripts based on code provided by Mike Cohen (2014) are also included. Comparison with existing methods: This accompanying tutorial-like article explains and shows how the processing of our automated pipeline affects the data and addresses, especially beginners in EEG-analysis, as other (pre)-processing chains are mostly targeting rather informed users in specialized areas or only parts of a complete procedure. In this context, we compared our pipeline with a selection of existing approaches. Conclusion: The need for standardization and replication is evident, yet it is equally important to control the plausibility of the suggested solution by data exploration. Here, we provide the community with a tool to enhance the understanding and capability of EEG-analysis. We aim to contribute to comprehensive and reliable analyses for neuro-scientific research. KW - EEG KW - electroencephalography KW - event-related potentials-ERP KW - EEG processing KW - EEG preprocessing KW - EEG frequency band analysis Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-240221 SN - 1662-453X VL - 15 ER - TY - JOUR A1 - Trabelsi, Khaled A1 - Ammar, Achraf A1 - Boukhris, Omar A1 - Glenn, Jordan M. A1 - Bott, Nick A1 - Stannard, Stephen R. A1 - Engel, Florian A. A1 - Sperlich, Billy A1 - Garbarino, Sergio A1 - Bragazzi, Nicola L. A1 - Shephard, Roy J. A1 - Chtourou, Hamdi T1 - Effects of Ramadan observance on dietary intake and body composition of adolescent athletes: systematic review and meta-analysis JF - Nutrients N2 - To evaluate the effects of Ramadan observance on dietary intake, body mass and body composition of adolescent athletes (design: systematic review and meta-analysis; data sources: PubMed and Web of Science; eligibility criteria for selecting studies: single-group, pre-post, with or without control-group studies, conducted in athletes aged <19 years, training at least 3 times/week, and published in any language before 12 February 2020). Studies assessing body mass and/or body composition and/or dietary intake were deemed eligible. The methodological quality was assessed using ‘QualSyst’. Of the twelve selected articles evaluating body mass and/or body composition, one was of strong quality and eleven were rated as moderate. Ten articles evaluated dietary intake; four were rated as strong and the remaining moderate in quality. Continuation of training during Ramadan did not change body mass from before to the first week (trivial effect size (ES) = −0.011, p = 0.899) or from before to the fourth week of Ramadan (trivial ES = 0.069, p = 0.277). Additionally, Ramadan observance did not change body fat content from before to the first week (trivial ES = −0.005, p = 0.947) and from before to the fourth week of Ramadan (trivial ES = -0.057, p = 0.947). Lean body mass remained unchanged from before to the fourth week of Ramadan (trivial ES = −0.025, p = 0.876). Dietary data showed the intake of energy (small ES = -0.272, p = 0.182), fat (trivial ES = 0.044, p = 0.842), protein (trivial ES = 0.069, p = 0.720), carbohydrate (trivial ES = 0.075, p = 0.606) and water (trivial ES = −0.115, p = 0.624) remained essentially unchanged during as compared to before Ramadan. Continued training of adolescent athletes at least three times/week during Ramadan observance has no effect on body mass, body composition or dietary intake. KW - athletes KW - adolescent KW - energy intake KW - fat mass KW - lean mass KW - Ramadan KW - systematic review and meta-analysis Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-205856 SN - 2072-6643 VL - 12 IS - 6 ER - TY - JOUR A1 - Salvador, Ellaine A1 - Burek, Malgorzata A1 - Löhr, Mario A1 - Nagai, Michiaki A1 - Hagemann, Carsten A1 - Förster, Carola Y. T1 - Senescence and associated blood-brain barrier alterations in vitro JF - Histochemistry and Cell Biology N2 - Progressive deterioration of the central nervous system (CNS) is commonly associated with aging. An important component of the neurovasculature is the blood-brain barrier (BBB), majorly made up of endothelial cells joined together by intercellular junctions. The relationship between senescence and changes in the BBB has not yet been thoroughly explored. Moreover, the lack of in vitro models for the study of the mechanisms involved in those changes impede further and more in-depth investigations in the field. For this reason, we herein present an in vitro model of the senescent BBB and an initial attempt to identify senescence-associated alterations within. KW - senescence KW - in vitro model KW - aging KW - CNS diseases KW - blood–brain barrier Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-267435 SN - 1432-119X VL - 156 IS - 3 ER - TY - JOUR A1 - Schuhmann, Michael K. A1 - Gunreben, Ignaz A1 - Kleinschnitz, Christoph A1 - Kraft, Peter T1 - Immunohistochemical Analysis of Cerebral Thrombi Retrieved by Mechanical Thrombectomy from Patients with Acute Ischemic Stroke JF - International Journal of Molecular Sciences N2 - Mechanical thrombectomy is a novel treatment option for patients with acute ischemic stroke (AIS). Only a few studies have previously suggested strategies to categorize retrieved clots according to their histologic composition. However, these reports did not analyze potential biomarkers that are of importance in stroke-related inflammation. We therefore histopathologically investigated 37 intracerebral thrombi mechanically retrieved from patients with AIS, and focused on the composition of immune cells and platelets. We also conducted correlation analyses of distinctive morphologic patterns (erythrocytic, serpentine, layered, red, white, mixed appearance) with clinical parameters. Most T cells and monocytes were detected in erythrocytic and red clots, in which the distribution of these cells was random. In contrast, von Willebrand factor (vWF)-positive areas co-localized with regions of fibrin and collagen. While clots with huge amounts of vWF seem to be associated with a high National Institute of Health Stroke Scale score at admission, histologic findings could not predict the clinical outcome at discharge. In summary, we provide the first histologic description of mechanically retrieved intracerebral thrombi regarding biomarkers relevant for inflammation in ischemic stroke. KW - thrombus formation KW - immune cells KW - lymphocytes KW - mechanical thrombectomy KW - ischemic stroke KW - inflammation Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-166206 VL - 17 IS - 3 ER - TY - INPR A1 - Hennig, Thomas A1 - Prusty, Archana B. A1 - Kaufer, Benedikt A1 - Whisnant, Adam W. A1 - Lodha, Manivel A1 - Enders, Antje A1 - Thomas, Julius A1 - Kasimir, Francesca A1 - Grothey, Arnhild A1 - Herb, Stefanie A1 - Jürges, Christopher A1 - Meister, Gunter A1 - Erhard, Florian A1 - Dölken, Lars A1 - Prusty, Bhupesh K. T1 - Selective inhibition of microRNA processing by a herpesvirus-encoded microRNA triggers virus reactivation from latency N2 - Herpesviruses have mastered host cell modulation and immune evasion to augment productive infection, life-long latency and reactivation thereof 1,2. A long appreciated, yet elusively defined relationship exists between the lytic-latent switch and viral non-coding RNAs 3,4. Here, we identify miRNA-mediated inhibition of miRNA processing as a novel cellular mechanism that human herpesvirus 6A (HHV-6A) exploits to disrupt mitochondrial architecture, evade intrinsic host defense and drive the latent-lytic switch. We demonstrate that virus-encoded miR-aU14 selectively inhibits the processing of multiple miR-30 family members by direct interaction with the respective pri-miRNA hairpin loops. Subsequent loss of miR-30 and activation of miR-30/p53/Drp1 axis triggers a profound disruption of mitochondrial architecture, which impairs induction of type I interferons and is necessary for both productive infection and virus reactivation. Ectopic expression of miR-aU14 was sufficient to trigger virus reactivation from latency thereby identifying it as a readily drugable master regulator of the herpesvirus latent-lytic switch. Our results show that miRNA-mediated inhibition of miRNA processing represents a generalized cellular mechanism that can be exploited to selectively target individual members of miRNA families. We anticipate that targeting miR-aU14 provides exciting therapeutic options for preventing herpesvirus reactivations in HHV-6-associated disorders like myalgic encephalitis/chronic fatigue syndrome (ME/CFS) and Long-COVID. KW - Herpesvirus KW - HHV-6 KW - miRNA processing KW - miR-30 KW - mitochondria KW - fusion and fission KW - type I interferon KW - latency KW - virus reactivation Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-267858 UR - https://doi.org/10.21203/rs.3.rs-820696/v1 ET - submitted version ER - TY - THES A1 - Sahiti, Floran T1 - Myocardial Work – Application and Clinical Characterization of a New Echocardiographic Tool T1 - Myocardial Work – Anwendung und klinische Charakterisierung einer neuen Echokardiographie-basierten Methode N2 - 1 Summary Left ventricular (LV) ejection fraction (EF) and global longitudinal strain (GLS) are the most commonly used measures of LV function. Yet, they are highly dependent on loading conditions since higher afterload yields lower systolic deformation and thereby a lower LVEF and GLS – despite presumably unchanged LV myocardial contractile strength. Invasive pressure-volume loop measurements represent the reference standard to assess LV function, also considering loading conditions. However, this procedure cannot be used in serial investigations or large sample populations due to its invasive nature. The novel concept of echocardiography-derived assessment of myocardial work (MyW) is based on LV pressure-strain loops, may be a valuable alternative to overcome these challenges, and may also be used with relative ease in large populations. As MyW also accounts for afterload, it is considered less load-dependent than LVEF and GLS. The current PhD work addresses the application and clinical characterization of MyW, an innovative echocardiographic tool. As the method is new, we focused on four main topics: (a) To establish reference values for MyW indices, i.e., Global Work Index (GWI), Global Constructive Work (GCW), Global Wasted Work (GWW), and Global Work Efficiency (GWE); we addressed a wide age range and evaluated the association of MyW indices with age, sex and other clinical and echocardiography parameters in apparently cardiovascular healthy individuals. (b) To investigate the impact of cardiovascular (CV) risk factors on MyW indices and characterize the severity of subclinical LV deterioration in the general population. (c) To assess the association of the LV geometry, i.e., LV mass and dimensions, with MyW indices. (d) To evaluate in-hospital dynamics of MyW indices in patients hospitalized for acute heart failure (AHF). For the PhD thesis, we could make use of two larger cohorts: The STAAB population-based cohort study prospectively recruited and phenotyped a representative sample (5,000 individuals) of the general population of the City of Würzburg, aged 30-79 years and free from symptomatic heart failure at the time of inclusion. We focused on the first half of the study sample (n=2473 individuals), which fulfilled the anticipated strata regarding age and sex. The Acute Heart Failure (AHF) Registry is a prospective clinical registry recruiting and phenotyping consecutive patients admitted for decompensated AHF to the Department of Medicine I, University Hospital Würzburg, and observing the natural course of the disease. The AHF Registry focuses on the pathophysiological understanding, particularly in relation to the early phase after cardiac decompensation, with the aim to improve diagnosis and better-tailored treatment of patients with AHF. For the current study, we concentrated on patients who provided pairs of echocardiograms acquired early after index hospital admission and prior to discharge. The main findings of the PhD thesis were: From the STAAB cohort study, we determined the feasibility of large-scale MyW derivation and the accuracy of the method. We established reference values for MyW indices based on 779 analyzable, apparently healthy participants (mean age 49 ± 10 years, 59% women), who were in sinus rhythm, free from CV risk factors or CV disease, and had no significant LV valve disease. Apart from GWI, there were no associations of other MyW indices with sex. Further, we found a disparate association with age, where MyW showed stable values until the age of 45 years, with an upward shift occurring beyond the age of 45. A higher age decade was associated with higher GWW and lower GWE, respectively. MyW indices only correlated weakly with common echocardiographic parameters, suggesting that MyW may add incremental information to clinically established parameters. Further analyses from the STAAB cohort study contributed to a better understanding of the impact of CV risk factors on MyW indices and the association of LV geometry with LV performance. We demonstrated that CV risk factors impacted selectively on GCW and GWW. Hypertension appears to profoundly compromise the work of the myocardium, in particular, by increasing both GCW and GWW. The LV in hypertension seems to operate at a higher energy level yet lower efficiency. Other classical CV risk factors (Diabetes mellitus, Obesity, Dyslipidemia, Smoking) – independent of blood pressure – impacted consistently and adversely on GCW but did not affect GWW. Further, all CV risk factors affected GWE adversely. We observed that any deviation from a normal LV geometric profile was associated with alterations on MyW. Of note, MyW was sensitive to early changes in LV mass and dimensions. Individuals with normal LV geometry yet established arterial hypertension exhibited a MyW pattern that is typically found in LV hypertrophy. Therefore, such a pattern might serve as an early sign of myocardial damage in hypertensive heart disease and might aid in risk stratification and primary prevention. From the AHF Registry, we selected individuals with serial in-hospital echocardiograms and described in-hospital changes in myocardial performance during recompensation. In patients presenting with a reduced ejection fraction (HFrEF), decreasing N-terminal pro-natriuretic peptide (NT-proBNP) levels as a surrogate of successful recompensation were associated with an improvement in GCW and GWI and consecutively in GWE. In contrast, in patients presenting with a preserved ejection fraction (HFpEF), there was no significant change in GCW and GWI. However, unsuccessful recompensation, i.e., no change or an increase in NT-proBNP levels, was associated with an increase in GWW. This suggests a differential myocardial response to de- and recompensation depending on the HF phenotype. Further, GWW as a surrogate of inappropriate LV energy consumption was elevated in all patients with AHF (compared to reference values) and was not associated with conventional markers as LVEF or NT-proBNP. In an exploratory analysis, GWW predicted the risk of death or rehospitalization within six months after discharge. Hence, GWW might carry incremental information beyond conventional markers of HF severity. N2 - 2 Zusammenfassung Die linksventrikuläre (LV) Ejektionsfraktion (EF) und der Global Longitudinal Strain (GLS) sind die am häufigsten verwendeten Maße der LV-Funktion. Sie sind jedoch stark von den jeweiligen Belastungsbedingungen abhängig, da eine höhere Nachlast zu einer geringeren systolischen Deformation und somit zu einer niedrigeren LVEF und GLS führt, trotz einer vermutlich unveränderten myokardialen Kontraktionsstärke. Intrakardiale Druck-Volumen-Schleifenmessungen stellen den Referenzstandard zur Beurteilung der LV-Funktion dar, da hiermit auch die umfassende Berücksichtigung der Lastbedingungen (Vorlast, Nachlast) möglich ist. Dieses Verfahren lässt sich jedoch aufgrund des invasiven Charakters nur schwer in Follow-up Untersuchungen oder großen Studienpopulationen einsetzen. Angelehnt an die Prinzipien dieser invasiven Technik, wurde vor kurzem das neuartige Konzept der Echokardiographie-abgeleiteten Beurteilung der Myokardarbeit (MyW) entwickelt. Dieser Ansatz wertet Druck-Strain-Schleifen aus und berücksichtigt den Einfluss der Nachlast, so dass MyW als weniger lastabhängig gilt verglichen mit LVEF und GLS. Die Analyse von MyW könnte deshalb eine wertvolle Alternative sein, um den o.g. Herausforderungen zu begegnen. Die Methode lässt sich in großen Stichproben, ggf. auch wiederholt, einsetzen. Die hier vorgelegte Dissertation befasst sich mit der Anwendung und klinischen Charakterisierung von MyW, einer innovativen echokardiographischen Methode. Der Fokus lag auf vier Themenbereichen: (a) Festlegung von Referenzwerten für MyW-Indizes, d. h. Global Work Index (GWI), Global Constructive Work (GCW), Global Wasted Work (GWW) und Global Work Efficiency (GWE); wir adressierten einen breiten Altersbereich und quantifizierten die Assoziation der MyW-Indizes mit Alter, Geschlecht und weiteren klinischen und echokardiographischen Parametern bei kardiovaskulär gesunden Normalpersonen. (b) Untersuchung des Einflusses kardiovaskulärer Risikofaktoren auf die MyW-Indizes und die Charakterisierung einer subklinischen LV-Verschlechterung in der Allgemeinbevölkerung. (c) Bewertung der Assoziation der MyW-Indizes mit der LV-Geometrie, insbesondere der LV-Masse und der LV-Dimensionen. (d) Bewertung der Dynamik der MyW-Indizes im Krankenhaus bei Patienten, die wegen akuter Herzinsuffizienz (AHF) ins Krankenhaus aufgenommen wurden. Im Rahmen der hier vorgelegten Dissertation wurden die Daten zweier größerer Kohorten herangezogen: Die bevölkerungsbasierte STAAB-Kohortenstudie rekrutierte und phänotypisierte prospektiv eine repräsentative Stichprobe (5.000 Personen) der Allgemeinbevölkerung der Stadt Würzburg im Alter von 30-79 Jahren, die zum Zeitpunkt des Einschlusses keine vorbeschriebene Herzinsuffizienz hatten. Wir konzentrierten uns auf die erste Hälfte der Studienstichprobe (n=2473 Personen), welche die erwarteten Stratifizierung bezüglich Alter und Geschlecht erfüllten. Das Acute Heart Failure (AHF) Register ist ein klinisches Register zur Rekrutierung und Phänotypisierung von konsekutiven Patienten, die wegen akut dekompensierter Herzinsuffizienz in die Medizinische Klinik I des Universitätsklinikums Würzburg aufgenommen wurden. Ziel dieser Studie ist es, das pathophysiologische Verständnis insbesondere in Bezug auf die Frühphase nach einer kardialen Dekompensation zu verbessern und damit die gezielte Diagnostik und Therapie von Patienten mit AHF zu verbessern. Wir fokussierten hier auf Patienten, bei denen im Krankenhaus zwei Echokardiogramme durchgeführt wurden: früh nach Aufnahme ins Krankenhaus und kurz vor der Entlassung. Die wichtigsten Erkenntnisse der hier vorgelegten Dissertation sind: Aus den Daten der STAAB-Kohortenstudie wurden Referenzwerte für MyW-Indizes etabliert, die auf Auswertungen von insgesamt 779 gesunden Normalpersonen (mittleres Alter 49 ± 10 Jahre, 59% Frauen) mit Sinusrhythmus beruhen. Diese Probanden wiesen gemäß der Ergebnisse einer umfangreichen Eingangsuntersuchung keine kardiovaskulären Risikofaktoren oder Erkrankungen auf und zeigten echokardiographisch keinen Hinweis auf eine LV-Klappenerkrankung. Mit der Ausnahme von GWI fanden sich keine Assoziationen der MyW-Indizes mit dem Geschlecht. Darüber hinaus zeigte sich eine Altersabhängigkeit der MyW-Indizes. Bis zum Alter von 45 Jahren wies MyW stabile Werte auf, jenseits des 45. Lebensjahres jedoch eine Aufwärtsverschiebung: dabei war eine zunehmend höhere Altersdekade mit mehr GWW bzw. weniger GWE verbunden. Die MyW-Indizes korrelierten nur schwach mit üblichen echokardiographischen Parametern, was darauf hindeuten könnte, dass MyW zusätzliche Informationen jenseits klinisch etablierter Variablen beitragen kann. Weitere Analysen aus der STAAB-Kohortenstudie trugen zu einem besseren Verständnis des Einflusses kardiovaskulärer Risikofaktoren auf die MyW-Indizes und der Assoziation der LV-Geometrie mit der LV-Leistung bei. Wir zeigten, dass kardiovaskuläre Risikofaktoren sich selektiv auf GCW und GWW auswirken. Hypertonie beeinträchtigte die Arbeit des Myokards zutiefst, insbesondere durch die Erhöhung sowohl des GCW als auch des GWW. Der LV arbeitet demnach bei Hypertonie auf einem höheren Energieniveau – jedoch mit geringerer Effizienz. Andere klassische kardiovaskuläre Risikofaktoren (Diabetes mellitus, Adipositas, Dyslipidämie, Rauchen), wirkten sich unabhängig vom Blutdruck durchweg negativ auf GCW aus, zeigten jedoch keinen Einfluss auf GWW. Darüber hinaus wirkten sich alle kardiovaskulären Risikofaktoren nachteilig auf GWE aus. Jede Abweichung von einem normalen LV-Geometrie Profil war mit Änderungen der MyW verbunden. Bemerkenswert war, dass MyW empfindlich auf frühe Veränderungen der LV-Masse und -Dimensionen reagierte. Personen mit arterieller Hypertonie aber noch normaler LV-Geometrie zeigten ein myokardiales Arbeitsmuster, das ansonsten typischerweise bei LV-Hypertrophie zu finden ist. Somit könnte dieses Muster als frühes Zeichen einer Myokardschädigung bei hypertensiver Herzerkrankung dienen und bei der Risikostratifizierung und Primärprävention helfen. Aus dem AHF-Register wählten wir Personen mit seriellen Echokardiogrammen im Krankenhaus aus und beschrieben Veränderungen der myokardialen Leistung während der Rekompensationsphase beschrieben. Als Surrogat einer Rekompensation zogen wir während der Hospitalisierung sinkende Spiegel von N-terminalem pro-natriuretischem Peptid (NT-proBNP) heran. Bei Patienten mit reduzierter Ejektonfraktion (HFrEF) waren fallende NT-proBNP Werte (i. S. einer erfolgreichen Rekompensation) mit einer Verbesserung von GCW und GWI und konsekutiv auch von GWE verbunden. Im Gegensatz dazu gab es bei Patienten, die eine erhaltene Ejektonfraktionsfraktion aufwiesen (HFpEF), keine signifikante Veränderung von GCW und GWI. Eine erfolglose Rekompensation, d. h. keine Veränderung oder ein potenzieller Anstieg von NT-proBNP, war jedoch mit einem Anstieg von GWW verbunden. Wir interpretierten dies als unterschiedliche myokardiale Reaktion auf De- und Rekompensation in Abhängigkeit vom Herzinsuffizienz-Phänotyp. Darüber hinaus war GWW als Surrogat eines unangemessenen LV-Energieverbrauchs bei allen Patienten mit AHF erhöht (im Vergleich zu Referenzwerten) und korrelierte mit keinem der konventionellen Marker. In einer explorativen Analyse war GWW ein starker Prädiktor für das Risiko, im Verlauf der nächsten sechs Monaten nach Krankenhausentlassung zu sterben oder erneut hospitalisiert zu werden. Damit könnte die GWW zusätzliche Informationen enthalten, die über die konventionellen Marker für den Schweregrad der Herzinsuffizienz hinausgehen. KW - Myocardial Work KW - Echocardiography KW - Heart Failure KW - Hypertension KW - STAAB Cohort Study KW - Wasted Work KW - Cardiac Efficiency KW - Herzinsuffizienz KW - Echokardiographie KW - myokardiale Arbeit KW - LV Function Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-282261 ER - TY - THES A1 - Scheffer, David T1 - Einfluss einer Dexamethason/Bortezomib-Kombinationstherapie auf den Glukokortikoidrezeptor und die Tight Junction-Moleküle Claudin-5 und Occludin in Endothelzellen der Blut-Hirn-Schranke in experimentellen Modellen des Schädel-Hirn-Traumas T1 - Influence of a combined treatment strategy with dexamethasone and Bortezomib on glucocorticoid receptor, claudin-5 and occludin expression in blood-brain barrier endothelial cells in an in vitro and in vivo model of traumatic brain injury N2 - Das Schädel-Hirn-Trauma (SHT) ist ein großes medizinisches Problem. Das Hirnödem mit konsekutiv erhöhten intrakraniellen Drücken ist eine häufige und schwerwiegende Komplikation des schweren SHT. Es ist der signifikanteste Prädiktor für ein schlechtes Outcome. Obwohl Glukokortikoide (GK) die Ausbildung eines Hirnödems bei neuroinflammatorischen Erkrankungen und manchen Hirntumoren reduzieren können, ist diese Substanzklasse im SHT ineffektiv oder sogar schädlich. Nach controlled cortical impact (CCI) in Mäusen, einem etablierten SHT-Modell in-vivo, zeigte sich ein Zusammenbruch der Blut-Hirn-Schranke (BHS). Des Weiteren wurde der BHS-stabilisierende Effekt der GK nach CCI durch proteasomalen Abbau des Glukokortikoidrezeptors (GR) behindert. Eine Inhibierung des Proteasoms durch den Proteasomeninhibitor Bortezomib zusammen mit einer GK-Therapie mit Dexamethason reduzierte den Abbau des GR und sorgte für eine Restitution der BHS-Integrität. Unglücklicherweise ließen sich diese Ergebnisse in-vitro nicht auf in Sauerstoff-/Glukosemangel-Modell in der humanen Hirnendothelzelllinie hCMEC/D3 übertragen. Daher konnte für die Kombinationstherapie aus dem Proteasomeninhibitor Bortezomib und Dexamethason kein positiver Effekt gezeigt werden.  N2 - Traumatic brain injury (TBI) is a major health care burden. Brain edema formation with consecutive intracranial hypertension is a frequent and serious consequence of severe TBI and remains the most significant predictor of poor outcome. Although glucocorticoids (GCs) diminish edema formation in neuroinflammatory diseases and in certain brain tumors, this substance class is ineffective or even harmful in TBI. After controlled cortical impact (CCI) in mice, which is an established in vivo model of TBI, disintegration of the blood-brain barrier (BBB) could be observed. Furthermore, the stabilizing effect of GCs on the BBB was hampered after CCI by proteasomal glucocorticoid receptor (GR) degradation. Combined application of the proteasome inhibitor Bortezomib plus dexamethasone attenuated GR degradation and restored BBB integrity. Unfortunately, these findings could not be translated into an in vitro oxygen/glucose deprivation (OGD) model in the human cerebral microvascular endothelial cell line hCMEC/D3. Thus, no beneficial effect of a combined treatment strategy could be observed. KW - Schädel-Hirn-Trauma KW - Blut-Hirn-Schranke KW - Glucocorticosteroidrezeptor KW - Steroide KW - Proteasom KW - hCMEC/D3 KW - Controlled cortical impact KW - Oxygen-glucose deprivation Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-218712 ER - TY - JOUR A1 - Schischlevskij, Pavel A1 - Cordts, Isabell A1 - Günther, René A1 - Stolte, Benjamin A1 - Zeller, Daniel A1 - Schröter, Carsten A1 - Weyen, Ute A1 - Regensburger, Martin A1 - Wolf, Joachim A1 - Schneider, Ilka A1 - Hermann, Andreas A1 - Metelmann, Moritz A1 - Kohl, Zacharias A1 - Linker, Ralf A. A1 - Koch, Jan Christoph A1 - Stendel, Claudia A1 - Müschen, Lars H. A1 - Osmanovic, Alma A1 - Binz, Camilla A1 - Klopstock, Thomas A1 - Dorst, Johannes A1 - Ludolph, Albert C. A1 - Boentert, Matthias A1 - Hagenacker, Tim A1 - Deschauer, Marcus A1 - Lingor, Paul A1 - Petri, Susanne A1 - Schreiber-Katz, Olivia T1 - Informal caregiving in amyotrophic lateral sclerosis (ALS): a high caregiver burden and drastic consequences on caregivers' lives JF - Brain Sciences N2 - Amyotrophic lateral sclerosis (ALS) is a fatal neurodegenerative disease that causes progressive autonomy loss and need for care. This does not only affect patients themselves, but also the patients’ informal caregivers (CGs) in their health, personal and professional lives. The big efforts of this multi-center study were not only to evaluate the caregivers' burden and to identify its predictors, but it also should provide a specific understanding of the needs of ALS patients' CGs and fill the gap of knowledge on their personal and work lives. Using standardized questionnaires, primary data from patients and their main informal CGs (n = 249) were collected. Patients' functional status and disease severity were evaluated using the Barthel Index, the revised Amyotrophic Lateral Sclerosis Functional Rating Scale (ALSFRS-R) and the King’s Stages for ALS. The caregivers' burden was recorded by the Zarit Burden Interview (ZBI). Comorbid anxiety and depression of caregivers were assessed by the Hospital Anxiety and Depression Scale. Additionally, the EuroQol Five Dimension Five Level Scale evaluated their health-related quality of life. The caregivers' burden was high (mean ZBI = 26/88, 0 = no burden, ≥24 = highly burdened) and correlated with patients' functional status (r\(_p\) = −0.555, p < 0.001, n = 242). It was influenced by the CGs' own mental health issues due to caregiving (+11.36, 95% CI [6.84; 15.87], p < 0.001), patients' wheelchair dependency (+9.30, 95% CI [5.94; 12.66], p < 0.001) and was interrelated with the CGs' depression (r\(_p\) = 0.627, p < 0.001, n = 234), anxiety (r\(_p\) = 0.550, p < 0.001, n = 234), and poorer physical condition (r\(_p\) = −0.362, p < 0.001, n = 237). Moreover, female CGs showed symptoms of anxiety more often, which also correlated with the patients' impairment in daily routine (r\(_s\) = −0.280, p < 0.001, n = 169). As increasing disease severity, along with decreasing autonomy, was the main predictor of caregiver burden and showed to create relevant (negative) implications on CGs' lives, patient care and supportive therapies should address this issue. Moreover, in order to preserve the mental and physical health of the CGs, new concepts of care have to focus on both, on not only patients but also their CGs and gender-associated specific issues. As caregiving in ALS also significantly influences the socioeconomic status by restrictions in CGs' work lives and income, and the main reported needs being lack of psychological support and a high bureaucracy, the situation of CGs needs more attention. Apart from their own multi-disciplinary medical and psychological care, more support in care and patient management issues is required. KW - amyotrophic lateral sclerosis (ALS) KW - informal caregiving KW - caregiver burden KW - functional status KW - decreasing autonomy KW - depression KW - anxiety KW - health-related quality of life KW - socioeconomic status KW - psychological support Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-240981 SN - 2076-3425 VL - 11 IS - 6 ER - TY - JOUR A1 - Riederer, P. A1 - Monoranu, C. A1 - Strobel, S. A1 - Iordache, T. A1 - Sian-Hülsmann, J. T1 - Iron as the concert master in the pathogenic orchestra playing in sporadic Parkinson's disease JF - Journal of Neural Transmission N2 - About 60 years ago, the discovery of a deficiency of dopamine in the nigro-striatal system led to a variety of symptomatic therapeutic strategies to supplement dopamine and to substantially improve the quality of life of patients with Parkinson's disease (PD). Since these seminal developments, neuropathological, neurochemical, molecular biological and genetic discoveries contributed to elucidate the pathology of PD. Oxidative stress, the consequences of reactive oxidative species, reduced antioxidative capacity including loss of glutathione, excitotoxicity, mitochondrial dysfunction, proteasomal dysfunction, apoptosis, lysosomal dysfunction, autophagy, suggested to be causal for ɑ-synuclein fibril formation and aggregation and contributing to neuroinflammation and neural cell death underlying this devastating disorder. However, there are no final conclusions about the triggered pathological mechanism(s) and the follow-up of pathological dysfunctions. Nevertheless, it is a fact, that iron, a major component of oxidative reactions, as well as neuromelanin, the major intraneuronal chelator of iron, undergo an age-dependent increase. And ageing is a major risk factor for PD. Iron is significantly increased in the substantia nigra pars compacta (SNpc) of PD. Reasons for this finding include disturbances in iron-related import and export mechanisms across the blood-brain barrier (BBB), localized opening of the BBB at the nigro-striatal tract including brain vessel pathology. Whether this pathology is of primary or secondary importance is not known. We assume that there is a better fit to the top-down hypotheses and pathogens entering the brain via the olfactory system, then to the bottom-up (gut-brain) hypothesis of PD pathology. Triggers for the bottom-up, the dual-hit and the top-down pathologies include chemicals, viruses and bacteria. If so, hepcidin, a regulator of iron absorption and its distribution into tissues, is suggested to play a major role in the pathogenesis of iron dyshomeostasis and risk for initiating and progressing ɑ-synuclein pathology. The role of glial components to the pathology of PD is still unknown. However, the dramatic loss of glutathione (GSH), which is mainly synthesized in glia, suggests dysfunction of this process, or GSH uptake into neurons. Loss of GSH and increase in SNpc iron concentration have been suggested to be early, may be even pre-symptomatic processes in the pathology of PD, despite the fact that they are progression factors. The role of glial ferritin isoforms has not been studied so far in detail in human post-mortem brain tissue and a close insight into their role in PD is called upon. In conclusion, "iron" is a major player in the pathology of PD. Selective chelation of excess iron at the site of the substantia nigra, where a dysfunction of the BBB is suggested, with peripherally acting iron chelators is suggested to contribute to the portfolio and therapeutic armamentarium of anti-Parkinson medications. KW - SARS-CoV-2 KW - iron in parkinsonism KW - parkinson’s disease KW - iiron transporter KW - neuromelanin KW - iron pathology KW - neuroinflammation KW - iron model KW - ferroptosis KW - ɑ-Synuclein and iron KW - virus–iron interaction KW - COVID-19 KW - hepcidin Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-268539 SN - 1435-1463 VL - 128 IS - 10 ER - TY - THES A1 - Müntze, Jonas Andres T1 - Die Biomaterialbank des Kompetenznetz Herzinsuffizienz - Eine Qualitätskontrolle T1 - The Competence Network for Heart Failure Biobank - A Quality Control N2 - In der vorliegenden Arbeit wurden 16 Parameter analysiert, die im Rahmen der Herzinsuffizienzdiagnostik eine wichtige Rolle spielen. Alle Bioproben waren an den KNHI-Standorten Würzburg und Göttingen gewonnen worden. Ein Teil der so gewonnenen Biomaterialien wurde lokal analysiert und bei -80°C eingelagert (Erstmessung oder Basismessung), ein Teil wurde nach Berlin versandt und dort unter standardisierten Bedingungen in der KNHI-Biobank bei -80°C eingelagert. Nach 6-8 Jahren wurden gezielt Samples aus der KNHI-Biobank angefordert, nach Würzburg versandt, aufgetaut, und zum zweiten Mal gemessen (Nachmessung). Die Messergebnisse aus Pärchen von Serum- und EDTA-Proben aus den lokalen und zentral gelagerten Bioproben wurden verglichen (insgesamt somit 4 Gruppen) und statistisch analysiert (Korrelation, Bestimmtheitsmaß R², Streudiagramme, Bland-Altman-Analysen, Regression, 95%-Übereinstimmungsintervalle, Confounderanalyse). Je nach Parameter wurden zwischen 103 und 322 Probenpaare in die Analyse eingeschlossen. Es konnte gezeigt werden, dass die Lagerung von Biomaterial bei -80°C sinnvoll ist, um in der Zukunft eine genügende Zahl an Patientenwerten für Studien und Analysen bezüglich des Krankheitsbilds Herzinsuffizienz zur Verfügung zu haben. Die Qualität gerade der prognostisch wichtigen Marker hsCRP und NT-proBNP ist als sehr gut zu bewerten, was es dem KNHI ermöglichen dürfte, fast alle eingelagerten Proben zu nutzen. Es wurden verschiedene Akzeptanzbereiche definiert, die sich bei allen Parametern mit Ausnahme von Natrium und Kalium aus den 95%-Übereinstimmungsintervallen der durchgeführten Bland-Altman-Analysen bilden. N2 - In the present study, 16 parameters were analyzed which play an important role in heart failure diagnostics. All biomarkers had been obtained at the KNHI sites in Würzburg and Göttingen. Part of the biomaterial obtained was analyzed locally and stored at -80 ° C (initial measurement or basic measurement), a part was shipped to Berlin and stored there under standardized conditions in the KNHI biobank at -80 ° C. After 6-8 years, samples from the KNHI biobank were requested, sent to Würzburg, thawed, and measured for the second time (final or second measurement). The results from pairs of serum and EDTA samples from the local and centrally stored bioassays were compared (total of 4 groups) and analyzed statistically (correlation, coefficient of determination R², scatterplots, Bland-Altman analyzes, regression, 95% limits of agreement, confounder analyses). Depending on the parameter, between 103 and 322 sample pairs were included in the analyses. It has been shown that the storage of biomaterial at -80 ° C makes sense, in order to have a sufficient number of patient values ​​for studies concerning the disease heart failure available in the future. The quality of the prognostically important markers hsCRP and NT-proBNP is very good, which should allow the KNHI to use almost all stored samples. Various acceptance ranges have been defined for all parameters except sodium and potassium from the 95% limits of agreement of the Bland-Altman analyzes performed. KW - Herzinsuffizienz KW - Biobank KW - Stabilität KW - Langzeitlagerung KW - Serum KW - Plasma Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-178391 ER - TY - JOUR A1 - Graetz, Jonas T1 - Simulation study towards quantitative X-ray and neutron tensor tomography regarding the validity of linear approximations of dark-field anisotropy JF - Scientific Reports N2 - Tensor tomography is fundamentally based on the assumption of a both anisotropic and linear contrast mechanism. While the X-ray or neutron dark-field contrast obtained with Talbot(-Lau) interferometers features the required anisotropy, a preceding detailed study of dark-field signal origination however found its specific orientation dependence to be a non-linear function of the underlying anisotropic mass distribution and its orientation, especially challenging the common assumption that dark-field signals are describable by a function over the unit sphere. Here, two approximative linear tensor models with reduced orientation dependence are investigated in a simulation study with regard to their applicability to grating based X-ray or neutron dark-field tensor tomography. By systematically simulating and reconstructing a large sample of isolated volume elements covering the full range of feasible anisotropies and orientations, direct correspondences are drawn between the respective tensors characterizing the physically based dark-field model used for signal synthesization and the mathematically motivated simplified models used for reconstruction. The anisotropy of freely rotating volume elements is thereby confirmed to be, for practical reconstruction purposes, approximable both as a function of the optical axis' orientation or as a function of the interferometer's grating orientation. The eigenvalues of the surrogate models' tensors are found to exhibit fuzzy, yet almost linear relations to those of the synthesization model. Dominant orientations are found to be recoverable with a margin of error on the order of magnitude of 1 degrees. Although the input data must adequately address the full orientation dependence of dark-field anisotropy, the present results clearly support the general feasibility of quantitative X-ray dark-field tensor tomography within an inherent yet acceptable statistical margin of uncertainty. KW - applied mathematics KW - applied physics KW - imaging techniques Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-261844 VL - 11 ER - TY - JOUR A1 - Haider, Malik Salman A1 - Ahmad, Taufiq A1 - Groll, Jürgen A1 - Scherf-Clavel, Oliver A1 - Kroiss, Matthias A1 - Luxenhofer, Robert T1 - The Challenging Pharmacokinetics of Mitotane: An Old Drug in Need of New Packaging JF - European Journal of Drug Metabolism and Pharmacokinetics N2 - Adrenocortical carcinoma (ACC) is a malignant tumor originating from the adrenal gland cortex with a heterogeneous but overall dismal prognosis in advanced stages. For more than 50 years, mitotane has remained a cornerstone for the treatment of ACC as adjuvant and palliative therapy. It has a very poor aqueous solubility of 0.1 mg/l and high partition coefficient in octanol/water (log P) value of 6. The commercially available dosage form is 500 mg tablets (Lysodren®). Even at doses up to 6 g/day (12 tablets in divided doses) for several months, > 50% patients do not achieve therapeutic plasma concentration > 14 mg/l due to poor water solubility, large volume of distribution and inter/intra-individual variability in bioavailability. This article aims to give a concise update of the clinical challenges associated with the administration of high-dose mitotane oral therapy which encompass the issues of poor bioavailability, difficult-to-predict pharmacokinetics and associated adverse events. Moreover, we present recent efforts to improve mitotane formulations. Their