scholarly journals Childhood injury after a parental cancer diagnosis

eLife ◽  
2015 ◽  
Vol 4 ◽  
Author(s):  
Ruoqing Chen ◽  
Amanda Regodón Wallin ◽  
Arvid Sjölander ◽  
Unnur Valdimarsdóttir ◽  
Weimin Ye ◽  
...  

A parental cancer diagnosis is psychologically straining for the whole family. We investigated whether a parental cancer diagnosis is associated with a higher-than-expected risk of injury among children by using a Swedish nationwide register-based cohort study. Compared to children without parental cancer, children with parental cancer had a higher rate of hospital contact for injury during the first year after parental cancer diagnosis (hazard ratio [HR] = 1.27, 95% confidence interval [CI] = 1.22-1.33), especially when the parent had a comorbid psychiatric disorder after cancer diagnosis (HR = 1.41, 95% CI = 1.08-1.85). The rate increment declined during the second and third year after parental cancer diagnosis (HR = 1.10, 95% CI = 1.07-1.14) and became null afterwards (HR = 1.01, 95% CI = 0.99-1.03). Children with parental cancer also had a higher rate of repeated injuries than the other children (HR = 1.13, 95% CI = 1.12-1.15). Given the high rate of injury among children in the general population, our findings may have important public health implications.

PEDIATRICS ◽  
1970 ◽  
Vol 45 (6) ◽  
pp. 960-962
Author(s):  
Clarence H. Webb

In view of the fact that this reviewer has spent a considerable part of his professional career rendering the type of service which Dr. Anderson decries as unnecessary, it is difficult to review the article without doing what the author found difficult to avoid, which is to be swayed by preconceptions. It is hoped that the author will temper his bias with the reviewer's bias to bring conclusions and recommendations out of the study which the figures justify and which are nearer the middle of the road. There are physicians in pediatrics who consider regular examination of infants and children to be desirable and productive; there are physicians who prefer that a variety of methods be used in pediatrics until it is fully demonstrated that one is superior to the other and do not wish to be forced into a "new pediatrics" unless it is demonstrably better; and, there are parents who bring their babies to pediatricians for reasons other than those mentioned, i.e., for treatment or prevention of abnormal conditions. Their babies are precious commodities and they wish to know that the babies do not have abnormalities but also want reassurance that they are caring for the babies properly, affording them attention and supervision which is not just good but is superior, and being good parents who are helping their babies in every way to develop the best of their potentials. Herein lies an innate difference between public health and private health in pediatrics which seems to have been highly desirable to pediatricians and parents in the past.


1993 ◽  
Vol 33 (2) ◽  
pp. 173 ◽  
Author(s):  
PTW Wong ◽  
PM Dowling ◽  
LA Tesoriero ◽  
HI Nicol

The effects of cultivation and herbicide use to control weeds in wheat on wheat growth, the severity of take-all, and the incidence of rhizoctonia root rot were studied for 2 seasons. Preseason treatments were no weed control, paraquat (0.20 kg a.i./ha), glyphosate (0.18 kg a.i./ha or 4 applications of 0.72 kg a.i./ha), and heavy grazing. In-crop treatments were cultivation plus trifluralin, direct drilling plus chlorsulfuron, and direct drilling alone. At the site, take-all was the main disease while rhizoctonia root rot was relatively minor. Glyphosate applied 4 times at 0.72 kg a.i./ha over the previous spring and summer led to greater wheat dry matter (DM) production, significantly (P<0.05) less severe take-all, and a lower incidence of rhizoctonia root rot in the first year than the other preseason treatments. Spraytopping with glyphosate (0.18 kg a.i./ha) or paraquat (0.20 kg a.i./ha) and heavy grazing reduced take-all severity but not the incidence of rhizoctonia root rot. Conventional cultivation resulted in more wheat DM, significantly less severe take-all, and a lower incidence of rhizoctonia root rot than direct drilling. Grain yields reflected the trends of the DM production despite severe yield loss due to head frosting. Plots were split for cultivation and direct drilling in the second year. The highest wheat DM and grain yields were in the cultivated treatments but the effects of cultivation on take-all did not carry over from the first year. In both years, take-all was most severe in the control treatment and least severe in the treatment with the high rate of glyphosate (P<0.05). In the second wheat crop, however, take-all severity was similar in the 2 glyphosate, paraquat, and grazed treatments. The effect of a weed-free fallow obtained by use of a high rate of glyphosate was nullified in the second wheat crop because of a high carryover of volunteer wheat seedlings during the intervening wet summer. There was also a greater incidence of rhizoctonia root rot in the control than in the other treatments, and cultivation again reduced disease incidence compared with direct drilling.


