588 resultados para Hematoma duodenal


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INTRODUCTION A marker predictive of hematoma expansion in the central nervous system could aid the selection of patients for hemostatic or surgical treatment. CASE REPORT Here, we present a 83-year-old patient with acute spinal subdural hematoma with paraparesis progressing to paraplegia. A contrast extravasation within the intraspinal hematoma was visualized on spinal MR indicating active bleeding (spinal spot sign). A second acquisition of contrast-enhanced MR images showed progression of contrast extravasation helping to different active bleeding from spinal arteriovenous malformations/fistula. CONCLUSIONS A "spinal spot sign" may be important for treatment decisions, notably in patients with incomplete neurological deficits at the time of imaging.

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BACKGROUND The reported survival of implants depends on the definition used for the endpoint, usually revision. When screening through registry reports from different countries, it appears that revision is defined quite differently. QUESTIONS/PURPOSES The purposes of this study were to compare the definitions of revision among registry reports and to apply common clinical scenarios to these definitions. METHODS We downloaded or requested reports of all available national joint registries. Of the 23 registries we identified, 13 had published reports that were available in English and were beyond the pilot phase. We searched these registries' reports for the definitions of the endpoint, mostly revision. We then applied the following scenarios to the definition of revision and analyzed if those scenarios were regarded as a revision: (A) wound revision without any addition or removal of implant components (such as hematoma evacuation); (B) exchange of head and/or liner (like for infection); (C) isolated secondary patella resurfacing; and (D) secondary patella resurfacing with a routine liner exchange. RESULTS All registries looked separately at the characteristic of primary implantation without a revision and 11 of 13 registers reported on the characteristics of revisions. Regarding the definition of revision, there were considerable differences across the reports. In 11 of 13 reports, the primary outcome was revision of the implant. In one registry the primary endpoint was "reintervention/revision" while another registry reported separately on "failure" and "reoperations". In three registries, the definition of the outcome was not provided, however in one report a results list gave an indication for the definition of the outcome. Wound revision without any addition or removal of implant components (scenario A) was considered a revision in three of nine reports that provided a clear definition on this question, whereas two others did not provide enough information to allow this determination. Exchange of the head and/or liner (like for infection; scenario B) was considered a revision in 11 of 11; isolated secondary patella resurfacing (scenario C) in six of eight; and secondary patella resurfacing with routine liner exchange (scenario D) was considered a revision in nine of nine reports. CONCLUSIONS Revision, which is the most common main endpoint used by arthroplasty registries, is not universally defined. This implies that some reoperations that are considered a revision in one registry are not considered a revision in another registry. Therefore, comparisons of implant performance using data from different registries have to be performed with caution. We suggest that registries work to harmonize their definitions of revision to help facilitate comparisons of results across the world's arthroplasty registries.

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INTRODUCTION Since the initial publication in 2000, Angiotensin II-infused mice have become one of the most popular models to study abdominal aortic aneurysm in a pre-clinical setting. We recently used phase contrast X-ray based computed tomography to demonstrate that these animals develop an apparent luminal dilatation and an intramural hematoma, both related to mural ruptures in the tunica media in the vicinity of suprarenal side branches. AIMS The aim of this narrative review was to provide an extensive overview of small animal applicable techniques that have provided relevant insight into the pathogenesis and morphology of dissecting AAA in mice, and to relate findings from these techniques to each other and to our recent PCXTM-based results. Combining insights from recent and consolidated publications we aimed to enhance our understanding of dissecting AAA morphology and anatomy. RESULTS AND CONCLUSION We analyzed in vivo and ex vivo images of aortas obtained from macroscopic anatomy, histology, high-frequency ultrasound, contrast-enhanced micro-CT, micro-MRI and PCXTM. We demonstrate how in almost all publications the aorta has been subdivided into a part in which an intact lumen lies adjacent to a remodeled wall/hematoma, and a part in which elastic lamellae are ruptured and the lumen appears to be dilated. We show how the novel paradigm fits within the existing one, and how 3D images can explain and connect previously published 2D structures. We conclude that PCXTM-based findings are in line with previous results, and all evidence points towards the fact that dissecting AAAs in Angiotensin II-infused mice are actually caused by ruptures of the tunica media in the immediate vicinity of small side branches.

