120 research outputs found
Cost-Effectiveness of Haemorrhoidal Artery Ligation versus Rubber Band Ligation for the Treatment of Grade IIβIII Haemorrhoids: Analysis Using Evidence from the HubBLe Trial
Aim Haemorrhoids are a common condition, with nearly
30,000 procedures carried out in England in 2014/15, and
result in a significant quality-of-life burden to patients and
a financial burden to the healthcare system. This study
examined the cost effectiveness of haemorrhoidal artery
ligation (HAL) compared with rubber band ligation (RBL)
in the treatment of grade IIβIII haemorrhoids.
Method This analyses used data from the HubBLe study, a
multicentre, open-label, parallel group, randomised controlled
trial conducted in 17 acute UK hospitals between
September 2012 and August 2015. A full economic evaluation,
including long-term cost effectiveness, was conducted
from the UK National Health Service (NHS)
perspective. Main outcomes included healthcare costs,
quality-adjusted life-years (QALYs) and recurrence. Costeffectiveness
results were presented in terms of incremental
cost per QALY gained and cost per recurrence
avoided. Extrapolation analysis for 3 years beyond the trial
follow-up, two subgroup analyses (by grade of haemorrhoids
and recurrence following RBL at baseline), and
various sensitivity analyses were undertaken.
Results In the primary base-case within-trial analysis, the
incremental total mean cost per patient for HAL compared
with RBL was Β£1027 (95% confidence interval [CI] Β£782β
Β£1272, p\0.001). The incremental QALYs were 0.01
QALYs (95% CI -0.02 to 0.04, p = 0.49). This generated
an incremental cost-effectiveness ratio (ICER) of Β£104,427
per QALY. In the extrapolation analysis, the estimated
probabilistic ICER was Β£21,798 per QALY. Results from
all subgroup and sensitivity analyses did not materially
change the base-case result.
Conclusions Under all assessed scenarios, the HAL procedure
was not cost effective compared with RBL for the
treatment of grade II-III haemorrhoids at a cost-effectiveness
threshold of Β£20,000 per QALY; therefore
Auditory Motion Information Drives Visual Motion Perception
BACKGROUND: Vision provides the most salient information with regard to the stimulus motion. However, it has recently been demonstrated that static visual stimuli are perceived as moving laterally by alternating left-right sound sources. The underlying mechanism of this phenomenon remains unclear; it has not yet been determined whether auditory motion signals, rather than auditory positional signals, can directly contribute to visual motion perception. METHODOLOGY/PRINCIPAL FINDINGS: Static visual flashes were presented at retinal locations outside the fovea together with a lateral auditory motion provided by a virtual stereo noise source smoothly shifting in the horizontal plane. The flash appeared to move by means of the auditory motion when the spatiotemporal position of the flashes was in the middle of the auditory motion trajectory. Furthermore, the lateral auditory motion altered visual motion perception in a global motion display where different localized motion signals of multiple visual stimuli were combined to produce a coherent visual motion perception. CONCLUSIONS/SIGNIFICANCE: These findings suggest there exist direct interactions between auditory and visual motion signals, and that there might be common neural substrates for auditory and visual motion processing
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Standing on the shoulders of tech giants: Media delivery, streaming television, and the rise of global suppliers
This article uses the case study of Internet Protocol (IP) delivery for streaming television to demonstrate how technology and globalization combine to change what media firms do, how they create value, and with whom. Media delivery - the sum of the value-adding tasks necessary to transfer content from source to audience - has become a mosaic of technologies that sustain a complex and fast-evolving video ecosystem. Broadcasters had been in charge of the full transmission process once, of tasks deemed core to their business. Today, media delivery is externalized to the market and devolved to a network of suppliers. These suppliers are no ordinary firms, but tech giants that have developed deep global capabilities. They gain further leverage by being cross-sectoral, serving clients across multiple industries. Who are these suppliers? What makes them unique? And what are the implications for the television industry
Modelling the Health Impact of an English Sugary Drinks Duty at National and Local Levels
Increasing evidence associates excess refined sugar intakes with obesity, Type 2 diabetes and heart disease. Worryingly, the estimated volume of sugary drinks purchased in the UK has more than doubled between 1975 and 2007, from 510ml to 1140ml per person per week. We aimed to estimate the potential impact of a duty on sugar sweetened beverages (SSBs) at a local level in England, hypothesising that a duty could reduce obesity and
related diseases.
