50 research outputs found
Measurement of serum total and free prostate-specific antigen in women with colorectal carcinoma
We investigated the diagnostic value and the relationship with clinicopathological features of total and free prostate-specific antigen by measuring the concentrations of these markers in the sera of 75 women with colorectal carcinoma and in 30 healthy women. Measurements were performed by immunoradiometric assay which utilizes monoclonal and polyclonal anti-prostate-specific antigen antibodies; the lowest detection level for both markers was 0.01āngāmlā1. Free prostate-specific antigen levels were significantly higher in women with colorectal carcinoma than healthy women (P=0.006). The percentage of free prostate-specific antigen predominant (free prostate-specific antigen/total prostate-specific antigen >50%) subjects was 20% in colorectal carcinoma patients and 3.3% in healthy women (P=0.035). Cut-off values were 0.34āngāmlā1 for total prostate-specific antigen and 0.01āngāmlā1 for free prostate-specific antigen. In women with colorectal carcinoma, total prostate-specific antigen positivity was 20% and free prostate-specific antigen positivity was 34.6%. When compared to negatives, total prostate-specific antigen positive patients had a lower percentage of well-differentiated (P=0.056) and early stage (stages I and II) tumours (P=0.070). However, patients with predominant free prostate-specific antigen, had a higher percentage of well-differentiated (P=0.014) and early stage tumours (P=0.090) than patients with predominant bound prostate-specific antigen. In conclusion, although the sensitivity of free prostate-specific antigen predominancy is low (20%), in distinguishing women with colorectal carcinoma than healthy women, its specificity is high (96.7%). Free prostate-specific antigen predominancy tends to be present in less aggressive tumours. These findings may indicate clinical significance of preoperative measurement of serum total and free prostate-specific antigen in women with colorectal carcinoma
Percutaneous coronary angioplasty versus coronary artery bypass grafting in treatment of unprotected left main stenosis (NOBLE) : a prospective, randomised, open-label, non-inferiority trial
Background Coronary artery bypass grafting (CABG) is the standard treatment for revascularisation in patients with left main coronary artery disease, but use of percutaneous coronary intervention (PCI) for this indication is increasing. We aimed to compare PCI and CABG for treatment of left main coronary artery disease. Methods In this prospective, randomised, open-label, non-inferiority trial, patients with left main coronary artery disease were enrolled in 36 centres in northern Europe and randomised 1: 1 to treatment with PCI or CABG. Eligible patients had stable angina pectoris, unstable angina pectoris, or non-ST-elevation myocardial infarction. Exclusion criteria were ST-elevation myocardial infarction within 24 h, being considered too high risk for CABG or PCI, or expected survival of less than 1 year. The primary endpoint was major adverse cardiac or cerebrovascular events (MACCE), a composite of all-cause mortality, non-procedural myocardial infarction, any repeat coronary revascularisation, and stroke. Non-inferiority of PCI to CABG required the lower end of the 95% CI not to exceed a hazard ratio (HR) of 1 . 35 after up to 5 years of follow-up. The intention-to-treat principle was used in the analysis if not specified otherwise. This trial is registered with ClinicalTrials.gov identifier, number NCT01496651. Findings Between Dec 9, 2008, and Jan 21, 2015, 1201 patients were randomly assigned, 598 to PCI and 603 to CABG, and 592 in each group entered analysis by intention to treat. Kaplan-Meier 5 year estimates of MACCE were 29% for PCI (121 events) and 19% for CABG (81 events), HR 1 . 48 (95% CI 1 . 11-1 . 96), exceeding the limit for non-inferiority, and CABG was significantly better than PCI (p=0 . 0066). As-treated estimates were 28% versus 19% (1 . 55, 1 . 18-2 . 04, p= 0 . 0015). Comparing PCI with CABG, 5 year estimates were 12% versus 9% (1 . 07, 0 . 67-1 . 72, p= 0 . 77) for all-cause mortality, 7% versus 2% (2 . 88, 1 . 40-5 . 90, p= 0 . 0040) for non-procedural myocardial infarction, 16% versus 10% (1 . 50, 1 . 04-2 . 17, p= 0 . 032) for any revascularisation, and 5% versus 2% (2 . 25, 0 . 93-5 . 48, p= 0 . 073) for stroke. Interpretation The findings of this study suggest that CABG might be better than PCI for treatment of left main stem coronary artery disease.Peer reviewe
Randomised comparison of provisional side branch stenting versus a two-stent strategy for treatment of true coronary bifurcation lesions involving a large side branch: the Nordic-Baltic Bifurcation Study IV
Background It is still uncertain whether coronary bifurcations with lesions involving a large side branch (SB) should be treated by stenting the main vessel and provisional stenting of the SB (simple) or by routine two-stent techniques (complex). We aimed to compare clinical outcome after treatment of lesions in large bifurcations by simple or complex stent implantation.Methods The study was a randomised, superiority trial. Enrolment required a SB >= 2.75 mm, >= 50% diameter stenosis in both vessels, and allowed SB lesion length up to 15 mm. The primary endpoint was a composite of cardiac death, non-procedural myocardial infarction and target lesion revascularisation at 6 months. Two-year clinical follow-up was included in this primary reporting due to lower than expected event rates.Results A total of 450 patients were assigned to simple stenting (n = 221) or complex stenting (n=229) in 14 Nordic and Baltic centres. Two-year follow-up was available in 218 (98.6%) and 228 (99.5%) patients, respectively. The primary endpoint of major adverse cardiac events (MACE) at 6 months was 5.5% vs 2.2% (risk differences 3.2%, 95% CI -0.2 to 6.8, p=0.07) and at 2 years 12.9% vs 8.4% (HR 0.63, 95% CI 0.35 to 1.13, p = 0.12) after simple versus complex treatment. In the subgroup treated by newer generation drug-eluting stents, MACE was 12.0% vs 5.6% (HR 0.45, 95% CI 0.17 to 1.17, p = 0.10) after simple versus complex treatment.Conclusion In the treatment of bifurcation lesions involving a large SB with ostial stenosis, routine two-stent techniques did not improve outcome significantly compared with treatment by the simpler main vessel stenting technique after 2 years
Reperfusion therapy for ST elevation acute myocardial infarction 2010/2011: current status in 37 ESC countries