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PURPOSE The aim of this study was to investigate if (1) the volume of subdural hematomas (SDH), midline shift, and CT density of subdural hematomas are altered by postmortem changes and (2) if these changes are dependent on the postmortem interval (PMI). MATERIALS AND METHODS Ante mortem computed tomography (AMCT) of the head was compared to corresponding postmortem CT (PMCT) in 19 adults with SDH. SDH volume, midline shift, and hematoma density were measured on both AMCT and PMCT and their differences assessed using Wilcoxon-Signed Rank Test. Spearman's Rho Test was used to assess significant correlations between the PMI and the alterations of SDH volume, midline shift, and hematoma density. RESULTS Mean time between last AMCT and PMCT was 109 h, mean PMI was 35 h. On PMCT mean midline displacement was decreased by 57% (p < 0.001); mean SDH volume was decreased by 38% (p < 0.001); and mean hematoma density was increased by 18% (p < 0.001) in comparison to AMCT. There was no correlation between the PMI and the normalization of the midline shift (p = 0.706), the reduction of SDH volume (p = 0.366), or the increase of hematoma density (p = 0.140). CONCLUSIONS This study reveals that normal postmortem changes significantly affect the extent and imaging characteristics of subdural hematoma and may therefore affect the interpretation of these findings on PMCT. Radiologists and forensic pathologists who use PMCT must be aware of these phenomena in order to correctly interpret PMCT findings in cases of subdural hemorrhages.

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BACKGROUND Perihematomal edema contributes to secondary brain injury in the course of intracerebral hemorrhage. The effect of decompressive surgery on perihematomal edema after intracerebral hemorrhage is unknown. This study analyzed the course of PHE in patients who were or were not treated with decompressive craniectomy. METHODS More than 100 computed tomography images from our published cohort of 25 patients were evaluated retrospectively at two university hospitals in Switzerland. Computed tomography scans covered the time from admission until day 100. Eleven patients were treated by decompressive craniectomy and 14 were treated conservatively. Absolute edema and hematoma volumes were assessed using 3-dimensional volumetric measurements. Relative edema volumes were calculated based on maximal hematoma volume. RESULTS Absolute perihematomal edema increased from 42.9 ml to 125.6 ml (192.8%) after 21 days in the decompressive craniectomy group, versus 50.4 ml to 67.2 ml (33.3%) in the control group (Δ at day 21 = 58.4 ml, p = 0.031). Peak edema developed on days 25 and 35 in patients with decompressive craniectomy and controls respectively, and it took about 60 days for the edema to decline to baseline in both groups. Eight patients (73%) in the decompressive craniectomy group and 6 patients (43%) in the control group had a good outcome (modified Rankin Scale score 0 to 4) at 6 months (P = 0.23). CONCLUSIONS Decompressive craniectomy is associated with a significant increase in perihematomal edema compared to patients who have been treated conservatively. Perihematomal edema itself lasts about 60 days if it is not treated, but decompressive craniectomy ameliorates the mass effect exerted by the intracerebral hemorrhage plus the perihematomal edema, as reflected by the reduced midline shift.

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Helicobacter pylori infection is frequently acquired during childhood. This microorganism is known to cause gastritis, and duodenal ulcer in pediatric patients, however most children remain completely asymptomatic to the infection. Currently there is no consensus in favor of treatment of H. pylori infection in asymptomatic children. The firstline of treatment for this population is triple medication therapy including two antibacterial agents and one proton pump inhibitor for a 2 week duration course. Decreased eradication rate of less than 75% has been documented with the use of this first-line therapy but novel tinidazole-containing quadruple sequential therapies seem worth investigating. None of the previous studies on such therapy has been done in the United States of America. As part of an iron deficiency anemia study in asymptomatic H. pylori infected children of El Paso, Texas, we conducted a secondary data analysis of study data collected in this trial to assess the effectiveness of this tinidazole-containing sequential quadruple therapy compared to placebo on clearing the infection. Subjects were selected from a group of asymptomatic children identified through household visits to 11,365 randomly selected dwelling units. After obtaining parental consent and child assent a total of 1,821 children 3-10 years of age were screened and 235 were positive to a novel urine immunoglobulin class G antibodies test for H. pylori infection and confirmed as infected using a 13C urea breath test, using a hydrolysis urea rate >10 μg/min as cut-off value. Out of those, 119 study subjects had a complete physical exam and baseline blood work and were randomly allocated to four groups, two of which received active H. pylori eradication medication alone or in combination with iron, while the other two received iron only or placebo only. Follow up visits to their houses were done to assess compliance and occurrence of adverse events and at 45+ days post-treatment, a second urea breath test was performed to assess their infection status. The effectiveness was primarily assessed on intent to treat basis (i.e., according to their treatment allocation), and the proportion of those who cleared their infection using a cut-off value >10 μg/min of for urea hydrolysis rate, was the primary outcome. Also we conducted analysis on a per-protocol basis and according to the cytotoxin associated gene A product of the H. pylori infection status. Also we compared the rate of adverse events across the two arms. On intent-to-treat and per-protocol analyses, 44.3% and 52.9%, respectively, of the children receiving the novel quadruple sequential eradication cleared their infection compared to 12.2% and 15.4% in the arms receiving iron or placebo only, respectively. Such differences were statistically significant (p<0.001). The study medications were well accepted and safe. In conclusion, we found in this study population, of mostly asymptomatically H. pylori infected children, living in the US along the border with Mexico, that the quadruple sequential eradication therapy cleared the infection in only half of the children receiving this treatment. Research is needed to assess the antimicrobial susceptibility of the strains of H. pylori infecting this population to formulate more effective therapies. ^

