618 Gynäkologie, Geburtsmedizin, Pädiatrie, Geriatrie
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Objectives: Chronic recurrent multifocal osteomyelitis (CRMO), the most severe form of chronic nonbacterial osteomyelitis (CNO), is an autoinflammatory bone disorder. In the absence of diagnostic criteria or biomarkers, CNO/CRMO remains a diagnosis of exclusion. The aim of this study was to identify biomarkers for diagnosing multifocal disease (CRMO).
Study design: Sera from 71 pediatric CRMO patients, 11 patients with osteoarticular infections, 62 patients with juvenile idiopathic arthritis (JIA), 7 patients with para-infectious or reactive arthritis, and 43 patients with acute leukemia or lymphoma, as well as 59 healthy individuals were collected. Multiplex analysis of 18 inflammation- and/or bone remodeling-associated serum proteins was performed. Statistical analysis included univariate ANOVA, discriminant analysis, univariate receiver operating characteristic (ROC) analysis, and logistic regression analyses.
Results: For 14 of 18 blood serum proteins, significant differences were determined between CRMO patients, at least one alternative diagnosis, or healthy controls. Multi-component discriminant analysis delivered five biomarkers (IL-6, CCL11/eotaxin, CCL5/RANTES, collagen Iα, sIL-2R) for the diagnosis of CRMO. ROC analysis allowed further reduction to a core set of 2 biomarkers (CCL11/eotaxin, IL-6) that are sufficient to discern between CRMO, healthy controls, and alternative diagnoses.
Conclusion: Serum biomarkers CCL11/eotaxin and IL-6 differentiate between patients with CRMO, healthy controls, and alternative diagnoses (leukemia and lymphoma, osteoarticular infections, para-infectious arthritis, and JIA). Easily accessible biomarkers may aid in diagnosing CRMO. Further studies testing biomarkers in larger unrelated cohorts are warranted.
Background
Identification of families at risk for ovarian cancer offers the opportunity to consider prophylactic surgery thus reducing ovarian cancer mortality. So far, identification of potentially affected families in Germany was solely performed via family history and numbers of affected family members with breast or ovarian cancer. However, neither the prevalence of deleterious variants in \(BRCA1/2\) in ovarian cancer in Germany nor the reliability of family history as trigger for genetic counselling has ever been evaluated.
Methods
Prospective counseling and germline testing of consecutive patients with primary diagnosis or with platinum-sensitive relapse of an invasive epithelial ovarian cancer. Testing included 25 candidate and established risk genes. Among these 25 genes, 16 genes (\(ATM\), \(BRCA1\), \(BRCA2\), \(CDH1\), \(CHEK2\), \(MLH1\), \(MSH2\), \(MSH6\), \(NBN\), \(PMS2\), \(PTEN\), \(PALB2\), \(RAD51C\), \(RAD51D\), \(STK11\), \(TP53\)) were defined as established cancer risk genes. A positive family history was defined as at least one relative with breast cancer or ovarian cancer or breast cancer in personal history.
Results
In total, we analyzed 523 patients: 281 patients with primary diagnosis of ovarian cancer and 242 patients with relapsed disease. Median age at primary diagnosis was 58 years (range 16–93) and 406 patients (77.6%) had a high-grade serous ovarian cancer. In total, 27.9% of the patients showed at least one deleterious variant in all 25 investigated genes and 26.4% in the defined 16 risk genes. Deleterious variants were most prevalent in the \(BRCA1\) (15.5%), \(BRCA2\) (5.5%), \(RAD51C\) (2.5%) and \(PALB2\) (1.1%) genes. The prevalence of deleterious variants did not differ significantly between patients at primary diagnosis and relapse. The prevalence of deleterious variants in \(BRCA1/2\) (and in all 16 risk genes) in patients <60 years was 30.2% (33.2%) versus 10.6% (18.9%) in patients \(\geq\)60 years. Family history was positive in 43% of all patients. Patients with a positive family history had a prevalence of deleterious variants of 31.6% (36.0%) versus 11.4% (17.6%) and histologic subtype of high grade serous ovarian cancer versus other showed a prevalence of deleterious variants of 23.2% (29.1%) and 10.2% (14.8%), respectively. Testing only for \(BRCA1/2\) would miss in our series more than 5% of the patients with a deleterious variant in established risk genes.
Conclusions
26.4% of all patients harbor at least one deleterious variant in established risk genes. The threshold of 10% mutation rate which is accepted for reimbursement by health care providers in Germany was observed in all subgroups analyzed and neither age at primary diagnosis nor histo-type or family history sufficiently enough could identify a subgroup not eligible for genetic counselling and testing. Genetic testing should therefore be offered to every patient with invasive epithelial ovarian cancer and limiting testing to \(BRCA1/2\) seems to be
not sufficient.
Background: Beyond survival of nowadays >80%, modern childhood cancer treatment strives to preserve long-term health and quality of life. However, the majority of today’s survivors suffer from short- and long-term adverse effects such as cardiovascular and pulmonary diseases, obesity, osteoporosis, fatigue, depression, and reduced physical fitness and quality of life. Regular exercise can play a major role to mitigate or prevent such late-effects. Despite this, there are no data on the effects of regular exercise in childhood cancer survivors from randomized controlled trials (RCTs). \(Primary\) \(outcome\) of the current RCT is therefore the effect of a 12-months exercise program on a composite cardiovascular disease risk score in childhood cancer survivors. \(Secondary\) \(outcomes\) are single cardiovascular disease risk factors, glycaemic control, bone health, body composition, physical fitness, physical activity, quality of life, mental health, fatigue and adverse events (safety).
Methods: A total of 150 childhood cancer survivors aged ≥16 years and diagnosed ≥5 years prior to the study are recruited from Swiss paediatric oncology clinics. Following the baseline assessments patients are randomized 1:1 into an intervention and control group. Thereafter, they are seen at month 3, 6 and 12 for follow-up assessments. The intervention group is asked to add ≥2.5 h of intense physical activity/week, including 30 min of strength building and 2 h of aerobic exercises. In addition, they are told to reduce screen time by 25%. Regular consulting by physiotherapists, individual web-based activity diaries, and pedometer devices are used as motivational tools for the intervention group. The control group is asked to keep their physical activity levels constant.
Discussion: The results of this study will show whether a partially supervised exercise intervention can improve cardiovascular disease risk factors, bone health, body composition, physical activity and fitness, fatigue, mental health and quality of life in childhood cancer survivors. If the program will be effective, all relevant information of the SURfit physical activity intervention will be made available to interested clinics that treat and follow-up childhood cancer patients to promote exercise in their patients.
Background
Ovarian cancer is mostly associated with pathologically regulated permeability of peritoneal vessels, leading to ascites. Here, we investigated the molecular regulation of endothelial permeability by the vascular endothelial growth factor (VEGF) and both tight and adherens junction proteins (VE-cadherin and claudin 5) with regards to the tumor biology of different ovarian cancer types.
Methods
Serum and ascites samples before and after surgery, as well as peritoneal biopsies of 68 ovarian cancer patients and 20 healthy controls were collected. In serum and ascites VEGF protein was measured by ELISA. In peritoneal biopsies co-localization of VE-cadherin and claudin 5 was investigated using immunohistochemical dual staining. In addition, the gene expression of VE-cadherin and claudin 5 was quantified by Real-time PCR. Differences in VEGF levels, VE-cadherin and claudin 5 gene expression were analyzed in relation to various tumor characteristics (tumor stage, grading, histological subtypes, resection status after surgery) and then compared to controls. Furthermore, human primary ovarian cancer cells were co-cultured with human umbilical vein endothelial cells (HUVEC) and changes in VE-cadherin and claudin 5 were investigated after VEGF inhibition.
Results
VEGF was significantly increased in tumor patients in comparison to controls and accumulates in ascites. The highest VEGF levels were found in patients diagnosed with advanced tumor stages, with tumors of poor differentiation, or in the group of solid / cystic-solid tumors. Patients with residual tumor after operation showed significantly higher levels of VEGF both before and after surgery as compared to tumor-free resected patients. Results of an immunohistochemical double-staining experiment indicated co-localization of VE-cadherin and claudin 5 in the peritoneal vasculature. Compared to controls, expression of VE-cadherin and claudin 5 was significantly suppressed in peritoneal vessels of tumor patients, but there were no significant differences regarding VE-cadherin and claudin 5 expression in relation to different tumor characteristics. A significant positive correlation was found between VE-cadherin and claudin 5 expression. VEGF inhibition in vitro was associated with significant increase in VE-cadherin and claudin 5.
Conclusions
Our results indicate that increased peritoneal permeability in ovarian cancer is due to down-regulation of adhesion proteins via tumor derived VEGF. Advanced ovarian cancer with aggressive tumor biology may be associated with early dysregulation of vascular permeability leading to ascites. These patients may benefit from therapeutic VEGF inhibition.
