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Moldovan Medical JournalThe Publication of the Scientific Medical Association of Moldova
Frequency – 4 per yearCategory – B+
ISSN 2537-6373 (Print)ISSN 2537-6381 (Online)
Welcome to the Moldovan Medical Journal!The Moldovan Medical Journal is an international scientific double-blind peer reviewed periodical edition, 4 per year, of the
Scientific Medical Association of the Republic of Moldova designed for specialists in the areas of medicine, dentistry, pharmacy, social medicine and public health. From its debut the journal has striven to support the interests of Moldovan medicine concern-ing the new concepts of its development.
The Editorial Board warmly welcomes both the readers of and the authors for the journal, all those who are enthusiastic in searching new and more effective ways of solving numerous medicine problems. We hope that those who want to make their contribution to the science of medicine will find our journal helpful and encouraging.
The
Online Fully Open Access Journal
Articles are released under the terms of CC BY SA 4.0 International License
Our journal follows the COPE, WAME, ICMJE, OASPA and ORCID recommendations
This issue is dedicated to the Annual Scientific Conferenceof Nicolae Testemitanu State University of Medicine and Pharmacy
of the Republic of Moldovaon the occasion of the 76 years of activity
ReseaRch iN biomediciNe aNd healThqualiTy, excelleNce aNd peRfoRmaNce
Vol. 64, No 4October 2021
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Moldovan Medical Journal. October 2021;64(4):2
Stanislav Groppa, MD, PhD, Academician, Professor of Neurology, Laboratory of Neurobiology and Medical Genetics, Chisinau, Moldovahttps://orcid.org/0000-0002-2120-2408; [emailprotected] H-index Scopus – 7, Citations – 342; Google Scholar – 12, Citations – 3282; Web of Science – 8, Citations – 2024.
Emeritus Editor-in-Chief
Managing Associate EditorVitalie Lisnic, MD, PhD, FEAN, Professor of Neurology, Diomid Gherman Institute of Neurology and Neurosurgery, Chisinau, Moldovahttps://rcid.org/0000-0002-5432-8859; [emailprotected]. H-index Scopus – 5, Citations – 136; Google Scholar – 6, Citations – 226; Web of Science – 5, Citations – 115
Editorial BoardEditor-in-Chief
Boris Topor, MD, PhD, Professor of Clinical Anatomy and Operative Surgery, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldova. https://orcid.org/0000-0003-4427-2027; [emailprotected]. H-index Scopus – 3, Citations – 85
Associate EditorsSava Kostin, MD, PhD, Honorary Academician of Moldova, Professor of Morphopathology, Max-Planck-Institute for Heart and Lung Research, Bad Nauheim, Germany. https://orcid.org/0000-0002-1594-9476; [emailprotected]. de H-index Scopus – 58, Citations – 11703Alexander Mustea, MD, PhD, Professor of Gynecology, Department of Gynecology and Gynecological Oncology, University Hospital, Bonn, Germany. https://orcid.org/0000-0002-3002-6039; [emailprotected] Publication metrics: H-index Scopus – 25, Citations – 250
Editorial Advisory BoardAdrian Belii, MD, PhD, Professor of Anesthesiology and Reanimatology, Institute of Emergency Medicine, Chisinau, Moldova.https://orcid.org/0000-0002-4128-1318; [emailprotected] H-index Scopus – 5, Citations 186; Google Scholar – 5, Citations – 152
Victor Botnaru, MD, PhD, Professor of Internal Medicine, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldova https://orcid.org/0000-0002-0863-5268; [emailprotected]. H-index Scopus – 6, Citations – 2188; Google Scholar – 9, Citations – 381
Emil Ceban, MD, PhD, Professor of Urology, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldova.https://orcid.org/0000-0002-1583-2884; [emailprotected] H-index Scopus – 5, Citations – 39; Google Scholar – 8, Citations – 172
Dumitru Chesov, MD, PhD, Associate Professor of Pneumology, Nicolae Testemitanu State University of Medicine and Pharmacy, Moldova. https://orcid.org/0000-0001-6203-5020; [emailprotected] H-index Scopus – 7, Citations – 116; Google Scholar – 7, Citations – 188
Ion Codreanu, MD, PhD, Associate Professor of Radiology, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldova https://orcid.org/0000-0002-2644-5572; [emailprotected]. H-index Scopus – 12, Citations – 680; Google Scholar – 16, Citations – 1132
Susan Galandiuk, MD, Professor of Surgery, School of Medicine, University of Louisville, Kentucky, USAhttps://orcid.org/0000-0001-9994-5263; [emailprotected] H-index Scopus – 44, Citations – 7110
Aurel Grosu, MD, PhD, Professor of Cardiology, Institute of Cardiology, Chisinau, Moldovahttps://orcid.org/0000-0002-2824-2306; [emailprotected] H-index Scopus – 11, Citations – 10980; Web of Science – 2, Citations – 13
Gabriel Gurman, MD, Emeritus Professor of Anesthesiology and Critical Care, Ben Gurion University of Negev, Israel.https://orcid.org/0000-0001-9694-4652; [emailprotected] H-index Scopus – 26, Citations – 1883
Raymund Horch, MD, Professor of Surgery, Department of Plastic Surgery, Friedrich Alexander University, Erlangen-Nurnberg, Germanyhttps://orcid.org/0000-0002-6561-2353; [emailprotected] Scopus – 46, Citations – 8526; Web of Science – 43, Citations – 7675
Anna Ivanenko, MD, PhD, Professor of Psychiatry and Behavioral Sciences, Feinberg School of Medicine, Northwestern University, Chicago, USA. https://orcid.org/0000-0001-8998-6619; [emailprotected] H-index Scopus – 21, Citations – 2040
Igor Mishin, MD, PhD, Professor of Surgery, Institute of Emergency Medicine, Chisinau, Moldovahttps://orcid.org/0000-0003-0754-7917; [emailprotected] Scopus – 8, Citations – 213; Google Scholar – 12, Citations – 478; Web of Science – 6, Citations – 115
Viorel Nacu, MD, PhD, Professor of Clinical Anatomy and Operative Surgery, Laboratory of Tissue Engineering and Cell Cultures, Chisinau, Moldova. https://orcid.org/0000-00032274-9912; [emailprotected] H-index Scopus – 5, Citations – 97; Google Scholar – 7, Citations – 223
Murali Naidu, BDS, MMedSc, PhD, Professor of Anatomy, University of Malaya, Kuala Lumpur, Malaysiahttps://orcid.org/0000-0001-6156-430X; [emailprotected] Scopus – 18, Citations– 830; Google Scholar – 3, Citations – 17; Web of Science – 17, Citations – 717
Hiram Polk Jr, MD, Emeritus Professor of Surgery, School of Medicine, University of Louisville, Kentucky, USAhttps://orcid.org/0000-0002-1590-4219; [emailprotected] H-index Scopus – 59, Citations – 14989
Irinel Popescu, MD, PhD, Academician, Professor of Surgery, Dan Setlacec Center of General Surgery and Liver Transplantation, Bucharest, Romania. https://orcid.org/0000-0002-2897-1170; [emailprotected] Scopus – 31, Citations – 4622; Google Scholar – 43, Citations – 8368; Web of Science–35, Citations – 4814
Lilian Saptefrati, MD, PhD, Professor of Histology, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldovahttps://orcid.org/0000-0003-2779-718X; [emailprotected] H-index Scopus – 5, Citations – 53; Google Scholar – 7, Citations – 142
Dumitru Sofroni, MD, PhD, Professor of Oncology, Institute of Oncology, Chisinau, Moldovahttps://orcid.org/0000-0003-2779-718X; [emailprotected] H-index Scopus – 4, Citations – 96; Web of Science – 4, Citations – 95
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Moldovan Medical Journal. October 2021;64(4):4
InDExIng AnD ABStRACtIng1. DOAJ Aworded the Seal, Directory of Open Access Journals (www.doaj.org)2. Google Scholar (https://scholar.google.com/citations?hl=en&user=weWUEMAAAAAJ)3. VINITI, All-Russian Scientific and Technical Information Institute (www.viniti.ru)4. Ulrichsweb Global Serials Directory (www.ulrichsweb.serialssolutions.com)5. Directory of Open Access Scholarly Resources (https://portal.issn.org/resource/ISSN/2537-6381#)6. CrossRef (www.crossref.org) official Digital Object Identifier (DOI) Registration Agency of the International DOI Foundation7. eLIBRARY.RU – Scientific Electronic Library (https://elibrary.ru/contents.asp?titleid=65889)8. Sherpa Romeo, open access policies analyzer (https://v2.sherpa.ac.uk/id/publication/35606)9. EuroPub, Directory of Academic and Scientific Journals (https://europub.co.uk/journals/19267)
10. Collective Catalogue of Moldovan University Libraries Consortium (www.primo.libuniv.md)11. National Bibliometric Instrumnt (https://ibn.idsi.md/ro/vizualizare_revista/moldmedjournal)12. Institutional Repository in Medical Sciences (http://library.usmf.md:8080/jspui/handle/123456789/5643)13. WorldCat (https://www.worldcat.org/title/moldovan-medical-journal/oclc/1029854308&referer=brief_results)14. NLM LocatorPlus (https://locatorplus.gov/cgi-bin/Pwebrecon.cgi)15. BASE, Bielefeld Academic Search Engine (https://www.base-search.net/Search/Results?lookfor=moldovan+medical+journal&name=&oaboost=1&new
search=1&refid=dcbasen)16. Integrated Information System of Moldova’s Libraries (SIBIMOL) (http://cc.sibimol.bnrm.md/opac/bibliographic_view/573823?pn=opac%2FSearch&q=
moldovan+medical+journal#level=all&location=0&ob=asc&q=moldovan+medical+journal&sb=relevance&start=0&view=CONTENT)17. CiteFactor Academic Scientific Journals (https://www.citefactor.org/journal/index/23553#.XAjn89szbIU)18. Central and East European Index (https://www.ceendx.eu/?page_id=/93/moldovan-medical-journal/)19. Electronic Journals Library University of Regensburg (http://rzblx1.uni-regensburg.de/detail.phtml?bibid=AAAAA&colors=7&lang=en&jour_
id=431225)20. Journal Factor (http://www.journalfactor.org/Journal.php?JOURNAL=JF3174&NAME=Moldovan_Medical_Journal)21. CYBERLENINKA (https://cyberleninka.ru/journal/n/the-moldovan-medical-journal)22. Index Copernicus International (https://journals.indexcopernicus.com/search/journal/issue?issueId=all&journalId=51450)23. JIFACTOR, Global Society for Scientific Research (http://www.jifactor.org/journal_view.php?journal_id=4696)24. Central Scientific Medical Library of Sechenov First Moscow State Medical University
(www.scsml.rssi.ru)25. East View Information Services (https://shop.eastview.com/results/item?SKU=5140480P)26. Atlant Clinical Inc (www.atlantclinical.com)27. Information Society Development Institute (https://idsi.md/en/home)28. Open Academic Journal Index (http://oaji.net/journal-detail.html?number=7489)
Address of the Editorial Office192, Stefan cel Mare Avenue, Chisinau, the Republic of Moldova
Phone: +373 22 205 209, Office: +373 79 429 274 mobilewww.moldmedjournal.md [emailprotected]
Publisher"Revista Curier Medical"192, Stefan cel Mare Avenue
Chisinau, the Republic of Moldova
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the Republic of Moldova www. sirius.md
Editorial StaffAnatol Calistru, MD, PhD, Head of the Editorial Office: +373 22 205 209Ludmila Martinenko, English Corrector, telephone: +373 22 205 209Irina Litvinova, Editorial Secretary, telephone: +373 32205877
Index for subscription – 32130
Ion Ababii, MD, PhD, academician, Professor of Otorhinolaryngology; Laboratory of Otorhinolaryngology. Chisinau, Moldova https://orcid.org/0000-0003-2578-1424; [emailprotected] H-index Scopus – 2, Citations – 12
Gheorghe Ghidirim, MD, PhD, Academician, Professor of Surgery; Laboratory of Hepato-Pancreatic-Biliar Surgery, Chisinau, Moldovahttps://orcid.org/0000-0002-9047-0596; [emailprotected]. H-index Scopus – 7, Citations – 180
Mihail Popovici, MD, PhD, Academician, Professor of Cardiology; Institute of Cardiology, Chisinau, Moldovahttps://orcid.org/0000-0002-7500-0625; [emailprotected] H-index Scopus – 2, Citations – 38; Web of Science – 6, Citations – 110
Valeriu Rudic, MD, PhD, Academician, Professor of Microbiology, Academy of Sciences, Medical Section, Chisinau, Moldovahttps://orcid.org/0000-0001-8090-3004; [emailprotected] H-index Scopus – 7, Citations – 146
Emeritus Members of the Editorial Board
Mihail Todiras, MD, PhD, Professor of Pharmacology and Anesthesiology, Max-Delbrück Center of Molecular Medicine, Berlin, Germanyhttps://orcid.org/0000-0002-9373-4753; [emailprotected] H-index Scopus – 18, Citations – 1174; Google Scholar – 19, Citations – 1559
Valery Timirgaz, MD, PhD, Professor of Neurosurgery, Diomid Gherman Institute of Neurology and Neurosurgery, Chisinau, Moldovahttps://orcid.org/0000-0002-5205-3791; [emailprotected] H-index Scopus – 5, Citations – 281; Web of Science – 5, Citations – 228
Svetlana Turcan, MD, PhD, Professor of Gastroenterology, Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Moldova https://orcid.org/0000-0002-3348-8466; [emailprotected] H-index Scopus – 12, Citations – 560
Eleonora Vataman, MD, PhD, Professor of Cardiology, Institute of Cardiology, Chisinau, Moldovahttps://orcid.org/0000-0002-1091-4549; [emailprotected] H-index Scopus – 11, Citations – 12746; Web of Science – 3, Citations – 20
Moldovan Medical Journal. October 2021;64(4)
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tABLE OF COntEntS
ORIgInAL RESEARCHES
Post-cardiac surgery bacterial contaminationAliona Nastas ..................................................................................................................................................................................................................5-9
Validation of the spectrophotometric method for the dosing of some combined capsulesLivia Uncu, Vladilena Evtodienco, Ecaterina Mazur, Elena Donici, Vladimir Valica .................................................................10-16
Optimisation of the magistral semisolid formulations with furazidine used in urogenital infectionsDiana Guranda, Cristina Ciobanu, Nicolae Ciobanu, Rodica Solonari ..........................................................................................17-22
Diastolic disorder inherent to doxorubicin cardiotoxicityLilia Tacu, Valeriu Cobet .......................................................................................................................................................................................23-28
The general condition of patients requiring the alveolar bone crest reconstructionAlexandru Ghetiu ....................................................................................................................................................................................................29-34
Mast cells in luminal vs non-luminal breast cancersEcaterina Carpenco, Veaceslav Fulga, Valeriu David, Ecaterina Foca, Lilian Saptefrati ........................................................35-38
Structure of emergencies at the prehospital stage in Moldova from 2019-2020 yearsBoris Golovin, Mihail Peștereanu, Tatiana Bicic, Svetlana Lupu, Ludmila Petcu, Nicolae Doni ........................................39-44
Current inconsistencies in the reporting of cases of intraabdominal retained textile foreign bodiesSerghei Gutu .............................................................................................................................................................................................................45-49
The screening by isoelectric focusing of transferrin for the diagnosis of congenital disorders of glycosylationDaniela Blanita, Chiril Boiciuc, Doina Turcan, Victoria Sacara, Natalia Usurelu .......................................................................50-54
Spatial disparities in mortality by causes of death in the Republic of Moldova Olga Penina ...............................................................................................................................................................................................................55-61
Clinical and paraclinical manifestations in patients suspected of being infected with COVID-19 Ion Sirbu, Sergiu Matcovschi ............................................................................................................................................................................62-65
Low-dose anticholinergic therapy causes cognitive impairment in Parkinson’s disease patientsOlga Gavriliuc, Alexandru Andrusca, Lilian Popil, Mihail Gavriliuc ...............................................................................................66-68
Environmental toxic factors and clinical pattern of Parkinson’s diseaseLilia Rotaru .................................................................................................................................................................................................................69-71
REVIEW ARtICLES
Drug-resistant epilepsy: modern concepts, integrative mechanisms, and therapeutic advances Vitalie Chiosa, Dumitru Ciolac, Viorica Chelban, Daniela Gasnas, Anatolie Vataman, Cristina Munteanu, Stanislav Groppa ...........................................................................................................................................................72-85
gUIDE FOR AUtHORS ......................................................................................................................................................................................... 86
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ORIGINAL ReseARch A. Nastas. Moldovan Medical Journal. October 2021;64(4):5-9
ORIGINAL ReseARches
https://doi.org/10.52418/moldovan-med-j.64-4.21.01UDC: 616.12-089.168.1-06:616.94-022.36
Post-cardiac surgery bacterial contamination
Aliona nastas
Department of Preventive Medicine, Epidemiology DisciplineNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Author’s ORCID iD, academic degrees and contribution are available at the end of the article
Corresponding author – Aliona Nastas, e-mail: [emailprotected] received July 20, 2021; revised manuscript October 06, 2021; published online October 12, 2021
AbstractBackground: Septic purulent nosocomial infections (SPNI) are one of the most significant healthcare challenges of post-surgical procedures. SPNI are associated with increased morbidity, mortality and admission costs. It is a priority to determine the level of nosocomial infections (NI). This study aims to evaluate the bacterial contaminations after cardiac surgery within the Department of Acquired Heart Defects (DAHD).Material and methods: A cross-sectional study was designed and the medical records of 1189 patients who underwent cardiac surgery within the DAHD of a multiprofile hospital were retrospectively analyzed. The data were collected and stored in a Microsoft Excel spreadsheet.Results: The incidence rate of SPNI following cardiac surgery was 317.57‰ compared to 15.02‰ officially reported (p <0.001). Of the most common infections among the total of 418 cases of SPNI studied, 32.06% were surgical site infections, 23.18% were associations of infections, 19.14% – respiratory tract infections. A patient with SPNI has an average of 22.25 days/bed spent in hospital, compared with the average for a patient without SPNI of 12.27 days/bed. The etiological structure includes 28 species of microorganisms including gram-positive (61.92%) and gram-negative (38.08%). Conclusions: Given the relatively high incidence of the SPNI and its impact, it is imperative to take more serious measures to prevent and control these infections.Key words: cardiac surgery, nosocomial healthcare-associated infections, microorganisms.
Cite this articleNastas A. Post-cardiac surgery bacterial contamination. Mold Med J. 2021;64(4):5-9. https://doi.org/10.52418/moldovan-med-j.64-4.21.01.
Introduction
Nosocomial infections (NI) represent a serious problem in the medical facilities. They are associated with substantial morbidity, prolonged hospitalizations and possible higher mortality [1]. Several studies have examined the incidence and risk factors of NI after open heart surgery. Postoperative infection has been reported to occur in 5-21% of cardiac sur-gery patients in various institutions [1, 2].
The number of reported nosocomial infections in the Republic of Moldova contradicts the findings of this study. As compared to other European countries, the actual num-ber of cases of NI is much higher in Moldova, indicating that infections are not detected or are detected but not reported.
The actual number of patients with septic purulent noso-comial infections (SPNI) in the Institute of Neurology and Neurosurgery was 32.2 per 1000 operated patients, this is 7.32 times higher than the officially reported number of 4.4‰ [3]. The actual incidence of 156.42 per 1000 operated was detected at the Traumatology and Orthopedics Hospital but only five cases (1.06%) of SPNI were officially declared.
This shows the actual number to be 14.75 times higher than the officially reported number [4].
Healthcare-associated infections (HCAI) caused addi-tional 6.1 days of hospitalization. The incidence of patients with HCAI in Spanish hospitals was relevant and similar to those found in studies in Canada and New Zealand [5].
The study which looked at critically ill patients in the hospital, found that morbidity attributed to nosocomial bac-teremia increased the length of stay in a hospital by 14 days [6].
Of particular interest is the study of the etiological struc-ture and peculiarities in septic-purulent nosocomial infec-tions in cardiac surgery departments.
From an etiological point of view, NI are characterized by their constant evolution over time. The analysis demon-strates a high variation in the etiology of NI in the surgery departments, but also in terms of the location of the infec-tion. Therefore, in cardiac surgery the predominant patho-gens isolated were S. epidermidis (32.1%), S. aureus (28.4%), the gram-negative isolates were Enterobacter species (10.1%): E. coli (6.4%), Seratia species (4.6%), P. aeruginosa (4.6%), K.
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A. Nastas. Moldovan Medical Journal. October 2021;64(4):5-9 ORIGINAL ReseARch
pneumonia (4.6%) [1].Although gram-positive microorganisms are the main
bacteria involved, gram-negative bacilli, especially Entero-bacteriaceae, are frequently involved in cardiac surgery, according to Jolivet S. et al., the main Enterobacteriaceae (36.5%) were E. coli (29%) and E. cloacae (15%) [7].
It is necessary to minimize infections, this in addition to reducing mortality, reduces the duration of hospital stay, and reduces the cost of treatment [8].
hypothesisofthestudy: Considering the importance of timely diagnosis and treatment of infections, it is extremely important to concentrate on prevention by investigating and evaluating bacterial infections after cardiac surgery at the Department of Acquired Heart Defects (DAHD).
Material and methods
In this cross-sectional study, the research population included all patients undergoing cardiac surgery in the DAHD. Data was collected and stored in a Microsoft Excel spreadsheet.
An infection was classified as nosocomial when devel-oped within the hospital and became clinically apparent while the patient was still hospitalized, according to the Patient Safety Component Manual [9].
sample size. At the time of the study, 423 cases of in-fection were registered, indicating a sufficient sample size to determine connections.
site pathogens and medical records. In order to deter-mine the etiological structure of SPNI, the results of micro-biological investigations within the medical records of post-cardiac surgery patients performed in the bacteriological laboratory of the multiprofile hospital were tabulated and analyzed. This resulted in detection of 281 strains of micro-organisms.
Results
Following the retrospective analysis of 1332 patients treated in the DAHD, it was found that 423 of them devel-oped SPNI, the frequency index being 317.57 per 1000 hos-pitalized patients.
Out of 423 cases registered in the DAHD, only 20 cases (4.73%) were reported to the Chisinau Public Health Center. The incidences of SPNI following cardiac surgery were 317.57 per 1000 inpatients compared to 15.02 per 1000 in-patients reported to the Chisinau Public Health Center or being 21.15 times lower than the actual number, t=5.03, p <0.001, the statistical link is highly significant (confidence 99.9%) (fig. 1).
Out of the total 418 cases of post-cardiac surgery SPNI, surgical site infection (SSI) represents the majority and con-stitutes 134 cases (32.06%), associations of infection (AI) are 97 cases (23.18%), respiratory tract infections (RTI) – 80 cases (19.14%), cardiovascular system infections (CV) – 74 cases (17.71%), bone and joint infections (BJI) – 16 cases (3.83%), bloodstream infections (BSI) – 6 cases (1.44%), eye, ear, nose, throat, or mouth infections (EENT) – 4 cases
(0.96%), upper respiratory tract infections (UR) – 4 cases (0.96%) and urinary tract infections (UTI) – 3 cases (0.72%) (fig. 2).
During the studied period, 1189 patients were in the hos-pital 32920 days/bed, of which 418 patients with SPNI spent 14402 days in the hospital or 44.26% of all days spent in the hospital by all patients. On average, length of stay (LOS) beginning with hospitalization, for each patient with SPNI was 34.44 days/bed compared to 23.97 days/bed for patients without SPNI or 10.47 days/bed less (fig. 3).
10,48
Fig. 3. the length of stay (beginning with hospitalization), (days)
For 1189 patients operated during the studied period, a total of 18691 days/bed were used. Therefore, 418 patients with SPNI used 9270 days/bed (49.93%) of the total days/bed. The length of stay (LOS) starting with surgery on aver-age for a patient with SPNI was 22.25 days/bed, with 9.98 days/bed more than the average for a patient without SPNI which was 12.27 days/bed (fig. 4).
In the etiological structure of cardiosurgical ISPN, gram-positive microorganisms with 174 strains prevail (61.92%), with a wide spectrum of bacterial species: S. epi-
Fig. 1. general incidence due to cardiosurgical SPnI
Fig. 2. the structure of post-cardiac SPnI according to the group of infections (%)
0,00
50,00
100,00
150,00
200,00
250,00
300,00
350,00
Inclusive with SPNI Raported cases to Chisinau Public Health Center
317.57
15.02
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ORIGINAL ReseARch A. Nastas. Moldovan Medical Journal. October 2021;64(4):5-9
dermidis (27.40%), S. viridans (6.76%), S. aureus (6.05%), S. saprophyticus (5.34%), E. faecalis (7.47%), E. faecium (4.60%), Enterococcus spp. (4.02%), S. haemolyticus (1.72%), Corynebacterium spp. (1.72%), Bacillus spp. (1.72%), Sarcina spp. (1.72%), other gram-positive microorganisms (1.72%), S. pyogenes (0.57%), S. agalactiae (0.57%), S. pneumoniae (0.57%) (fig. 5).
5
10
15
20
25
Patients with SPNI Patients without SPNI Difference (days)
22.25
12.27 9.98
Fig. 4. the length of stay (starting with surgery), (days)
At the same time, 107 strains (38.08%) of gram-nega-tive microorganisms were isolated, including P. aeruginosa (30.84%), E. aerogenes (28.97%), A. baumannii (11.21%), E. coli (10.28%), K. pneumoniae (6.54%), K. oxytoca (2.80%), C. freundii (1.87%), P. mirabilis (1.87%), other gram-nega-tive microorganisms (1.87%), E. cloacae (0.93%), P. vulgaris (0.93%), Neisseria spp. (0.93%), Branhamella spp. (0.93%) (fig. 5).
0 10 20 30 40 50 60 70 80 90 100
Other gram-negative microorganisms P. mirabilis P. vulgaris K. oxytoca
K. pnemoniae E. coli
E. cloacae E. aerogenes
C. freundii Branhamella spp.
Neisseria spp. A. baumanii
P. aeruginosa Total of gram-negative microorganisms
Other gram-positive microorganisms Sarcina spp.
Bacillus spp. Corynebacterium spp.
Enterococcus spp. E. faecium E. faecalis
S. pneumoniae S. agalactiae S. pyogenes
S. viridans S. haemolyticus S. saprophyticus
S. aureus S. epidermidis
Total of gram-positive microorganisms
0,71 0,71 0,36 1,07 2,49
3,91 0,36
11,03 0,71
0,36 0,36
4,27 11,74
38,08
1,07 1,07 1,07 1,07 2,49 2,85
4,63 0,36 0,36 0,36
6,76 1,07
5,34 6,05
27,40 61,92
Fig. 5. the etiological distribution of cardiosurgical SPnI
Of the 281 strains isolated from patients with cardiac sur-gery for the study period, 112 were staphylococcal strains (S. aureus, S. epidermidis, S. saprophyticus and S. haemolyticus), which accounted for 64.36% of the total strains, 31 strains of streptococci (S. agalactiae, S. pyogenes, S. pneumoniae) and enterococci (E. faecalis and E. faecium) representing 17.81%, 13 strains (12.14%) of gram-negative cocci from the fam-ily Moraxellaceae (Branhamella spp. and A. baumannii), 58 strains of gram-negative microorganisms from the family Enterobacteriaceae – E. coli, C. freundii, K. pneumoniae, K. oxytoca, P. vulgaris, P. mirabilis, E. aerogenes and E cloacae, which constituted 54.20%, 33 strains of P. aeruginosa which constituted 30.84% of the total isolated strains (fig. 5).
The structure of microorganisms detected in cardiac
surgery patients according to the investigated bio substrate shows that gram-positive bacteria predominate in samples taken from the content of the wound (41.38%), tracheal catheter (25.86%), valve vegetation (9.20%), while the share of microorganism’s gram-negative amounts to 18.69%, 42.06%, 2.80% (fig. 6).
Fig. 6. Structure of microorganisms detected in cardiac surgery patients with SPnI according to the investigated bio substrate
Gram-negative microorganisms are more frequently isolated from tracheal catheter (42.06%), sputum (10.28%), urine (10.28%), while the share of gram-positive microor-ganisms is 25.86%, 8.62%, 4.02% (fig. 6).
An approximately equal rate of isolation of gram-posi-tive and gram-negative bacteria was observed from blood (8.05%/7.48%), venous catheter (1.15%/0.93%), pericardial fluid (0.57%/0.93%) (fig. 6).
Only gram-negative bacteria were isolated from fae-ces (3.74%) and urinary catheter (0.93%), and only gram-positive microorganisms (0.57%) were identified in the skin rashes samples (fig. 6).
Discussion
According to the World Health Organization (WHO), healthcare-associated infections are the most frequent ad-verse event in healthcare delivery worldwide [10]. According to the WHO, seven of every 100 hospitalized patients acquire HCAI, with the infections causing approximately 99000 deaths per year in the United States [11, 12].
In various national and multicenter studies, including dozens of countries, it was determined that 3.5 to 12% of the patients were affected with at least one nosological form of SPNI [11].
Postoperative infections have been reported to occur in 5-21% of cardiac surgery patients in various institutions [1].
Different studies have shown that HCAI rates can range from 6% to 24% [8]. Therefore, Damavandi D. et al., report-ed being between 17% and 23% [8], as well as Ferreira G. et al., reported a similar range of 22.6% [13]. In the present study, the incidence of post-cardiac surgery SPNI is 31.76%, which is higher than normal limits.
Also, cardiac surgery involves superficial and deep ster-nal infections (SSI) [8]. Currently, it is considered that most SSI originate from the bacteria that enter the wound during
0% 20% 40% 60% 80% 100%
Content of the wound Tracheal catheter Valve vegetation
Sputum Blood
Venous catheter Pleural fluid
Urine Urinary catheter
Faeces Pericardial fluid
Skin rashes
41.38
25.86
9.20
8.62
8.05
1.15
0.57
4.02
0.00
0.00
0.57
0.57
18.69
42.06
2.80
10.28
7.48
0.93
1.87
10.28
0.93
3.74
0.93
0,00
Gram-positive microorganisms Gram-negative microorganisms
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A. Nastas. Moldovan Medical Journal. October 2021;64(4):5-9 ORIGINAL ReseARch
surgery [8].In actual research, SSI represent the majority and consti-
tute 32.06%, AI – 23.18%, RTI – 19.14% were the most com-mon infections. Although in the other studies pneumonia (51.2%), SSI (22.0%), UTI (17.9%) and sepsis (14.6%) were the most common types of infection [8]. At the same time, Michalopoulos A. et al., established that the majority of NI were RTI (45.7%), CLABSI (25.2%) and wound infection (17.7%) [1]. Stanisławska M. indicated that the most fre-quent site of NI were pneumonia (44.4%), sepsis (42.0%) and SSI (33.3%), however every infected patient had 1-4 clinical forms [14], concurring with the present research.
One way to analyze the impact that the occurrence of in-fections has on LOS is to evaluate patients who remained more than nine days, which is considered as the ideal LOS for heart disease stays [13]. In the present study, a patient with SPNI has an average of stay in the hospital of 22.25 days/bed, with 9.98 days/bed more than the average for a pa-tient without SPNI which was 12.27 days/bed.
Ferreira G. et al., demonstrated that patients who devel-oped HCAI remained 1.5 times longer than those without infection, a 14-day increase in hospitalization after cardiac surgery [13].
Among hospital survivors, cardiac surgery patients ac-quiring NI had longer hospital LOS compared to patients without NI (20.1±13.0 days vs 9.7±4.5 days) [2].
From an etiological point of view, NI are characterized by their constant evolution over time. The analysis demon-strates a high variation in the etiology of NI in the surgery departments, but also in terms of the location of the infec-tion.
In the actual research, gram-positive microorganisms are 61.92% and gram-negative microorganisms are 38.08%. Highlighted from the group of gram-positive microorgan-isms were S. epidermidis (27.40%), S. viridans (6.76%), S. aureus (6.05%), S. saprophyticus (5.34%), E. faecalis (7.47%), E. faecium (4.60%), Enterococcus spp. (4.02%), S. haemolyti-cus (1.72%), Corynebacterium spp. (1.72%), Bacillus spp. (1.72%), Sarcina spp. (1.72%), other gram-positive microor-ganisms (1.72%), S. pyogenes (0.57%), S. agalactiae (0.57%), S. pneumoniae (0.57%).
Of the group of gram-negative microorganisms, the larg-est share is manifested by P. aeruginosa (30.84%) followed by E. aerogenes (28.97%), A. baumannii (11.21%), E. coli (10.28%), K. pneumoniae (6.54%), K. oxytoca (2.80%), C. freundii (1.87%), P. mirabilis (1.87%), other gram-negative microorganisms (1.87%), E. cloacae (0.93%), P. vulgaris (0.93%), Neisseria spp. (0.93%), Branhamella spp. (0.93%).
In other studies, gram-positive cocci bacteria and gram-negative bacilli were the most common pathogens with a prevalence of 30.8% and 28.4% respectively [8]. Acinetobacter (48.6%), Enterobacteriaceae (37.1%), P. aeruginosa (17.1%) [8], the results of a Mazzeffi M. et al., study were similar [15]. Whereas Stanisławska M. has shown that the most common etiological factors of infection in cardiac surgery were gram-negative microorganisms such as E. cloacae and P. aerugi-nosa [14].
Although gram-positive microorganisms are the main
bacteria involved, gram-negative bacilli, especially Entero-bacteriaceae (36.5%), are frequently involved in cardiac sur-gery according to the results of Jolivet S. et al. [7]. In another research, the scientists found that gram-positive cocci were 67.9% and 30.7% were gram-negative bacteria [1].
In actual research, the structure of microorganisms de-tected in cardiac surgery patients according to the investi-gated bio substrate shows that gram-positive bacteria pre-dominate in samples taken from the wound (41.38%), tra-cheal catheter (25.86%), valve vegetation (9.20%), while the share of microorganism’s gram-negative amounts to 18.69%, 42.06%, 2.80%.
Gram-negative microorganisms are more frequently isolated from tracheal catheter (42.06%), sputum (10.28%), urine (10.28%), while the share of gram-positive microor-ganisms is 25.86%, 8.62%, 4.02%.
An approximately equal rate of isolation of gram-posi-tive and gram-negative bacteria was observed from blood (8.05%/7.48%), venous catheter (1.15%/0.93%), pericardial fluid (0.57%/0.93%).
Only gram-negative bacteria were isolated from fae-ces (3.74%) and urinary catheter (0.93%), and only gram-positive microorganisms (0.57%) were identified in the rash samples.
Similar results obtained Liu Z. et al., (2021) recording the results of microbiological investigations of the sputum, blood, faeces and catheters [16]. Therefore, 73.13% out of all microorganisms were isolated from sputum (73.13%), blood (23.18%) and only 0.75% from urine [16].
This data suggests the urgency to take action in prevent-ing SPNI following cardiac surgery that could decrease the incidence of the infections and allowing the patient a shorter possible stay in the hospital which will reduce healthcare costs for both the patient and the hospital.
Conclusions
1. According to the results of this study, SSI (32.06%) and AI (23.18%) represent the majority of recorded microbial infections.
2. A patient with SPNI spends an average of 22.25 days/bed in the hospital, which is 9.98 days/bed more than the 12.27 days/bed for a patient without SPNI.
3. The etiological structure of cardiac surgery SPNI is varied and includes 28 species of microorganisms. Gram-positive microorganisms are 61.92% and gram-negative mi-croorganisms are 38.08%.
References1. Michalopoulos A, Geroulanos S, Rosmarakis ES, Falagas ME. Fre-
quency, characteristics, and predictors of microbiologically documented nosocomial infections after cardiac surgery. Eur J Cardiothorac Surg. 2006;29(4):456-60. doi: 10.1016/j.ejcts.2005.12.035.
2. Kollef MH, Sharpless L, Vlasnik J, Pasque C, Murphy D, Fraser VJ. The impact of nosocomial infections on patient outcomes following cardiac surgery. Chest. 1997;112(3):666-75. doi: 10.1378/chest.112.3.666.
3. Leu E. Epidemiologia şi prevenirea infecţiilor nosocomiale în staţionarele neurochirurgicale [Epidemiology and prevention of nosocomial infec-tions in neurosurgical unit] [dissertation]. Chisinau: Nicolae Testemit-
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anuState University of Medicine and Pharmacy; 2009. 141 p. Romanian.4. Baranețchi I. Optimizarea supravegherii epidemiologice a infecțiilor
nosocomiale septico-purulente în staționarele de profil Traumatologie și Ortopedie [Optimizing the epidemiological surveillance of septic-purulent nosocomial infections in the Traumatology and Orthopedics outpatient clinics] [dissertation]. Chisinau: Nicolae TestemitanuState University of Medicine and Pharmacy; 2016. 112 p. Romanian.
5. Aranaz-Andrés JM, Aibar-Remón C, Vitaller-Murillo J, Ruiz-López P, Limón-Ramírez R, Terol-García E. Incidence of adverse events related to health care in Spain: results of the Spanish National Study of Adverse Events. J Epidemiol Community Health. 2008;62(12):1022-9. doi: 10.1136/jech.2007.065227.
6. Pittet D, Tarara D, Wenzel RP. Nosocomial bloodstream infection in criti-cally ill patients. Excess length of stay, extra costs, and attributable mor-tality. JAMA. 1994;271(20):1598-601. doi: 10.1001/jama.271.20.1598.
7. Jolivet S, Lescure FX, Armand-Lefevre L, Raffoul R, Dilly MP, Ghodbane W, Nataf P, Lucet JC. Surgical site infection with extended-spectrum β-lactamase-producing Enterobacteriaceae after cardiac surgery: in-cidence and risk factors. Clin Microbiol Infect. 2018;24(3):283-8. doi: 10.1016/j.cmi.2017.07.004.
8. Damavandi DS, Javan M, Moshashaei H, Forootan M, Darvishi M. Mi-crobial contamination after cardiac surgery in a hospital cardiac surgery ward. J Med Life. 2020;13(3):342-348. doi: 10.25122/jml-2019-0071.
9. Centers for Disease Control and Prevention, National Healthcare Safety Network (NHSN). Patient Safety Component Manual [Internet]. Wash-ington: CDC; 2021 [cited 2021 Jul 16]. Available from: https://www.cdc.
gov/nhsn/pdfs/pscmanual/pcsmanual_current.pdf 10. World Health Organization; Ducel G, Fabry J, Nicolle L, editors. Preven-
tion of hospital-acquired infections: a practical guide. 2nd ed. [Internet] Geneva: WHO; 2002 [cited 2021 Jul 16]. Available from: http://www.who.int/emc
11. World Health Organization. Healthcare-associated infections: Fact sheet [Internet]. Geneva: WHO [cited 2021 Jul 19]. Available from: https://www.who.int/gpsc/country_work/gpsc_ccisc_fact_sheet_en.pdf
12. Haque M, McKimm J, Sartelli M, Dhingra S, Labricciosa FM, Islam S, et al. Strategies to prevent healthcare-associated infections: a narra-tive overview. Risk Manag Healthcare Policy. 2020;13:1765-1780. doi: 10.2147/RMHP.S269315.
13. Ferreira GB, Sava Donadello JC, Mulinari LA. Healthcare-associated infections in a cardiac surgery service in Brazil. Brazilian J Cardiovasc Surg. 2020;35(5):614-8. doi: 10.21470/1678-9741-2019-0284.
14. Stanisławska M. [Monitoring of hospital infections in cardiac surgery ward]. Ann Acad Med Stetin. 2013;59(1):37-48. Polish.
15. Mazzeffi M, Gammie J, Taylor B, Cardillo S, Haldane-Lutterodt N, Amo-roso A, Harris A, Thom K. Healthcare-associated infections in cardiac surgery patients with prolonged intensive care unit stay. Ann Thorac Surg. 2017;103(4):1165-70. doi: 10.1016/j.athoracsur.2016.12.041.