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This prospective observational cohort study investigated whether diabetic dental patients with poor glycemic control experience a higher risk of post-operative complications and diminished wound healing abilities after an oral surgical procedure such as implant placement. This study compared soft tissue oral wound healing complications between poorly controlled diabetic patients, well controlled diabetic patients and non-diabetic patients following surgical implant placement in the mandible with a total of 131 patients. A one week post-surgical follow-up visit involved an oral wound examination that consisted of evaluating for edema, erythema, exudate, oral pain, problems with flap closure, infection, and hematoma. Analyses were performed to determine significance differences in frequency of oral wound complications between the 3 diabetic groups. Two-by-two contingency tables using chi-square analysis were used to evaluate for significant differences in the proportion of each post-operative oral wound healing complication. This was done separately between non-diabetics and diabetics and between well-controlled and poorly controlled diabetics to calculate odds ratios. Confidence intervals were also calculated. This preliminary study showed that many of the complications were found not to be associated with diabetic status. Other complications such as edema and problems with flap closure were found to be less likely to occur in diabetics compared to non-diabetics and even in poorly controlled diabetics when compared to well-controlled diabetics. The results did not support the hypothesis that diabetic dental patients experience a higher risk than non-diabetic patients of post-operative soft tissue oral wound complications.^

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Pitx2, a paired-related homeobox gene that is mutated in human Rieger Syndrome, plays a key role in transferring the early asymmetric signals to individual organs. Pitx2 encodes three isoforms, Pitx2a, Pitx2b and Pitx2c. I found that Pitx2c was the Pitx2 isoform for regulating left-right asymmetry in heart, lung and the predominant isoform in guts. Previous studies suggested that the generation of left-right asymmetry within individual organs is an all or none, random event. Phenotypic analysis of various Pitx2 allelic combinations, that encode graded levels of Pitx2c, reveals an organ-intrinsic mechanism for regulating left-right asymmetric morphogenesis based on differential response to Pitx2c levels. The heart needs low Pitx2c levels, while the lungs and duodenum require higher doses of Pitx2c. In addition, the duodenal rotation is under strict control of Pitx2c activity. Left-right asymmetry development for aortic arch arteries involves complex vascular remodeling. Left-sided expression of Pitx2c in these developing vessels implied its potential function in this process. In order to determine if Pitx2c also can regulate the left-right asymmetry of the aortic arch arteries, a Pitx2c-specific loss of function mutation is generated. Although in wild type mice, the direction of the aortic arch is always oriented toward the left side, the directions of the aortic arches in the mutants were randomized, showing that Pitx2c also determined the left-right asymmetry of these vessels. I have further showed that the cardiac neural crest wasn't involved in this vascular remodeling process. In addition, all mutant embryos had Double Outlet Right Ventricle (DORV), a common congenital heart disease. This study provided insight into the mechanism of Pitx2c-mediated late stages of left-right asymmetry development and identified the roles of Pitx2c in regulation of aortic arch remodeling and heart development. ^