success has been limited, and we therefore propose an injectable mitotane formulation instead of oral administration, which could bypass many of the main issues associated with high-dose oral mitotane therapy. A parenteral administration of mitotane could not only help to alleviate the adverse effects but also circumvent the variable oral absorption, give better control over therapeutic plasma mitotane concentration and potentially shorten the time to achieve therapeutic drug plasma concentrations considerably. Mitotane as tablet form is currently the standard treatment for adrenocortical carcinoma. It has been used for 5 decades but suffers from highly variable responses in patients, subsequent adverse effects and overall lower response rate. This can be fundamentally linked to the exceedingly poor water solubility of mitotane itself. In terms of enhancing water solubility, a few research groups have attempted to develop better formulations of mitotane to overcome the issues associated with tablet dosage form. However, the success rate was limited, and these formulations did not make it into the clinics. In this article, we have comprehensively reviewed the properties of these formulations and discuss the reasons for their limited utility. Furthermore, we discuss a recently developed mitotane nanoformulation that led us to propose a novel approach to mitotane therapy, where intravenous delivery supplements the standard oral administration. With this article, we combine the current state of knowledge as a single piece of information about the various problems associated with the use of mitotane tablets, and herein we postulate the development of a new injectable mitotane formulation, which can potentially circumvent the major problems associated to mitotane's poor water solubility. KW - Mitotane KW - cancer KW - adrenal gland Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-270476 SN - 2107-0180 VL - 46 IS - 5 ER - TY - JOUR A1 - Schmidt, Stefanie A1 - Abinzano, Florencia A1 - Mensinga, Anneloes A1 - Teßmar, Jörg A1 - Groll, Jürgen A1 - Malda, Jos A1 - Levato, Riccardo A1 - Blunk, Torsten T1 - Differential production of cartilage ECM in 3D agarose constructs by equine articular cartilage progenitor cells and mesenchymal stromal cells JF - International Journal of Molecular Sciences N2 - Identification of articular cartilage progenitor cells (ACPCs) has opened up new opportunities for cartilage repair. These cells may be used as alternatives for or in combination with mesenchymal stromal cells (MSCs) in cartilage engineering. However, their potential needs to be further investigated, since only a few studies have compared ACPCs and MSCs when cultured in hydrogels. Therefore, in this study, we compared chondrogenic differentiation of equine ACPCs and MSCs in agarose constructs as monocultures and as zonally layered co-cultures under both normoxic and hypoxic conditions. ACPCs and MSCs exhibited distinctly differential production of the cartilaginous extracellular matrix (ECM). For ACPC constructs, markedly higher glycosaminoglycan (GAG) contents were determined by histological and quantitative biochemical evaluation, both in normoxia and hypoxia. Differential GAG production was also reflected in layered co-culture constructs. For both cell types, similar staining for type II collagen was detected. However, distinctly weaker staining for undesired type I collagen was observed in the ACPC constructs. For ACPCs, only very low alkaline phosphatase (ALP) activity, a marker of terminal differentiation, was determined, in stark contrast to what was found for MSCs. This study underscores the potential of ACPCs as a promising cell source for cartilage engineering. KW - ACPC KW - chondroprogenitors KW - tissue engineering KW - MSC KW - agarose KW - hypoxia KW - ECM KW - co-culture KW - zonal KW - cartilage Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-236180 SN - 1422-0067 VL - 21 IS - 19 ER - TY - JOUR A1 - Wallstabe, Julia A1 - Bussemer, Lydia A1 - Groeber-Becker, Florian A1 - Freund, Lukas A1 - Alb, Mirian A1 - Dragan, Mariola A1 - Waaga-Gasser, Ana Maria A1 - Jakubietz, Rafael A1 - Kneitz, Hermann A1 - Rosenwald, Andreas A1 - Rebhan, Silke A1 - Walles, Heike A1 - Mielke, Stephan T1 - Inflammation-Induced Tissue Damage Mimicking GvHD in Human Skin Models as Test Platform for Immunotherapeutics JF - ALTEX N2 - Due to the rapidly increasing development and use of cellular products, there is a rising demand for non-animal-based test platforms to predict, study and treat undesired immunity. Here, we generated human organotypic skin models from human biopsies by isolating and expanding keratinocytes, fibroblasts and microvascular endothelial cells and seeding these components on a collagen matrix or a biological vascularized scaffold matrix in a bioreactor. We then were able to induce inflammation-mediated tissue damage by adding pre-stimulated, mismatched allogeneic lymphocytes and/or inflammatory cytokine-containing supernatants histomorphologically mimicking severe graft versus host disease (GvHD) of the skin. This could be prevented by the addition of immunosuppressants to the models. Consequently, these models harbor a promising potential to serve as a test platform for the prediction, prevention and treatment of GvHD. They also allow functional studies of immune effectors and suppressors including but not limited to allodepleted lymphocytes, gamma-delta T cells, regulatory T cells and mesenchymal stromal cells, which would otherwise be limited to animal models. Thus, the current test platform, developed with the limitation that no professional antigen presenting cells are in place, could greatly reduce animal testing for investigation of novel immune therapies. KW - inflammation-induced tissue demage KW - immunotherapeutics Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-229974 VL - 37 IS - 3 ER - TY - JOUR A1 - Arnholdt, Jörg A1 - Kamawal, Yama A1 - Horas, Konstantin A1 - Holzapfel, Boris M. A1 - Gilbert, Fabian A1 - Ripp, Axel A1 - Rudert, Maximilian A1 - Steinert, Andre F. T1 - Accurate implant fit and leg alignment after cruciate-retaining patient-specific total knee arthroplasty JF - BMC Musculoskeletal Disorders N2 - Background For improved outcomes in total knee arthroplasty (TKA) correct implant fitting and positioning are crucial. In order to facilitate a best possible implant fitting and positioning patient-specific systems have been developed. However, whether or not these systems allow for better implant fitting and positioning has yet to be elucidated. For this reason, the aim was to analyse the novel patient-specific cruciate retaining knee replacement system iTotal (TM) CR G2 that utilizes custom-made implants and instruments for its ability to facilitate accurate implant fitting and positioning including correction of the hip-knee-ankle angle (HKA). Methods We assessed radiographic results of 106 patients who were treated with the second generation of a patient-specific cruciate retaining knee arthroplasty using iTotal\(^{TM}\) CR G2 (ConforMIS Inc.) for tricompartmental knee osteoarthritis (OA) using custom-made implants and instruments. The implant fit and positioning as well as the correction of the mechanical axis (hip-knee-ankle angle, HKA) and restoration of the joint line were determined using pre- and postoperative radiographic analyses. Results On average, HKA was corrected from 174.4 degrees +/- 4.6 degrees preoperatively to 178.8 degrees +/- 2.2 degrees postoperatively and the coronal femoro-tibial angle was adjusted on average 4.4 degrees. The measured preoperative tibial slope was 5.3 degrees +/- 2.2 degrees (mean +/- SD) and the average postoperative tibial slope was 4.7 degrees +/- 1.1 degrees on lateral views. The joint line was well preserved with an average modified Insall-Salvati index of 1.66 +/- 0.16 pre- and 1.67 +/- 0.16 postoperatively. The overall accuracy of fit of implant components was decent with a measured medial overhang of more than 1 mm (1.33 mm +/- 0.32 mm) in 4 cases only. Further, a lateral overhang of more than 1 mm (1.8 mm +/- 0.63) (measured in the anterior-posterior radiographs) was observed in 11 cases, with none of the 106 patients showing femoral notching. Conclusion The patient-specific iTotal\(^{TM}\) CR G2 total knee replacement system facilitated a proper fitting and positioning of the implant components. Moreover, a good restoration of the leg axis towards neutral alignment was achieved as planned. Nonetheless, further clinical follow-up studies are necessary to validate our findings and to determine the long-term impact of using this patient- specific system. KW - total knee replacement KW - knee axis KW - patient-specific knee arthroplasty KW - knee osteoarthritis KW - implant positioning Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-230012 VL - 21 ER - TY - JOUR A1 - Fuchs, Konrad F. A1 - Heilig, Philipp A1 - McDonogh, Miriam A1 - Boelch, Sebastian A1 - Gbureck, Uwe A1 - Meffert, Rainer H. A1 - Hoelscher-Doht, Stefanie A1 - Jordan, Martin C. T1 - Cement-augmented screw fixation for calcaneal fracture treatment: a biomechanical study comparing two injectable bone substitutes JF - Journal of Orthopaedic Surgery and Research N2 - Background The role of cement-augmented screw fixation for calcaneal fracture treatment remains unclear. Therefore, this study was performed to biomechanically analyze screw osteosynthesis by reinforcement with either a calcium phosphate (CP)-based or polymethylmethacrylate (PMMA)-based injectable bone cement. Methods A calcaneal fracture (Sanders type IIA) including a central cancellous bone defect was generated in 27 synthetic bones, and the specimens were assigned to 3 groups. The first group was fixed with four screws (3.5 mm and 6.5 mm), the second group with screws and CP-based cement (Graftys (R) QuickSet; Graftys, Aix-en-Provence, France), and the third group with screws and PMMA-based cement (Traumacem (TM) V+; DePuy Synthes, Warsaw, IN, USA). Biomechanical testing was conducted to analyze peak-to-peak displacement, total displacement, and stiffness in following a standardized protocol. Results The peak-to-peak displacement under a 200-N load was not significantly different among the groups; however, peak-to-peak displacement under a 600- and 1000-N load as well as total displacement exhibited better stability in PMMA-augmented screw osteosynthesis compared to screw fixation without augmentation. The stiffness of the construct was increased by both CP- and PMMA-based cements. Conclusion Addition of an injectable bone cement to screw osteosynthesis is able to increase fixation strength in a biomechanical calcaneal fracture model with synthetic bones. In such cases, PMMA-based cements are more effective than CP-based cements because of their inherently higher compressive strength. However, whether this high strength is required in the clinical setting for early weight-bearing remains controversial, and the non-degradable properties of PMMA might cause difficulties during subsequent interventions in younger patients. KW - arthritis KW - bone KW - calcaneus KW - cement KW - fracture KW - fixation KW - osteoporosis KW - sanders KW - screw Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-230336 VL - 15 ER - TY - JOUR A1 - Hoelscher‑Doht, Stefanie A1 - Kladny, A.-M. A1 - Paul, M. M. A1 - Eden, L. A1 - Buesse, M. A1 - Meffert, R. H. T1 - Low-profile double plating versus dorsal LCP in stabilization of the olecranon fractures JF - Archives of Orthopaedic and Trauma Surgery N2 - Introduction Proximal ulna fractures are common in orthopaedic surgery. Comminuted fractures require a high primary stability by the osteosynthesis, to allow an early functional rehabilitation as fast as possible, to reduce long-term limitations of range of motion. Classical dorsal plating is related to wound healing problems due to the prominence of the implant. New low-profile double plates are available addressing the soft tissue problems by positioning the plates at the medial and lateral side. This study analysed whether, under high loading conditions, these new double plates provide an equivalent stability as compared to the rigid olecranon locking compression plate (LCP). Materials and methods In Sawbones, Mayo Type IIB fractures were simulated and stabilized by plate osteosyntheses: In group one, two low-profile plates were placed. In group two, a single dorsal plate (LCP) was used. The bones was than cyclically loaded simulating flexion grades of 0°, 30°, 60° and 90° of the elbow joint with increasing tension forces (150 , 150 , 300 and 500 N). The displacement and fracture gap movement were recorded. In the end, in load-to-failure tests, load at failure and mode of failure were determined. Results No significant differences were found for the displacement and fracture gap widening during cyclic loading. Under maximum loading, the double plates revealed a comparable load at failure like the single dorsal plate (LCP). The double plates failed with a proximal screw pull-out of the plate, whereas in the LCP group, in 10 out of 12 specimens the mode of failure was a diaphyseal shaft fracture at the distal plate peak. Conclusion Biomechanically, the double plates are a good alternative to the dorsal LCP providing a high stability under high loading conditions and, at the same, time reducing the soft tissue irritation by a lateral plate position. KW - olecranon KW - plate KW - biomechanical KW - fracture KW - low profile Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235844 SN - 0936-8051 VL - 145 ER - TY - JOUR A1 - Kippnich, Maximilian A1 - Schorscher, Nora A1 - Kredel, Markus A1 - Markus, Christian A1 - Eden, Lars A1 - Gassenmaier, Tobias A1 - Lock, Johann A1 - Wurmb, Thomas T1 - Dual‑room twin‑CT scanner in multiple trauma care: first results after implementation in a level one trauma centre JF - European Journal of Trauma and Emergency Surgery N2 - Purpose The trauma centre of the Wuerzburg University Hospital has integrated a pioneering dual-room twin-CT scanner in a multiple trauma pathway. For concurrent treatment of two trauma patients, two carbon CT examination and intervention tables are positioned head to head with one sliding CT-Gantry in the middle. The focus of this study is the process of trauma care with the time to CT (tCT) and the time to operation (tOR) as quality indicator. Methods All patients with suspected multiple trauma, who required emergency surgery and who were initially diagnosed by the CT trauma protocol between 05/2018 and 12/2018 were included. Data relating to time spans (tCT and tOR), severity of injury and outcome was obtained. Results 110 of the 589 screened trauma patients had surgery immediately after finishing primary assessment in the ER. The ISS was 17 (9–34) (median and interquartile range, IQR). tCT was 15 (11–19) minutes (median and IQR) and tOR was 96.5 (75–119) minutes (median and IQR). In the first 30 days, seven patients died (6.4%) including two within the first 24 h (2%). There were two ICU days (1–6) (median and IQR) and one (0–1) (median and IQR) ventilator day. Conclusion The twin-CT technology is a fascinating tool to organize high-quality trauma care for two multiple trauma patients simultaneously KW - trauma centre KW - trauma management KW - resuscitation time KW - dual-room whole-body CT Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-232390 SN - 1863-9933 ER - TY - JOUR A1 - Jakubietz, Rafael G. A1 - Schmidt, Karsten A1 - Holzapfel, Boris M. A1 - Meffert, Rainer H. A1 - Jakubietz, Michael G. T1 - Pedicled perforator flaps for mid-tibial soft tissue reconstruction in medically compromised patients JF - JPRAS Open N2 - Background: The soft tissue of the central pretibial area is difficult to reconstruct often requiring free tissue transfer. Especially medi- cally compromised patients are not ideal candidates for free tissue transfer and may benefit from expeditiously harvested local flaps with limited donor site morbidity. As muscle flaps are rare, pedi- cled flaps based on lateral perforators represent an alternative as the arc of rotation can often be limited to 90 °. Material and Methods: A retrospective analysis of patient data was conducted to identify patients over the age of 60 years with comor- bidities that underwent pretibial soft tissue reconstruction with a single-pedicle perforator flap. Patient demographics, size and cause of the defect, flap dimension, arc of rotation and complications were recorded. Results: Five patients with an average age of 71.4 years were in- cluded. The arc of rotation was 69 °, all flaps healed. There were two recurrences of osteomyelitis. Conclusion: Lateral perforators originating from the anterior tib- ial artery or peroneal artery are adequate source vessels for single pedicled perforator flaps even in medically compromised patients. A perforator located proximal to the defect allows limiting the arcof rotation to less than 90 °, which increases the safety of the flap. Patients benefit from a simple procedure without a microvascular anastomosis and a donor site confined to one extremity KW - Propeller flap KW - Pedicled perforator flap KW - Lower extremity reconstruction KW - Elderly patients Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-229473 VL - 24 ER - TY - THES A1 - Palmisano, Chiara T1 - Supraspinal Locomotor Network Derangements: A Multimodal Approach T1 - Störungen des Supraspinalen Lokomotorischen Netzwerks: ein Multimodaler Ansatz N2 - Parkinson’s Disease (PD) constitutes a major healthcare burden in Europe. Accounting for aging alone, ~700,000 PD cases are predicted by 2040. This represents an approximately 56% increase in the PD population between 2005 and 2040, with a consequent rise in annual disease‐related medical costs. Gait and balance disorders are a major problem for patients with PD and their caregivers, mainly because to their correlation with falls. Falls occur as a result of a complex interaction of risk factors. Among them, Freezing of Gait (FoG) is a peculiar gait derangement characterized by a sudden and episodic inability to produce effective stepping, causing falls, mobility restrictions, poor quality of life, and increased morbidity and mortality. Between 50–70% of PD patients have FoG and/or falls after a disease duration of 10 years, only partially and inconsistently improved by dopaminergic treatment and Deep Brain Stimulation (DBS). Treatment-induced worsening has been also observed under certain conditions. Effective treatments for gait disturbances in PD are lacking, probably because of the still poor understanding of the supraspinal locomotor network. In my thesis, I wanted to expand our knowledge of the supraspinal locomotor network and in particular the contribution of the basal ganglia to the control of locomotion. I believe this is a key step towards new preventive and personalized therapies for postural and gait problems in patients with PD and related disorders. In addition to patients with PD, my studies also included people affected by Progressive Supranuclear Palsy (PSP). PSP is a rare primary progressive parkinsonism characterized at a very early disease stage by poor balance control and frequent backwards falls, thus providing an in vivo model of dysfunctional locomotor control. I focused my attention on one of the most common motor transitions in daily living, the initiation of gait (GI). GI is an interesting motor task and a relevant paradigm to address balance and gait impairments in patients with movement disorders, as it is associated with FoG and high risk of falls. It combines a preparatory (i.e., the Anticipatory Postural Adjustments [APA]) and execution phase (the stepping) and allows the study of movement scaling and timing as an expression of muscular synergies, which follow precise and online feedback information processing and integration into established feedforward patterns of motor control. By applying a multimodal approach that combines biomechanical assessments and neuroimaging investigations, my work unveiled the fundamental contribution of striatal dopamine to GI in patients with PD. Results in patients with PSP further supported the fundamental role of the striatum in GI execution, revealing correlations between the metabolic intake of the left caudate nucleus with diverse GI measurements. This study also