16. Liu Z, Zhang X, Zhai Q. Clinical investigation of nosocomial infec-tions in adult patients after cardiac surgery. Medicine (Baltimore). 2021;100(4):e24162. doi: 10.1097/MD.0000000000024162.
Author’s ORCID iD and academic degreesAliona Nastas, MD, PhD Applicant, Assistant Professor – https://orcid.org/0000-0002-3992-9242
Author’s contributionAN conceptualized the idea, conducted literature review, collected the data, interpreted the data, and wrote the manuscript.
FundingThis study was supported byNicolae TestemitanuState University of Medicine and Pharmacy. The trial was the author’s initiative. The author is independent and takes responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe study was approved by the Research Ethics Committee ofNicolae TestemitanuState University of Medicine and Pharmacy (Protocol No 47 of 17.04.2013). An informed consent from all participants in the study was obtained.
Conflict of InterestsThere is no known conflict of interests to declare.
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Introduction
The combination of the medicinal substances in a single dosage form is a globally recognized practice. Due to the ad-vantages of the fixed-dose combinations (FDCs) which have been shown over time, FDCs are widely applied in the treat-ment of a large number of pathologies, such as cardiovascu-lar [1, 2] and respiratory [3, 4], tuberculosis [5, 6], HIV [7], diabetes [8], pain management [9], infectious diseases [10]. Among the most important advantages are: (a) the improve-ment of the response rate compared to monotherapy, based on different mechanisms of drug action in the combination; (b) reduced doses and toxicity; (c) achievement of the faster effect by FDC’s than monocomponent; (d) better complian-ce by reducing the pill burden and adherence improvement; (e) low cost and saving of resources for the patients and the health system [11-13]. Most FDCs come in solid dosage for-ms: tablets and capsules, containing two active ingredients, rarely three and more.
Hard capsules are used as a delivery system for FDCs due to the fact that they are inert and do not interact with drug’s components; they can have different sizes, including custo-mized sizes and they are ideal for packaging of hygroscopic
DOI: https://doi.org/10.52418/moldovan-med-j.64-4.21.02UDC: 543.48:615.453.4.012
Validation of the spectrophotometric method for the dosing of some combined capsules
*1,2Livia Uncu, 1Vladilena Evtodienco, 1Ecaterina Mazur, 2Elena Donici, 1,2Vladimir Valica1Scientific Center for Drug Research, 2Department of Pharmaceutical and Toxicological ChemistryNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Livia Uncu, e-mail: [emailprotected] received July 22, 2021; revised manuscript October 06, 2021; published online October 12, 2021
AbstractBackground: UV-Vis spectrophotometry remains the most accessible spectral method with a high degree of sensitivity and information. The advantage of the method consists in its universality, the ability to combine with other methods, the minimum error, as well as its economic efficiency. The objective of this study was the determination of some validation parameters for the spectrophotometric method of dosing piracetam and nicergoline in combined capsules.Material and methods: Agilent 8453 UV-Vis spectrophotometer, reference standards of piracetam and nicergoline, 0.1 M HCl methanolic solution. Validation of the spectrophotometric method according to the requirements of the ICH guide “Q2R1: For analytical procedures and validation”. Results: Linearity was investigated on concentration ranges 5-40 µg / mL. The regression (R2) values were 0.9998 for nicergoline and 0.998 for piracetam, respectively. The limit of detection was 1.737 µg / mL for nicergoline and 0.369 µg / mL for piracetam. Quantification limit values were also calculated as 5.265 and 1.118 µg / mL for nicergoline and piracetam, accordingly. The results obtained showed that the developed spectrophotometric method is accurate, precise and robust, because the value of the relative standard deviation was less than 1.0%. Conclusions: The developed spectrophotometric method showed specificity, linearity, accuracy, precision and robustness, and can be applied on the concentration range between 80-120% of the nominal value of the content of nicergoline and piracetam in the preparation.Key words: dosing, UV-Vis spectrophotometry, validation.
Cite this articleUncu L, Evtodienco V, Mazur E, Donici E, Valica V. Validation of the spectrophotometric method for the dosing of some combined capsules. Mold Med J. 2021;64(4):10-16. https://doi.org/10.52418/moldovan-med-j.64-4.21.02.
substances; the production technology is not complicated; they are convenient for administration [14].
The development of combination drugs includes several specific steps, being a process with many challenges, related to the nature and properties of the active ingredients which can cause incompatibilities, different doses, different phar-macokinetic properties and bioavailability etc. [15]. A major challenge in the development of FDCs is the development of analytical methods for the simultaneous determination of each component of the mixture. Researchers usually opt for physico-chemical methods, which offer the possibility of se-parating the components, are accurate and sensitive. Nume-rous factors, such as chemical structure, molecular weight, pKa values, UV absorption, concentration of active principle in the analyzed sample, solubility of compounds, are taken into account when selecting the method. Chromatographic methods, especially high pressure liquid chromatography (HPLC), are most often used for the analysis of combined products, the working techniques being complex and diffi-cult to perform.
A very important step in the FDCs standardization is the development of the simple, accessible, fast and accurate me-thods of analysis. UV-Vis spectrophotometry is one of the
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ORIGINAL ReseARch L. Uncu et al. Moldovan Medical Journal. October 2021;64(4):10-16
alternatives that can be proposed and meets all the nomi-nated requirements. It is based on the absorption of electro-magnetic radiation by molecules of the substances. Therefo-re, this method can be used successfully for the analysis of compounds with chromophore groups.
Hearing is one of the most important senses of human being,which is the source of sound, being an essential means of communication. Any difficulty in percepting the sound is defined as a hearing loss, pathology with various etiology and pathophysiological mechanisms. In neurosensory hypo-acuzia, the difficulty of sound reset is determined by dys-function in the inner ear [16]. Treatment of neurosensory hypoacuzia remains a serious problem. Corticosteroids are indicated as first-line medicines. At the same time, certain emphasis is placed on the advancement of the hemodyna-mics in the region of the innear ear, the improvement of the metabolism, the blood rheology and the stimulation of the auditory analyzer. The medical treatment includes several types of medicines: vasodilators, nutrients, anti-inflamma-tories, antioxidants. Medicines, in particular, vinpocetine, pentoxifylline, сеrеbrоlysin, рiraсеtam are given in the first days рarеntеrally, then orally [17, 18]. The concomitant use of several medicines in treatment regimens for hearing loss justifies efforts to develop combined medicines, which wo-uld solve several pharmacotherapeutic problems of this di-sease. Thus, research was carried out at the Scientific Center for Drug Research (SCDR) in order to develop an original composition containing nicergoline, piracetam and Haw-thorn dry extract in the one dosage form – capsules.
Nicergoline (fig. 1) is an analogue of ergot alkaloids, whi-ch associates in the molecule a nucleus of hydrogenated ly-sergic acid and nicotinic acid, belongs to the alpha-adrenoly-tics group, possesses vasodilating action. Due to the presence of nicotinic acid in its structure, it manifests direct spasmo-lytic myotropic action on the vessels muscles, increases their permeability for glucose. Nicergoline acts predominantly on the cerebral vessels and lower and upper limbs, improves ce-rebral, pulmonary and renal blood circulation [19].
Piracetam (fig. 1) is a cyclized derivative of gamma-ami-nobutyric acid, with nootropic action, intensifies energy and plastic processes in the brain, has the ability to restore the structure of cell membranes, the three-dimensional structu-re of membrane and transmembrane proteins, with the reco-very of their functionality [20].
1 2
3 4
Fig. 1. the chemical structures of nicergoline (left) [21] and piracetam (right) [22]
Data from the literature provide information on several methods applied in bulk nicergoline analysis, in one-compo-nent forms or various combinations: HPLC [23], spectrofluo-rimetry [24, 25], spectrophotometry [26]. Chromatographic [27-29] and spectral [30, 31] methods are also reported for piracetam. It should be noted that the simultaneous determi-nation of these two substances has not been reported, since they are associated for the first time in the same pharmace-utical form.
The purpose of this study was to develop and validate a simple, accurate and reproducible UV-Vis spectrophotome-tric technique to analyze nicergoline in combination with piracetam in capsules.
Material and methods
The experimental researches were carried out at the Lab-oratory of elaboration, analysis, standardization and control of medicines (LEASCM) of the SCDR within Nicolae Tes-temitanu State University of Medicine and Pharmacy.
The elaboration of the assay method of combined cap-sules was performed based on the requirements of the ICH guideline “Q2R1: For analytical and validation procedures” [32].
Three experimental series of laboratory-prepared oper-culated capsules containing nicergoline, piracetam, Haw-thorn dry extract and excipients were used in the studies.
ApparatusThe Agilent Technologies 8453 Spectrophotometer
equipped with 10 mm matched quartz cells was used.Substances, solvents and reagentsReference standards of nicergoline and piracetam (Sigma
Aldrich), methanol (MeOH, Sigma Aldrich), hydrochloric acid (HCl) 0,1 M were used.
Preparation of the standard solutions0.05 g of standard piraсetam was transferred into a 25 mL
volumetric flask, was dissolved in 0.1 M HCl methanol solu-tion and then adjusted up to the mark with the same diluent. 1.2 mL of the obtained solution was transferred into a 25 mL volumetric flask and adjusted up to the mark with the same diluent (dil.1). After that, 2.5 ml of obtained solution was diluted to 10 mL with the same diluent (dil.2).
0.005 g of standard nicergoline was transferred into a 25 mL volumetric flask, dissolved in 0.1 M HCl methanol so-lution and adjusted up to the mark with the same diluent. Then, 5.0 mL of obtained solution was transferred into a 25 mL volumetric flask and volume was adjusted up to the mark with the same diluent (dil.1). After that, 2.5 ml of obtained solution was diluted to 10 mL with the same diluent (dil.2).
Preparation of the sample solutionsA content weight of one capsule was taken into a 50 mL
volumetric flask, then 40 mL of 0.1 M HСl methanol soluti-on was added and shaken well until it dissolved. After that, the obtained solution was filtered and made up to the mark with the same diluent (stock solution). For the analysis of pi-racetam, 0.6 mL of stock solution was withdrawn and taken into a 50 mL volumetric flask. The volume was adjusted up to mark with the same diluent (dil.1). Then, 5 mL of obtained
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solution was diluted to 10 mL with the same diluent (dil.2). For the analysis of nicergoline, 10.0 mL of stock solution was withdrawn and taken into a 25 mL volumetric flask. The vo-lume was adjusted with the same diluent up to mark (dil.1). Then, 5 mL of obtained solution was diluted to 10 mL with the same diluent (dil.2).
Preparation of placebo solutionsAccurately weighed Hawthorn dry extract and excipients
were calculated for one capsule and were taken into a 50 mL volumetric flask. Then, 40 mL of 0.1 M HСl methanol solu-tion was added and shaken well until it dissolved. After that, the obtained solution was filtered and made up to the mark with the same diluent (placebo solution). For the analysis of piracetam, 0.6 mL of placebo solution was withdrawn and ta-ken into a 50 mL volumetric flask. The volume was adjusted up to mark with the same diluent (dil.1). Then, 5 mL of ob-tained solution was diluted to 10 mL with the same diluent (dil.2). For the analysis of nicergoline, 10.0 mL of placebo solution was withdrawn and taken into a 25 mL volumetric flask. The volume was adjusted up to mark with the same diluent (dil.1). Then, 5 mL of obtained solution was diluted to 10 mL with the same diluent (dil.2).
Quantitative determinationThe absorbance of standard and sample solutions was
measured using 10 mm matched quartz cells and 0.1 M HСl methanol solution as reference solution.
The quantitative content of nicergoline and piracetam in capsules was determined by using Eq. (1):
Aan*mst * Wan*P X, g = -----------------------, in which: (1) Ast*man * Wst
Aan – absorbance of the sample solutions;Ast – absorbance of the standard solutions;Man – mass of the sample substance, g; mst – mass of the standard substance, g; P – average content mass of one capsule;Wst and Wan – the volumes of dilution for standard and
sample solutions respectively.
Validation of the methodAccording to the ICH guide the method was validated
for parameters, such as linearity, accuracy, precision, sensi-tivity (LOQ and LOD) and robustness, selectivity, solution stability [32].
The linearity of the spectrophotometric method of assay of piracetam and nicergoline was investigated in the con-centration range from 5 – 40 μg / mL. Thus, standard stock solutions of substances were prepared: 5 samples with dif-ferent concentrations of piracetam and nicergoline of 5, 10, 24, 30, 40 μg / mL and 5, 10, 15, 20, 30 μg / mL, respective-ly. The determinations were performed in triplicate, being constructed the calibration curve (fig. 2). Linear regression analysis was used to evaluate the linearity of the calibration curve using the least squares method.
The selectivity of the spectrophotometric method of assay of piracetam and nicergoline was investigated by measuring the absorbance of the placebo solutions at the spectrophoto-
meter using the 10 mm matched quartz cells in the wavelen-gth range 200 – 350 nm. 0.1 M HСl methanol solution was used as the reference solution.
Determination of the accuracy of the method was prepa-red using three samples consisting of nicergoline, piracetam and a mixture of excipients in 0.1 M HСl methanol solution at concentration levels of 80 – 120% of the stated amount, with 3 replicates for each concentration. The percentage re-covery of the amount of substance and % RSD were calcu-lated for each of the replicate samples (tab. 1).
The nicergoline and piracetam concentrations were de-termined using the calibration curve, and the percentage of regression has been established by using Eq. (2).
R = [(Ct – Cp)/Ca]*100%, where: (2)R – recovery, %;Ct – concentration of the sample with the addition, µg/mL;Cp – sample concentration without addition, µg/mL;Ca – concentration of the standard with the addition, µg/mL.
Determination of precision of the method was performed by evaluating repeatability and intermediate precision [33]. Repeatability was determined using six samples of capsules, which were analyzed on the same day and under the same conditions. Intermediate precision was determined using six samples of capsules, which were analyzed in different days over the period of a week by different analysts (tab. 2). The concentration of nicergoline and piracetam from capsules was determined.
The sensitivity of the method was investigated by deter-mining the limit of detection (LOD) and limit of quantifica-tion (LOQ) by analyzing the substance solutions and mea-suring the signal-to-noise ratio. LOD is the concentration, which is due to the signal/noise ratio of about 3:1, while LOQ is the concentration that gives a signal/noise ratio of about 10:1 with RSD values (n = 3) less than 10%.
The robustness of the method was investigated by varying the maximum absorption wavelength of nicergoline and pi-racetam with ±2 nm [32]. The determinations were repeated 3 times at each wavelength (tab. 3).
The stability of standard and sample solutions was deter-mined by analyzing them immediately after preparation and after 24 hours at room temperature (25°C). Three determi-nations were performed, the absorbance was evaluated, the concentrations of analyte in the samples (relative to a freshly prepared reference solution) and the % RSD were calculated (tab. 4).
Statistical analysisStatistical analysis was carried out by using the Statistical
Package for the Social Sciences (IBM SPSS Statistics) 10.5 software.
Results and discussion
The piracetam and nicergoline standard solutions showed absorption maxima at 205 nm and 287 nm, respec-tively. The same maxima were detected on the spectrum of the sample solution. The spectrum of the placebo solution showed a very low absorption at 272 nm (fig. 2).
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The validation of the method was carried out in accor-dance with the ICH Guide ”Q2R1: For Analytical Procedu-res and Validation” [32].
The linearity of the UV-Vis spectrophotometric method was determined in the concentration range of 5 – 40 μg/mL
Fig. 2. Absorption spectra of standard piracetam (1) and nicergoline (2), sample (3) and placebo (4) solutions in 0.1 M HСl methanol solution
Fig. 3. Absorption spectra of piracetam (left) and nicergoline (right)standard solutions for linearity
of piracetam and 5 – 30 μg/mL of nicergoline. Based on the obtained results, the calibration curve was drawn and the equation of linear regression was obtained (fig. 3 and 4).
The obtained results showed a linear regression of the method in the concentration range between 5 – 40 μg/mL of piracetam and 5 – 30 μg/mL of nicergoline.
Fig. 2. Absorption spectra of standard piracetam (1) and nicergoline (2), sample (3) and placebo (4) solutions in 0.1 M HСl methanol solution
Fig. 3. Absorption spectra of piracetam (left) and nicergoline (right) standard solutions for linearity
Fig. 2. Absorption spectra of standard piracetam (1) and nicergoline (2), sample (3) and placebo (4) solutions in 0.1 M HСl methanol solution
Fig. 3. Absorption spectra of piracetam (left) and nicergoline (right) standard solutions for linearity
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Accuracy is expressed as the percentage of recovered ana-lytes compared to actual values (tab. 1). The admissibility condition is at least 99% [32].
The developed UV-Vis spectrophotometric method for the assay of nicergoline and piracetam from combined cap-sules, is accurate, with an average recovery value ranging from 99.8% to 101.8%. RSD values were between 0.11 – 0.69%, as indicated in tab. 1.
Precision is generally expressed by standard deviation and standard relative deviation. As a result of studies the ave-rage values of substance concentrations were calculated after 6 determinations for each 3 capsule series (tab. 2).
The values of LOD calculated in accordance with the ICH guide were 1.737 µg / mL for nicergoline and 0.369 µg / mL for piracetam [32].
The values of LOQ calculated in accordance with the ICH guide were also calculated as 5.265 and 1.118 µg / mL for nicergoline and piracetam, respectively [32].
The method is selective, as placebo solution showed a very low absorption at the wavelength (272 nm) different from the absorption peaks of nicergoline and piracetam. Also, Hawthorn dry extract and excipients did not influence the results of the determinations.
Fig. 4. Calibration curves of standard solutions of piracetam (left) and nicergoline (right) (n = 3 determinations)
table 1. Recovery as a condition of admissibility
Nr.The amount of Ciprofloxacin hydrochloride taken
into work
Amount of Ciprofloxacin hydrochloride (mg/mL)
(average for n=3)
RecoveryRSD
(%) (mg/mL) (mg/mL) (%) (%)N P N P N P N P N/P
1 80 80 8.0 8.0 7.94 8.05 99.21 101.78 0.69/0.532 100 100 10.0 10.0 10.04 9.99 100.73 99.80 0.19/0.113 120 120 12.0 12.0 11.99 12.01 99.95 100.15 0.23/0.54
Note: N – Nicergoline, P – Piracetam, RSD – Relative standard deviation.
table 2. Results of the repeatability determination and intermediate precision for piracetam and nicergoline in combinated capsules
Parameters Repeatability: C, g Intermediate precision: C, g
Substances P N P N
Series S 01 S 02 S 03 S 01 S 02 S 03 S 01 S 02 S 03 S 01 S 02 S 03
1 0.2010 0.2001 0.2001 0.0046 0.0046 0.0046 0.2000 0.1997 0.2000 0.0046 0.0046 0.0046
2 0.2005 0.2001 0.2003 0.0045 0.0045 0.0046 0.2003 0.1997 0.1999 0.0045 0.0046 0.0046
3 0.2006 0.2004 0.2001 0.0046 0.0046 0.0045 0.2013 0.1999 0.2001 0.0045 0.0046 0.0045
4 0.2004 0.2006 0.2003 0.0046 0.0046 0.0045 0.1997 0.1994 0.1997 0.0045 0.0045 0.0045
5 0.1999 0.2004 0.2003 0.0045 0.0045 0.0045 0.1997 0.1992 0.2001 0.0045 0.0045 0.0045
6 0.1999 0.2001 0.2001 0.0046 0.0046 0.0046 0.2000 0.1999 0.1997 0.0045 0.0045 0.0045
Average 0.2004 0.2003 0.2003 0.0046 0.0046 0.0046 0.2002 0.1997 0.1999 0.0045 0.0046 0.0046
RSD, % 0.2122 0.1049 0.0703 0.5897 0.5160 0.8382 0.2940 0.1450 0.0940 0.7156 0.9528 0.7189
Note: N – Nicergoline, P – Piracetam, RSD – Relative standard deviation.
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ORIGINAL ReseARch L. Uncu et al. Moldovan Medical Journal. October 2021;64(4):10-16
The results of the determinations showed that the meth-od is accurate within acceptable limits, RSD values were ≤ 2% (between 0.07 and 0.95), so, the developed UV-Vis spec-trophotometric method is precise.
Robustness is usually fixed to determine, if the results of the determinations will not be influenced by some insigni-ficant variations in the established parameters, respectively, the validity of the analytical process will be maintained con-stant. The robustness of the developed method was determi-ned by the variation of wavelengths ±2 nm (tab. 3).
The results obtained showed that the developed spectro-photometric method is robust, the relative standard devia-tion is less than 1.0%.
The results of the short-term stability were within the acceptance range. Also, the results showed that the samples were stable at room temperature for 24 hours. Acceptance criteria is: RSD ≤ 2% [34] (tab. 4).
table 4. Results of the short-term stability determined by the proposed method (n=6)
Nr.Concentration of piracetam and nicergoline from
capsules, gDeclared Found
P N P N1 0.2000 0.0045 0.2016 0.00462 0.2000 0.0045 0.2014 0.00453 0.2000 0.0045 0.2011 0.00464 0.2000 0.0045 0.2001 0.00465 0.2000 0.0045 0.1998 0.00456 0.2000 0.0045 0.1989 0.0046
Average 0.2000 0.0045 0.2005 0.0046RSD, % 0.2016 0.5897
Note: N – N icergoline; P – Piracetam; RSD – Relative standard devia-tion
Conclusions
For the first time, the UV-Vis spectrophotometric meth-od of concomitant dosing of piracetam and nicergoline in combined capsules was developed and validated. The pro-posed work technique is simple, accessible, fast, accurate, sensitive and reproductive. The developed spectrophotomet-ric method serves as an alternative to the chromatographic method (HPLC), and can be included in the quality speci-
fication for capsules combined with piracetam, nicergoline and Hawthorn dry extract.
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table 3. Results of the robustness by spectrophotometric method for piracetam and nicergoline in combined capsules
P N
λ, nm 203 nm 205 nm 207 nm 280 nm 282 nm 284 nm
A 0.85099 0.85247 0.85565 0.46128 0.46205 0.46201
A 0.85114 0.85152 0.85489 0.46119 0.4627 0.46174
A 0.85087 0.85089 0.85546 0.46208 0.46201 0.46189
Average 0.85100 0.85162667 0.85533333 0.46151667 0.462253333 0.46188
RSD, % 0.015896 0.09339568 0.04624122 0.10615694 0.083794175 0.02928845
Note: N – Nicergoline, P – Piracetam, A – absorbance, RSD – Relative standard deviation.
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Authors’ ORCID iDs and academic degreesLivia Uncu, PharmD, PhD, Associate Professor – https://orcid.org/0000-0003-3453-2243Vlada Evtodienco, PharmD, Researcer – https://orcid.org/0000-0002-5462-3639Ecaterina Mazur, PharmD, PhD Applicant – https://orcid.org/0000-0003-0725-8410Elena Donici, PharmD, PhD, Asisstant Professor – https://orcid.org/0000-0001-6862-7449Vladimir Valica, PharmD, PhD, Professor – https://orcid.org/0000-0002-1068-5504
Authors’ contributionsLU designed the study; VE, EM conducted the laboratory work and performed the analytical part of the laboratory work; LU, ED interpreted the data; LU drafted, revised and approved the manuscript, VV revised and approved the manuscript.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy and the research project “Complex researches for the elaboration of the new autochthonous anti-infectious pharmaceutical products for the optimization of the pharmacotherapy of the dental, oropharyngeal and auricular disorders” – 20.80009.8007.14, offered by the National Agency for Research and Development of the Government of the Republic of Moldova. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe research was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (protocol No 45 of 26.02.2020).
Conflict of InterestsNo competing interests were disclosed.
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ORIGINAL ReseARch D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22
Introduction
Urinary tract infections are inflammatory diseases of infectious etiology, affecting 150 million people each year worldwide [1]. Currently in the Republic of Moldova there is an increased number of people suffering from infectious diseases of the urinary tract [2], which occur in any part of the urinary system: in kidneys, ureters, bladder and urethra, more frequently infections involve the lower urinary tract – the bladder and the urethra [3]. The risk factors for its developing include urinary obstruction, renal failure, renal transplantation, immunosuppression, diabetes, obesity, ge-netic susceptibility, prolonged catheterization, sexual activ-ity and older age. According to physicians the most common diseases are pyelonephritis, urolithiasis, glomerulonephritis and cystitis [4].
Most urinary tract infections are caused by Gram-negative bacteria, namely Escherichia coli, Pseudomonas aeru-ginosa, Klebsiella pneumoniae, Enterococcus faecalis, Proteus mirabilis, by Gram-positive bacteria as: Staphylococcus au-reus, Staphylococcus saprophyticus and by yeast infections – Candida spp. For complicated urinary tract infections the
https://doi.org/10.52418/moldovan-med-j.64-4.21.03UDC: 616.6-002-085.281
Optimisation of the magistral semisolid formulations with furazidine used in urogenital infections
*1Diana guranda, 1Cristina Ciobanu, 1nicolae Ciobanu, 1,2Rodica Solonari1Department of Drug Technology, 2Vasile Procopisin University Pharmaceutical Center
Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, Republic of Moldova
Authors’ ORCID IDs, academic degrees and contribution are available at the end of the article
*Corresponding author – Diana Guranda, e-mail: [emailprotected] Manuscript received July 26, 2021; revised manuscript October 05, 2021; published online October 12, 2021
AbstractBackground: Urinary tract infections are the most common urogenital diseases, with an increased incidence in men and older people. Urogenital infections are caused by Gram-negative bacteria, in which Escherichia coli predominates with a share of 80%. The evolution of microbial resistance to preparations used in curative-prophylactic institutions, induces the need of the reintroduction of nitrofurans, noteworthy for their wide spectrum of antibacterial activity.Material and methods: For the study, suppositories with furazidine were prepared by hand rolling and by melting and molding methods. Quantitative analysis was performed spectrophotometrically on a UV-VIS Perkin Elmer Lambda 40 spectrophotometer. All solvents and reagents had the degree of purity ”pure for analysis” and ”chemically pure”.Results: Duble cast method was applied to identify the exact mass of hydrophobic (cocoa butter, suppocire) and hydrophylic (polyethylene glycol mixtures) excipients. All the formulated suppositories were subjected to quality tests and showed acceptable physical characteristics and uniformity of drug contents. The UV-VIS spectrophotometric method for quantitiative determination of furazidine was developed and validated. The validation results showed that the developed method is simple, fast, accurate and robust.Conclusions: Suppositories with furazidine were prepared by classic technological methods. Preparation of the suppositories with furazidine on cocoa butter excipient is a suitable alternative for individual medicinal prescriptions. The UV-VIS spectrophotometric dosing method for furazidine in suppositories was developed and validated.Key words: suppositories, furazidine, PEGs, in-vitro dissolution test.
Cite this articleGuranda D, Ciobanu C, Ciobanu N, Solonari R. Optimisation of the magistral semisolid formulations with furazidine used in urogenital infections. Mold Med J. 2021;64(4):17-22. https://doi.org/10.52418/moldovan-med-j.64-4.21.03.
order of prevalence for causative agents is Enterococcusspp., K.pneumoniae, Candidaspp., S.aureus and P.aeruginosa [3]. Depending on the severity of the disease, the treatment for each case is complex and is selected individually.
Antibiotics are the most commonly recommended thera-peutics however, increasing rates of antibiotic resistance and high recurrence rates threaten to greatly enhance the bur-den that these common infections place on society. Today, nitrofuran antibiotics, despite the long-term use in medicine (since the 1950) is a class of synthetic substances that are revival and reintroduced as “old” antibacterials for treating multidrug-resistant pathogens [5, 6]. Nitrofurans have a wide spectrum of antimicrobial activity, which acts by dis-rupting the process of cellular respiration of bacteria, inhibi-tion the tricarboxylic acid cycle and causing disruption of nucleic acid synthesis and, ultimately, death of bacterial cells [7].
Furazidine (furazidinum) – is a nitrofuran derivative with properties analog to nitrofurantoin, used in the treat-ment of urinary tract infections. It is animidazolidine-2.4-dione, an organonitrogen heterocyclic and an organooxygen heterocyclic antibiotic, derived from a semicarbazide [8].
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D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22 ORIGINAL ReseARch
Furazidine is a flavourless yellow or orange-yellow fine crys-talline powder, bitter in taste. Very slightly soluble in water and ethanol, hardly soluble in dimethylformamide, slightly soluble in acetone, practically insoluble in chloroform and benzene. It is one of the most popular nitrofuran and is widely used in a large number of researches due to uses in medicine, in industrial and extemporaneous dosage forms and in cosmetology as well [9].
On Moldovan pharmaceutical market furazidine is pres-ent in industrial commercial brand names of Furasol, Furagin and Furamag in dosage forms of powder, tablets and capsules [10]. The survey of the compounding dosage forms with fu-razidine during the years of 2019-2021 in the production department of Vasile Procopisin University Pharmaceutical Center (UPhC), shows that the largest share is presented by semisolid pharmaceutical forms mostly in suppositories, fol-lowed by solid pharmaceutical forms as powders. Specialists select the rectal route of administration of drugs because it avoids the first hepatic passage, does not allow irritation of the mucosa of the gastrointestinal tract, in case of intoleran-ce to some active substances, demonstrates good absorpti-on of drugs, rapid therapeutic action and mostly tolerable for pediatric and geriatric patients [11, 12]. Thus, based on the importance of the study, the semisolid medicinal forms – suppositories containing furazidine only or in combina-tion with other active components, such as benzocaine, di-mexide, methylene blue and other, are frequently prescribed in the treatment of urogenital diseases [13]. Pharmaceutical forms prepared in pharmacy, whether magistral prescripti-ons prepared by the pharmacist on the basis of a medical prescription, or compounded dosage forms presented as stock elaborations prepared by the pharmacist on the basis of an official data from the pharmacopoeia, offer an effec-tive alternative to industrial medicinal preparations. Vasile Procopisin UPhC of Nicolae Testemitanu SUMPh, is nowa-days the leading compounding pharmacy from the Republic of Moldova and plays an important role in practic trainings of new generations of pharmacists concerning production, quality control and delivery of medicines [14].
The research was performed in order to develop the op-timal composition of suppositories with furazidine prepared in the production department of Vasile Procopisin UPhC on hydrophilic and hydrophobic excipients using two prepara-tion methods (hand rolling and molding), as well as to de-velop and validate a spectrophotometric dosing method for furazidine in suppositories. The paper aimed to highlight the comparative analysis of technological methods of supposi-tories prepared on water-soluble and fat-soluble excipients, quality control and quantitative determination according to the Analytical Standardization Documentation (ASD).
Material and methods
Reagents and chemicals. Furazidine – molecular for-mula C10H8N4O5, produced by Chengdu HuaXia Chemical Reagent Co. Ltd, 99% purity. N,N-dimethylformamide and other reagents of analytical grade have been purchased from Sigma-Aldrich Chemie GmbH and Merck (Germany). All
solvents had the degree of purity “pure for analysis” and ”chemically pure”.
Preparation of suppositories. The preparation of the suppositories was performed in the Production Department of Vasile Procopisin UPhC. The elaboration of the composi-tion and preparation of the suppositories on water-soluble excipients: PEG 400: 4000 (1:9); PEG 400: 1500 (0.5:9.5); PEG 400: 1500: 4000 (1:3:6), as well as on fat-soluble excipients: cocoa butter and suppocire was performed in accordance with the requirements of the European Pharmacopoeia [15].
Double cast technique. The amount of substance for a suppository was mixed with a part of the molten excipient and poured into the suppository mold. Calculations were made for 10 suppositories. Then the excess molten excipi-ent was poured into each cavity, cooled and the excipient left outside the level of the mold cavities was scraped and removed. At the beginning, 10 suppositories obtained from the clean excipient were weighed, then 10 suppositories con-taining the excipient and each substance were weighed and the average mass was calculated for each.
Evaluation of suppositories. Visual characterization – twenty suppositories from each batch were randomly se-lected, longitudinally cut and examined through naked eyes for the assessment of physical characters. Weight variation – twenty suppositories were weighed and average weight was calculated. Each suppository was weighed individually on electronic balance (WLC 6/12 precision electronic pharma-ceutical balance). No suppositories should deviate from av-erage weight more than 7.5%. Melting point – melting range test was performed with the whole suppository. Suppository from each formulation was placed in a test tube with phos-phate buffer pH 7.2 maintained at constant temperature 37± 0.5°C. The time required for the whole suppository to melt or disperse in the media was noted. Penetration test – this test was used to determine the temperature at which the suppository becomes sufficiently soft for a penetrating rod to drop through its length. Test apparatus Erweka PM 30, phosphate buffer pH 7.2 maintained at 37±0.5°C was used for this testing, the time taken for the penetration of entire suppository was recorded.
Drug content – was determined spectrophotometrically on Perkin Elmer Lambda 40 UV/VIS spectrophotometer, using solvents and reagents with a degree of purity ”pure for analysis” and ”chemically pure”, various laboratory and phar-maceutical utensils.
In-vitro dissolution study. The study was carried out using dissolution apparatus USP Type II (Paddle) with ap-paratus Erweka DT6, dissolution medium – phosphate buf-fer, pH 7.2, the speed of paddle – 100 rpm, temperature of medium – 37 ± 0.5°C.
Validation of the UV-spectrophotometric method. The analytical parameters of linearity, accuracy, selectivity and robustness were evaluated for validation of the spectropho-tometric method.
Statistical analysis. All measurements were carried out in triplicate and expressed as mean (n=3) ± standard devia-tion (n=3) of three replicates. Construction of curves and
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ORIGINAL ReseARch D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22
graphical presentation were performed by MS Office Excel 2016, as well as identifying the differences between values. A probability value of p≤0.05 was considered to be significant.
Results and discussion
Preparation of suppositories. The active substance fura-zidine – a compound from the group of nitrofurans, with an-timicrobial effect against specific microorganisms [16, 17], was used for the study. Due to the unwanted reactions that furazidine can manifest in the oral administration of medi-cinal preparations, suppositories are an effective and advan-tageous alternative. Furazidine – IUPAC name 1-[3-(5-ni-trofuran-2-yl)prop-2-enylideneamino]imidazolidine-2.4-dione, has a pKa value of 8.23, characteristic for a substance with weak acidic properties. Calculating the percentage of non-ionized form [11] at the rectal average pH of 7.9 we can conclude that furazidine is satisfactorily absorbed at a neu-tral to slight basic pH, reported in adults [12].
Furazidine suppositories were prepared on a hydrop-hobic excipient of cocoa butter, by the method of manual modeling [18]. Subsequently the composition was develo-ped for suppositories obtained by the melting and casting method prepared on suppocire and with polyethylene gly-cols (PEGs): PEG 400: 4000 (1:9); PEG 400: 1500 (0.5:9.5); PEG 400: 1500: 4000 (1:3:6). In order to efficiently and qua-litatively achieve the method of preparing suppositories by melting and casting in patterns, the calculation of the dis-placement factors for each component of each assortment of suppositories with application of Double Casting Method was performed [13]. It is necessary to know the capacity of the forms and the value of the displacement factor, respecti-vely the amount of displaced excipient of 1.0 g of active sub-stance, mechanically dispersed in the excipient, according to the formula (1):
f=ρ excipient / ρ active substance, (1) where: f– displacement factor; ρ – density.To compensate for the losses, an excess will be taken, de-
pending on the number of suppositories to be prepared. The results obtained were used to calculate the mass of the ex-cipients. The stages of the technological process of prepara-tion of suppositories by the method of melting and casting in molds, were applied to hydrophobic base suppocire and for water-soluble excipients based on PEGs. The method con-sisted of pouring the mixture of active substances and excip-ient, hot fluidized, in forms corresponding to the subsequent cooling of suppositories. The stages of the technological flow of preparation of suppositories by the method of melting and molding in patterns are shown in fig. 1.
The preparation process depends on the properties of the active substances, so the furazidine was incorporated by suspension, in micronized form with dimensions between 50-100 µm. In the method of melting and casting into molds, melting of the excipient and mixing with the active substanc-es is done in containers heated with water vapor, at a con-trolled temperature to avoid overheating [19]. Great atten-tion has been paid to the homogeneity of the mixture when molding to avoid the tendency of sedimentation, therefore
the mixture must be less fluid, stirring continuously during casting for a correct dosage. Drug has been suspended with the adjustable speed pistil, to ensure perfect homogenization in the mixture, with convenient viscosity, to maintain a ho-mogeneous suspension of the incorporated active substance. Uniform flow in the molds was ensured.
The hand rolling method was applied for fat-soluble ex-cipient cocoa butter. Suppositories were obtained by manual method, initially in the mortar furazidine was crushed in the presence of peach oil [20], the mixture was homogenized with cocoa butter until obtaining the appropriate consisten-cy. Subsequently, the suppository mass was divided into ap-propriate doses, from which rectal suppositories were mod-eled, packaged in parchment paper, then in plastic boxes. The preparation was shaped, labeled according to the provi-sions of the ASD. The scheme of the technological process of preparation of suppositories by the method of hand rolling is presented in fig. 2.
Incorporation of medicinal substances
by suspension and emulsification in the
excipient base
Mixing and kneading the mixture until the
suppository mass is obtained at room
temperature
Dosing and manual modeling of rectal
suppositorie
Packing in plastic bags of the right size Forming for release
Fig. 2. the stages of the technological flow of obtaining suppositories by hand rolling method
Evaluation of suppositories. Twenty suppositories from each batch were randomly selected, longitudinally cut and examined through naked eyes for the assessment of physi-cal characters like absence of fissuring, pitting, fat blooming, exudation and migration of active ingredients. Suppositories have a homogeneous appearance, yellowish in color, which retains its shape and consistency at room temperature.
Weight variation: twenty suppositories were weighed and average weight was calculated. Each suppository was weighed individually on WLC 6/12 electronic balance. No supposito-ries deviated from average weight by more than 5%, accord-ingly meeting the pharmacopoeia requirement [21].
Melting point: Macro melting range test was performed with the whole suppository. Suppository from each formu-lation was placed in a test tube with phosphate buffer pH
Fig. 1. Scheme of the technological flow of preparation of suppositories by the method of melting and molding in patterns
Introduction of theactive substances
into the previouslymelted excipient base
Mixing the suppository mass
Pouring thesuppository mass
into pre-lubricated
Introduction of the active substances
into the previously melted excipient
base
Mixing the suppository mass
Pouring the suppository mass
into pre-lubricated patterns
Cooling and solidification of the suppository mass
Packing suppositories
Cooling andsolidification of the suppository mass
Packingsuppositories
20
D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22 ORIGINAL ReseARch
7.2 maintained at constant temperature 37± 0.5°C. The time required by the whole suppository to melt or disperse in the media was noted. The melting time plays a crucial role in the release of active ingredient.
Penetration test: the study was carried out using appara-tus Erweka PM 30, in medium of distilled water at tempera-ture of 37±0.5°C. The average results are presented in table 1.
Quantitative determination of furazidine in supposito-ries was carried out by UV-VIS spectrophotometric meth-od. Several solvents were selected for the elaboration of the technique for the extraction of medicinal substances from suppositories containing furazidine: purified water, dimeth-ylformamide solution, acetate buffer and 96% ethyl alcohol. Repeated extraction with dimethylformamide met all the requirements for qualitative and quantitative analysis of fu-razidine, the extraction yield being 94%.
Extraction technique – 1 suppository (mass 3.0 g) was brought into a 100 ml beaker, 60 ml of dimethiformamide was added and mixed vigorously for 20 minutes. 30 ml of 96% ethyl alcohol was added, stirred, added 96% alcohol to the quota and mixed. The obtained mixture was filtered through filter paper; the first portions were discarded. 0.25 ml of the filtrate was placed in a volumetric flask and mixed with acetate buffer to the level.
The UV-VIS spectra of the 5 μg/ml furazidine samples recorded in the 230-450 nm region showed a maximum ab-sorption for the standard furazidine solution at 292 nm, for the suppositories prepared on cocoa butter and suppocire at 286.11 nm, and for the suppositories with furazidine pre-pared on PEGs, the absorption spectrum at the wavelength
of 286.04 nm was recorded, using the Perkin Elmer Lambda 40 UV/VIS spectrophotometer (fig. 3).