2015 ◽  
Vol 24 (11) ◽  
pp. 1521-1528 ◽  
Author(s):  
Laura Deckx ◽  
Marjan van den Akker ◽  
Mieke van Driel ◽  
Paul Bulens ◽  
Doris van Abbema ◽  
...  

2020 ◽  
Vol 26 ◽  
Author(s):  
Maísa Soares de Oliveira ◽  
João Augusto Oshiro-Junior ◽  
Mariana Morais Dantas ◽  
Naara Felipe da Fonsêca ◽  
Hilthon Alves Ramos ◽  
...  

: Bacterial resistance is considered one of the most important public health problems of the century, due to the rapid ability of bacteria to develop resistance mechanisms, which makes it difficult to treat infections, leading to a high rate of morbidity and mortality. Based on this, several options are being sought as an alternative to currently available treatments, with a particular focus on nanotechnology. Nanomaterials have important potential for use in medical interventions aimed at preventing, diagnosing and treating numerous diseases by directing the delivery of drugs. This review presents data on the use of polymeric nanoparticles related to in vitro and in vivo activity against bacteria belonging to the Enterobacteriaceae family.


BMC Medicine ◽  
2020 ◽  
Vol 18 (1) ◽  
Author(s):  
Kejia Hu ◽  
Arvid Sjölander ◽  
Donghao Lu ◽  
Adam K. Walker ◽  
Erica K. Sloan ◽  
...  

Abstract Background Cancer patients have a highly increased risk of psychiatric disorders following diagnosis, compared with cancer-free individuals. Inflammation is involved in the development of both cancer and psychiatric disorders. The role of non-steroidal anti-inflammatory drugs (NSAIDs) in the subsequent risk of psychiatric disorders after cancer diagnosis is however unknown. Methods We performed a cohort study of all patients diagnosed with a first primary malignancy between July 2006 and December 2013 in Sweden. Cox proportional hazards models were used to assess the association of NSAID use during the year before cancer diagnosis with the risk of depression, anxiety, and stress-related disorders during the first year after cancer diagnosis. Results Among 316,904 patients identified, 5613 patients received a diagnosis of depression, anxiety, or stress-related disorders during the year after cancer diagnosis. Compared with no use of NSAIDs, the use of aspirin alone was associated with a lower rate of depression, anxiety, and stress-related disorders (hazard ratio [HR], 0.88; 95% confidence interval [CI], 0.81 to 0.97), whereas the use of non-aspirin NSAIDs alone was associated with a higher rate (HR, 1.24; 95% CI, 1.15 to 1.32), after adjustment for sociodemographic factors, comorbidity, indications for NSAID use, and cancer characteristics. The association of aspirin with reduced rate of depression, anxiety, and stress-related disorders was strongest for current use (HR, 0.84; 95% CI, 0.75 to 0.93), low-dose use (HR, 0.88; 95% CI, 0.80 to 0.98), long-term use (HR, 0.84; 95% CI, 0.76 to 0.94), and among patients with cardiovascular disease (HR, 0.81; 95% CI, 0.68 to 0.95) or breast cancer (HR, 0.74; 95% CI, 0.56 to 0.98). Conclusion Pre-diagnostic use of aspirin was associated with a decreased risk of depression, anxiety, and stress-related disorders during the first year following cancer diagnosis.