Introduction. Pelvic organ prolapse (POP) and urinary incontinence (UI) have increasing prevalence in the elderly population. The aim of this study was to compare the comorbidities of these procedures between <70 y/o and ≥70 y/o patients. Materials and Methods. In our retrospective study over a period of 2.5 years, 407 patients had received an urogynecological procedure. All patients with POP were treated by reconstructive surgery. Complications were reported using the standardized classification of Clavien-Dindo (CD). The study can be assigned to stage 2b Exploration IDEAL (Idea, Development, Exploration, Assessment, Long-term study)-system of surgical innovation. Results. Operation time, blood loss, and intraoperative complications have not been more frequent in the elderly, whereas hospital stay was significantly longer in ≥70 y/o patients. Regarding postoperative complications, we noticed that ≥70 y/o patients had an almost threefold risk to develop mild early postoperative complications compared to younger patients (OR: 2.86; 95% CI: 1.76–4.66). On the contrary, major complications were not more frequent. No case of life-threatening complication or the need for blood transfusion was reported. Conclusion. After urogynecological procedures, septuagenarians and older patients are more likely to develop mild postoperative complications but not more intraoperative or severe postoperative complications compared to younger patients.
Background:
Attention deficit/hyperactivity disorder has been shown to affect working memory, and fMRI studies in children and adolescents with attention deficit/hyperactivity disorder report hypoactivation in task-related attentional networks. However, studies with adult attention deficit/hyperactivity disorder patients addressing this issue as well as the effects of clinically valid methylphenidate treatment are scarce. This study contributes to closing this gap.
Methods:
Thirty-five adult patients were randomized to 6 weeks of double-blind placebo or methylphenidate treatment. Patients completed an fMRI n-back working memory task both before and after the assigned treatment, and matched healthy controls were tested and compared to the untreated patients.
Results:
There were no whole-brain differences between any of the groups. However, when specified regions of interest were investigated, the patient group showed enhanced BOLD responses in dorsal and ventral areas before treatment. This increase was correlated with performance across all participants and with attention deficit/hyperactivity disorder symptoms in the patient group. Furthermore, we found an effect of treatment in the right superior frontal gyrus, with methylphenidate-treated patients exhibiting increased activation, which was absent in the placebo-treated patients.
Conclusions:
Our results indicate distinct activation differences between untreated adult attention deficit/hyperactivity disorder patients and matched healthy controls during a working memory task. These differences might reflect compensatory efforts by the patients, who are performing at the same level as the healthy controls. We furthermore found a positive effect of methylphenidate on the activation of a frontal region of interest. These observations contribute to a more thorough understanding of adult attention deficit/hyperactivity disorder and provide impulses for the evaluation of therapy-related changes.
Background
Medulloblastoma is the most common malignant brain tumor in children and can be divided in different molecular subgroups. Patients whose tumor is classified as a Group 3 tumor have a dismal prognosis. However only very few tumor models are available for this subgroup.
Methods
We established a robust orthotopic xenograft model with a cell line derived from the malignant pleural effusions of a child suffering from a Group 3 medulloblastoma.
Results
Besides classical characteristics of this tumor subgroup, the cells display cancer stem cell characteristics including neurosphere formation, multilineage differentiation, CD133/CD15 expression, high ALDH-activity and high tumorigenicity in immunocompromised mice with xenografts exactly recapitulating the original tumor architecture.
Conclusions
This model using unmanipulated, human medulloblastoma cells will enable translational research, specifically focused on Group 3 medulloblastoma.
Background
Ovarian cancer (OvCA) tissues show abundant expression of the ectonucleotidases CD39 and CD73 which generate immunomodulatory adenosine, thereby inhibiting cytotoxic lymphocytes. Little, however, is known about the effect of adenosine on myeloid cells. Considering that tumor associated macrophages (TAM) and myeloid-derived suppressor cells (MDSC) constitute up to 20 % of OvCA tissue, we investigated the effect of adenosine on myeloid cells and explored a possible contribution of myeloid cells to adenosine generation in vitro and ex vivo.
Methods
Monocytes were used as human blood-derived myeloid cells. After co-incubation with SK-OV-3 or OAW-42 OvCA cells, monocyte migration was determined in transwell assays. For conversion into M2-polarized “TAM-like” macrophages, monocytes were co-incubated with OAW-42 cells. Ex vivo TAMs were obtained from OvCA ascites. Macrophage phenotypes were investigated by intracellular staining for IL-10 and IL-12. CD39 and CD73 expression were assessed by FACS analysis both on in vitro-induced TAM-like macrophages and on ascites-derived ex situ-TAMs. Myeloid cells in solid tumor tissue were analyzed by immunohistochemistry. Generation of biologically active adenosine by TAM-like macrophages was measured in luciferase-based reporter assays. Functional effects of adenosine were investigated in proliferation-experiments with CD4+ T cells and specific inhibitors.
Results
When CD39 or CD73 activity on OvCA cells were blocked, the migration of monocytes towards OvCA cells was significantly decreased. In vivo, myeloid cells in solid ovarian cancer tissue were found to express CD39 whereas CD73 was mainly detected on stromal fibroblasts. Ex situ-TAMs and in vitro differentiated TAM-like cells, however, upregulated the expression of CD39 and CD73 compared to monocytes or M1 macrophages. Expression of ectonucleotidases also translated into increased levels of biologically active adenosine. Accordingly, co-incubation with these TAMs suppressed CD4+ T cell proliferation which could be rescued via blockade of CD39 or CD73.
Conclusion
Adenosine generated by OvCA cells likely contributes to the recruitment of TAMs which further amplify adenosine-dependent immunosuppression via additional ectonucleotidase activity. In solid ovarian cancer tissue, TAMs express CD39 while CD73 is found on stromal fibroblasts. Accordingly, small molecule inhibitors of CD39 or CD73 could improve immune responses in ovarian cancer.
Die akute lymphatische Leukämie ist die häufigste maligne Erkrankung im Kindesalter. Trotz systematischer Erhebung und Auswertung von Daten im Rahmen der ALL-BFM-Studiengruppe und der damit verbundenen kontinuierlichen Verbesserung der Prognose hat man noch immer keine Ursache für eine ALL gefunden. Daher nimmt eine umfangreiche Risikostratifizierung eine zentrale Rolle in der Behandlungsplanung einer ALL ein. Basierend auf einer exakten Stratifizierung kann die Therapie risikoadaptiert und individualisiert werden, um eine Übertherapie zu vermeiden und letztlich die Heilungschancen zu verbessern.
Pro- und antiinflammatorische Zytokine kommt in den komplexen Wirkungsmechanismen des Immunsystems eine Schlüsselrolle zu. Viele Infektions-, Auto-immun- oder Tumorerkrankungen werden durch das Produktionsprofil der Zyto-kine beeinflusst. Da genetisch determinierte Zytokingenpolymorphismen Krank-heitsverläufe beeinflussen und verändern, wurde untersucht, ob Zytokine einen Einfluss auf pädiatrische Patienten mit einer ALL haben.
Im Zuge dieser Arbeit wurden 95 pädiatrische Patienten mit ALL auf Polymorphismen der Zytokine TNF-α, TGF-β1, IL-10, IL-6 und IFN-γ analysiert, die im Zeitraum vom 21.06.2004 bis zum 30.04.2014 an der Kinderklinik des Universitätsklinikums Würzburg behandelt wurden. Mittels DNA-Extraktion, sequenz-spezifischer PCR und Gelelektropherese wurden 35 Proben bei Erstdiagnose und 93 zum Zeitpunkt der Remission mit folgender zentralen Fragestellung untersucht:
Gibt es genetische Risikofaktoren, die Einfluss auf
• die Risikogruppe
• die Art der Leukämie
• die Genfrequenz
• die Rezidivrate und
• das Gesamtüberleben
einer akuten lymphatische Leukämie im Kindesalter haben und sich zudem durch Einzelnukleotidpolymorphismen in pro- und antiinflammatorischen Zytokinen auszeichnen?
Im Rahmen dieser Studie konnte festgestellt werden, dass das immunsuppressive Zytokin IL-10 einen Einfluss auf die Genfrequenz, die Risikogruppe, die Rezidivrate sowie die Prognose bei Kindern mit ALL hat. Patienten mit niedrigen Zytokinexpressionsraten (Genotypen ACC/ACC und ACC/ATA) wurden häufiger in der Hochrisikogruppe therapiert, hatten mehr Rezidive und eine schlechtere Prognose als Patienten mit hohen Zytokinexpressionsraten. Dar-über hinaus ist der Genotyp GCC/ACC signifikant häufiger bei ALL-Patienten anzutreffen als im gesunden Kollektiv. Beim immunsuppressiven IL-6 konnte festgestellt werden, dass der Genotyp C/C signifikant häufiger bei Patienten mit einer ALL auftritt als bei gesunden Patienten. Ferner zeigte sich, dass es so-wohl für IL-6 als auch für TNF-α eine Änderung des Genotyps zwischen Erstdiagnose und in Remission auftrat, die Hinweise auf einen blastenspezifischen „immune-escape“-Mechanismus geben. Ebenfalls konnte gezeigt werden, dass das immunmodulatorische Zytokin TGF-β1 einen Einfluss auf die Risikogruppe sowie die Rezidivrate hat. Patienten, die eine T/T Kombination am Codon 10 aufwiesen wurden häufiger im Hochrisikozweig therapiert als Patienten mit den Genotypen T/C oder C/C. Des Weiteren wurde demonstriert, dass Patienten mit einem C/C an Codon 25 häufiger an Rezidiven erkrankten als Patienten mit ei-nem G/C oder G/G. Für die TH1 Zytokine IFN-γ sowie TNF-α wurde kein Zusammenhang zwischen der Genfrequenz, der Risikogruppe, der Art der Leukämie, der Rezidivrate oder dem Gesamtüberleben gefunden.