The furazidine content was calculated according to the formula (2):
, (2)where: X - Furazidine content in the sample, g; A₁ - Wavelength of the solution to be analyzed; Ao - Wavelength of the standard furazidine solution; ao - mass of furazidine standard, g; C – Amount of active substance, %. The results for all assortments of suppositories meet the
pharmacopeial requirements and are presented in table 1. All the suppositories prepared with furazidine showed ac-ceptable physical characteristics and uniformity of drug con-tents.
The in-vitro drug release profile from different supposi-tories formulation is shown in fig. 4. The dissolution study showed that the suppositories melted in the dissolution me-dium maintained at 37±50C. All five formulations showed more than 50% drug release within 60 minutes.
Fig. 4. Dissolution profiles of suppositories with furazidine using different types of excipients
In cocoa butter suppositories, the drug release was sli-ghtly slower due to high lipophilicity of the base and non-
table 1. Results of evaluation of furazidine suppositories for various parameters
FormulationWeight*
(average mass, gram)Melting time**
(minutes)Penetration test**
(minutes)Drug content**
(%)Furazidine 0.1 gCocoa butter q.s. ad 3.0 g
3.2±0.032 31.2±1.2°C 15.4±0.81 98.9% ±0.04
Furazidine 0.1 gSuppocire q.s. ad 3.0 g
3.0±0.032 36.8±0.12°C 17.25±0.73 97.14% ±0.83
Furazidine 0.1 gPEG 400: 4000 (1:9) q.s. ad 3.0 g
3.07±0.014 34.7±0.52°C 22.3±0.64 98.55%±0.112
Furazidine 0.1 gPEG 400:1500:4000 (1:3:6) q.s. ad 3.0 g
3.05±0.07 36.17±0.52°C 19.4±0.95 98.72±1.37
Furazidine 0.1 gPEG 400:1500 (0.5:9.5) q.s. ad 3.0 g
3.01±0.001 37.6±0.1°C 59.5±0.77 94.5±0.02
Note: *Average mass of 20 suppositories; **Average of 3 measurements; ±Standard Deviation.
Fig. 3. UV spectrum of furazidine in evaluated formulations
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ORIGINAL ReseARch D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22
miscibility of the base with the dissolution media, charac-teristic for hydrophobic bases [22]. Furthermore, the lack of surfactants might have acted as a significant variable in the fat-based formulation in the release of furazidine [23, 24]. Suppositories prepared with the combination of PEG 400:1500:4000 (1:3:6) showed the maximum furazidine re-lease (92.4%) within 60 minutes.
Validation of the UV-VIS dosing spectrophotometric method. UV-VIS spectrophotometric methods [25] for do-sing furazidine in suppositories were developed and valida-ted. Validation parameters were calculated according to SR ISO 8466 / 1-2016 European Pharmacopoeia Standard, Ed. 9.0 (2020) and ICH-Q2B-Validation of Analytical Procedu-re: Methodology (2005). The statistical parameters that were used to validate the method were: linearity, repeatability, ac-curacy and robustness. The first step was to select the solvent for the extraction of the active substances. Extraction tech-nique used: a suppository (mass of 3.0 grams) was brought into a 100 ml beaker, 60 ml of dimethiformamide was added and mixed vigorously for 20 minutes, futher mixed with 30 ml of 96% alcohol and brought with 96% alcohol to the quo-ta. The mixture obtained was filtered through filter paper, the first portions were discarded, and 0.25 ml of the filtrate was brought into a volumetric flask and mixed with acetate buffer up to 100 ml.
Preparation of the standard solution. 0.05 g (exact mass) preventively dried furazidine at a temperature of 100-105˚C, until the exact mass, is dissolved in 60 ml of dimethiforma-mide in a 100 ml volumetric flask, 30 ml of 96% ethyl alcohol are added, and mixed well.1 ml of solution was brought to a 100 ml volumetric flask, mixed with the acetate buffer to the level. The solutions were used ready-made.
The selectivity of the dosing method was determined by analysis of a control sample. At the wavelength of 292 nm corresponding to the furazidine determination, the control sample led to an absorbance value of 0.001. The accuracy of the developed methods was determined at 3 concentra-tion levels: 80%, 100% and 120% by the standard addition method. The furazidine concentration was calculated using the linear regression equations established at the linearity parameter. The equation of linear regression for furazidine dosing was: y = 0.238x + 0.014, R2 – 0.999.
The degree of accuracy, repeatability and intermediate accuracy was investigated. Repeatability was determined for 4 samples, at the concentration level of the drug substances of 100%, on the same day, respecting the same conditions. The degree of accuracy was investigated in 2 different days, under the same conditions, performing 5 determinations for each assortment of suppositories. Changes in the wavelength of absorption were performed to evaluate the robustness of the method. During the analysis of the pharmaceutical prod-ucts, the levels found no significant difference and the rela-tive standard deviation was below 0.93%, demonstrating the robustness of the proposed method, thus, furazidine in sup-positories can be detected in low concentrations (tab. 2).
The UV-VIS spectrophotometric method for quantitia-tive determination of furazidine in evalueated suppositories was developed and validated. The validation results show that the developed method is simple, fast, accurate and ro-bust.
Conclusions
In this paper, suppositories with furazidine were formed by hand rolling and molding methods and were subjected to physical evaluation, weight variation, content uniformity, melting point, penetration time test and in-vitro dissolution studies. All tests showed satisfactory results.
All five formulations showed more than 50% drug release within 60 minutes. Based on the in-vitro release rate studies, it can be concluded that PEG 400:1500:4000 can be used as a base which is easily soluble in aqueous medium, disperses rapidly and has higher rate of release for immediate release of furazidine and is recommended for bulk pharmaceutical elaborations.
Preparation of the suppositories with furazidine on co-coa butter excipient is a suitable alternative for individual medicinal prescriptions.
The UV-VIS spectrophotometric dosing method was de-veloped and validated, this method could be included in the analytical procedures and documentations in the perspec-tive of the quality evaluation of furazidine suppositories, the obtained results will serve as landmark for real-time stability studies.
table 2. Results of validation of UV-VIS spectrophotometric dosing method for furazidine from suppositories
Validation parametersSuppositories with furazidine on
hydrophobic baseSuppositories with furazidine on
hydrophylic base
RepeatabilitySubstance content, g 0.108 0.989
Coefficient of variation,% 0.550 0.467
Precision, day 1Substance content, g 0.106 0.160
Coefficient of variation,% 0.618 0.645
Precision, day 2Substance content, g 0.107 0.108
Coefficient of variation,% 0.589 0.542
Robustness Coefficient of variation,% 286.04 nm: 0.005 286.11nm: 0.006
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D. Guranda et al. Moldovan Medical Journal. October 2021;64(4):17-22 ORIGINAL ReseARch
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toarelor cu extract purificat de Mumio în afecțiunile urogenitale [The opportunities of using suppositories with purified Mumiyo extract in urogenital diseases]. Revista Farmaceutică a Moldovei. 2020;(1-4):38-41. Romanian.
3. Flores-Mireles A, Walker J, Caparon M, et al. Urinary tract infections: epidemiology, mechanisms of infection and treatment options. Nat Rev Microbiol. 2015;13(5):269-284. https://doi.org/10.1038/nrmicro3432.
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7. Babără D. Elaborarea tehnologiei și cercetarea biofarmaceutică a forme-lor medicamentoase cu izohidrafural [Elaboration of technology and biopharmaceutical research of isohydrafural drug forms]. [dissertation]. Chișinău: Nicolae Testemitanu State University of Medicine and Phar-macy; 1997. 124 p. Romanian.
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14. Guranda D, Ciobanu C, Polișciuc T, Solonari R. Perspectives and optimi-zation of semi-solid pharmaceutical forms in pediatric pharmacotherapy. In: Proceedings of the Romanian National Congress of Pharmacy. 17th ed. “21st century pharmacy – between intelligent specialization and social responsibility”; 2018 Sept 26-29; Bucharest, Romania. Bucharest; 2018. p. 88-92.
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18. Todoran N, Redai E, Antonoaea P, Ciurba A. Ghidul activităților practice de tehnologie farmaceutică. Vol 3, Prepararea produselor medicamen-toase semisolide și solide [Guide to practical pharmaceutical technology activities. Vol 3, Preparation of semi-solid and solid medicinal products]. Târgu-Mureș: University Press; 2016. 167 p. Romanian.
19. Popovici I, Lupuleasa D. Tehnologie farmaceutică [Pharmaceutical technology]. 4th ed. Vol. 1. Iași: Polirom; 2017. 720 p. Romanian.
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24. Asgari F, Amiri S, Ghiass M. Improved solubility of acetamidophenol from peg and witepsol suppositories via formation of inclusion com-plex by β-cyclodextrin with a controlled release profile. J Pharm Innov. 2019;14(1):57-65. https://doi.org/10.1007/s12247-018-9328-y.
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Authors’ ORCID iDs and academic degreesDiana Guranda, PharmD, PhD, Associate Professor of Pharmacy – https://orcid.org/0000-0001-6296-9114Cristina Ciobanu, PharmD, PhD, Associate Professor of Pharmacy – https://orcid.org/0000-0001-6550-6932Nicolae Ciobanu, PharmD, PhD, Associate Professor of Pharmacy – https://orcid.org/0000-0002-2774-6668Rodica Solonari, PharmD, PhD, Assistant Professor of Pharmacy – https://orcid.org/0000-0003-0709-1606
Authors’ contributionsGD designed the study, performed some part of laboratory work, drafted the first manuscript; CC interpreted the data, revised the manu-script; NC conducted the laboratory work; SR conceptualized and performed a certain portion of laboratory work. All authors revised and approved the final version of the manuscript.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy. The trial was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateNo approval was required for this study.
Conflict of InterestsNo competing interests were disclosed.
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ORIGINAL ReseARch L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28
Introduction
The diastolic relaxation of the heart is an important phase of cardiac activity, which assures, by adequate fulfil of left ventricle cavity (LV), the feasibility of Frank Starling mechanism realizing (the length – force law) and of pump-ing function. But, on the other hand, the diastole is a vul-nerable cardiac phase to the cardiovascular risk factors, but diastolic disorders are imposed as an early predictor of heart failure [1, 2]. Conceptually, the cardiac lusitrope function is dependent on different factors and conditions, like turnover of calcium into cardiomyocyte, indispensable for working of ionic pumps (first of all SERCA2a), as well as structural changes which develop at extracellular matrix and cardiac myocytes level [3, 4].
Among natural and synthetic factors with cardiotoxic ac-tion, the anthracyclines (election drugs in neoplasm treat-ment, e. g. doxorubicin) are positioned in a special format in the interdisciplinary plan of collaboration and mutual interest, oncology-cardiology. Cardiotoxicity of doxorubicin (Dx) may already progress to cumulative sub-therapeutic doses of the drug (<500 mg/m2), manifested by the onset and rapid progression of heart failure inherent to dilated car-diomyopathy with a marked risk of mortality indifferent of patient age.
https://doi.org/10.52418/moldovan-med-j.64-4.21.04UDC: 616.12-008.6
Diastolic disorder inherent to doxorubicin cardiotoxicity
*Lilia tacu, Valeriu Cobet
Department of Pathophysiology and Clinical PathophysiologyNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Lilia Tacu, e-mail: [emailprotected] received July 27, 2021; revised manuscript October 05, 2021; published online October 12, 2021
AbstractBackground: The doxorubicin (Dx) cardiotoxicity is manifested by a marked heart failure evolution. The impact of Dx on lusitrop functions of the heart and the inherent diastolic disorders have a theoretical and practical value for the connection cardiology-oncology.Material and methods: Dx cardiotoxicity was reproduced by its administration i/p in white rats in cumulative dose 16 mg/kg (Dx group n=9). Control group (n=9) received only physiological solution. The study was performed in vitro by using models of isolated heart perfusion in either isovolumic or exterior working regimens. The assayed indices of diastole functioning were: left ventricle (LV) end-diastolic pressure (LVEDP), diastolic stiffness, isovolumic relaxation velocity (-dP/dTmax) and protodiastolic pressure of LV (LVPDP). Results: The indices of diastolic disorders induced by Dx were elevation of LVEDP, diastolic stiffness and LVPDP in a range of 97-168% comparing to control as well as diminution of -dP/dTmax in the physiological pattern of hemodynamics. LVEDP increased more in conditions of calcium overloading or endothelin-1 (ET-1) action that are involved in pathogenesis of diastolic rigidity. Dx action led to decrease of myocardium resistance to ischemia-reperfusion action resulting in the LVEDP elevation by 53% comparing to control.Conclusions: 1. Diastolic disorders inherent to Dx cardiotoxicity are manifested by the increase of LVEDP and diastolic stiffness. 2. Diastolic disorders compromised the volume-pressure relationship of LV, the adaptation of the heart to effort with volume, being more pronounced during the action of calcium excess and ET-1.Key words: doxorubicin cardiotoxicity, diastolic relaxation disorders.
Cite this articleTacu L., Cobet V. Diastolic disorder inherent to doxorubicin cardiotoxicity. Mold Med J. 2021;64(4):23-28. https://doi.org/10.52418/moldovan-med-j.64-4.21.04.
Thus, there is a need to stop the administration of the drug, which reduces the chances of survival of the cancer patient, especially with leukemia and lymphoma. In this as-pect, it is obvious that oncology and cardiology have a com-mon task: the early detection of Dx cardiotoxicity and ap-plication of measures to limit the characteristic myocardial injuries and dysfunction.
The evaluation of Dx cardiotoxicity in terms of estima-tion the nature of diastolic disorders is authentic and im-portant from several points of view. First of all it is needed to highlight the pathogenetic mechanisms of triggering and exacerbation of heart failure. Secondly, the demarcation of functional predictors of Dx cardiotoxicity is important. And thirdly, it is important to determine the targets of pathoge-netic treatment of heart failure.
The aim of the study was to evaluate in vitro the distur-bances of diastolic relaxation characteristic for Dx cardio-toxicity.
Material and methods
Myocardial Dx disorder was reproduced in white rats by i/p administration of Dx (cumulative dose 16 mg/kg in 2 weeks, 2 injections/per week at a dose of 4.0 mg/kg). The animals were sacrificed by euthanasia (sodium thiopental,
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L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28 ORIGINAL ReseARch
0.4 mg/kg) 10 days after the last anthracycline injection, as doxorubicin is a drug that, based on reduced clearance, ac-cumulates in the body. This model of Dx-induced cardiotox-icity has been used by other authors, aiming to highlight the link between the action of anthracycline and the inflamma-tory response of the myocardium [5].
The isolated heart was perfused in isovolumic or work-ing regime respectively according to the Langendorff and Neely-Rovetto method, the functional indices of LV being estimated by technical device for recording real-time param-eters „Bio-Shel” (Australia) or the autograph Linearcorder MARK WR3101 (Germany) connected to the mechanical sensor. For estimation of diastolic relaxation peculiarities to-gether with the performance of the LV pump function, were used the following functional indices:
- End-diastolic pressure (LVEDP),- Protodiastolic pressure (LVPDP), - Maximum isovolumic relaxation rate (-dP/dTmax), - Diastolic stiffness,- Aortic jet velocity, - Coronary flow,- Cardiac output.
Functional reserves of diastole were estimated in various exercise stress tests:
- Modification of filling pressure of the left atrium (ef-fort with volume),
- Increasing the filling volume of the LV cavity (vol-ume-pressure relationship),
- Increasing the retrograde perfusion pressure (coro-nary pressure – diastolic compliance relationship),
- Stimulation of isolated heart with calcium and En-dothelin 1 (ET-1),
- The ischemia-reperfusion impact.The obtained data, exposed by the value M±m (mean
and standard error), were compared and statistically ana-lyzed, according to the t-Student criteria, with the control group (intact animals) or with indices attested before the ex-ercise stress test. The error margin less than 5% was consid-ered admissible and the deviation from the reference value was significant (p <0.05).
Results
Dx cardiotoxicity was imposed by marked impairment of diastolic relaxation, that already has been attested in the optimal perfusion regime of the isolated heart, when the fill-ing pressure of the left atrium (LAFP) was 15 cmH2O, and the pressure in the aorta – 80 cmH2O (tab. 1).
One of the main important indices, estimating the feasi-bility of diastolic relaxation, PTDVS, was increased by 168% in the group with Dx compared to the control one, which was associated with increased of more than 109% the value of diastolic stiffness. The diastolic disorder is based on distur-bance of relaxation isovolumic phase of the heart, as key pa-rameter of it, -dP/dT max, demonstrates a significant decline of 24.81%. Impaired diastolic relaxation compromises systo-lic contraction due to the inefficiency of the Frank-Starling mechanism. Thus, the protodiastolic pressure, which means
LV pressure at the end of systole, is elevated by 97% in the group with Dx.
table 1. Indices of diastolic relaxation of the isolated heart perfused in physiological regime
IndicesGroup
pControl (n=9) Dx (n=9)
End-diastolic pressure (LVEDP)
4.7±0.26 12.6±0.78+168% vs control
<0.001
-dP/dT max, mm Hg/sec
6710±174 5045±120-24.81% vs control
<0.05
Diastolic stiffness of LV, mm Hg/ml
29.8±1.7 62.5±4.4 +109.73% vs control
<0.01
Protodiastolic pres-sure of LV, mm Hg
0.78±0.06 1.53±0.08+97% vs control
<0.01
The manifestations of the heart lusitrop function distur-bances at administration of Dx can be determined by esti-mating the diastolic stiffness of the LV, which was clearly increased by 109% compared to the control index. Diastolic stiffness shows the ratio between rate of increasing LV pres-sure during diastolic filling to the stroke volume or systolic volume. As a consequence, the parameters of the LV pump function were significantly reduced compared to the control group (tab. 2).
The aortic jet decreased by 40.47%, which determined the decreased cardiac output by 36.9%, caused by decreased coronary flow by 31.65%.
Manifestations of impaired diastolic relaxation in the group with Dx become more pronounced in the hemody-namic effort tests, with calcium, ET-1, as well as in the im-pact of ischemia-reperfusion.
table 2. the values of indices of the isolated heart pump function
IndicesGroup
pControl (n=9) Dx (n=9)
Aortic jet velocity, ml/min
21.5±1.4 12.8±0.8-40.47% vs control
<0.01
Coronary flow, ml/min
15.9±1.2 10.8±1.2-31.65% vs control
<0.01
Cardiac output, ml/min
37.4±1.9 23.6±1.3-36.9% vs control
<0.01
In the exercise effort test with minimal filling pressure of the left atrium (LAFP) (5 cm H2O) the depreciation of the index -dP/dT max compared to the control prototype in-creased from 24.81% to 32.77% (tab. 3).
Compared to the index attested in the perfusion of the isolated heart in physiological comfort regime, its value in-creased in both groups, but the enhancement was different: in the control group -dP/dT max was increased by 19% and in the group with Dx – only by 7 %. In conditions of decreas-ing the venous return to the heart, the phase of isovolumic relaxation of the heart has a decisive significance in order to ensure as much as possible the filling of the left ventricular cavity based on developing the adequate pressure gradient.
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ORIGINAL ReseARch L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28
table 3. Value of functional indices of the cord isolated at the minimum level of LAFP
IndicesGroup
pControl (n=9)
Dx (n=9)
Aortic jet velocity, ml/min 5.7±0.3 1.6±0.1-71.93% vs control
<0.001
End-diastolic pressure of LV, mm Hg
2.2±0.15 3.9±0.19+78% vs control
<0.001
Protodiastolic pressure of LV, mm Hg
0.22±0.02 0.48±0.04+119% vs control
<0.01
-dP/dT max, mm Hg/sec 7966±188 5356±149-32.77% vs control
<0.05
The pumping function of LV appreciated after the aortic jet had a decline of 87.5% (in the control group – 73.5%) reaching an average value of 1.6 ml/min that is 71.93% lower than control index (5.7±0.3 ml/min). The end-diastolic pres-sure decreased intelligibly in both groups, but its value re-maining significantly higher in the group with Dx, the dif-ference being 78%. The protodiastolic pressure decreased simultaneously with the decreasing of filling pressure of the left atrium, the smaller rebound being characteristic for Dx cardiotoxicity (68.83 vs 71.8%), which indicates a weaker systole compared to the control group.
In the sample with maximum LAFP (25 cmH2O) the LV filling is facilitated due to an artificial gradient installed be-tween the left atrium and the left ventricle. However, the re-duced diastolic compliance of the myocardium in the group with Dx conditioned a higher elevation of LVEDP compared to the control pattern: 5.6 vs 2.1 mm Hg (tab. 4).
As a consequence, the value of LVEDP in this volume stress test became 184% higher than the index in the control group.
The reduced diastolic compliance was manifested by in-creasing the value of diastolic stiffness by 129%, this being higher than the enhancement attested to the perfusion of isolated heart in physiological regime (109.73%). Limiting the filling of the LV cavity due to increased diastolic stiffness of the myocardium led to lower values of the pump function
indices. The aortic jet, for example, was found to be reduced by 42.6%, and stroke volume – by 25%.
table 4. Values of functional indices of the heart isolated at the maximum level of LAFP
IndicesGroups
pControl (n=9) Dx (n=9)
Aortic jet velocity, ml/min
31.7±2.5 18.2±1.4-42.6% vs control
<0.001
Stroke volume, ml 0.2±0.009 0.15±0.009-25% vs control
<0.01
End-diastolic pres-sure of LV, mm Hg
6.8±0.52 19.3±1.83+184% vs control
<0.001
Diastolic stiffness,mm Hg/ml
31.86±1.8 72.95±4.5+129% vs control
<0.001
-dP/dT max, mm Hg/sec
7718±156 5296±141-31.39% vs control
<0.05
Evidence of impaired diastolic relaxation at Dx admin-istration was also confirmed on the retrograde perfusion model without recirculation of the isolated heart (Langedorff method, to unify the initial values of LVEDP) in the condi-tions of increased filling (tab. 5).
The impact of the gradual increasing of LV filling vol-ume on LVEDP hemodynamics is different between batches, taking into account that initial volume was similar (0.2 ml) and LVEDP was calibrated at 14 mm Hg level. In the con-trol group, the elevation of LVEDP, in conditions of increas-ing LV volume from 0.2 up to 0.4 ml, was found in a range of 7-51%. The cardiotoxicity of doxorubicin increased the LVEDP to 95.8%, which led to a significant 30% lag of the index at the end of the test: 27.4±1.6 vs 21.2±1.2 mm Hg.
Due to a higher elevation of the end-diastolic pressure of LV in the group with Dx, a more conclusive depreciation of coronary flow was attested. Compared to the control pro-totype, the decline of coronary flow in conditions of dou-bling the filling volume of LV was with 46% higher (45.33 vs 31.21%), and the final rebound of absolute value of the CF (coronary flow) was 21.65% (7.6±0.5 vs 9.7±0.3 ml/min).
table 5. the hemodynamics of end-diastolic pressure and coronary flow in condition of gradual increasing of left ventricular filling volume
Indices GroupsInitial
LVFV =0.20 mlLeft ventricular filling volume of isovolumic heart
0.25 ml 0.30 ml 0.35 ml 0.40 mlLVEDP mm Hg Control, n=9 14.0±0.3 15.1±0.7
+7%16.4±0.9 *
+17%17.8±1.1 *
+27%21.2±1.2 **
+51%Dx, n=8
14.0±0.3 15.7±0.7+12%
17.2±1.1 *+22%
20.5±1.3 *+46%
27.4±1.6 **+95.8%p<0.05
CF, ml/min Control, n=9 14.1±0.4 13.7±0.4-3%
12.4±0.3 *-13%
11.0±0.4 **-22%
9.7±0.3 **-31.21%
Dx, n=8
13.9±0.5 13.1±0.4-6%
11.2±0.3 *-20%
9.3±0.4-34%
p<0.05
7.6±0.5 **-45.33%p<0.05
Note: LVFV – left ventricular filling volume; CF – coronary flow; +/-% – relative deviations of the indices compared to their initial value; p – the significance of the discrepancy versus the respective index; * – p<0.05 versus initial value; ** – p <0.01 versus initial value.
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L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28 ORIGINAL ReseARch
An important intrinsic factor that influences the func-tionality of diastolic relaxation is the pressure of the coro-nary perfusion, which on the retrograde perfusion model of the isolated isovolumic heart is dependent on the perfusion volume of the coronary system. In this context, there was es-timated the hemodynamics of LVEDP modification in con-ditions of increasing the pressure in the aortic estuary from 80 up to 120 cmH2O (tab. 6).
table 6. the LVEDP hemodynamics in conditions of increased coronary pressure of the isolated isovolumic
heart
GroupsCoronary perfusion pressure of the isolated
isovolumic heart (cmH2O)80 100 120
Control (n=9)
14 mm Hg 15.6±1.2 16.3±1.4
Dx (n=9) 14 mm Hg 18.3±1.3+18% vs control
19.8±1.5+22% vs control
p <0.05 <0.05
It should be mentioned that LVEDP was measured at the level of the initial or basal aortic pressure (80 cmH2O) equal in both batches with 14 mmHg, by the latex balloon placed in the cavity of the left ventricle. The progression of coronary hypertension has led in both groups to a natural ef-fect – the elevation of LVEDP. But, in the group with Dx, the increase of the end-diastolic pressure of LV was much more pronounced. At the level of aortic pressure of 100 cmH2O, the LVEDP value increased by 31% compared to the control increment of 12%. At the maximum level of coronary pres-sure (120 cmH2O) the enhancement of LVEDP was 42%, which is 147% higher than the control increment equal to 17%. As a consequence at both levels of coronary blood pres-sure LVEDP in doxorubicin disorder of the heart was signifi-cantly higher compared to the control pattern by 18% and 22%, respectively.
The lusitrop function of the heart is influenced by sev-eral neuroendocrine factors (e.g., ET-1, catecholamines, angiotensin II), which normally had a positive inotropic ef-fect due to the increased calcium concentration in the sar-coplasm. In order to estimate the character of the diastole change under the action of ET-1 and excess calcium, was appreciated the basal value, as well as the value of LVEDP, as well as the index value at the peak of stimulation of the isolated heart perfused in working regime (tab. 7).
table 7. Modification of LVEDP to the action of Et-1 and excess of calcium
Groups ET-1(10-7 М) Calcium (3.0 mM)
Initial Peak Initial PeakControl (n=9)
4.9±0.29 6.1±0.55+25% vs initial
4.8±0.29 6.9±0.61+44% vs initial
Dx (n=9) 12.5±0.87 17.7±1.26+42% vs initial
12.4±0.87 21.2±1.87+71% vs initial
p (vs control)
<0.001 <0.001 <0.001 <0.001
The action of both factors on the isolated heart was im-posed by elevating LVEDP, both in the control group and in the group with Dx, the more conclusive effect being charac-teristic for the excess of calcium. Remarkably, that enhance-ment of LVEDP was significantly higher in the doxorubicin group. Thus, under the action of ET-1 the rate of LVEDP el-evation was imposed by the ratio of 42 vs 25%, and under the action of calcium excess (increasing the concentration of Ca2+ in perfusion from 2.5 up to 3.0 mM) – 71 vs 44%.
As a result of these quantitatively distinct changes, the cardiotoxicity of Dx was imposed by a clearly higher stimu-lation of LVEDP than the control, by 191% under the action of ET-1 and by 208% under the action of calcium excess. These differences are obviously larger compared to the ini-tially estimated patterns, so till stimulation of isolated heart.
A cardinal factor that detrimentally influences the di-astolic functionality is myocardial ATP deficiency resulting in the progressive accumulation of calcium in the cardio-myocyte during diastole relaxation due to the incompetence of ionic pumps, primarily of the ATP-ase of sarcoplasmic reticulum (SERCA2a). This phenomenon affects the disso-ciation of actin-myosin complex and led to development of diastolic stiffness, which to a severe degree is noted as di-astolic contracture. Because myocardial ischemia represents a major condition of impaired bioenergy synthesis and cal-cium metabolism, the severity of its impact on the LVEDP hemodynamics and capacity of lusitrope to restore function during reperfusion was estimated (tab. 8).
It should be mentioned that in both groups the basal value of LVEDP, until the action of ischemia, was installed at equal levels: 14 ± 0.1 mm Hg. According to the estimated hemodynamics of LVEDP, cardiac doxorubicin disorder was manifested by a considerable reduction in myocardial toler-ance to ischemic impact. Thus, LVEDP has increased during ischemia period of 30 min to the average value of 63.7 mm
table 8. the LVEDP hemodynamics during ischemia and isovolumic isolated heart reperfusion
GroupsIschemia (min) Reperfusion (min)
5 10 20 30 5 10 30 45
Control (n=9) 16.3±0.8 27.2±1.7 36.2±1.9 41.7±2.3 36.3±2.5 27.9±2.3 20.7±1.8 14.9±1.1
Dx (n=9) 21.5±1.4 38.8±2.1 55.6±3.6 63.7±4.4 58.2±4.3 46.5±3.3 30.6±2.5 22.8±1.4
p <0.05 <0.05 <0.01 <0.01 <0.05 <0.05 <0.05 <0.01
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ORIGINAL ReseARch L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28
Hg, and in the control group the index reached 41.7 ± 2.3 mm Hg, the final difference being 53%. Moreover, the qual-ity of LVEDP recovery in the Dx group was much poorer. If in the control group the index at 45 minutes of reperfusion practically reached the basal level (14.9±1.1 mm Hg), then in the group with Dx it remains clearly higher (22.8±1.4 mm Hg), the difference remaining at the levels of the final period of ischemia, 53%.
Discussion
The researchers in vitro on isovolumic isolated and work-ing heart perfusion models (Langedorff and Neely-Rovetto methods) have demonstrated that the cardiotoxicity of doxorubicin is imposed by significantly affecting diastolic relaxation. Already in physiological hemodynamic regime, LVEDP values and diastolic stiffness were considerably in-creased more than double (109-168%) compared to the con-trol group indices. Increased diastolic stiffness was associ-ated with a significant 24.8% reduction in isovolumic relaxa-tion rate (-dP/dTmax).
The diastolic disorder in the Dx group is one of the main causes of impaired pump function of the left ventricle, man-ifested by a 36.9% decline in cardiac output, as worsening lusitrop function indices in volume effort tests were accom-panied by increased rebound of the pump function parame-ters. In conditions of reducing the venous return to the heart to the minimal value (5 cmH2O) the difference of the - dP/dTmax index compared to the control increased by 32%, and the aortic jet rebound increased by 78%. At maximum LV filling the increased diastolic stiffness of the myocardium led to elevation of LVEDP by about 2.3 times compared to the control, and the hemodynamics of the volume-pressure re-lationship gradually reproduced on the isovolumic isolated heart perfusion model has the pattern of an upward curve compared to the control prototype. The increased diastolic stiffness is conceptually viewed as an intrinsic factor of in-creasing myocardial mechanical stress that limits coronary perfusion especially in the subendocardial layer [6, 7].
In this study, the doubling of the filling volume of the isolated isovolumic heart was manifested in the Dx disorder of the myocardium by decreasing the coronary flow more accentuated compared to the control pattern by 46%, which correlated with an end-diastolic pressure of LV well above the control level. Impairment of coronary perfusion is an im-portant pathogenetic factor in the disorder of the heart’s ad-aptation to overload with volume and resistance, especially when myocardial dysfunction is directly related to impaired endothelium-dependent vascular relaxation, which can be compensated by the feasibility of the Vanhoutte phenom-enon based on repolarization mechanism of vascular muscle media [8].
It should be mentioned that in the interface of depend-ence the coronary perfusion on the diastolic myocardial ri-gidity, it is also valid the inverse relation: the coronary flow influences the diastolic relaxation. In the presented research this aspect was confirmed. Thus, the increase of the retro-grade perfusion pressure of the isolated isovolumic heart by 50% led to the elevation of LVEDP, while in the group with
Dx the index increase was 147% higher compared to the control increase.
One of the mechanisms highlighted in this study on the impairment of diastolic relaxation in the repeated adminis-tration of Dx is the incompetence of the control system of calcium ion turnover in the cardiomyocyte during the sys-tole-diastole cycle. The increasing calcium concentration in perfusion by 0.5 mM led to a more conclusive elevation of the LVEDP value by 62% compared to the rate of increase of the control index, which indicates the dysfunction of the cal-cium pumps, first of all the ATP-ases of the sarcoplasmic re-ticulum (SERCA2a) together with myocardial energy deficit. A similar phenomenon was observed in the isolated heart stimulation with ET-1, which increases the influx of calcium following the activation of ETA receptors. The diastolic dis-order at the peak of stimulation of the isolated heart per-fused in working regime with ET-1 was imposed by negative inotropic effect, manifested by decreased LV systolic pres-sure and cardiac output, evidences associated with a more pronounced elevation of LVEDP [9].
The role of excess calcium in diastolic disorder under the cardiotoxic impact of Dx was confirmed in a previous study, in which the chronic or acute action of taurine (natu-ral modulator of calcium metabolism and bioenergetics) sig-nificantly improved the lusitrop function of the heart as well as parameters of LV pump function [10]. The similar results were obtained by other authors, who demonstrated the ben-efit of taurine administered for 14 days in the model of Dx myocardial disorder in rats on echocardiographic indicators, the first on the reduction of LV end-diastolic volume as a true sign of diastole improvement [11]. Taurine also has a remarkable antioxidant effect, and Dx cardiotoxicity, on the contrary, is marked by a prooxidant effect and, respectively, the activation of oxidative stress [12].
The diastolic disorder in the group with Dx was charac-terized by a more pronounced ischemic contracture vs con-trol. Moreover, during the reperfusion period, the restoration of the lusitrop function of the heart in the group with Dx was frankly compromised, so that LVEDP remains 53% above the control index. The pathophysiological substrate of the ischemia-reperfusion impact is determined by the rapid en-ergetic decline, the accumulation of calcium in the heart cells, as well as the excess of oxygen free radicals. These pathoge-netic mechanisms are the main elements of the pathophysio-logical interface regarding the disturbance of diastolic relaxa-tion and the evolution of doxorubicin heart failure.
The impairment of diastole under the cardiotoxic action of Dx may also be related to the detrimental action of an-thracycline on the extracellular matrix. In the context of the latest literature data is to be highlighted the effect of Dx to induce heart cell death by apoptosis, pyroptosis and ferrop-tosis [13].
Pyroptosis is triggered by the inflammatory response of the myocardium induced by Dx, and the increased expres-sion of proinflammatory cytokines and chemokines remains during the cessation of its action. The inflammatory respons-es together with oxygen free radicals influence the extracel-lular matrix by activating metalloproteinases, fibroblasts and
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L.Tacu et al. Moldovan Medical Journal. October 2021;64(4):23-28 ORIGINAL ReseARch
interstitial macrophages. As a result, the extracellular matrix increases due to fibrillar collagen type I and III, as well as de-graded collagen. These changes in the interstitium obviously decrease the diastolic compliance of the myocardium caused by reducing cardiomyocyte counts.
Ferroptosis under the action of Dx is mediated by the ac-cumulation of iron ions in the mitochondria of the cardio-myocyte, which has a negative effect on the synthesis control of ATP molecules and oxygen free radicals, which justifies this phenomenon as a mechanism responsible for Dx car-diotoxicity [14], as well as a heart protection target in cancer patients exposed to the anthracyclines action [15].
An important aspect of the clinical applicability of the data obtained in cardiology-oncology is the proof of the key role of isovolumic diastolic relaxation disorder of the heart in disturbance of the LV pump function, and on the other hand elucidating the mechanism of early growth of the Tei index in cardiac patients exposed to cardiotoxic effect of anthracyclines [16]. Therefore, the increase of the Tei index values as an early predictor of cardiac dysfunction under the action of Dx is based primarily on increasing the time of iso-volumic relaxation of the heart resulting in reduced ejection time of the left ventricle.
Conclusions
1. Impairment of diastolic relaxation inherent to Dx car-diotoxicity is manifested mainly by significant increase of LVEDP and diastolic stiffness in association with reducing the isovolumic diastolic relaxation velocity.
2. Diastolic disorders compromise the volume-pressure relationship of LV, the adaptation of the heart to effort with volume and become more pronounced during the action of calcium excess and ET-1.
References1. Nishimura RA, Borlaug BA. Diastology for the clinician. J Cardiol.
2019;73(6):445-452. doi: 10.1016/j.jjcc.2019.03.002.2. Kim IC, Hong GR. Intraventricular flow: more than pretty pictures.
Heart Fail Clin. 2019;15(2):257-265. doi: 10.1016/j.hfc.2018.12.005.3. Gillebert TC, De Pauw M, Timmermans F. Echo-Doppler assessment of
diastole: flow, function, and haemodynamics. Heart. 2013;99(1):55-64. doi: 10.1136/heartjnl-2012-301961.
4. Nagueh SF. Left ventricular diastolic function: understanding patho-physiology, diagnosis, and prognosis with echocardiography. J Am Coll Cardiovasc Imaging. 2020;13(1 Pt 2):228-244. doi: 10.1016/j.jcmg.2018.10.038.
5. Argun M, Uzum K, Sonmez M, et al. Cardioprotective effect of met-formin against doxorubicin cardiotoxicity in rats. Anatol J Cardiol. 2016;16(4):234-241. doi: 10.5152/akd.2015.6185.
6. Popovici M, Cobeţ V, Popovici I, et al. Perfuzia coronariană şi stresul miocardic: relaţii reciproce [Coronary perfusion and myocardial stress: reciprocal relation]. Buletinul Academiei de Ştiinţe a Moldovei. Ştiinţe Medicale. 2008;4(18):23-32. Romanian.
7. Galderisi M, Cicala S, De Simone L, et al. Impact of myocardial diastolic dysfunction on coronary flow reserve in hypertensive patients with left ventricular hypertrophy. Ital Heart J. 2001;2(9):677-684.
8. Tacu L, Ivanov M, Cobet V, et al. Vanhoutte and Bowditch phenomena in heart failure: the relation with ischemia-reperfusion impact. Eur J Heart Fail. 2018;20(Suppl 1):335.
9. Cobeț V. Reglarea tonusului coronarian prin hiperpolarizare: mecanism compensator în disfuncţia endotelială [The regulation of coronary tonus by hyperpolarisation: compensatory mechanism in endothelial dys-function]. Buletinul Academiei de Ştiinţe a Moldovei. Ştiinţe Medicale. 2010;2(25):65-72. Romanian.
10. Tacu L, Cobeț V. Efectele endotelinei 1 în afecțiunea doxorubicinică a cordului [The endothelin-1 effects in doxorubicin disorder of the heart]. Buletinul Academiei de Ştiinţe a Moldovei. Științe Medicale. 2020;1(65):145-151. Romanian.
11. Cobet V, Tacu L, Hajawi O, et al. Taurine blunts the doxorubicin cardio-toxicity: chronic and acute effects. EP Europace. 2021;23(Suppl 3):iii585. https://doi.org/10.1093/europace/euab116.533.
12. Baris VO, Gedikl E, Yersal N, et al. Protective effect of taurine against doxorubicin-induced cardiotoxicity in rats: echocardiographical and histological findings. Amino Acids. 2019;51(10-12):1649-1655. doi: 10.1007/s00726-019-02801-7.
13. Wang Y, Ren K, Lu Q, et al. Inhibiting effects of taurine on doxorubicin-induced oxidative stress in rats. Adv Mater Res. 2014;912-914:214-216. https://doi.org/10.4028/www.scientific.net/AMR.912-914.214.
14. Christidi E, Brunham LR. Regulated cell death pathways in doxorubicin-induced cardiotoxicity. Cell Death Dis. 2021;12(4):339. https://doi.org/10.1038/s41419-021-03614-x.
15. Tadokoro T, Ikeda M, Ide T, et al. Mitochondria-dependent ferrop-tosis plays a pivotal role in doxorubicin cardiotoxicity. JCI Insight. 2020;5(9):e132747. doi: 10.1172/jci.insight.132747.
