48 resultados para Empiricist vice
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OBJECTIVES: Etravirine (ETV) is metabolized by cytochrome P450 (CYP) 3A, 2C9, and 2C19. Metabolites are glucuronidated by uridine diphosphate glucuronosyltransferases (UGT). To identify the potential impact of genetic and non-genetic factors involved in ETV metabolism, we carried out a two-step pharmacogenetics-based population pharmacokinetic study in HIV-1 infected individuals. MATERIALS AND METHODS: The study population included 144 individuals contributing 289 ETV plasma concentrations and four individuals contributing 23 ETV plasma concentrations collected in a rich sampling design. Genetic variants [n=125 single-nucleotide polymorphisms (SNPs)] in 34 genes with a predicted role in ETV metabolism were selected. A first step population pharmacokinetic model included non-genetic and known genetic factors (seven SNPs in CYP2C, one SNP in CYP3A5) as covariates. Post-hoc individual ETV clearance (CL) was used in a second (discovery) step, in which the effect of the remaining 98 SNPs in CYP3A, P450 cytochrome oxidoreductase (POR), nuclear receptor genes, and UGTs was investigated. RESULTS: A one-compartment model with zero-order absorption best characterized ETV pharmacokinetics. The average ETV CL was 41 (l/h) (CV 51.1%), the volume of distribution was 1325 l, and the mean absorption time was 1.2 h. The administration of darunavir/ritonavir or tenofovir was the only non-genetic covariate influencing ETV CL significantly, resulting in a 40% [95% confidence interval (CI): 13-69%] and a 42% (95% CI: 17-68%) increase in ETV CL, respectively. Carriers of rs4244285 (CYP2C19*2) had 23% (8-38%) lower ETV CL. Co-administered antiretroviral agents and genetic factors explained 16% of the variance in ETV concentrations. None of the SNPs in the discovery step influenced ETV CL. CONCLUSION: ETV concentrations are highly variable, and co-administered antiretroviral agents and genetic factors explained only a modest part of the interindividual variability in ETV elimination. Opposing effects of interacting drugs effectively abrogate genetic influences on ETV CL, and vice-versa.
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A government would like to subsidize an indivisible good. Consumers' valuations of the good vary according to their wealth and benefits from the good. A subsidy scheme may be based on consumers' wealth or benefit information. We translate a wealth-based policy to a benefit-based policy, and vice versa, and give a necessary and sufficient condition for the pair of policies to implement the same assignment: consumers choose to purchase the good under the wealth-based policy if and only if they choose to do so under the translated benefit-based policy. General taxation allows equivalent policies to require the same budget.
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To evaluate the sensitivity of postmortem computed tomography (PMCT) in rib fracture detection validated against autopsy. Fifty-one forensic cases underwent a postmortem CT prior to forensic autopsy. Two image readers (radiologist and forensic pathologist) assessed high resolution CT data sets for rib fractures. Correct recognition rates (CRR), sensitivity and specificity values were calculated over all observations as well as individually for every rib and region. Additionally, for partial rib fractures the sensitivity of autopsy was calculated vice versa. 3876 entries in each study protocol (autopsy, PMCT radiologist and PMCT forensic pathologist) were investigated. A total of 690 fractures (autopsy), 491 (PMCT and radiologist) and 559 (PMCT and forensic pathologist) were detected. The CRR was 0.85. Sensitivity and specificity of PMCT for rib fracture detection were 0.63 (0.58 radiologist, 0.68 forensic pathologist) and 0.97 (both readers 0.97), respectively. Low CRR and sensitivity values were obtained for antero-lateral fractures. Partial rib fractures were better detected by PMCT. PMCT has a rather low sensitivity for rib fracture detection when validated against autopsy and indicates that clinical CT may also demonstrate a reasonable number of false negatives. Partial rib fractures often remain undetected at autopsy.