Auch wenn man bisher noch nicht genau weiß, wie Zytokingenpolymorphismen Einfluss auf pädiatrische ALL nehmen, wird anhand dieser Arbeit gezeigt, dass Zytokine einen Beitrag zur Pathogenese der ALL leisten und daher zukünftig für eine umfassendere Risikostratifizierung geeignet sind. Darüber hinaus können diese Ergebnisse dazu beitragen, dass Zytokine als biologische Marker etabliert werden, um eine weniger toxische immunmodulierende bzw. -suppressive Therapie zu gewährleisten. Dies führt dazu, dass eine Therapie anhand des Risikoprofils individuell und prognoseverbessernd abgestimmt werden kann. Je-doch wäre für eine nachfolgende Untersuchung eine größere multizentrische Stichprobe sowie eine prospektive Evaluation der Daten erstrebenswert. Gera-de bei hereditären Erkrankungen haben einzelne Gene nur einen geringen Einfluss auf das Gesamtrisiko, sodass größere Fallzahlen erforderlich wären, um auch schwache Effekte zu detektieren.
Atypical teratoid rhabdoid tumors (AT/RT) are characterized by mutations and subsequent inactivation of SMARCB1 (INI1, hSNF5), a predilection for very young children and an unfavorable outcome. The European Registry for rhabdoid tumors (EU‐RHAB) was established to generate a common European database and to establish a standardized treatment regimen as the basis for phase I/II trials. Thus, genetic analyses, neuropathologic and radiologic diagnoses, and a consensus treatment regimen were prospectively evaluated. From 2005 to 2009, 31 patients with AT/RT from four countries were recruited into the registry study Rhabdoid 2007 and treated with systemic and intraventricular chemotherapy. Eight patients received high‐dose chemotherapy, 23 radiotherapy, and 17 maintenance therapy. Reference evaluations were performed in 64% (genetic analyses, FISH, MLPA, sequencing) up to 97% (neuropathology, INI1 stain). Germ‐line mutations (GLM) were detected in 6/21 patients. Prolonged overall survival was associated with age above 3 years, radiotherapy and achievement of a complete remission. 6‐year overall and event‐free survival rates were 46% (±0.10) and 45% (±0.09), respectively. Serious adverse events and one treatment‐related death due to insufficiency of a ventriculo peritoneal shunt (VP‐shunt) and consecutive herniation were noted. Acquisition of standardized data including reference diagnosis and a standard treatment schedule improved data quality along with a survival benefit. Treatment was feasible with significant but manageable toxicity. Although our analysis is biased due to heterogeneous adherence to therapy, EU‐RHAB provides the best available basis for phase I/II clinical trials.
Background
Mammography and ultrasound are the gold standard imaging techniques for preoperative assessment and for monitoring the efficacy of neoadjuvant chemotherapy in breast cancer. Maximum accuracy in predicting pathological tumor size non-invasively is critical for individualized therapy and surgical planning. We therefore aimed to assess the accuracy of tumor size measurement by ultrasound and mammography in a multicentered health services research study.
Methods
We retrospectively analyzed data from 6543 patients with unifocal, unilateral primary breast cancer. The maximum tumor diameter was measured by ultrasound and/or mammographic imaging. All measurements were compared to final tumor diameter determined by postoperative histopathological examination. We compared the precision of each imaging method across different patient subgroups as well as the method-specific accuracy in each patient subgroup.
Results
Overall, the correlation with histology was 0.61 for mammography and 0.60 for ultrasound. Both correlations were higher in pT2 cancers than in pT1 and pT3. Ultrasound as well as mammography revealed a significantly higher correlation with histology in invasive ductal compared to lobular cancers (p < 0.01). For invasive lobular cancers, the mammography showed better correlation with histology than ultrasound (p = 0.01), whereas there was no such advantage for invasive ductal cancers. Ultrasound was significantly superior for HR negative cancers (p < 0.001). HER2/neu positive cancers were also more precisely assessed by ultrasound (p < 0.001). The size of HER2/neu negative cancers could be more accurately predicted by mammography (p < 0.001).
Conclusion
This multicentered health services research approach demonstrates that predicting tumor size by mammography and ultrasound provides accurate results. Biological tumor features do, however, affect the diagnostic precision.
Evaluation of clinical parameters influencing the development of bone metastasis in breast cancer
(2016)
Background
The development of metastases is a negative prognostic parameter for the clinical outcome of breast cancer. Bone constitutes the first site of distant metastases for many affected women. The purpose of this retrospective multicentre study was to evaluate if and how different variables such as primary tumour stage, biological and histological subtype, age at primary diagnosis, tumour size, the number of affected lymph nodes as well as grading influence the development of bone-only metastases.
Methods
This retrospective German multicentre study is based on the BRENDA collective and included 9625 patients with primary breast cancer recruited from 1992 to 2008. In this analysis, we investigated a subgroup of 226 patients with bone-only metastases. Association between bone-only relapse and clinico-pathological risk factors was assessed in multivariate models using the tree-building algorithms “exhausted CHAID (Chi-square Automatic Interaction Detectors)” and CART(Classification and Regression Tree), as well as radial basis function networks (RBF-net), feedforward multilayer perceptron networks (MLP) and logistic regression.
Results
Multivariate analysis demonstrated that breast cancer subtypes have the strongest influence on the development of bone-only metastases (χ2 = 28). 29.9 % of patients with luminal A or luminal B (ABC-patients) and 11.4 % with triple negative BC (TNBC) or HER2-overexpressing tumours had bone-only metastases (p < 0.001). Five different mathematical models confirmed this correlation. The second important risk factor is the age at primary diagnosis. Moreover, BC subcategories influence the overall survival from date of metastatic disease of patients with bone-only metastases. Patients with bone-only metastases and TNBC (p < 0.001; HR = 7.47 (95 % CI: 3.52–15.87) or HER2 overexpressing BC (p = 0.007; HR = 3.04 (95 % CI: 1.36–6.80) have the worst outcome compared to patients with luminal A or luminal B tumours and bone-only metastases.
Conclusion
The bottom line of different mathematical models is the prior importance of subcategories of breast cancer and the age at primary diagnosis for the appearance of osseous metastases. The primary tumour stage, histological subtype, tumour size, the number of affected lymph nodes, grading and NPI seem to have only a minor influence on the development of bone-only metastases.
One of the major health consequences of the Chernobyl Nuclear Power Plant accident in 1986 was a dramatic increase in incidence of thyroid cancer among those who were aged less than 18 years at the time of the accident. This increase has been directly linked in several analytic epidemiological studies to iodine-131 (I-131) thyroid doses received from the accident. However, there remains limited understanding of factors that modify the I-131-related risk. Focusing on post-Chernobyl pediatric thyroid cancer in Belarus, we reviewed evidence of the effects of radiation, thyroid screening, and iodine deficiency on regional differences in incidence rates of thyroid cancer. We also reviewed current evidence on content of nitrate in groundwater and thyroid cancer risk drawing attention to high levels of nitrates in open well water in several contaminated regions of Belarus, i.e. Gomel and Brest, related to the usage of nitrogen fertilizers. In this hypothesis generating study, based on ecological data and biological plausibility, we suggest that nitrate pollution may modify the radiation-related risk of thyroid cancer contributing to regional differences in rates of pediatric thyroid cancer in Belarus. Analytic epidemiological studies designed to evaluate joint effect of nitrate content in groundwater and radiation present a promising avenue of research and may provide useful insights into etiology of thyroid cancer.
Die gesetzlich vorgeschriebene Nachsorge von Frühgeborenen in Deutschland beschränkt sich nach den Vorgaben des G-BA momentan auf eine Entwicklungstestung mit den Bayley Scales of Infant Development im Alter von zwei Jahren. Entwicklungsuntersuchungen zu einem späteren Zeitpunkt sind jedoch notwendig, da neurologische Folgen bzw. Auswirkungen dann besser beurteilt und gemessen werden können.
Die WUEP-KD ist eine neuropsychologische Testbatterie, die auf der CHC-Theorie basiert und den Vorteil einer guten Normierung und Validierung für deutsche Kinder, sowie einer kurzen Durchführungszeit hat. Außerdem wurden bereits langjährig Erfahrungen in der Anwendung bei Kindern mit anderen neuropsychologischen Problemen gesammelt.
Wir wendeten die WUEP-KD bei sechs bis acht Jahre alten Kindern an, die in den Jahren 2001 und 2002 in der Frauenklinik der Universität Würzburg mit einem Geburtsgewicht von unter 1500g zur Welt gekommen waren und in der Universitätskinderklinik Würzburg behandelt wurden. Weiterhin wurden zehn termingerecht geborene und gesunde Kinder im gleichen Alter untersucht.
Es stellte sich heraus, dass die Frühgeborenen, die an unserer Studie teilgenommen hatten, signifikant besser bei den BSID-II im Alter von zwei Jahren abgeschnitten hatten als diejenigen, die wir leider nicht von einer Teilnahme überzeugen konnten. Tendenziell zeigte sich in unserer Studie bezüglich der zentralen mentalen Leistungsfähigkeit dennoch eine geringere Leistung bei geringerem Gestationsalter und bzw. oder geringerem Geburtsgewicht. Die Ergebnisse des Untertests CPM, welcher die fluide Intelligenz abbildet, waren signifikant unterschiedlich beim Gruppenvergleich der Geburtsgewichte sowie des Gestationsalters. Somit konnten wir mit unserer Methodik ebenso wie in anderen Studien einen Unterschied in der kognitiven Leistung zwischen den VLBW-Kindern und den ELBW-Kindern im Alter von sechs bis acht Jahren nachweisen. Beim Vergleich mit den Untersuchungen im Alter von zwei bis drei Jahren konnten wir weitgehend eine gleichbleibende Leistung nachweisen, die Ergebnisse der Bayley-Scales und der mentalen Gesamtleistung der WUEP-KD korrelierten signifikant.
