995 resultados para pulse-echo technique
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PURPOSE: To compare different techniques for positive contrast imaging of susceptibility markers with MRI for three-dimensional visualization. As several different techniques have been reported, the choice of the suitable method depends on its properties with regard to the amount of positive contrast and the desired background suppression, as well as other imaging constraints needed for a specific application. MATERIALS AND METHODS: Six different positive contrast techniques are investigated for their ability to image at 3 Tesla a single susceptibility marker in vitro. The white marker method (WM), susceptibility gradient mapping (SGM), inversion recovery with on-resonant water suppression (IRON), frequency selective excitation (FSX), fast low flip-angle positive contrast SSFP (FLAPS), and iterative decomposition of water and fat with echo asymmetry and least-squares estimation (IDEAL) were implemented and investigated. RESULTS: The different methods were compared with respect to the volume of positive contrast, the product of volume and signal intensity, imaging time, and the level of background suppression. Quantitative results are provided, and strengths and weaknesses of the different approaches are discussed. CONCLUSION: The appropriate choice of positive contrast imaging technique depends on the desired level of background suppression, acquisition speed, and robustness against artifacts, for which in vitro comparative data are now available.
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A T(2) magnetization-preparation (T(2) Prep) sequence is proposed that is insensitive to B(1) field variations and simultaneously provides fat suppression without any further increase in specific absorption rate (SAR). Increased B(1) inhomogeneity at higher magnetic field strength (B(0) > or = 3T) necessitates a preparation sequence that is less sensitive to B(1) variations. For the proposed technique, T(2) weighting in the image is achieved using a segmented B(1)-insensitive rotation (BIR-4) adiabatic pulse by inserting two equally long delays, one after the initial reverse adiabatic half passage (AHP), and the other before the final AHP segment of a BIR-4 pulse. This sequence yields T(2) weighting with both B(1) and B(0) insensitivity. To simultaneously suppress fat signal (at the cost of B(0) insensitivity), the second delay is prolonged so that fat accumulates additional phase due to its chemical shift. Numerical simulations as well as phantom and in vivo image acquisitions were performed to show the efficacy of the proposed technique.
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Treatment of symptomatic pharyngeal and esophageal strictures requires endoscopic dilatation. The Savary-Gilliard bougienage was developed by our department and has been used since 1980 for this purpose. We report our experience using this technique. The records of patients seen from January 1, 1963 to December 31, 2005, who had pharyngeal and esophageal strictures needing dilatation, were reviewed. The prevalence of different etiologies, and the incidence of complications using the Savary-Gilliard dilators were assessed. Efficiency of dilatation was assessed over a 17-year segment of this period, using number of dilatations and time intervals between dilatations until resolution of symptoms as outcome measures. Of the 2,652 pharyngeal and esophageal strictures reviewed, 90% were of organic origin (45% benign and 55% malignant stenoses), and 10% were of functional etiology. The most common etiologies were peptic strictures before the era of proton pump inhibitors, and postoperative anastomotic strictures thereafter. A total of 1,862 dilatations using the Savary-Gilliard technique were analyzed. Complication and mortality rates were 0.18 and 0.09% for benign and 4.58 and 0.81% for malignant etiologies, respectively. The number of dilatations per stricture and the time interval between different sessions were dependent on the type of strictures, varying from 1 to 23 dilatations and 7 days to 16 years, respectively. Pharyngeal and esophageal dilatations using the Savary-Gilliard technique were safe when used together with fluoroscopy. Overall, the efficiency of the dilatation procedure was good, but some types of strictures (e.g., caustic, post-surgical and/or post radiotherapy) were refractory to treatment and required repeated dilatations.