16. Fang X, Wang H, Han D, et al. Ferroptosis as a target for protection against cardiomyopathy. Proc Natl Acad Sci USA. 2019;116(7):2672-2680. doi: 10.1073/pnas.1821022116.
Authors’ ORCID iDs and academic degreesLilia Tacu, MD, PhD Applicant, Assistant Professor – https://orcid.org/0000-0003-0940-2527Valeriu Cobet, MD, PhD, Professor – https://orcid.org/0000-0002-6141-1108
Authors’ contributionsLT interpreted the data and performed the analytical part of the laboratory work, drafted the first manuscript; VC conceptualized the project, designed the research and revised the manuscript critically.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy. The trial was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe research project was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (Protocol No 40, 05.12.2016).
Conflict of InterestsNo competing interests were disclosed.
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ORIGINAL ReseARch A. Ghetiu. Moldovan Medical Journal. October 2021;64(4):29-34
Introduction
In our days, implant treatment of toothless is the most elected method. Chele et al. propose the immediate post ex-traction implant placement [1], however, in cases of alveolar ridge deficiency additional bone growth is needed. In 2016, Knofler W. et al. showed that bone growth procedures as-sociated with dental implants are required in 58.2% of cas-es [2]. Postoperative healing after bone grafting is directly influenced by the general condition of the body. Thus, in addition to the thorough study of the affected area, the as-sessment of the patient’s general condition and concomitant diseases are equally important for the rehabilitation of eden-tulous patients with severe mandibular atrophy.
A multitude of alveolar grafting methods are proposed in preimplantation. In literature, there are studies on guided bone regeneration, which is the most widely used method of alveolar grafting showing high efficacy [3].
Guided bone regeneration (GBR) is an extremely deli-cate procedure that relies on body’s ability of self-healing. Therefore, patients with poor healing potential cannot un-dergo GBR procedures. Systemic conditions that may im-pede the patient to undergo surgery include a number of general medical conditions such as: uncontrolled diabetes mellitus, tumors, recent radiation of the head and neck re-
https://doi.org/10.52418/moldovan-med-j.64-4.21.05UDC: 616.314-089.843
the general condition of patientsrequiring the alveolar bone crest reconstruction
Alexandru ghetiu
Arsenie Gutan Department of Oral and Maxillofacial Surgery and Oral ImplantologyNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Corresponding author – Alexandru Ghetiu, e-mail: [emailprotected] received July 27, 2021; revised manuscript October 05, 2021; published online October 12, 2021
AbstractObjectives: To present the survey questionnaire used for the medical assessment of patients requiring alveolar ridge reconstruction as well as the study of concomitant pathologies and their influence on the healing process.Material and methods: The study involved 173 patients aged between 18 and 69 years. All patients have been assessed according to the survey questionnaire developed to determine the patient’s general condition, life anamnesis, and medical history.Results: Out of the total of 173 patients, 72 (41.6%) had no concomitant pathologies, 8 patients (4.6%) had concomitant pathologies that did not interfere with the operation, 40 (23.1%) had pathologies that might affect the outcome of alveolar ridge reconstruction but still were admitted to surgery, and 53 patients (30.6%) had pathologies that could affect the outcome of the reconstruction procedure and were not admitted to bone grafting.Conclusions: Assessment of patients with alveolar ridge defects during preparation and planning of preimplantation bone reconstruction identified a number of concomitant pathologies, more or less noticed by the patient, which may remain unclear due to superficial study of the patient’s condition that is able to influence the surgical treatment outcome. These issues can be both intraoperative and postoperative and lead to failure of surgical treatment and further reoperation.Key words: alveolar ridge reconstruction, systemic conditions.
Cite this articleGhetiu A. The general condition of patients requiring the alveolar bone crest reconstruction. Mold Med J. 2021;64(4):29-34. https://doi.org/10.52418/moldovan-med-j.64-4.21.05.
gion, acquired immunodeficiency syndrome (AIDS) or oth-er conditions that cause immunosuppression, decompen-sated systemic conditions, cardio-vascular diseases, etc. [4]. Cardiovascular diseases are systemic conditions that highly affect tissue regeneration as they disrupt the nutrition and oxygenation of tissues through vascular damage. These types of diseases are extensively evaluated while preparing patients for preimplantation. Cardiovascular diseases are among the most common systemic conditions. Patients with cardio-vascular diseases may develop medical conditions such as: congestive heart failure, angina pectoris, myocardial infarc-tion, cardiac arrhythmia, heart valve prosthesis, pacemaker, hypertension, anticoagulant addiction, and post-extraction dental hemorrhage (PDH) [5].
Patients may also suffer from general diseases and con-ditions such as: infectious endocarditis, diabetes mellitus, osteoporosis, hormonal medication, radiotherapy, gastro-esophageal reflux disease (GERD), systemic lupus erythe-matosus, HIV infection, smoking status, and stress. All these diseases may have a different impact on alveolar ridge recon-struction. Often, because of the focus on local diseases doc-tors neglect the assessment of body’s general condition. A general pathology may go unnoticed if the patient does not communicate about it. All causes mentioned above, as well as superficial examination of the patient can generate poor
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A. Ghetiu. Moldovan Medical Journal. October 2021;64(4):29-34 ORIGINAL ReseARch
results and failure of clinical outcomes. Thus, it is imperative to detect concomitant pathologies and study their impact on alveolar ridge reconstruction.
This study is to assess the general medical condition of patients requiring alveolar ridge reconstruction. To study the concomitant pathologies and their influence on the hea-ling process after bone grafting.
Material and methods
The study took place between 2016 and 2020. There were assessed 173 patients aged between 18 and 69 years and the mean age constituted 46.7±0.3 years (84 men and 89 women).
All patients have been assessed according to a survey questionnaire that was developed to determine the patient’s general condition, life anamnesis, and medical history. The first part contains information about the patient’s personal data. The second part is filled in by the doctor and contains information about oral hygiene, smoking status, smile line and aesthetic expectations of the patient. The third part of the survey questionnaire contains a set of questions to which the patient answers by ticking the options, if necessary; ad-ditionally it states information about the disease.
List of patient’s questions:Ø Do you suffer/ have you suffered from any acute or
chronic diseases?Ø Do you suffer/ have you suffered from: disorders of
the immune system; allergies or drug/nonmedicinal intolerances; hypertension; vascular diseases; heart disease; respiratory diseases; gastrointestinal diseases; hepatobiliary diseases; kidney and/or urinary diseas-es; neurological diseases; mental illness; eye diseases; hematological diseases; endocrine diseases; diseases of the skeleton; diseases of the skin and mucous mem-branes; tumors; obstructive sleep apnea?
Ø Are you following any treatment (medicinal, homeo-pathic, phytotherapy)?
Ø Have you been on any treatment with: antibiotic in the last month, anticoagulants, or bisphosphonates?
Ø Are you having difficulty breathing?Ø Do you have / have you had any vicious habits?Ø Have you undergone any surgery in your lifetime?Ø Have you had dental treatment before?Ø Have accidents/incidents or complications occurred in
previous dental treatments?Ø Have you ever donated blood?Ø Are you pregnant?In the study all patients have had severe alveolar ridge
atrophy requiring reconstruction and further implant-pros-thetic rehabilitation. By using the survey questionnaire, the presence or absence of general pathologies was evaluated and some of the patients were accepted for bone grafting. Other patients were not engaged in bone reconstruction sur-gery because of concomitant pathologies occurrence associ-ated with absolute contraindications. The selected patients were assessed according to evaluating postoperative healing parameters at 7 days, 21 days, and 6 months (implantation stage). The influence of general pathology on healing pro-
cess was also taken into account. The healing parameters were: wound dehiscence, mucosal erosion, and graft expo-sure. These parameters have been analyzed after clinical and paraclinical aspects by using pictures. The data obtained was entered into a Microsoft Excel table and analyzed statistically using IBM SPSS Statistics 22.
Results and discussion
Out of the total 173 patients, 72 (41.6%) had no concom-itant pathologies, 8 patients (4.6%) had concomitant pathol-ogies that did not interfere with the operation, 40 (23.1%) had pathologies that could affect the outcome of alveolar ridge reconstruction but still were admitted to intervention, and 53 patients (30.6%) had pathologies that could affect the outcome of the reconstruction and were not admitted to bone grafting. 53 (100%) patients who were not admitted to bone reconstruction had the following general patholo-gies and vices (tab.1.): osteoporosis treated with intravenous bisphosphonates (3-5.7%), cardiopathies or angiopathies treated with oral anticoagulants (7-13.2%), compensated or decompensated diabetes mellitus (14-26.4%), long-term treatment of pemphigus with corticosteroids that decreas-es osteogenesis and creates immunosuppression (1-1.9%), long-term treatment of osteoarthritis with corticosteroids that decreases osteogenesis and creates immunosuppression (2-3.8%), radiotherapy performed no less than 12 months after the last cure (5-9.3%), chemotherapy performed no less than 6 months after the last cure (3-5.7%), rheumatoid arthritis treated with cytostatic (7-13.2%), hemophilia (2-3.8%), non-compliant heavy smokers (more than 10 ciga-rettes/day) (8-15.1%), after use of intravenous phosphate drugs (current consumption in suspension) (1-1.9%).
table 1. Patients with general pathologies and unaccepted vices for bone reconstruction
General pathologies and vicesPatient
NoPercen-
tageOsteoporosis treated with intravenous bisphosphonates
3 5.7%
Cardiopathies or angiopathies treated with oral anticoagulants
7 13.2%
Compensated or decompensated diabetes mellitus
14 26.4%
Long-term treatment of pemphigus with corticosteroids
1 1.9%
Long-term treatment of osteoarthritis with corticosteroids
2 3.8%
Radiotherapy /no less than 12 months after the last cure
5 9.3%
Chemotherapy /no less than 6 months after the last cure
3 5.7%
Rheumatoid arthritis treated with cytostatic 7 13.2%Hemophilia 2 3.8%Non-compliant heavy smokers 8 15.1%After use of intravenous phosphate drugs 1 1.9%
Total53 pa-tients
100%
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ORIGINAL ReseARch A. Ghetiu. Moldovan Medical Journal. October 2021;64(4):29-34
40 patients (100%) had pathologies and vices that could affect the outcome of alveolar ridge reconstruction but still were admitted to intervention (tab. 2). These pathologies are: hyperparathyroidism (osteoporosis) (1-2.5%), hypothyroid-ism (osteoporosis) (4-10%), Crohn's disease (osteoporosis caused by malabsorption of D2 and calcium in the intestine) (2-5%), gastroesophageal reflux disease (5-12.5%), compen-sated diabetes (18-45%), and light smokers (up to 10 cig/day) (10-25%).
table 2. Patients with general pathologies and vices admitted to bone reconstruction
General pathologies and vices
Patient No
Percen-tage
Local complications
Wound dehis-cence
Erosion of the mucosa with graft exposure
Hyperparathyroidism 1 2.5% 0 – 0% 1 – 2.5%Hypothyroidism 4 10% 1 – 2.5% 0 – 0%Crohn’s disease 2 5% 0 – 0% 0 – 0%Gastrointestinal reflux disease
5 12.5% 2 – 5% 1 – 2.5%
Compensated dia-betes
18 45% 6 – 15% 1 – 2.5%
Light smokers 10 25% 3 – 7.5% 1 – 2.5%Total 40 100% 12 – 30% 4 – 10%
Other 8 (100%) patients had the following concomitant pathologies that did not interfere with alveolar ridge recon-struction (tab. 3): drug allergy (3-37.5%), hepatitis B infec-tion (2-25%), chronic bronchitis (2-25%), and renal lithiasis (1-12.5%).
table 3. Patients with concomitant pathologies that do not interfere with bone reconstruction surgery
General pathologies
Patient No
Percen-tage
Local complicationsWound dehis-cence
Erosion of the mucosa with graft exposure
Drug allergy 3 – 37.5% 37.5% 0 0Hepatitis B 2 – 25% 25% 0 0Chronic bronchitis 2 – 25% 25% 0 0Renal lithiasis 1 – 12.5% 12.5% 0 0Total 8 patients 100% 0% 0%
The majority of patients (72) admitted to surgery did not have concomitant pathologies or vices (tab. 4).
table 4. Patients without concomitant pathologies and complications admitted to bone reconstruction
General pathologies
Patient No
Percent-age
Local complications
Wound dehiscence
Erosion of the mucosa with
graft exposure
No pathologies 72 100% 1 – 1.4% 5 – 7%
The presence of complications was studied in patients who underwent alveolar ridge reconstruction. Concomitant pathology which is influencing the outcome of alveolar ridge reconstruction can lead to high rate of exacerbations. Thus, out of 72 patients (100%), 1 patient (1.4%) had wound de-hiscence and 5 patients (7%) had mucosal erosion with graft exposure. All these patients, who experienced complications were completely healthy without concomitant pathologies. Patients with general pathologies that did not influence bone reconstruction (8 patients) had no postoperative complica-tions. 40 (100%) patients who had pathologies that could affect the outcome of alveolar ridge reconstruction showed wound dehiscence in 12 cases (30%) and erosion of the mu-cosa with graft exposure in 4 cases (10%).
The positive outcome of bone reconstruction surgery is closely related to bone structure characteristics. Bone tissue is a dynamic highly organized structure that can be remod-eled according to mechanical stress and hormonal activity. The resorbed bone is replaced by the forming cells and the bone neoformation, which lasts approximately 3 months [6]. Another component of the positive outcome of bone recon-struction procedures is related to body condition when vari-ous intra- and postoperative complications may occur but they are not directly related to bone healing. These condi-tions and their management are described below [7].
Some cardiovascular pathologies are treated with anti-coagulant medication. These can lead to immediate and de-layed complications with harmful consequences or alveolar ridge reconstruction failure. Zanoaga O. et al. showed that dental extractions can be carried out without cancelling the administration of antithrombotic drugs [8]. Two classes of new oral anticoagulants are currently available for this purpose: thrombin inhibitors (dabigatran) and factor Xa inhibitors (rivaroxaban, apixaban, edoxaban). Unlike vita-min K inhibitors (acenocoumarol, warfarin), which block the formation of several active vitamin K-dependent factors (factors II, VII, IX and X), new oral anticoagulants block the activity of a single factor in the blood clotting cascade [8]. These new oral anticoagulants are: Dabigatran etexilate (brand name Pradaxa), Rivaroxaban (brand name Xarelto), Apixaban (brand name Eliquis), and Edoxaban (brand name Lixiana).
Cardiac pathology and increased risk of endocarditis should be considered in the oral surgical patient. Patients with valvular prostheses, history of infectious endocardi-tis, as well as those with cyanogenic congenital heart dis-ease may develop infectious endocarditis, which remains a severe form of valvular dysfunction associated with poor prognosis and high mortality. In 2018, Zanoaga O. showed that dentoalveolar surgery requires prophylaxis of the infec-tive endocarditis [9].
Glucose metabolism disease influences the tissue heal-ing. Uncontrolled diabetes was associated with greater vari-ability and increased rate of infectious complications in al-veolar ridge reconstructions; insulin-mediated metabolic control can reverse these adverse effects [10].
The high rate of complications, such as resorption, non-
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A. Ghetiu. Moldovan Medical Journal. October 2021;64(4):29-34 ORIGINAL ReseARch
integration and delayed healing of bone graft, especially in the upper jaw, can occur in patients with osteoporosis. Generally, osteoporosis is not a contraindication for bone augmentation and placement of dental implants. Although, an increase of risk factors and complications can be expect-ed in patients with osteoporosis [11]. A number of thera-peutic approaches have been proposed to accelerate bone healing and prevent complications in bone grafting. These treatments include bisphosphonates, hormone replacement therapy (HRT), calcitonin, diet high in vitamins and calcium supplements [12]. The cornerstone of osteoporosis preven-tion and treatment is the provision of adequate intake of cal-cium, vitamin D and weight-bearing exercises. It is known that mechanical demand produces an increase of the cellular metabolism and collagen synthesis. There are studies show-ing that physical exercises are beneficial for preventing bone loss in postmenopausal women. Smoking is a risk factor for osteoporosis and is also associated with high rate of implant failure [13]. A combination of osteoporosis and tobacco in-take leads to a high complication rate, thus, quitting smok-ing is imperative for a positive outcome of bone reconstruc-tion in patients with osteoporosis. Other risk factors for os-teoporosis are the use of corticosteroids and increased con-sumption of alcohol and caffeine. Patients with osteoporosis should be encouraged to reduce alcohol and caffeine intake before dental implant surgery or bone grafting.
Currently, it is unknown if the use of systemic bisphos-phonates for the treatment of osteoporosis influences di-rectly or indirectly the capacity of guided bone regeneration (GBR) techniques [14]. Bisphosphonates are the synthetic analogues of inorganic pyrophosphate. The most common oral drugs used in the treatment of osteoporosis are: alen-dronate, risedronate and ibandronate. They have been shown to reduce osteoclast activity and therefore bone resorption [15]. Recently, bisphosphonates have been associated with jaw osteonecrosis. Most cases of necrosis are, however, as-sociated with intravenous administration of high doses of pamidronate and zoledronate, which are commonly used for bone metastases treatment in multiple myeloma and breast cancer. Treatment with oral bisphosphonates may be consid-ered as risk factor for osteonecrosis [16].
In 2008, Radzichevici M. showed that the excess of phos-phorus accumulates in tissues. Phosphorus binds with calci-um and is retained in the bone in large quantities sclerosing and destroying bone vascular and nerve endings. Thus, the oral cavity appears to be “the gate of infection” that commu-nicates with the jaw bones through the periodontium [17]. In this way the mechanism of overinfection of jaw bones can be explained. The high risk of failure or occurrence of postreconstruction osteonecrosis in patients who administer or have administered narcotic phosphorus substances em-phasizes the importance of a full preoperative assessment.
Long-term administration of corticosteroids within sys-temic pathologies has negative impact on the body, i.e. on marginal periodontium and alveolar ridge reconstruction. Corticosteroid therapy has an adverse effect on the bone sys-tem and can induce osteoporosis [18]. Regarding the alveo-
lar ridge reconstruction in long-term corticosteroid therapy it is reasonable to assess the risk induced by corticosteroid-induced osteoporosis [19].
After radiotherapy osteoblasts and osteoclasts decrease quantitatively and the terminal differentiation of osteoblasts is accelerated. Data published showed that mesenchymal stem cells in the bone marrow are quantitatively reduced [20]. Vascular sclerosis and fibrosis are characteristic fea-tures of radiation injury. Spontaneous bone healing is highly compromised and reduced in irradiated areas and the physi-ology of bone regeneration is modified as well [21]. One of the most important life-threatening adverse effect is osteo-radionecrosis. Ionizing radiation limits the vascularization, increases the incidence of fibrous union, and leads to high morbidity rate. Bone grafts cannot be used when vascular system is in poor condition [22]. Therefore, alveolar ridge reconstruction should be considered from 12 months after the last course of radiotherapy.
Gastric pathologies have a great impact on the oral cavity state, as well they affect the rehabilitation after oral surgery. Gastroesophageal reflux disease GERD constitutes the risk factor for chronic marginal periodontitis; therefore, it can influence the outcome of alveolar ridge reconstruction. The most reasonable explanation is the reduction of salivary gland functioning. Mixed saliva covers all vital internal anatomical surfaces with secretions rich in mucin that provide a diffuse protective barrier against mechanical, thermal, chemical and microbial damage. Saliva also acts as an endogenous antacid agent that acts against symptomatic gastroesophageal reflux disease. Therefore, the decrease of salivary secretion leads to insufficient acid neutralization [23]. Hyposalivation in pa-tients with GERD has been demonstrated in several studies. It was found an association between reduced salivary flow and periodontal disease among the elderly [24]. Therefore, we can conclude that hyposalivation in GERD may have an influence on the development of chronic periodontitis by al-lowing the proliferation of intraoral bacteria, thus increasing the risk of infection of grafts and materials used in alveo-lar ridge reconstructions. Therefore, dental surgeons should manage GERD in patients requiring alveolar ridge recon-struction.
In 2016, Adachi et al. showed that the degree of endo-scopic atrophy of the gastric mucosa in patients with mar-ginal periodontitis was significantly higher compared to those without periodontitis [25]. Long-term H. pylori infec-tion causes not only atrophy of the gastric mucosa, but also marginal periodontitis. Therefore, it is reasonable to treat H. pylori before alveolar ridge reconstruction. This measure will help to control periodontopathic bacteria and prevent com-plications after reconstruction.
HIV-positive patients may be candidates for alveolar bone reconstruction. These immunocompromised patients may be incapable for sustained, controlled and effective im-mune response to exogenous trauma that constitutes a high risk for developing further postoperative complications. Thus, HIV-positive patients have a high postoperative infec-tion rate after rehabilitation of maxillofacial trauma (11.8%
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ORIGINAL ReseARch A. Ghetiu. Moldovan Medical Journal. October 2021;64(4):29-34
vs 4.4% HIV-negative) [26]. The hypothesis of a higher risk for HIV-infected patients after oral surgery has been pre-sented [27]. No relationships between complications and vi-rologic or immunological laboratory parameters were found.
A special category of patients requiring alveolar ridge reconstruction are smokers. Although, smokers may not have general pathologies that could influence the outcome of alveolar ridge reconstruction there is a risk associated with smoking consequences on tissues and structures of the oral cavity. Smoking has been associated with increased ac-cumulation of bacterial plaque; high incidence of gingivitis and periodontitis; high rate of tooth loss and increased re-sorption of the alveolar bone; and poor mucogingival heal-ing after surgery due to frequent occurrence of refractory periodontitis. Several studies have shown that smoking was a risk factor for marginal bone loss or implant failure [28]. Some authors suggest that better results can be achieved in smokers if an aggressive antimicrobial regimen is followed [29], however, the results obtained after keeping this regi-men are not as favorable as those obtained in non-smokers.
Particular attention should be paid to patients aged 60 years old or over (geriatrics) while performing alveolar ridge reconstruction. Being a geriatric patient is not a contraindi-cation for implant treatment and alveolar ridge reconstruc-tion. Healthy elderly patients without systemic conditions can have dental implants and there is no evidence that geri-atric changes of bone metabolism affect directly the osseoin-tegration. According to Hyo-Jung Lee et al. implant therapy in geriatric patients should not be considered a risk factor [30]. It is imperative to assess the general state of the geri-atric patient that is a candidate for oral reconstructive sur-gery and take a therapeutic decision according to obtained results.
The study allowed us to identify some steps (fig. 1) for the guidance of specialists that have to elect patients with general diseases for alveolar ridge reconstruction [29].
Fig. 1. Decision tree for determining whether the patient is a candidate for gBR, based on their systemic
conditions [29]
The fact that 10% of all patients presented concomitant pathologies that can influence the alveolar ridge reconstruc-tion highlights the importance of anamnesis and a thorough preoperative preparation in order to maximize the positive outcome of alveolar ridge reconstruction.
Conclusions
The study has shown the existence of: high rate of post-operative complications after alveolar ridge reconstruction in patients with concomitant pathologies, which are able to influence the healing process; low complication rate or its absence when concomitant pathologies are lacking; patholo-gies that cannot influence the healing process. Assessment of patients with alveolar ridge defects during preparation and planning of preimplantation bone reconstruction identified a number of concomitant pathologies, more or less noticed by the patient, which may remain unclear due to superficial study of the patient's condition that is able to influence the surgical treatment outcome. These issues can be both intra-operative and postoperative and lead to failure of surgical treatment and further reoperation.
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Author’s ORCID iD and academic degreesAlexandru Ghetiu, MD, PhD Applicant – https://orcid.org/0000-0003-1950-2871
Author’s contributionAG conceptualized the idea, conducted literature review, wrote the manuscript, revised and finalized the text.
FundingThe trial was the author’s initiative. The author is independent and takes responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe research project was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (Protocol No 8, 31.05. 2021).
Conflict of Interests No competing interests were disclosed.
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ORIGINAL ReseARch E. Carpenco et al. Moldovan Medical Journal. October 2021;64(4):35-38
Introduction
Mast cells (MCs) are bone marrow derived cells char-acterized by their sensitivity to IgE-dependent stimulation and unique cytoplasmic granule contents, such as histamine, tryptase, chymase. MCs intricately associate with blood ves-sels and nerves in most vertebrates. They are frequent at sites that interface with the external environment such as the skin, respiratory and gastrointestinal tracts. As front-line cells at the host-environment interfaces, MCs promote host defense against pathogens by facilitating the initiation of appropriate immune responses. MCs are renowned contributors to hy-persensitivity reactions and participate in tissue remodeling events and are considered pro-angiogenic, promoting vessel formation through both constitutive and immunologically mediated release of angiogenic substances [1].
The contribution of MCs to tumor development and pro-gression has proven to be a controversial area of research. Clinical studies have suggested a link between elevated IgE or the presence of allergic disease and reduced development of melanoma, breast cancer, and some types of brain tumor [2]. The ability of MCs to promote angiogenesis is viewed as a key process in promoting tumor development [3].
https://doi.org/10.52418/moldovan-med-j.64-4.21.06UDC: 618.19-006.6-074
Mast cells in luminal vs non-luminal breast cancers
*1,2Ecaterina Carpenco, 1,2Veaceslav Fulga, 1,2Valeriu David, 1Ecaterina Foca, 1, 2Lilian Saptefrati1Department of Histology, Cytology and Embryology
2Laboratory of Morphology, Nicolae Testemitanu State University of Medicine and PharmacyChisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Ecaterina Carpenco, e-mail: [emailprotected] received July 29; revised manuscript October 05, 2021; published online October 12, 2021
AbstractBackground: Tumor growth and development is determined by the mutual interaction between the cancer cells themselves and the microenvironment. It contains various elements, including immune cells. Of all, mast cells have one of the most controversial roles. The aim of the present study was to evaluate the expression of mast cell tryptase in the luminal and non-luminal subtypes of breast cancer and establish a possible link between infiltration with MCs and expression of hormone receptors.Material and methods: The experimental study included 80 cases of breast carcinomas that were analyzed immunohistochemically in order to establish the molecular profile and the expression of tryptase, a specific marker of mast cells. The data were processed using the SPSS program. Pearson’s coefficient (r) and the other values were considered statistically significant in case of p≤0.05.Results: Both intratumoral mast cells (MCit) and peritumoral mast cells (MCpt) correlated with the expression of hormone receptors for estrogen (ER) and progesterone (PR). Thus, the following relations were established: MCit and ER (r=0.343, p=0.002), MCpt and ER (r=0.394, p=0.000295) and MCpt and PR (r=0.386, p=0.000409). Statistically significant correlations between HER2 expression and mast cells content have not been established.Conclusions: Mast cells invasion, peri- and intratumoral, is strongly influenced by the expression of hormone receptors. The luminal subtypes of breast cancer are characterized by a higher density of mast cells. Key words: breast carcinoma, tryptase, mast cells, molecular subtypes
Cite this articleCarpenco E, Fulga V, David V, Foca E, Saptefrati L. Mast cells in luminal vs non-luminal breast cancers. Mold Med J. 2021;64(4):35-38. https://doi.org/10.52418/moldovan-med-j.64-4.21.06.
MCs infiltrations have been described in a variety of hu-man cancers, including non-small-cell lung cancer and pul-monary adenocarcinoma [4], breast cancer [5], colorectal cancer [6], and basal cell carcinoma [7]. Several studies have reported links between disease progression and survival and MC density [1, 8]. It has been proposed that MCs could dis-play a protective effect before tumor onset, but sustain its development at later stages [9]. Tryptase, the most abundant secretory granule-derived neutral serine proteinase con-tained in MCs, can degrade components of the extracellular matrix and has been used as a specific marker for MCs [10]. Tryptase+ MCs are often observed in peritumoral areas in early-stage breast cancers without evidence of degranulation [1]. Historically, MC tryptase is renowned for its pro-tumor-igenic role via enhancement of angiogenesis [11].
Some MCs proteases are stored in complexes with hepa-rin. Heparin suppresses proliferation and reduces the num-ber of breast cancer cell colonies. It was hypothesized that heparin might interrupt interactions between tumor-associ-ated fibroblasts and cancer cells, thus impairing tumor de-velopment. Some scholars noticed that Mcs are enriched in the tumor bed and invasive margin of late-stage breast can-cers, especially in case of luminal subtypes [12]. In breast
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E. Carpenco et al. Moldovan Medical Journal. October 2021;64(4):35-38 ORIGINAL ReseARch
cancer, as in cutaneous human tumors, the local impact of MCs on tissue remodeling and cell recruitment events, and their effect on draining lymph nodes/systemic immunity need to both be carefully considered and may not have simi-lar disease impacts [1].
The aim: Evaluation of the expression of mast cell trypt-ase in the luminal and non-luminal subtypes of breast can-cer and establishing a possible link between infiltration with MCs and expression of hormone receptors.
Material and methods
This study included patients with breast carcinomas who were treated by surgery at Arad Clinical Hospital, Romania during 2013-2016. The patients did not undergo chemo- or radiotherapy before surgery.
The histological technique was described in the previ-ous work which also regarded MCs [13]. All samples were routinely processed: fixed in 10% formalin and embedded in paraffin (Paraplast High Melt, Leica Biosystems). The blocks were then used to create tissue microarrays by TMA Grand Master (3DHISTECH Ltd., Budapest, Hungary) and cut into 4-μm-thick sections which were placed on glass slides (Surgipath X-tra Adhesive, Leica Biosystems, Newcastle UponTyne, UK). The sections were automatically colored us-ing Mayer’s hematoxylin (Merck, Germany), aqueous eosin (Merck, Germany) and analyzed by 3 independent patholo-gists. The appropriate cases were selected for immunohisto-chemical staining.
Immunohistochemistry for estrogen receptor (ER), pro-gesterone receptor (PR), HER2 and tryptase was performed automatically by Leica Bond-Max (Leica Biosystems, Newcastle UponTyne, UK) in order to establish the molec-ular subtype and to detect the MCs. Antigen retrieval was performed by incubating the slides in the Bond Epitope Retrieval Solution 1 (pH 6) and 2 (pH 9) (Leica Biosystems, Newcastle UponTyne, UK). Primary antibodies used in this study were the following: PR (clone 16), ER (clone 6F11), mast cell tryptase (10D11) and HER2 (clone CB11), all from Leica Biosystems (Newcastle UponTyne, UK), and all ready-to-use. The Bond Epitope Retrieval Solution 2, pH9, Leica Biosystems (Newcastle UponTyne, UK) was applied for 20 minutes and time of incubation was 30 minutes. The system of detection was Bond Polymer Refine Detection System. Mayer’s hematoxylin was used for counterstaining (5 minu-tes).
ER, PR and HER2 scoring was done by standard meth-od (according to Allred score and according to the recom-mendations of the American Society of Clinical Oncology, respectively) [14, 15]. The cut-off for ER and PR was 10%. The cases were classified into molecular subtypes as follows: luminal A (ER+ and/or PR+, HER2−), luminal B/ HER2− (ER+, HER2− with PR <20%/or PR-), luminal B/HER2+ (ER+ and/or PR+, HER2+), HER2+ (ER− and PR−/HER2+), and triple-negative breast cancer (ER−/PR−/HER2−) [12].
The slides stained for tryptase were scanned on Axio Imager A2 microscope (Carl Zeiss, Germany) at low mag-nification (×100), and the areas with the highest number of
positive cells were chosen. The number of MCs located in the tumor and peritumoral stroma was counted. Mast cells were subdivided into intratumoral (MCit) and peritumoral (MCpt). There were analyzed 3 microscopic fields for each type of localization, at ×400 magnification.
Data was stored in a MS Excel 2010 database and ana-lyzed statistically by the SPSS statistical software package (SPSS Statistics 23.0; IBM, Chicago, IL, USA). Pearson’s co-efficient and other values were considered statistically sig-nificant in case of p≤0.05.
Results
80 cases of breast carcinomas were analyzed. The mean age of patients was 66.04, ranging from 37 to 84. Most tu-mors were moderately differentiated (45 cases). There was found only one well differentiated case and 34 were poorly differentiated. According to the histological type, 74 cases (92.5%) were ductal invasive, 3 cases (3.8%) – lobular inva-sive, 2 cases (2.5%) – lobular in situ and 1 case (1.3%) – duc-tal in situ. The most frequent molecular subtype was luminal B/HER2+ (fig. 1).
Fig.1. the distribution of molecular subtypes, n=80
Then was analyzed the distribution of MCs in different molecular subtypes. Higher numerical values of both MCit and MCpt were determined in luminal subtypes (tab. 1).
table 1. the distribution of mast cells
Molecular subtypeMaximum numerical values
MCit MCptLuminal B/HER2+ 27.6 65.0Luminal A 20.0 27.6HER2+ 6.0 11.3Triple-negative 2.3 16.6
These data were also supported by statistically significant correlations. Both MCit and MCpt correlated with the ex-pression of hormone receptors for estrogen and progester-
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ORIGINAL ReseARch E. Carpenco et al. Moldovan Medical Journal. October 2021;64(4):35-38
one. Thus, the following relations were established: MCit and ER (r=0.343, p=0.002), MCpt and ER (r=0.394, p=0.000295) and MCpt and PR (r=0.386, p=0.000409). Moreover, statisti-cally significant correlations between HER2+ expression and MCs have not been established (MCit and HER2+: r=-0.026, p=0.820; MCpt and HER2+: r=0.199, p=0.077).
Mann-Whitney U test was done to compare MCit and MCpt in luminal and non-luminal subtypes. Its results sup-ported the previous findings (tab. 2 and 3).
table 2. the differences between MCit and MCpt in luminal and non-luminal breast carcinomas
Subtype NMean Rank
Sum of Ranks
MCit LuminalNon-luminal
Total
602080
43.9930.03
2639.50600.50
MCit LuminalNon-luminal
Total
602080
44.4828.55
2669.00571.00
table 3. the statistics of Mann-Whitney U testMCit MCpt
Mann-Whitney UWilcoxon WZAsymp.Sig. (2-tailed)
390.500600.500-2.3400.019
361.000571.000-2.6570.008
Discussion
Tumor growth and development are determined by both, cancer cell–autonomous and microenvironmental mecha-nisms, including the contribution of infiltrating immune cells and the complexity of these phenomena is well recog-nized [4, 8, 9]. Of all, MCs have one of the most controversial roles.
Thus, several lines of evidence suggest that MCs are re-sponsible for mediating angiogenesis [1, 16, 17]. Imada A. et al. compared survivals in the low and high MC count groups in patients with stage I lung adenocarcinoma. The members in the high MC count group had significantly worse prog-nosis than those in the low mast cell count group (p<0.05). In the well- and moderate-differentiation subgroups of lung adenocarcinoma, members in the high MC count group had extremely significantly worse prognosis than those in the low MC count group (p<0.01) [4]. Suzuki S. et al. concluded that high peritumoral MCs infiltration predicts poor prog-nosis in patients who underwent hepatectomy for colorectal liver metastases. The number of MCs in metastatic lesions is important for predicting the prognosis of colorectal liver metastases patients and as an indication of therapy [11]. Hu G. et al. showed in a meta-analysis including 28 published studies with 4224 patients identified from PubMed and EBSCO that tryptase+ MC infiltration significantly decreased overall survival and disease-free survival in all types of solid tumors and significantly correlated with lymph node metastasis of solid tumor [10].
However, elevated MCs at tumor sites or within draining lymph nodes have also been connected with improved out-comes [1]. Rajput AB. et al. conducted a study on tissue mi-croarrays containing 4.444 cases and showed that the pres-ence of stromal MCs was a favorable prognostic factor in the training set (p=0.001) [18]. Similar to our findings, Majorini MT. et al. proved that MCs influence the phenotype of breast cancer cells by stimulating a luminal phenotype which has a better outcome. They increased expression of ER, PGR, BCL2, and CK8. Simultaneously, MCs reduce the activation of HER2 and basal drivers such as EGFR, and prevent the expression of the basal marker CK5, thus potentially affect-ing the behavior of neighboring cancer cells [9].
Conclusions
Mast cells invasion, peri- and intratumoral, is strongly influenced by the expression of hormone receptors. The lu-minal subtypes of breast cancer are characterized by a higher density of mast cells.
References1. Hanes MR, Giacomantonio CA, Marshall JS. Mast cells and skin and
breast cancers: a complicated and microenvironment-dependent role. Cells. 2021;10(5):1-21. doi: 10.3390/cells10050986.
2. Wulaningsih W, Holmberg L, Garmo H, et al. Investigating the as-sociation between allergen-specific immunoglobulin E, cancer risk and survival. Oncoimmunology. 2016;5(6):e1154250. doi: 10.1080/2162402X.2016.1154250.
3. Ribatti D, Finato N, Crivellato E, et al. Angiogenesis and mast cells in human breast cancer sentinel lymph nodes with and without micro-metastases. Histopathology. 2007;51(6):837-842. doi: 10.1111/j.1365-2559.2007.02869.x.
4. Imada A, Shijubo N, Kojima H, Abe S. Mast cells correlate angiogen-esis and poor outcome in stage I lung adenocarcinoma. Eur Respir J. 2000;15(6):1087-1093. doi: 10.1034/j.1399-3003.2000.01517.x.
5. Aponte-López A, Fuentes-Pananá EM, Cortes-Muñoz D, Muñoz-Cruz S. Mast cells, the neglected member of the tumor microenviron-ment: role in breast cancer. J Immunol Res. 2018;2018:2584243. doi: 10.1155/2018/2584243.
6. Malfettone A, Silvestris N, Saponaro C, et al. High density of tryptase-positive mast cells in human colorectal cancer: a poor prognostic factor related to protease-activated receptor 2 expression. J Cell Mol Med. 2013;17(8):1025-1037. doi: 10.1111/jcmm.12073.
7. Varricchi G, Galdiero MR, Marone G, Granata F, Borriello F, Marone G. Controversial role of mast cells in skin cancers. Exp Dermatol. 2017;26(1):11-17. doi: 10.1111/exd.13107.
8. Rigoni A, Bongiovanni L, Burocchi A, et al. Mast cells infiltrating in-flamed or transformed gut alternatively sustain mucosal healing or tumor growth. Cancer Res. 2015;75(18):3760-3770. doi: 10.1158/0008-5472.CAN-14-3767.
9. Majorini MT, Cancila V, Rigoni A, et al. Infiltrating mast cell–medi-ated stimulation of estrogen receptor activity in breast cancer cells promotes the luminal phenotype. Cancer Res. 2020;80(11):2311-2324. doi: 10.1158/0008-5472.CAN-19-3596.
10. Hu G, Wang S, Cheng P. Tumor-infiltrating tryptase+ mast cells predict unfavorable clinical outcome in solid tumors. Int J Cancer. 2018;142(4):813-821. doi: 10.1002/ijc.31099.
11. Suzuki S, Ichikawa Y, Nakagawa K, et al. High infiltration of mast cells positive to tryptase predicts worse outcome following resection of colorectal liver metastases. BMC Cancer. 2015;15:840. doi: 10.1186/s12885-015-1863-z.
12. Glajcar A, Szpor J, Pacek A, et al. The relationship between breast cancer molecular subtypes and mast cell populations in tumor microenviron-ment. Virchows Arch. 2017;470(5):505-515. doi: 10.1007/s00428-017-2103-5.
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13. Carpenco E, Ceauşu RA, Cimpean AM, et al. Mast cells as an indicator and prognostic marker in molecular subtypes of breast cancer. In Vivo (Brooklyn). 2019;33(3):743-748. doi: 10.21873/invivo.11534.
14. Allred DC, Harvey JM, Berardo M, Clark GM. Prognostic and predictive factors in breast cancer by immunohistochemical analysis. Mod Pathol. 1998;11(2):155-168.
15. Wolff AC, Hammond MEH, Allison KH, et al., Human epidermal growth factor receptor 2 testing in breast cancer : American Society of Clinical Oncology / College of American Pathologists Clinical Practice Guideline Focused Update. J Clin Oncol. 2019;36(20):2105-2122. doi: 10.1200/JCO.2018.77.8738.
16. Raica M, Cimpean AM, Ceausu R, Ribatti D. Lymphatic microvessel density , VEGF-C , and VEGFR-3 expression in different molecular types of breast cancer. Anticancer Res. 2011;31(5):1757-1764.