Um eine umfassende Diagnostik durchzuführen und weitere Intelligenzfaktoren nach der CHC-Theorie zu erfassen, werden in der WUEP-KD computerisierte Tests verwendet. Zur Messung der feinmotorischen Leistung wurde hierfür das Speed-Tapping verwendet, welches bisher nicht in der Untersuchung Frühgeborener angewandt wurde. Die feinmotorischen Fähigkeiten der Früh- und Reifgeborenen lagen durchschnittlich im Normbereich, jedoch hatten doppelt so viele Frühgeborene als Reifgeborene Defizite in der Feinmotorik. Insbesondere die ELBW-Kinder waren hiervon betroffen. Bei Betrachtung der Frühgeborenen konnte eine signifikante Korrelation zwischen dem Gestationsalter und der feinmotorischen Leistung nachgewiesen werden. Somit konnten wir nachweisen, dass ein geringeres Geburtsgewicht und Gestationsalter das Risiko erhöhen, feinmotorische Defizite im Schulalter nachweisen zu können – auch wenn keine höhergradigen intrakraniellen Blutungen im Neugeborenenalter aufgetreten waren und die kognitive Leistung zum Zeitpunkt der Untersuchung im Normbereich liegt. Die WUEP-KD kann zusätzlich im Bereich der motorischen Fähigkeiten Defizite aufdecken.
Die Aufmerksamkeitsleistung, gemessen mit dem CPT, lag im Normbereich, dennoch waren wiederum vermehrt Defizite bei den ELBW-Kindern und den Kindern mit einem Gestationsalter unter 29 SSW zu beobachten.
Um das Verhalten und die Lebensqualität der frühgeborenen Kinder einschätzen zu können, ließen wir die Eltern drei Fragebögen beantworten (CBCL, SDQ, KINDL-R). Hier konnten wir größtenteils keine signifikanten Unterschiede zwischen den Reif- und Frühgeborenen feststellen. Im Fragebogen zur Lebensqualität konnten bei den Frühgeborenen sogar signifikant bessere Ergebnisse in den Bereichen „Freunde“ und „Selbstwert“ nachgewiesen werden.
Die WUEP-KD stellt aus unserer Sicht eine geeignete Methodik dar, um frühgeborene Kinder in ihrer weiteren Entwicklung nachzuuntersuchen – sie basiert auf der CHC-Theorie, dem Goldstandard der Intelligenzdiagnostik, hat eine kurze Durchführungsdauer, es besteht eine langjährige Anwendung und Erfahrung in der Durchführung bei Kindern mit neuropsychologischer Problematik und hat die nun nachgewiesene Fähigkeit kognitive und motorische Defizite bei frühgeborenen Kindern aufzudecken. Hierdurch können die betroffenen Kinder in ihren Fähigkeiten und Grenzen besser eingeschätzt und somit gezielt betreut werden.
Die Bedeutung einer Zweitmalignomentwicklung nach primärer Hirntumorerkrankung im Kindesalter
(2015)
In der vorliegenden Arbeit wurden Patienten untersucht, die im Rahmen der Hirntumorstudien SKK 87, SKK 92, HIT 88, HIT 91, der Interimsstudie HIT 99 sowie HIT 2000 der HIT-Studienzentrale in Würzburg aufgrund eines Hirntumors im Kindesalter behandelt wurden und an einem Zweitmalignom erkrankten. Es erfolgte die genauere Betrachtung insbesondere im Hinblick auf Patienteneigenschaften, zeitliche Verläufe, Risikofaktoren, kumulative Zweitmalignomhäufigkeiten und die Prognose nach einer Zweiterkrankung.
Bis zum 01.01.2008 waren 54 Patienten bekannt, die nach einem primären Hirntumor im Kindesalter ein Zweitmalignom entwickelten, davon waren 29 männlich und 25 weiblich, 11 hatten ein bekanntes Tumorprädispositionssyndrom. Als Zweitmalignomhistologie traten vor allem sekundäre Hirntumoren (17) und sekundäre hämatologische Neoplasien (13) auf. Dabei traten hämatologische Zweitneoplasien deutlich früher als sekundäre Hirntumoren auf (im Median 4.9 versus 8.9 Jahre). Das mittlere Erkrankungsalter bei Erst- und Zweitdiagnose war 6.4 bzw. 13.1 Jahre bei einem mittleren Follow-up aller Studienpatienten seit Erstdiagnose von 10.8 Jahren. Als Risikofaktoren einer Zweitmalignomentwicklung konnte ein junges Erkrankungsalter und das weibliche Geschlecht ermittelt werden. Die kumulative Inzidenz einer Zweitmalignomentwicklung nach Aalen-Johansen lag 5, 10 und 15 Jahre nach Primärerkrankung bei 0.6%, 2% und 5%. Die 5-Jahres-Überlebensrate für alle 54 Zweitmalignompatienten nach Zweittumordiagnose betrug 35%.
Die Arbeit verdeutlicht, dass mit steigender Langzeitprognose nach kindlichen Hirntumorerkrankungen Spätfolgen der Therapie immer relevanter werden. Damit steigt die Bedeutung der engmaschigen Nachsorge zur frühzeitigen Erkennung und Quantifizierung dieser Spätfolgen.
Background: IL-12p40 plays an important role in the activation of the T-cell lines like Th17 and Th1-cells. Theses cells are crucial in the pathogenesis of juvenile idiopathic arthritis. A polymorphism in its promoter region and the genotype IL12p40 pro1.1 leads to a higher production of IL-12p40. We studied whether there is a difference in the distribution of the genotype in patients with JIA and the healthy population.
Methods: In 883 patients and 321 healthy controls the IL-12p40 promoter genotype was identified by ARMS-PCR.
Results: There is no association of IL-12p40 pro polymorphism neither in patients with JIA compared to controls nor in subtypes of JIA compared to oligoarthritis. We found a non-significant tendency of a higher prevalence of the genotype pro1.1 in systemic arthritis (32.4 %) and in rheumatoid factor negative polyarthritis (30.5 %) and a lower pro1.1 genotype in persistent oligoarthritis (20.7 %) and in enthesitis-related arthritis (17 %). Likelihood of the occurrence of genotype IL12-p40 pro1.1 in patients with systemic arthritis (OR 1.722, CI 95 % 1.344-2.615, p 0.0129) and RF-negative polyarthritis (OR 1.576, CI 95 % 1.046-2.376, p 0.0367) compared to persistent oligoarthritis was significantly higher. This was also true for comparison of their homozygous genotypes IL-12p40 pro 1.1 and 2.2 in systemic arthritis (OR 1.779, CI 95 % 1.045-3.029, p 0.0338). However, in Bonferroni correction for multiple hypothesis this was not significant.
Conclusion: A tendency of a higher prevalence of the genotype IL-12p40 pro1.1 in systemic arthritis and in rheumatoid factor negative polyarthritis was observed but not significant. Further investigations should be done to clarify the role IL-12p40 in the different subtypes of JIA.
The activation of immune cells by targeting checkpoint inhibitors showed promising results with increased patient survival in distinct primary cancers. Since only limited data exist for human brain metastases, we aimed at characterizing tumor infiltrating lymphocytes (TILs) and expression of immune checkpoints in the respective tumors. Two brain metastases cohorts, a mixed entity cohort (n = 252) and a breast carcinoma validation cohort (n = 96) were analyzed for CD3+, CD8+, FOXP3+, PD-1+ lymphocytes and PD-L1+ tumor cells by immunohistochemistry. Analyses for association with clinico-epidemiological and neuroradiological parameters such as patient survival or tumor size were performed. TILs infiltrated brain metastases in three different patterns (stromal, peritumoral, diffuse). While carcinomas often show a strong stromal infiltration, TILs in melanomas often diffusely infiltrate the tumors. Highest levels of CD3+ and CD8+ lymphocytes were seen in renal cell carcinomas (RCC) and strongest PD-1 levels on RCCs and melanomas. High amounts of TILs, high ratios of PD-1+/CD8+ cells and high levels of PD-L1 were negatively correlated with brain metastases size, indicating that in smaller brain metastases CD8+ immune response might get blocked. PD-L1 expression strongly correlated with TILs and FOXP3 expression. No significant association of patient survival with TILs was observed, while high levels of PD-L1 showed a strong trend towards better survival in melanoma brain metastases (Log-Rank p = 0.0537). In summary, melanomas and RCCs seem to be the most immunogenic entities. Differences in immunotherapeutic response between tumor entities regarding brain metastases might be attributable to this finding and need further investigation in larger patient cohorts.
Measles, mumps and rubella are viral infectious diseases that may cause severe and devastating complications among affected individuals. The disease burden of all three diseases is high, but could be reduced entirely through successful vaccination strategies. As such, the WHO has established the goal of globally eliminating measles and rubella and concomitantly controlling the frequently co-vaccinated mumps.
In 2010, the WHO European Region member states agreed to strengthen efforts to eliminate measles and rubella from Europe by the end of 2015. As this date draws closer, progress analyses become increasingly relevant. In this systematic literature review, the immunization strategies, vaccination coverages and disease incidences of eleven European nations were assessed and their progress towards disease elimination evaluated.