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Axes et clés de lecture. Ce travail est structuré sur trois axes de recherche qui sont restitués par chacune des parties proposées. Ces parties ont une structure narrative permettant une lecture relativement indépendante des autres, et contenant des renvois indiqués au cas par cas. A chacune de celle-ci, des introductions contextuelles plus spécifiques sont proposées. D'autre part, les citations originales sont signalées par des chiffres romains qui renvoient en fin d'ouvrage après la bibliographie. Enfin, la bibliographie ne contient que les références citées et prioritairement exploitées dans ce travail, en jugeant inutile d'y mentionner l'ensemble des lectures exploratoires. La première approche consiste à mettre en évidence une homosexualité «sociale », en envisageant le «milieu» homosexuel suisse au cours des années de guerre dans sa pluralité. Le premier chapitre s'attache à visibiliser la «scène homosexuelle», associative, commerciale et de rencontres entre hommes. Il fait ressortir la place éminente de Zurich, mais aussi éclaire d'autres aspects moins connus. Ainsi, l'association «Der Kreis - Le Cercle», par son existence unique au monde durant les années de guerre, mérite une analyse de son fonctionnement, de la forme de son militantisme et de l'influence de ses acteurs clés sur le développement de ce regroupement d'«homoérotes». Les données proviennent essentiellement des fonds conservés aux Archives gaies à Zurich, et sont complétées par des informations inédites provenant de certains dossiers militaires. Cependant, la scène homosexuelle ne se limite pas à l'association, et les publicités parues dans le «Kreis», les études contemporaines et les données contenues dans les dossiers de la justice militaire permettent de reconstituer, en partie, les formes de possibilité de rencontre entre homosexuels et les lieux fréquentés sur l'ensemble du pays. Le deuxième chapitre propose une étude résolument inédite sur les termes et les vécus de, et sur, les homosexualités, en se plaçant au niveau des hommes poursuivis par la justice militaire. Par leurs aveux ou leurs dénis, les prévenus se définissent comme étant «homosexuels », «bisexuels », «normaux » ou ne savent pas comment qualifier leurs actes. En outre, les témoins et les lésés emploient des termes plus ou moins grossiers pour qualifier l'homosexualité, tout comme la police et la justice optent pour des termes en apparence plus neutres. L'ensemble de ces termes relevés dans les dossiers de la justice militaire ouvre un champ d'analyse unique et précieux pour pouvoir mettre en évidence des variations symboliques sur l'homosexualité, et porteuses de significations différentes de part et d'autre de la Sarine. Enfin, la richesse des dossiers de la justice militaire permet d'explorer, au-delà des arguments conservateurs de l'époque, une infime partie de la réalité de la prostitution homosexuelle, en reprenant les catégories employées par Michel Dorais dans son étude sur les travailleurs du sexe masculins en Amérique du Nord au début du XXIe siècle.as Le deuxième axe développe l'aspect des normes pénales sur l'homosexualité, depuis leur élaboration par les chambres fédérales jusqu'aux applications concrètes et interprétations jurisprudentielles par la justice militaire. Le troisième chapitre, reprenant la chronologie des débats en commissions ad hoc et parlementaires, retrace l'adoption du droit pénal militaire, puis du droit pénal civil, en analysant les processus politiques à la base d'articles pénaux distincts sur la question de la pénalisation de l'homosexualité entre adultes consentants. En apparence, les articles pénaux sont contradictoires, mais ils se rejoignent profondément par leurs reprises des conceptions allemandes du droit, classique pour l'un et réformateur pour l'autre, et leurs interprétations s'interpénètrent durant les années de guerre. L'accès aux dossiers de la justice militaire permet de voir plus précisément la manière dont l'article pénal est appliqué et quels actes sont considérés comme étant «homosexuels ». Aussi, le quatrième chapitre retrace-t-il les affaires à l'origine des recours adressés au Tribunal Militaire de~ Cassation et motivant les principes jurisprudentiels de la primauté du pouvoir appréciateur des juges de première instance, du lien entre l'homosexualité et la «pédophilie » lorsque les victimes sont des garçons mineurs, de la pondération des conclusions d'un expert psychiatre dans les verdicts ou encore de la non automaticité de l'octroi d'un sursis en cas d'irresponsabilité ou d'une bonne conduite. En ratifiant le plus souvent les décisions des tribunaux de première instance, la cour de cassation