Methods and Findings
We modelled the potential impact of a 20% sugary drinks duty on local authorities in England between 2010 and 2030. We synthesised data obtained from the British National Diet and Nutrition Survey (NDNS), drinks manufacturers, Office for National Statistics, and
from previous studies. This produced a modelled population of 41 million adults in 326 lower tier local authorities in England. This analysis suggests that a 20% SSB duty could result in approximately 2,400 fewer diabetes cases, 1,700 fewer stroke and coronary heart
disease cases, 400 fewer cancer cases, and gain some 41,000 Quality Adjusted Life Years (QALYs) per year across England. The duty might have the biggest impact in urban areas with young populations.
Conclusions
This study adds to the growing body of evidence suggesting health benefits for a duty on sugary drinks. It might also usefully provide results at an area level to inform local price interventions in England
Multidimensional prognostic indices for use in COPD patient care. A systematic review
Contains fulltext :
98117.pdf (publisher's version ) (Open Access)BACKGROUND: A growing number of prognostic indices for chronic obstructive pulmonary disease (COPD) is developed for clinical use. Our aim is to identify, summarize and compare all published prognostic COPD indices, and to discuss their performance, usefulness and implementation in daily practice. METHODS: We performed a systematic literature search in both Pubmed and Embase up to September 2010. Selection criteria included primary publications of indices developed for stable COPD patients, that predict future outcome by a multidimensional scoring system, developed for and validated with COPD patients only. Two reviewers independently assessed the index quality using a structured screening form for systematically scoring prognostic studies. RESULTS: Of 7,028 articles screened, 13 studies comprising 15 indices were included. Only 1 index had been explored for its application in daily practice. We observed 21 different predictors and 7 prognostic outcomes, the latter reflecting mortality, hospitalization and exacerbation. Consistent strong predictors were FEV1 percentage predicted, age and dyspnoea. The quality of the studies underlying the indices varied between fairly poor and good. Statistical methods to assess the predictive abilities of the indices were heterogenic. They generally revealed moderate to good discrimination, when measured. Limitations: We focused on prognostic indices for stable disease only and, inevitably, quality judgment was prone to subjectivity. CONCLUSIONS: We identified 15 prognostic COPD indices. Although the prognostic performance of some of the indices has been validated, they all lack sufficient evidence for implementation. Whether or not the use of prognostic indices improves COPD disease management or patients' health is currently unknown; impact studies are required to establish this
Aging Affects the Mental Rotation of Left and Right Hands
BACKGROUND:Normal aging significantly influences motor and cognitive performance. Little is known about age-related changes in action simulation. Here, we investigated the influence of aging on implicit motor imagery. METHODOLOGY/PRINCIPAL FINDINGS:Twenty young (mean age: 23.9+/-2.8 years) and nineteen elderly (mean age: 78.3+/-4.5 years) subjects, all right-handed, were required to determine the laterality of hands presented in various positions. To do so, they mentally rotated their hands to match them with the hand-stimuli. We showed that: (1) elderly subjects were affected in their ability to implicitly simulate movements of the upper limbs, especially those requiring the largest amplitude of displacement and/or with strong biomechanical constraints; (2) this decline was greater for movements of the non-dominant arm than of the dominant arm. CONCLUSIONS/SIGNIFICANCE:These results extend recent findings showing age-related alterations of the explicit side of motor imagery. They suggest that a general decline in action simulation occurs with normal aging, in particular for the non-dominant side of the body
Tissue engineering, stem cells, cloning, and parthenogenesis: new paradigms for therapy
Patients suffering from diseased and injured organs may be treated with transplanted organs. However, there is a severe shortage of donor organs which is worsening yearly due to the aging population. Scientists in the field of tissue engineering apply the principles of cell transplantation, materials science, and bioengineering to construct biological substitutes that will restore and maintain normal function in diseased and injured tissues. Both therapeutic cloning (nucleus from a donor cell is transferred into an enucleated oocyte), and parthenogenesis (oocyte is activated and stimulated to divide), permit extraction of pluripotent embryonic stem cells, and offer a potentially limitless source of cells for tissue engineering applications. The stem cell field is also advancing rapidly, opening new options for therapy. The present article reviews recent progress in tissue engineering and describes applications of these new technologies that may offer novel therapies for patients with end-stage organ failure
Synchronous chaos and broad band gamma rhythm in a minimal multi-layer model of primary visual cortex
Visually induced neuronal activity in V1 displays a marked gamma-band
component which is modulated by stimulus properties. It has been argued that
synchronized oscillations contribute to these gamma-band activity [...