Successful prevention of the endemic transmission of measles, mumps, or rubella could be achieved in several nations, including Sweden, Croatia, Greece and Spain. Austria, France, Germany, Italy, Poland, Turkey and the United Kingdom of Great Britain and Northern Ireland, though having improved their overall immunization rates, have not yet been able to reach the elimination goals. In Turkey, Italy and Poland, sharp increases in case numbers during recent years are potentially threatening the successful measles, mumps and rubella control in Europe.
Pockets of susceptible population groups that may contribute to the perpetuation of the diseases have been identified. They include infants and young children, adolescents and young adults, adolescent and adult males, recent immigrants and refugees,and traveling ethnic minority groups. Reasons for the increased risk of infection among these groups are manifold and a result of various historic and current vaccination practices, cultural, political and religious differences, as well as individual believes and concerns. Travel and migration of infected individuals to and between the various European nations also play an essential role in the continual transmission of measles, mumps and rubella in Europe. Only an adequate population-wide immunity can prevent the occurrence of major outbreaks due to viral importation. Efforts should therefore be made to immunize all population members able to receive vaccinations and to offer additional immunization opportunities to those susceptible population subgroups that are difficult to reach through routine vaccination programs.
In countries struggling to meet the WHO elimination goals, alternative immunization practices may be necessary. A uniform, European-wide MMR vaccination schedule based on the successful immunization methods of countries that have eliminated measles, mumps and rubella may be an effective tool for improving the overall population-wide immunity and controlling the three diseases. A model for such a schedule was created and includes strategies for reaching population members regardless of age, gender or migratory background. The implementation of uniform immunization recommendations is challenging, but the advantages in terms of improved vaccination, surveillance and disease control methods may be worth at least considering such a strategy in Europe.
Measles, mumps and rubella elimination may be attainable in the WHO European Region. The current epidemiological situation suggests that the goal is unlikely to be reached by the end of 2015, but through continued international efforts and collaboration, effective disease control could be achieved in the near future. In the meantime, improvements in immunization strategies, vaccination coverages, supplementary campaigns as well as disease notification systems and confirmations should be made on a national and international level, so that an adequate population-wide immunity can be established and the disease elimination progresses effectively monitored within the entire European region.
Multiple antenatal dexamethasone treatment alters brain vessel differentiation in newborn mouse pups
(2015)
Antenatal steroid treatment decreases morbidity and mortality in premature infants through the maturation of lung tissue, which enables sufficient breathing performance. However, clinical and animal studies have shown that repeated doses of glucocorticoids such as dexamethasone and betamethasone lead to long-term adverse effects on brain development. Therefore, we established a mouse model for antenatal dexamethasone treatment to investigate the effects of dexamethasone on brain vessel differentiation towards the blood-brain barrier (BBB) phenotype, focusing on molecular marker analysis. The major findings were that in total brains on postnatal day (PN) 4 triple antenatal dexamethasone treatment significantly downregulated the tight junction protein claudin-5, the endothelial marker Pecam-1/CD31, the glucocorticoid receptor, the NR1 subunit of the N-methyl-D-aspartate receptor, and Abc transporters (Abcb1a, Abcg2 Abcc4). Less pronounced effects were found after single antenatal dexamethasone treatment and in PN10 samples. Comparisons of total brain samples with isolated brain endothelial cells together with the stainings for Pecam-1/CD31 and claudin-5 led to the assumption that the morphology of brain vessels is affected by antenatal dexamethasone treatment at PN4. On the mRNA level markers for angiogenesis, the sonic hedgehog and the Wnt pathway were downregulated in PN4 samples, suggesting fundamental changes in brain vascularization and/or differentiation. In conclusion, we provided a first comprehensive molecular basis for the adverse effects of multiple antenatal dexamethasone treatment on brain vessel differentiation.
Spondyloenchondrodysplasia (SPENCD) is a rare skeletal dysplasia, characterized by metaphyseal lesions, neurological impairment and immune dysregulation associated with lupus-like features. SPENCD is caused by biallelic mutations in the ACP5 gene encoding tartrate-resistant phosphatase. We report on a child, who presented with spasticity, multisystem inflammation, autoimmunity and immunodeficiency with minimal metaphyseal changes due to compound heterozygosity for two novel ACP5 mutations. These findings extend the phenotypic spectrum of SPENCD and indicate that ACP5 mutations can cause severe immune dysregulation and neurological impairment even in the absence of metaphyseal dysplasia.
Störungen des PI3K-AKT-Signalweges treten besonders häufig in Endometrium und Ovarialkarzinomen auf. Ursache kann eine Überaktivierung von Wachstumsfaktor-Rezeptoren, Mutationen oder der Funktionsverlust von PTEN sein, was zu
einer Störung der Regulation und damit zu einer Überaktivierung des PI3K-AKTSignalweges führt und so das Einleiten autophagischer Prozesse verhindert. Hierauf
kommt es zu unkontrollierter Zellvermehrung, welche zur Tumorentstehung und Tumorprogression beiträgt [12][23].
Die in dieser Arbeit durchgeführten Untersuchungen konnten zeigen, dass die Hemmung des PI3K-AKT-Signalweges durch den PI3K-Inhibitor AEZS-126 erfolgversprechende
antiproliferative Effekte in in vitro-Modellen des Ovarialkarzinoms zeigte. In vitro konnte die niedermolekulare Pyridopyrazin-Verbindung AEZS-126
das Wachstum und die Progression von Zellen der parentalen Ovarialkarzinom-Zelllinie A2780, der daraus abgeleiteten cis-Platin-resistenten Tochterzelllinie Acis2780 und der aus einem Ovar-Adenokarzinom gewonnenen Zelllinie SKOV-3 signifikant hemmen. In Vitalitätsassays ermittelte IC50-Werte lagen im mikromolaren Bereich
und zeigten konzentrationsabhängige Antitumor-Effekte. Neben den AEZS-126-abhängigen Effekten wurde auch die Wirksamkeit des mTOR-Inhibitors Rapamycin
auf die Zelllinien A2780 und Acis2780 untersucht. Es zeigten sich ebenfalls konzentrationsabhängige
antiproliferative Effekte. Durch die Kombination der beiden Inhibitoren AEZS-126 und Rapamycin konnte zusätzlich eine gesteigerte Wirksamkeit gegen die Tumorzellen erzielt werden und synergistische Effekte traten auf. ImWestern-Blot konnte nach Inkubation der Ovarialkarzinomzelllinien mit AEZS-126 durch den Einsatz von AEZS-126 eine verminderte Expression von pAKT nachgewiesen werden, welche insbesondere bei den cis-Platin-resistenten Acis2780-Zellen durch die Kombination mit Rapamycin noch verstärkt wurde.
Durch FACS-Analysen konnte gezeigt werden, dass die Ovarialkarzinomzellen durch die Behandlung mit AEZS-126 im Wachstum gehemmt werden und unabhängig von ihrer Zellzyklusphase in den Zelltod geführt werden können. So zeigte sich in den Zellzyklusanalysen eine konzentrationsabhängige Verschiebung der Zellzahl
von der G0/G1-Phase in die sub-G0-Phase, welche die Population der toten Zellen darstellt.
Eine Spezifizierung des Zelltod-Mechanismuses erfolgte einerseits durch Annexin-V-FITC-FACS-Analysen und andererseits durch Vitalitätsassays mit Koinkubation
von AEZS-126 mit dem Caspase-Inhibitor zVAD-fmk, dem Nekroptose-Inhibitor Necrostatin-1 und dem Nekrose-Inhibitor Necrox-2. Aus diesen Untersuchungen ging
klar hervor, dass AEZS-126 in den Zelllinien A2780, Acis2780 und SKOV-3 Nekroptose induziert. Rapamycin alleine zeigte sowohl apoptotische als auch nekrotische
Wirkmechanismen. Die Kombination der beiden Inhibitoren AEZS-126 und Rapamycin führte zu einer synergistischen Wirkverstärkung, was sich in einem verstärkten
Absterben der Zellen schon bei geringeren eingesetzten Konzentrationen der beiden Inhibitoren zeigte. Auch hier traten hauptsächlich nekrotische Effekte auf.
Von besonderem Interesse war die Interaktion von Ovarialkarzinomzellen (A2780, Acis2780), die mit AEZS-126 vorbehandelt worden waren, mit Zellen des Immunsystems.
So konnte gezeigt werden, dass AEZS-126 eine verbesserte Zelllyse der Tumorzellen durch NK-Zellen ermöglicht. Zusätzlich konnten die cis-Platin-resistenten
Acis2780-Zellen durch Vorbehandlung mit entsprechende Konzentrationen des PI3KInhibitors in vergleichbarem Ausmaß wie die parentalen A2780-Zellen für die Lyse
durch NK-Zellen zugänglich gemacht werden.
AEZS-126 scheint auf Grund dieser Ergebnisse und der schon nachgewiesenen guten antiproliferativen Wirkung von AEZS-126 auf verschiedene Zelllinien ein geeigneter
Kandidat für weiterführende in vivo-Versuche zu sein.
Zusätzlich sollte erwogen werden, neben der Inhibiton des PI3K-AKT-Signalweges eine zeitgleiche Hemmung des Ras-Raf-MEK-ERK-Signalweges in Betracht zu ziehen.