unveiled the interplay of additional brain areas in the motor control of GI, namely the Thalamus, the Supplementary Motor Area (SMA), and the Cingulate cortex. Involvement of cortical areas was also suggested by the analysis of GI in patients with PD and FoG. Indeed, I found major alterations in the preparatory phase of GI in these patients, possibly resulting from FoG-related deficits of the SMA. Alterations of the weight shifting preceding the stepping phase were also particularly important in PD patients with FoG, thus suggesting specific difficulties in the integration of somatosensory information at a cortical level. Of note, all patients with PD showed preserved movement timing of GI, possibly suggesting preserved and compensatory activity of the cerebellum. Postural abnormalities (i.e., increased trunk and thigh flexion) showed no relationship with GI, ruling out an adaptation of the motor pattern to the altered postural condition. In a group of PD patients implanted with DBS, I further explored the pathophysiological functioning of the locomotor network by analysing the timely activity of the Subthalamic Nucleus (STN) during static and dynamic balance control (i.e., standing and walking). For this study, I used novel DBS devices capable of delivering stimulation and simultaneously recording Local Field Potentials (LFP) of the implanted nucleus months and years after surgery. I showed a gait-related frequency shift in the STN activity of PD patients, possibly conveying cortical (feedforward) and cerebellar (feedback) information to mesencephalic locomotor areas. Based on this result, I identified for each patient a Maximally Informative Frequency (MIF) whose power changes can reliably classify standing and walking conditions. The MIF is a promising input signal for new DBS devices that can monitor LFP power modulations to timely adjust the stimulation delivery based on the ongoing motor task (e.g., gait) performed by the patient (adaptive DBS). Altogether my achievements allowed to define the role of different cortical and subcortical brain areas in locomotor control, paving the way for a better understanding of the pathophysiological dynamics of the supraspinal locomotor network and the development of tailored therapies for gait disturbances and falls prevention in PD and related disorders. N2 - Die Parkinson-Krankheit (PD) stellt in Europa eine große Belastung für das Gesundheitswesen dar. Allein unter Berücksichtigung der Alterung werden bis zum Jahr 2040 etwa 700 000 Fälle von Parkinson prognostiziert. Dies entspricht einer Zunahme der Parkinson-Population um etwa 56 % zwischen 2005 und 2040, was zu einem Anstieg der jährlichen krankheitsbedingten medizinischen Kosten führt. Gang- und Gleichgewichtsstörungen sind ein großes Problem für Morbus-Parkinson-Patienten und ihre Betreuer, vor allem, weil sie mit Stürzen zusammenhängen. Stürze sind das Ergebnis einer komplexen Interaktion von Risikofaktoren. Zu diesen Faktoren gehört das Freezing of Gait (FoG), eine besondere Gangstörung, die durch eine plötzliche und episodische Unfähigkeit gekennzeichnet ist, einen effektiven Schritt zu machen, was zu Stürzen, Mobilitätseinschränkungen, schlechter Lebensqualität und erhöhter Morbidität und Mortalität führt. Zwischen 50 und 70 % der Morbus-Parkinson-Patienten haben nach einer Krankheitsdauer von 10 Jahren FoG und/oder Stürze, die sich durch dopaminerge Behandlung und Tiefe Hirnstimulation (DBS) nur teilweise und uneinheitlich verbessern. Unter bestimmten Bedingungen wurde auch eine behandlungsbedingte Verschlechterung beobachtet. Es gibt keine wirksamen Behandlungen für Gangstörungen bei Morbus Parkinson, was wahrscheinlich auf das noch immer unzureichende Verständnis des supraspinalen lokomotorischen Netzwerks zurückzuführen ist. In meiner Dissertation wollte ich unser Wissen über das supraspinale Bewegungsnetzwerk und insbesondere den Beitrag der Basalganglien zur Steuerung der Fortbewegung erweitern. Ich glaube, dass dies ein wichtiger Schritt auf dem Weg zu neuen präventiven und personalisierten Therapien für Haltungs- und Gangprobleme bei Patienten mit Parkinson und verwandten Erkrankungen ist. Neben Morbus-Parkinson-Patienten wurden in meine Studien auch Menschen mit progressiver supranukleärer Lähmung (PSP) einbezogen. PSP ist ein seltener primär progressiver Parkinsonismus, der in einem sehr frühen Krankheitsstadium durch eine schlechte Gleichgewichtskontrolle und häufige Rückwärtsstürze gekennzeichnet ist und somit ein In-vivo-Modell für eine gestörte Bewegungskontrolle darstellt. Ich habe mich auf einen der häufigsten motorischen Übergänge im täglichen Leben konzentriert, die Initiierung des Gangs (GI). GI ist eine interessante motorische Aufgabe und ein relevantes Paradigma zur Untersuchung von Gleichgewichts- und Gangstörungen bei Patienten mit Bewegungsstörungen, da sie mit FoG und einem hohen Sturzrisiko verbunden ist. Sie kombiniert eine Vorbereitungsphase (d. h. die antizipatorischen posturalen Anpassungen [APA]) und eine Ausführungsphase (den Schritt) und ermöglicht die Untersuchung der Bewegungsskalierung und des Timings als Ausdruck muskulärer Synergien, die einer präzisen und online erfolgenden Verarbeitung von Feedback-Informationen und der Integration in etablierte Feedforward-Muster der motorischen Kontrolle folgen. Durch Anwendung eines multimodalen Ansatzes, der biomechanische Bewertungen und bildgebende Untersuchungen kombiniert, hat meine Arbeit den grundlegenden Einfluss des striatalen Dopamins auf GI bei Patienten mit Parkinson enthüllt. Die Ergebnisse bei Patienten mit PSP untermauerten die grundlegende Rolle des Striatums bei der Ausführung von GI, indem sie Korrelationen zwischen der metabolischen Aufnahme des linken Nucleus caudatus und verschiedenen GI-Parametern aufzeigten. Diese Studie enthüllte auch das Zusammenspiel weiterer Hirnareale bei der motorischen Kontrolle von GI, nämlich des Thalamus, der Supplementary Motor Area (SMA) und des Cingulum-Kortex. Die Beteiligung kortikaler Areale wurde auch durch die Analyse der GI bei Patienten mit Parkinson und FoG nahegelegt. In der Tat fand ich bei diesen Patienten erhebliche Veränderungen in der Vorbereitungsphase des GI, die möglicherweise auf FoG-bedingte Defizite der SMA zurückzuführen sind. Veränderungen der Gewichtsverlagerung, die der Schrittphase vorausgeht, waren bei Morbus-Parkinson-Patienten mit FoG ebenfalls besonders ausgeprägt, was auf spezifische Schwierigkeiten bei der Integration somatosensorischer Informationen auf kortikaler Ebene schließen lässt. Bemerkenswert ist, dass alle Morbus-Parkinson-Patienten ein gut erhaltenes Bewegungs-Timing von GI aufwiesen, was möglicherweise auf eine ebenfalls gut erhaltene und kompensatorische Aktivität des Kleinhirns hindeutet. Haltungsanomalien (d. h. verstärkte Rumpf- und Oberschenkelflexion) standen in keinem Zusammenhang mit GI, was eine Anpassung des motorischen Musters an die veränderten Haltungsbedingungen ausschließt. Bei einer Gruppe von Morbus-Parkinson-Patienten, denen eine DBS implantiert wurde, untersuchte ich die pathophysiologische Funktionsweise des lokomotorischen Netzwerks weiter, indem ich die rechtzeitige Aktivität des subthalamischen Nucleus (STN) während der statischen und dynamischen Gleichgewichtskontrolle (d. h. Stehen und Gehen) analysierte. Für diese Studie habe ich neuartige DBS-Geräte verwendet, die in der Lage sind, Stimulationen abzugeben und gleichzeitig lokale Feldpotentiale (LFP) des implantierten Nucleus Monate und Jahre nach der Operation aufzuzeichnen. Ich konnte eine gehbezogene Frequenzverschiebung in der STN-Aktivität von Morbus-Parkinson-Patienten nachweisen, die möglicherweise kortikale (feedforward) und zerebelläre (feedback) Informationen an mesenzephale Bewegungsbereiche weiterleitet. Auf der Grundlage dieses Ergebnisses habe ich für jeden Patienten eine maximal informative Frequenz (MIF) identifiziert, deren Leistungsänderungen eine zuverlässige Klassifizierung von Steh- und Gehzuständen ermöglichen. Die MIF ist ein vielversprechendes Eingangssignal für neue DBS-Geräte, die LFP-Leistungsmodulationen überwachen können, um die Stimulationsabgabe zeitnah an die laufende motorische Aufgabe (z. B. Gehen) des Patienten anzupassen (adaptive DBS). Insgesamt ist es mir gelungen, die Rolle verschiedener kortikaler und subkortikaler Hirnareale bei der Bewegungskontrolle zu definieren. Dies ebnet den Weg für ein besseres Verständnis der pathophysiologischen Dynamik des supraspinalen Bewegungsnetzwerks und die Entwicklung maßgeschneiderter Therapien für Gangstörungen und Sturzprävention bei Morbus Parkinson und verwandten Erkrankungen. KW - locomotor network KW - gait initiation KW - deep brain stimulation KW - gait analysis KW - movement disorders KW - neural biomarkers KW - parkinson's disease Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-266442 ER - TY - JOUR A1 - Bachmann, Julia A1 - Ehlert, Elias A1 - Becker, Matthias A1 - Otto, Christoph A1 - Radeloff, Katrin A1 - Blunk, Torsten A1 - Bauer-Kreisel, Petra T1 - Ischemia-like stress conditions stimulate trophic activities of adipose-derived stromal/stem cells JF - Cells N2 - Adipose-derived stromal/stem cells (ASCs) have been shown to exert regenerative functions, which are mainly attributed to the secretion of trophic factors. Upon transplantation, ASCs are facing an ischemic environment characterized by oxygen and nutrient deprivation. However, current knowledge on the secretion capacity of ASCs under such conditions is limited. Thus, the present study focused on the secretory function of ASCs under glucose and oxygen deprivation as major components of ischemia. After exposure to glucose/oxygen deprivation, ASCs maintained distinct viability, but the metabolic activity was greatly reduced by glucose limitation. ASCs were able to secrete a broad panel of factors under glucose/oxygen deprivation as revealed by a cytokine antibody array. Quantification of selected factors by ELISA demonstrated that glucose deprivation in combination with hypoxia led to markedly higher secretion levels of the angiogenic and anti-apoptotic factors IL-6, VEGF, and stanniocalcin-1 as compared to the hypoxic condition alone. A conditioned medium of glucose/oxygen-deprived ASCs promoted the viability and tube formation of endothelial cells, and the proliferation and migration of fibroblasts. These findings indicate that ASCs are stimulated by ischemia-like stress conditions to secrete trophic factors and would be able to exert their beneficial function in an ischemic environment. KW - adipose-derived stromal/stem cells (ASCs) KW - regenerative medicine KW - secretion KW - trophic factors KW - ischemia KW - glucose starvation KW - hypoxia Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-211233 SN - 2073-4409 VL - 9 IS - 9 ER - TY - JOUR A1 - Nose, Naoko A1 - Nogami, Suguru A1 - Koshino, Kazuhiro A1 - Chen, Xinyu A1 - Werner, Rudolf A. A1 - Kashima, Soki A1 - Rowe, Steven P. A1 - Lapa, Constantin A1 - Fukuchi, Kazuki A1 - Higuchi, Takahiro T1 - [18F]FDG-labelled stem cell PET imaging in different route of administrations and multiple animal species JF - Scientific Reports N2 - Stem cell therapy holds great promise for tissue regeneration and cancer treatment, although its efficacy is still inconclusive and requires further understanding and optimization of the procedures. Non-invasive cell tracking can provide an important opportunity to monitor in vivo cell distribution in living subjects. Here, using a combination of positron emission tomography (PET) and in vitro 2-deoxy-2-[18F]fluoro-D-glucose ([18F]FDG) direct cell labelling, the feasibility of engrafted stem cell monitoring was tested in multiple animal species. Human mesenchymal stem cells (MSCs) were incubated with phosphate-buffered saline containing [18F]FDG for in vitro cell radiolabelling. The pre-labelled MSCs were administrated via peripheral vein in a mouse (n=1), rats (n=4), rabbits (n=4) and non-human primates (n=3), via carotid artery in rats (n=4) and non-human primates (n=3), and via intra-myocardial injection in rats (n=5). PET imaging was started 10 min after cell administration using a dedicated small animal PET system for a mouse and rats. A clinical PET system was used for the imaging of rabbits and non-human primates. After MSC administration via peripheral vein, PET imaging revealed intense radiotracer signal from the lung in all tested animal species including mouse, rat, rabbit, and non-human primate, suggesting administrated MSCs were trapped in the lung tissue. Furthermore, the distribution of the PET signal significantly differed based on the route of cell administration. Administration via carotid artery showed the highest activity in the head, and intra-myocardial injection increased signal from the heart. In vitro [18F]FDG MSC pre-labelling for PET imaging is feasible and allows non-invasive visualization of initial cell distribution after different routes of cell administration in multiple animal models. Those results highlight the potential use of that imaging approach for the understanding and optimization of stem cell therapy in translational research. KW - biomarkers KW - molecular medicine KW - stem-cell research KW - stem cells Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-260590 VL - 11 IS - 1 ER - TY - JOUR A1 - Reiter, Theresa A1 - Weiss, Ingo A1 - Weber, Oliver M. A1 - Bauer, Wolfgang R. T1 - Signal voids of active cardiac implants at 3.0 T CMR JF - Scientific Reports N2 - Recent technical advancements allow cardiac MRI (CMR) examinations in the presence of so-called MRI conditional active cardiac implants at 3.0 T. However, the artifact burden caused by susceptibility effects remain an obstacle. All measurements were obtained at a clinical 3.0 T scanner using an in-house designed cubic phantom and optimized sequences for artifact evaluation (3D gradient echo sequence, multi-slice 2D turbo spin echo sequence). Reference sequences according to the American Society for Testing and Materials (ASTM) were additionally applied. Four representative active cardiac devices and a generic setup were analyzed regarding volume and shape of the signal void. For analysis, a threshold operation was applied to the grey value profile of each data set. The presented approach allows the evaluation of the signal void and shape even for larger implants such as ICDs. The void shape is influenced by the orientation of the B0-field and by the chosen sequence type. The distribution of ferromagnetic material within the implants also matters. The void volume depends both on the device itself, and on the sequence type. Disturbances in the B0 and B1 fields exceed the visual signal void. This work presents a reproducible and highly defined approach to characterize both signal void artifacts at 3.0 T and their influencing factors. KW - cardiac MRI KW - cardiac implants KW - signal voids Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-300502 VL - 12 IS - 1 ER - TY - JOUR A1 - Lüdemann, Martin A1 - Jakuscheit, Axel A1 - Ewald, Andrea A1 - Frühmann, Leena A1 - Hölscher-Doht, Stefanie A1 - Rudert, Maximilian A1 - von Hertzberg-Boelch, Sebastian Philipp T1 - Influence of Tranexamic Acid on Elution Characteristics and Compressive Strength of Antibiotic-Loaded PMMA-Bone Cement with Gentamicin JF - Materials N2 - Purpose: The topical application of tranexamic acid (TXA) into the joint space during total joint arthroplasty (TJA) with no increase of complications, has been widely reported. We investigated the influence of TXA on antibiotic release, activity of the released antibiotic against a clinical isolate of S. aureus, and compressive strength of a widely used commercially prepared gentamicin-loaded cement brand (PALACOS R + G). Method: 12 bone cement cylinders (diameter and height = 6 and 12 mm, respectively) were molded. After curing in air for at least 1 h, six of the cylinders were completely immersed in 5 mL of fetal calf serum (FCS) and the other six were completely immersed in a solution consisting of 4.9 mL of FCS and 0.1 mL (10 mg) of TXA. Gentamicin elution tests were performed over 7 d. Four hundred µL of the gentamicin eluate were taken every 24 h for the first 7 d without renewing the immersion fluid. The gentamicin concentration was determined in a clinical analyzer using a homogeny enzyme immuno-assay. The antimicrobial activity of the eluate, obtained after day 7, was tested. An agar diffusion test regime was used with Staphylococcus aureus. Bacteria were grown in a LB medium and plated on LB agar plates to get a bacterial lawn. Fifty µL of each eluate were pipetted on 12-mm diameter filter discs, which were placed in the middle of the agar gel. After 24 h of cultivation at 37 °C, the zone of inhibition (ZOI) for each specimen was measured. The compressive strength of the cements was determined per ISO 5833. Results: At each time point in the gentamicin release test, the difference in gentamicin concentration, obtained from specimens immersed in the FCS solution only and those immersed in the FCS + TXA solution was not significant (p = 0.055–0.522). The same trend was seen in each of the following parameters, after 7 d of immersion: (1) Cumulative gentamicin concentration (p < 0.297); (2) gentamicin activity against S. aureus (strongly visible); (3) ZOI size (mostly > 20 mm) (p = 0.631); and (4) compressive strength (p = 0.262). Conclusions: For the PALACOS R + G specimens, the addition of TXA to FCS does not produce significant decreases in gentamicin concentration, in the activity of the gentamicin eluate against a clinical isolate of S. aureus, the zone of inhibition of S. aureus, and in the compressive strength of the cement, after 7 d of immersion in the test solution. KW - gentamicin-loaded poly (methyl methacrylate) bone cement KW - total joint arthroplasty KW - total knee arthroplasty KW - tranexamic acid Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-246236 SN - 1996-1944 VL - 14 IS - 19 ER - TY - JOUR A1 - Gilbert, F. A1 - Meffert, R. H. A1 - Schmalzl, J. A1 - Weng, A. M. A1 - Köstler, H. A1 - Eden, L. T1 - Grade of retraction and tendon thickness correlates with MR-spectroscopically measured amount of fatty degeneration in full thickness supraspinatus tears JF - BMC Musculoskeletal Disorders N2 - Background: The amount of fatty degeneration (FD) has major impact on the clinical result and cuff integrity after rotator cuff repair. A quantitative analysis with magnet resonance imaging (MRI) spectroscopy was employed to analyze possible correlation of FD with tendon retraction, tendon thickness and patients’ characteristics in full thickness supraspinatus tears. Methods: Forty-two patients with full-thickness supraspinatus tears underwent shoulder MRI including an experimental spectroscopic sequence allowing quantification of the fat fraction in the supraspinatus muscle belly. The amount of fatty degeneration was correlated with tendon retraction, tendon thickness, patients’ age, gender, smoker status, symptom duration and body mass index (BMI). Patients were divided in to three groups of retraction (A) 0-10 mm (n=), (B) 11-20 mm (n=) and (C) < 21 mm (n=) and the means of FD for each group were calculated. Results: Tendon retraction (R = 0.6) and symptom duration (R = 0.6) correlated positively, whereas tendon thickness correlated negatively (R = − 0.6) with the amount of FD. The fat fraction increased significantly with tendon retraction: Group (A) showed a mean fat mount of 3.7% (±4%), group (B) of 16.7% (±8.2%) and group (C) of 37.5% (±19%). BMI, age and smoker-status only showed weak to moderate correlation with the amount of FD in this cohort. Conclusion: MRI spectroscopy revealed significantly higher amount of fat with increasing grade of retraction, symptom duration and decreased tendon thickness. Thus, these parameters may indirectly be associated with the severity of tendon disease. KW - rotator cuff KW - MRI KW - spectroscopy KW - muscle degeneration Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-176116 VL - 19 IS - 197 ER - TY - JOUR A1 - Jakuscheit, Axel A1 - Schaefer, Nina A1 - Roedig, Johannes A1 - Luedemann, Martin A1 - Hertzberg-Boelch, Sebastian Philipp von A1 - Weissenberger, Manuel A1 - Schmidt, Karsten A1 - Holzapfel, Boris Michael A1 - Rudert, Maximilian T1 - Modifiable individual risks of perioperative blood transfusions and acute postoperative