however,] even when oscillations are observed, they undergo temporal
decorrelation over very few cycles. This is not easily accounted for in
previous network modeling of gamma oscillations. We argue here that
interactions between cortical layers can be responsible for this fast
decorrelation. We study a model of a V1 hypercolumn, embedding a simplified
description of the multi-layered structure of the cortex. When the stimulus
contrast is low, the induced activity is only weakly synchronous and the
network resonates transiently without developing collective oscillations. When
the contrast is high, on the other hand, the induced activity undergoes
synchronous oscillations with an irregular spatiotemporal structure expressing
a synchronous chaotic state. As a consequence the population activity undergoes
fast temporal decorrelation, with concomitant rapid damping of the oscillations
in LFPs autocorrelograms and peak broadening in LFPs power spectra. [...]
Finally, we argue that the mechanism underlying the emergence of synchronous
chaos in our model is in fact very general. It stems from the fact that gamma
oscillations induced by local delayed inhibition tend to develop chaos when
coupled by sufficiently strong excitation.Comment: 49 pages, 11 figures, 7 table
Global, regional, and national burden of low back pain, 1990β2020, its attributable risk factors, and projections to 2050: a systematic analysis of the Global Burden of Disease Study 2021
Background: Low back pain is highly prevalent and the main cause of years lived with disability (YLDs). We present the most up-to-date global, regional, and national data on prevalence and YLDs for low back pain from the Global Burden of Diseases, Injuries, and Risk Factors Study 2021. Methods: Population-based studies from 1980 to 2019 identified in a systematic review, international surveys, US medical claims data, and dataset contributions by collaborators were used to estimate the prevalence and YLDs for low back pain from 1990 to 2020, for 204 countries and territories. Low back pain was defined as pain between the 12th ribs and the gluteal folds that lasted a day or more; input data using alternative definitions were adjusted in a network meta-regression analysis. Nested Bayesian meta-regression models were used to estimate prevalence and YLDs by age, sex, year, and location. Prevalence was projected to 2050 by running a regression on prevalence rates using Socio-demographic Index as a predictor, then multiplying them by projected population estimates. Findings: In 2020, low back pain affected 619 million (95% uncertainty interval 554β694) people globally, with a projection of 843 million (759β933) prevalent cases by 2050. In 2020, the global age-standardised rate of YLDs was 832 per 100 000 (578β1070). Between 1990 and 2020, age-standardised rates of prevalence and YLDs decreased by 10Β·4% (10Β·9β10Β·0) and 10Β·5% (11Β·1β10Β·0), respectively. A total of 38Β·8% (28Β·7β47Β·0) of YLDs were attributed to occupational factors, smoking, and high BMI. Interpretation: Low back pain remains the leading cause of YLDs globally, and in 2020, there were more than half a billion prevalent cases of low back pain worldwide. While age-standardised rates have decreased modestly over the past three decades, it is projected that globally in 2050, more than 800 million people will have low back pain. Challenges persist in obtaining primary country-level data on low back pain, and there is an urgent need for more high-quality, primary, country-level data on both prevalence and severity distributions to improve accuracy and monitor change. Funding: Bill and Melinda Gates Foundation
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