Durch die Interaktionen der beiden Signalwege könnte es sonst bei der Inaktivierung des einen zur Aktivierung des anderen Signalweges kommen [143]. Durch eine Überexpression von pAKT durch eine PTEN-Mutation kommt es beispielsweise zur Inaktivierung von Ras und der darauf folgenden Signalkaskade, während ein erhöhtes
Expressionsniveau an pAKT im PI3K-AKT-Signalweg zu einer Aktivierung von mTOR und damit zur Hemmung autophagischer Prozesse führt [23]. So kann die Phosphorylierung des Proteins p70S6K, dem Schlüsselmolekül zwischen den beiden
Signalwegen, welches mTOR nachgeschaltet ist, durch Rapamycin gehemmt werden und damit zu einer erhöhten Aktivierung von AKT und ERK führen [143]. Durch
die Kombinationsbehandlung mit Inhibitoren des PI3K-AKT-Signalweges, die an verschiedenen Stellen der Signalkaskade angreifen, kann, wie in dieser Arbeit gezeigt wurde, die Antitumorwirkung verstärkt werden. Die in dieser Arbeit untersuchten Inhibitoren AEZS-126 und Rapamycin zeigten bei den parentalen Ovarialkarzinom-
zellen A2780 und den cis-Platin-resistenten Acis2780-Zellen in der Kombinationsbehandlung
synergistische Effekte und führten schon bei geringen Konzentrationen zu verstärkter antiproliferativer Wirksamkeit.
Aus den erzielten Ergebnissen geht hervor, dass die Kombinationsbehandlung mit AEZS-126 und Rapamycin geeignet wäre, in in vivo-Experimenten weiter untersucht
zu werden.
Influenza gehört zu den häufigsten respiratorischen Erkrankungen im Kindesalter. Auf Grund der raschen weltweiten Verbreitung des im Frühjahr 2009 neu aufgetretenen pandemischen Influenza A (H1N1) 2009- Virus rief die Weltgesundheitsorganisation (WHO) am 11. Juni 2009 die höchste Pandemiestufe aus. Ziel der vorliegenden Studie war es, alle hospitalisierten Kinder < 18 Jahren im Raum Würzburg mit laborchemischem Nachweis von pandemischer Influenza A (H1N1) 2009 (PIA) zu erfassen und den klinischen Verlauf sowie die aufgetretenen Komplikationen zu beschreiben. Weiterhin wurde die PIA-assoziierte Hospitalisations-Inzidenz für das Haupteinzugsgebiet der Kliniken für verschiedene Altersgruppen berechnet und mit Hospitalisations-Inzidenzen für saisonale Influenza der Saisons 2006/2007 bis 2008/2009 verglichen.
Im Zeitraum von Juli 2009 bis März 2010 waren 94 Kinder < 18 Jahren (62% männlich) mit einer PIA-Infektion in stationärer Behandlung. Das Alter der Patienten lag im Median bei 7,1 Jahren (IQR: 3-12 Jahre). Eine Vorerkrankung bestand bei 40 Kindern (43%), wobei hier Adipositas (n=12, 30% der 40 Patienten mit Grunderkrankung), Asthma bronchiale (n=10, 25%) und neurologische Erkrankungen (n=8, 20%) am häufigsten waren. Die häufigsten Symptome bei stationärer Aufnahme waren Husten (n=75, 80% der 94 Patienten), Fieber (n=73, 78%) und Rhinitis (n=48, 51%). Eine Komplikation der PIA trat bei 37 Kindern (39%) auf, am häufigsten war eine Infektion der unteren Luftwege. Sechzehn Kinder (17%) benötigten eine Sauerstoffsupplementierung und drei Kinder (3%) wurden maschinell beatmet. Sechs Kinder (6%) wurden intensivstationär behandelt. Lediglich 3 Kinder (3%) waren gegen PIA und eines (1%) gegen saisonale Influenza geimpft. Die geschätzte Hospitalisations-Inzidenz im Würzburger Raum lag bei 118/100.000 für Kinder unter 18 Jahren und war am höchsten für Kinder unter einem Jahr (242/100.000). Die Hospitalisations-Inzidenz für saisonale Influenza A für Kinder unter 18 Jahren war in den drei vorhergehenden Saisons 2006/2007, 2007/2008 und 2008/2009 mit 41-97/100.000 niedriger als für PIA. Neben den 94 ambulant erworbenen Infektionen traten sieben nosokomiale Infektionen auf. Hierunter war ein Todesfall bei einem 16-jährigen Mädchen mit schweren Grunderkrankungen zu verzeichnen.
Trotz der hohen Hospitalisierungs-Inzidenz verlief der überwiegende Anteil an PIA-assoziierten Hospitalisierungen ohne schwere Komplikationen. Kinder mit einer Grunderkrankung waren häufiger von einer Komplikation der PIA betroffen und nur ein geringer Anteil dieser Patienten war gegen Influenza geimpft, obwohl eine explizite Impfempfehlung der Ständigen Impfkommission am Robert Koch-Institut für diese Patientengruppe besteht. Höhere Durchimpfungsraten sind notwendig, um die Krankheitslast und das Auftreten von Komplikationen zu reduzieren. Derzeit wird daher die Einführung einer generellen Empfehlung der Impfung gegen Influenza für Kinder diskutiert.
Rett syndrome is an X-linked neurodevelopmental condition mainly characterized by loss of spoken language and a regression of purposeful hand use, with the development of distinctive hand stereotypies, and gait abnormalities. Gait initiation is the transition from quiet stance to steady-state condition of walking. The associated motor program seems to be centrally mediated and includes preparatory adjustments prior to any apparent voluntary movement of the lower limbs. Anticipatory postural adjustments contribute to postural stability and to create the propulsive forces necessary to reach steady-state gait at a predefined velocity and may be indicative of the effectiveness of the feedforward control of gait. In this study, we examined anticipatory postural adjustments associated with gait initiation in eleven girls with Rett syndrome and ten healthy subjects. Muscle activity (tibialis anterior and soleus muscles), ground reaction forces and body kinematic were recorded. Children with Rett syndrome showed a distinctive impairment in temporal organization of all phases of the anticipatory postural adjustments. The lack of appropriate temporal scaling resulted in a diminished impulse to move forward, documented by an impairment in several parameters describing the efficiency of gait start: length and velocity of the first step, magnitude and orientation of centre of pressure-centre of mass vector at the instant of (swing-)toe off. These findings were related to an abnormal muscular activation pattern mainly characterized by a disruption of the synergistic activity of antagonistic pairs of postural muscles. This study showed that girls with Rett syndrome lack accurate tuning of feedforward control of gait.
The ectonucleotidases CD39 and CD73 degrade ATP to adenosine which inhibits immune responses via the \(A_{2A}\) adenosine receptor (ADORA2A) on T and NK cells. The current study investigates the potential therapeutic use of the specific anti CD39- and anti CD73-antibodies A1 (CD39) and 7G2 (CD73) as these two ectonucleotidases are overexpressed in ovarian cancer (OvCA). As expected, NK cell cytotoxicity against the human ovarian cancer cell lines OAW-42 or SK-OV-3 was significantly increased in the presence of A1 or 7G2 antibody. While this might partly be due to antibody-dependent cell-mediated cytotoxicity, a luciferase-dependent assay for quantifying biologically active adenosine further showed that A1 and 7G2 can inhibit CD39 and CD73-dependent adenosine-generation. In turn, the reduction in adenosine levels achieved by addition of A1 and 7G2 to OAW-42 or SK-OV-3 cells was found to de-inhibit the proliferation of \(CD4^+\) T cells in coculture with OvCA cells. Likewise, blocking of CD39 and CD73 on OvCA cells via A1 and 7G2 led to an increased cytotoxicity of alloreactive primed T cells. Thus, antibodies like A1 and 7G2 could improve targeted therapy in ovarian cancer not only by specifically labeling overexpressed antigens but also by blocking adenosine-dependent immune evasion in this immunogenic malignancy.
Background: The resumption of menses is an important indicator of recovery in anorexia nervosa (AN). Patients with early-onset AN are at particularly great risk of suffering from the long-term physical and psychological consequences of persistent gonadal dysfunction. However, the clinical variables that predict the recovery of menstrual function during weight gain in AN remain poorly understood. The aim of this study was to investigate the impact of several clinical parameters on the resumption of menses in first-onset adolescent AN in a large, well-characterized, homogenous sample that was followed-up for 12 months.
Methods: A total of 172 female adolescent patients with first-onset AN according to DSM-IV criteria were recruited for inclusion in a randomized, multi-center, German clinical trial. Menstrual status and clinical variables (i.e., premorbid body mass index (BMI), age at onset, duration of illness, duration of hospital treatment, achievement of target weight at discharge, and BMI) were assessed at the time of admission to or discharge from hospital treatment and at a 12-month follow-up. Based on German reference data, we calculated the percentage of expected body weight (%EBW), BMI percentile, and BMI standard deviation score (BMI-SDS) for all time points to investigate the relationship between different weight measurements and resumption of menses.
Results: Forty-seven percent of the patients spontaneously began menstruating during the follow-up period. %EBW at the 12-month follow-up was strongly correlated with the resumption of menses. The absence of menarche before admission, a higher premorbid BMI, discharge below target weight, and a longer duration of hospital treatment were the most relevant prognostic factors for continued amenorrhea.