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El objetivo principal de esta tesis fue incrementar el valor proteico para rumiantes de la harina de girasol mediante tratamientos combinados con ácidos y calor para proteger sus proteínas frente a la degradación ruminal. Estos estudios comprenden dos experimentos realizados sobre ovinos mediante tecnologías in vitro (experimento 1) o in situ e in vivo (experimento 2), empleando siempre dos ácidos: málico u ortofosfórico. Aprovechando este último experimento, también se consideraron otros objetivos de carácter metodológico con el fin de mejorar la precisión de las estimas de i) la degradabilidad ruminal y la digestibilidad intestinal de la proteína y los aminoácidos (AAs) de los alimentos y ii) la síntesis microbiana ruminal y su contribución al flujo post-ruminal de nutrientes al animal. En el experimento 1 (capítulo 2) se efectuaron cuatro ensayos in vitro para estudiar la influencia de distintos factores que puedan afectar la eficacia de estos tratamientos. En cada ensayo se utilizó una réplica por tratamiento (dos para el tratamiento control) y dos bolsas vacías (empleadas para corregir la contaminación microbiana) en cada una de las cuatro botellas del incubador (ANKOM Daisy II). Cada botella contenía 2 l de medio de incubación, saturado con CO2 para asegurar la anaerobiosis. Este medio consistió en una mezcla de solución McDougall y liquido ruminal filtrado en relación 4:1. El liquido ruminal fue obtenido de 2 corderos canulados en rumen, utilizándose bien solo o mezclado con el del otro cordero en una relación 3:1. Así, cada botella de incubación contenía un inoculo ruminal diferente. Las incubaciones se realizaron a 39 ºC durante 20 h, siendo las bolsas lavadas con agua corriente y almacenadas a -20 ºC. Tras ser descongeladas, se lavaron 3 veces durante 5 min en una mini-lavadora de turbina, se desecaron a 80 ºC durante 48 h y se destinaron íntegras al análisis de N-Kjeldahl. En el ensayo 1 se estudió el efecto del volumen de disolución de dos dosis de ácido ortofosfórico (0,4 y 1,2 equivalentes gramo (eq)/kg de harina de girasol), testando cinco volúmenes de disolución (80, 160, 240, 320 and 400 ml/kg de harina) para cada dosis, desecándose las harinas a 60 ºC hasta sequedad al tacto. La proteína bruta (PB) indegradada se incremento con la dosis de ácido empleada y también (como tendencia, P < 0,1) con el volumen de dilución. En base a ello en los siguientes ensayos se utilizo el volumen de dilución mayor (400 ml/kg). En el ensayo 2 se estudió el efecto de la dosis y del tipo de ácido a cuatro dosis (1,2; 2,4; 3,6 y 4,8 eq/kg), secándose igualmente las muestras tratadas a 60 ºC. La PB indegradada aumentó con la dosis de ácido, siendo también mayor para el ácido málico, tanto en este ensayo como en los posteriores. En el ensayo 3 se estudiaron los efectos de los dos ácidos, cuatro concentraciones (0,6; 1,2; 1,8 y 2,4 eq/kg) y tres tratamientos térmicos para el secado de las muestras (100, 150 and 200 ºC durante 60, 30 y 20 minutos, respectivamente). Con los tratamientos térmicos a 100 y 150 ºC no hubo un incremento de protección para concentraciones superiores a 0,8 eq/kg para ambos ácidos. Para incrementar la protección fue necesario aumentar la temperatura a 200 ºC y la dosis a 1,2 eq/kg, no observándose un aumento de protección a dosis mayores. En el ensayo 4 se estudiaron los efectos sobre la lisina disponible, la solubilidad de la PB en saliva artificial de McDougall y la PB indegradada in vitro de tratar la harina solo con agua o con disoluciones de ambos ácidos a dosis de 0,8 eq/kg y temperaturas de secado de 100 ó 150 ºC en las mismas condiciones que en el ensayo 3. No se apreciaron efectos sobre la lisina disponible para ninguno de los tratamientos. El efecto específico de los ácidos quedo demostrado tanto por la fuerte reducción de la solubilidad de la PB como por el aumento de la PB indegradada frente al tratamiento con agua. En conjunto, los resultados de este experimento mostraron que la eficacia de estos tratamientos depende del tipo y dosis de ácido y de su dilución, así como de las condiciones de secado. Como tratamiento de mayor interés a aplicar posteriormente en el experimento 2 se consideró una dosis de 0,8 eq/kg de harina, aplicada en un volumen de 400 ml/kg (correspondiente a soluciones 1 M y 0,67 M para los ácidos málico y ortofosfórico, respectivamente) y desecación a 150 ºC. El experimento 2 (capítulos 3 a 7) se realizó con un diseño en cuadrado latino 3x3, empleando tres corderos canulados en rumen y duodeno y tres dietas isoproteicas: U, M y P, que incluían harinas de girasol sin tratar (control) y tratadas con acido málico u ortofosfórico, respectivamente. La harina de girasol se trató en las condiciones ya indicadas siendo necesarias 6 horas para su secado en estufa. Las dietas incluían 40% de heno de raigrás italiano y 60% de concentrado a base de harina de girasol (tratada y/o sin tratar), trigo y corrector vitamínico-mineral, siendo suministradas a 75 g/kg P0.75 (equivalente a 2,3 × mantenimiento). La relación harina de girasol sin tratar y tratada fue de 100:0 en la dieta U y entorno a 40:60 en las dietas M y P. Tras 10 días de adaptación a la dieta, se estudiaron sucesivamente: i) el tránsito hasta el duodeno de las partículas del heno (solo en la dieta control) y de la harina de girasol marcadas previamente con europio e iterbio, respectivamente; ii) la fermentación ruminal durante el periodo postprandial, iii) la degradación ruminal in situ de la harina de girasol específica de cada dieta (y del trigo y el heno en la dieta control) y iv) la magnitud y composición del contenido ruminal mediante el vaciado manual del rumen-retículo. Durante todo el periodo experimental se infundio de forma continua una solución de sulfato amónico enriquecido en 15N (98 átomos %) para corregir la contaminación microbiana ruminal en los estudios in situ y para establecer las diferencias de composición química entre las bacterias libres (BAL) y adherentes (BAS) del rumen. Esta solución incluyó en los dos últimos días Li-Cr- EDTA para determinar la tasa de dilución ruminal. Posteriormente, y tras un periodo de al menos 10 días para eliminar el enriquecimiento en 15N de la digesta, se estudió la digestibilidad intestinal de los distintos alimentos mediante la técnica de bolsas móviles. La determinación del bypass (BP) o de la degradabilidad efectiva (DE) de la materia seca (MS) y de la PB se realizó por el método tradicional de integración matemática; estos valores se obtuvieron también para la PB y los AAs generando una muestra representativa del flujo post-ruminal del alimento en estudio en cada animal. Ello se realizó mediante la mezcla de los distintos residuos de incubación en base a la función que describe el flujo de alimento indegradado que abandona el rumen. Todos estos trabajos se realizaron considerando la tasa de salida de partículas del rumen (kp) y, según casos, considerando también la tasa de conminución y mezcla de las partículas en este compartimento (kc). Para este último caso se ha desarrollado también el modelo matemático que describe este flujo y permite este cálculo. Los valores no corregidos por la contaminación microbiana del BP (o de DE) de la PB resultantes de ambos métodos se han comparado tanto en las harinas de girasol como en los restantes alimentos de la dieta, obteniéndose valores similares, sin apreciarse desviaciones sistemáticas. Sobre las muestras compuestas representativas de la composición química del BP se determino la digestibilidad intestinal efectiva (DIE) de la MS, PB y AAs. Todos los valores resultantes de esta técnica fueron corregidos para la contaminación microbiana de las partículas que tiene lugar en el rumen. Los estudios de transito digestivo se realizaron tras suministrar en el comedero a los corderos una dosis simple de los alimentos marcados, seguida de la toma de muestras de la digesta duodenal durante 82 h. En la dieta testigo se suministraron