complications in total hip and knee arthroplasty JF - Journal of Personalized Medicine N2 - Background: The primary aim of this study was to identify modifiable patient-related predictors of blood transfusions and perioperative complications in total hip and knee arthroplasty. Individual predictor-adjusted risks can be used to define preoperative treatment thresholds. Methods: We performed this retrospective monocentric study in orthopaedic patients who underwent primary total knee or hip arthroplasty. Multivariate logistic regression models were used to assess the predictive value of patient-related characteristics. Predictor-adjusted individual risks of blood transfusions and the occurrence of any perioperative adverse event were calculated for potentially modifiable risk factors. Results: 3754 patients were included in this study. The overall blood transfusion and complication rates were 4.8% and 6.4%, respectively. Haemoglobin concentration (Hb, p < 0.001), low body mass index (BMI, p < 0.001) and estimated glomerular filtration rate (eGFR, p = 0.004) were the strongest potentially modifiable predictors of a blood transfusion. EGFR (p = 0.001) was the strongest potentially modifiable predictor of a complication. Predictor-adjusted risks of blood transfusions and acute postoperative complications were calculated for Hb and eGFR. Hb = 12.5 g/dL, BMI = 17.6 kg/m\(^2\), and eGFR = 54 min/mL were associated, respectively, with a 10% risk of a blood transfusion, eGFR = 59 mL/min was associated with a 10% risk of a complication. Conclusion: The individual risks for blood transfusions and acute postoperative complications are strongly increased in patients with a low preoperative Hb, low BMI or low eGFR. We recommend aiming at a preoperative Hb ≥ 13g/dL, an eGFR ≥ 60 mL/min and to avoid a low BMI. Future studies must show if a preoperative increase of eGFR and BMI is feasible and truly beneficial. KW - patient blood management KW - total joint arthroplasty KW - haemoglobin KW - perioperative management Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-250290 SN - 2075-4426 VL - 11 IS - 11 ER - TY - JOUR A1 - Reimann, Hauke A1 - Stopper, Helga A1 - Hintzsche, Henning T1 - Long-term fate of etoposide-induced micronuclei and micronucleated cells in Hela-H2B-GFP cells JF - Archives of Toxicology N2 - Micronuclei are small nuclear cellular structures containing whole chromosomes or chromosomal fragments. While there is a lot of information available about the origin and formation of micronuclei, less is known about the fate of micronuclei and micronucleated cells. Possible fates include extrusion, degradation, reincorporation and persistence. Live cell imaging was performed to quantitatively analyse the fates of micronuclei and micronucleated cells occurring in vitro. Imaging was conducted for up to 96 h in HeLa-H2B-GFP cells treated with 0.5, 1 and 2 µg/ml etoposide. While a minority of micronuclei was reincorporated into the main nucleus during mitosis, the majority of micronuclei persisted without any alterations. Degradation and extrusion were observed rarely or never. The presence of micronuclei affected the proliferation of the daughter cells and also had an influence on cell death rates. Mitotic errors were found to be clearly increased in micronucleus-containing cells. The results show that micronuclei and micronucleated cells can, although delayed in cell cycle, sustain for multiple divisions. KW - micronuclei KW - cell fate KW - etoposide KW - live imaging KW - DNA damage Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235039 SN - 0340-5761 VL - 94 ER - TY - THES A1 - Grebe, Sören T1 - Diagnose der linksventrikulären Hypertrophie bei Hämodialyse-PatientInnen anhand von Echokardiographie und EKG im Vergleich zum CMRI T1 - Diagnosis and quantification of left ventricular mass by ecg and echocardiography compared to cardiac magnet resonance imaging in hemodialysis patients N2 - In der Gruppe der Hämodialyse-PatientInnen besteht ein deutlich erhöhtes Risiko an kardiovaskulären Ereignissen zu versterben. Korrespondierend hierzu weisen Hämodia-lyse-PatientInnen eine erhöhte Prävalenz an linksventrikulärer Hypertrophie (LVH) auf. Diese gilt als starker unabhängiger Risikofaktor für kardiovaskuläre Mortalität. Auf-grund der prognostischen Aussagekraft dient die Bewertung des linksventrikulären Massenindex (LVMI) sowie die Diagnose einer LVH vor allem in prospektiven Studien als ein bedeutendes Werkzeug zur Beurteilung des kardiovaskulären Risikos. Die Be-stimmung der LVH kann anhand von bildgebenden Verfahren (u.a. Echokardiographie, CMRI) oder dem EKG erfolgen. Die CMRI-Messung wird gegenwärtig als Goldstan-dard zur Messung der LVH betrachtet. Die 2D geführte M-mode-Methode der Echokardiographie zur Bestimmung der LVM zeichnet sich durch seine einfache und schnelle Durchführbarkeit aus und wird deshalb trotz präziserer Messverfahren wie dem 3D-Verfahren sowie diverser Einschränkungen weiterhin von der American Society of Echocardiography (ASE) als Screening-Methode und zur Untersuchung großer PatientInnenpopulationen empfohlen. Die empfohlene ASE-Formel überschätzt jedoch den LVMI nachweislich im Vergleich zum CMRI-Messverfahren. Die Überschätzung zeigte sich abhängig von der Höhe des LVMI. Es wird vermutet, dass die zunehmende Überschätzung Folge der geometrischen Grundan-nahmen ist, welche den LV vereinfachend als Ellipsoid mit konstantem L/D-Verhältnis annimmt. Dieses Verhältnis scheint sich jedoch bei zunehmender Herzgröße zu verän-dern, was wiederum zu einer Fehleinschätzung des LVMI führt. Die Teichholz (Th)-Formel korrigiert das L/D-Verhältnis mithilfe einer kurvilinearen Anpassung an den linksventrikulären Durchmesser und zeigte kürzlich in einer PatientInnengruppe mit Aor-tenstenose die geringste Tendenz der Überschätzung bei PatientInnen mit LVH. In der vorliegenden Studie wurden die echokardiographischen Formeln – ASE und Th – mit dem CMRI-Messverfahren verglichen. Beide Formeln zeigten eine deutliche Überschät-zung des LVMI. Die Th-Formel demonstrierte jedoch neben einer besseren Überein-stimmung zum CMRI, eine insgesamt geringere Überschätzung des LVMI sowie eine sukzessive Abnahme der Überschätzung mit zunehmendem LVMI. Zusammenfassend kann festgehalten werden, dass die Th-Formel der ASE-Formel in Bezug auf die Be-rechnung des LVMI bei Hämodialyse-PatientInnen insbesondere bei PatientInnen mit LVH überlegen ist. Weitere Studien sind jedoch erforderlich, um die Th-Formel in grö-ßeren Hämodialyse-PatientInnen-Kohorten mit höheren LVMI-Werten zu testen sowie um den prognostischen Wert der Th-Formel im Vergleich zur ASE-Formel zu ermitteln. Die klassischen EKG-Indices und -Scores zur Feststellung einer LVH wiesen, wie be-reits in anderen CMRI-Vergleichsstudien gezeigt, eine schlechte Sensitivität bei guter Spezifität auf. Aufgrund dessen verlor das EKG zunehmend an Bedeutung als Scree-ning-Untersuchung. In dieser Studie wurde der Versuch unternommen die Sensitivität durch zwei Lösungsansätze zu verbessern, einerseits durch die Kombination verschiede-ner EKG-Kriterien und andrerseits durch eine Adjustierung der EKG-Kriterien an den mittels Bioimpedanz gemessenen Fettmassenanteil. Die Kombination verschiedener EKG-Kriterien erzielte eine deutlich erhöhte Sensitivität von >70 %. Auch die Anpas-sung der EKG-Kriterien an den individuellen Fettmassenanteil könnte ein hilfreicher Lösungsansatz zur Verbesserung der Sensitivität bei Adipositas darstellen. N2 - Left ventricular hypertrophy (LVH) is highly prevalent in patients on hemodialysis. LVH, as measured by the left ventricular mass index (LVMI), is a strong predictor of cardiovascular disease (CVD). Consequently, a reliable and valid method to detect LVH is needed for both clinical and scientific implications. For the assessment of left ventricular mass (LVM), cardiac magnetic resonance imaging (CMR) has been established as the most accurate and reproducible method. However, given its limited availability and high cost, CMR is not practical for clinical use in large-scale clinical studies. In contrast, the two-dimensional (2D) targeted M-mode transthoracic echocardiography (TTE) and ecg is preferred in the clinical context because of its widespread availability, low cost, simple handling, and extensive evidence base. Nevertheless, echocardiographic linear measurement and LVM calculation by cube function formulas have their own limitations. The current recommended formula from the American Society of Echocardiography (ASE) is based on special geometric assumptions, which may become inaccurate in the presence of asymmetric hypertrophy, eccentric remodeling, or distortion of left ventricular (LV) geometry and may lead to an incremental overestimation of LVMI. Teichholz et al. designed a formula that includes a volume-correcting function in order to minimize the error inter alia in patients with LVH. A recent CMR study investigating patients with aortic stenosis demonstrated that the Teichholz (Th) formula had a lower tendency to overestimate the value within a population with increased LVMI. Here, we investigated the performance of two echocardiographic formulas, ASE and Th, in calculating LVMI in patients on hemodialysis. TTE and CMR data for 95 hemodialysis patients who participated in the MiREnDa trial were analyzed. The LVMI was calculated by two-dimensional (2D) TTE-guided M-mode measurements employing the American Societ y of Echocardiography (ASE) and Teichholz (Th) formulas, which were compared to the reference method, CMR. LVH was present in 44% of patients based on LVMI measured by CMR. LVMI measured by echocardiography correlated moderately with CMR, ASE: r = 0.44 (0.34–0.62); Th: r = 0.44 (0.32–0.62). Compared to CMR, both echocardiographic formulas overestimated LVMI (mean ΔLVMI (ASE-CMR): 19.5 ± 19.48 g/m2, p < 0.001; mean ΔLVMI (Th-CMR): 15.9 ± 15.89 g/m2, p < 0.001). We found greater LVMI overestimation in patients with LVH using the ASE formula compared to the Th formula. Stratification of patients into CMR LVMI quartiles showed a continuous decrease in ΔLVMI with increasing CMR LVMI quartiles for the Th formula (p < 0.001) but not for the ASE formula (p = 0.772). Bland-Altman analysis showed that the Th formula had a constant bias independent of LVMI. Both methods had good discrimination ability for the detection of LVH (ROC-AUC: 0.819 (0.737–0.901) and 0.808 (0.723–0.892) for Th and ASE, respectively). The ASE and Th formulas overestimate LVMI in hemodialysis patients. However, the overestimation is less with the Th formula, particularly with increasing LVMI. The results suggest that the Th formula should be preferred for measurement of LVMI in chronic hemodialysis patients. Shown in other CMRI comparative studies the ECG indices and scores for detecting LVH had poor sensitivity with good specificity. Because of this, ECG became increasingly less important as a screening method. To improve the sensitivity by two approaches, on the one hand by combining different ECG criteria and on the other hand by adjusting the ECG criteria to the fat mass measured by bioimpedance. The combination of different ECG criteria achieved a significantly increased sensitivity of >70 %. The adjustment of the ECG criteria to the individual fat mass could also be a helpful approach to improve the sensitivity in obesity. KW - Transthorakale Echokardiographie KW - Elektrokardiogramm KW - Linke Herzkammer KW - Kernspintomografie KW - Bioimpedanz KW - Echokardiographie KW - EKG KW - MRT KW - Bioimpedanz KW - Linksventrikuläre Hypertrophie KW - Linksventrikuläre Masse KW - Kombination EKG-Kriterien KW - Teicholz-Formel KW - Fettmassenanteil Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-272115 ER - TY - THES A1 - Uebelacker, Lukas T1 - In vitro-Exposition von Glycerin als Bestandteil des Shisha-Tabaks an humanen Nasenschleimhautzellen und Lymphozyten T1 - In vitro exposure of glycerol as an ingredient of shisha tobacco to human nasal mucosa cells and lymphocytes N2 - Shisha-Tabak benötigt im Vergleich zur Zigarette höhere Konzentrationen des Feuchthaltemittels Glycerin. Seit Mai 2016 ist die bis dahin gültige Limitierung von Feuchthaltemitteln in Tabak auf 5 % aufgehoben. Derzeit ist das toxikologische Profil des Glycerins jedoch noch nicht hinreichend erforscht. Ziel dieser Arbeit war es, Glycerin auf mögliche zyto- und genotoxische Effekte zu untersuchen, um so das Gefährdungspotenzial durch Glycerin im Shisha-Tabak zu beurteilen und die tabakkontrollpolitische Situation in Deutschland zu diskutieren. Dafür wurden Lymphozyten sowie Nasenschleimhautzellen von 10 Patienten für eine Stunde Glycerin (0,001 mol/l bis 6,0 mol/l) exponiert. Durch den Trypanblau-Ausschlusstest wurden die Zellen auf Zytotoxizität, mittels Einzelzellgelelektrophorese (Comet Assay) und Mikrokern-Test auf Genotoxizität untersucht. Im Trypanblau-Ausschlusstest traten bei Lymphozyten sowie nasalen Mukosazellen signifikante Vitalitätsabfälle ab Glycerin-Konzentrationen von 1,0 mol/l auf. Im Comet Assay konnten für beide Zellgruppen signifikante Unterschiede des Olive Tail Moments (OTM) ab 1,0 mol/l nachgewiesen werden. Beim Mikrokern-Test zeigten sich keine signifikanten Zunahmen der Mikrokern-Anzahl. Es konnten zyto- und genotoxische Effekte ab Konzentrationen von 1,0 mol/l nachgewiesen werden. Dies überschreitet die reale Glycerin-Belastung im Hauptstromrauch der Shisha jedoch deutlich. Dennoch handelt es sich bei Genotoxizität um ein stochastisches Risiko. Ebenso sind toxische Effekte, beispielsweise durch Erhitzung, bereits bei geringeren Konzentrationen denkbar. Für eine umfangreichere Beurteilung von Feuchthaltemitteln im Shisha-Tabak sind weitere Untersuchungen indiziert. Darüber hinaus besteht enormer Handlungsbedarf zur weiteren Einführung tabakkontrollpolitischer Maßnahmen in Deutschland. N2 - Shisha tobacco has a higher amount of glycerol than cigarette tobacco. Moreover, new legislation in Germany cancels the old limitation of humectants in shisha tobacco. Although higher amounts of glycerol in tobacco are expected, the knowledge of the toxicological profile of glycerol regarding human cells is incomplete. Aim of the study was to test glycerol for cytotoxic and genotoxic effects and to discuss the risk of humectants in shisha tobacco and the situation of German tobacco control. Lymphocytes and nasal mucosa cells of 10 patients were exposed to different glycerol levels (0.001 mol/l to 6.0 mol/l). Cytotoxic effects were examined by trypan blue exclusion test, genotoxic effects by comet assay and micronucleus test. The trypan blue exclusion test revealed significant cytotoxic effects on lymphocytes and nasal mucosa cells for glycerol concentrations of 1.0 mol/l and higher. In the comet assay a significant DNA damage could be shown for glycerol levels of 1.0 mol/l and higher. No significant micronucleus formation was monitored. While the geno- and cytotoxicity were seen in concentrations of glycerol clearly exceeding the concentrations in main stream smoke of shishas, genotoxicity is a stochastic risk occurring even at subtoxic levels. Furthermore, toxicity in lower levels could result from tobacco combustion or interactions with other smoke components. For an extensive evaluation of the risks of humectants in shisha tobacco further studies are needed. In addition, there is an enormous need for introducing further measures of tobacco control policy in Germany. KW - Glycerin KW - Zytotoxizität KW - Genotoxizität KW - Shisha KW - Wasserpfeife KW - Comet Assay KW - Feuchthaltemittel KW - Mikrokerntest KW - Trypanblautest Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-184443 ER - TY - THES A1 - Schweinfurth, Philipp T1 - Der Einfluss von bub1b und p53 auf den Zellzyklus sowie die Sensitivität gegenüber Docetaxel - Untersuchungen am Mausmodell und an murinen embryonalen Fibroblasten T1 - The effect of bub1b and p53 on the cellcycle as well as the sensitivity against Docetaxel - Examinations on a mousemodell and on murine embryonic fibroblasts N2 - Chemotherapeutika, deren Wirkung am MSC von Zellen ansetzen, gehören zum Standardrepertoire der onkologischen Therapie in zahlreichen Malignomen. In der Uroonkologie hat insbesondere das Erstarken von Docetaxel-basierten Therapien im metastasierten Prostatakarzinom den Fokus erneut auf den MSC gerichtet. Diesbezüglich wurden aber sowohl schützende, als auch tumortreibende Teilfunktionen des MSCs in verschiedenen Tumorentitäten gezeigt und pleiotrope Effekte einzelner Gene des MSCs näher untersucht. Die vorliegende Arbeit untersucht daher eine mögliche Rolle von bub1b in der Tumorentstehung und in der Modulation der Ansprechbarkeit gegenüber Docetaxel. Da die Heterozygotie im Gen bub1b in den existierenden Mausmodellen jedoch nur zu alters-assoziierten Tumorerkrankungen führt, wurden in Rahmen dieser Arbeit bub1b heterozygote Tiere mit p53 defizienten Tieren verpaart. Eben diese Tiere wurden hinsichtlich ihres Überlebens sowie der Art der aufgetretenen Tumorentitäten untersucht. Zusätzlich wurden Proliferations- und Zellzyklusanalysen insbesondere unter Docetaxelstress an MEFs, die aus diesem Mausmodell gewonnen wurden, durchgeführt. In Sektionsstudien des Mausmodells wurde gezeigt, dass bei gleichzeitigem Vorliegen von Heterozygotie von bub1b und Homozygotie von p53 eine Verschiebung des Tumor- Phänotyps der p53 defizienten Tiere (Sarkome und Lymphome) erfolgte. Tiere des Genotyps bub1b het / p53 hom wiesen einen signifikant geringeren Anteil von Sarkomen im Vergleich zu den Lymphomen auf. Zusätzlich nahm bei den Lymphomen der Anteil von disseminierten Lymphomen gegenüber den thymoidalen Lymphomen zu. Aus diesen Ergebnissen kann geschlossen werden, dass eine Heterozygotie für bub1b die Entwicklung bestimmter Tumorentitäten (disseminierte Lymphome) begünstigt, während andere Tumorentitäten (z.B. Sarkome) durch den Verlust eines bub1b Allels eher verhindert werden. Die molekularen Ursachen für diesen Befund sind zurzeit noch unklar. In einem zweiten Teil dieser Arbeit wurde unter Verwendung von Zellkulturen muriner embryonaler Fibroblasten (MEFs), die mittels des vorhandenen Mausmodells etabliert wurden, gezeigt, dass MEFs der Genotypen bub1b wt / p53 hom, wie auch bub1b het / p53 hom im Vergleich zur Kontrollgruppe normal proliferieren und einen weitgehend normalen Zellzyklus aufweisen. Die zytostatische Wirkung des „Spindelcheckpoint Aktivators“ Docetaxel ist in MEFs mit einer Heterozygotie für bub1b reduziert, während MEFs der Genotypen bub1b wt / p53 hom, wie auch bub1b het / p53 hom sensitiver auf Docetaxel reagieren. Aus diesen Ergebnissen kann eine geringe Effektivität von Docetaxel als zytostatisches Therapeutikum in der Tumortherapie von bub1b heterozygoten Zellen abgeleitet werden. Bei gleichzeitigen Defekten im Gen p53 könnten sich bub1b heterozygote Zellen allerdings sensitiv gegenüber einer Therapie verhalten. In MEFs aller drei Genotypen konnte zudem gezeigt werden, dass die Aktivierung des MSCs durch Docetaxel unvollständig bzw. defekt ist. Dieser Defekt im MSC führt, wie bereits erwähnt, zu einem starken zytostatischen Effekt, aber auch zu einer signifikanten Steigerung der Anzahl und zur Persistenz von polyploiden Zellen in den Zellkulturen der MEFs mit dem Genotyp bub1b het / p53 hom. Aus diesen Ergebnissen kann geschlossen werden, dass eine Defizienz für p53 und eine Heterozygotie für bub1b einen additiven Effekt in der Entwicklung von polyploiden Zellen besitzen und somit die Entwicklung von Tumorvorstufen begünstigen. Ob diese Effekte auch in nativen Tumoren unter Docetaxel-Behandlung eine Rolle spielen und sich bub1b und p53 als mögliche Prädiktoren einer Docetaxel-Therapie im Menschen evaluieren lassen, müssten weiterführende Analysen zeigen, die den Verlauf einer Tumortherapie mit Hilfe eines Spindelgiftes abbilden. N2 - Chemotherapeutica whose effect begin at the mitotic spindle checkpoint (MSC) cells belong to the standard repertoire of oncological therapy concerning numerous tumors. In the field of urooncology, especially the increase of Docetaxel based therapies in prostate cancer has again focused our attention on MSC. Regarding this, not only protective but also cancerous partial functions of the MSC in different tumor entities were shown and pleiotrophic effects of single genes of the MSC were investigated more closely. Therefore, the doctoral presented looks into a possible