Conclusions: The recovery of menstrual function in adolescent patients with AN should be a major treatment goal to prevent severe long-term physical and psychological sequelae. Patients with premenarchal onset of AN are at particular risk for protracted amenorrhea despite weight rehabilitation. Reaching and maintaining a target weight between the 15th and 20th BMI percentile is favorable for the resumption of menses within 12 months. Whether patients with a higher premorbid BMI may benefit from a higher target weight needs to be investigated in further studies.
Sterile bone inflammation is the hallmark of autoinflammatory bone disorders, including chronic nonbacterial osteomyelitis (CNO) with its most severe form chronic recurrent multifocal osteomyelitis (CRMO). Autoinflammatory osteopathies are the result of a dysregulated innate immune system, resulting in immune cell infiltration of the bone and subsequent osteoclast differentiation and activation. Interestingly, autoinflammatory bone disorders are associated with inflammation of the skin and/or the intestine. In several monogenic autoinflammatory bone disorders mutations in disease-causing genes have been reported. However, regardless of recent developments, the molecular pathogenesis of CNO/CRMO remains unclear. Here, we discuss the clinical presentation and molecular pathophysiology of human autoinflammatory osteopathies and animal models with special focus on CNO/CRMO. Treatment options in monogenic autoinflammatory bone disorders and CRMO will be illustrated.
Die vorliegende Arbeit analysiert vorsprachliche Lautäußerungen des zweiten und dritten Lebensmonates von 19 Säuglingen mit oro-fazialen Spaltbildungen und 24 gesunden Säuglingen als Referenzgruppe erstmalig unter dem Aspekt des Einflusses einer erfolgten kieferorthopädischen Frühbehandlung.
Die Untersuchungen konzentrierten sich dabei auf die Grundfrequenz und die Länge der Einzelvokalisationen sowie auf verschiedene Stimmstabilitätsparameter (Jitter, Shimmer, PPQ).
Für die Grundfrequenz der Lautäußerungen konnten weder deutliche Unterschiede zwischen Säuglingen mit oro-fazialen Spaltbildungen und den gesunden Gleichaltrigen festgestellt werden, noch konnte ein maßgeblicher Einfluss der Oberkieferplatte auf die mittlere Grundfrequenz vorsprachlicher Vokalisationen gezeigt werden.
Die Tatsache, dass bei nahezu allen Analysen der Stimmstabilität ein positiver Effekt der Oberkieferplatte zu verzeichnen war, spricht stark dafür, dass sich diese kieferorthopädische Maßnahme positiv auf die Stabilität der Phonation auswirkt.
Die hier durchgeführten Analysen zeigen vor allem signifikante Unterschiede zwischen der Kontrollgruppe und der Gruppe mit rechtsseitiger LKGS-Spalte. Inwieweit dieser Befund tatsächlich Bestand hat, müssen weiterführende Studien zeigen, in denen insbesondere ein stärkeres Augenmerk auf adäquate begleitende pädaudiologische Untersuchungen gelegt werden sollte.
Bei der Implantation des Fetus in den Uterus und während der Schwangerschaft kommt es zu einer Interaktion fetaler Trophoblastzellen mit dem mütterlichen Immunsystem. Trotz vieler verschiedener Studien ist bis heute nicht grundlegend geklärt, welche Mechanismen zur immunologischen Akzeptanz des (semi-)allogenen Fetus durch die Mutter beitragen. Zur wechselseitigen Kommunikation zwischen Kind und Mutter tragen Zytokine bei, die von allen immunkompetenten Zellen sezerniert werden können und regulatorisch auf die Immunantwort wirken. Eine Störung im Gleichgewicht der Zytokine kann zu Aborten, Präeklampsie oder anderen Pathologien führen. Eine wichtige Quelle von Zytokinen stellen u.a. die reifen und unreifen dendritischen Zellen (DC), die in der humanen Dezidua nachgewiesen wurden, dar. DC übernehmen als effiziente Antigen präsentierende Zellen eine entscheidende Funktion im Immunsystem und können inflammatorische Immunantworten induzieren. Jedoch spielen sie auch eine wichtige Rolle bei der Vermittlung immunologischer Toleranz.
Die menschliche Plazenta weist eine auffällig starke Expression verschiedener humaner endogener Retroviren (HERV) auf. Immunmodulierende Eigenschaften von HERV wurden bereits beschrieben, jedoch nicht die direkte Wirkung von HERV-Proteinen der Plazenta auf Zellen des Immunsystems. Im Rahmen der Arbeit sollte daher die Wirkung des Hüllproteins des HERV-K, das in den Zytotrophoblastenzellen und in den Zellen des extravillösen Trophoblasten nachgewiesen wurde, auf die Zytokinproduktion unreifer (iDC) und reifer DC (mDC) untersucht werden.
Als Modellsystem wurden in-vitro aus Monozyten des peripheren Blutes differenzierte DC gewählt. Die DC wurden in unreifem und reifem Zustand mit unterschiedlichen Konzentrationen von HERV-K-Peptiden (rekombinante Proteine (TM05.04 und TM12.12) bzw. Peptide aus 22 Aminosäuren (K120 und K177)) behandelt. Untersucht wurden die Veränderungen der Zytokinspiegel in den Zellkulturüberständen mittels Cytometric Bead Assay und Durchflusszytometrie. Die Messungen zeigten z.T. signifikante Veränderungen der Zytokinproduktion. So wurde die TNF-α-Sekretion der mDC durch K120 und K177 signifikant vermindert. Dieselben Peptide supprimierten ebenfalls signifikant die IL-8-Sekretion der mDC. Jedoch kam es durch alle vier HERV-Peptide (bei drei Peptiden signifikant) zu einer Steigerung der IL-8-Produktion in den iDC. Auch IL-6 wurde von den iDC durch HERV-K mehrheitlich signifikant vermehrt ausgeschüttet. Bzgl. IL-6 ergaben sich jedoch keine signifikanten Veränderungen in den mDC. In allen Ansätzen kam es zu einer konzentrationsabhängigen Stimulation der Sekretion des immunsuppressiven IL-10 (bei je drei Peptiden signifikante Ergebnisse). Keine signifikanten Veränderungen ergaben sich für IL1-β und IL-4.
Die Erkenntnis, dass die HERV-Peptide die Zytokinproduktion der DC z.T. signifikant modulieren und diese Veränderung in den unterschiedlichen Reifestadien der DC variieren, lässt vermuten, dass die in der humanen Plazenta exprimierten Proteine einen Einfluss auf den Verlauf einer Schwangerschaft nehmen. Bei einer Schwangerschaft sind extrem fein abgestimmte, komplexe Vorgänge, bei denen viele verschiedene Faktoren eine Rolle spielen, für einen Erfolg vonnöten. Eine Übertragung der in-vitro-Ergebnisse auf in-vivo-Zustände ist nicht leicht zu vollziehen. Die vorliegenden Ergebnisse sprechen jedoch für einen Einfluss des HERV-K auf die Kommunikation zwischen Fetus und Mutter. Inwiefern genau und wie wichtig bzw. essentiell die Expression der HERV-K-Peptide für einen physiologischen Verlauf der Schwangerschaft ist, ob sie einen Einfluss auf Pathologien während der Gestation hat und ob dem HERV-K eine Bedeutung in der humanen Evolution zukommt, kann mit dieser Arbeit nicht geklärt werden. Jedoch gibt diese Arbeit Anlass dafür, den Einfluss des HERV-K auf die menschliche Fortpflanzung weitergehend zu untersuchen.
Cystic fibrosis (CF) is one of the most common inherited diseases and is caused by mutations in the CFTR gene. Although the pulmonary and gastrointestinal manifestations of the disease remain in the focus of treatment, recent studies have shown expression of the CFTR gene product in skeletal muscle cells and observed altered intramuscular \(Ca^{2+}\) release dynamics in CFTR-deficient animal models. Physical exercise is beneficial for maintaining fitness and well-being in CF patients and constitutes one aspect of modern multimodal treatment, which has considerably increased life span and reduced morbidity. We report on a case of acute muscle trauma resulting from excessive dumbbell exercise in a young adult with cystic fibrosis and describe clinical, laboratory and imaging characteristics of acute exercise-induced muscle injury.
Background: Treatment of patients with stage pT1 urothelial bladder cancer (UBC) continues to be a challenge due to its unpredictable clinical course. Reliable molecular markers that help to determine appropriate individual treatment are still lacking. Loss of aquaporin (AQP) 3 protein expression has previously been shown in muscle-invasive UBC. The aim of the present study was to investigate the prognostic value of AQP3 protein expression with regard to the prognosis of stage pT1 UBC.
Method: AQP 3 protein expression was investigated by immunohistochemistry in specimens of 87 stage T1 UBC patients, who were diagnosed by transurethral resection of the bladder (TURB) and subsequent second resection at a high-volume urological centre between 2002 and 2009. Patients underwent adjuvant instillation therapy with Bacillus Calmette-Guerin (BCG). Loss of AQP3 protein expression was defined as complete absence of the protein within the whole tumour. Expression status was correlated retrospectively with clinicopathological and follow-up data (median: 31 months). Multivariate Cox regression analysis was used to assess the value of AQP3 tumour expression with regard to recurrence-free (RFS), progression-free (PFS) and cancer-specific survival (CSS). RFS, PFS and CSS were calculated by Kaplan-Meier analysis and Log rank test.
Results: 59% of patients were shown to exhibit AQP3-positive tumours, whereas 41% of tumours did not express the marker. Loss of AQP3 protein expression was associated with a statistically significantly worse PFS (20% vs. 72%, p=0.020). This finding was confirmed by multivariate Cox regression analysis (HR 7.58, CI 1.29 - 44.68; p=0.025).