simultáneamente el heno de raigrás y la harina de girasol, mientras que en las otras dietas solo se suministró esta última. La harina de girasol mostro un mayor valor para kc frente al heno (0,5766 v. 0,0892, /h), mientras que no hubo diferencias entre los dos alimentos para kp (0,0623 v. 0,0609, /h). Para la harina de girasol no se apreciaron diferencias entre dietas para kc, pero si se redujo de manera moderada la tasa kp con los tratamientos, siendo ésta también menor al utilizar ácido ortofosfórico frente al uso de ácido malico (0,0577 v. 0,0600, /h). El empleo de las harinas tratadas no modifico los parámetros de fermentación ruminal, la composición de los contenidos ruminales o la tasa de dilución del rumen. Los valores efectivos del BP y de DIE de la MS, PB y AAs de las harinas de girasol se obtuvieron considerando kc y kp, conjuntamente. Los tratamientos de protección incrementaron el BP de MS y PB en 48,5 y 268% de media, respectivamente. Estos incrementos se debieron principalmente al descenso de la fracción soluble y de la velocidad de degradación, pero también al aumento de la fracción indegradable, especialmente usando ácido ortofosfórico. Con los tratamientos se incrementó también la DIE de la MS (108% de media) y de la PB con gran diferencia entre los ácidos málico y ortofosfórico (20,7 v. 11,8%). Como consecuencia de estos cambios la protección aumentó la fracción realmente digerida en el intestino en 211% (MS) y 325% (PB), sin efectos entre ambos ácidos. Considerando la reducción del suministro de energía fermentable para los microorganismos ruminales asociada a la protección y los parámetros indicados por el sistema PDI francés para la síntesis de proteína microbiana digestible, la eficacia de conversión de PB en proteína metabolizable aumentó de 0,244 a 0,559 y 0,515 con el tratamiento con acido málico y ortofosfórico, respectivamente. El contenido en aminoácidos (AAs) fue similar en todas las harinas salvo por una disminución de lisina en las harinas tratadas. De forma análoga a la PB, los tratamientos de protección incrementaron el BP y la DIE de la mayoría de AAs. El aporte de AAs metabolizabes de la harina se multiplico en 3,87 para los AAs azufrados y en menor medida (2,5 veces) para la lisina, como consecuencia de las pérdidas sufridas a consecuencia del tratamiento térmico. Estos tratamientos se muestran, por tanto, útiles para incrementar el valor proteico de la harina de girasol, si bien su empleo junto con concentrados proteicos ricos en lisina bypass digestible mejoraría el perfil de la proteína metabolizable. La corrección de la contaminación microbiana de las partículas que tiene lugar en el rumen se asoció en todos los alimentos testados y, de forma general, con reducciones del BP y de su DIE en todas las fracciones estudiadas. Estas reducciones fueron pequeñas en todos los concentrados, de forma acorde con los muy pequeños niveles de contaminación registrados tanto en las harinas de girasol como en el grano de trigo. Por el contrario, esta contaminación, al igual que los efectos de su corrección, fueron muy importantes en el heno de raigrás. Esta contaminación aumentó al tener en cuenta kc. Así, para la proporción de PB de origen microbiano existente en las muestras compuestas representativas del BP, este aumento fue significativo para el heno de raigrás (0,463 v. 0,706) y solo numérico para la harina de girasol (0,0170 v. 0,0208). La reducción de las estimas de DIE al corregir esta contaminación fue consecuencia de la eliminación de forma casi completa de los microorganismos adherentes en todos los residuos testados. Así, esta biomasa se redujo en 96,1% como media de 7x3 observaciones. Como resultado de las diferencias acumulativas a nivel del rumen e intestino, la no corrección de la contaminación microbiana junto con la no consideración de kc condujo a fuertes sobrestimaciones de la PB digerida en el intestino. Ésta fue de 39% en la harina de girasol (0,146 v. 0,105) y de 761% en el heno de raigrás (0,373 v. 0,0433). Estos resultados muestran que es necesario considerar tanto kc como corregir la contaminación microbiana para obtener estimas in situ precisas en forrajes, mientras que en concentrados, siempre que la contaminación microbiana sea pequeña, es más importante considerar kc. La elevada contaminación microbiana observada en el heno de raigrás se asoció también con importantes errores a nivel del N asociado a la fibra neutro (FND) y ácido (FAD) detergente (NDIN y ADIN, respectivamente) e incluso de estas fracciones de fibra, evidenciándose que estos métodos no eliminan completamente la contaminación microbiana que sufren los alimentos en su paso por el retículorumen. Así, en la muestra compuesta representativa de la composición química del flujo postruminal antes descrita, la sobrevaloración por no corregir la contaminación microbiana fue de 99,8; 24,2; 3,34 y 0,48% para NDIN, ADIN, FND y FAD, respectivamente. Las subvaloraciones asociadas para su DE fueron 34,1; 8,79; 4,41 y 0,51%, respectivamente. La DE corregida del NDIN y ADIN (0,743 y 0,728, respectivamente) mostró un aprovechamiento ruminal elevado de estos compuestos, si bien menor al de la PB total (0,85). El estudio de este aprovechamiento sobre los residuos de incubación ruminal a 6 y 72 h demostró, además, una más rápida degradación del ADIN frente al NDIN, así como un mayor potencial de degradación de este último en este alimento. Para comprobar si la digestión en el abomaso eliminaba la contaminación microbiana en la FND y FAD se estudio esta contaminación y sus posibles errores en muestras liofilizadas de contenidos ruminales y duodenales correspondientes a una dieta mixta de similar composición a la utilizada en el experimento 2, comparándose, además, las diferencias entre la extracción secuencial o directa de la FAD. Utilizando como referencia las BAS se apreciaron elevadas contaminaciones en la FND y FAD y su N asociado tanto en las muestras ruminales como en las duodenales. Sin embargo, los resultados de enriquecimiento en 15N de las partículas fueron intermedios entre los correspondientes a BAS y BAL lo que evidencia una elevada contaminación con BAL en estas muestras probablemente durante el proceso de liofilización. Ello conlleva una sobrevaloración de esta estimación. El método de extracción directa de FAD se mostró, por otra parte, marcadamente menos eficaz en la eliminación de la contaminación microbiana. Los resultados muestran la necesidad de corregir la contaminación microbiana para obtener estimaciones precisas de la degradabilidad de las proteínas de las paredes celulares vegetales. Estos errores deberían ser también considerados para FND y FAD en estudios in situ e in vivo. La elevada tasa fraccional de degradación del grano de trigo (60,9 y 42,0%/h para MS y PB, respectivamente) implico que su flujo de material indegradado (calculado solo en base a la kp obtenida para la harina de girasol) se redujera muy rápidamente, de forma que es casi nulo a 8 h tras la ingestión. Los valores corregidos de PB digerida en el intestino (0,15) representan solo el 18,7% de la proteína metabolizable, lo que muestra que el valor proteico del grano de trigo está estrechamente ligado a la síntesis de proteína microbiana derivada de su fermentación. En el experimento 2 se observaron menores concentraciones para materia orgánica, lípidos y PB, así como en la proporción N-AAs/N total en BAL que en BAS, siendo, por el contrario, mayor su enriquecimiento en 15N. Estos últimos resultados se utilizaron (junto con los de otros trabajos previos de este equipo) para validar una predicción preexistente del enriquecimiento en 15N de las BAS a partir de este valor en las BAL. Esta ecuación, de muy alta precisión (R2 = 0.995), permite calcular la subvaloración que se comete en los aportes de nutrientes correspondientes a las BAS al usar las BAL como muestra de referencia. Esta subvaloración representa aproximadamente 21, 32,5 y 60% para PB, proteína verdadera y lípidos.