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BACKGROUND: In patients with Kawasaki disease, serial evaluation of the distribution and size of coronary artery aneurysms (CAA) is necessary for risk stratification and therapeutic management. Although transthoracic echocardiography is often sufficient for this purpose initially, visualization of the coronary arteries becomes progressively more difficult as children grow. We sought to prospectively compare coronary magnetic resonance angiography (MRA) and x-ray coronary angiography findings in patients with CAA caused by Kawasaki disease. METHODS AND RESULTS: Six subjects (age 10 to 25 years) with known CAA from Kawasaki disease underwent coronary MRA using a free-breathing T2-prepared 3D bright blood segmented k-space gradient echo sequence with navigator gating and tracking. All patients underwent x-ray coronary angiography within a median of 75 days (range, 1 to 359 days) of coronary MRA. There was complete agreement between MRA and x-ray angiography in the detection of CAA (n=11), coronary artery stenoses (n=2), and coronary occlusions (n=2). Excellent agreement was found between the 2 techniques for detection of CAA maximal diameter (mean difference=0.4 +/- 0.6 mm) and length (mean difference=1.4 +/- 1.6 mm). The 2 methods showed very similar results for proximal coronary artery diameter (mean difference=0.2 +/- 0.5 mm) and CAA distance from the ostia (mean difference=0.1 +/- 1.5 mm). CONCLUSION: Free-breathing 3D coronary MRA accurately defines CAA in patients with Kawasaki disease. This technique may provide a non-invasive alternative when transthoracic echocardiography image quality is insufficient, thereby reducing the need for serial x-ray coronary angiography in this patient group.
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Rapport de synthèseLe syndrome d'apnées obstructives du sommeil (SAOS) est une pathologie respiratoire fréquente. Sa prévalence est estimée entre 2 et 5% de la population adulte générale. Ses conséquences sont importantes. Notamment, une somnolence diurne, des troubles de la concentration, des troubles de la mémoire et une augmentation du risque d'accident de la route et du travail. Il représente également un facteur de risque cardiovasculaire indépendant.Ce syndrome est caractérisé par la survenue durant le sommeil d'obstructions répétées des voies aériennes supérieures. L'arrêt ou la diminution d'apport en oxygène vers les poumons entraîne des épisodes de diminution de la saturation en oxygène de l'hémoglobine. Les efforts ventilatoires visant à lever l'obstacle présent sur les voies aériennes causent de fréquents réveils à l'origine d'une fragmentation du sommeil.La polysomnographie (PSG) représente le moyen diagnostic de choix. Il consiste en l'enregistrement dans un laboratoire du sommeil et en présence d'un technicien diplômé, du tracé électroencéphalographique (EEG), de l'électrooculogramme (EOG), de l'électromyogramme mentonnier (EMG), du flux respiratoire nasal, de l'oxymétrie de pouls, de la fréquence cardiaque, de l'électrocardiogramme (ECG), des mouvements thoraciques et abdominaux, de la position du corps et des mouvements des jambes. L'examen est filmé par caméra infrarouge et les sons sont enregistrés.Cet examen permet entre autres mesures, de déterminer les événements respiratoires obstructifs nécessaires au diagnostic de syndrome d'apnée du sommeil. On définit une apnée lors d'arrêt complet du débit aérien durant au moins 10 secondes et une hypopnée en cas, soit de diminution franche de l'amplitude du flux respiratoire supérieure à 50% durant au moins 10 secondes, soit de diminution significative (20%) de l'amplitude du flux respiratoire pendant au minimum 10 secondes associée à un micro-éveil ou à une désaturation d'au moins 3% par rapport à la ligne de base. La détection des micro-éveils se fait en utilisant les dérivations électroencéphalographiques, électromyographiques et électrooculographiques. Il existe des critères visuels de reconnaissance de ces éveils transitoire: apparition de rythme alpha (8.1 à 12.0 Hz) ou beta (16 à 30 Hz) d'une durée supérieure à 3 secondes [20-21].Le diagnostic de S AOS est retenu si l'on retrouve plus de 5 événements respiratoires obstructifs par heure de sommeil associés soit à une somnolence diurne évaluée selon le score d'Epworth ou à au moins 2 symptômes parmi les suivants: sommeil non réparateur, étouffements nocturne, éveils multiples, fatigue, troubles de la concentration. Le S AOS est gradué en fonction du nombre d'événements obstructifs par heure de sommeil en léger (5 à 15), modéré (15 à 30) et sévère (>30).La polysomnographie (PSG) comporte plusieurs inconvénients pratiques. En effet, elle doit être réalisée dans un laboratoire du sommeil avec la présence permanente d'un technicien, limitant ainsi son accessibilité et entraînant des délais diagnostiques et thérapeutiques. Pour ces mêmes raisons, il s'agit d'un examen onéreux.La polygraphie respiratoire (PG) représente l'alternative diagnostique au gold standard qu'est l'examen polysomnographique. Cet examen consiste en l'enregistrement en ambulatoire, à savoir au domicile du patient, du flux nasalrespiratoire, de l'oxymétrie de pouls, de la fréquence cardiaque, de la position du corps et du ronflement (par mesure de pression).En raison de sa sensibilité et sa spécificité moindre, la PG reste recommandée uniquement en cas de forte probabilité de SAOS. Il existe deux raisons principales à l'origine de la moindre sensibilité de l'examen polygraphique. D'une part, du fait que l'état de veille ou de sommeil n'est pas déterminé avec précision, il y a dilution des événements respiratoires sur l'ensemble de l'enregistrement et non sur la période de sommeil uniquement. D'autre part, en l'absence de tracé EEG, la quantification des micro-éveils est impossible. Il n'est donc pas possible dans l'examen poly graphique, de reconnaître une hypopnée en cas de diminution de flux respiratoire de 20 à 50% non associée à un épisode de désaturation de l'hémoglobine de 3% au moins. Alors que dans l'examen polysomnographique, une telle diminution du flux respiratoire pourrait être associée à un micro-éveil et ainsi comptabilisée en tant qu'hypopnée.De ce constat est né la volonté de trouver un équivalent de micro-éveil en polygraphie, en utilisant les signaux à disposition, afin d'augmenter la sensibilité de l'examen polygraphique.Or plusieurs études ont démontrés que les micro-éveils sont associés à des réactions du système nerveux autonome. Lors des micro-éveils, on met en évidence la survenue d'une vasoconstriction périphérique. La variation du tonus sympathique associée aux micro-éveils peut être mesurée par différentes méthodes. Les variations de l'amplitude de l'onde de pouls mesurée par pulsoxymétrie représentant un marqueur fiable de la vasoconstriction périphérique associée aux micro-réveils, il paraît donc opportun d'utiliser ce marqueur autonomique disponible sur le tracé des polygraphies ambulatoires afin de renforcer la sensibilité de cet examen.Le but de l'étude est d'évaluer la sensibilité des variations de l'amplitude de l'onde de pouls pour détecter des micro-réveils corticaux afin de trouver un moyen d'augmenter la sensibilité de l'examen polygraphique et de renforcer ainsi sont pouvoir diagnostic.L'objectif est de démontrer qu'une diminution significative de l'amplitude de l'onde pouls est concomitante à une activation corticale correspondant à un micro¬réveil. Cette constatation pourrait permettre de déterminer une hypopnée, en polygraphie, par une diminution de 20 à 50% du flux respiratoire sans désaturation de 3% mais associée à une baisse significative de l'amplitude de pouls en postulant que l'événement respiratoire a entraîné un micro-réveil. On retrouve par cette méthode les mêmes critères de scoring d'événements respiratoires en polygraphie et en polysomnographie, et l'on renforce la sensibilité de la polygraphie par rapport au gold standard polysomnographique.La méthode consiste à montrer en polysomnographie qu'une diminution significative de l'amplitude de l'onde de pouls mesurée par pulsoxymétrie est associée à une activation du signal électroencéphalographique, en réalisant une analyse spectrale du tracé EEG lors des baisses d'amplitude du signal