valide les interprétations sur les actes commis et leur gravité. En peu d'année, il se produit une extension des actes tombant sous le coup de la «débauche contre nature », et les tentatives d'actes, les exhibitions, les attouchements plus ou moins brutaux des parties génitales d'un autre homme et la masturbation mutuelle deviennent punissables. Ces interprétations .marquent une convergence des logiques juridiques conservatrices françaises et allemandes, et la pénalisation de la masturbation mutuelle est également adoptée pour les civils. Le concours des droits français et allemand est ensuite envisagé sous l'angle de l'outrage public aux moeurs, ce qui permet de voir que le «vice» / «Unzucht», héritier du droit canonique, est transféré dans le droit «positif» comme une loi sociale en considérant l'outrage comme une notion objective en soi. La dernière partie propose une lecture sur les liens complexes entre la psychiatrie et l'homosexualité. Le cinquième chapitre débute en relatant la formation d'une psychiatrie militaire comme corps sanitaire distinct dans l'armée suisse. Avant la Seconde Guerre mondiale, les procédures de collaboration entre l'armée et la psychiatrie civile sont peu formalisées, et des directives instituant des services de consultation psychiatriques et des procédures d'appel à des psychiatres, en fonction de leur incorporation dans l'armée, sont introduites quelques mois après l'entrée en guerre. Ces ordres ont pour base les Instructions sur l'appréciation sanitaire des militaires, un livret contenant les diagnostics sur les maladies pouvant se rencontrer chez des militaires, les conditions de leur réforme sanitaire du service militaire, ainsi que des instructions de prise en charge des patients. Parmi les neuf codes diagnostics sur les pathologies psychiatriques, la procédure pour le chiffre 250/71 («perversion sexuelle») prévoit une exclusion de l'armée par la voie sanitaire. La non-conservation des dossiers sanitaires ne permet pas de mener une étude des liens entre l'homosexualité et la psychiatrie militaire en dehors des demandes de la justice militaire. Par contre -aspect tout à fait exceptionnel - 47 expertises psychiatriques sont accessibles, et permettent d'analyser en profondeur .les conceptions théoriques et les registres discursifs sur l'homosexualité. La période de la guerre se caractérise par une absence complète d'unité théorique sur la question. En effet, des variations théoriques significatives peuvent s'observer chez un même psychiatre, en fonction de la formulation de la demande par des juges d'instruction ou du grade et de la classe sociale de l'expertisé. Aussi, ce chapitre propose-t il d'explorer les différentes catégories d'homosexualité identifiées -innée, latente, bisexuelle, commise avec des mineurs ou en relation avec la consommation d'alcool - en ne reprenant que les expertises de quatre officiers psychiatres, et en les joignant de trois autres à fin de comparaison. Le sixième chapitre poursuit et rompt partiellement le rapport entre l'homosexualité et la psychiatrie, en envisageant les apports de la médecine somatique. Un unique cas de castration découvert dans les dossiers de la justice militaire permet de poursuivre l'analyse, essentiellement par les publications médicales de l'époque sur la castration «thérapeutique » des délinquants sexuels. En Suisse, la castration ne peut se faire que sur le consentement «éclairé », mais celui-ci apparaît fortement contraint dans les faits, et cette «thérapeutique » permet d'aborder une face sombre de la psychiatrie institutionnelle civile. Par la théorie des hormones sexuelle, la médecine somatique apparaît subitement comme une rivale sur la question de l'étiologie des déviances sexuelles. Toutefois, dans un accord médical dominant sur les bienfaits de la castration, ces deux sciences se confortent pour déterminer, tantôt à cause d'un surplus de testostérone, tantôt en raison d'une force psychique supérieure à la moyenne, une libido plus impérieuse chez les homosexuels délinquants. Enfin, quatre expertises menées par des médecins somaticiens en Suisse romande s'éloignent plus nettement de la psychiatrie et permettent d'entrevoir un dernier aspect complémentaire du rapport entre la médecine et l'homosexualité. Ces expertises démontrent la survivance d'une pratique médico-légale de l'homosexualité par l'examination des pénis et des anus, qui est ensuite mise en relation avec la moralité et la responsabilité des prévenus. Cette influence de la France sur la Suisse romande apparaît toutefois minime, et montre a contrario que l'objet juridique de la responsabilité pénale de l'homosexualité est devenu de la compétence de la psychiatrie sur l'ensemble du pays.