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Infection with Helicobacter pylori is associated with different human gastric diseases. Biochemical studies, in vitro adherence assays, and in vivo animal models revealed that epithelial attachment of H. pylori can be mediated by the blood-group antigen-binding adhesin (BabA) targeting human Lewisb surface epitopes. Studies with transgenic mice expressing the Lewisb epitope have shown that such attachment can alter disease outcome. In the current study, the presence of the babA2 gene encoding the adhesin was investigated in clinical isolates from a German population by using PCR and reverse transcription–PCR. A positive genotype was correlated to allelic variations in the genes encoding VacA and CagA and also to the prevalence of duodenal ulcer, distal gastric adenocarcinoma, mucosa-associated lymphoid tissue lymphoma, and antral gastritis. The presence of babA2 was significantly associated with duodenal ulcer (P = 0.0002) and adenocarcinoma (P = 0.033). In contrast, type 1 strains (vacAs1- and cagA-positive) were associated with only duodenal ulcer (P = 0.004) but not adenocarcinoma (P = 0.235). Genotype presence of babA2, vacAs1, and cagA (“triple-positive” strains) showed a highly significant correlation to the prevalence of ulcer (P = 0.000002) and adenocarcinoma (P = 0.014) and discriminated significantly better between disease outcome than did the current type 1 classification. These results indicate that the babA2 gene is of high clinical relevance and would be a useful marker to identify patients who are at higher risk for specific H. pylori-related diseases.