d'onde de pouls.Pour ce faire nous avons réalisé une étude rétrospective sur plus de 1000 diminutions de l'amplitude de l'onde de pouls sur les tracés de 10 sujets choisis de manière aléatoire parmi les patients référés dans notre centre du sommeil (CIRS) pour suspicion de trouble respiratoire du sommeil avec somnolence ou symptomatologie diurne.Les enregistrements nocturnes ont été effectués de manière standard dans des chambres individuelles en utilisant le système d'acquisition Embla avec l'ensemble des capteurs habituels. Les données ont été par la suite visuellement analysées et mesurées en utilisant le software Somnologica version 5.1, qui fournit un signal de l'amplitude de l'onde de pouls (puise wave amplitude - PWA).Dans un premier temps, un technicien du sommeil a réalisé une analyse visuelle du tracé EEG, en l'absence des données du signal d'amplitude d'onde de pouls. Il a déterminé les phases d'éveil et de sommeil, les stades du sommeil et les micro¬éveils selon les critères standards. Les micro-éveils sont définis lors d'un changement abrupt dans la fréquence de l'EEG avec un pattern d'ondes thêta-alpha et/ou une fréquence supérieure à 16 Hz (en l'absence de fuseau) d'une durée d'au minimum trois secondes. Si cette durée excède quinze secondes, l'événement correspond à un réveil.Puis, deux investigateurs ont analysé le signal d'amplitude d'onde de pouls, en masquant les données du tracé EEG qui inclut les micro-éveils. L'amplitude d'onde de pouls est calculée comme la différence de valeur entre le zénith et le nadir de l'onde pour chaque cycle cardiaque. Pour chaque baisse de l'amplitude d'onde de pouls, la plus grande et la plus petite amplitude sont déterminées et le pourcentage de baisse est calculé comme le rapport entre ces deux amplitudes. On retient de manière arbitraire une baisse d'au moins 20% comme étant significative. Cette limite a été choisie pour des raisons pratiques et cliniques, dès lors qu'elle représentait, à notre sens, la baisse minimale identifiable à l'inspection visuelle. Chaque baisse de PWA retenue est divisée en 5 périodes contiguës de cinq secondes chacune. Deux avant, une pendant et deux après la baisse de PWA.Pour chaque période de cinq secondes, on a pratiqué une analyse spectrale du tracé EEG correspondant. Le canal EEG C4-A1 est analysé en utilisant la transformée rapide de Fourier (FFT) pour chaque baisse de PWA et pour chaque période de cinq secondes avec une résolution de 0.2 Hz. La distribution spectrale est catégorisée dans chaque bande de fréquence: delta (0.5 à 4.0 Hz); thêta (4.1 à 8.0Hz); alpha (8.1 à 12.0 Hz); sigma (12.1 à 16 Hz) et beta (16.1 à 30.0 Hz). La densité de puissance (power density, en μΥ2 ) pour chaque bande de fréquence a été calculée et normalisée en tant que pourcentage de la puissance totale. On a déterminé, ensuite, la différence de densité de puissance entre les 5 périodes par ANOVA on the rank. Un test post hoc Tukey est été utilisé pour déterminer si les différences de densité de puissance étaient significatives. Les calculs ont été effectués à l'aide du software Sigmastat version 3.0 (Systat Software San Jose, California, USA).Le principal résultat obtenu dans cette étude est d'avoir montré une augmentation significative de la densité de puissance de l'EEG pour toutes les bandes de fréquence durant la baisse de l'amplitude de l'onde de pouls par rapport à la période avant et après la baisse. Cette augmentation est par ailleurs retrouvée dans la plupart des bande de fréquence en l'absence de micro-réveil visuellement identifié.Ce résultat témoigné donc d'une activation corticale significative associée à la diminution de l'onde de pouls. Ce résulat pourrait permettre d'utiliser les variations de l'onde de pouls dans les tracés de polygraphie comme marqueur d'une activation corticale. Cependant on peut dire que ce marqueur est plus sensible que l'analyse visuelle du tracé EEG par un technicien puisque qu'on notait une augmentation de lactivité corticale y compris en l'absence de micro-réveil visuellement identifié. L'application pratique de ces résultats nécessite donc une étude prospective complémentaire.