17. Raica M, Cimpean AM, Ceauşu R, Ribatti D, Gaje P. Interplay between mast cells and lymphatic vessels in different molecular types of breast cancer. Anticancer Res. 2013;33(3):957-964.
18. Rajput AB, Turbin DA, Cheang MC, et al. Stromal mast cells in invasive breast cancer are a marker of favourable prognosis: a study of 4444 cases. Breast Cancer Res Treat. 2008;107(2):249-257. doi: 10.1007/s10549-007-9546-3.
Authors’ ORCID iDs and academic degreesEcaterina Carpenco, MD, PhD Applicant, Assistance Professor – https://orcid.org/0000-0003-1464-3149Veaceslav Fulga, MD, PhD, Associate Professor – https://orcid.org/0000-0002-7589-7188Valeriu David, MD, PhD, Associate Professor – https://orcid.org/0000-0001-9799-7369Ecaterina Foca, MD, PhD, Associate Professor – https://orcid.org/0000-0001-7629-4875Lilian Saptefrati, MD, PhD, Professor – https://orcid.org/0000-0003-2779-718X
Authors’ contributionEC designed the research, collected the data, performed statistics study and interpreted the data, drafted the manuscript; VF conducted the laboratory work, revised the manuscript critically; VD conducted/performed the laboratory work; EF interpreted the data; LS conceptual-ized the project and designed the research, revised the manuscript critically. All the authors revised and approved the final version of the manuscript.
FundingThis work was supported by CNFIS-FDI-2018-0459 grant offered by Romanian Ministry of Education and Research. Special thanks to the Department of Microscopic Morphology/ Histology, Angiogenesis Research Center, Victor Babes University of Medicine and Pharmacy, Timisoara, Romania.
Ethics approval and consent to participateThis study was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova (No 33/37, 12.02.2018).
Conflict of interestsNo competing interests were disclosed.
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ORIGINAL ReseARch B. Golovin et al. Moldovan Medical Journal. October 2021;64(4):39-44
Introduction
Prehospital Emergency Medical Service (PEMS) is an integrated part of the Health System of the Republic of Moldova (RM), which provides the population of the entire country with Emergency Medical Care (EMC), based on the principles of universal accessibility. PEMC in the Republic of Moldova is provided free of charge to all citizens of the RM, as well as stateless persons, refugees and international travelers. The chain of emergency services at the prehospital stage begins with the request received at the single emergency calls service 112, sent to the single medical dispatcher, followed by medical assistance at the place of request, and finalized (if necessary) with transporting patients to the hospital and referral.
On September 4, 1944, in Chisinau city was opened the first EMC Station in the RM. Initially, the station had only a two-horse cart, which served the critical patients at home or in public places. In 1948, 3 teams were formed to serve prehospital emergencies: 2 teams of doctors and 1 team of emergency nurses. In 1956, the first pediatric team was created. Between 1960 and 1971 years, the specialized teams of cardiology, toxicology, traumatology, neurology, adults reanimation, and psychiatry were formed. In 1978, the first pediatrics reanimation team was organized. In 1993,
https://doi.org/10.52418/moldovan-med-j.64-4.21.07UDC: 614.88(478)
Structure of emergencies at the prehospital stage in Moldova from 2019-2020 years
Boris golovin, *Mihail Pestereanu, tatiana Bicic, Svetlana Lupu, Ludmila Petcu, nicolae Doni
National Centre of Prehospital Emergency Medicine, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Mihail Pestereanu, e-mail: [emailprotected] received July 28, 2021; revised manuscript October 01, 2021; published online October 12, 2021
AbstractBackground: In the last 2 years, some changes have occurred in the structure of emergencies at the prehospital stage in the Republic of Moldova, being largely influenced by the COVID-19 pandemic.Material and methods: Retrospective analysis of the Prehospital Emergency Medical Service (PEMS) Request Sheets of the National Centre of Prehospital Emergency Medicine (NCPEM) of the Republic of Moldova for the years 2019-2020. Results: According to the nosological profile in 2020 at the prehospital stage, respiratory emergencies were on the first place with 23% of the 761.416 of total number of requests. On the second – cardiovascular (20.6%), on the third – neurological (13.3%), infectious – 3.1%. In 2019, on the first place – cardiovascular with 22.3% of the 845.572 of total number of requests, followed by respiratory – 19.3%, neurological – 13.6%, infectious – 2.2%. In 2020, on the first place were respiratory emergencies, which compared to 2019 increased practically by 4% and the infectious emergencies by almost 1%. The number of endotracheal intubation procedures and medical-assisted transportations practically doubled in y.2020 compared to y.2019.Conclusions: All these changes: increased respiratory and infectious emergencies, intubation procedures, and assisted-medical transportations, have occurred exeptionally due to COVID-19 infection.Key words: emergency, prehospital, nosological, respiratory, infectious.
Cite this articleGolovin B, Pestereanu M, Bicic T, Lupu S, Petcu L, Doni N. Structure of emergencies at the prehospital stage in Moldova from 2019-2020 years. Mold Med J. 2021;64(4):39-44 https://doi.org/10.52418/moldovan-med-j.64-4.21.07.
based on Nicolae Testemitanu State University of Medicine and Pharmacy was founded the Emergency Medicine Department. According to the Government Decision No 377 of 16.06.2015 [1] and the Order of the Ministry of Health No 537 of 26.06.2015 [2], on October 1, 2015, the EMC System was reorganized into the National Centre of Prehospital Emergency Medicine (NCPEM) – Public Medical-Sanitary Institution (PMSI) of strategic importance, with legal personality, which is subordinated directly to the Ministry of Health, Labor and Social Protection (MHLSP) of the Republic of Moldova, accredited by the National Council for Evaluation and Accreditation (fig. 1).
The reorganization of the EMC Service in a unified system (PMSI NCPEM), which until the reform was divided into 5 legal entities contributed to:ü Significant improvement of the institutional manage-
ment system, both vertically and horizontally;ü The number of administrative functions has been re-
duced;ü The conditional boundaries between the served ter-
ritories by the PEMC subdivisions have been elimi-nated;
ü The opening of the new EMC Points (in the rural area) led to the improvement of the population's access and the increase of the operativity;
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B. Golovin et al. Moldovan Medical Journal. October 2021;64(4):39-44 ORIGINAL ReseARch
ü Unification of key processes and creation of new fields of activity;
ü Mobilization of the necessary resources to solve the operative tasks.
In the last 2 years, some changes have occurred in the structure of emergencies at the prehospital stage in the Republic of Moldova, being largely influenced by the COVID-19 pandemic.
Material and methods
Retrospective analysis of the Prehospital Emergency Medical Service (PEMS) Request Sheets of the National Centre of Prehospital Emergency Medicine (NCPEM) of the Republic of Moldova for the years 2019-2020.
Results and discussion
In 2020, the PMSI NCPEM teams served 761.416 emergency calls (2019 – 845.572) and Prehospital EMC was given to 734.912 people with various medical-surgical emergencies (2019 – 820.813). The share of served calls in urban areas in 2020 was 53.1% or 390.102 served patients, and in rural areas – 46.9% or 344.810 served patients. The rate of the served calls in urban areas was 52.3% or 429.437 served patients, and in rural areas – 47.7% or 391.376 served patients – in 2019. Due to the service environment, there was an increase of 0.8% of the rate of the served Prehospital EMC requests (PEMC Calls) in the urban population in 2020 compared to 2019, which is due to the demographic processes in the Republic of Moldova through the continuous concentration of the population in cities. In 2020 the share of false alarm calls or unnecessary requests, out of the total number of served calls, was 3.5% or 26.504 cases. In the year 2019 – 2.9% or 24.759 cases. The average number of the served prehospital emergency medical care requests in 24 hours in y.2020 was 2.080 and in 2019 – 2.317 (fig. 2) [3].
Were performed 73 endotracheal intubations in the year
2020, while in 2019 – only 44. In 2020 year were performed 114.339 glucometries, and in 2019 – 107.506. Bladder catheterization in 2020 was performed for 1.392 patients, and in 2019 – in 1.304 cases (tab. 1) [3].
Fig. 2. the served Prehospital Emergency Medical Care Calls in years 2019 – 2020 [3]
table 1. the served Prehospital EMC Calls and interventions for diagnosis and treatment performed by
PEMC teams of the RM in years 2019 – 2020 [3]
Parameter Year 2019 Year 2020
The served calls 845.572 761.416
The served people 820.813 734.912
Of them: Urban 429.437 / 52.3% 390.102 / 53.1%
Of them: Rural 391.376 / 47.7% 344.810 / 46.9%
False alarm calls 24.759 / 2.9% 26.504 / 3.5%
Average No of served requests in 24 hours
2.317 2.080
Endotracheal intubations 44 73
Glucometries 107.506 114.339
Bladder catheterization 1.304 1.392
Fig. 1. History of Emergency Medical Service of the Republic of Moldova
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ORIGINAL ReseARch B. Golovin et al. Moldovan Medical Journal. October 2021;64(4):39-44
In 2020, of the total number of served people, by the degree of emergencies, the major ones constituted 28.6% (served patients being 210.087), grade II emergencies – 65.5% (served patients – 481.576), grade III emergencies – 3.0%, or 21.705 cases. Medical-assisted transportations were in 2.9% or 21.544 cases. In 2019, major emergencies constituted 26.5% (217.333 served patients), grade II emergencies – 69.1% (567.509 served patients), grade III emergencies – 3.2% (25.945 served patients). Medical-assisted transportations were in 1.2% or 10.026 cases (fig. 3 and 4, tab. 2) [3].
Fig. 3. Structure of emergency calls by the degree of urgency based on the Prehospital Emergency Medical Care (PEMC)
Request Sheets for the years 2019-2020 (%) [3]
Fig. 4. Medical-assisted transportations in 2019-2020 performed by PEMC teams [3]
In the RM, many of the patients with major emergen-cies were left at home, because they categorically refused to be hospitalized [3]. The most common reason for being non-transported was the refusal of transportation by the patient (74.15% – 76.38%), followed by treatment of pa-tients at the scene (15.41% – 15.74%) [4]. There is a scarcity of research on EMS reattendance to non-transported, low
acuity patients. A systematic review indicated that 2-6% of non-transported patients re-contacted the EMS, and 5-19% of non-transported patients independently presented to the emergency department within 48 hours [5, 6]. In a re-cent UK study, 9% of non-transported patients re-contacted the EMS provider within 3 days of the initial non-transport event [5, 7]. While reattendance to the same patient within two or three days of initial presentation might suggest that ambulance crews ‘got it wrong’ on the first assessment, the reality is that patients with minor presentations will some-times deteriorate or other complications arise. Reattendance has been observed internationally [5, 8-10], and may be un-avoidable to some degree.
By the nosological profile of the structure of prehospital EMC requests, in the RM, in y.2020, the respiratory emergencies were on the first place with a rate of 23% of the 761.416 total number of requests, or 168.866 served patients. On the second place were cardiovascular emergencies with a rate of 20.6% or 151.509 served patients. On the third place were the neurological emergencies with 13.3% or 97.727 cases. Trauma emergencies constituted 9.9% or 72.724 cases. The rate of infectious emergencies was 3.1%, that is, 22.863 served patients. In 2019, cardiovascular emergencies ranked first – 22.3% with a total number of 845.572 PEMC requests or 183.131 served patients. They were followed (second place) by the respiratory emergencies with 19.3% or 158.674 cases. Neurological emergencies ranked third with a rate of 13.6% or 111.953 neurological served patients. Trauma emergencies accounted for 10.8% or 88.902 cases. The share of infectious emergencies in y.2019 was 2.2% or 17.882 infectious served patients (tab. 3 and fig.5) [3].
table 3. the structure of prehospital emergency calls by the nosological profile, years 2019-2020
(% & abs.) [3]
Parameter Year 2019 Year 2020Nosological profile of emergency calls % Abs. served
people % Abs. served people
Cardiovascular 22.3 183.131 20.6
151.509
Respiratory 19.3 158.674 23.0 168.866
Neurological 13.6 111.953 13.3 97.727
Trauma 10.8 88.902 9.9
72.724
Infectious 2.2 17.882 3.1 22.863
table 2. Structure of Calls by the degree of urgency and the Medical-assisted transportations performed by PEMC teams of the RM in years 2019 – 2020 [3]
Parameter Year 2019 Year 2020
Degree of emergencies%
of served people
Abs.served people
% oftrans-
portations
% of served
people
Abs.served people
% of trans-portations
Major 26.5 217.333 71.6 28.6 210.087 68.9
Second-degree 69.1 567.509 29.1 65.5 481.576 25.8Third-degree 3.2 25.945 14.1 3.0 21.705 9.3Medical-assisted transportations 1.2 10.026 99.7 2.9 21.544 81.4
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B. Golovin et al. Moldovan Medical Journal. October 2021;64(4):39-44 ORIGINAL ReseARch
In 2020, in the RM, on the first place were respiratory emergencies, which compared to 2019 increased practically by 4% and the infectious emergencies – by almost 1% [3]. After the first reported case of SARS-CoV-2, there were significant increases in complaints, chiefly of fever (211% increase, p<0.001) and respiratory symptoms (245% increase, p<0.001) [11]. The data for the period 2013–2017 from Italy showed that, with some exception due to environmental differences, the highest proportion of incoming emergency calls is not acute or urgent and could be more effectively managed in other settings than in an Emergency Department (ED). Better management of dispatch can reduce crowding and save hospital emergency department’s time, personnel, and health system costs. This data highlights the importance of promoting policies to increase the availability of ambulances with staff who can manage problems on site, reducing the admissions of less appropriate EDs [12].
In the RM, the share of prehospital cardiovascular emergencies decreased in y.2020, reaching 20.6%, compared to 22.3% in y.2019. Trauma emergency in 2020 declined and accounted for 9.9%, compared to 10.8% in 2019 [3]. In Saudi Arabia the cardiac cases showed a smaller difference at 26.61%, whereas trauma cases showed a decline of 1.641 (a change of – 6.11%). Some of the medical or cardiac cases related to COVID-19 complications could not be determined from the data collected [4].
In 2020, according to nosologies, in the RM was deter-mined the following structure of cardiovascular emergen-cies:
Ø Hypertension (HTN). Hypertensive urgencies – 56.095 served patients or a share of 37% of the total number of 151.509 cardiovascular emergencies.
Ø Essential HTN and tension jumps – 27.462 cases or 18.1%.
Ø HTN. Hypertensive emergencies – 20.185 served pa-tients or a rate of 13.3%.
Ø Acute coronary syndrome (ACS) without ST-segment elevation – 3.359 cases or 2.2%.
Ø ACS with ST-segment elevation – 1.800 cases or 1.2%.Ø Sudden cardiac death – 194 cases or 0.1%.In y.2019, according to nosologies, in the RM was the
following structure of cardiovascular emergencies:v Hypertension (HTN). Hypertensive urgencies –
65.286 cases or a rate of 35.6% of the total number of 183.131 cardiovascular emergencies.
v Essential HTN and tension jumps – 33.732 cases or 18.4%.
v HTN. Hypertensive emergencies – 23.570 served pa-tients or a share of 12.9%.
v ACS without ST-segment elevation – 4.705 cases or 2.6%.
v ACS with ST-segment elevation – 2.022 cases or 1.1%.v Sudden cardiac death – 244 cases or 0.1% (tab. 4) [3]. According to the Prehospital EMC Request Sheets of the
NCPEM, of the RM, during 2019-2020, which were the basis of this research, it was determined that in 2020 the number of investigations increased, such as bladder catheterizations and glucometries, and the number of endotracheal intubations practically has doubled. In y.2020, it can be noted an increase of the share in major emergencies by 2.1% and medically-assisted transportations by 1.7% compared to 2019. Also, in 2020 increased the share of emergencies grade I (majors), hy-pertensive urgencies (commons), hypertensive emergencies (extremes), and ACS with ST-segment elevation.
In 2020 were registered 102.529 pediatric medical-surgical emergencies or a share of 14.0% from the total no. of served people in the RM. The structure of pediatric emergencies according to the nosological profile was:Ø Respiratory – 50.701 cases or 49.5%.Ø Trauma – 14.766 or 14.4%.
Fig.5. the structure of prehospital medical-surgical emergencies by the nosological profile, years 2019–2020 (%) [3]
table 4. the structure of cardiovascular emergencies by the nosological profile based on the Prehospital Emergency Medical Care Request Sheets for the years 2019-2020 (% & abs.) [3]
Parameter Year 2019 Year 2020
Structure of cardiovas-cular emergencies % Abs. served people % Abs. served people
Hypertension (HTN).Hypertensive urgencies.
35.6 65.286 37.0 56.095
Essential HTN and tension jumps. 18.4 33.732 18.1
27.462
HTN. Hypertensive emergencies. 12.9 23.570 13.3 20.185
ACS without ST-segment elevation. 2.6 4.705 2.2
3.359
ACS with ST-segment elevation. 1.1 2.022 1.2 1.800
Sudden cardiac death 0.1 244 0.1 194
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ORIGINAL ReseARch B. Golovin et al. Moldovan Medical Journal. October 2021;64(4):39-44
Ø Infectious – 4.740 (4.6%).Ø Neurological – 2.204 (2.1).Ø Cardiovascular – 1.287 (1.3%).In 2019 year, 159.309 medical-surgical emergencies were
registered in children or a share of 19.4% from the total number of served people. By the nosological profile, the structure of pediatric emergencies was:v Respiratory – 82.951 cases or 52.1%.v Trauma – 19.750 or 12.4%.v Infectious – 8.464 (5.3%).v Neurological – 3.011 (1.9).v Cardiovascular – 2.92 (1.3%).It can be noticed, that in 2020 compared to 2019, the
percentage of respiratory and infectious emergencies decreases, which is the opposite for adults. Instead, pediatric trauma and neurological emergencies are increasing in the RM (tab.5) [3].
table 5. Structure of pediatric emergencies by the nosological profile (%, abs.) 2019–2020 [3]
Parameter Year 2019 Year 2020
Pediatric emer-gencies in RM
% of served people
Total, Abs.
% of served people
Total, Abs.
19.4 159.309
14.0 102.529
Of them: respira-tory
52.1 82.951
49.5 50.701
trauma 12.4 19.750 14.4 14.766
infectious 5.3 8.464
4.6 4.740
neurological 1.9 3.011 2.1 2.204
cardiovascular 1.3 2.092 1.3 1.287
Conclusions
In 2020, compared to 2019, at the prehospital stage, in-creased the share of emergencies grade I (majors), hyper-tensive urgencies (commons), hypertensive emergencies (extremes), and ACS with ST-segment elevation, likewise, increased the number of bladder catheterizations, glucom-etries, endotracheal intubations, medical-assisted transpor-tations, which, in many cases was due to the worsening of health in patients infected with the SARS-CoV-2 coronavi-rus (COVID-19 disease), and with comorbidities.
Many of the patients with major emergencies were left at home, because they categorically refused to be hospitalized for several reasons, one of which, in 2020, was the fear of infection with the SARS-CoV-2 coronavirus. However, the refusal of hospitalization in emergencies requires raising the level of health education of the population.
By the nosological profile of prehospital EMC requests structure, compared to 2019, the respiratory emergencies in
2020 were on the first place, and the rate increased practically by 4% and the infectious ones – by almost 1%. The number of endotracheal intubation procedures and medical-assisted transportations practically doubled in 2020 compared to 2019. All these changes: increased respiratory and infectious emergencies, the intubation procedures, and assisted-medical transportations, exeptionally have occurred due to COVID-19 infection.
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12. Campagna S, Conti A, Dimonte V, Dalmasso M, Starnini M, Gianino MM, Borraccino A. Trends and characteristics of emergency medical services in Italy: a 5-years population-based registry analysis. Healthcare. 2020;8(4):551. https://doi.org/10.3390/healthcare8040551.
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Authors’ ORCID iDs and academic degreesBoris Golovin, MD, PhD, Associate Professor – https://orcid.org/0000-0003-3844-8751Mihail Pestereanu, MD, Researcher – https://orcid.org/0000-0002-9797-2919Tatiana Bicic, MD, Master in Public Health – https://orcid.org/0000-0002-5767-444XSvetlana Lupu, MD, Master in Public Health – https://orcid.org/0000-0003-1275-8014Ludmila Petcu, MD, Researcher – https://orcid.org/0000-0003-0369-1647Nicolae Doni, MD, PhD, Associate Professor – https://orcid.org/0000-0001-9071-0863
Authors’ contributionBG conceptualized, designed and conducted the research, drafted the manuscript, revised the manuscript critically; MP collected the data, designed the research, did statistics and interpreted the data, drafted the manuscript, revised the manuscript critically; TB designed the research, interpreted the data, revised the manuscript critically; SL designed the research, interpreted the data, revised the manuscript critically; LP revised the manuscript critically; ND designed the research, interpreted the data, revised the manuscript critically. All the authors revised and approved the final version of the manuscript.
Funding The research was provided by the National Centre of Prehospital Emergency Medicine, Chisinau, the Republic of Moldova. The study was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateNot applicable.
Conflict of InterestsThere is no known conflict of interests and financial or non-financial support associated with this publication.
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ORIGINAL ReseARch S. Gutu. Moldovan Medical Journal. October 2021;64(4):45-49
Introduction
Threat of medical errors is omnipresent in the work of health professionals. In modern days the reduction of medi-cal errors is becoming main priority of different medical or-ganizations as well as healthcare policy makers and different patients’ rights organizations. It is generally considered that the incidence and different outcomes of specific types of sur-gical errors are, in most cases, well described, but the knowl-edge of why these errors occur remains unanswered [1]. Considered as one of the most baffling examples of serious surgical errors is the manifestation of retained surgical for-eign bodies (sponges, meshes, instruments, needles and oth-er surgical consumables) [1, 2]. Textile foreign bodies (TFB) can cause serious physical complications as well as moral harm to the patient and can also lead to serious professional and medico-legal consequence [2-4]. TFB events are gener-ally believed to occur once from 1000 up to 18000 surgeries [5-9] of which 0.3-1 events in 1000 abdominal surgical in-terventions [3], however this is highly likely an underestima-tion or underreporting [8, 10-12]. In the general population, the rates of TFBs are mostly identified in abdominal surgery followed by gynecologic, vascular, and urologic procedures
https://doi.org/10.52418/moldovan-med-j.64-4.21.08UDC: 617.55-089-06+616.381-003.6+614.256
Current inconsistencies in the reporting of cases of intraabdominal retained textile foreign bodies
Serghei gutu
Nicolae Anestiadi Department of Surgery No 1, Nicolae Testemitanu State University of Medicine and PharmacyChisinau, Republic of Moldova
Author’s ORCID iD, academic degrees and contributions are available at the end of the article
Corresponding author – Serghei Gutu, e-mail: [emailprotected] received July 31, 2021; revised manuscript October 05, 2021; published online October 12, 2021
AbstractBackground: It is assumed that the incidence of textile foreign bodies (TFB) unintentionally left in abdominal cavity is underreported, mostly due to the legal implications of their detection. Material and methods: One hundred thirty-five responses were received to a specially developed anonymous questionnaire on the TFB problem, including medico-legal aspects. Of the total number of respondents, 81 were surgeons and 54 – gynecologists. Results: Over 80% of respondents consider that if TFB was removed from abdominal cavity during the surgical intervention, it should be indicated in the final diagnosis. At the same time, the fact of detecting and removing TFB retained in abdomen in the real cases known by respondents was reflected in the surgical report and in diagnosis in only 49.1%. False description in case of detection and removal of intra-abdominal TFB admits 29.6% from total number of respondents, but only 24.5% with a shorter length of work (<15 years), and 40.7% – with a work experience over 15 years. Conclusions: Surprisingly, about 20% of respondents consider it justified not to indicate retained TFB in the final diagnosis. Moreover, the real frequency of TFB diagnosis concealment is 1.6 times higher and sharply contradicts the declared intentions about the need to report the true cause of pathology. Almost half of surgeons with a long lasting work experience allow a false description of intraoperative findings and, as a result, the official diagnosis.Key words: textile foreign body, surgical report, underreporting, false description.
Cite this articleGutu S. Current inconsistencies in the reporting of cases of intraabdominal retained textile foreign bodies. Mold Med J. 2021;64(4):45-49. https://doi.org/10.52418/moldovan-med-j.64-4.21.08.
[5, 6, 13, 14]. This study examines the experience of surgeons in the understanding, reporting, problem identification, pre-ventive strategies, legal status of TFBs on surgical practice.
Material and methods
This study is a part of a PhD study in abdominal textilo-mas and was approved by the Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy, protocol No 48 of 12.02.2020. It was an online and live sur-vey study. The questionnaire consists of 21 questions and was created using Microsoft Office Word and converted to online survey using Google Forms. The questionnaire was sent over emails to the members of Nicolae Anestiadi Surgeons Association of the Republic of Moldova as well as to Obstetrics and Gynecology surgeons, Urology, Vascular, Cardiothoracic, Pediatric and Oncologic surgeons. All the responses were voluntary, anonymous and confidential. The questionnaire was sent repeatedly so as to gather the most number of total possible answers by surgeons. There was no time limit of completion the survey.
The questionnaire was created in such a way so as to gather as much information as possible from surgeons and
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consists of general questions, confirmation of a known case/cases of TFB, management of those cases and legal and orga-nizational management of those and potentially other cases.
Results and discussion
Of 543 surgeons that were eligible to participate in the survey, 145 questionnaire answers were received. The re-spondents comprised 79 general surgeons (54.4%), 56 ob-stetrics and gynecologists (38.6%), 3 thoracic surgeons (2.0%) and one from urologists, pediatric surgeons, ortho-pedics and traumatology, vascular, oncologist, cardiac and ICU specialists (4.8%). Of all the respondents, 22 surgeons have work experience of less than 5 years (15.17%), 32 sur-geons have work experience between 5-15 years (22.06%), 32 – between 15-25 years (22.06%), 33 – between 25-35 years (22.75%) and 26 have work experience of more than 35 years (17.93%). Institutional level of respondents work place is re-gional hospitals in 37 answers (25.51%), municipal hospitals in 41 answers (28.37%), republican hospitals in 59 answers (40.68%), departmental hospitals in 7 answers (4.82%) and private hospitals in one answer (0.68%).
Of all respondents, 97 (66.89%) encountered an event when a TFB was left unintentionally in the abdominal cavity, of these 8 (5.15%) respondents were with surgical experience of less than 5 years, 15 (15.46%) respondents with surgical experience of 5-15 years, 22 (22.68%) respondents with sur-gical experience of 15-25 years, 30 (30.92%) respondents with surgical experience of 25-35 years and 22 (22.68%) re-spondents with surgical experience of more than 35 years.
When the respondents were asked how many cases of TFB they encountered during surgery, 28 (19.31%) said they had never experienced textile foreign body during surgery, 44 (30.34%) respondents encountered at least one such case, 38 (26.20%) encountered two cases, 12 (8.27%) – 3 cases, 11 (7.58%) – 4 cases and 6 (4.13%) – 5 or more such cases and 2 (1.37%) – 10 cases. In one case the surgeon was aware of such case from a fellow surgeon and 5 (3.44%) did not an-swer.
In the questionnaire the answer of some surgeons that encountered different time span from the time a TFB was re-tained to the time of its extraction constituted “Some days” in 44 cases, “Some weeks” in 37 cases, “Some months” in 45 cases, “Some years” in 25 cases, and 30 did not give an answer.
Regarding the second surgery (extraction of TFB) 39 respondents answered that the foreign body was found ac-cidentally during surgery, 53 respondents answered that the second surgery was performed because of complications that were caused by the TFB. In 33 answers the TFB was symp-tomatic and diagnosed using Computed Tomography (CT) or Ultrasonography (USG) and in 15 answers TFB was as-ymptomatic and diagnosed using CT or USG. In 15 answers the diagnosis of TFB was known before any diagnostic pro-cedures. There were 29 respondents who did not answer.
In those known cases of repeated surgery for TFB the outcome was simple extraction with no postoperative complications or prolonged hospital stay in 79 answers. Prolonged hospital admission and pharmaceutical treatment
was present in 55 answers. The necessity of organ resection caused by TFB was present in 9 answers, with development of severe postoperative complications was present in 24 an-swers. Death of the patient caused by TFB was present in one answer only and 30 respondents did not answer.
There was an effort to ask surgeons their point of view of how they can describe, as an event, a case of TFB and the answers can be found in table 1.
table 1. Distribution of surgeons’ point of view of tFB based on proposed answer type
Types of answers Answers (n=145), 100%0
Medical accident 25 (17.24%)Medical incident 29 (20%)Adverse event 4 (2.75%)Postoperative complication 11 (7.58%)Medical deficiency 7 (4.82%)Medical error 24 (16.55%)Organizational error 11 (7.58%)Medical neglect 22 (15.17%)Malpractice 8 (5.51%)Other 2 (1.37%)No answer 2 (1.37%)
Interesting as well as worrying results were obtained when respondents were asked to answer the question if the detection, removal and final postoperative diagnosis were reflected in official postoperative protocol/documentation. In 57 (39.31%) answers by the respondents the official report on TFB extraction, description and diagnosis was absent in postoperative documentation, partially in 6 (4.13%) an-swers. The description of intraoperative findings, extraction and postoperative diagnosis were present in 60 (41.37%) an-swers. In 3 (2.06%) answers the surgeons did not know if the description was present in official documentation and 19 (13.10%) respondents did not wish to answer.
Another worrying result based on questionnaire answers was if the surgeons admit intentional, false description in case of TFB detection during surgery. In case of such an event, 48 (33.10%) respondents admit possible intentional falsification of documentation if such a case is detected, 91 (62.75%) respondents did not admit false postoperative de-scription in official documentation and 7 (4.82%) respon-dents had doubts or partially admit potential falsifying of the report.
Unlike official documentation the reluctance to admit a TFB finding during surgery to the patient or patient’s relatives is not as high as with official documentation. Nonetheless, 35 (24.13%) respondents consider not to inform the patient or his relatives of a TFB finding, 44 (30.34%) respondents consider to officially inform the patient or his representa-tives. A very big group of 63 (43.44%) respondents consider other circumstances that may or may not lead to informing the patient or his relatives and 3 (2.06%) respondents have other opinions.
A series of questions regarding who is responsible when
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a TFB is retained unintentionally inside the abdominal cav-ity and what sanctions for those responsible should be ap-plied are presented in table 2 and 3.
table 2. Distribution of surgeons’ point of view on whom lies the responsibility of tFB event
Types of answers Answers (n=145, 100%)Operating surgeon 36 (24.82%)Scrub nurse 12 (8.27%)Both (operating surgeon and scrub nurse)
36 (24.82%)
Entire surgical team 54 (37.24%)Medical institution 4 (2.75%)Nobody 2 (1.37%)Other 1 (0.68%)
table 3. Distribution of surgeons’ point of view on which sanctions should apply in case of tFB event
Types of answers Answers (n=145, 100%)Internal professional discussion 118 (81.37%)Disciplinary sanction 18 (12.41%)Civil liability 2 (1.37%)Criminal liability 0 (0 %)Other 6 (4.13%)No answer 1 (0.68%)
Surgeons that knew cases of TFB were asked to answer about the consequences that members of the surgical team who accidentally left a TFB during surgery suffered when this event was uncovered: 28 respondents answered that there were no consequences, 94 respondents answered that the medical team had an internal professional trial and dis-cussion, 11 respondents answered that administrative sanc-tions were applied against the surgical team, 3 respondents answered that civil liability was initiated against the surgi-cal team, 2 respondents answered that criminal liability was initiated against the surgical team, 6 respondents did not know what consequences the surgical team suffered and 19 respondents did not answer.
When asked if the medical institution should also be re-sponsible together with the surgical team when a petition or legal complaint arrives, 119 (82.06%) respondents agree that the medical institution should also be responsible whenever such actions occur, 25 (17.24%) respondents don’t agree and one respondent was hesitant to answer.
A sensible topic such as retained foreign bodies needed an anonymous way to try to collect data from surgeons and as such a questionnaire was selected as the best way to obtain such information especially it was proven as the best and risk-free modality [15]. It is a well established fact that the incidence of TFB is underestimated and underreported and generally the only reliable source of these events comes from legal cases or medical case reports [1, 16, 17, 18]. Overall it is easy to understand as to why these events are so rarely discussed, it is difficult to establish a clear diagnosis [17, 19], it brings great legal consequences [1, 19] and these cases are
unlikely to be reported because of fear of malpractice reper-cussions [15-21]. In most cases the victims of such event is the patient, the physician and the medical institution [22].
The effect that physicians suffer from adverse surgical events is termed as the “second victim syndrome” [9, 23, 24]. Because TFB are classified as “never events” according to the National Quality Forum, physicians can suffer significant professional reputation damage and even the risk of inde-fensible litigation [5, 12, 25]. This leads to psychological and emotional burden on the surgeon and contributes to unwill-ingness to disclose RSI events [26].
A cross-sectional multi-center survey of surgeons re-vealed that intraoperative unfavorable events do cause se-rious emotional distress in 84% of respondents. Anger, embarrassment/shame, anxiety, guilt, sadness are the most frequently reported emotions expressed by physicians, with no correlation with years of experience [23]. Another survey demonstrated that fellow residents have a much greater risk of adverse consequences from their emotional suffering, in part due to greater self-perceived responsibility and fear of repercussions [24].
In an event when an unaccounted surgical item is lost or not retrieved during surgery and discovered later, surgeons may face a difficult decision of whether to perform a repeat-ed surgery to remove the TFB or observe the patient. The operative surgeon may ask for intraoperative consults from a fellow surgeon that can be valuable help, but the decision to ask for assistance is ignored by the hesitation to publicize their medical error. Because of professional reputation con-cerns, many surgeons do not have the necessary motivation to report their surgical errors because of the risk of legal pro-ceeding against them [12, 27].
A critical step in finding a way of preventing events with TFBs is accurate and sincere reporting of all such cases and also “near miss” events would also allow for a real evalua-tion of the efficiency of new possibilities in identifying TFBs. The present environment is lawsuit-motivated or lawsuit-oriented and as such created a real barrier for transparency, and because of it highlights the necessity for major shift in the system that TFB events are handled [23]. In majority of countries the blame of TFB events has, traditionally, been placed on the operating surgeon, however, there are reports that 90% of TFB events are the result of system or team error [9, 29]. As such a need arises for a more proactive system approach for prevention of TFB and should be implemented through continuous quality improvement with multiprofes-sional teams that participate in a meticulous review and care-ful observation of the event without attributing blame [30-32]. In changing the focus from blame assignment to finding of different strategies for prevention of such events, a more transparent environment may be created [33]. Standard pro-tocols must involve the entire operating team and as such will improve outcomes and encourage to a more team-based mindset and spirit [9, 28, 33].
Another barrier to transparency that has been identified is the lack of standardized reporting [23]. The introduction of a standardized reporting system should be done in such a
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way as to encourage reporting. These systems should have a considerable emphasis on promoting a supportive learning conditions and resolving safety issues, rather than being ac-cusatory and hostile oriented. It is important as these unfor-tunate events have multiple origins rather than due to “one man” failures, incompetence or negligence [12, 23, 34, 35].
Conclusions
The healthcare system must be shifted towards a more proactive approach rather than to a more reactive one to-wards medical errors. For a continuous and stable reduction in the incidence of TFB events will be demanded improved preventative and recovery strategies. Such events are catego-rized as “never events”, which in return suggest that they are totally preventable. However, their ongoing occurrence in spite of many new protocols and regulations development proves what a complex and multifactorial this problem is. Present day literature leans on improving vigilance as well heavily backs historical methods of prevention. In present day reality TFB events prevention requires a serious system-based approach that depends on the entire surgical team and even then, human error and imperfections cannot be excluded and will always be present, and as such require the implementation of technological support.
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Author’s ORCID iD and academic degreesSerghei Gutu, MD, PhD Applicant – https://orcid.org/0000-0001-9583-0485
Author’s contributionsSG conceptualized the idea, designed the study, conducted literature review, designed the survey, interpreted the data and wrote the manu-script.
FundingThe study was the author’s initiative. The author is independent and takes responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe research project was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (Protocol No 48, 12.02.2020).
Conflict of InterestsNo competing interests were disclosed.
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Introduction
Congenital disorders of glycosylation are a rare group of inherited metabolic disorders caused by genetic defects in various steps in the biosynthesis of glycoproteins and other glycoconjugates. First case of Congenital Disorders of Glycosylation (CDG) was described in 1980 by Jaeken J. at the twin-sister with marked psychomotor retardation [1]. The incidence and prevalence of CDG have not been well established because of clinical heterogeneities and complex-ity of diagnosis. Currently, more than 140 different types of CDG are reported in over 1350 patients diagnosed at mo-lecular level. According to the latest reports, CDG is clas-sified in protein N- or protein O-glycosylation defects, gly-cosphingolipids and glycosylphosphatidylinositol anchor glycosylation defects, and multiple glycosylation pathway defects [2]. The most common group of the pathologies are N-glycosylation disorders responsible for more than 70 types of CDG. PMM2-CDG (CDG-1a) is the most fre-quent diagnosed type of CDG which is identified in 62% of the patients with the ranges from 1/20000 in Dutch popula-
https://doi.org/10.52418/moldovan-med-j.64-4.21.09UDC: 616-008.9-053.1-07
the screening by isoelectric focusing of transferrin for the diagnosis of congenital disorders of glycosylation
*Daniela Blanita, Chiril Boiciuc, Doina turcan, Victoria Sacara, natalia Usurelu
Laboratory of Prevention of Hereditary Pathologies, Centre of Reproductive Health and Medical GeneticsInstitute of Mother and Child, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Daniela Blanita, e-mail: [emailprotected] received July 3, 2021; revised manuscript October 01, 2021; published online October 12, 2021.
AbstractBackground: Congenital Disorders of Glycosylation (CDG) are a group of inherited metabolic disorders caused by the defect in various steps in the biosynthesis of glycoproteins and other glycoconjugates.Material and methods: 40 patients under clinical suspicions for CDG at the Institute of Mother and Child were examined by isoelectric focusing of transferrin (IEFT) in collaboration with RadboudUMC, Netherlands and U.S.A. The spectrum of clinical presentations of these patients was multisystem damage, predominantly neurological manifestations.Results: Most of the patients (55%) had early neurological manifestations from the birth, such as hypotonia, psychomotor disability, cerebral MRI abnormalities, seizures (25%), cutis laxa (17.5%), total alopecia (2.5%), abnormal fat pads (2.5%), myopia (7.5%), nystagmus (5%), strabismus (2.5%), stroke-like episodes (2.5.%), ataxia (7.5%), abnormal coagulation (10%), hepatomegaly (35%) and liver cirrhosis (2.5%). Serum samples analyzed by IEFT showed the results: 37 normal, 2 questionable and 1 abnormal patterns. Two samples questionable belongs to the patients with Galactosemia and Fructosemia, which give the false-positive results. The last positive sample is performed additionally for glycomics profiling. In some cases, with IEFT negative profile was performed genetic test and were diagnosed other diseases, mimicking CDG, such as: NARP syndrome, late diagnosed PKU, GSD, Manosidoses, Prader-Willi Syndrome and chromosomal aberrations. Conclusions: The CDG is a rare metabolic disease with multisystem impairment and variety of symptoms which determine overlapping of phenotype with other genetic disorders. The process of diagnosis is very complex and can take several years. Key words: congenital disorders of glycosylation, multisystem affections, isoelectric focusing of transferring.