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Aim To assess the geographical transferability of niche-based species distribution models fitted with two modelling techniques. Location Two distinct geographical study areas in Switzerland and Austria, in the subalpine and alpine belts. Methods Generalized linear and generalized additive models (GLM and GAM) with a binomial probability distribution and a logit link were fitted for 54 plant species, based on topoclimatic predictor variables. These models were then evaluated quantitatively and used for spatially explicit predictions within (internal evaluation and prediction) and between (external evaluation and prediction) the two regions. Comparisons of evaluations and spatial predictions between regions and models were conducted in order to test if species and methods meet the criteria of full transferability. By full transferability, we mean that: (1) the internal evaluation of models fitted in region A and B must be similar; (2) a model fitted in region A must at least retain a comparable external evaluation when projected into region B, and vice-versa; and (3) internal and external spatial predictions have to match within both regions. Results The measures of model fit are, on average, 24% higher for GAMs than for GLMs in both regions. However, the differences between internal and external evaluations (AUC coefficient) are also higher for GAMs than for GLMs (a difference of 30% for models fitted in Switzerland and 54% for models fitted in Austria). Transferability, as measured with the AUC evaluation, fails for 68% of the species in Switzerland and 55% in Austria for GLMs (respectively for 67% and 53% of the species for GAMs). For both GAMs and GLMs, the agreement between internal and external predictions is rather weak on average (Kulczynski's coefficient in the range 0.3-0.4), but varies widely among individual species. The dominant pattern is an asymmetrical transferability between the two study regions (a mean decrease of 20% for the AUC coefficient when the models are transferred from Switzerland and 13% when they are transferred from Austria). Main conclusions The large inter-specific variability observed among the 54 study species underlines the need to consider more than a few species to test properly the transferability of species distribution models. The pronounced asymmetry in transferability between the two study regions may be due to peculiarities of these regions, such as differences in the ranges of environmental predictors or the varied impact of land-use history, or to species-specific reasons like differential phenotypic plasticity, existence of ecotypes or varied dependence on biotic interactions that are not properly incorporated into niche-based models. The lower variation between internal and external evaluation of GLMs compared to GAMs further suggests that overfitting may reduce transferability. Overall, a limited geographical transferability calls for caution when projecting niche-based models for assessing the fate of species in future environments.
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Ce livre décrit l'évolution des lois suisses qui ont traité de l'homosexualité. Il présente surtout, enrichie d'interviews, une histoire des associations qui ont réuni, dans une faible proportion il est vrai, les hommes qui se trouvaient concernés. L'action de ces pionniers fut capitale, mais ils partageaient avec les autorités un souci d'invisibilité. L'opinion publique réprouvait un comportement qu'elle considérait comme une anomalie ou un vice, que les législateurs réprimèrent avec modération, alors que l'Allemagne des années 1930 se déchaînait. Dans la seconde moitié du 20e siècle, avec la montée des mouvements de libération, vint le temps des militances de rue et du coming out. Les esprits s'ouvraient peu à peu quand explosa le SIDA. Ses victimes furent nombreuses. Le fléau bouleversa les milieux homosexuels. Les autorités décidèrent alors de s'allier résolument à leurs groupements afin de généraliser des actions préventives. En retraçant l'évolution des mobilisations, ce livre montre comment les luttes ont contribué à l'avancée des droits des homosexuels en Suisse au 20e siècle.