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BACKGROUND: The aim of our study was the investigation of a novel navigator-gated three-dimensional (3D) steady-state free-precession (SSFP) sequence for free-breathing renal magnetic resonance angiography (MRA) without contrast medium, and to examine the advantage of an additional inversion prepulse for improved contrast. METHODS: Eight healthy volunteers (mean age 29 years) and eight patients (mean age 53 years) were investigated on a 1.5 Tesla MR system (ACS-NT, Philips, Best, The Netherlands). Renal MRA was performed using three navigator-gated free-breathing cardiac-triggered 3D SSFP sequences [repetition time (TR) = 4.4 ms, echo time (TE) = 2.2 ms, flip angle 85 degrees, spatial resolution 1.25 x 1.25 x 4.0 mm(3), scanning time approximately 1 minute 30 seconds]. The same sequence was performed without magnetization preparation, with a non-slab selective and a slab-selective inversion prepulse. Signal-to-noise ratio (SNR), contrast-to-noise (CNR) vessel length, and subjective image quality were compared. RESULTS: Three-dimensional SSFP imaging combined with a slab-selective inversion prepulse enabled selective and high contrast visualization of the renal arteries, including the more distal branches. Standard SSFP imaging without magnetization preparation demonstrated overlay by veins and renal parenchyma. A non-slab-selective prepulse abolished vessel visualization. CNR in SSFP with slab-selective inversion was 43.6 versus 10.6 (SSFP without magnetization preparation) and 0.4 (SSFP with non-slab-selective inversion), P < 0.008. CONCLUSION: Navigator-gated free-breathing cardiac-triggered 3D SSFP imaging combined with a slab-selective inversion prepulse is a novel, fast renal MRA technique without the need for contrast media.
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OBJECT: To determine whether glycine can be measured at 7 T in human brain with (1)H magnetic resonance spectroscopy (MRS). MATERIALS AND METHODS: The glycine singlet is overlapped by the larger signal of myo-inositol. Density matrix simulations were performed to determine the TE at which the myo-inositol signal was reduced the most, following a single spin-echo excitation. (1)H MRS was performed on an actively shielded 7 T scanner, in five healthy volunteers. RESULTS: At the TE of 30 ms, the myo-inositol signal intensity was substantially reduced. Quantification using LCModel yielded a glycine-to-creatine ratio of 0.14 +/- 0.01, with a Cramer-Rao lower bound (CRLB) of 7 +/- 1%. Furthermore, quantification of metabolites other than glycine was possible as well, with a CRLB mostly below 10%. CONCLUSION: It is possible to detect glycine at 7 T in human brain, at the short TE of 30 ms with a single spin-echo excitation scheme.
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OBJECTIVES: The objective of this study was to evaluate associations between aortic pulse wave velocity (PWV) and aortic and carotid vessel wall thickness (VWT) using cardiovascular magnetic resonance imaging (MRI) in patients with hypertension as compared with healthy adult volunteers. MATERIALS AND METHODS: Local medical ethics approval was obtained and the participants gave informed consent. Fifteen patients with hypertension (5 men and 10 women; mean [SD] age, 49 [14] years) and 15 age- and sex-matched healthy volunteers were prospectively included and compared. All participants underwent MRI examination for measuring aortic and carotid VWT and aortic PWV with well-validated MRI techniques at 1.5- and 3-T MRI systems: PWV was assessed from velocity-encoded MRI and VWT was assessed by using dual-inversion black-blood gradient-echo imaging techniques. Paired t tests were used for testing differences between the volunteers and the patients and Pearson correlation (r) and univariable and multivariable stepwise linear regression analyses were used to test associations between aortic and carotid arterial wall thickness and stiffness. RESULTS: Mean values for aortic PWV and aortic and carotid VWT (indexed for body surface area [BSA]) were all significantly higher in patients with hypertension as compared with the healthy volunteers (ie, aortic PWV, 7.0 ± 1.4 m/s vs 5.7 ± 1.3 m/s; aortic VWT/BSA, 0.12 ± 0.03 mL/m vs 0.10 ± 0.03 mL/m; carotid VWT/BSA, 0.04 ± 0.01 mL/m vs 0.03 ± 0.01 mL/m; all P < 0.01). Aortic PWV was highly correlated with aortic VWT/BSA (r = 0.76 and P = 0.002 in the patients vs r = 0.63 and P = 0.02 in the volunteers), and in the patients, aortic PWV was moderately correlated with carotid VWT/BSA (r = 0.50; P = 0.04). In the volunteers, correlation between aortic PWV and carotid VWT/BSA was not significant (r = 0.40; P = 0.13). In addition, aortic VWT/BSA was significantly correlated with carotid VWT/BSA, in both the patients (r = 0.60; P = 0.005) and volunteers (r = 0.57; P = 0.007). CONCLUSIONS: In the patients with hypertension and the healthy volunteers, the aortic PWV is associated more strongly with aortic wall thickness than with carotid wall thickness, reflecting site-specific coupling between vascular wall thickness and function.