Cite this articleBlanita D, Boiciuc C, Turcan D, Sacara V, Usurelu N. The screening by isoelectric focusing of transferrin for the diagnosis of congenital disorders of glycosylation. Mold Med J. 2021;64(4):50-54. https://doi.org/10.52418/moldovan-med-j.64-4.21.09.
tion and 1/77000 in Estonia based on isolated reports [3, 4]. This ultra-rare group of pathologies shows an exponential growth due to the development of sequencing technologies, so that in 2013 every 11 days a new type of CDG was con-firmed and other 5 new forms in the first half of 2017 have been described [3]. The glycoproteins exist in whole body and the incorrect process of protein glycosylation disrupts the function of many organs and tissues leading to multi-system impairment and clinical heterogeneity involving 80% of neurological manifestations, 22% – jg-hepatic disorders, 20% – cardiac damage, 20% – dermatological and 10% – im-munological troubles and others [5-9]. Often, the variabil-ity of clinical manifestation is mimicking other pathologies which determine the non-recognition and underdiagnosis of CDG. The first step in diagnosis of this group of pathologies is the isoelectric focusing of transferrin (IEFT) – a screen-ing method considered as a “gold standard” in the diagnosis of CDG. The abnormal isoelectric profile of transferrin may divide the CDG into two large groups – CDG I and CDG II. During the process of the diagnosis the high necessary moment is to exclude the secondary abnormalities of glyco-
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ORIGINAL ReseARch D. Blanita et al. Moldovan Medical Journal. October 2021;64(4):50-54
sylation leading to false-positive profiles as in Fructosemia, Galactosemia, severe liver disease, alcoholism and others. As a final step in research of CDG the clinical glycomics and genetic diagnosis are used.
Material and methods
Following the medical genetic counseling in the Laboratory of Prevention of Hereditary Pathologies of the Centre of Reproductive Health and Medical Genetics (the Institute of Mother and Child, Chisinau) there were collect-ed 40 samples of serum from suspected for CDG patients. The children with multisystem impairment and a predomi-nantly undefined diagnosis associated with other suspicion criteria for CDG (tab. 1) have been selected. To characterize CDGs forms and differentiate other metabolic errors which mimic CDG, the basic first- and second-line metabolic work-up has been done. For excluding chromosomal aber-rations, the karyotype and CGH-array was performed. In order to complete the metabolic investigations the spectrum of urinary organic acids was analyzed by 1H-NMR spectros-copy at “Petru Poni” Institute of Macromolecular Chemistry of Romanian Academy, Iasi, Romania. The screening of all patients with clinical phenotype compatible with CDG was performed by serum transferrin isoelectric focusing in col-laboration with Translation Metabolic Laboratory.
table 1. Suspicion criteria for CDg included in the study
Suspicion criteria for CDgAge from 3 months to 18 yearsPsychomotor disabilityHypotoniaFailure to thriveSeizuresDysmorphic features excluding chromosomal aberrations
Radboundumc, Nijmegen, The Netherland and Mayo clinic, U.S.A. In some cases with very specific clinical mani-festations the genetic testing was done by genes panel or Whole Exome Sequencing in collaboration with partners from Cytogenomic Medical Laboratory, Bucharest, Romania.
Results
The cohort of patients selected for screening by IEFT were children of various age (2mo-15y) with an unexplained multisystem involvement, predominantly including nervous system. Most of the patients (55%) had early neurological manifestations from birth: hypotonia, psychomotor disabil-ity, brain MRI abnormalities as cerebellar and/or cortical at-rophy, hypogenesia of corpum callosum, mega cisterna mag-
Table 2. Neurological manifestation in the suspected CDG patients
Seru
m
Hyp
oton
ia
IEFT
pro
file
Cerebelar MRI Neurological finding
Seru
m
Hyp
oton
ia
IEFT
pro
file
Cerebelar MRI Neurological finding
Hyp
ogen
esia
of c
orpu
s ca
losu
m
Cere
bela
r atr
ophy
Cort
ical
atr
ophy
Ence
phal
omal
acia
Meg
a ci
ster
na m
agna
Stro
ke-li
ke e
piso
des
Stra
bism
us
Nis
tagm
us
Seiz
ures
Ata
xia
Men
tal r
etar
datio
n
Hyp
ogen
esia
of c
orpu
s ca
losu
m
Cere
bral
atr
ophy
Cort
ical
atr
ophy
Ence
phal
omal
acia
Meg
a ci
ster
na m
agna
Stro
ke-li
ke e
piso
des
Stra
bism
us
Nis
tagm
us
Seiz
ures
Ata
xia
Men
tal r
etar
datio
nS1 x - x x x x S21 +S2 x - x S22 x - xS3 x - S23 x - x xS4 x - x x S24 - xS5 + S25 x - x x x x xS6 x - x x S26 x -S7 - x S27 x - x x xS8 x - x S28 x - xS9 x - x x x S29 x - x x
S10 x - x x S30 x - x x xS11 x - S31 x - x x x xS12 x - x S32 x -S13 x - S33 x - x xS14 x - S34 - xS15 x - x x x S35 x +S16 - x x S36 - xS17 - x S37 x - x xS18 x - x x x S38 x -S19 x - x x x x S39 - xS20 x - x x x S40 x - x x
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D. Blanita et al. Moldovan Medical Journal. October 2021;64(4):50-54 ORIGINAL ReseARch
na, encephalomalacia and leukomalacia (tab. 2), reported in other described cases of CDG [10, 11]. The seizures associ-ated with abnormal EEG were present at 25% of patients, in 3 children the abnormal EEG was identified without clinical convulsions.
The phenotype evaluation of investigated patients paid attention to dysmorphic features as inverted nipples (15%), microcephaly (7.5%) and “doll face” (5%). The dermatologi-cal examination gave importance in presence of cutis laxa (17.5%), total alopecia (2.5%), ichthyoid exfoliative derma-titis (2.5%) and abnormal fat pad (2.5%). The cardiological involvement as dilative (2.5%) and hypertrophic (5%) car-diomyopathy was found.
The important clinical signs directly suggest CDG were responsible for the failure to thrive and growth retardation which have been found in this cohort respectively in 17.5% and 20% of patients. Other affected system in CDG is oph-thalmic and the manifestations detected in these subjects were: myopia (7.5%), nystagmus (5%), strabismus (2.5%) and optic atrophy (2.5%). The impairment of liver in CDG is one of the most important clue to suspect these patholo-gies and in the present studied cases hepatomegaly was in 35% and liver cirrhosis in 2.5 %. Other symptoms of no less importance presented by our patients were hypoglycemia (16%), stroke-like episodes (2.5%), ataxia (7.5%) and abnor-mal coagulation (10%).
The screening by IEFT was made to all patients who were suspected for CDG. 37 analyzed serums had no modifi-cation on IEFT, but in other 3 samples a positive transfer-rin profile on IEFT was identified, that allowed to suspect CDG. In all 3 cases were recommended to exclude second-ary abnormalities of glycosylation. In S-5, one of the posi-tive IEFT patients presented hepatomegaly, failure to thrive, high transaminases, high postprandial lactate, cataracts, galactose and galactitol in urine by 1H NMR spectroscopy which were determined by metabolic work-up – features suggestive for Galactosemia, confirmed then by the muta-tion P.E203L/E203L in homozygous status in GALT gene. So, the Galactosemia is reported as a condition leading to false-positive IEFT profile [12] and should be excluded obligatory in suspected CDG subjects. The second abnormal profile on IEFT was in S-21, but the molecular analysis in correlation with phenotype of patient revealed that positive profile of transferrin was caused by fructose intolerance as a disease that determines secondary abnormality at IEFT, as well. The last positive serum S-35 was one of the patients who mani-fested hepatomegaly, elevated transaminases, cutis laxa, fail-ure to thrive, dysmorphic features, hypoglycemia, unstable stool with frequent diarrhea, abnormal coagulation. The IEFT profile revealed the presence of disialo- and asialo-transferrin that leads to the suspicion for CDG type I (fig. 1).
Initially, there were excluded the secondary abnormali-ties of glycosylation as Galactosemia and Fructosemia. His urinary NMR profile was negative for galactose and galacti-tol. The used fructose-free diet did not change the IEFT pro-file, confirmed by ALDOB negative result then. Next steps
for the research and diagnosis of CDG in this case there will be clinical glycomics, that comprises a spectrum of differ-ent analytic methodologies which provide insights into the mechanisms of glycosylation that will be performed in col-laboration with RadboudUMC, Nijmegen, The Netherlands [13].
In the rest of reported cases with normal IEFT the di-agnosis tests continued to reveal other diseases those that mimic CDG (tab. 3). For the first, in the cases with severe hypotonia SMA and Pompe Disease were excluded. After metabolic investigations in some cases there were found hyperlactacidemia, hypoglycemia, hyperammonemia, high Anion Gap and acidosis that is highly suggestive for the in-born errors of metabolism, especially for glycogen storage disorders that were diagnosed in 2 cases. The diagnosis of other groups of inborn errors of metabolism will involve the specific tests which will be performed in future.
Many genetic tests were used to differentiate other ge-netic disorders mimicking CDG. As a consequence, in the TL1gene of mitochondrial genome was revealed the presence of m.3243A>G mutation associated with Leigh Syndrome.
This is a mitochondrial disorder that usually overlaps with clinical features of CDG.
In other two cases (S 9 and S 12), the genetic tests re-vealed mutations in PAH gene, that confirmed PKU. The studied patients with PKU developed a non-classical more severe phenotype of disease, possibly due to late diagnosis.
In those patients with unspecific for CDG dysmorphic features and severe hypotonia, the molecular karyotype (CGH array) was performed. So, in 1 case a pathogenic vari-ant of microdeletion on chrs 16 p11.2 was found and in 2 other cases the Prader Willi Syndrome patterns were iden-tified. In one case with severe development delay, seizures, tetraparesis, dysmorphic features and osteoporosis, the en-zyme assay suggested the presence of Mannosidosis, which subsequently required genetic confirmation.
At the same time, the negative profile of IEFT does not exclude a CDG form and it is necessary to consider other types of glycosylation troubles as O-, GPI-anchor-, lipid- and multiple defects of glycosylation needing to be investi-gated by other specific tests.
Fig. 1. IEFt profile: 1-3 positive profile, 4-5 negative profile
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ORIGINAL ReseARch D. Blanita et al. Moldovan Medical Journal. October 2021;64(4):50-54
Discussion
CDG are a group of rare disorders with clinical hetero-geneity and the suspicions criteria for CDG should be very broad. It is recommended to suspect CDG in any unex-plained affected patients, predominantly with neurological manifestations [13]. The variability of clinical symptoms is often a challenge for clinicians and can lead even to the un-derdiagnosis of this group of pathology that is why the real incidence of CDG is actually unknown. At the same time, the multisystem clinical involvement can mimic other genet-ic pathologies as: chromosomal aberration, mitochondrial disorders, lysosomal disorders and etc. Usually, clinical phe-notype of the CDG, overlaps with mitochondrial disorders because both are multisystem disorders presented from birth with high mortality. The recent statistic data show that about 10% to 20% of individuals with either mitochondrial disease or CDG die in the first 2 to 4 years of life [14]. Searching the primary defect in multisystem affected patients is often unsuccessful, and mitochondrial patients could remain as suspected for CDG ones [15]. In the investigated group a suspected for CDG patient was diagnosed with a mitochon-drial disorder – Leigh Syndrome (S-1, tab. 3).
A variety of complex tests is necessary to establish a diag-nosis and to describe a subtype of CDG and the “gold stan-dard” to first recognize CDG is the screening through IEFT, first introduced in 1984 by Jaeken J. [16]. This method allows diagnosing predominantly the disorders of N-glycosylation, because transferrin is N-glycosylated. The diagnosis way is followed by many steps based on the biochemical tests, en-zyme assay and genetic analysis either by single gene, CDG panel or WES/WGS and clinical glycomics as well [2, 10].
Actually, to define a CDG diagnosis takes more time and it is more expensive than IEFT screening [11]. At the same time, the negative profile of IEFT does not exclude a CDG form and it is necessary to consider other types of glycosylation troubles as O-, GPI-anchor-, lipid- and multiple defects of glycosyl-ation needing to be investigated by other specific tests.
However, the percentage of solved cases constituted about 30%, that is still quite low, which is caused by: either the lack of sequence coverage of the variant, or disease causes outside the coding sequences, or the presence of too many variants of unknown significance [2]. That is why, the important con-nection of genomics with functional -omics methodologies in the diagnosis of metabolic disorders is recognized more and more. For CDG, many cases were unsolved until the inclusion of glycomics into clinical practice, to present the functional defect [2]. These moments, revealed the complex-ity of diagnosis of CDG and at the same time this process in-volves a multidisciplinary team, multiple resources, and the implications of various international research groups as well.
Conclusions
Taking into account the fact that CDG is a group of ultra-rare disorders with multisystem involvement and heteroge-neous phenotype, the screening criteria for suspected CDG should be very broad. Differential diagnosis of this group of disorders should be very detailed and meticulous, because the phenotype most often mimics other genetic disorders. Because CDG is a new exponential group of disorders, it is recommended in the process of diagnoses of CDG to get in-volved a multidisciplinary researchers around the world and to develop the screening diagnosis in each country.
table 3. the diseases that mimicked CDg in reported cases
No Clinical manifestation IEFT profile Other disease that mimic CDG
1. Nephrosclerosis, hypertension, failure to thrive, periodic hypoglycemia, elevated transaminases
Negative Mutation in SLC9A3R1 gene c.328C<G
2. Psychomotor retardation, hypotonia,, cutis laxa, dysmorphic features, episodic opista-tonus, knee joint contractures, hypogenesia of corpum callosum
Negative Leigh Syndrome
3. Hypotonia from birth, inverted nipples, fatigue, mild mental retardation, speech disor-ders, amenorrhea, myopia, hypothyroidism
Negative Prader Willi Syndrome
4. Severe neonatal hypotonia, hepatomegaly, fatigability, hypothermia, passivity drowsi-ness, psychomotor delay
Negative Prader Willi Syndrome
5. Psychomotor delay, hypotonia, ataxia, hepatomegaly, fatigability, general weakness. Negative Microdeletion on crs 16 p11.2
6. Failure to thrive, disliking of fruits, some vegetables and sweets with vomiting, fasting hypoglycemia, hepatomegaly
Positive Fructose intolerance
7. Prolonged jaundice, high transaminases, high postprandial lactate, cataracts, hypoto-nia, hepatomegaly, failure to thrive.
Positive Galactosemia
8. Mental retardation, cutis laxa, stereotypic behavior, inverted nipples, dysmyelination on brain MRI
Negative PKU
9. Short stature, total alopecia, failure to thrive, feeding difficulty, dsymorphic facial features, lymphedematous hands and foots
Negative PKU
10 Severe hypoglycemia, hypotonia, psychomotor retardation, seizures, micorcephaly, hepatomegaly, elevated transaminases
Negative GSD
11 Generalized hypotonia, cutis laxa, hepatomegaly, mild elevated transaminases, osteo-porosis, born with multiple congenital anomalies, tetraparesis, developmental delay
Negative ? Mannosidosis
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11. Van Scherpenzeel M, Willems E, Lefeber DJ. Clinical diagnostics and therapy monitoring in the congenital disorders of glycosylation. Glyco-conj J. 2016;33(3):345-358. doi: 10.1007/s10719-015-9639-x.
12. Maratha A, Colhoun HO, Knerr I, Coss KP, Doran P, Treacy EP. Classical galactosaemia and CDG, the N-Glycosylation interface. A Review. JIMD Rep. 2017;34:33-42. doi: 10.1007/8904_2016_5.
13. Jaeken J. Congenital disorders of glycosylation (CDG): it’s (nearly) all in it! J Inherit Metab Dis. 2011;34(4):853-858. doi: 10.1007/s10545-011-9299-3.
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Authors’ ORCID iDs and academic degreesDaniela Blanita, MD, PhD Applicant – https://orcid.org/0000-0001-7736-3406Chiril Boiciuc, BioD, PhD Applicant – https://orcid.org/0000-0002-7273-2492Doina Turcan, BioD, PhD Applicant – https://orcid.org/0000-0002-8571-0524Victoria Sacara, BioD, BioPhD, Associate Professor – https://orcid.org/0000-0001-9200-0494Natalia Usurelu, MD, PhD, Associate Professor – https://orcid.org/0000-0001-8685-3933
Authors’ contributionsDB collected and interpreted the data. DB, CB, DT, VS and NU analysed the result of screening by IEFT. NU revised the manuscript critically. All the authors approved the final version of the manuscript.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy of the Republic of Moldova. The trial was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThis research project was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (Protocol No 48 of 03.07.2019).
Conflict of interestsNo competing interests were disclosed
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ORIGINAL ReseARch O. Penina. Moldovan Medical Journal. October 2021;64(4):55-61
Introduction
The problem of high mortality in the countries of the for-mer Soviet Union (FSU), especially in its European part, is largely discussed in the literature. Studies have shown that an increase in adult mortality in these countries that began from the mid-60s of the last century left them far behind the western countries where life expectancy progress has ac-celerated since the 1970s due to a massive decline in cardio-vascular mortality [1]. At the level of causes of death, the main contributors to this long-term health crisis in Russia [2], Ukraine [3] or the Baltic countries [4] are cardiovascu-lar mortality and external causes of death, a category that includes accidental poisoning, traffic accidents, suicides, homicides. Moreover, it was shown that a harmful alcohol consumption behaviour in these traditionally spirits drink-ing countries was considered as a major factor of popula-tion health deterioration [5]. After several decades of rising mortality and short-term fluctuations, considerable recent improvements in life expectancy were achieved in Estonia from the mid-90s, Russia from 2005 or Ukraine from 2009, which points to the beginning of the convergence trend in life expectancies between the FSU countries and the west-ern countries [6]. Although data quality for Moldova is
https://doi.org/10.52418/moldovan-med-j.64-4.21.10UDC: 314.4(478)
Spatial disparities in mortality by causes of death in the Republic of Moldova
Olga Penina
Nicolae Testemitanu Department of Social Medicine and ManagementNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Author’s ORCID iD, academic degrees and contribution are available at the end of the article
Corresponding author – Olga Penina, e-mail: [emailprotected] received July 31, 2021; revised manuscript October 01, 2021; published online October 12, 2021
AbstractBackground: Previous studies have shown long-term unfavourable changes in mortality in the Republic of Moldova accompanied by recent improvements. Little is known about the regional mortality differentiation which is an important tool for evidence-based public health policy. The aim of the study is to assess the current geographical disparities of all-cause and cause-specific mortality in Moldova and to identify evidence-based modalities to reduce them. Material and methods: This cross-sectional study is based on the corrected results of the 2014 census and individual death records for the 2012-2016 period provided by the National Agency for Public Health. Global Moran’s index and local indicators of spatial autocorrelation were computed based on contiguity matrix. Results: All-cause mortality gradient between the northern and central regions was found for males (Moran’s index=0.47, p<0.001) and females (Moran’s index=0.44, p<0.001). Digestive and cardiovascular diseases for both sexes and external causes of death for males had a statistically significant influence on the inter-regional mortality differentiation. Liver cirrhosis contributed the most to the geographical difference between the North and the Centre (Moran’s index=0.59, p<0.001), especially for females.Conclusions: The results of this study point to the existence of different drinking habits of the Moldovan population between the northern and central regions. The central regions that form the cluster of “high-high” mortality from liver cirrhosis should be considered as primarily targets for antialcohol policies.Key words:mortality, causes of death, spatial autocorrelation.
Cite this articlePenina O. Spatial disparities in mortality by causes of death in the Republic of Moldova. Mold Med J. 2021;64(4):55-61. https://doi.org/10.52418/moldovan-med-j.64-4.21.10.
somewhat more questionable as compared to Russia or Ukraine [7], the long-term overall mortality trends are very similar in these countries. The high level of cardiovascular mortality plays a crucial role for low life expectancy of the Moldovan population disregarding its recent improvements [8]. Further, in Moldova, which is a wine drinking country, the role of chronic alcoholism due to a high consumption of unregistered home-made wine is a particular health issue, especially for female population [9].
Along with mortality studies at the national level, re-searchers pay more and more attention to the regional mor-tality trends and patterns in the FSU countries. Thus, several studies have been conducted for Ukraine, Russia, Belarus. Poniakina S. demonstrated the geographical diversity of mortality patterns in Ukraine between the western regions that have lower cardiovascular and external mortality and the eastern (for males) and south-eastern regions (for fe-males) whose population face more serious health prob-lems for these two leading causes of death [10]. Timonin S., Danilova I. et al. showed that the recent life expectancy growth in Russia unfold differently across regions, and the two major cities, Moscow and Saint Petersburg, contribute the most to inter-regional divergence [11]. Grigoriev P. et al.
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O. Penina. Moldovan Medical Journal. October 2021;64(4):55-61 ORIGINAL ReseARch
demonstrated that an increasing inter-regional mortality in-equality in Belarus is associated with diverging trends from external causes of death [12]. The availability of cause-spe-cific mortality data at the regional level for more and more countries allows researchers to move from international mortality comparison between countries to large-scale stud-ies on cross-country differences in mortality taking into account the significant disparities within countries. Thus, using spatial autocorrelation technics, it was found that the districts located along the Belarusian–Lithuanian border, especially those on the Belarusian part, suffer enormously from conditions associated with an increased alcohol con-sumption such as liver cirrhosis and alcohol poisoning [13].
Although there are studies of long-term trends in cause-specific mortality in Moldova, little is known about its re-gional patterns. The study reported in this paper addresses to the regional mortality differences by causes of death in Moldova. The aim of the study is to assess current geo-graphical disparities of overall and cause-specific mortality in Moldova and to identify evidence-based modalities to re-duce them.
Material and methods
Present study relied on the 2014 usual resident popula-tion according to the 2014 Census adjusted by the Natural Bureau of Statistics (NBS) based on the post-census survey. As for mortality data, were used the individual death records for the period 2012-2016 codified according to the detailed (4-digit level) 10th revision of the International Classification of Diseases and Causes of Death (ICD-10) provided by the National Agency for Public Health (NAPH), which is re-sponsible for the centralized codification of causes of death. To ensure better robustness of death rates at the regional level, was used the average for the given five-year period. Ill-defined causes of death (R00-R99) that constitute less than 1% for the analyzed period were redistributed proportion-ally among all causes of death. After that the data were ag-gregated by causes of death according to two lists: a short list that includes seven broad groups of causes of death and an extended one that consists of 20 items.
The mortality data were aggregated by 35 administrative units, including 2 municipalities (Chisinau, the capital of the country, and Balti). The mean population size of regions is 81 thousand (with Chisinau) and 63 thousand (without Chisinau). The minimum population size is 19 thousand (Basarabeasca) and the maximum one is 676 thousand (Chisinau). In 22 out of 35 regions, the population size is 40-80 thousand; in 8 regions, it is 80 thousand and over; in 5 regions – less than 40 thousand. The official statistical data have not been covering Transnistria and the municipality Bender since 1998.
Life expectancy and 95% confidence limits across 35 administrative units were calculated based, respectively, on Chiang C. L. method [14] and Silcocks et al. method [15]. Contributions by age and cause of death to the difference between life expectancy at birth in Moldova and its every region were estimated by E. M. Andreev’s method [16, 17].
Mortality rates by sex and seven broad groups of causes of death were standardized by indirect method. Cause-specific death rates calculated for Moldova for the years 2012-2016, both sexes, were used as reference rates. Confidence limits were calculated based on Byar’s or exact CI method [15]. To produce mortality maps, we used shape files from DIVA-GIS [18]. The “Jenks” optimization method of classification was used to produce life expectancy maps that maximize the dif-ferences between the categories of observations [19].
To carry out spatial analysis, global Moran’s index and lo-cal indicators of spatial autocorrelation (LISA) [20] were cal-culated based on contiguity matrix. To construct the contigu-ity matrix that defines the spatial neighbourhood structure, was used the first-order queen structure. The LISA were pre-sented using the LISA cluster maps that have five categories according to the type of spatial autocorrelation. The “high-high” cluster (“hot” spots) belongs to the regions that have high level of mortality and are surrounded by other regions that have above the average level of mortality. The “low-low” clusters (“cold” spots) belong to the regions with low mortal-ity level surrounded by the regions with below average levels of mortality. Other two categories of spatial autocorrelation represent “high-low” and “low-high” spatial outliers (these two categories were not identified in the study). Finally, the fifth category represents statistically non-significant spatial autocorrelation labeled as non-significant. The significance level was estimated using Monte Carlo approach (number of simulations = 9999). Data were analysed in R.
Results
Life expectancy at birth (e0) at the national level in 2012-16 is 68.4±0.2 in males and 76.4±0.2 in females. Across re-gions, it varies between 65.2±2.2 in Soldonesti and 71.5±0.5 in Chisinau among males and between 72.2±2.1 in Cimislia and 79.2±0.5 in Chisinau among females. Depending on the population size, confidence limits for e0 varies from ±0.5 year for both sexes from Chisinau to ±3.2 years in males from Basarabeasca. Life expectancy at birth is higher than that at the national level only in six regions out of 35 for males and in 12 regions for females.
Figure 1 shows the maps of life expectancy at birth by sex. Life expectancy values are categorized into five categories by the “Jenks” optimization method. For both sexes, the high-est and high values of life expectancy are observed in some northern regions and in Chisinau that are defined as the leading regions. In males, high values of e0 are also observed in Anenii Noi. The regions with the lowest and low life ex-pectancy defined as the lagging regions are located mainly in the central part of the country. A few southern regions that are adjacent to the Centre (Leova, Cimislia, Basarabeasca and Cantemir) also belong to the lagging regions. The near-est to the capital regions (first-order neighbours) have low values of life expectancy with two exceptions (Anenii Noi for both sexes and Ialoveni in males), while those of the second order have the lowest values of life expectancy. The regions with the lowest values of life expectancy, the most lagging regions, form the belt of high mortality. As one moves to the
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North or to the South of the country, the situation amelio-rates gradually (stagnating regions), and in the most remote northern regions, life expectancy even approaches the level observed in the capital, especially in females. This division of regions into leading (North, capital) and lagging (Centre) can be traced and across age groups, although for older ages (65+) the belt of high mortality becomes less marked (fig. 1).
Contribution of mortality by age groups (less than 1, 1-19, 20-44, 45-64 and 65+) to the differences between e0 in Moldova and its each region varies by sex. In males from the first three leading regions (Chisinau, Briceni and Edinet), low mortality among young (20-44) and mature (45-64 years old) adults accounts for 60-80% of life expectancy gains. The opposite situation is observed in the lagging regions where high mortality at these two age groups explains the lion’s share of life expectancy losses (up to 90% in Cimislia). At the same time, the impact of older age groups among males is of less importance. On the contrary, among females, mortality at mature and older adult age groups contributes the most to the regional mortality differentiation.
At the level of main groups of causes of death (fig. 2), life expectancy differentiation in Moldova is largely explained by diseases of the circulatory system, diseases of the digestive system and external causes of death (in males). More than half of male life expectancy gains in Chisinau as compared to the national level is explained by cardiovascular diseases and external causes of death (1.9 out of 3.2 years). It is interesting to note that the positive contribution of external causes of death is registered only in the capital of the country, while in other regions, even with high life expectancy, it is either close
to zero or negative. In females, the positive / negative im-pact of cardiovascular mortality is more pronounced across leading / lagging regions as compared to males. Females liv-ing in the capital gain 2.9 years as compared to the national level mostly due to lower mortality from cardiovascular dis-eases (60% of the total gain) and digestive diseases (20%). The similar situation for females, even in a lesser extent, is observed in the northern regions like Briceni or Edinet. On the contrary, females from the most lagging regions suffer much more from cardiovascular diseases and diseases of the digestive system. The impact of other main groups of causes of death, including neoplasms that occupy the second place in cause-specific mortality structure at the national level, is of minor importance. The municipality Balti seems to be the only exception concerning neoplasms with an unusually big as compared to other regions negative contribution for both sexes.
Decomposition of the difference in life expectancy at birth between the most lagging regions and the most leading regions by age and causes of death can help to better clarify the most affected population subgroups. The municipality Chisinau was selected as the most leading region where 24% of female and 23% of male population live (e0 in males is 71.6 years and e0 in females is 79.2 years). Since the belt of high mortality is more extended for life expectancy at age 25 or 45 than that at birth, the selection of the most lagging regions was based on the maps produced for e25. In eleven regions with the lowest male e25 (less than 42.9 years), 21% of male population live. 16% of female population live in nine regions with the lowest female e25 (less than 50.2 years).
Fig. 1. Life expectancy at birth by regions in the Republic of Moldova, 2012-2016, by sex
Source: author’s calculations based on NAPH and NBS data.Note: “Jenks” optimization method of classification was used.
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Figure 3 shows the contribution by age groups and seven main causes of death to the difference in e0 between the most lagging regions and the municipality Chisinau. The total difference in life expectancy at birth between these two ex-treme population subgroups constitutes -5.6 years in males and -5.7 years in females. The biggest losses are registered in mature male adults and older female adults. High mortal-ity from diseases of the circulatory system in the most lag-ging regions reduced e0 there by 1.8 years in males and by 3.1 years in females. In males, external causes of death (-1.6 year) and diseases of the digestive system (-0.9 year) are the next two main causes of death that deteriorate population health. In females, diseases of the digestive system consti-tute the second large group of causes of death that substan-tially increase the gap between the most lagging regions and Chisinau. It is interesting to note that this category of causes of death in females have almost the same negative impact as external causes of death in males (-1.4 years and -1.6 years, respectfully).
The contribution of mortality among children (0-14 years old) is -0.4 years for both sexes with the highest impact of “Other causes of deaths” mostly presented by perinatal causes of death. The young males (15-39 years old) from the most lagging regions lose 1.3 years (23%) of life expectancy at birth as compared to their counterparts from Chisinau. These losses are explained largely by external causes of death (-0.72 year). Among young female adults, the losses are much less pronounced (-0.6 years or 11%), but like in males they are mostly attributable to external causes of death. In males, the most affected age groups are mature adults (40-64 years old) whose high mortality accounts for 2.5 years or 45% of the overall losses. Although the negative contribu-tions are registered for all causes of death in mature male
adults, external causes of death and diseases of the digestive system explain more than half of all the losses. Moldovan females aged 40-64 years old from the most lagging regions lose on average 2.2 years of life expectancy compared to fe-males from Chisinau. The negative impact of diseases of the digestive system for this age and sex group (-1.0 year or 44%) is even larger than that of diseases of the circulatory system (-0.73 year or 32%). At older ages, diseases of the circulatory system play the leading role for both sexes. In females, this age and cause of death group constitutes -2.3 years, which accounts for 90% of the overall losses at older ages (-2.5 years) and for 40% of the overall losses (-5.7 years).
Fig. 3. Contributions by age and seven causes of death to the difference between life expectancy at birth in the most lagging
regions and the municipality Chisinau, 2012-2016, by sex
Source: author’s calculations based on NAPH and NBS data.Note: the most lagging regions have life expectancy at age 25 less than
42.9 years in males (11 regions) and less than 50.2 years in females (nine regions)
The results of the global spatial autocorrelation for all-cause and cause-specific mortality are presented in table 1. The Global Moran’s index is positive and statistically signifi-cant for overall mortality, diseases of the circulatory system,
Fig. 2. Contributions by seven causes of death to the differences between life expectancy at birth in Moldova and its 35
administrative units, 2012-2016, by sexSource: author’s calculations based on NAPH and NBS data
table 1. global Moran’s index and significance level for indirectly standardized death rates from seven major
causes, by sex, Moldova
No Cause of deathICD-10
codeMales Females
1. Infections A00-B99 0.148 (>0.05) 0.081 (>0.05)2. Neoplasms C00-D48 0.037 (>0.05) 0.128 (>0.05)3. Diseases of the circu-
latory systemI00-I99,
G450.309 (<0.01) 0.308 (<0.01)
4. Diseases of the respi-ratory system
J00-J98, U04
0.041 (>0.05) 0.235 (>0.05)
5. Diseases of the diges-tive system
K00-K93 0.438 (<0.001) 0.597 (<0.001)
6. External causes of death
V01-Y98, 0.204 (<0.05) 0.126 (>0.05)
7. Other causes D50-G44,G47-H95,L00-Q99
0.05 (>0.05) 0.00 (>0.05)
8. All causes A00-Y98 0.473 (<0.001) 0.438 (<0.001)
Source: author’s calculations based on NAPH and NBS data
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diseases of the digestive system and external causes of death (only in males). It means that in Moldova, there are clusters of regions with the similar mortality patterns, i.e., regions with high mortality are surrounded by regions with high mortality (“hot” spots), while regions with low mortality are surrounded by regions with low mortality (“cold” spots). Diseases of the digestive system mostly presented by liver cirrhosis at the national level have the highest values of the global spatial autocorrelation, especially for females. At the same time, diseases of the circulatory system for both sexes and external causes of death for males have a less strong im-pact on the inter-regional mortality differentiati.
Figure 4 shows the location of the “high-high” and “low-low” clusters for selected causes of death on the map for both sexes. Depending on the cause of death, the location of these “hot” and “cold” spots on the map may differ. The division between the leading North and the lagging Centre is par-ticularly impressive for liver diseases (Moran’s index = 0.59, p<0.001). For diseases of the circulatory system, “low-low” clusters were depicted in the North of the country (Briceni, Ocnita, Edinet and Riscani), while “high-high” clusters were found for a few central regions (Soldanesti, Rezina, Orhei). The similar division remains and for heart diseases (Moran’s index=0.29, p<0.05). However, for cerebrovascular diseases the most affected regions are situated in the South rather than
in the Centre (Moran’s index=0.3, p<0.001). Furthermore, the Moldovan population from the South of the republic seems to suffer much more from “Endocrine, nutritional and metabolic diseases” (Moran’s index=0.24, p<0.05) most-ly presented by diabetes mellitus as compared to the rest of the country. “Hot” spots for external causes of death were depicted for Hancesti, Leova, Cimislia and Soldonesti and a “cold” spot for the municipality Chisinau. Then, the munici-pality Chisinau and its first-order neighbours form the clus-ter of “low-low” mortality for certain conditions originating in the perinatal period, while in Soldanesti and Rezina, the situation is opposite (Moran’s index=0.22, p<0.05).
Although the global Moran’s index is not statistically significant for the whole category of neoplasms, the spatial autocorrelation analysis at the level of more detailed causes revealed certain specific geographical patterns. Thus, in the South of the country (Basarabeasca, Gagauzia, Cahul, Cantemir, Cimislia, Taraclia), the clusters of “high-high” mortality were detected for malignant neoplasms of stomach (Moran’s index=0.19, p<0.05) and urinary organs (Moran’s index=0.18, p<0.05). Another interesting finding is that clus-ter of “high-high” mortality from HIV infection was depict-ed for the municipality Balti and its first-order neighbours (Riscani, Glodeni, Singerei) (Moran’s index=0.26, p<0.001).
Fig. 4. LISA cluster maps of mortality from selected causes of death in Moldova, both sexes, 2012-2016Source: author’s calculations based on NAPH and NBS data
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Discussion
Before discussing the main finding of this study, it is necessary to consider its data quality issues and limitations. Studies on regional data analysis may be complicated by the variation in regional coding practices of causes of death. It is of particular importance for those countries where the sys-tem of codification of causes of death is decentralized. Since in Moldova the codification of causes of death is centralized, this problem can be omitted. Then, the statistical continuity of death time series is complicated by periodic revisions of the classification of causes of death and by the changes in coding practices between two classifications. In this study, were used the average mortality data under the 10th revision of ICD-10 for the years 2012-2016. The analysis was per-formed at the level of the broad groups of causes of death, which is a common measure to avoid discontinuities in time series. The small proportion of ill-defined causes of death (less than 1%) for this period does not affect the results of the study.
The main limitation of the study is the selected time peri-od (2012-2016). To avoid a possible systematic bias that can be induced by intensive internal and international migration flows, was opted the period around the last census conduct-ed in May, 2014. The results of the 2014 census were adjusted by the National Bureau of Statistics due to the incomplete coverage of the population in the municipality Chisinau where it was only 59% [21]. However, since the overall and cause-specific mortality trends in Moldova at the national level have not changed drastically over the last decade, apart from the year 2020 affected by COVID-19 pandemic, it can be assumed that the presented regional mortality patterns correspond and to the period until 2020. The comparative analysis of regional mortality patterns around 2014 census to the period around 2004 census is a future research direction of the study.
In this study, were explored the current regional patterns of all-cause and cause-specific mortality in Moldova. The analysis of all-cause mortality suggests that the inter-regional differences exist between the municipality Chisinau and the North of the country on the one hand and the central regions on the other hand. The regions with the lowest life expectan-cy values form the belt of high mortality which stretches from Soldanesti to Cantemir. It is interesting to note that most of these regions are the second-order neighbours to the capital of the country. It was surprising to see that in some regions that are the first-order neighbours to Chisinau, the popula-tion health is much worse as compared to the capital. Even for such a small country like Moldova, with the total popula-tion of 2.6 million, the proximity to the capital does not ame-liorate the population’s health, but, on the contrary, worsens the situation. On the other hand, the studies on the regional mortality differentiation in the FSU countries have similar re-sults. For example, in Belarus, the inter-regional overall mor-tality disparities are defined by the differences between the capital and the rest of the country [12].
The spatial analysis of cause-specific mortality patterns revealed that only three broad groups of causes of death play
a statistically significant role in the inter-regional mortality differentiation: diseases of the digestive system, diseases of the circulatory system and external causes of death in males. The north-centre gradient in all-cause mortality is largely ex-plained by diseases of the digestive system, liver cirrhosis in particular, both in males and females. The regions involved in the cluster of “high-high” mortality from liver cirrhosis (Soldanesti, Rezina, Telenesti, Orhei, Calarasi, Straseni and Nisporeni) experience serious health problems related to an excessive alcohol consumption. Previous studies showed that chronic consequences of alcohol consumption such as liver cirrhosis had an enormous influence on the Moldovan population’s health, especially for females [9]. Unrecorded alcohol consumption dominated by home-made wine plays an important role here. Thus, in Moldova, the consumption of home-made wine constitutes about 30% of the total alco-hol consumed, without any significant difference by sex (it is even slightly higher for females). Furthermore, home-made wine consumption is especially popular among Moldovan females aged 45-69 years old, for whom it accounts for about 45% of the total alcohol consumed as compared to 35% for males in the corresponding age group [22].
The results of the spatial analysis suggest that diseases of the circulatory system also contribute to the formation of the north-centre mortality gradient, although to a much less extent as compared to diseases of the digestive system. We explain it by the fact that “high-high” mortality clusters for cerebrovascular diseases were detected in the South of the country, while for heart diseases – in the Centre. Finally, external causes of death account for mortality differentia-tion between the municipality Chisinau and some central regions.
Conclusions
A statistically significant gradient in all-cause mortality between the northern and central regions was found. At the level of causes of death, liver cirrhosis plays the most crucial role in this inter-regional mortality pattern, especially for fe-male population. The results of the present study point to the existence of different drinking habits of the Moldovan popu-lation between the North and the Centre of the country. The central regions that form the cluster of “high-high” mortality from liver cirrhosis should be considered as primary targets for antialcohol policies.
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10. Poniakina S. Causes and evolution of mortality disparities across regions in Ukraine [dissertation] [Internet]. Paris: Université Paris 1 Panthéon-Sorbonne; 2014 [cited 2021 Apr 12]. Available from: https://tel.archives-ouvertes.fr/tel-02187996/file/2014-12-PONIAKINA-cau.pdf
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13. Grigoriev P, Jasilionis D, Shkolnikov VM, Meslé F, Vallin J. Spatial vari-ation of male alcohol-related mortality in Belarus and Lithuania. Eur J Public Health. 2016;26(1):95-101. doi: 10.1093/eurpub/ckv060.
14. Chiang CL; World Health Organization. Life table and mortality analysis [Internet]. Geneva: WHO; 1979 [cited 2021 Mar 23]. Available from: https://apps.who.int/iris/bitstream/handle/10665/62916/15736_eng.pdf;sequence=1
15. Altman DG, Machin D, Bryant TN, Gardner MJ, editors. Statistics with confidence: confidence intervals and statistical guidelines. 2nd ed. London: BMJ; 2000.
16. Andreev EM, Shkolnikov VM. An Excel spreadsheet for the decompo-sition of a difference between two values of an aggregate demographic measure by stepwise replacement running from young to old ages [In-ternet]. Rostock: Max Planck Institute for Demographic Research; 2012 [cited 2021 Apr 12]. Available from: https://www.demogr.mpg.de/papers/technicalreports/tr-2012-002.pdf. doi: 10.4054/MPIDR-TR-2012-002.