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Indirect reciprocity is a form of reciprocity where help is given to individuals based on their reputation. In indirect reciprocity, bad acts (such as not helping) reduce an individual's reputation while good acts (such as helping) increase an individual's reputation. Studies of indirect reciprocity assume that good acts and bad acts are weighted equally when assessing the reputation of an individual. As different information can be processed in different ways, this is not likely to be the case, and it is possible that an individual could bias an actor's reputation by putting more weight to acts of defection (not helping) than acts of co-operation (helping) or vice versa. We term this difference 'judgement bias', and build an individual-based model of image scoring to investigate the conditions under which it may evolve. We find that, if the benefits of co-operation are small, judgement bias is weighted towards acts perceived to be bad; if the benefits are high, the reverse is true. Our result is consistent under both scoring and standing strategies, and we find that allowing judgement bias to evolve increases the level of co-operation in the population.
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Purpose: Concerns about self-reports have led to calls for objective measures of blood alcohol concentration (BAC). The present study compared objective measures with self-reports. Methods: BAC from breath or blood samples were obtained from 272 randomly sampled injured patients who were admitted to a Swiss emergency department (ED). Self-reports were compared a) between those providing and refusing a BAC test, and b) to estimated peak BAC (EPBAC) values based on BACs using the Widmark formula. Results: Those providing BACs were significantly (P < 0.05) younger, more often male, and less often reported alcohol consumption before injury, but consumed higher quantities when drinking. Eighty-eight percent of those with BAC measures gave consistent reports (positive or negative). Significantly more patients reported consumption with negative BAC measures (N = 29) than vice versa (N = 3). Duration of consumption and times between injury and BAC measurement predicted EPBAC better than did the objective BAC measure. Conclusions: There is little evidence that patients who provide objective BAC measures deliberately conceal consumption. ED studies must rely on self-reports, eg, take the time period between injury and ED admission into account. Clearly, objective measures are of clinical relevance, eg, to provide optimal treatment in the ED. However, they may be less relevant to establishing effects in an epidemiologic sense, such as estimating risk relationships. In this respect, efforts to increase the validity and reliability of self-reports should be preferred over the collection of additional objective measures.
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The control mechanisms and information content of melanin-based colourations are still debated among evolutionary biologists. Recent hypotheses contend that molecules involved in melanogenesis alter other physiological processes, thereby generating covariation between melanin-based colouration and other phenotypic attributes. Interestingly, several molecules such as agouti and glutathione that trigger the production of reddish-brown pheomelanin have an inhibitory effect on the production of black/grey eumelanin, whereas other hormones, such as melanocortins, have the opposite effect. We therefore propose the hypothesis that phenotypic traits positively correlated with the degree of eumelanin-based colouration may be negatively correlated with the degree of pheomelanin-based colouration, or vice versa. Given the role played by the melanocortin system and glutathione on melanogenesis and resistance to oxidative stress, we examined the prediction that resistance to oxidative stress is positively correlated with the degree of black colouration but negatively with the degree of reddish colouration. Using the barn owl (Tyto alba) as a model organism, we swapped eggs between randomly chosen nests to allocate genotypes randomly among environments and then we measured resistance to oxidative stress using the KRL assay in nestlings raised by foster parents. As predicted, the degree of black and reddish pigmentations was positively and negatively correlated, respectively, with resistance to oxidative stress. Our results reveal that eumelanin- and pheomelanin-based colourations can be redundant signals of resistance to oxidative stress.