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J Clin Hypertens (Greenwich). 2012;14:773-778. ©2012 Wiley Periodicals, Inc. Postmenopausal women are at greater risk for hypertension-related cardiovascular disease. Antihypertensive therapy may help alleviate arterial stiffness that represents a potential modifiable risk factor of hypertension. This randomized controlled study investigated the difference between an angiotensin receptor blocker and a calcium channel blocker in reducing arterial stiffness. Overall, 125 postmenopausal hypertensive women (age, 61.4±6 years; systolic blood pressure/diastolic blood pressure [SBP/DBP], 158±11/92±9 mm Hg) were randomized to valsartan 320 mg±hydrochlorothiazide (HCTZ) (n=63) or amlodipine 10 mg±HCTZ (n=62). The primary outcome was carotid-to-femoral pulse wave velocity (PWV) changes after 38 weeks of treatment. Both treatments lowered peripheral blood pressure (BP) (-22.9/-10.9 mm Hg for valsartan and -25.2/-11.7 mm Hg for amlodipine, P=not significant) and central BP (-15.7/-7.6 mm Hg for valsartan and -19.2/-10.3 mm Hg for amlodipine, P<.05 for central DBP). Both treatments similarly reduced the carotid-femoral PWV (-1.9 vs -1.7 m/s; P=not significant). Amlodipine was associated with a higher incidence of peripheral edema compared with the valsartan group (77% vs 14%, P<.001). BP lowering in postmenopausal women led to a reduction in arterial stiffness as assessed by PWV measurement. Both regimens reduced PWV to a similar degree after 38 weeks of treatment despite differences in central BP lowering, suggesting that the effect of valsartan on PWV is mediated through nonhemodynamic effects.
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OBJECTIVES: A straightforward original Chimney Graft (CG) protocol has been developed at our institution in selected cases of juxtarenal aortic aneurysm (JRAA). The aim of this study was to present our clinical experience of consecutive series with use of uncovered self-expanding stent (SES) as "Open Chimney" (OCh) in the endovascular repair (EVAR) of JRAA. METHODS: A standard endograft with suprarenal fixation struts is delivered with its proximal covered edge just below the highest RA in JRAA presenting the ostium of the two renal arteries at a different aortic level and the distance between the highest renal artery and the beginning of the aneurysm (improved landing zone) ≥10 mm. The low-lying renal artery is maintained patent by the OCh graft (standard SES) delivered from left brachial access (6 Fr). All clinical, anatomical, and operative data were prospectively collected and retrieved for the study analysis. RESULTS: From July 2010 to November 2012, OCh EVAR was offered to 22 consecutive patients considered unfit for JRAA open repair. All procedures were technically successful with aneurysm exclusion and patent OCh graft. One small perioperative type Ia endoleak spontaneously disappeared at the 3-month CT control. One patient died because of acute decompensated heart failure. One patient presented a left hemispheric stroke. The median follow-up of 18 months (range 7-35) showed aneurysm exclusion in all patients without type I and III endoleaks, SES stenosis, and/or renal impairment. CONCLUSIONS: OCh-EVAR is a straightforward technique that can be employed in selected cases of JRAA, avoiding the more complex and expensive fenestrated EVAR.
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The success of anatomic repair of Bankart lesion diminishes in the presence of a capsule stretching and/or attenuation is reported in a variable percentage of patients with a chronic gleno-humeral instability. We introduce a new arthroscopic stitch, the MIBA stitch, designed with a twofold aim: to improve tissue grip to reduce the risk of soft tissue tear, particularly cutting through capsular-labral tissue, to and address capsule-labral detachment and capsular attenuation using a double loaded suture anchor. This stitch is a combination of horizontal mattress stitch passing through the capsular-labral complex in a "south-to-north" direction and an overlapping single vertical suture passing through the capsule and labrum in a "east-to-west" direction. The mattress stitch is tied before the vertical stitch in order to reinforce the simple vertical stitch, improving grip and contact force between capsular-labral tissue and glenoid bone.