Aims Primary percutaneous coronary intervention (PPCI) is the preferred reperfusion therapy in ST-elevation myocardial infarction (STEMI). We conducted this study to evaluate the contemporary status on the use and type of reperfusion therapy in patients admitted with STEMI in the European Society of Cardiology (ESC) member countries. Methods and results A cross-sectional descriptive study based on aggregated country-level data on the use of reperfusion therapy in patients admitted with STEMI during 2010 or 2011. Thirty-seven ESC countries were able to provide data from existing national or regional registries. In countries where no such registries exist, data were based on best expert estimates. Data were collected on the use of STEMI reperfusion treatment and mortality, the numbers of cardiologists, and the availability of PPCI facilities in each country. Our survey provides a brief data summary of the degree of variation in reperfusion therapy across Europe. The number of PPCI procedures varied between countries, ranging from 23 to 884 per million inhabitants. Primary percutaneous coronary intervention and thrombolysis were the dominant reperfusion strategy in 33 and 4 countries, respectively. The mean population served by a single PPCI centre with a 24-h service 7 days a week ranged from 31 300 inhabitants per centre to 6 533 000 inhabitants per centre. Twenty-seven of the total 37 countries participated in a former survey from 2007, and major increases in PPCI utilization were observed in 13 of these countries. Conclusion Large variations in reperfusion treatment are still present across Europe. Countries in Eastern and Southern Europe reported that a substantial number of STEMI patients are not receiving any reperfusion therapy. Implementation of the best reperfusion therapy as recommended in the guidelines should be encourage
Inverse load sensing method for line load determination of beam-like structures
In this thesis, an inverse load sensing method is developed and investigated. Accordingly, it is found that strain measurements of a beam-like structure can be utilized in order to solve the actuating line load distribution. The feasibility of the method, especially for rotating beams is evaluated.
The main applications of the method are in paper manufacturing processes, in which the paper web is pressed between rotating rolls and a line load distribution is created in the cross direction of the contact zone. The line load is particularly important, since it controls the surface properties of the paper, and is typically very difficult to measure accurately. In the contact zone, not only the paper, but also the rolls, are significantly influenced by the line load and experience considerable bending and flattening deformations. Thus, based on measurement of the strain of one of the rolls, the proposed method could be used to determine the governing line load distribution. Furthermore, the method could also be applied to other types of beam-like structures, for which the loading has to be determined.
The strain-force relationship of the given structure is described by an influence coefficient matrix, which is formed by means of an appropriate unit load procedure. Since the loading input of the structure is determined on the basis of the strain response it produces, the proposed method is inverse. As is often the case in inverse problems, the system equations are found to be ill-posed, therefore, small errors in the measured input cause large deviations in the solution. Thus, the quality of the solution is improved by introducing a suitable regularization technique.
The feasibility of the inverse load sensing method is first verified in two experimental cases of static point forces acting on beam-like structures. Then, two different approaches and the applicability of the method are evaluated with a purely computational analysis of a case, in which the line load distribution acts on a static beam-like roll structure. Finally, the feasibility of the method is tested on a real dynamic application of a pilot roll press. Strain gages are installed onto the inner surfaces of one of the rolls to give the needed strain data during a run. With appropriate conditions and adaptations, the proposed load sensing method can be utilized. The results were promising, although the implementation of the method should be carefully evaluated according to the requirements of the application
Inverse load sensing method for line load determination of beam-like structures
In this thesis, an inverse load sensing method is developed and investigated. Accordingly, it is found that strain measurements of a beam-like structure can be utilized in order to solve the actuating line load distribution. The feasibility of the method, especially for rotating beams is evaluated.
The main applications of the method are in paper manufacturing processes, in which the paper web is pressed between rotating rolls and a line load distribution is created in the cross direction of the contact zone. The line load is particularly important, since it controls the surface properties of the paper, and is typically very difficult to measure accurately. In the contact zone, not only the paper, but also the rolls, are significantly influenced by the line load and experience considerable bending and flattening deformations. Thus, based on measurement of the strain of one of the rolls, the proposed method could be used to determine the governing line load distribution. Furthermore, the method could also be applied to other types of beam-like structures, for which the loading has to be determined.
The strain-force relationship of the given structure is described by an influence coefficient matrix, which is formed by means of an appropriate unit load procedure. Since the loading input of the structure is determined on the basis of the strain response it produces, the proposed method is inverse. As is often the case in inverse problems, the system equations are found to be ill-posed, therefore, small errors in the measured input cause large deviations in the solution. Thus, the quality of the solution is improved by introducing a suitable regularization technique.
The feasibility of the inverse load sensing method is first verified in two experimental cases of static point forces acting on beam-like structures. Then, two different approaches and the applicability of the method are evaluated with a purely computational analysis of a case, in which the line load distribution acts on a static beam-like roll structure. Finally, the feasibility of the method is tested on a real dynamic application of a pilot roll press. Strain gages are installed onto the inner surfaces of one of the rolls to give the needed strain data during a run. With appropriate conditions and adaptations, the proposed load sensing method can be utilized. The results were promising, although the implementation of the method should be carefully evaluated according to the requirements of the application