17. Riffe T. Package ‘DemoDecomp’. Decompose Demographic Functions [R package version 1.0. 1]. 2018. Avilable from: https://cran.r-project.org/web/packages/DemoDecomp/DemoDecomp.pdf
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21. Valcov V. Principalele rezultate ale Recensământului Populației și al Locuințelor (RPL) 2014 [The main results of the 2014 census] [Internet]. Chisinau, 2017 Mar 31 [cited 2020 Feb 26]. Available from: https://statistica.gov.md/public/files/Recensamint/Recensamint_pop_2014/Rezultate/RPL.pdf
22. World Health Organization. Prevalence of noncommunicable disease risk factors in the Republic of Moldova, STEPS 2013 [Internet]. Copen-hagen: WHO Regional Office for Europe; 2014. 221 p. [cited 2020 Feb 10]. Available from: http://www.euro.who.int/en/countries/republic-of-moldova/publications/prevalence-of-noncommunicable-disease-risk-factors-in-the-republic-of-moldova.-steps-2013-2014
Author’s ORCID iD and academic degreesOlga Penina, MD, PhD, Associate Professor – https://orcid.org/0000-0002-3884-2751
Author’s contributionOP conceptualized the idea, conducted literature review, collected the data, interpreted the data, and wrote the manuscript.
FundingThe study was carried out in the framework of the Project 21.00208.8007.02/PD “Socio-demographic and regional mortality disparities in the Republic of Moldova”.
Ethics approval and consent to participateNo approval was required for this study.
Conflict of InterestsThere is no known conflict of interests to declare.
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I. Sirbu et al. Moldovan Medical Journal. October 2021;64(4):62-65 ORIGINAL ReseARch
https://doi.org/10.52418/moldovan-med-j.64-4.21.11UDC: 616.98:578.834.1
Clinical and paraclinical manifestations in patients suspected of being infected with COVID-19
*Ion Sirbu, Sergiu Matcovschi
Discipline of Clinical Synthesis, Department of Internal MedicineNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Ion Sirbu, e-mail: [emailprotected] received August 04, 2021; revised manuscript October 01, 2021; published online October 12, 2021
AbstractBackground: It was intended to study the structure of the symptoms in patients suspected of having SARS-CoV-2 virus infection, as well as to find any correlations between the clinical, paraclinical and radiological manifestations in positive versus negative patients, in order to further facilitate the diagnosis and triage of patients.Material and methods: 101 patients seeking medical attendance at the COVID-19 Triage Center in Chisinau have been examined, presenting various respiratory symptoms. The frequency of symptoms and the results of the paraclinical investigations were evaluated based on the results of the PCR tests for SARS-CoV-2 infection and the assessment of correlations (Pearson).Results: Out of 101 subjects, 50 tested SARS-CoV-2 positive, and the remaining 51 – negative. The clinical manifestations of SARS-CoV-2 suspects were as follows: fatigue – 72%, sweating – 54%, chills – 52%, fever – 49%, subfebrility – 39%, myalgias and arthralgias – 37%, cough – 35% (sputum – 17% and hemoptysis – 2%), dyspnea – 34%, chest pain – 23%, anosmia – 12%, headache – 11%, dyspeptic syndrome – 8%. Infiltrates on chest radiography were found in 22% of cases.A weak inverse correlation (R = -0.22, P <0.05) between the leukocyte count and SARS-CoV-2 test results was found. An average direct correlation between the presence of fever (R = 0.36, P <0.05) and a positive COVID-19 test was also noticed.Conclusions: Certain symptoms such as anosmia were more commonly seen in patients with positive COVID-19 tests. The absence of pulmonary infiltrates and the presence of dyspnoea have been negative predictive factors for COVID-19. Leukopenia has been noticed only in SARS-CoV-2 positive patients. Subfebrility has not shown a predictive significance of COVID-19.Key words: COVID-19, dyspnea, leukopenia, anosmia.
Cite this articleSirbu I, Matcovschi S. Clinical and paraclinical manifestations in patients suspected of being infected with COVID-19. Mold Med J. 2021;64(4):62-65.https://doi.org/10.52418/moldovan-med-j.64-4.21.11.
Introduction
COVID-19 is a respiratory condition where pulmonary manifestations are the main clinical presentations of the di-sease. According to the reported studies, SARS-CoV-2 in-fection is not limited to the respiratory system, it does affect other organs, as well. Renal dysfunction, gastrointestinal complications, liver failures, cardiac manifestations, neuro-logical abnormalities and hematological manifestations are among the reported extrapulmonary features [1].
Studies report a timeframe of 6 to 41 days from the onset of COVID-19 symptoms until death, with a median of 14 days [2].
The most commonly reported symptoms at the onset of COVID-19 disease are fever, cough, and fatigue, while other symptoms include the presence of sputum, headache, he-moptysis, diarrhea, dyspnea, and lymphopenia [3-5].
Laboratory tests showed leukopenia, of which 70% were neutrophils. Additionaly, increased values of blood C-reactive protein were observed. A high sedimentation rate
of erythrocytes and elevated D-dimers have also been found [6].
Studies report the presence of various common symp-toms for many viral respiratory diseases such as: fever – 83%, cough – 82%, dyspnea – 31%, myalgia – 11%, confusion – 9%, headache – 8%, sore throat – 5%, rhinorrhea – 4%, chest pain – 2%, diarrhea – 2%, nausea and vomiting – 1% [7].
Therefore, the early diagnosis of SARS-CoV-2 infection has become a challenge for the clinician, and the delayed re-sults of the PCR tests, as well as the presence of false-nega-tive results, have made it even more difficult to establish the diagnosis. Currently there is no test with a specificity and sensitivity of 100% [8].
Thus, it was intended to study the structure of symptoms in patients suspected of having the SARS-CoV-2 virus in-fection, and to find the correlations between the clinical and paraclinical manifestations in positive versus negative pati-ents, in order to further facilitate the diagnosis and triage of patients.
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ORIGINAL ReseARch I. Sirbu et al. Moldovan Medical Journal. October 2021;64(4):62-65
Material and methods
The current study involved 101 patients (51 men and 50 women), suspected of having the SARS-CoV-2 infecti-on, who sought medical attendance at the Covid-19 Center in Chisinau between April and July 2020, in a state of mild and average severity, presenting various respiratory symp-toms. The patients’ age varied between 18 and 84 (the ave-rage age being 49.3 years). The disease history was collected and a paraclinical examination was performed (full blood count, chest radiography, ECG, SARS-CoV-2 PCR test). The frequency of symptoms was assessed according to the results of the PCR tests for SARS-CoV-2 and the assessment of the correlations (Pearson) between clinical and paraclinical data.
The statistical data was processed using the SPSS pro-gram, with a value of „p” less than 0.05 being considered sta-tistically significant.
Results
51 negative and 50 positive tests for SARS-CoV-2 were obtained. The clinical manifestations (in descending order) of SARS-CoV-2 positive patients were as follows: fatigue – 72%, sweating – 54%, chills – 52%, fever – 49%, subfebrility – 39%, myalgias and arthralgias – 37%, cough – 35% (spu-tum – 17% and hemoptysis – 2%), dyspnea – 34%, chest pain – 23%, anosmia – 12%, headache – 11%, dyspeptic syndro-me – 8% (fig. 1). The presence of infiltrates on chest radio-graphy was identified by performing a chest radiography in 21 patients, of which 12 patients were COVID-19 positive and 9 had negative SARS-CoV-2 tests.
3427 26 25 21 19 19
10 013 9 10 5
38
27 2614 20 18 16
72
2114 2
3
Covid positive Covid negative
Fig. 1. Structure of symptoms according to the results of the SARS-CoV-2 test
The number of days from the onset of symptoms until testing varied from 1 to 60 days (average length 7.08 days), the results being different depending on the test result. Thus, it was observed that the earlier the onset of symptoms, the greater the chances of testing positive for COVID-19 (fig. 2).
A great number of the suspects presented with multiple comorbidities, making it more difficult to establish the dia-gnosis, many symptoms being similar for other pathologies (fig. 3).
In 55% of the patients with a negative test, at least one concomitant pathology has been detected. And in those with positive results, multiple morbidity was detected in 58% of cases.
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Fig. 2. the number of days from the disease onset
37 39
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Normal value of leukocytes Elevated level of leukocytes Low level of leukocytes
Fig. 3. Structure of multiple morbidities in COVID-19 suspects
The O2 saturation of the patients was measured on ad-mission, thus values between 83% and 100% were obtai-ned (the average SaO2 being 96.83%). A weak correlation was measured between the saturation on admision and the SARS-CoV-2 test result, being statistically insignificant (R = 0.06; p> 0.05).
A full blood count was performed in all patients, leuko-cyte values and erythrocyte sedimentation rate (ESR) were also investigated. A weak, statistically significant inverse cor-relation was found between the leukocyte numbers and the SARS-CoV-2 test results (R = -0.222; p <0.05), (fig. 4).
Lymphocyte values were also assessed compared to the COVID-19 test results. No correlation was determined be-tween the lymphocyte count and SARS-CoV-2 test results (fig. 5).
37 39
1429
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Negative Positive
Normal value of leukocytes Elevated level of leukocytes Low level of leukocytes
Fig. 4. COVID-19 test results and leukocyte values
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I. Sirbu et al. Moldovan Medical Journal. October 2021;64(4):62-65 ORIGINAL ReseARch
28 30
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16 14
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Negative Positive
Normal value of lymphocytes Elevated value of lymphocytesLow value of lymphocytes
Fig. 5. COVID-19 test results and lymphocyte values
The correlation between the SARS-CoV-2 test results and the ESR values was also measured, obtaining a weak direct correlation, being statistically insignificant (R = 0.04; p> 0.05).
A mean direct correlation (R = 0.41, P <0.05) was found between dyspnea and the presence of pulmonary infiltrates on chest radiography in SARS-CoV-2 positive patients and its absence in patients with negative test results (R = 0.18, P> 0.1).
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85 6
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With dyspnea Without dyspnea
Fig. 6. Correlation between dyspnea and pulmonary infiltrates based on the test results
An average direct correlation was noticed between fe-ver (R = 0.31, P <0.05) and pneumonia in the SARS-CoV-2 positive patients, with its absence in subjects with negati-ve test results. An average direct correlation between fever (R = 0.36, P <0.05) and a positive COVID-19 test result was also observed. Subfebrility was found to be of approximate-ly the same frequency in patients with positive and negative tests for COVID-19.
Discussion
Within the current observational study based on data gained from 101 patients suspected of having a COVID-19 infection, the presence of many symptoms common for res-piratory tract infections was noticed, the most common of them being fever, signs of general intoxication and cough. Also, some symptoms such as anosmia have been detected much more frequently in patients with positive SARS-CoV-2
test results. Other studies in the field have shown similar re-sults [9].
Furthermore, dyspnea and chest pain were more com-mon in patients with negative SARS-CoV-2 test results. This phenomenon could be explained by the presence of multiple concomitant pathologies that were also suspected, such as is-chemic heart disease, cardiac failure or pulmonary obstruc-tive pathologies [10].
Low leukocyte values in suspect patients could be a strong predictor of SARS-CoV-2 infection, as all 9 patients with le-ukopenia were diagnosed with COVID-19. Leukocytosis has been found more frequently in patients with negative test re-sults, which could be explained by exacerbation of chronic conditions, such as asthma, chronic obstructive pulmonary disease or some acute conditions such as pyelonephritis.
The values of lymphocytes in suspect patients was of no significance in establishing the presumptive diagnosis of COVID-19, as lymphopenia and lymphocytosis were also present in patients with negative test results. These results re-fer to patients with a mild and average severity of COVID-19 [11].
Dyspnea was more common in patients with negative SARS-CoV-2 tests, being present in patients who also had radiological imaging findings, but the presence of dyspnea without radiological changes was also a negative predictor of COVID-19. Fever and subfebrility were found in 80% of patients.
Conclusions
1. Anosmia was found 5 times more frequently in test-positive patients, thus being a strong predictor in a suspect case of COVID-19. Other symptoms were found with ap-proximately the same frequency in patients with negative COVID-19 test results.
2. Dyspnea without any lung damage is 3.6 times more common in patients with negative COVID-19 test results.
3. Lung damage was 1.3 times more common in patients with positive versus negative test results.
4. 33% of patients with COVID-19 and pneumonia had no dyspnea.
5. Leukopenia was found in 9% of suspects and only in patients with positive SARS-CoV-2 test results.
6. Fever was 1.8 times more common in patients with positive COVID-19 test results; however, subfebrility was found in a ratio of 1:1 within the study group.
References1. Behzad S, Aghaghazvini L, Radmard AR, Gholamrezanezhad A.
Extrapulmonary manifestations of COVID-19: Radiologic and clinical overview. Clin Imaging. 2020 Oct;66:35-41. doi: 10.1016/j.clinimag.2020.05.013.
2. Wang W, Tang J, Wei F. Updated understanding of the outbreak of 2019 novel coronavirus (2019-nCoV) in Wuhan, China. J Med Virol. 2020;92(4):441-447. doi: 10.1002/jmv.25689.
3. Ren LL, Wang YM, Wu ZQ, Xiang ZC, Guo L, Xu T. Identification of a novel coronavirus causing severe pneumonia in human: a de-scriptive study. Chinese Med J. 2020;133(9):1015-1024. doi: 10.1097/CM9.0000000000000722.
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4. Huang C, Wang Y, Li X, Ren L, Zhao J, Hu Y. Clinical features of pa-tients infected with 2019 novel coronavirus in Wuhan, China. Lancet. 2020;395(10223):497-506. doi: 10.1016/S0140-6736(20)30183-5.
5. Carlos WG, Dela Cruz CS, Cao B, Pasnick S, Jamil S. Novel wuhan (2019-nCoV) coronavirus. Am J Respir Crit Care Med. 2020;201(4):7-8. doi: 10.1164/rccm.2014P7.
6. Lei J, Li J, Li X, Qi X. CT imaging of the 2019 novel coronavirus (2019-nCoV) pneumonia. Radiology. 2020;295(1):18. doi: 10.1148/radiol.2020200236.
7. Chen N, Zhou M, Dong X, Qu J, Gong F, Han Y, et al. Epidemiological and clinical characteristics of 99 cases of 2019 novel coronavirus pneumonia in Wuhan, China: a descriptive study. Lancet. 2020;395(10223):507-513. doi: 10.1016/S0140-6736(20)30211-7.
8. Kost GJ. The impact of increasing disease prevalence, false omissions, and diagnostic uncertainty on coronavirus disease 2019 (COVID-19) test performance. Arch Pathol Lab Med. 2021;145(7):797-813. doi: 10.5858/arpa.2020-0716-SA.
9. Yang X, Yu Y, Xu J, et al. Clinical course and outcomes of critically ill patients with SARS-CoV-2 pneumonia in Wuhan, China: a single-centered, retrospective, observational study. Lancet Resp Med. 2020 May;8(5):475-481. doi: 10.1016/S2213-2600(20)30079-5.
10. Ejaz H, Alsrhani A, Zafar A, Javed H, Junaid K, Abdalla AE, et al. COVID-19 and comorbidities: deleterious impact on infected patients. J Infect Public Health. 2020;13(12):1833-1839. doi: 10.1016/j.jiph.2020. 07.014.
11. Gustine JN, Jones D. Immunopathology of Hyperinflammation in COVID-19. Am J Pathol. 2021;191(1):4-17. doi: 10.1016/j.ajpath.2020. 08.009.
Authors’ ORCID iDs and academic degrees Ion Sirbu, MD, PhD Applicant – https://orcid.org/0000-0003-1072-4371Sergiu Matcovschi, MD, PhD, Professor of Pneumology – https://orcid.org/0000-0003-1623-930X
Authors’ contributions IS conceptualized the project and drafted the first manuscript. SM interpreted the data and critically revised the manuscript. Both authors revised and critically approved the final version of the manuscript.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy. The trial was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe study was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy, proceedings No 04 of 16.02.2021.
Conflict of Interests No competing interests were disclosed.
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O. Gavriliuc et al. Moldovan Medical Journal. October 2021;64(4):66-68 ORIGINAL ReseARch
Introduction
Parkinson’s disease is one of the most common neu-rodegenerative diseases. Around the world, estimates of Parkinson’s disease (PD) incidence range from 5 to 35 new cases per 100000 individuals per year [1]. In recent years, it has become apparent that PD has a wide range of non-motor features, including autonomic dysfunction, sleep disorders, hyposmia, and, as well as cognitive impairment [2-4].
Progressive degeneration of dopaminergic neurons in substantia nigra pars compacta is known to be the major neuropathological feature of PD. For the past 50 years, the most effective symptomatic treatment has been the administration of dopaminergic replacement drugs, especially levodopa [5]. However, later was observed that there are many symptoms of PD that do not respond to levodopa, such as axial symptoms, cognitive impairment or dementia [6]. In this context, recent evidence suggests that the degeneration of adrenergic, serotonergic, glutamatergic and cholinergic neurons also plays an important role [7].
According to recent studies, approximately 36% of PD patients develop dementia after 4 years of follow-up, and 83 percent have dementia after 20 years of follow-up, which
https://doi.org/10.52418/moldovan-med-j.64-4.21.12UDC: 616.858-085.214
Low-dose anticholinergic therapy causes cognitive impairment in Parkinson’s disease patients
*1Olga gavriliuc, 2Alexandru Andrusca, 3Lilian Popil, 3Mihail gavriliuc1Scientific Laboratory of Functional Neurology, Diomid Gherman Institute of Neurology and Neurosurgery
2Department of Neurosurgery, 3Department of NeurologyNicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
Authors’ ORCID iDs, academic degrees and contributions are available at the end of the article
*Corresponding author – Olga Gavriliuc, e-mail: [emailprotected] Manuscript received July 29, 2021; revised manuscript October 03, 2021; published online October 12, 2021
AbstractBackground: Before L-Dopa’s discovery, anticholinergic drugs were among the first treatments for Parkinson’s disease. Only now trihexyphenidyl (THP) is approved to treat unresponsive L-dopa tremors in young, cognitively unaffected Parkinson’s disease patients. However, there are no specific recommendations for disease duration, medication dose, or cognitive status. In low-income countries, THP is still frequently used in Parkinson’s disease patients with tremor. The objective of the current study was to evaluate cognitive performance in Parkinson’s disease patients receiving a low dose of THP.Material and methods: The study was performed on nineteen PD patients, nine of whom were on THP. All patients completed MoCA cognitive assessment. The patients were matched depending on their age, disease severity based on UPDRS III and duration of the disease.Results: The THP patients were taking an average dose of 3.3 mg of THP daily for an average of 1.8 years. There were no statistical differences between THP patients and non-THP patients in age (64.8± 4.8 vs 67.2±6.9, p=0.4), UPDRS III (32.1±8.9 vs 41.5±20.6, p=0.2) and disease duration (6.2±4.9 vs 7.0 ± 4.0, p=0.7). The THP patients had lower cognitive performance, with a total MoCA of 19.22 ± 3.3 vs. non-THP patients 24.2±3.0, p=0.003.Conclusions: In Parkinson’s disease patients, even a low dose of THP causes significant cognitive loss.Key words: Parkinson’s disease, cognition, dementia, anticholinergic.
Cite this articleGavriliuc O, Andrusca A, Popil L, Gavriliuc M. Low-dose anticholinergic therapy causes cognitive impairment in Parkinson’s disease patients. Mold Med J. 2021;64(4):66-68. https://doi.org/10.52418/moldovan-med-j.64-4.21.12.
is thought to be due to cholinergic deficiency [8]. As a result, cholinergic deficiency plays an important role in the pathophysiology and bio-cellular mechanisms of Parkinson’s disease [9]. Cholinergic neurons, which are widely distributed throughout the brain parenchyma, play an important role in a variety of brain processes, including cognitive functions [6, 7]. According to a recent study, patients with dementia-free Parkinson’s disease had moderate cholinergic dysfunction, whereas those with dementia associated with Parkinson’s disease had severe cholinergic deficiency in various cortical regions [10].
One of the first Parkinson’s disease treatments were anticholinergic drugs [11]. Currently, anticholinergics are approved for unresponsive L-dopa tremors in young and cognitively unaffected patients and because of a low price it is still widely used in low-income countries [12]. Regardless, a relevant issue arises because people with Parkinson’s disease may have a subclinical cholinergic deficiency and the use of anticholinergic drugs may result in faster cognitive deterioration due to cholinergic system suppression, as well as a relatively unknown risk, the risk of long-term drug dependence. The goal of this study was to evaluate cognitive performance in Parkinson’s disease patients taking a low
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dose of trihexyphenidyl (THP) and patients who did not take any anticholinergic medications.
Material and methods
The study included 19 patients divided into two groups: 9 patients with Parkinson’s disease who received trihexyphe-nidyl daily and 10 patients with Parkinson’s disease who did not receive trihexyphenidyl at all. The two groups of patients were similar in terms of age and disease severity. The Unified Parkinson’s Disease Rating Scale (UPRDS) part III was used to assess disease severity, and the Montreal Cognitive Assessment Test (MOCA) was used to compare cognitive status.
The statistical analysis was performed using SPSS, version 23.0. Data are expressed by mean and standard deviation in the case of normal distribution and median with IQR for variables that are non-normally distributed. The differences between the two groups of patients were analyzed with the T or Mann-Whitney test, as appropriate. In all analyses, p values <0.05 were considered significant.
The current research is a part of a larger project for research on PD that was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (protocol No 44 of 12.04.2018).
Results
Patients were divided into two groups: 9 Parkinson’s disease patients who received trihexyphenidyl (THP group) were compared to 10 Parkinson’s disease patients who did not receive trihexyphenidyl (non-THP group). Patients in the THP group received this medication for an average of 1.8 years, at a daily dose of 3.3 mg THP. The patients in the two groups did not differ in terms of age, disease duration, disease severity, as measured by UPDRS III. Patients’ cognitive ability, as measured by the MoCA test, was statistically significant between patient groups (tab. 1).
Question number 3 of the MoCA test (attention) showed the largest statistical difference, so that patients in the THP group had an average value of 1.56 ± 0.5 compared to patients in the non-THP group, who had an average value of 2.7 ± 0.5, so the difference is statistically significant, p = 0.001. Among the separate items of UPDRS III only the kinetic tremor of the left upper limb was significantly different between both groups (p = 0.04), patients in the non-THP group being more affected.
table 1. Demographic and clinical characteristics of both patients’ groups
THP (n=9) non-THP (n=10) p
Age (years) 64.8 ± 4.8 67.2 ± 6.9 0.4
Disease duration (years)* 6.2 ± 4.9 7.0 ± 4.0 0.5
UPDRS III 32.1 ± 8.9 41.5 ± 20.6 0.2
MoCA total 20 (5) 25 (6) 0.003
THP – group of patients administering trihexyphenidyl; non-THP – group of patients who did not administer tri-hexyphenidyl. Data are presented as mean ± standard devia-tion for all except marked data with *, presented as median (IQR). The value of p was calculated with the student t test, except for the marked data with *, which was calculated with the Mann-Whitney test due to abnormal data distribution. UPDRS III – the motor part of the Parkinson’s disease dis-ability scale. MoCA – Montreal cognitive assessment.
Discussion
There’s no doubt that PD causes cognitive impairment, which leads to dementia and a higher mortality and mor-bidity rate. At the ten-year follow-up, 60% of patients are diagnosed with dementia; at the twenty-year over 83% are diagnosed with the disease. Anticholinergic medications di-minish attentional function, which is most typically associ-ated with alertness, and causes recent memory problems [8, 13]. Therefore, even if anticholinergics provide a benefit in terms of motor function, there is a high chance that the pa-tients may acquire a cognitive issue earlier in the course of the disease. We found in this study that even a small daily dose of THP leads to a worse cognitive outcome.
In patients with PD, the density of cholinergic neurons is reduced in all cortical areas [14]. Degeneration of cholinergic neurons, however, is only one of the mechanisms underlying cognitive impairment, according to recent studies [7, 9]. Previous clinical observations with anticholinergic drugs, which were the first symptomatic treatment for patients with PD before the discovery of levodopa, led to the hypothesis that both cholinergic and dopaminergic signalling systems must be in balance for the striatum to function normally in movement control [11]. Anticholinergic medicines are thought to attenuate the increased striatal cholinergic tone generated by the loss of dopamine in PD patients, restoring the balance between these two signalling systems to some extent [6]. However, it is still unclear whether and how cholinergic disorders contribute to motor and non-motor symptoms. The broad degradation of cholinergic neurons in most patients with PD causes cognitive deficits at some point in the disease and long-term THP treatment has the potential to cause irreversible alterations in the brain, according to the findings of experimental studies on mice [15].
The prefrontal cortex and the frontal basal nuclei, which are severely affected by cholinergic deficiency, are also implicated in the control of gait. Gait and balance can only be coordinated with cognitive function [16, 17]. As a result, THP could affect independence and quality of life by exacerbating gait and balance problems.
Additionally, THP use is often accompanied by physical symptoms, such as dilated pupils, flushed skin, constipation, as well as rapid heart rate and ataxia [18]. Giving up this drug is extremely difficult, especially if a cognitive deficit has already developed. International guidelines recommend the use of THP only in young PD patients, without cognitive impairment, who have a low risk of developing dementia.
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However, younger patients have a higher risk of developing drug abuse with THP.
Conclusions
As a result, it can be concluded that there are no clear data on the age of individuals who would benefit and what amount of THP would be effective for the treatment of PD motor symptoms without causing irreversible effects. No doubt this is a serious public health concern because THP is commonly used in the Republic of Moldova, and chronic THP use causes cognitive deterioration, dependence, and abuse even in a low dose.
References1. Marek K, Jennings D, Lasch S, et al. The Parkinson Progression Marker
Initiative (PPMI). Prog Neurobiol. 2011;95(4):629-635. https://doi.org/10.1016/j.pneurobio.2011.09.005.
2. Bosboom JL, Stoffers D, Wolters EC. Cognitive dysfunction and dementia in Parkinson’s disease. J Neural Transm. 2004;111(10-11):1303-1315. https://doi.org/10.1007/s00702-004-0168-1.
3. Poewe W, Seppi K, Tanner CM, Halliday GM, Brundin P, Volkmann J, Schrag AE, Lang AE. Parkinson’s disease. Nat Rev Dis Prim. 2017;3:1-21. https://doi.org/10.1038/nrdp.2017.13.
4. Ascherio A, Schwarzschild MA. The epidemiology of Parkinson’s disease: risk factors and prevention. Lancet Neurol. 2016;15(12):1257-1272. https://doi.org/10.1016/S1474-4422(16)30230-7.
5. Carranza M, Snyder MR, Davenport Shaw J, Zesiewicz TA. Parkinson’s disease: a guide to medical treatment. Torino: SEEd; 2013. 354 p.
6. Hilker R, Thomas AV, Klein JC, Weisenbach S, Kalbe E, Burghaus L, et al. Dementia in Parkinson’s disease: functional imaging of cholinergic and dopaminergic pathways. Neurology. 2005;65(11). https://doi.org/10.1212/01.wnl.0000191154.78131.f6.
7. Ztaou S, Amalric M. Contribution of cholinergic interneurons to striatal pathophysiology in Parkinson’s disease. Neurochem Int. 2019;126:1-10. https://doi.org/10.1016/j.neuint.2019.02.019.
8. Williams-Gray CH, Evans JR, Goris A, Foltynie T, Ban M, Robbins TW, Brayne C, Kolachana BS, Weinberger DR, Sawcer SJ, Barker RA. The
distinct cognitive syndromes of Parkinson’s disease: 5 year follow-up of the CamPaIGN cohort. Brain. 2009;132(Pt 11):2958-2969. https://doi.org/10.1093/brain/awp245.
9. Tanimura A, Pancani T, Lim SAO, Tubert C, Melendes AE, Shen W, Surmeier DJ. Striatal cholinergic interneurons and Parkinson’s disease. Eur J Neurosci. 2018 May;47(10):1148-1158. doi: 10.1111/ejn.13638.
10. Gomperts SN. Lewy body dementias: dementia with Lewy bodies and Parkinson’s disease dementia. Continuum (Minneap Minn). 2016;22:435-463. doi: 10.1212/CON.0000000000000309.
11. Pillon B, Dubois B, Duchesne N, Masson H. Acute and long-term ad-ministration of anticholinergics in Parkinson’s disease: specific effects on the subcortico-frontal syndrome. Brain Cogn. 1999;40(2):289-313. doi: 10.1006/brcg.1999.1083.
12. Popil L, Gavriliuc O, Rotaru L, Gavriliuc M. Efectele tratamentului cu Trihexifenidil asupra funcției cognitive la pacienții cu boala Parkinson [Effects of trihexyphenidil treatment on cognitive function in patients with Parkinson’s disease: review article]. [Bull Acad Sci Moldova]. 2020;(3):27-33. Romanian.
13. Sasikumar S, Strafella AP. Imaging mild cognitive impairment and dementia in Parkinson’s disease. Front Neurol. 2020;11:1-8. https://doi.org/10.3389/fneur.2020.00047.
14. Deffains M, Adler A, Joshua M, Goldberg JA. Basal ganglia : acetylcho-line interactions and behavior. In: Reference module in neuroscience and biobehavioral psychology. Elsevier; 2017. https://doi.org/10.1016/B978-0-12-809324-5.02520-7.
15. Tanda G, Ebbs AL, Kopajtic TA, Elias LM, Campbell BL, Newman AH, Katz JL. Effects of muscarinic M1 receptor blockade on cocaine- induced elevations of brain dopamine levels and locomotor behavior in rats. J Pharmacol Exp Ther. 2007;321(1):334-344. https://doi.org/10.1124/jpet.106.118067.
16. Gavriliuc O, Andrusca A, Gavriliuc M. Clinical indicators of gait freez-ing in Parkinson’ s disease. Mold Med J. 2020;63(2):31-33. https://doi.org/10.5281/zenodo.3866002.
17. Morris R, Martini DN, Madhyastha T, Kelly VE, Grabowski TJ, Nutt J, Horak F. Overview of the cholinergic contribution to gait, balance and falls in Parkinson’s disease. Parkinsonism Relat Disord. 2019;63:20-30. https://doi.org/10.1016/j.parkreldis.2019.02.017.
18. Torrents R, Ferré JF, Konareff A, Hemery P, Sherwin K, Lassalle C, Simon N, Scerra S. Misuse of Trihexyphenidyl (Artane) on Réunion Island. J Clin Psychopharmacol. 2018;38(3):250-253. https://doi.org/10.1097/JCP.0000000000000882.
Authors’ ORCID iDs and academic degreesOlga Gavriliuc, MD, Phd Applicant – https://orcid.org/0000-0003-0677-5467Alexandru Andrusca, MD, Phd Applicant – https://orcid.org/0000-0001-6174-7114Lilian Popil, MD, Undergradute Student – https://orcid.org/0000-0002-8227-0666Mihail Gavriliuc, MD, PhD, Professor of Neurology – https://orcid.org/0000-0002-5789-2842
Authors’ contributionOG and AA drafted the first manuscript and analyzed the data, LP collected the data, MG designed the trial and revised the manuscript critically. All the authors revised and approved the final version of the manuscript.
FundingThe study was supported by Diomid Gherman Institute of Neurology and Neurosurgery and Nicolae Testemitanu State University of Medicine and Pharmacy. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateThe research was approved by the Research Ethics Committee of Nicolae Testemitanu State University of Medicine and Pharmacy (protocol No 44 of April 12, 2018).
Conflict of InterestThe authors have no conflict of interests to declare.
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ORIGINAL ReseARch L. Rotaru. Moldovan Medical Journal. October 2021;64(4):69-71
Introduction
Parkinson’s disease is the most common neuro-degenerative movement disorder with a prevalence of about 2% in the population over the age of 65 years [1].
PD has no known cause. The exposure of the human population to environmental contaminants is recognized as a significant contributing factor for the development of Parkinson’s disease and other forms of parkinsonism. Evidence exists to suggest that age and gender and some environmental factors (pesticide exposure, occupation) are associated with the development of PD. Instead, tobacco use, and caffeine consumption are believed to be inversely associated to the development of PD, tobacco and black tea having a protective effect on age at onset in genetic PD – LRRK2 [2, 3].
PD varies in age of symptom onset, rate of progression, severity of motor and non- motor symptoms, extent of central and peripheral inflammation, maybe, because genetic and environmental factors act synergistically in PD pathogenesis.
A lot of recent research has focused particularly on genetic causes of PD. Although several genes have been implicated as monogenic causes of the disease, these genetic
https://doi.org/10.52418/moldovan-med-j.64-4.21.13UDC: 616.858+615.9
Environmental toxic factors and clinical pattern of Parkinson’s disease
Lilia Rotaru
Laboratory of Functional Neurology, Diomid Gherman Institute of Neurology and Neurosurgery Chisinau, the Republic of Moldova
Author’s ORCID iD, academic degrees and contribution are available at the end of the article
Corresponding author – Lilia Rotaru, e-mail: [emailprotected] received August 02, 2021; revised manuscript October 01, 2021; published online October 12, 2021
AbstractBackground: Parkinson’s disease (PD) – the most common neuro-degenerative movement disorder – is considered a result of a multifactorial pathogenic process modulated by cumulative and interactive effects of genes and exposures. An environmental exposure could enhance or create dopaminergic neurons vulnerability and increase PD risk. The purpose of the study was to find if excessive exposure to toxic environmental factors may influence clinical pattern of PD.Material and methods: The study was conducted on 111 patients diagnosed with PD, study group being defined as PD exposed to toxins (33 patients), control group including PD patients without toxin exposure (78 patients). General epidemiological data and clinical data were recorded.Results: Toxin exposure was found in 33 patients (29.73%), more of them – men and rural residents. Toxin exposed PD patients had an insignificantly younger age. The most common disease phenotype in the study group was the akinetic-rigid phenotype (64.7%, p = 0.040), bradykinesia being the most common sign at the disease onset (57.6%, p = 0.008). Levodopa equivalent daily dose also was higher in the study group (659.02 ± 232.46, p = 0.042).Conclusions: Excessive exposure to toxic environmental factors may influence the clinical pattern of PD. In this study the akinetic-rigid type was the predominant disease phenotype associated with toxin exposure. Doses needed for treatment were higher in PD patients exposed to toxins, as an indicator of a more severe motor impairment in this group.Key words: Parkinson’s disease, toxic environmental factors.
Cite this articleRotaru L. Environmental toxic factors and clinical pattern of Parkinson’s disease. Mold Med J. 2021;64(4):69-71. https://doi.org/10.52418/moldovan-med-j.64-4.21.13.
mutations are only responsible for approximately 10% of cases, indicating that the majority of PD is the result of a multifactorial pathogenic process [4] and environmental causes also may play a role in developing the disease. Rare (causative) and common (risk) variants associated with PD have been identified, including SNCA and LRRK2.
Some authors propose that environmental factors (pesticides and infections) increase the risk for PD via the immune system [5], because several of the genes associated with PD risk, function in the immune system. Peripheral immune activation and neuroinflammation in the brain contribute to neuropathology and neurodegeneration [6]. An environmental exposure that increases α-synuclein expression and/or inflammatory cytokine secretion could create a state in which dopaminergic neurons are vulnerable to immune-driven stress [5]. Increased kinase activity associated with the G2019S LRRK2 mutation may contribute to shifts in immune cell population frequencies and function [7]. In response to an exposure or experience, physiological and epigenetic regulation can occur, and the resulting cell-signaling cascades could influence disease pathogenesis [8]. The immune system’s response to exposure may depend on the genetic variations or mutations of SNCA, LRRK2,
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PINK1, and MHCII. There is a gene-by-environment-by-immune- system triangle in PD pathogenesis [5].
So, PD risk can be modulated by cumulative and interactive effects of genes and exposures [4]. One study showed that gene-environmental interactions increased the OR for PD from about 1.6 at the individual level up to OR 12.6 for some combinations [4].
Environmental factors such as drinking well water, rural living, farming, exposure to agricultural chemicals, farm and industrial compounds, exposure to different metals and industrial compounds as manganese, lead, copper, iron, zinc, aluminium or amalgam have been reported to be associated with the risk of developing PD [9-11].
So far, is known that toxin exposure can promote PD by several mechanisms: oxidative stress, dopamine homeosta-sis, calcium homeostasis, alpha-synuclein fibrillization, mi-tochondrial dysfunction neuroinflammation [12].
As toxic exposures to these compounds can result in a spectrum of PD and related disorders, it is imperative to identify, not only their mechanisms of action, but also shared clinical patterns to further delineate the resultant disorders for improving diagnosis, preventive strategies and therapeutic interventions [12].
Material and methods
These are preliminary data of a cohort study of Moldovan patients with incident of Parkinson’s disease. Diagnosis of PD was based on widely acknowledged criteria [13]. Structured interview on medical and drug history, family history of neurological and psychiatric diseases, years of education, all previous and current occupations, previous and current lifestyle habits, details regarding exposure to pesticides, and other toxins were recorded and a general neurological and medical examination conducted. Severity of parkinsonism and disability were assessed by the Modified Unified Parkinson’s Disease Rating Scale (MDS-UPDRS) [14]. Patients were subclassified at baseline into three groups according to Jankovic method: tremor dominant (TD), akinetic-rigid (AR) or intermediate (IND) [15]. The groups were defined as: (1) Toxic substances contact present (ToxSC +) – study group; and (2) absent (ToxSC-) – control group. The data analysis was performed via statistical program StatDirect, using descriptive, variation, and correlational analysis. Student’s t tests or Mann-Whitney tests were used as appropriate. P values less than 0.05 were considered statistically significant.
Results and discussion
These are preliminary data of a cohort study of Moldovan patients with incident Parkinson’s Disease (PD). The study group consisted of 111 consecutive PD patients. The mean age in the cohort was 64.87 ± 7.69 years. By sexes, PD patients, were distributed as follows: 48 were women (43.2%) and 63 were men (56.8%)).
Contact with toxic substances (ToxSC), was recorded by history taking about previous and current occupations,
previous and current lifestyle habits, exposure to pesticides, and other toxins; and was found in 33 patients (29.73%). In this study, excessive exposure to toxic environmental factors was more common in men and rural residents. Among ToxSC+ patients, 30 patients (90.9%) were men and 3 (9.1%) patients were women (p=0.000). Nineteen of the toxin exposed patients (57.6%, p=0.000) were rural residents. Similarly, in a meta-analysis of PD risk, RR was statistically significant for: rural living (RR = 1.43; 95% CI = 1.22–1.69), farming (RR = 1.24; 95% CI = 1.12–1.37) and well-water consumption (RR = 1.30; 95% CI = 1.12–1.51); the association between pesticide use and PD was statistically significant for all studies combined (RR = 1.22; 95% Cl = 1.18–1.27); and use of herbicides (RR = 1.20; 95% CI = 1.06–1.36) or insecticides (RR = 1.32; 95% CI = 1.14–1.52) was associated with statistically significantly increased PD risk [8]. Also, in Norwegian ParkWest study, agricultural work was associated with a higher risk of PD (OR 1.75 (1.03–3.0) P 5 0.009): PD patients were more often agricultural workers than controls (23% PD vs 14.4% of controls, P 5 0.026 [χ2 test], odds ratio [OR] 1.75 [1.03–3.0]); whether patients or controls were born and raised on a farm did not affect the risk of PD [9].
Different toxic exposure was found in the study group: petrol intake (10 patients (9%)), diesel intake (4 patients (3.6%)), petrol + diesel intake (6 patients (5.4%)), exposure to pesticides (7 patients (6.3%)), to solvents – 3 patients (2.7%), to reinforced concrete (polystyrene) – 1 patient (0.9%), to welding gas – 1 patient (0.9%), to freon – 1 patient (0.9%).