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The puzzling linkage between genetic hemochromatosis and histocompatibility loci became even more so when the gene involved, HFE, was identified. Indeed, within the well defined, mainly peptide-binding, MHC class I family of molecules, HFE seems to perform an unusual yet essential function. As yet, our understanding of HFE function in iron homeostasis is only partial; an even more open question is its possible role in the immune system. To advance on both of these avenues, we report the deletion of HFE α1 and α2 putative ligand binding domains in vivo. HFE-deficient animals were analyzed for a comprehensive set of metabolic and immune parameters. Faithfully mimicking human hemochromatosis, mice homozygous for this deletion develop iron overload, characterized by a higher plasma iron content and a raised transferrin saturation as well as an elevated hepatic iron load. The primary defect could, indeed, be traced to an augmented duodenal iron absorption. In parallel, measurement of the gut mucosal iron content as well as iron regulatory proteins allows a more informed evaluation of various hypotheses regarding the precise role of HFE in iron homeostasis. Finally, an extensive phenotyping of primary and secondary lymphoid organs including the gut provides no compelling evidence for an obvious immune-linked function for HFE.

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Objective: To determine how small differences in the efficacy and cost of two antibiotic regimens to eradicate Helicobacter pylori can affect the overall cost effectiveness of H pylori eradication in duodenal ulcer disease.

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Cells of the exocrine pancreas produce digestive enzymes potentially harmful to the intestinal mucosa. Dopamine has been reported to protect against mucosal injury. In looking for the source of dopamine in the small intestine, we found that the duodenal juice contains high levels of dopamine and that the pancreas itself has a high dopamine [and dihydroxyphenylalanine (dopa)] content that does not change significantly after chemical sympathectomy. Furthermore, we were able to demonstrate tyrosine hydroxylase (TH) activity in control pancreas as well as in pancreas from rats after chemical sympathectomy. Immunostaining and in situ hybridization histochemistry confirmed both the presence of TH, dopamine, and the dopamine transporter, and the mRNAs encoding TH and dopamine transporter, and the presence of both types of vesicular monoamine transporters in the exocrine cells of the pancreas. Since there are no catecholaminergic enteric ganglia in the pancreas, the above results indicate that pancreatic cells have all the characteristics of dopamine-producing cells. We suggest that the pancreas is an important source of nonneuronal dopamine in the body, and that this dopamine has a role in protecting the intestinal mucosa and suggests that dopamine D1b receptor agonists might be used to help mucosal healing in the gastrointestinal tract.

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A via de acesso arterial é um importante sítio de complicações após a realização de procedimentos coronários invasivos. Dentre as estratégias para a redução de complicações vasculares, encontra-se estabelecida a eficácia da técnica radial. Os dispositivos de oclusão vascular propiciam maior conforto ao paciente, reduzindo o tempo de hemostasia e repouso no leito. Entretanto, a inconsistência de dados comprovando sua segurança limita sua adoção rotineira como estratégia para redução de complicações vasculares, requerendo evidências de estudos randomizados com metodologia adequada. O objetivo deste estudo foi comparar a incidência de complicações no sítio de punção arterial entre a técnica radial e a técnica femoral com utilização de Angio-Seal em pacientes com síndrome coronariana aguda sem supradesnível do segmento ST submetidos à estratégia invasiva precoce. Trata-se de um ensaio clínico unicêntrico, de não inferioridade, no qual duzentos e quarenta pacientes foram randomizados para a técnica radial ou técnica femoral com utilização de Angio-Seal. O objetivo primário foi a ocorrência de complicações no sítio de punção arterial até 30 dias após o procedimento, incluindo sangramento grave, hematoma >= 5 cm, hematoma retroperitoneal, síndrome compartimental, pseudoaneurisma, fístula arteriovenosa, infecção, isquemia de membro, oclusão arterial, lesão de nervo adjacente ou necessidade de reparo vascular cirúrgico. Em relação às características demográficas e clínicas, houve diferença apenas quanto ao gênero, com presença maior de pacientes do sexo feminino no grupo radial (33,3% versus 20,0%, p=0,020). Não se observaram diferenças entre os grupos quanto ao diagnóstico de admissão, alterações isquêmicas presentes no eletrocardiograma, elevação de marcadores de necrose miocárdica ou escores de risco, bem como quanto à farmacoterapia antitrombótica adjunta e características da intervenção coronária percutânea. A hemostasia foi obtida na totalidade dos procedimentos do grupo radial com a utilização da pulseira compressora seletiva TR Band e em 95% dos procedimentos realizados pela técnica femoral com o Angio-Seal (p=0,029). Exceto pela maior incidência de oclusão arterial no grupo radial comparado ao femoral, não houve diferenças entre os demais desfechos analisados. Segundo o teste de não inferioridade para complicações na via de acesso arterial aos 30 dias, verificou-se que a utilização do Angio-Seal não produziu resultados inferiores ao acesso radial, considerando-se a margem de 15% (12,5% versus 13,3%, diferença -0,83%, IC 95% -9,31 - 7,65, p para não inferioridade <0,001). Os resultados principais deste estudo demonstram que, em uma população de pacientes com diagnóstico de síndrome coronariana aguda sem supradesnível do segmento ST, submetida à estratificação de risco invasiva, a utilização do dispositivo de oclusão vascular Angio-Seal confere ao procedimento efetivado pelo acesso femoral inferioridade na incidência de complicações no sítio de punção arterial aos 30 dias quando comparado ao acesso radial.