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During conventional x-ray coronary angiography, multiple projections of the coronary arteries are acquired to define coronary anatomy precisely. Due to time constraints, coronary magnetic resonance angiography (MRA) usually provides only one or two views of the major coronary vessels. A coronary MRA approach that allowed for reconstruction of arbitrary isotropic orientations might therefore be desirable. The purpose of the study was to develop a three-dimensional (3D) coronary MRA technique with isotropic image resolution in a relatively short scanning time that allows for reconstruction of arbitrary views of the coronary arteries without constraints given by anisotropic voxel size. Eight healthy adult subjects were examined using a real-time navigator-gated and corrected free-breathing interleaved echoplanar (TFE-EPI) 3D-MRA sequence. Two 3D datasets were acquired for the left and right coronary systems in each subject, one with anisotropic (1.0 x 1.5 x 3.0 mm, 10 slices) and one with "near" isotropic (1.0 x 1.5 x 1.0 mm, 30 slices) image resolution. All other imaging parameters were maintained. In all cases, the entire left main (LM) and extensive portions of the left anterior descending (LAD) and the right coronary artery (RCA) were visualized. Objective assessment of coronary vessel sharpness was similar (41% +/- 5% vs. 42% +/- 5%; P = NS) between in-plane and through-plane views with "isotropic" voxel size but differed (32% +/- 7% vs. 23% +/- 4%; P < 0.001) with nonisotropic voxel size. In reconstructed views oriented in the through-plane direction, the vessel border was 86% more defined (P < 0.01) for isotropic compared with anisotropic images. A smaller (30%; P < 0.001) improvement was seen for in-plane reconstructions. Vessel diameter measurements were view independent (2.81 +/- 0.45 mm vs. 2.66 +/- 0.52 mm; P = NS) for isotropic, but differed (2.71 +/- 0.51 mm vs. 3.30 +/- 0.38 mm; P < 0.001) between anisotropic views. Average scanning time was 2:31 +/- 0:57 minutes for anisotropic and 7:11 +/- 3:02 minutes for isotropic image resolution (P < 0.001). We present a new approach for "near" isotropic 3D coronary artery imaging, which allows for reconstruction of arbitrary views of the coronary arteries. The good delineation of the coronary arteries in all views suggests that isotropic 3D coronary MRA might be a preferred technique for the assessment of coronary disease, although at the expense of prolonged scan times. Comparative studies with conventional x-ray angiography are needed to investigate the clinical utility of the isotropic strategy.
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We describe an improved multiple-locus variable-number tandem-repeat (VNTR) analysis (MLVA) scheme for genotyping Staphylococcus aureus. We compare its performance to those of multilocus sequence typing (MLST) and spa typing in a survey of 309 strains. This collection includes 87 epidemic methicillin-resistant S. aureus (MRSA) strains of the Harmony collection, 75 clinical strains representing the major MLST clonal complexes (CCs) (50 methicillin-sensitive S. aureus [MSSA] and 25 MRSA), 135 nasal carriage strains (133 MSSA and 2 MRSA), and 13 published S. aureus genome sequences. The results show excellent concordance between the techniques' results and demonstrate that the discriminatory power of MLVA is higher than those of both MLST and spa typing. Two hundred forty-two genotypes are discriminated with 14 VNTR loci (diversity index, 0.9965; 95% confidence interval, 0.9947 to 0.9984). Using a cutoff value of 45%, 21 clusters are observed, corresponding to the CCs previously defined by MLST. The variability of the different tandem repeats allows epidemiological studies, as well as follow-up of the evolution of CCs and the identification of potential ancestors. The 14 loci can conveniently be analyzed in two steps, based upon a first-line simplified assay comprising a subset of 10 loci (panel 1) and a second subset of 4 loci (panel 2) that provides higher resolution when needed. In conclusion, the MLVA scheme proposed here, in combination with available on-line genotyping databases (including http://mlva.u-psud.fr/), multiplexing, and automatic sizing, can provide a basis for almost-real-time large-scale population monitoring of S. aureus.