role of bub 1b in the development of tumors and in the modulation of acceptability of Docetaxel. As the heterozygoty in the gene bub1b in the existing mouse models only leads to cancer diseases related to age, bub1b heterozygote animals were paired with p53 ones. It were these animals which were examined regarding their survival as well as the type of the cancer entities appearing. Additionally, proliferation and the analyses of cell cycles under stress of Docetaxel at murine embryonic fibroblasts (MEFs) won from this mouse model were made. In the sectional studies of the mouse model it was shown that when heterozygoty of bub1b and homozygoty of p53 exist at the same time the result is a shift of the cancer phenotype of the p53 deficient animals (sarcomas und lymphomas). Animals of the gene type bub1b het/p53 showed a significantly smaller amount of sarcomas compared with lymphomas. And concerning the lymphomas the share of the disseminated lymphomas compared with the thymoidal lymphomas increased. From these results it can be concluded that a heterozygoty for bub1b favours the development of certain tumor entities (disseminated lymphomas) whereas other tumor entities (e.g. sarkomas) can rather be avoided by the loss of a bub allels. At the moment the molecular reasons for this diagnosis are still unclarified. In a second part of the doctoral it was shown that by making use of cell cultures of MEFs established by means of the existing mouse model, MEFs of the gene types bub1b/p53 hom as well as bub1b het/p53 compared with the control group proliferate normally and show a largely normal cell cycle. The zytostatic effect of the "spindle checkpoint aktivator" Docetaxel is reduced in the MEFs with a heterozygoty for bub1b whereas MEFs of the gene types bub 1b wt/p53 and bub1b het/p.53 hom react more sensitively to Docetaxel. From these findings it can be said that Docetaxel has little effectiveness as a zytostatic medicine in the cancer therapy of bub1b heterozygotic cells. Bub1b heterozygote cells, however, being defective in the gene p53 at the same time could respond sensitively to a therapy. Furthermore, in the MEFs of all the three gene types it could be shown that the activating of the MSC by Docetaxel is incomplete ordeficient. This defect in the MSC not only leads, as mentioned before, to a strongly zytostatic effect but also to a significant increase in the number and persistence of polyploid cells in the cell cultures of the MEFs with the gene type bub1b het/p53 hom. These results demonstrate that a deficiency for p53 and a heterozygoty for bub1b have a additive effect in the development of polyploid cells and therefore favour the development of the early stages of cancer. Whether these effects play a role in the native tumors treated with Docetaxel and whether bub1b and p53 can be evaluated as a possibility for human treatment with Docetaxel must be shown in further analyses which illustrate the course of a tumor therapy by means of a poison of the spindle apparat. KW - Docetaxel KW - Zellzyklus KW - Prostatacarzinom KW - Gen p53 KW - Gen bub1b KW - Spindelapparat KW - Tumorgenese KW - Fibroblasten Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-182511 ER - TY - THES A1 - Mendes Pereira, Lenon T1 - Morphological and Functional Ultrashort Echo Time (UTE) Magnetic Resonance Imaging of the Human Lung T1 - Morphologische und funktionelle Magnetresonanztomographie der menschlichen Lunge mit ultrakurzen Echozeiten (UTE) N2 - In this thesis, a 3D Ultrashort echo time (3D-UTE) sequence was introduced in the Self-gated Non-Contrast-Enhanced Functional Lung Imaging (SENCEFUL) framework. The sequence was developed and implemented on a 3 Tesla MR scanner. The 3D-UTE technique consisted of a nonselective RF pulse followed by a koosh ball quasi-random sampling order of the k-space. Measurements in free-breathing and without contrast agent were performed in healthy subjects and a patient with lung cancer. A gating technique, using a combination of different coils with high signal correlation, was evaluated in-vivo and compared with a manual approach of coil selection. The gating signal offered an estimation of the breathing motion during measurement and was used as a reference to segment the acquired data into different breathing phases. Gradient delays and trajectory errors were corrected during post-processing using the Gradient Impulse Response Function. Iterative SENSE was then applied to determine the fully sampled data. In order to eliminate signal changes caused by motion, a 3D image registration was employed, and the results were compared to a 2D image registration method. Ventilation was assessed in 3D and regionally quantified by monitoring the signal changes in the lung parenchyma. Finally, image quality and quantitative ventilation values were compared to the standard 2D-SENCEFUL technique. 3D-UTE, combined with an automatic gating technique and SENCEFUL MRI, offered ventilation maps with high spatial resolution and SNR. Compared to the 2D method, UTE-SENCEFUL greatly improved the clinical quality of the structural images and the visualization of the lung parenchyma. Through‐plane motion, partial volume effects and ventilation artifacts were also reduced with a three-dimensional method for image registration. UTE-SENCEFUL was also able to quantify regional ventilation and presented similar results to previous studies. N2 - In dieser Arbeit wurde eine 3D-UTE (ultrashort echo time) Sequenz mit SENCEFUL-MRI kombiniert. Die Sequenz wurde für einen 3 T MR-Scanner entwickelt und implementiert. Die 3D-UTE-Technik bestand aus einem nichtselektiven HF- Impuls, gefolgt von einer quasi-zufälligen Abtastung des k-Raums. Messungen in freier Atmung und ohne Kontrastmittel wurden bei gesunden Probanden und einem Patienten mit Lungenkrebs durchgeführt. Zur Zuordnung der Daten zu verschiedene Atemphasen wurde eine Technik verwendet, die verschiedene Spulen mit hoher Signalkorrelation kombiniert. Die Ergebnisse wurden in einer in-vivo Messung bewertet und mit einem manuellen Ansatz der Spulenselektion verglichen. Die Technik ermöglichte eine Visualisierung der Atembewegung und wurde als Referenz verwendet, um die erfassten Daten in mehrere Atemphasen zu segmentieren. Gradientenverzögerungen und Trajektorienfehler wurden mit der "Gradient Impulse Response Function - GIRF" korrigiert. Bei der Bildrekonstruktion kam Iteratives SENSE zum Einsatz. Eine 3D-Bildregistrierung erlaubte es, Signaländerungen durch Bewegung zu eliminieren. Es erfolgte ein Vergleich der Ergebnisse mit einem 2D- Bildregistrierungsverfahren. Die Lungenventilation wurde in 3D gemessen und anhand der Signaländerungen im Lungenparenchym quantifiziert. Schließlich, wurden die Werte für die Bildqualität und Lungenventilation mit der Standard-2D-SENCEFUL-Technik verglichen. Die 3D-UTE-Sequenz in Kombination mit einer automatischen Gating-Technik und SENCEFUL-MRI, ermöglichte die Akquise von Ventilationskarten mit hoher räumlicher Auflösung und SNR. Im Vergleich zur 2D-Methode, verbesserte UTE- SENCEFUL die klinische Qualität der Morphologischen Bilder. Bewegung, Partialvolumeneffekte und Ventilationsartefakte wurden ebenfalls mit einer dreidimensionalen Methode zur Bildregistrierung reduziert. Insgesamt konnten mit der 3D-UTE Technik die Ergebnisse vorangegangener Studien reproduziert und die Bildqualität verbessert werden. KW - Kernspintomografie KW - Lunge KW - MRI KW - Ultrashort echo time - UTE KW - Magnetic Resonance Imaging KW - Lung Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-183176 ER - TY - JOUR A1 - Rücker, Viktoria A1 - Keil, Ulrich A1 - Fitzgerald, Anthony P A1 - Malzahn, Uwe A1 - Prugger, Christof A1 - Ertl, Georg A1 - Heuschmann, Peter U A1 - Neuhauser, Hannelore T1 - Predicting 10-Year Risk of Fatal Cardiovascular Disease in Germany: An Update Based on the SCORE-Deutschland Risk Charts JF - PLoS ONE N2 - Estimation of absolute risk of cardiovascular disease (CVD), preferably with population-specific risk charts, has become a cornerstone of CVD primary prevention. Regular recalibration of risk charts may be necessary due to decreasing CVD rates and CVD risk factor levels. The SCORE risk charts for fatal CVD risk assessment were first calibrated for Germany with 1998 risk factor level data and 1999 mortality statistics. We present an update of these risk charts based on the SCORE methodology including estimates of relative risks from SCORE, risk factor levels from the German Health Interview and Examination Survey for Adults 2008–11 (DEGS1) and official mortality statistics from 2012. Competing risks methods were applied and estimates were independently validated. Updated risk charts were calculated based on cholesterol, smoking, systolic blood pressure risk factor levels, sex and 5-year age-groups. The absolute 10-year risk estimates of fatal CVD were lower according to the updated risk charts compared to the first calibration for Germany. In a nationwide sample of 3062 adults aged 40–65 years free of major CVD from DEGS1, the mean 10-year risk of fatal CVD estimated by the updated charts was lower by 29% and the estimated proportion of high risk people (10-year risk > = 5%) by 50% compared to the older risk charts. This recalibration shows a need for regular updates of risk charts according to changes in mortality and risk factor levels in order to sustain the identification of people with a high CVD risk. KW - fatal cardiovascular disease KW - SCORE KW - Germany Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-166804 VL - 11 IS - 9 ER - TY - THES A1 - Zugelder, Laurens T1 - Etablierung eines stabilen induzierbaren Multikassetten-Systems für shRNA-Knockdown-Konstrukte in Myelom Zelllinien und Anwendung zur Analyse des NFκB-Signalwegs T1 - Establishment of a stable and inducible Multicassette-shRNA-Knockdown System in Myeloma Cell Lines and Adaption to the Evaluation of the NFκB-Pathway in Multiple Myeloms N2 - Das Multiple Myelom muss trotz stetiger Fortschritte im Hinblick auf die verfügbaren Therapieoptionen und die Krankheitsprognose weiterhin im Wesentlichen als eine unheilbare Erkrankung angesehen werden. Dies kann vor allem auf die große inter- und intraindividuelle Heterogenität des MM zurückgeführt werden, welche die Entwicklung gezielter molekularer Therapiestrategien erheblich erschwert. Hierbei stellen loss-of-function- Experimente, welche die Identifikation einzelner oder mehrerer potenziell therapeutisch relevanter Zielstrukturen durch die (kombinierte) Depletion von Proteinen ermöglichen, eine wichtige Säule dar, für deren Durchführung verschiedene Systeme mit jeweils eigenen Vor- und Nachteilen zur Verfügung stehen. Im Rahmen dieser Arbeit konnte die Etablierung eines auf RNA-Interferenz basierenden stabilen und induzierbaren Knockdownsystems durch Elektroporation von MM Zelllinien mit Einzel- und Mehrfach-shRNA-Vektoren abgeschlossen werden. Die Transfektion von tet-Repressor-exprimierenden Zellinien mit einer oder mehreren shRNAExpressionskassetten innerhalb eines Plasmidvektors ermöglicht durch die vollständige Repression der shRNA-Transkription im nicht-induzierten Zustand die Selektion erfolgreich transponierter Zellen ohne Effekt-vermittelte Bias und die Generierung großer Zellmengen für Versuchsreihen in vergleichsweise kurzer Zeit. Die Induktion der verschiedenen in dieser Arbeit evaluierten Einzel- und Mehrfach-shRNA-Konstrukte gegen (Kombinationen von) Zielstrukturen im Ras/MAPK- sowie im NFκB-Signalsystem mittels Doxyzyklin als Induktionsagens zeigte durchweg deutliche und den Erwartungen aus transienten Experimenten entsprechende Knockdownergebnisse. Auch die Resultate hinsichtlich funktioneller Readouts und zellphysiologischer Effekte der induzierten Knockouts stehen im Einklang mit vorangegangenen Experimenten und bestätigen somit die Äquivalenz des stabilen induzierbaren Systems zu transienten Ansätzen auf RNAi-Basis oder zu pharmakologischen Inhibitoren. Der hierbei erzielte hypomorphe Phänotyp innerhalb einer polyklonalen Zellpopulation bildet die Realität einer medikamentösen Blockade einer oder weniger Zielstrukturen einer heterogenen MM Tumorpopulation näherungsweise ab, weshalb das vorgestellte System ein hilfreiches, kosteneffizientes und leicht zu handhabendes Werkzeug für die Identifikation potenziell relevanter Zielstrukturen für molekulare Therapieansätze im Multiplen Myelom darstellt N2 - Despite steady progress concerning the therapeutic arsenal available to and the improved prognosis for newly diagnosed patients, multiple myeloma still has to be regarded as an incurable malignancy in the overwhelming majority of cases. This is mainly due to the disease’s high grade of inter- and intraindividual heterogeneity, which greatly complicates the development of molecular therapies. Loss-of-function studies, which enable researchers to identify individual or combinations of drug targets with a potential for clinical relevance by correlating the (combined) depletion of proteins with the resulting phenotype, represent an important cornerstone in the process of developing new molecular therapies, for the execution of which a broad variety of systems with their individual advantages and disadvantages is available. During this thesis project, the establishment of a stable and inducible knockdown system by way of electroporation of myeloma cell lines with single- and multiple-shRNA- expression vectors was successfully completed. Transfecting cell lines which constitutively express the tet-repressor protein with a single plasmid vector carrying one or multiple shRNA expression cassettes allows for the selection of successfully transposed cells without any effect mediated bias and the creation of large amounts of cells for experiments in a comparatively short time, thanks to the full repression of the transcription of the transfected shRNA genes in an un-induced state. Inducing their transcription by adding doxycycline to the cell suspension resulted in strong and specific knockdowns for all single and multiple constructs against different (combinations of) targets in the Ras/MAPK- and the NFκB-pathway which were tested in the experiments shown in this thesis. Results regarding knockdowns, functional readouts and alterations in cellular metabolism mirrored with experiments conducted previously with both transiently expressed shRNAs and pharmacological inhibitors and therefore attest to the universal applicability of the system. The resulting polyclonal cell population with a hypomorphic phenotype depicts the reality conveyed by a pharmacological inhibition of one or more targets within a heterogenic myeloma tumour rather well and therefore this stable and inducible system represents a useful, economical and easily applicable tool for the identification of potentially relevant targets for the development of new molecular therapies in multiple myeloma. KW - Plasmozytom KW - Multiples Myelom KW - shRNA KW - reverse genetics Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-188377 ER - TY - JOUR A1 - Haring, Bernhard A1 - Crandall, Carolyn J A1 - Carbone, Laura A1 - Liu, Simin A1 - Li, Wenjun A1 - Johnson, Karen C A1 - Wactawski-Wende, Jean A1 - Shadyab, Aladdin H A1 - Gass, Margery L A1 - Kamensky, Victor A1 - Cauley, Jane A A1 - Wassertheil-Smoller, Sylvia T1 - Lipoprotein(a) plasma levels, bone mineral density and risk of hip fracture: a post hoc analysis of the Women’s Health Initiative, USA JF - BMJ Open N2 - Objectives Elevated Lipoprotein(a) (Lp[a]) is a well-known risk factor for cardiovascular disease. However, its roles in bone metabolism and fracture risk are unclear. We therefore investigated whether plasma Lp(a) levels were associated with bone mineral density (BMD) and incident hip fractures in a large cohort of postmenopausal women. Design Post hoc analysis of data from the Women’s Health Initiative (WHI), USA. Setting 40 clinical centres in the USA. Participants The current analytical cohort consisted of 9698 white, postmenopausal women enrolled in the WHI, a national prospective study investigating determinants of chronic diseases including heart disease, breast and colorectal cancers and osteoporotic fractures among postmenopausal women. Recruitment for WHI took place from 1 October 1993 to 31 December 1998. Exposures Plasma Lp(a) levels were measured at baseline. Outcome measures Incident hip fractures were ascertained annually and confirmed by medical records with follow-up through 29 August 2014. BMD at the femoral neck was measured by dual X-ray absorptiometry in a subset of participants at baseline. Statistical analyses Cox proportional hazards and logistic regression models were used to evaluate associations of quartiles of plasma Lp(a) levels with hip fracture events and hip BMD T-score, respectively. Results During a mean follow-up of 13.8 years, 454 incident cases of hip fracture were observed. In analyses adjusting for confounding variables including age, body mass index, history of hysterectomy, smoking, physical activity, diabetes mellitus, general health status, cardiovascular disease, use of menopausal hormone therapy, use of bisphosphonates, calcitonin or selective-oestrogen receptor modulators, baseline dietary and supplemental calcium and vitamin D intake and history of fracture, no significant association of plasma Lp(a) levels with low hip BMD T-score or hip fracture risk was detected. Conclusions These findings suggest that plasma Lp(a) levels are not related to hip BMD T-score or hip fracture events in postmenopausal women. KW - hip fracture Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-201139 VL - 9 ER - TY - JOUR A1 - Elhfnawy, Ahmed Mohamed A1 - Heuschmann, Peter U. A1 - Pham, Mirko A1 - Volkmann, Jens A1 - Fluri, Felix T1 - Stenosis length and degree interact with the risk of cerebrovascular events related to internal carotid artery stenosis JF - Frontiers in Neurology N2 - Background and Purpose: Internal carotid artery stenosis (ICAS)≥70% is a leading cause of ischemic cerebrovascular events (ICVEs). However, a considerable percentage of stroke survivors with symptomatic ICAS (sICAS) have <70% stenosis with a vulnerable plaque. Whether the length of ICAS is associated with high risk of ICVEs is poorly investigated. Our main aim was to investigate the relation between the length of ICAS and the development of ICVEs. Methods: In a retrospective cross-sectional study, we identified 95 arteries with sICAS and another 64 with asymptomatic internal carotid artery stenosis (aICAS) among 121 patients with ICVEs. The degree and length of ICAS as well as plaque echolucency were assessed on ultrasound scans. Results: A statistically significant inverse correlation between the ultrasound-measured length and degree of ICAS was detected for sICAS≥70% (Spearman correlation coefficient ρ = –0.57, p < 0.001, n = 51) but neither for sICAS<70% (ρ = 0.15, p = 0.45, n = 27) nor for aICAS (ρ = 0.07, p = 0.64, n = 54). The median (IQR) length for sICAS<70% and ≥70% was 17 (15–20) and 15 (12–19) mm (p = 0.06), respectively, while that for sICAS<90% and sICAS 90% was 18 (15–21) and 13 (10–16) mm, respectively (p < 0.001). Among patients with ICAS <70%, a cut-off length of ≥16 mm was found for sICAS rather than aICAS with a sensitivity and specificity of 74.1% and 51.1%, respectively. Irrespective of the stenotic degree, plaques of the sICAS compared to aICAS were significantly more often echolucent (43.2 vs. 24.6%, p = 0.02). Conclusion: We found a statistically insignificant tendency for the ultrasound-measured length of sICAS<70% to be longer than that of sICAS≥70%. Moreover, the ultrasound-measured length of sICAS<90% was significantly longer than that of sICAS 90%. Among patients with sICAS≥70%, the degree and length of stenosis were inversely correlated. Larger studies are needed before a clinical implication can be drawn from these results. KW - ischemic stroke KW - carotid stenosis KW - carotid atherosclerosis KW - length of stenosis KW - degree of stenosis KW - carotid ultrasound KW - outcome Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-196225 SN - 1664-2295 VL - 10 IS - 317 ER - TY - JOUR A1 - Röllig, C. A1 - Kramer, M. A1 - Gabrecht, M. A1 - Hänel, M. A1 - Herbst, R. A1 - Kaiser, U. A1 - Schmitz, N. A1 - Kullmer, J. A1 - Fetscher, S. A1 - Link, H. A1 - Mantovani-Löffler, L. A1 - Krümpelmann, U. A1 - Neuhaus, T. A1 - Heits, F. A1 - Einsele, H. A1 - Ritter, B. A1 - Bornhäuser, M. A1 - Schetelig, J. A1 - Thiede, C. A1 - Mohr, B. A1 - Schaich, M. A1 - Platzbecker, U. A1 - Schäfer-Eckart, K. A1 - Krämer, A. A1 - Berdel, W. E. A1 - Serve, H. A1 - Ehninger, G. A1 - Schuler, U. S. T1 - Intermediate-dose cytarabine plus mitoxantrone versus standard-dose cytarabine plus daunorubicin for acute myeloid leukemia in elderly patients JF - Annals of Oncology N2 - Background: The combination of intermediate-dose cytarabine plus mitoxantrone (IMA) can induce high complete remission rates with acceptable toxicity in elderly patients with acute myeloid leukemia (AML). We present the final results of a randomized-controlled trial comparing IMA with the standard 7+3 induction regimen consisting of continuous infusion cytarabine plus daunorubicin (DA). Patients and methods: Patients with newly diagnosed AML>60 years were randomized to receive either intermediate-dose cytarabine (1000 mg/m(2) twice daily on days 1, 3, 5, 7) plus mitoxantrone (10 mg/m(2) days 1-3) (IMA) or standard induction therapy with cytarabine (100 mg/m(2) continuously days 1-7) plus daunorubicin (45 mg/m(2) days 3-5) (DA). Patients in complete remission after DA received intermediate-dose cytarabine plus amsacrine as consolidation treatment, whereas patients after IMA were consolidated with standard-dose cytarabine plus mitoxantrone. Results: Between February 2005 and October 2009, 485 patients were randomized; 241 for treatment arm DA and 244 for IMA; 76% of patients were >65 years. The complete response rate after DA was 39% [95% confidence interval (95% CI): 33-45] versus 55% (95% CI: 49-61) after IMA (odds ratio 1.89, P = 0.001). The 6-week early-death rate was 14% in both arms. Relapse-free survival curves were superimposable in the first year, but separated afterwards, resulting in 3-year relapse-free survival rates of 29% versus 14% in the DA versus IMA arms, respectively (P = 0.042). The median overall survival was 10 months in both arms (P = 0.513). Conclusion: The dose escalation of cytarabine in induction therapy lead to improved remission rates in the elderly AML patients. This did not translate into a survival advantage, most likely due to differences in consolidation treatment. Thus, effective consolidation strategies need to be further explored. In combination with an effective consolidation strategy, the use of intermediate-dose cytarabine in induction may improve curative treatment for elderly AML patients. KW - acute myeloid leukemia KW - cytarabine dose KW - elderly Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-226473 VL - 29 IS - 4 ER - TY - THES A1 - Gomes, Sara Ferreira Martins T1 - Induced Pluripotent Stem Cell-derived Brain Endothelial Cells as a Cellular Model to Study Neisseria meningitidis Infection T1 - Induziert pluripotente Stammzellen-basierte Hirnendothelzellen als zelluläres Modell zur Untersuchung der Infektion mit Neisseria meningitidis N2 - Bacterial meningitis occurs when blood-borne bacteria are able to penetrate highly specialized brain endothelial cells (BECs) and gain access to the meninges. Neisseria meningitidis (Nm) is a human-exclusive pathogen for which suitable in vitro models are severely lacking. Until recently, modeling BEC-Nm interactions has been almost exclusively limited to immortalized human cells that lack proper BEC phenotypes. Specifically, these in vitro models lack barrier properties, and continuous tight junctions. Alternatively, humanized mice have been used, but these must rely on known interactions and have limited translatability. This motivates the need to establish novel human-based in vitro BEC models that have barrier phenotypes to research Nm-BEC interactions. Recently, a human induced pluripotent stem cell (iPSC) model of BECs has been developed that possesses superior BEC phenotypes and closely mimics the in vivo blood vessels present at the blood-meningeal barrier. Here, iPSC-BECs were tested as a novel cellular model to study Nm-host pathogen interactions, with focus on host responses to Nm infection. Two wild type strains and three mutant strains of Nm were used to confirm that these followed similar phenotypes to previously described models. Importantly, the recruitment of the recently published pilus adhesin receptor CD147 underneath meningococcal microcolonies could be verified in iPSC-BECs. Nm was also observed to significantly increase the expression of pro-inflammatory and neutrophil-specific chemokines IL6, CXCL1, CXCL2, CXCL8, and CCL20, at distinct time points of infection, and the secretion of IFN γ and RANTES by iPSC-BECs. Nm was directly observed to disrupt tight junction proteins ZO-1, Occludin, and Claudin-5 at late time points of infection, which became frayed and/or discontinuous upon infection. This destruction is preceded by, and might be dependent on, SNAI1 activation (a transcriptional repressor of tight junction proteins). In accordance with tight junction loss, a sharp loss in trans-endothelial electrical resistance, and an increase in sodium fluorescein permeability was observed at late infection time points. Notably, bacterial transmigration correlated with junctional disruption, indicating that the paracellular route contributes for bacterial crossing of BECs. Finally, RNA-Sequencing (RNA-Seq) of sorted, infected iPSC-BECs was established through the use of fluorescence-activated cell sorting (FACS) techniques following infection. This allowed the detection of expression data of Nm-responsive host genes not previously described thus far to play a role during meningitidis. In conclusion, here the utility of iPSC-BECs in vitro to study Nm infection could be demonstrated. This is the first BEC in vitro model to express all major BEC tight junctions and to display high barrier potential. Altogether, here this model provides novel insights into Nm pathogenesis, including an impact of Nm on barrier properties and tight junction complexes and suggests that the paracellular route contributes to Nm traversal of BECs. N2 - Eine bakterielle Meningitis tritt auf, wenn durch Blut übertragene Bakterien hochspezialisierte Hirnendothelzellen (BEC) durchdringen und Zugang zu den Meningen erhalten. Neisseria meningitidis (Nm) ist ein human-exklusiver Erreger, für dessen Untersuchung es an geeigneten In-vitro-Modellen mangelt. Bis vor kurzem war die Modellierung von BEC-Nm-Wechselwirkungen fast ausschließlich auf immortalisierte humane Zellen beschränkt, denen wichtige BEC-Phänotypen fehlen. Besonders hervorzuheben sind das Fehlen physiologischer Barriereeigenschaften durch unkontinuierliche dichte Zell-Zell-Verbindungen. Als alternative Modellorganismen können humanisierte Mäuse verwendet werden, die sich jedoch auf bekannte Wirt-Erreger-Wechselwirkungen stützen und durch Speziesunterschiede eine eingeschränkte Übersetzbarkeit aufweisen. Dies begründet die Notwendigkeit, neuartige humane In-vitro-BEC-Modelle zu etablieren, die physiologische Barrierephänotypen aufweisen, um Nm-BEC-Wechselwirkungen zu untersuchen. Kürzlich wurde ein humanes Modell entwickelt, welches auf aus induziert pluripotenten Stammzellen (iPSCs) abgeleiteten humanen BECs basiert und sich durch einen physiologischen Blut-Hirn-Schranken-Phänotyp auszeichnet. Die iPSC-BECs wurden in dieser Arbeit als neuartiges zelluläres Modell getestet, um Nm-Wirt-Pathogen-Wechselwirkungen zu untersuchen, wobei der Schwerpunkt auf Wirtsreaktionen auf Nm-Infektionen lag. Zwei Wildtypstämme und drei Mutantenstämme von Nm wurden verwendet, um zu bestätigen, dass diese ähnlichen Phänotypen wie in zuvor beschriebenen Modellen folgten. Hervorzuheben ist, dass die Rekrutierung des kürzlich veröffentlichten Pilus-Adhäsin-Rezeptors CD147 unter Meningokokken-Mikrokolonien in iPSC-BECs verifiziert werden konnte. Es wurde auch beobachtet, dass Nm die Expression der entzündungsfördernden und neutrophilen spezifischen Chemokine IL6, CXCL1, CXCL2, CXCL8 und CCL20 zu bestimmten Zeitpunkten der Infektion sowie die Sekretion von IFN-γ und RANTES durch iPSC-BECs signifikant erhöht. Es wurde zudem beobachtet, dass Nm die Tight Junction-Proteine ZO-1, Occludin und Claudin-5 zu späten Zeitpunkten der Infektion zerstört, verursacht durch die Infektion wurde ein ausgefranster und/oder diskontinuierlicher Tight Junction-Phänotyp beobachtet. Dieser Zerstörung geht die SNAI1-Aktivierung (ein Transkriptionsrepressor für Tight Junction-Proteine) voraus und könnte von ihr abhängig sein. In Übereinstimmung mit dem Verlust der Tight Junctions wurde zu späten Infektionszeitpunkten ein starker Verlust des transendothelialen elektrischen Widerstands und eine Zunahme der Natriumfluoreszein-Permeabilität beobachtet. Bemerkenswerterweise korrelierte die bakterielle Transmigration mit dem Verlust der Tight Junctions, was darauf hinweist, dass der parazelluläre Weg zur bakteriellen Überwindung von BECs eine entscheidende Rolle spielt. Schließlich wurde die RNA-Sequencing (RNA-Seq) von sortierten, infizierten iPSC-BECs durch die Verwendung von fluoreszenzaktivierten Zellsortiertechniken (FACS) nach der Infektion durchgeführt. Dies ermöglichte erstmalig den Nachweis von Expressionsdaten von Nm-responsiven Wirtsgenen, welche bei der Meningitidis eine Rolle zu spielen scheinen. Zusammenfassend konnte im Rahmen der vorliegenden Arbeit der Nutzen von iPSC-BECs In-Vitro-Modellen zur Untersuchung von Nm-Infektionen gezeigt werden. Dies ist das erste BEC-In-vitro-Modell, das alle wichtigen BEC-Tight Junctions exprimiert und ein hohes Barrierepotential aufweist. Insgesamt liefert das eingesetzte Modell neue Einblicke in die Nm-Pathogenese, einschließlich der Beeinflussung der Barriereeigenschaften und der Tight Junction-Komplexe durch Nm, und gibt erste Hinweise darauf, dass die parazelluläre Route zum Nm-Übertritt von BEC-Barrieren eine entscheidende Rolle spielt. KW - Neisseria meningitidis KW - endothelial cells KW - blood brain barrier KW - blood cerebrospinal fluid barrier KW - cellular model KW - Neisseria meningitidis KW - endothelial cells Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-188550 ER - TY - JOUR A1 - Asthana, Manish Kumar A1 - Brunhuber, Bettina A1 - Mühlberger, Andreas A1 - Reif, Andreas A1 - Schneider, Simone A1 - Herrmann, Martin J. T1 - Preventing the Return of Fear Using Reconsolidation Update Mechanisms Depends on the Met-Allele of the Brain Derived Neurotrophic Factor Val66Met Polymorphism JF - International Journal of Neuropsychopharmacology N2 - Background: Memory reconsolidation is the direct effect of memory reactivation followed by stabilization of newly synthesized proteins. It has been well proven that neural encoding of both newly and reactivated memories requires synaptic plasticity. Brain derived neurotrophic factor (BDNF) has been extensively investigated regarding its role in the formation of synaptic plasticity and in the alteration of fear memories. However, its role in fear reconsolidation is still unclear; hence, the current study has been designed to investigate the role of the BDNF val66met polymorphism (rs6265) in fear memory reconsolidation in humans. Methods: An auditory fear-conditioning paradigm was conducted, which comprised of three stages (acquisition, reactivation, and spontaneous recovery). One day after fear acquisition, the experimental group underwent reactivation of fear memory followed by the extinction training (reminder group), whereas the control group (non-reminder group) underwent only extinction training. On day 3, both groups were subjected to spontaneous recovery of earlier learned fearful memories. The treat-elicited defensive response due to conditioned threat was measured by assessing the skin conductance response to the conditioned stimulus. All participants were genotyped for rs6265. Results: The results indicate a diminishing effect of reminder on the persistence of fear memory only in the Met-allele carriers, suggesting a moderating effect of the BDNF polymorphism in fear memory reconsolidation. Conclusions: Our findings suggest a new role for BDNF gene variation in fear memory reconsolidation in humans. KW - BDNF KW - brain derived neurotrophic factor KW - fear conditioning KW - genetics memory KW - reconsolidation Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-166217 VL - 19 IS - 6 ER - TY - JOUR A1 - Heitmann, Johanna A1 - Frings, Verena G. A1 - Geier, Andreas A1 - Goebeler, Matthias A1 - Kerstan, Andreas T1 - Non-alcoholic fatty liver disease and psoriasis - is there a shared proinflammatory network? JF - Journal der Deutschen Dermatologischen Gesellschaft N2 - Psoriasis is an immune-mediated systemic inflammatory disease that is not limited to the skin but may be associated with arthritis, cardiovascular diseases, metabolic syndrome including diabetes and obesity and, as identified more recently, non-alcoholic fatty liver disease (NAFLD) that occurs in approximately 50 % of all patients with psoriasis. NAFLD is characterized by accumulation of fat in hepatocytes in the absence of excessive alcohol consumption. Over the last two decades, NAFLD has developed to the most common chronic liver disease with an estimated prevalence of 25 % in the Western population. NAFLD ranges from non-inflammatory or bland hepatic steatosis to inflammation of hepatic tissue (non-alcoholic steatohepatitis, NASH) and consecutive liver fibrosis. It is controversial whether the underlying systemic inflammation of psoriasis is contributing to development of NAFLD or if comorbid diseases such as obesity enhance NAFLD development. Recent findings indicate that cytokine-mediated inflammation through TNFα, interleukin (IL)-6 and IL-17 might be the common link between psoriasis and NAFLD. Considering the shared inflammatory pathways, IL-17 pharmacological blockade, which is already well-established for psoriasis, may be a promising strategy to treat both psoriasis and NAFLD. Therefore, early detection of NAFLD and a better understanding of its pathophysiology in the context of the systemic inflammation in psoriasis is important with regard to individualized treatment approaches. KW - psoriasis KW - fatty liver disease KW - inflammation Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-258424 VL - 19 IS - 4 ER - TY - JOUR A1 - Ickrath, Franziska A1 - Stoevesandt, Johanna A1 - Schulmeyer, Lena A1 - Glatzel, Caroline A1 - Goebeler, Matthias A1 - Kerstan, Andreas T1 - Metastatic Crohn's disease: an underestimated entity JF - Journal of the German Society of Dermatology N2 - Cutaneous metastatic Crohn’s disease (MCD) is a rare but challenging dermatologic manifestation of Crohn’s disease. It is histologically defined as the presence of non-caseating granulomas at skin sites separated from and non-contiguous to the gastrointestinal tract. Cutaneous metastatic Crohn’s disease should be distinguished from the much more frequent contiguous cutaneous manifestations of Crohn’s disease that present at perianal or, less common, peristomal sites with direct extension from the intestine to the adjacent skin. Versatile clinical presentation and the fact that occurrence can predate the initial diagnosis of Crohn’s disease may lead to misdiagnosis, delayed treatment and underreporting. As case numbers are small and randomized controlled studies on management are lacking, the therapeutic approach remains challenging and is often unsatisfactory. We here performed a systematic literature search identifying 264 published pediatric and adult cases of MCD and additionally report three of our own cases. Our review summarizes clinical characteristics, putative etiopathology, histologic findings, differential diagnoses and treatment options for MCD. KW - Cutaneous metastatic Crohn’s disease KW - treatment options KW - histologic findings Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-258435 VL - 19 IS - 7 ER - TY - THES A1 - Wimmer, Katharina T1 - Analyse der Osteoklastendifferenzierung auf elektrochemisch abgeschiedenen strontiumdotierten Struvitschichten T1 - Differentiation of osteoclastic cells on electrochemically deposited strontium substituted struvite coatings N2 - Bei der Implantatversorgung von Patienten mit Osteoporose besteht weiterhin eine hohe Komplikationsrate vor allem durch aseptische Prothesenlockerungen. Eine vielversprechende Möglichkeit diese zu minimieren stellt eine Funktionalisierung der Implantate mit Strontium dar. Ziel der vorliegenden Arbeit war es dabei die Wirkung lokal verfügbaren Strontiums auf osteoklastäre und osteoblastäre Zellen zu untersuchen. Mittels elektrochemischer Abscheidung erfolgte die Beschichtung von Titanproben mit strontiumdotiertem Struvit, wobei sieben verschiedene Dotierkonzentrationen zwischen 6 µg und 487 µg Strontium pro Probe hergestellt wurden. Die Untersuchungen an osteoklastären RAW 264.7 Zellen erfolgten mittels Bestimmung von Zellzahl und -aktivität, verschiedener mikroskopischer Methoden sowie auf genetischer Ebene. Osteoblastäre MG63-Zellen wurden orientierend anhand von Zellzahl und Zellaktivität untersucht. Zellbiologisch konnte ein hemmender Einfluss von Strontium auf Differenzierung sowie Proliferation und Aktivität osteoklastärer Zellen gezeigt werden. Die Dotierkonzentration mit den günstigsten Eigenschaften war unter vorliegenden Versuchsbedingungen 487 µg Strontium pro Probe, da sich hierbei zudem eine erhaltene ostoblastäre Proliferation und Aktivität zeigte. N2 - Aseptic loosening of implants is still an issue especially for patients with osteoporosis. In order to minimize the risk of implant failure the functionalisation of implant surfaces with strontium is a promising technique. The aim of the present study was to investigate the effect of locally availible strontium on osteoclastic and osteoblastic cells. Electrochemically assisted deposition was used to provide strontium substituted struvite coatings on titanium surfaces. The strontium concentration ranged from 6 µg to 487 µg per sample. Growth of osteoclastic cells was investigated by the determination of cell number and cellular activity, as well as microscopical and transcriptional level studies. Osteoblasts were studied by determining cell number and cell activity. A general suppressing influence of strontium was observed on the differentiation and activity of osteoclasts. The most favourable properties were found for the highest strontium concentration under investigation, because additionally cell proliferation and activity of osteoblasts was not significantly affected. KW - Osteoblast KW - Strontium KW - Struvit KW - Galvanische Abscheidung KW - Osteoklastendifferenzierung KW - strontiumdotierte Struvitschichten Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-191417 ER - TY - THES A1 - Huflage, Henner T1 - Die stereotaktische Bestrahlung von Lungenmetastasen am Universitätsklinikum Würzburg im Zeitraum von November 1997 bis September 2012 T1 - Stereotacitc body radiation therapy of lung metastases at Würzburg University Hospital between November 1997 and September 2012 N2 - Die vorliegende Arbeit untersucht die stereotaktische Bestrahlung von Lungenmetastasen am Universitätsklinikum Würzburg im Zeitraum von 1997 bis 2012. In diesem Zeitraum wurden am Institut für Strahlentherapie der Universitätsklinik Würzburg 102 Patienten bestrahlt. Es sollen Einflussfaktoren auf die wesentlichen Endpunkte lokale Kontrolle, systemische Kontrolle und das Überleben identifiziert werden. Die Arbeit zeigt, dass die stereotaktische Bestrahlung eine nebenwirkungsarme und effektive Therapie von Lungenmetastasen darstellt und soll einen Beitrag dazu leisten, die Einflüsse und Ergebnisse der stereotaktischen Bestrahlung zu objektivieren und zusätzliches Datenmaterial für zukünftige Studien liefern. Das untersuchte Kollektiv der Universitätsklinik Würzburg gehört zum Zeitpunkt der Studie zu den größten in den auf diesem Gebiet durchgeführten Single-Center-Studien. N2 - The study examines the stereotactic body radiation therapy of lung metastases at the University Hospital of Würzburg in the period from 1997 to 2012. 