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Introdução: A obesidade é uma afecção com alta prevalência no Brasil e no mundo. É fator de risco para comorbidades como Diabetes tipo 2 (DM2), Hipertensão Arterial Sistêmica (HAS), Dislipidemia, Apneia Obstrutiva do Sono (AOS), entre outras. Seu tratamento é complexo e a cirurgia bariátrica, executada por diferentes técnicas, tem sido uma das opções. Objetivo: Analisar os resultados publicados na literatura em relação às técnicas cirúrgicas de Banda Gástrica Ajustável (BGA), Gastrectomia Vertical (GV), Gastroplastia com derivação em Y de Roux (GDYR) e Derivação Biliopancreática (DBP) - técnica de \"Scopinaro\" e de \"Duodenal Switch\" quanto às complicações operatórias, à mortalidade, à perda do excesso de peso (PEP) e ao reganho, e a resolução das comorbidades após a operação. Método: Foram analisados 116 estudos selecionados na base de dados MEDLINE por meio da PubMed publicados na Língua Inglesa entre 2003 e 2014. Para comparar as diferentes técnicas cirúrgicas (BGA, GV, GDYR e DBP), realizou-se estudo estatístico por meio da análise de variância (ANOVA) aplicando os testes de Duncan e de Kruskal Wallis avaliando: complicações pós-operatórias (fístula, sangramento e óbito); perda e reganho do excesso de peso, e resolução das comorbidades. Resultados: A ocorrência de sangramento foi de 0,6% na média entre todos os estudos, sendo 0,44% na BGA; 1,29% na GV; 0,81% na GDYR e 2,09% na DBP. Já a ocorrência de fístulas foi de 1,3% na média entre todos os estudos, 0,68% para BGA; 1,93% para GV; 2,18% para GDYR e 5,23% para DBP. A mortalidade nos primeiros 30 dias pós-operatórios foi de 0,9% na média entre todos os estudos, 0,05% na BGA; 0,16% na GV; 0,60% na GDYR e 2,52% na DBP. A PEP após cinco anos na média entre todos os estudos foi de 63,86%, especificamente na BGA, foi de 48,35%; 52,7% na GV; 71,04% na GDYR e 77,90% na DBP. A taxa de DM2 resolvida foi de 76,9% na média entre todos os estudos, sendo 46,80% na BGA; 79,38% na GV; 79,86% na GDYR e 90,78% na DBP. A taxa de Dislipidemia resolvida após a operação foi de 74,0% na média de todo o estudo, sendo 51,28% na BGA; 58,00% na GV; 73,28% na GDYR e 90,75% na DBP. A taxa de HAS resolvida após a operação foi de 61,80% na média de todo o estudo, sendo 54,50% na BGA; 52,27% na GV; 68,11% na GDYR e 82,12% na DBP. A taxa de AOS resolvida após a operação foi de 75,0% na média de todo o estudo, sendo 56,85% na BGA; 51,43% na GV; 80,31% na GDYR e 92,50% na DBP. Conclusão: quando analisadas e comparada as quatro técnicas observa-se que nos primeiros 30 dias pós-operatório a taxa de sangramento é superior nos pacientes submetidos à DBP e taxa de fístula inferior nos pacientes da BGA. Quanto à mortalidade observou-se taxa mais pronunciada nos pacientes submetidos à DBP e menos nos submetidos à BGA. Quanto à PEP observou-se uma uniformidade entre os pacientes submetidos à GV, GDYR E DBP até o terceiro ano. Após esse período observa-se reganho de peso nos submetidos à GV até o quinto ano de seguimento. Já nos pacientes submetidos à BGA observou-se taxas de PEP menos pronunciadas em relação às demais desde o início do seguimento. Quanto à resolução das comorbidades observou-se taxas de resolução de DM2 inferiores nos pacientes submetidos à BGA, e não houve diferença entre nenhuma técnica quanto à resolução das demais comorbidades: HAS, AOS e dislipidemia