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Purpose: To evaluate the reproducibility of Cirrus-SD OCT measurements and to compare central macular thickness (CMT) measurements between TD-Stratus and SD-Cirrus OCT in patients with active exudative AMD. Methods: Consecutive case series of patients with active exudative AMD seen in the Medical Retina Department. Patients underwent 1 scan with Stratus (macular thickness map protocol) and 5 scans with Cirrus (Macular Cube protocol) at the same visit by the same experienced examiner. To be included, patients best-corrected visual acuity (BCVA) had to be >20/200 while all scans had to be of sufficient quality, well-centered and at least one Cirrus scan with CMT >300 microns. The repeatability of the SD Cirrus was estimated by using all 5 CMT measurements and the mean of the Cirrus measurements was compared with the CMT obtained by TD Stratus. Results: Cirrus OCT demonstrated high intraobserver repeatability at the central foveal region (ICC 96%). The mean of the CMT measurements was 321microns for Stratus and 387 microns for Cirrus. The average difference was 65m (SD=30). The coefficient of concordance between Stratus and Cirrus CMT measurements was rho=0,749 with a high precision and a moderate accuracy. The equation of the line of regression between Stratus and meanCirrus is given by the following: M_stratus = 0,848 x m_cirrus - 4,496 (1).Conclusions: The Cirrus macular cube protocol allows reproducible CMT measurements in patients with active exudative AMD. In cases of upgrading from TD to SD use and vice versa, there is the possibility to predict the measurements by using the equation (1). These real life data and conclusions can help in improving our clinical management of patients with neovascular AMD.
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The impact of depressed neonatal cerebral oxidative phosphorylation for diagnosing the severity of perinatal asphyxia was estimated by correlating the concentrations of phosphocreatine (PCr) and ATP as determined by magnetic resonance spectroscopy with the degree of hypoxic-ischemic encephalopathy (HIE) in 23 asphyxiated term neonates. Ten healthy age-matched neonates served as controls. In patients, the mean concentrations +/- SD of PCr and ATP were 0.99 +/- 0.46 mmol/L (1.6 +/- 0.2 mmol/L) and 0.99 +/- 0.35 mmol/L (1.7 +/- 0.2 mmol/L), respectively (normal values in parentheses). [PCr] and [ATP] correlated significantly with the severity of HIE (r = 0.85 and 0.9, respectively, p < 0.001), indicating that the neonatal encephalopathy is the clinical manifestation of a marred brain energy metabolism. Neurodevelopmental outcome was evaluated in 21 children at 3, 9, and 18 mo. Seven infants had multiple impairments, five were moderately handicapped, five had only mild symptoms, and four were normal. There was a significant correlation between the cerebral concentrations of PCr or ATP at birth and outcome (r = 0.8, p < 0.001) and between the degree of neonatal neurologic depression and outcome (r = 0.7). More important, the outcome of neonates with moderate HIE could better be predicted with information from quantitative 31P magnetic resonance spectroscopy than from neurologic examinations. In general, the accuracy of outcome predictability could significantly be increased by adding results from 31P magnetic resonance spectroscopy to the neonatal neurologic score, but not vice versa. No correlation with outcome was found for other perinatal risk factors, including Apgar score.
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Odours of vertebrates often contain information about the major histocompatibility complex (MHC), and are used in kin recognition, mate choice or female investment in pregnancy. It is, however, still unclear whether MHC-linked signals can also affect male reproductive strategies. We used horses (Equus caballus) to study this question under experimental conditions. Twelve stallions were individually exposed either to an unfamiliar MHC-similar mare and then to an unfamiliar MHC-dissimilar mare, or vice versa. Each exposure lasted over a period of four weeks. Peripheral blood testosterone levels were determined weekly. Three ejaculates each were collected in the week after exposure to both mares (i.e. in the ninth week) to determine mean sperm number and sperm velocity. We found high testosterone levels when stallions were kept close to MHC-dissimilar mares and significantly lower ones when kept close to MHC-similar mares. Mean sperm number per ejaculate (but not sperm velocity) was positively correlated to mean testosterone levels and also affected by the order of presentation of mares: sperm numbers were higher if MHC-dissimilar mares were presented last than if MHC-similar mares were presented last. We conclude that MHC-linked signals influence testosterone secretion and semen characteristics, two indicators of male reproductive strategies.