Conclusions: Loss of AQP3 protein expression in pT1 UBC appears to play a key role in disease progression and is associated with worse PFS. Considering its potential prognostic value, assessment of AQP3 protein expression could be used to help stratify the behavior of patients with pT1 UBC.
Background: Hyperactivity is one of the core symptoms in attention deficit hyperactivity disorder (ADHD). However, it remains unclear in which way the motor system itself and its development are affected by the disorder. Movement-related potentials (MRP) can separate different stages of movement execution, from the programming of a movement to motor post-processing and memory traces. Pre-movement MRP are absent or positive during early childhood and display a developmental increase of negativity.
Methods: We examined the influences of response-speed, an indicator of the level of attention, and stimulant medication on lateralized MRP in 16 children with combined type ADHD compared to 20 matched healthy controls.
Results: We detected a significantly diminished lateralisation of MRP over the pre-motor and primary motor cortex during movement execution (initial motor potential peak, iMP) in patients with ADHD. Fast reactions (indicating increased visuo-motor attention) led to increased lateralized negativity during movement execution only in healthy controls, while in children with ADHD faster reaction times were associated with more positive amplitudes. Even though stimulant medication had some effect on attenuating group differences in lateralized MRP, this effect was insufficient to normalize lateralized iMP amplitudes.
Conclusions: A reduced focal (lateralized) motor cortex activation during the command to muscle contraction points towards an immature motor system and a maturation delay of the (pre-) motor cortex in children with ADHD. A delayed maturation of the neuronal circuitry, which involves primary motor cortex, may contribute to ADHD pathophysiology.
DCLK1 Variants Are Associated across Schizophrenia and Attention Deficit/Hyperactivity Disorder
(2012)
Doublecortin and calmodulin like kinase 1 (DCLK1) is implicated in synaptic plasticity and neurodevelopment. Genetic variants in DCLK1 are associated with cognitive traits, specifically verbal memory and general cognition. We investigated the role of DCLK1 variants in three psychiatric disorders that have neuro-cognitive dysfunctions: schizophrenia (SCZ), bipolar affective disorder (BP) and attention deficit/hyperactivity disorder (ADHD). We mined six genome wide association studies (GWASs) that were available publically or through collaboration; three for BP, two for SCZ and one for ADHD. We also genotyped the DCLK1 region in additional samples of cases with SCZ, BP or ADHD and controls that had not been whole-genome typed. In total, 9895 subjects were analysed, including 5308 normal controls and 4,587 patients (1,125 with SCZ, 2,496 with BP and 966 with ADHD). Several DCLK1 variants were associated with disease phenotypes in the different samples. The main effect was observed for rs7989807 in intron 3, which was strongly associated with SCZ alone and even more so when cases with SCZ and ADHD were combined (P-value = 4x10\(^{-5}\) and 4x10\(^{-6}\), respectively). Associations were also observed with additional markers in intron 3 (combination of SCZ, ADHD and BP), intron 19 (SCZ+BP) and the 3'UTR (SCZ+BP). Our results suggest that genetic variants in DCLK1 are associated with SCZ and, to a lesser extent, with ADHD and BP. Interestingly the association is strongest when SCZ and ADHD are considered together, suggesting common genetic susceptibility. Given that DCLK1 variants were previously found to be associated with cognitive traits, these results are consistent with the role of DCLK1 in neurodevelopment and synaptic plasticity.
Dyslexia affects 5-10% of school-aged children and is therefore one of the most common learning disorders. Research on auditory event related potentials (AERP), particularly the mismatch negativity (MMN) component, has revealed anomalies in individuals with dyslexia to speech stimuli. Furthermore, candidate genes for this disorder were found through molecular genetic studies. A current challenge for dyslexia research is to understand the interaction between molecular genetics and brain function, and to promote the identification of relevant endophenotypes for dyslexia. The present study examines MMN, a neurophysiological correlate of speech perception, and its potential as an endophenotype for dyslexia in three groups of children. The first group of children was clinically diagnosed with dyslexia, whereas the second group of children was comprised of their siblings who had average reading and spelling skills and were therefore "unaffected'' despite having a genetic risk for dyslexia. The third group consisted of control children who were not related to the other groups and were also unaffected. In total, 225 children were included in the study. All children showed clear MMN activity to/da/-/ba/ contrasts that could be separated into three distinct MMN components. Whilst the first two MMN components did not differentiate the groups, the late MMN component (300-700 ms) revealed significant group differences. The mean area of the late MMN was attenuated in both the dyslexic children and their unaffected siblings in comparison to the control children. This finding is indicative of analogous alterations of neurophysiological processes in children with dyslexia and those with a genetic risk for dyslexia, without a manifestation of the disorder. The present results therefore further suggest that the late MMN might be a potential endophenotype for dyslexia.
Background:
We determined antibodies to the pandemic influenza A (H1N1) 2009 virus in children to assess: the incidence of (H1N1) 2009 infections in the 2009/2010 season in Germany, the proportion of subclinical infections and to compare titers in vaccinated and infected children.
Methodology/Principal Findings:
Eight pediatric hospitals distributed over Germany prospectively provided sera from in-or outpatients aged 1 to 17 years from April 1(st) to July 31(st) 2010. Vaccination history, recall of infections and sociodemographic factors were ascertained. Antibody titers were measured with a sensitive and specific in-house hemagglutination inhibition test (HIT) and compared to age-matched sera collected during 6 months before the onset of the pandemic in Germany. We analyzed 1420 post-pandemic and 300 pre-pandemic sera. Among unvaccinated children aged 1-4 and 5-17 years the prevalence of HI titers (>= 1:10) was 27.1% (95% CI: 23.5-31.3) and 53.5% (95% CI: 50.9-56.2) compared to 1.7% and 5.5%, respectively, for pre-pandemic sera, accounting for a serologically determined incidence of influenza A (H1N1) 2009 during the season 2009/2010 of 25,4% (95% CI : 19.3-30.5) in children aged 1-4 years and 48.0% (95% CI: 42.6-52.0) in 5-17 year old children. Of children with HI titers >= 1: 10, 25.5% (95% CI: 22.5-28.8) reported no history of any infectious disease since June 2009. Among vaccinated children, 92% (95%-CI: 87.0-96.6) of the 5-17 year old but only 47.8% (95%-CI: 33.5-66.5) of the 1-4 year old children exhibited HI titers against influenza A virus (H1N1) 2009.
Conclusion:
Serologically determined incidence of influenza A (H1N1) 2009 infections in children indicates high infection rates with older children (5-17 years) infected twice as often as younger children. In about a quarter of the children with HI titers after the season 2009/2010 subclinical infections must be assumed. Low HI titers in young children after vaccination with the AS03(B)-adjuvanted split virion vaccine need further scrutiny.
Skin Tumors in Childhood
(2011)
Background:
Dermatologists, paediatricians, and general practitioners are often consulted by worried parents for the evaluation of a cutaneous tumor.
Methods:
Selective literature review.
Results:
Only 1-2% of skin tumors excised in children turn out to be malignant when examined histologically. Warning signs of malignancy include rapid growth, firm consistency, diameter exceeding 3 cm, ulceration, a non-movable mass, and presence in the neonatal period. The more common malignant skin tumors in adults-basal cell carcinoma, cutaneous squamous cell carcinoma, and melanoma-are very rare in childhood. Congenital melanocytic nevi and sebaceous nevi bear a lower malignant potential than previously believed; nevertheless, their excision is often indicated. A Spitz nevus can mimic a melanoma both clinically and histologically. Some benign skin tumors of childhood tend to regress spontaneously within a few years but may cause complications at particular locations and when multiple. For infantile hemangiomas requiring systemic treatment because of imminent obstruction or ulceration, propranolol seems to have a far more favorable risk-benefit ratio than corticosteroids.
Conclusion:
Physicians need specialized knowledge in order to decide whether a skin tumor in a child should be excised, non-surgically treated, or further evaluated, or whether it can be safely left untreated because of the likelihood of spontaneous remission.
Pro- and antisaccades in children elicited by visual and acoustic targets - does modality matter?
(2011)
Background:
Children are able to inhibit a prepotent reaction to suddenly arising visual stimuli, although this skill is not yet as pronounced as it is in adulthood. However, up to now the inhibition mechanism to acoustic stimuli has been scarcely investigated
Methods:
Reflexive (prosaccade) and inhibitory (antisaccade) responses to visual and acoustic targets were examined with an eye tracker system in 31 children between seven and twelve years of age using a gap-overlap task and two target eccentricities.
Results:
Acoustically cued saccades had longer reaction times than visually cued saccades. A gap effect (i.e., shorter reaction time in the gap than the overlap condition) was only found for visually elicited saccades, whereas an eccentricity effect (i.e., faster saccades to more laterally presented targets - 12 degrees vs. 6 degrees or rather 90 degrees vs. 45 degrees) was only present in the acoustic condition. Longer reaction times of antisaccades compared to prosaccades were found only in the visual task. Across both tasks the typical pattern of elevated error rates in the antisaccade condition was found. Antisaccade errors declined with age, indicating an ongoing development of inhibitory functions.
Conclusions:
The present results lay the ground for further studies of acoustically triggered saccades in typically as well as atypically developing children and it might thus be possible to upgrade physiological diagnostic tools.