Blood ◽  
2021 ◽  
Vol 138 (Supplement 1) ◽  
pp. 753-753
Author(s):  
Radhika Gangaraju ◽  
Smita Bhatia ◽  
Kelly Kenzik

Abstract INTRODUCTION: Lymphoma is associated with a high risk of venous-thromboembolism (VTE); we have previously shown that elderly patients with diffuse large B cell lymphoma (DLBCL) have a 6.7-fold higher risk of VTE compared to control population without a history of cancer. Given this high risk, we sought to examine the impact of VTE on healthcare utilization using Surveillance, Epidemiology, and End Results Registry (SEER) data linked with Medicare. METHODS: We identified 5,537 Medicare beneficiaries diagnosed with DLBCL at age ≥66 years between 2011 and 2015, with at least 1 year of coverage prior to diagnosis, and initiation of chemotherapy within 1 year post-diagnosis. We ascertained pre-existing comorbidities for the 1 year prior to DLBCL diagnosis. Patients were followed from DLBCL diagnosis until 1 year after cancer diagnosis, or until death, loss of continuous Part A or Part B coverage, blood or marrow transplantation, or end of study (12/31/2016), whichever came first. VTE diagnosis was based on ICD 9 and ICD 10 codes for events including deep vein thrombosis (DVT) and pulmonary embolism (PE). Hospitalizations and Outpatient Visits: Total number of hospitalizations and outpatient visits were compared in DLBCL patients with and without VTE for 1 year after cancer diagnosis, using multivariable negative binomial regression, offset for person-months and adjusting for age at diagnosis, race/ethnicity, stage at diagnosis and number of pre-DLBCL comorbidities (0, 1, 2+). Predicted counts for hospitalizations and outpatient visits were estimated from the multivariable models. Healthcare Spending: Total inpatient and outpatient Medicare spending and spending per visit was estimated from multivariable quantile regression, offset for person-months contributed and adjusting for age at diagnosis, race/ethnicity, stage at diagnosis, and pre-DLBCL comorbidities (0, 1, 2+). RESULTS: Overall, 462 (8.3%) patients developed VTE within 1 year of diagnosis of DLBCL and 244 patients had a VTE history before lymphoma diagnosis. Patients with VTE after DLBCL diagnosis had increased number of hospitalizations compared to those without VTE at the 3, 6 and 12 month time points in the first year after cancer diagnosis (Table 1). The median number of hospitalizations in patients with VTE was 2 compared to 1 in those without VTE at 3 months (p&lt;0.0001). Increased hospitalizations continued until 1 year after lymphoma diagnosis; median number of hospitalizations was 3 in those with VTE compared to 2 in those without VTE at 1 year (p&lt;0.0001). This lead to $51,285 in Medicare spending for hospitalizations in those with VTE compared to $37,065 in those without VTE (excess Medicare spending of $14,220 in those with VTE) in the first year after DLBCL diagnosis (p&lt;0.001). We found no difference in the cost per visit; the excess costs were due to increased number of hospitalizations. The excess hospitalizations in those with VTE compared to those without VTE were primarily related to admissions for cardiovascular problems that included PE and/or DVT (14% vs 5%, respectively; p&lt;0.001). Patients with VTE also had increased outpatient visits in the first year (Table 2). Median number of outpatient visits was 17 in those with VTE compared to 14 in those without VTE at 1 year (p&lt;0.001). Medicare spending for outpatient visits in patients with a VTE diagnosis after DLBCL was $13,851 in the first year compared to $5,863 in those without VTE ($7,988 excess in those with VTE, p&lt;0.001). Similar to hospitalizations, there was no difference in the cost per outpatient visit and the excess costs were due to increased number of visits. Increased outpatient healthcare utilization was also noted in patients who had a history of VTE prior to DLBCL diagnosis compared to those without VTE (median number of outpatient visits: 18 vs 14, p&lt;0.001). CONCLUSION: In conclusion, elderly patients with DLBCL and VTE (diagnosed both before and after DLBCL diagnosis) have substantially higher healthcare utilization compared to those without VTE, resulting from both increased hospitalizations and outpatient visits in the first year after cancer diagnosis; these translate into higher Medicare spending. These findings identify a need for thromboprophylaxis in high risk patients after DLBCL diagnosis and future studies should assess cost-benefit analysis with thromboprophylaxis. Figure 1 Figure 1. Disclosures Gangaraju: Alexion: Consultancy; Sanofi Genzyme: Consultancy.


2021 ◽  
Vol 11 (3) ◽  
pp. 509-519
Author(s):  
Marin Golčić ◽  
Ilijan Tomaš ◽  
Aleksandra Stevanović ◽  
Goran Golčić ◽  
Renata Dobrila-Dintinjana ◽  
...  