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The hypothesis that constitutive and inducible plant resistance against herbivores should trade-off because they use the same resources and impose costs to plant fitness has been postulated for a long time. Negative correlations between modes of deployment of resistance and defences have been observed across and within species in common garden experiments. It was therefore tested whether that pattern of resistance across genotypes follows a similar variation in patterns of gene expression and chemical defence production. Using the genetically tractable model Arabidopsis thaliana and different modes of induction, including the generalist herbivore Spodoptera littoralis, the specialist herbivore Pieris brassicae, and jasmonate application, constitutive and inducibility of resistance was measured across seven A. thaliana accessions that were previously selected based on constitutive levels of defence gene expression. According to theory, it was found that modes of resistance traded-off among accessions, particularly against S. littoralis, in which accessions investing in high constitutive resistance did not increase it substantially after attack and vice-versa. Accordingly, the average expression of eight genes involved in glucosinolate production negatively predicted larval growth across the seven accessions. Glucosinolate production and genes related to defence induction on healthy and herbivore-damaged plants were measured next. Surprisingly, only a partial correlation between glucosinolate production, gene expression, and the herbivore resistance results was found. These results suggest that the defence outcome of plants against herbivores goes beyond individual molecules or genes but stands on a complex network of interactions.
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Angiogenesis plays a key role in tumor growth and cancer progression. TIE-2-expressing monocytes (TEM) have been reported to critically account for tumor vascularization and growth in mouse tumor experimental models, but the molecular basis of their pro-angiogenic activity are largely unknown. Moreover, differences in the pro-angiogenic activity between blood circulating and tumor infiltrated TEM in human patients has not been established to date, hindering the identification of specific targets for therapeutic intervention. In this work, we investigated these differences and the phenotypic reversal of breast tumor pro-angiogenic TEM to a weak pro-angiogenic phenotype by combining Boolean modelling and experimental approaches. Firstly, we show that in breast cancer patients the pro-angiogenic activity of TEM increased drastically from blood to tumor, suggesting that the tumor microenvironment shapes the highly pro-angiogenic phenotype of TEM. Secondly, we predicted in silico all minimal perturbations transitioning the highly pro-angiogenic phenotype of tumor TEM to the weak pro-angiogenic phenotype of blood TEM and vice versa. In silico predicted perturbations were validated experimentally using patient TEM. In addition, gene expression profiling of TEM transitioned to a weak pro-angiogenic phenotype confirmed that TEM are plastic cells and can be reverted to immunological potent monocytes. Finally, the relapse-free survival analysis showed a statistically significant difference between patients with tumors with high and low expression values for genes encoding transitioning proteins detected in silico and validated on patient TEM. In conclusion, the inferred TEM regulatory network accurately captured experimental TEM behavior and highlighted crosstalk between specific angiogenic and inflammatory signaling pathways of outstanding importance to control their pro-angiogenic activity. Results showed the successful in vitro reversion of such an activity by perturbation of in silico predicted target genes in tumor derived TEM, and indicated that targeting tumor TEM plasticity may constitute a novel valid therapeutic strategy in breast cancer.
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Despite the undeniable advantages of postmortem angiography, numerous questions have arisen concerning the influence that the injected contrast media may exercise on biological fluids and tissues collected for toxicological and biochemical investigations. Moreover, cardiac blood for microbiological investigations cannot be obtained post-angiography. In this study, we examined whether the peripheral blood collected prior to postmortem angiography, using percutaneous access to femoral vessels after skin surface disinfection, could be suitable for microbiological investigations when postmortem angiography with femoral vessel cannulation is also performed. A total of 66 cases were included in the study and were divided into two subgroups (angiography and bacteriology group, 33 cases and control group, 33 cases). Autopsies, histology, toxicology, bacteriology, and biochemical investigations (procalcitonin, C-reactive protein, interleukin-6, and soluble triggering receptors expressed on myeloid cells type 1) were performed in all cases. No statistically significant differences between the two groups were noted, and identified category distribution (death unrelated to infection, true infection, false positive, and undetermined) was rather similar in both studied populations. These preliminary results suggest that postmortem angiography using a femoral approach does not constitute an impediment to the collection of peripheral blood for microbiology and vice versa. Moreover, the use of femoral blood for microbiology does not lead to an increased risk of doubtful results.