102 patients were treated at the Institute for Radiotherapy of the University Hospital of Würzburg during this period. Factors influencing the essential endpoints of local control, systemic control and overall survival are to be identified. This study shows that SBRT is an effective therapy for lung metastases with few side effects and should contribute to objectifying the influences and results of stereotactic radiation and provide additional data material for future studies. At the time of the study, the investigated collective of the University Hospital of Würzburg is one of the largest single-centre studies conducted in this field. KW - Strahlentherapie KW - Lungenmetastase KW - SBRT Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-257620 ER - TY - JOUR A1 - Alma, Harma A1 - de Jong, Corina A1 - Jelusic, Danijel A1 - Wittmann, Michael A1 - Schuler, Michael A1 - Flokstra-de Blok, Bertine A1 - Kocks, Janwillem A1 - Schultz, Konrad A1 - van der Molen, Thys T1 - Health status instruments for patients with COPD in pulmonary rehabilitation: defining a minimal clinically important difference JF - npj Primary Care Respiration Medicine N2 - The minimal clinically important difference (MCID) defines to what extent change on a health status instrument is clinically relevant, which aids scientists and physicians in measuring therapy effects. This is the first study that aimed to establish the MCID of the Clinical chronic obstructive pulmonary disease (COPD) Questionnaire (CCQ), the COPD Assessment Test (CAT) and the St George’s Respiratory Questionnaire (SGRQ) in the same pulmonary rehabilitation population using multiple approaches. In total, 451 COPD patients participated in a 3-week Pulmonary Rehabilitation (PR) programme (58 years, 65% male, 43 pack-years, GOLD stage II/III/IV 50/39/11%). Techniques used to assess the MCID were anchor-based approaches, including patient-referencing, criterion-referencing and questionnaire-referencing, and the distribution-based methods standard error of measurement (SEM), 1.96SEM and half standard deviation (0.5s.d.). Patient- and criterion-referencing led to MCID estimates of 0.56 and 0.62 (CCQ); 3.12 and 2.96 (CAT); and 8.40 and 9.28 (SGRQ). Questionnaire-referencing suggested MCID ranges of 0.28–0.61 (CCQ), 1.46–3.08 (CAT) and 6.86–9.47 (SGRQ). The SEM, 1.96SEM and 0.5s.d. were 0.29, 0.56 and 0.46 (CCQ); 3.28, 6.43 and 2.80 (CAT); 5.20, 10.19 and 6.06 (SGRQ). Pooled estimates were 0.52 (CCQ), 3.29 (CAT) and 7.91 (SGRQ) for improvement. MCID estimates differed depending on the method used. Pooled estimates suggest clinically relevant improvements needing to exceed 0.40 on the CCQ, 3.00 on the CAT and 7.00 on the SGRQ for moderate to very severe COPD patients. The MCIDs of the CAT and SGRQ in the literature might be too low, leading to overestimation of treatment effects for patients with COPD. KW - COPD KW - rehabilitation KW - health status instruments Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-166327 VL - 26 IS - 16041 ER - TY - THES A1 - Graz, Alina T1 - Hildegard von Bingens 'Physica'. Untersuchungen zu den mutmaßlichen Quellen am Beispiel der Heilanwendungen exotischer und ausgewählter heimischer Gewürzpflanzen. T1 - Hildegard of Bingen's "Physica". Analysis of the supposed sources using the example of exotic spices and selected local spices N2 - Ziel der Arbeit war es die Quellenlage Hildegard von Bingens ‚Physica‘ zu beleuchten. Dazu werden die Kapitel der exotischen Gewürze (Kap. I,13-21 und I,26-27), der Duftpflanzen (Kap. I,22-25), und der heimischen Gewürze (Kap. I,63-70) mit den entsprechenden Kapiteln aus ‚Macer floridus‘ (Odo Magdunensis), ‚Circa instans‘ (Matthaeus Platearius), ‚Liber graduum‘ (Constantinus Africanus), ‚Naturalis historia‘ (Plinius der Ältere) und ‚Materia medica‘ (Pedanius Dioskurides) verglichen. Es konnten verschiedenartige Bezüge zur Tradition hergestellt werden, jedoch ist hervorzuheben, dass Hildegard dennoch in den Anwendungen eine ausgeprägte Originalität aufweist. N2 - The object of the thesis was to clarify the sources of the Hildegard von Bingen‘s “Physica”. Chapters of the exotic spices (I,13-21 und I,26-27), plants with perfume (I,22-25) and local spices (I,63-70) were compared with correspondent chapters in “Macer floridus” (Odo Magdunensis), “Circa instans” (Matthaeus Platearius), “Liber graduum” (Constantinus Africanus), “Naturalis historia” (Pliny the Elder) and “Materia medica” (Pedanius Dioscorides). Various references to the tradition were depicted but it must be emphasized Physica’s distinct originality. KW - Hildegard, von Bingen, Heilige KW - Gewürz KW - Constantinus, Africanus KW - Hildegard, von Bingen : Physica. Lib. 1 KW - Circa instans KW - Odo, von Meung : Macer Floridus KW - Plinius Secundus, Gaius : Naturalis historia KW - Dioscorides, Pedanius : De materia medica Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-199480 ER - TY - THES A1 - Lawrenz, Ingulf T1 - Die moderat hypofraktionierte Bestrahlung des lokalisierten Prostatakarzinoms : Ergebnisse für das tumorspezifische und klinische Outcome nach moderater Hypofraktionerung in intensitätsmodulierter Technik T1 - The moderately hypofractionated Radiotherapy of Prostate Cancer N2 - Die mäßig hypofraktionierte Strahlentherapie des lokalisierten Prostatakarzinoms Wir haben retrospektiv die ersten 150 konsekutiven Patienten analysiert, die mit einer primären Strahlentherapie in IMRT bei lokalisiertem Prostatakrebs behandelt wurden. Alle Patienten hatten ein histologisch gesichertes Prostatakarzinom und wurden von Urologen zur kurativen Bestrahlung überwiesen. Nach der CT-basierter Planung wurden alle Patienten mit einer intensitätsmodulierten Strahlenthera (IMRT) unter Verwendung der SIB-Technik (Simultan Integrierter Boost) behandelt. Die applizierten Dosen betrugen 74 Gy (n = 41) und 76,2 Gy (n = 109) in 32 und 33 Fraktionen. Die Behandlung von Beckenlymphknoten (46 Gy) wurde bei 41 Hochrisikopatienten durchgeführt. Die Behandlung wurde unter Verwendung einer integrierten Cone-Beam-CT (IGRT) durchgeführt. Die Toxizität wurde mit CTCAE 3.0 bewertet. Das biochemische Rezidiv wurde gemäß der Phoenix-Definition von Nadir + 2 ng / ml definiert. Wir analysierten die gastrointestinale Toxizität (GI), die urogenitale Toxizität (GU) und das Freedom From Biochemichal Failure (FFBF). Ergebnisse: Das mediane Follow-Up der Patienten betrug 50 Monate. Mehr als 80% der Patienten waren während der Nachbeobachtung frei von gastrointestinaler Toxizität. Es gab keinen Trend zu erhöhten GI-Toxizitätsraten im zeitlichen Verlauf. Bei 85% unserer Patienten wurde innerhalb von 6 Wochen nach der Behandlung eine akute Urogenitaltoxizität vom Grad 1-2 beobachtet. Die meisten Patienten erholten sich von einer akuten GU-Toxizität. Es gab einen kontinuierlichen Anstieg des GU-Toxizitätsgrades ≥2 mit <10% nach 6 bis 12 Monaten auf 22,4% nach 60 Monaten. Die GU-Toxizität 3. Grades lag während der Nachuntersuchung unter 5%. FFBF betrug 82% für alle Patienten. Nach Risikogruppen betrug FFBF 88%, 80% und 78% für das niedrige, mittlere und hohe Risiko. Schlussfolgerung: Nach moderat hypofraktionierter Strahlentherapie des Prostatakarzinoms beobachteten wir niedrige GI-Toxizitätsraten sowie ein günstiges FFBF. Die GU-Toxizitätsraten lagen innerhalb der international berichteten Ergebnisse bei gleichwertiger Behandlung. Die konformale IMRT-Planung und die genaue IGRT haben möglicherweise zu diesen Ergebnissen beigetragen. N2 - The moderately hypofractionated Radiotherapy of Prostate Cancer We retrospectively analyzed the first 150 consecutive patients who were treated with primary radiotherapy for localized prostate cancer. All Patients had histologic confirmed prostate cancer und were referred by urologists for primary Treatment. After CT based planning all Patients were treated with intensity modulated radiotherapy planning (IMRT) using the simultaneous integrated boost (SIB) technique. Doses delivered were 74Gy (n=41) and 76.2Gy (n=109) in 32 and 33 fractions. Treatmemt of pelvic lymph nodes (46 Gy) was done in 41 high-risk patients. Treatment was delivered using cone-beam CT based image guidance (IGRT). We assessed toxicity using CTCAE 3.0; biochemical failure was defined according to the Phoenix definition of nadir +2ng/ml. We analyzed gastrointestinal toxicity (GI), genitourinary toxicity (GU) and freedom from biochemical failure (FFBF) Results: Median follow-up of patients was 50 months. More than 80% of the patients were free from any gastrointestinal toxicity during follow-up. There was no trend to increased rates of GI toxicity. Acute genitourinary toxicity grade 1-2 was observed in 85% of our patients within 6 weeks after treatment. Most patients recovered from acute GU toxicity. There was a continuous increase of GU toxicity grade ≥2 with <10% at 6 to 12 month to 22.4% at 60 months. Grade 3 GU toxicity was below 5% during follow-up. FFBF was 82% for all patients. Stratified by risk group FFBF was 88%, 80% and 78% for low-, intermediate- and high-risk disease. Conclusions: We observed low rates of GI toxicity after moderately hypo-fractionated radiotherapy of prostate cancer and favourable FFBF. Rates of GU toxicity was within the international reported outcomes for equivalent treatments. The conformal IMRT planning and accurate IGRT treatment may have contributed to these results. KW - Prostatakrebs KW - Prostatakrebs Strahlentherapie Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-199605 ER - TY - THES A1 - Reuter, Isabel T1 - Development and function of monoaminergic systems in the brain of zebrafish T1 - Entwicklung und Funktion monoaminerger Systeme im Zebrafischgehirn N2 - This thesis explores the development of monoaminergic systems in the central nervous system (CNS) of zebrafish. The serotonergic cells of the hypothalamus pose the main focus of the present work. Most vertebrates except for mammals possess serotonin (5-HT) synthesising cells in more than one region of the CNS. In zebrafish such regions are, e.g. the hypothalamus, the raphe nuclei and the spinal cord. Serotonin functions as a neurotransmitter and neuromodulator in the CNS. Presumably due to its neuromodulatory tasks hypothalamic serotonergic cells are in contact with the cerebrospinal fluid (CSF), which expands the field of potential serotonergic targets tremendously. This highlights that serotonergic CSF-contacting (CSF-c) cells are vital for the execution of many functions and behaviours. Further, the hypothalamic serotonergic clusters constitute the largest population of serotonergic cells in the CNS of zebrafish. Together, these facts emphasise the need to understand the development and function of serotonergic CSF-c cells in the hypothalamus. Few studies have dealt with this subject, hence, information about the development of these cells is scarce. The zinc-finger transcription factor fezf2, and Fibroblast growth factor (Fgf)-signalling via the ETS-domain transcription factor etv5b are known to regulate serotonergic cell development in the hypothalamus (Bosco et al., 2013; Rink and Guo, 2004). However, the main Fgf ligand responsible for this mediation has not been determined prior to this work. The present thesis identifies Fgf3 as a crucial Fgf ligand. To achieve this result three independent strategies to impair Fgf3 activity have been applied to zebrafish embryos: the fgf3t24152 mutant, an fgf3 morpholino-based knock-down and the CRISPR/Cas9 technique. The investigations show that Fgf3 regulates the development of monoaminergic CSF-c cells in the hypothalamus. Additionally, Fgf3 impacts on cells expressing the peptide hormone arginine vasopressin (avp). Most interestingly, the requirement for Fgf3 by these cells follows a caudo-rostral gradient with a higher dependence on Fgf3 by caudal cells. This also seems to be the case for dopaminergic CSF-c cells in the hypothalamus (Koch et al., 2014). Moreover, etv5b a downstream target of Fgf-signalling is demonstrated to be under the control of Fgf3. With regard to serotonergic CSF-c cell development, it is shown that fgf3 is expressed several hours before tph1a and 5-HT (Bellipanni et al., 2002; Bosco et al., 2013). Together with the result that the hypothalamus is already smaller before mature serotonergic CSF-c cells appear, this argues for an early impact of Fgf3 on serotonergic specification. This hypothesis is supported by several findings in this study: the universal decrease of proliferating cells in the hypothalamus and simultaneous increase of cell death after fgf3 impairment. Complementary cell fate experiments confirm that proliferating serotonergic progenitors need Fgf3 to commit serotonergic specification. Further, these results corroborate findings of an earlier study stating that hypothalamic serotonergic progenitors require Fgf-signalling via etv5b to maintain the progenitor pool (Bosco et al., 2013). Additionally, the transcriptome of the hypothalamus has been analysed and 13 previously overlooked transcripts of Fgf ligands are expressed at developmental stages. The transcriptome analysis provides evidence for a self-compensatory mechanism of fgf3 since expression of fgf3 is upregulated as a consequence of its own impairment. Moreover, the Fgf-signalling pathway appears to be mildly affected by fgf3 manipulation. Together, Fgf-signalling and especially Fgf3 are established to be of critical importance during hypothalamic development with effects on serotonergic, dopaminergic CSF-c and avp expressing cells. Furthermore, this thesis provides two strategies to impair the tph1a gene. Both strategies will facilitate investigations regarding the function of hypothalamic serotonergic CSF-c cells. Finally, the presented findings in this study provide insights into the emergence of the posterior recess region of the hypothalamus, thereby, contributing to the understanding of the evolution of the vertebrate hypothalamus. N2 - Die vorliegende Dissertation untersucht die Entwicklung und Funktion monoaminerger Systeme im Zebrafischgehirn. Hierzu konzentriert sich die Studie hauptsächlich auf die serotonergen Zellen des Hypothalamus. Die meisten Vertebraten, außer Säugetiere, besitzen Serotonin (5-HT)-synthetisierende Zellen in mehr als einer Region im zentralen Nervensystem (ZNS). Solche Zellen lassen sich in Zebrafischen unter anderem im Hypothalamus, den Raphe Kernen und dem Rückenmark finden. Im ZNS agiert 5-HT als Neurotransmitter und als Neuromodulator. Es wird vermutet, dass, aufgrund der neuromodulatorischen Aufgaben des 5-HT, serotonerge Zellen mit ihren Vorsätzen mit der Cerebrospinalflüssigkeit (CSF) in Kontakt stehen, wodurch der Wirkungsbereich dieser Zellen enorm vergrößert wird. Dies betont den weitläufigen Einfluss serotonerger CSF-kontaktierender (CSF-k) Zellen auf vielfältige Funktionen und Verhalten. Zudem bilden serotonerge Zellen des Hypothalamus die größte serotonerge Zellpopulation im ZNS des Zebrafisches. Zusammengefasst heben diese Fakten die Notwenigkeit hervor, die Entwicklung und die Funktion serotonerger Zellen im Hypothalamus genauer zu verstehen. Nur wenige Studien haben sich dieser Thematik bisher angenommen, weshalb Erkenntnisse über diese Zellen rar sind. Bereits bekannt ist, dass der Zinkfinger-Transkriptionsfaktor fezf2 und der Fibroblasten-Wachstumsfaktor (Fgf)-Signaltransduktionsweg über den ETS-Domäne-Transkriptionsfaktor etv5b Einfluss auf die Entwicklung serotonerger CSF-k Zellen des Hypothalamus nehmen (Bosco et al., 2013; Rink and Guo, 2004). Allerdings ist der Fgf-Ligand, der die Entwicklung serotonerger CSF-k Zellen reguliert, noch nicht bekannt. Die vorliegende Arbeit identifiziert Fgf3 als einen Schlüsselliganden in diesem Zusammenhang. Hierfür wurden drei unabhängige Strategien zur Beeinträchtigung der Fgf3-Aktivität in Zebrafischembryos angewendet: die fgf3t24152 Mutante, ein Morpholino-basierter fgf3 Gen-Knockdown und die CRISPR/Cas9-Methodik. Die durchgeführten Untersuchungen zeigen, dass Fgf3 die Entwicklung monoaminerger CSF-k Zellen des Hypothalamus maßgeblich reguliert. Zusätzlich beeinflusst Fgf3 auch die Genexpression des Peptidhormons arginine vasopressin (avp) in dieser Region. Interessanterweise sind caudale avp exprimierende Zellen abhängiger von Fgf3 als rostrale. Dies scheint auch der Fall für dopaminerge Zellpopulationen des Hypothalamus zu sein (Koch et al., 2014). Des Weiteren wird demonstriert, dass Fgf3 über den Fgf-Signalweg die Expression von etv5b kontrolliert. Bezüglich der Entwicklung serotonerger CSF-k Zellen wird gezeigt, dass die fgf3 Expression bereits einige Stunden vor tph1a und 5-HT im caudalen Hypothalamus vorhanden ist (Bellipanni et al., 2002; Bosco et al., 2013). Zusammen mit dem Ergebnis, dass die nkx2.4b Expressionsdomäne, die zur Kenntlichmachung des Hypothalamus verwendet wurde, ebenfalls in früheren Entwicklungsstadien eine verringerte Größe aufweist, führt dies zu der Annahme, dass Fgf3 Auswirkungen auf die serotonerge Zellspezifikation hat. Diese Hypothese wird durch folgende Beobachtungen in dieser Arbeit unterstützt: Proliferierende Zellen des gesamten caudalen Hypothalamus sind mehrheitlich reduziert nachdem fgf3 beeinträchtigt wurde, gleichzeitig ist der Zelltod erhöht. Des Weiteren wird gezeigt, dass serotonerge Vorläuferzellen Fgf3 benötigen, um einer serotonergen Spezialisierung zu folgen. Die beschriebenen Beobachtungen untermauern die Ergebnisse einer früheren Studie, wonach der Fgf-Signalweg und etv5b wichtige Rollen für die Erhaltung der Proliferation von serotonergen Vorläuferzellen einnehmen (Bosco et al., 2013). Zusätzlich werden durch die durchgeführte Transkriptomanalyse 13 zuvor übersehene Fgf Liganden identifiziert, die im Hypothalamus exprimiert werden. Die Transkriptomanalyse zeigt zudem, dass die Beeinträchtigung von fgf3 zu einer Zunahme der fgf3 Transkript Anzahl führt, weshalb ein Selbstkompensationsmechanismus von fgf3 vorzuliegen scheint. Komponenten des Fgf-Signalweges unterliegen geringen Veränderungen nach der Manipulation von fgf3. Zusammenfassend wird in dieser Dissertation der Ligand Fgf3 als essentieller Faktor für die Entwicklung des Hypothalamus etabliert. Dies wird durch die Fgf3 Abhängigkeit von serotonergen, dopaminergen CSF-k und avp exprimierenden Zellen in dieser Region bestätigt. Des Weiteren werden in dieser Arbeit zwei Strategien für die Beeinträchtigung von tph1a präsentiert, die Untersuchungen bezüglich der Funktion serotonerger CSF-k Zellen des Hypothalamus ermöglichen. Abschließend erlauben die Ergebnisse neue Einblicke in die Entwicklung der Region um den posterioren Ventrikelrezess des Hypothalamus. Dies trägt dazu bei, das Verständnis über die Evolution des Hypothalamus von Vertebraten zu erweitern. KW - Hypothalamus KW - Zebrabärbling KW - fgf KW - Serotonin Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-204089 ER - TY - THES A1 - Lanvers, Elena T1 - Adhärenz bei oraler Capecitabin-Therapie. Zusammenhänge mit komorbider Depression. T1 - Adherence to oral Capecitabine-therapy. Relation to co-morbid depression. N2 - Die zentralen Fragen dieser Arbeit beziehen sich auf die Adhärenz bei Patienten, die das orale Chemotherapeutikum Capecitabin einnehmen, sowie den Zusammenhang zu psychischer Belastung. N2 - The central questions of the study regard the adherence of patients, who are treated with the oral chemotherapeutic agent Capecitabine, as well as the relation to psychological distress. KW - orale Chemotherapie KW - Adhärenz KW - komorbide Depression KW - oral chemotherapy KW - capecitabine KW - adherence KW - co-morbid depression Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-205324 ER - TY - THES A1 - Fernández González, Robin T1 - Einfluss von verschieden strukturierten 3D-Poly(2-oxazolin) Scaffolds auf die Proteinexpression humaner Makrophagen T1 - Impact of different structured 3D-Poly(2-oxazoline) scaffolds on the proteinexpression in human macrophages N2 - In vorliegender Dissertationsarbeit wurde der Einfluss von MEW-gedruckten Scaffolds aus dem synthetischen Polymer PnPrOx, einem Poly(2-oxazolin), mit verschiedenen Oberflächenstrukturen (fibrillär, glatt) auf die Proteinexpression menschlicher Makrophagen untersucht. Dabei wurde überprüft, inwiefern die Beschaffenheit der Oberflächenstruktur des Polymers die Polarisierung von Makrophagen auf Proteinebene beeinflusst. N2 - In this dissertation, the impact of MEW-printed scaffolds on protein expression in human macrophages was analyzed. These scaffolds were made of the synthetic polymer PnPrOx, a Poly(2-oxazoline), with different surface structures (fibrous, smooth). The aim was to evaluate in what way the surface structure of the polymer affects polarization of macrophages on a protein level. KW - Scaffold KW - Makrophagen Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-205922 ER -