Since smoking accounts for around 30% of all cancer deaths, public health campaigns often focus on smoking cessation as a means of primary prevention. However, smoking after cancer diagnosis is also associated with a higher symptom burden and lower survival rate. As data regarding smoking cessation vary dramatically between different populations, we aimed to analyze smoking prevalence in cancer patients, smoking cessation after ancer diagnosis, and the factors associated with smoking cessation in the setting of a developing country. We performed a cross-sectional survey on 695 patients in two clinical hospital centers. After cancer diagnosis, 15.6% of cancer patients stopped smoking. Male gender, younger age, and smoking-related cancer were the main factors associated with greater smoking cessation (p < 0.05). A total of 96% of breast cancer pa-tients continued to smoke after cancer diagnosis and, compared to lung and colorectal cancer pa-tients, exhibited a lower reduction in the number of cigarettes smoked (p = 0.023). An alarming rate of smoking prevalence was recorded in younger patients (45.6% at the time of cancer diagno-sis) suggesting a future rise in smoking-related cancers and complications. These results should guide anti-smoking public health campaigns in transitional countries with a critical focus on younger and breast cancer patients.


PLoS ONE ◽  
2020 ◽  
Vol 15 (12) ◽  
pp. e0243449
Author(s):  
Andry Van de Louw ◽  
Austin Cohrs ◽  
Douglas Leslie

Background The incidence of sepsis has been rising overall but updated data in cancer patients are lacking. After a cancer diagnosis, incidence of sepsis and overall mortality peak within the first year. However, how much sepsis contributes to mortality remains unclear. We used a multistate model approach to analyze the incidence, risk factors and associated mortality of sepsis within 1 year of cancer diagnosis in middle aged adults. Methods Analysis of a large US health insurance claims database (Marketscan) between 2005 and 2014. Patients with a new diagnosis of cancer who received chemotherapy were included. Within a year of diagnosis, we assessed inpatient admissions for sepsis based on ICD-9 codes and survival using hospitalizations, outpatient visits and prescriptions filled. Competing risk and multistate models were used to assess the incidence of sepsis and transition probabilities between cancer, sepsis and death. Results 119,379 patients (38.9% males), aged 55 (50–60) years, were included; 2,560 developed isolated sepsis, 477 severe sepsis and 1331 septic shock within 1 year, with associated hospital mortality of 14.8%, 30% and 46% respectively. The probability of sepsis increased between 2005 and 2014; at 1 year, its cumulative incidence was 3.7% with a probability of mortality after sepsis of 35.5% (95% CI 21.6%-50.9%). Age, male gender, Charlson comorbidity index, hematological malignancies and metastases at diagnosis were associated with sepsis and mortality. Conclusions Incidence and mortality of sepsis were 3.7% and 35.5% at 1 year after cancer diagnosis and were both associated with baseline patient and cancer characteristics.


2020 ◽  
Vol 11 (SPL1) ◽  
pp. 967-971
Author(s):  
Poonam Thakre ◽  
Waqar M. Naqvi ◽  
Trupti Deshmukh ◽  
Nikhil Ingole ◽  
Sourabh Deshmukh

The emergence in China of 2019 of severe acute respiratory syndrome coronavirus2 (SARS-CoV-2) previously provisionally names 2019-nCoV disease (COVID19) caused major global outbreak and is a major public health problem. On 30 January 2020, the WHO declared COVID19 to be the sixth international public health emergency. This present pandemic has engrossed the globe with a high rate of mortality. As a front line practitioner, physiotherapists are expected to be getting in direct contact with patients infected with the virus. That’s why it is necessary for understanding the many aspects of their role in the identification, contains, reduces and treats the symptoms of this disease. The main presentation is the involvement of respiratory system with symptoms like fever, cough, sore throat, sneezing and characteristics of pneumonia leads to ARDS(Acute respiratory distress syndrome) also land up in multiorgan dysfunction syndrome. This text describes and suggests physiotherapy management of acute COVID-19 patients. It also includes recommendations and guidelines for physiotherapy planning and management. It also covers the guidelines regarding personal care and equipment used for treatment which can be used in the treatment of acute adult patients with suspected or confirmed COVID-19.


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