In a study, prevalence of parkinsonism among active male welders age 40 to 69 statewide was 977 to 1336 cas-es/100000 population. The prevalence of Parkinsonism was higher among welders vs age-standardized data for the gen-eral population (prevalence ratio – 10.19, 95% CI 4.43 to 23.43). The authors concluded that the estimated prevalence of parkinsonism was higher within a sample of male weld-ers vs the general population of males [16]. By contrast, the results of Danish Cohort Study (5867 Danish welders and 1735 non- welding metal workers exposed to welding fume from general Danish population in 1987–2008) do not sup-port the hypothesis that welders are at increased risk for Parkinson’s disease [17]. It was established that parkinson-ism can occur after chronic exposure to high levels of man-ganese, usually above the permissible exposure limit ceiling at 5 mg/m3 total dust set by the Occupational Safety and Health Administration [18].
In the present study was found that in ToxSC+ patients, the disease began at an insignificantly younger age than in ToxSC- patients (59.24 ± 6.93 vs 60.95 ± 8.86 years, p <0.005). By history taking, was established, that bradykinesia was the most often PD onset symptom in ToxSC+ patients (57.6%, p = 0.008). Applying the Jankovic method of defining PD mo-tor phenotype, the more frequent PD phenotype in ToxSC+ patients was the akinetic-rigid one (64.7%, p = 0.040).
There are interesting clinical differences between subgroups of PD patients (tremor dominant (TD) vs postural
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instability gait difficulties PIGD), provided by literature. In a study, a protective association of alcohol and smoking was only seen in postural instability gait difficulties (PIGD) – akinetic-rigid PD and not in tremor dominant (TD) PD [9], may be because the underlying pathogenic mechanisms are heterogeneous, including environmental exposure.
Levodopa equivalent daily dose needed to compensate motor impairment in ToxSC+ patients was significantly higher than in the control group (659.02 ± 232.46 vs 483.77 ± 355.41, p = 0.042), as an indicator of a more severe motor disability in PD patients exposed to environmental toxic factors.
Overall, studies suggest that environmental insults may play an important role in the appearance and progression of PD pathology [19], PD onset and its clinical presentation may be due to a combination of external aggressors and individual genetic susceptibility to this aggression; and low incidence of PD suggests that gene-environment interactions play an important role in the process. According to our results excessive exposure to toxic environmental factors was more common associated with the akinetic-rigid type of Parkinson’s disease – a phenotype with more severe motor impairment. And ToxSC+ patients needed higher doses of dopaminergic drugs – an indicator of a more motor impairment in this category.
Conclusions
Environmental factors may play an important role in the appearance, progression and clinical presentation of Parkinson’s disease. This study, replicated that excessive exposure to toxic environmental factors is more commonly found in men and rural residents. According to the received results, toxin exposure was more frequently associated with the akinetic-rigid type of Parkinson’s disease and with higher doses of dopaminergic drugs needed for motor symptoms control, indicating a higher severity of motor impairment in toxin exposed PD patients.
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2. Lüth T, König IR, Grünewald A, et al. Age at onset of LRRK2 p.Gly2019Ser is related to environmental and lifestyle factors. Mov Disord. 2020;35(10):1854-1858. doi: 10.1002/mds.28238.
3. Galanaud JP, Elbaz A, Clavel J, et al. Cigarette smoking and Parkinson’s disease: a case-control study in a population characterized by a high prevalence of pesticide exposure. Mov Disord. 2005;20(2):181-189. doi: 10.1002/mds.20307.
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5. Kline EM, Houser MC, Herrick MK, et al. Genetic and environmental factors in Parkinson’s disease converge on immune function and inflam-mation. Mov Disord. 2021;36(1):25-36. doi: 10.1002/mds.28411.
6. Hirsch EC, Standaert DG. Ten unsolved questions about neuroinflamma-tion in Parkinson’s disease. Mov Disord. 2021;36(1):16-24. doi: 10.1002/mds.28075.
7. Wallings RL, Herrick MK, Tansey MG. LRRK2 at the interface between peripheral and central immune function in Parkinson’s disease. Front Neurosci. 2020;14:1-14. doi: 10.3389/fnins.2020.00443.
8. Breckenridge CB, Berry C, Chang ET, et al. Association between Parkin-son’s disease and cigarette smoking, rural living, well-water consumption, farming and pesticide use: systematic review and meta-analysis. PLoS One. 2016;11(4):1-42. doi: 10.1371/journal.pone.0151841.
9. Skeie GO, Muller B, Haugarvoll K, et al. Differential effect of environ-mental risk factors on postural instability gait difficulties and tremor dominant Parkinson’s disease. Mov Disord. 2010;25(12):1847-1852. doi: 10.1002/mds.23178.
10. Pan-Montojo F, Reichmann H. Considerations on the role of environ-mental toxins in idiopathic Parkinson’s disease pathophysiology. Transl Neurodegener. 2014;3:1-13. doi: 10.1186/2047-9158-3-10.
11. Tanner CM, Kame F, Ross GW, et al. Rotenone, paraquat, and Parkinson’s disease. Environ Health Perspect. 2011;119(6):866-872. doi: 10.1289/ehp.1002839.
12. Caudle WM, Guillot TS, Lazo CR, et al. Industrial toxicants and Par-kinson’s disease. Neurotoxicology. 2012;33(2):178-188. doi: 10.1016/j.neuro.2012.01.010.
13. Postuma RB, Poewe W, Litvan I, et al. Validation of the MDS clinical di-agnostic criteria for Parkinson’s disease. Mov Disord. 2018;33(10):1601-1608. doi: 10.1002/mds.27362.
14. [Goetz CG, Tilley BC, Shaftman SR, et al. Movement Disorder Society-Sponsored Revision of the Unified Parkinson’s Disease Rating Scale (MDS-UPDRS): Scale presentation and clinimetric testing results. Mov Disord. 2008;23(15):2129-2170. doi: 10.1002/mds.22340.
15. Mazakis A. Variable Expressions. I was waiting to see what you would do first. Fayetteville: University of Arkansas Press; 2020. p. 46-47.
16. Cox LA. Prevalence of parkinsonism and relationship to exposure in a large sample of Alabama welders. Neurology. 2006;66(4):616-617. doi: 10.1212/01.wnl.0000216107.19411.e8.
17. Kenborg L, Funch Lassen C, Hansen J, et al. Parkinson’s disease and other neurodegenerative disorders among welders: a Danish cohort study. Mov Disord. 2012;27(10):1283-1289. doi: 10.1002/mds.25125.
18. Brenner SR. Searching for a relationship between manganese and welding and Parkinson’s disease. Neurology. 2006;66(3):458-459. doi: 10.1212/01.wnl.0000209200.33974.b4.
19. Ball N, Teo WP, Chandra S, et al. Parkinson’s disease and the environ-ment. Front Neurol. 2019;10:218. doi: 10.3389/fneur.2019.00218.
Author’s ORCID iD and academic degrees. Lilia Rotaru, MD, PhD, Associate Professor – https://orcid.org/0000-0002-5340-5234
Author’s contribution. AC conceptualized the idea, conducted literature review, wrote the manuscript, revised and finalized the text.
Funding. This study was supported byDiomid Gherman Institute of Neurology and Neurosurgery. The trial was the author’s initiative. The author is independent and takes responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participate. The research project was approved by the Research Ethics Committee of Diomid Gherman Institute of Neurology and Neurosurgery (protocol No 1, 27.02.2020).
Conflict of Interests. No competing interests were disclosed.
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Introduction
Epilepsy is a relatively common neurological disease defined by two unprovoked seizures (or one unprovoked seizure with the likelihood of more) that were not caused by some known and reversible medical condition [1]. It affects about 0.5–1% of the population worldwide or abso-lutely about 50 million of population, around half of them (24 millions) diagnosed with active idiopathic epilepsy [2]. Approximately 10% of world population will experience a seizure at some point during their lifetime [3].The inci-dence of epilepsy is about 61 per 100000 persons-years and was higher in low/middle-income countries than in high-income countries, 139.0 vs 48.9 [3]. Epilepsy is still an im-portant cause of disability (25% of people with epilepsy have intellectual disability [4]), mortality, and is surrounded by prejudice and stigma – a well-documented barrier to health seeking behavior, engagement in care and adherence to
https://doi.org/10.52418/moldovan-med-j.64-4.21.14UDC: 616.853-085.213.036
Drug-resistant epilepsy: modern concepts, integrative mechanisms, and therapeutic advances
1,2*Vitalie Chiosa, 2,3,4Dumitru Ciolac, 2,5Viorica Chelban, 1,2,3Daniela gasnas, 1,2Anatolie Vataman, 2,3Cristina Munteanu, 1,2,3,4Stanislav groppa
Contributing authors: 1,2,3Pavel Leahu, 2,4Elena Condratiuc, 1,2,4Daniela Aftene, 2,4Diana Dragan, 2,3Renata Racila, 2,4Natalia Doten, 1,2,4Natalia Stoianov, 1,2,3Alexandra Condrea, 1,2,3Doina Ropot, 1,2,3Maria Vasilieva
1Department of Neurology No 2, 2Laboratory of Neurobiology and Medical Genetics,Nicolae Testemitanu State University of Medicine and Pharmacy, Chisinau, the Republic of Moldova
3Department of Neurology, Epileptology and Internal Diseases, 4National Center for EpileptologyInstitute of Emergency Medicine, Chisinau, the Republic of Moldova
5Department of Neuromuscular Diseases, Queen Square Institute of Neurology, University College London
Authors’ ORCID iDs, academic degrees, and contributions are available at the end of the article
*Corresponding author – Vitalie Chiosa, e-mail: [emailprotected] received September 17, 2021; revised manuscript October 01, 2021; published online October 12, 2021
AbstractBackground: Drug-resistant epilepsy is the cause of severe disability. Multiple questions remain unanswered both in terms of pathogenesis and therapeutic management. For this narrative review, PubMed database and Infomedica library were searched by using “drug-resistance in epilepsy” and “treatment of drug-resistant epilepsy” as key words. The following filters were applied: “Clinical Trial”, “Meta-analysis”, “Multicenter Study”, and “Randomized Controlled Trial”, covering the period of 01.01.2005–06.01.2021.Several hypotheses have been proposed, i.e., pharmacokinetic, intrinsic severity, gene, target, transporter, and neural network hypotheses. Many controlled trials showed different results in terms of seizure control after combined methods of therapies. Immunotherapy, palliative epilepsy surgery alone or associated with neurostimulation procedures including vagus nerve, trigeminal nerve, or deep brain stimulation may be efficient, however, seizure freedom is not always achieved. Genetic epilepsies might benefit from gene and exosome therapy; however, further studies are needed to verify their safety. Conclusions: Neuroscience of drug-resistant epilepsy faces many challenges. Inflammatory mediators, biomarkers, and genes might allow the identification of new treatment targets, contribute to an earlier diagnosis, and assess the clinical outcomes.Key words: drug-resistant epilepsy, hypotheses of drug-resistance, therapeutic advances.
Cite this articleChiosa V, Ciolac D, Chelban V, Gasnas D, Vataman A, Munteanu C, Groppa S. Drug-resistant epilepsy: modern concepts, integrative mechanisms, and therapeutic advances. Mold Med J. 2021;64(4):72-85. https://doi.org/10.52418/moldovan-med-j.64-4.21.14.
treatment across a range of health conditions globally [5], perceived by cohabiting relatives of people with epilepsy and surrounded people. Higher perceived stigma is significantly related to generalized seizures, longer disease duration [6], and higher perceptions of stigma are associated with worse quality of life in people with epilepsy. SUDEP is a life-threat-ening condition with an estimated incidence of 0.58 to 9.0 per 1000 persons-years with a 35% of lifetime cumulative risk in refractory epilepsy patients [7] that is playing an im-portant role in the quality of life of these patients. People with epilepsy have a higher risk of sudden death, with re-ported annual incidences of 1 per 1000. For those with un-controlled epilepsy, the incidence is higher as 1 per 200 [8], but the lowest incidence is in children and consists 0–0.2 per 1000 [9]. The risk of sudden death is greater in women, rep-resenting 1.45 per 1000 than in men 0.98 per 1000 [10]. The epilepsy treatment with antiepileptic drugs has limited ef-
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fectiveness. In case of correct diagnosis, 70% of patients with epilepsy are drug sensitive and seizure free, 50% of them af-ter initial monotherapy [11], 10% in context of alternative monotherapy and 10% with first add-on or polytherapy. The remaining 30% are drug resistant. These data may fluctuate with 25% range of drug-resistance [12].
The modern definition of drug resistance
The concept drug-resistant epilepsy means pharmacore-sistant, drug resistant, refractory or medically intractable ep-ilepsy [13]. The definition evaluated during the last years as: a) seizures which have not been completely controlled with AEDs 1 year after onset despite accurate diagnosis and care-fully monitored treatment [14]; b) seizures of sufficient fre-quency and severity after 2 years of AED treatment [15]; c) the patient is not seizure free after 1 year treatment with 2–3 AED [16]. The ILAE consensus concerning definition was obtained in 2009 and it is: failure of adequate trials of two tolerated and appropriately chosen and used AEDs (whether as monotherapies or in combination) to achieve sustained seizure freedom [13]. Discussing about pharmacoresistant epilepsy is very important to rule out cases of nonadherence in epilepsy and cases of pseudorefractory epilepsy [17]The approach of patient with pharmacoresistant epilepsy is dif-ficult and the first step would be the diagnosis reconsidera-tion. The surgery is the superior option in treatment of these patients, but among the 30% of patients with confirmed di-agnosis of pharmacoresistant epilepsy only 10–15% become candidates for epilepsy surgery [18].
Mechanisms of drug resistance
Nowadays understanding the multifactorial mechanisms underlying drug-resistant epilepsy has the potential to contribute to more effective development of treatment options for patients with epilepsy. The combination of multiple mechanisms expressed in each individual patient represents the most popular hypothesis. A key limitation of the entire research is the difficulty of demonstrating whether the changes associated with drug-resistant epilepsy are an epiphenomenon of epileptogenesis [19].
Intrinsic severity hypothesis. Rogawski and Johnson proposed the hypothesis that the resistance of antiepileptic drugs is not due to specific drug resistance factors, but due to the degree of severity of epilepsy that is directly related to the response to treatment. This “intrinsic severity hypothesis” was later updated by Rogawski, who postulates that drug resistance is an inherent property of epilepsy that is directly related to the severity of the disease. The increased frequency or density of seizures that precede the onset of antiepileptic therapy is the most important factor associated with a reduced chance of long-term remission of the disease [20]. Although the high frequency of seizures is a predictor of drug resistance, but it is clearly not the only one. The intrinsic severity hypothesis says that common neurobiological factors contribute to both the severity of epilepsy and pharmaceutical co-resistance. Other features
of the severity of the pathological condition, such as the extent of structural damage or behavioral phenotype, are also predictors of resistance to antiepileptic drugs. Although the intrinsic severity hypothesis seems biologically possible, it was not applied to disease with a fluctuating or evolving pattern of resistance. In addition, there is very limited evidence to support a direct link between the severity of epilepsy and response to treatment [21]. In this regard, data from studies supporting the hypothesis of intrinsic severity suggest that the high frequency of pre-treatment seizures is an important predisposing factor for refractory epilepsy [22]. A similar conclusion was drawn from a study on children diagnosed with epilepsy, which showed that administration of anticonvulsant therapy during the period of first ten seizures had no aggravating or early remission effect [23]. In another randomized study of 1847 patients with epilepsy, the authors compared the effectiveness of immediate treatment with that of the delayed treatment and found that immediate treatment was associated with reduced seizure frequency in the first 1–2 years, but long-term remission rates did have no difference between the two groups. Therefore, it has been suggested that the theory of intrinsic severity does not sufficiently explain the mechanism of drug resistance in epilepsy [21].
Target hypothesis. Among the various mechanisms of drug resistance that have been proposed, the target hypoth-esis postulates that acquired (epilepsy-induced) alterations to the structure and/or functionality of brain targets of anti-seizure drugs (ASDs) lead to a reduction in their sensitivity to treatment and thus lead to refractoriness [24]. To exhibit antiseizure activity, a drug must act on one or more target molecules in the brain, and these targets include voltage-dependent ion channels, neurotransmitter receptors, and transporters or metabolic enzymes involved in the release, uptake, and metabolism of neurotransmitters [25].
The target hypothesis is primarily based on studies with carbamazepine on voltage-gated sodium channels in hippo-campal neurons (CA1 and dentate granule cells). Remy et al. [26] showed that the use dependent block of voltage-depen-dent Na+ channels of dentate granule cells by carbamazepine is completely lost in patients with carbamazepine-resistant temporal lobe epilepsy (TLE), and the fast recovery from inactivation of the fast Na+ current was carbamazepine-insensitive in pharmacoresistant patients [27]. Also, the au-thors suggested that a loss of Na+ channel drug sensitivity could explain the development of drug-resistant epilepsy (DRE). In another study, Remy et al. [28] demonstrated that the effects of phenytoin on fast recovery from inactivation of Na+ channels of hippocampal granule neurons were sig-nificantly reduced, though not as pronounced as observed with carbamazepine, and that lamotrigine slowed the time course of recovery from fast inactivation. Thus, these results suggested that target mechanisms of drug resistance are cell type- and ASD-specific. Newly, Doeser et al. [29] reported that eslicarbazepine may possess advantages over conven-tional Na+ channel modulators, because it maintained activ-ity in chronically epileptic tissue. One possibility for altered
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sensitivity of Na+ channels in CA1 or dentate granule cells in epileptic tissue is that the subunit composition of these channels is altered, resulting in channels with lower ASD sensitivity [24].
Other drug targets, such as GABAA receptors, may be altered in patients and animal models with intractable epilepsy [27]. Profound alterations in GABAA receptor subtype expression have also been reported in adult patients with ASD-resistant TLE and pediatric epilepsy patients undergoing epilepsy surgery. Brooks-Kayal et al. [30], using the rat pilocarpine model of TLE, demonstrated that expression of GABAA receptor subunit mRNAs is substantially altered in hippocampal dentate granule cells of pilocarpine treated rats versus controls. These changes in GABAA receptor subunit expression correlated with profound alterations in receptor function and pharmacology. In addition to the enhanced zinc sensitivity, GABAA receptors from the epileptic hippocampus lose their sensitivity to augmentation by the benzodiazepine site modulator zolpidem. However, none of these studies examined whether ASD-resistant epileptic rats differ from responsive rats in these changes in GABAA receptor function [27].
Although the target hypothesis is a biologically plausible theory to explain drug resistance, the fact that most drug-resistant patients are resistant to several ASDs acting on different therapeutic targets undermines the general utility of the target hypothesis and instead supports the existence of a mechanism nonspecific to individual ASDs [31].
Transporter hypothesis. The transporter hypothesis is based on two assumptions: (1) overexpression of efflux transporters correlates with pharmacoresistance in epilepsy and (2) antiepileptic drugs (AEDs) are subject to active transport by efflux transporters [31].
Overexpression of efflux transporters at the blood–brain barrier is discussed as one factor that might limit brain penetration and efficacy of AEDs. The best understood efflux transporters are members of the ABC (ATP-binding cassette) superfamily subfamilies B, C, and G, specifically P-glycoprotein (ABCB1 or MDR1), the multidrug resistance-associated proteins (MRP1, ABCC1; MRP2, ABCC2), and breast cancer resistance protein (BCRP, ABCG2) [31].
P-glycoprotein (P-gp), also known as MDR1 or ATP-binding cassette subfamily B member 1 (ABCB1), actively exports hydrophobic and amphipathic molecules from the inside of cells or membranes to the outside, as a critical defense mechanism. Its overexpression in epileptogenic brain tissue in patients with refractory epilepsy has been documented in numerous studies. For the first time overexpression of MDR1 mRNA was demonstrated in 11 out of 19 resected brain specimens from patients with refractory focal epilepsy. P-gp overexpression was also detected in astrocytes and/or dysplastic neurons in common pathological causes of refractory epilepsy, including dysembryoplastic neuroepithelial tumors (DNT), hippocampal sclerosis (HS), and focal cortical dysplasia (FCD) [32].
The overexpression of a multidrug resistance-associated protein (MRP1) in astrocytes and/or dysplastic neurons in HS, DNT, and FCD has also been described [32]. The results confirm that MRP1 protein expression levels in astrocytes and neurons from brain tissue of epilepsy patients are significantly increased compared to brain tissue from healthy individuals, while endothelial MRP1 expression did not differ between the two [33]. It was reported increased MRP2 and MRP5 mRNA levels in endothelial cells isolated from epileptic brain tissue of patients with refractory epilepsy compared to control endothelial cells from human umbilical vein and aneurysm domes. Aronica et al. [34] reported MRP2 protein overexpression in endothelial cells and astrocytes in HS tissue specimens of adult patients with temporal lobe epilepsy (TLE).
Similar to P-gp, BCRP (breast cancer resistance protein) transports a wide variety of substrates, and its tissue distribution contributes to its important roles in restricting absorption and facilitating elimination of drugs and xenobiotics, but due to the lack of evidence on BCRP overexpression in human epileptic brain tissue, BCRP is unlikely a major player in AED resistance as proposed by the transporter hypothesis [31].
Although increased mRNA and protein expression levels of P-gp and MRPs have been demonstrated in resected brain tissue from patients with AED-resistant epilepsy, previous studies did not include proper controls, as it is generally difficult to obtain brain tissue from either patient with drug-responsive epilepsy or from healthy subjects without brain disease. Therefore, it is still unclear if overexpression of efflux transporters correlates with and potentially causes AED resistance, or if it is an epiphenomenon of epilepsy in humans that is unrelated to AED resistance [35].
Conclusive evidence that AEDs are transported by efflux transporters at therapeutic concentrations is considered the weak link in the transporter hypothesis. Early studies suggested that several AEDs may be substrates for P-gp and/or MRPs. Researchers who attempted to identify AEDs as substrates of P-gp, MRPs, and/or BCRP mainly used three approaches: transporter-overexpressing cell lines, transporter inhibition in cell lines and/or in animals, and transporter gene knockout mice [36]. Each of these approaches has its own strengths and weaknesses. For example, transporter-overexpressing cell lines only allowin vitro analysis. Transporter inhibitors may lack specificity and interact with more than one transporter, and knockout mice may show potential compensatory upregulation of other transporters, which may complicate the situation. Therefore, all three approaches may need to be used together in one thorough study to obtain conclusive data [32]. In addition, compared to chemotherapeutic drugs that are usually high-affinity substrates for P-gp and MRPs, AEDs are weak substrates for the efflux transporters and more easily cross the blood-brain barrier under physiological conditions [37].
AED Transport by P-gp. P-glycoprotein transports primarily hydrophobic and amphipathic compounds [7].
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Most AEDs are planar lipophilic molecules, and therefore, theoretically many AEDs should be P-gp substrates [19]. The first report of P-gp-mediated transport of an AED came from Tishler et al. [38], who reported lower steady-state intracellular phenytoin concentrations in MDR1-expressing neuroectodermal cells as compared to MDR1-negative cells. Phenobarbital, lamotrigine, felbamate, and oxcarbazepine were shown to be transported by P-gp in rat brain microdialysis studies using verapamil as a P-gp inhibitor [39]. Owen et al. [40] concluded that carbamazepine was not a substrate for P-gp. In contrast, other studies, supported that P-gp transports carbamazepine. Data from another microdialysis study in rat suggest that P-gp does not transport levetiracetam and valproic acid [41].
Luna-Tortós et al. [42] pointed out that conventional bidirectional transport assays may not be suitable to iden-tify AEDs as P-gp substrates due to the highly permeable nature of most AEDs. Using a modified transport assay (concentration equilibrium transport assay; CETA) which allows evaluating active transport separately from passive permeability, it was detected P-gp transport of phenytoin, phenobarbital, lamotrigine, levetiracetam, and topiramate, but not carbamazepine in MDR1-transfected LLC-PK1 cells. Zhang et al. [36] used both the cell monolayer bidi-rectional assay and CETA in MDR1-transfected MDCKII and LLC-PK1 cells to test if phenytoin, phenobarbital, or ethosuximide were transported by P-gp. Results from the CETA experiments suggested concentration-dependent P-gp transport of phenytoin in both MDCKII-MDR1 and LLC-PK1-MDR1 cells and transport of phenobarbital only in MDCKII-MDR1 cells.
The only clinical evidence linking overexpression of blood-brain barrier P-gp to reduced AED brain levels came from a pilot study by Marchi et al. [43], who demonstrated an inverse correlation between the brain-plasma concentration ratio of the major active metabolite of oxcarbazepine, 10,11-dihydro-10-hydroxy-5H-dibenzo(b,f )azepine-5-carboxamide(10,11-dihydro-10-hydroxycarbama-zepine), and the MDR1 mRNA brain expression levels in resected epileptic tissue from patients with refractory epilepsy.
Since different models yield different results, both in vivo and in vitro data seem to be needed to identify which AEDs are substrates for which transporter [31]. In this regard, by combining the available evidence, Zhang et al. [35] suggested that lamotrigine, oxcarbazepine, phenobarbital, and phenytoin are considered definite P-gp substrates, because P-gp-mediated transport of these AEDs has been supported by bothin vivoandin vitroevidence.
AED Transport by MRPs. MRPs transport neutral organic drugs and amphiphilic organic anions including drugs conjugated to glutathione, sulfate, glucuronate, and phosphate. Thus, it is possible that MRPs transport a number of AEDs and/or their metabolites and limit their access to the brain. Phenytoin transport by MRP1 and/or MRP2 was shownin vivoin normal rats using brain microdialysis with the MRP1/2 inhibitor probenecid. Carbamazepine and oxcarbazepine were shown to be substrates of MRP1 and/
or MRP2 in microdialysis in vivo studies with probenecid [39]. Valproic acid was the first AED found to be a substrate for MRPs in brain endothelial cells. Potschka et al. [44] showed that levetiracetam was not transported by MRP1/2. Baltes et al. [45] conducted bidirectional transport assays in monolayers of MRP2-transfected MDCKII kidney cells, and none of the AEDs tested (phenytoin, levetiracetam, carbamazepine) was found to be transported by MRP2.
Using CETA in MDCKII kidney cells transfected with human MRP1, MRP2, or MRP5, Luna-Tortós et al. reported that none of the AEDs tested (topiramate, valproate, carbamazepine, phenytoin, levetiracetam, lamotrigine, and phenobarbital) was transported by any of those MRPs [46].
In vivo studies may be needed to confirm the findings from in vitro experiments, but few clinical studies have focused on studying the relationship between AEDs and MRPs.
AED Transport by BCRP. Substrate specificity of BCRP significantly overlaps with that of P-gp. However, the role of BCRP in AED resistance is less well studied in comparison to P-gp or the MRPs [31]. Using BCRP-transfected MDCKII cells, Cerveny et al. [47] reported that none of the tested AEDs (phenobarbital, phenytoin, ethosuximide, primidone, valproate, carbamazepine, clonazepam, and lamotrigine) was transported by BCRP. However, Nakanishi et al. [48] reported that the brain-to-plasma concentration ratio values of phenobarbital, clobazam, zonisamide, gabapentin, tiagabine, and levetiracetam were higher in mdr1a/b/Bcrp triple knockout mice than those in mdr1a/b double knockout mice, suggesting the involvement of BCRP in the transport of these AEDs.
Current evidence suggests that most AEDs are not transported by BCRP, though discrepancies exist betweenin vitroandin vivofindings [49].
Efflux Transporter Upregulation Mechanism in Epilepsy. An important question that stems from the transporter hypothesis is whether overexpression of efflux transporters at the blood-brain barrier observed in epilepsy is acquired or constitutive. Current evidence suggests that seizures, genetic factors, or a combination of both are likely to be the major contributors to efflux transporter overexpression at the blood-brain barrier in epilepsy [31]. Experimental data mostly from animal studies support that P-gp upregulation in epileptic regions of the brain occurs mainly as a result of seizure activity. Van Vliet et al. [50] also reported increased MRP1, MRP2, and BCRP protein expression levels in rat astrocytes and cerebral blood vessels after acute status epilepticus and in chronic epilepsy. Similar to the finding with P-gp, overexpression of these transporters was greater in chronic epileptic rats that demonstrated progression of epilepsy.
Recent research in the field has postulated two main mechanisms leading to efflux transporter overexpression in the brain in epilepsy: (1) AED-mediated induction of efflux transportersvianuclear receptors and (2) seizure-induced signaling causing efflux transporter overexpression [31]. Regarding the first mechanism, studies on whether AEDs
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induce efflux transporter overexpression have yielded inconsistent results. However, studies have shown that seizures induce brain capillary P-gp expression levels. If P-gp levels were already maximally induced in the study of Wang-Tilz et al. [51], one would not expect to see additional increases in P-gp expression levels by AEDs. Consistent with this, Wen et al. reported due to AED activation of the ligand-activated transcription factors pregnant X receptor and/or constitutive androstane receptor [52]. It is important to note that AED-mediated upregulation of drug efflux transporters at the blood-brain barrier and in other tissues does not explain why some patients are resistant to the very first AED they are given. While this speaks against the theory that AEDs are the main cause for drug resistance due to transporter upregulation, it is possible that AEDs are one contributor, among others, to refractory epilepsy [31].
The second mechanism that has been shown to result in increased efflux transporter expression levels is through recurring seizures. In this regard, Lazarowski et al. [53] showed that daily induced seizures result in a progressive increase of P-gp protein expression at the blood-brain barrier, and further will cause resistance. Importantly, resistance to drugs that are not P-gp substrates, such as carbamazepine, diazepam, or levetiracetam was not observed. Therefore, this new model could be useful for screening novel AEDs that are P-gp substrates and have the potential to control seizures in pharmacoresistant epilepsy.
The molecular signaling mechanism underlying in-creased efflux transporter expression levels in epilepsy has been studied. In this regard, evidence from in vitro and in vivo rodent studies suggests that targeting this pathway could control P-gp expression and activity levels, and thus, help increase AED brain penetration and improve AED efficacy to control seizures in drug-resistant epilepsy. To fully as-sess if P-gp upregulation has any relevant consequences on pharmacoresistance, studying P-gp expression in brain tissue from both AED-responsive and AED-resistant patients and/or conducting PET imaging using P-gp substrates or inhibi-tors in patients would be critical. At present, aspects of the transporter hypothesis are still controversial, and further re-search is needed to determine the clinical relevance of efflux transporter overexpression at the blood-brain barrier [31].
Pharmacokinetic hypothesis. The pharmacokinetic hy-pothesis proposes that overexpression of efflux transport-ers in peripheral organs, such as intestine, liver, and kidney decreases ASD plasma levels in refractory epilepsy patients, thereby reducing the amount of ASD available to cross the blood-brain barrier and reach the epileptic focus in the brain [54].
Alterations in expression and functionality of multidrug transporters in patients with intractable epilepsy need not necessarily be restricted to the brain but could also occur in other tissues, such as the small intestine, where P-glycopro-tein is thought to form a barrier against entrance of drugs from the intestinal lumen into the bloodstream, thereby limiting their oral bioavailability. In support of this theory, several studies have reported persistent subtherapeutic plas-
ma levels of anticonvulsants (including phenytoin and phe-nobarbital) despite aggressive and chronic administration of anticonvulsants in patients with drug-resistant epilepsy that has been associated with overexpression of MDR1 [32]. Support for the pharmacokinetic hypothesis comes from studies showing persistently low ASD levels in patients with drug-resistant epilepsy, which, however, relate to drug me-tabolizing enzymes rather than to efflux transporters such as P-glycoprotein [31]. The metabolism of ASDs is mainly me-diated by liver cytochrome P450. Some of the cytochromes of this group have allelic types encoding isoforms which have different activity and, in turn, can affect the concen-tration of many drugs, including ASDs, in the blood serum. Cytochrome P450 metabolic enzymes not only occur in the periphery, but also in the brain parenchyma and endothe-lial cells of the blood-brain barrier, thus adding to the bar-rier function. Changes in the cerebrovascular hemodynamic conditions can affect expression of cytochrome P450 en-zymes and multidrug-resistance transporters, leading to a synergistic role in drug resistance [55].
The liver is involved in potential pharmacokinetic changes by overexpression of P-gp, 99mTc-hexakis-2-me-thoxyisobutylisonitrile, what increased hepatic clearance that could contribute to ASD resistance [56]. The animal studies do not support the pharmacokinetic hypothesis [27]. In addition, data from clinical studies show that ASD-responsive and ASD-resistant patients display adverse events to the same extent, suggesting similar plasma ASD levels in the two groups of patients [32]. One explanation for this observation is that efflux transporter overexpression is restricted to the epileptic focus. This observation also suggests that the same plasma ASD concentrations are due to the same enzyme and transporter expression levels in pe-ripheral organs. While both explanations are plausible, one does not necessarily lead to the other.
Together, the pharmacokinetic hypothesis of refractory epilepsy as a stand-alone theory is difficult to validate. One can argue that because abnormalities in ASD plasma concentrations can be readily captured by therapeutic drug monitoring, pharmacokinetic variability is probably not a major contributor to pharmacoresistance in situations where ASD doses are adjusted accordingly. This argument, however, is further complicated because therapeutic ASD plasma concentrations vary among patients, and no one specific therapeutic ASD concentration range is applicable to all patients.
Neural network hypothesis. Growing body of electrophys-iological, neuroimaging, and clinical evidence suggests that epilepsy, including drug-resistant epilepsy, is a network dis-order. Recent observations led to the emergence of the neural network hypothesis that might mechanistically explain the development of drug-resistant epilepsy [31]. According to this hypothesis, epilepsy-associated structural and function-al alterations lead to an abnormal and maladaptive remodel-ling of neural networks that become resistant to antiepileptic medication. The underlying substrates of a maladaptive net-work architecture range from axonal sprouting and synaptic
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reorganization to neurogenesis and gliosis [31]. Structural alterations in both drug-resistant lesional and non-lesional epilepsy are widespread and extend to regions beyond the borders of the epileptogenic focus. Thus, patients with tem-poral lobe epilepsy show significantly reduced cortical thick-ness in the supramarginal, middle and upper temporal gyri, temporal pole, insula, cuneus, superior frontal, precentral, posterior cingulate, operculum, lateral orbitofrontal, lingual, upper parietal, postcentral, lower parietal, lateral occipital, paracentral and isthmus cingulate of the right hemisphere [57]. In the left hemisphere, cortical thinning was identi-fied in the supramarginal, precentral, and middle frontal re-gions. Like structural connectivity, functional connectivity displays distinct and frequency-dependent changes in the interregional neural oscillations. Thus, in theta frequency, connectivity from the temporal and frontal lobes to thala-mus initially shows a continuous decrease in the connectiv-ity intensity, later followed by a continuous increase before the spike generation [57]. In contrast, connectivity from the thalamus to the frontal lobe shows an inverted pattern – ini-tial continuous increase in connectivity intensity, followed by a decrease in connectivity [57]. Several factors modulat-ing the topology of neural networks in patients with drug-resistant epilepsy have been described. Thus, patients with sleep- and awake-related seizures display different patterns of structural alterations and network organization. Patients with sleep-related seizures compared to those with awake-related seizures have larger volumes of bilateral insula, su-perior temporal, and orbitofrontal cortices [58]. Volumes of hippocampus, amygdala, caudate, pallidum, and putamen are larger in patients with sleep-related seizures than in pa-tients with awake-related seizures [58].
Summing up, patterns of brain network reorganization in drug-resistant epilepsy are characterized by an increased segregability, low integrability, and reduced resilience [59]. However, one of the substantial limitations of this hypothesis is that neural network alterations lead to treatment refractoriness not in all epilepsy patients, and therefore, further studies are required to establish the clear-cut network alterations related to drug resistance.
The gene variant hypothesis. In recent years, numerous studies have demonstrated that genetic variation is involved in the drug resistance of epilepsy [60]. Gene variants in transporters, targets as well as metabolizing enzymes, are hypothesized to contribute to drug resistance mechanisms, especially genetic variations found in drug resistance-related genes, including the voltage-dependent sodium and potassi-um channels genes, and the metabolizer of endogenous and xenobiotic substances genes. Advances in genomic technolo-gies have facilitated the genome-wide discovery of common and rare variants and have increased our understanding of genetics in epilepsy; however, the mechanisms underlying pharmacological resistance have not been fully elucidated. The most frequently studied polymorphisms are those asso-ciated with multidrug resistance genes (MDR): ATP-bind-ing cassette subfamily B member 1 (ABCB1 or MDR1) and ATP-binding cassette subfamily C member 2 (ABCC2 or
MRP2); SCN α subunits 1, 2 and 3 (SCN1, SCN2 and SCN3); and metabolizers of endogenous and xenobiotic substances, cytochromes P450 families 2 and 3 (CYP2 and CYP3)[61]. For example, a meta-analysis on the ABCB1 C3435T poly-morphism showed association of CC genotype with drug-resistant epilepsy in Caucasians only, while a more recent systematic review showed the TT genotype polymorphism to be correlated [62]. Also, in intractable epilepsy and other mental disabilities, whole-exome sequencing (WES) iden-tifiedde novovariants in the Bernardinelli-Seip congenital lipodystrophy 2 (BSCL2) gene in two patients [63], or the case of recently reported changes in theKCNQ2gene which present with both benign seizure disorders and early onset epileptic encephalopathies (EOEE), the latter including pa-tients who present refractory seizures following standard AED treatment and development delay [64].
It is hypothesized that genetic variants may also contribute to the efficacy of drug treatments for epilepsy; for example, adverse or toxic reactions, teratogenic risk in pregnancy, as well as long-term outcomes have been observed among PWE [65]. In recent studies, the association between genetic polymorphisms, treatment responses in epilepsy and antiepileptic drugs (AED) reactions (toxic, adverse or those related with its efficacy) have been investigated.
It was reported that polymorphisms in the human leuko-cyte antigen (HLA) gene were associated with severe cuta-neous adverse AED reactions [66], and polymorphisms in a number of other genes, includingABCB1, ABCC2, GABRA6, GABRG2, CYP2C9, CYP3A4, UDP-glucuronosyltransferase (UGT)1A1, UGT1A4, UGT1A6, UGT2B7, SCN2A andSC-N1A, have been associated with the concentration, response and efficacy of some of the most commonly used AEDs in clinical practice, including carbamazepine, oxcarbazepine, phenytoin, lamotrigine and valproic acid. Esmaeilzadeh et al. reported an association between HLA polymorphisms and severe cutaneous adverse reactions (SCARs) induced by drugs and it was found that the hypersensitivity to dif-ferent AEDs, including phenytoin, carbamazepine, valproic acid, topiramate and lamotrigine, was associated withHLA-A gene polymorphisms [67]. Although this hypothesis proposes an inherent resistance as the cause of intractable seizures, several underlying processes are also involved in epileptic seizures including microglial activation, glutamate-induced excitotoxicity, mitochondrial dysfunction, oxidative stress, and the formation of reactive oxygen species [60]. Ul-timately, this requires simultaneous malfunction of several enzymes, proteins, channels, and receptors [68].
Consequently, it is difficult to believe that an individual is born with such a vast number of gene polymorphisms to the extent that both pharmacokinetic and pharmacodynamic mechanisms are hindered. Overall drug resistant patients are a highly heterogeneous group and no theory in isolation can explain multi-drug inefficacy in every patient [69].
The epigenetic hypothesis. The genome is one source of endogenous variation, contributing to different disease risks between different people. There are, however, other sources of variation, such as “omes” beyond the genome: the
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epigenome, transcriptome, proteome, microbiome, and so on. Some of these “omes” have been interrogated for their role in drug resistance in epilepsy, but it must be acknowledged at this point that the data available are even more sparse than for most genome-based studies and that, currently, none of these “omes” have been proven to influence drug resistance [27]. Studying epigenomic contribution to drug resistance in epilepsy [70], which is likely to be due to processes in the brain, is very challenging.
Epigenetic mechanisms have also been proposed to explain the development of pharmacoresistance in epilepsy patients, influencing the sustained patterns of gene expression that regulate AED uptake and mechanism of action. In the future, drugs inhibiting DNA methyltransferases (DNMTs) and histone lysine deacetylases (KDACs) could provide new treatments for patients unaffected by currently available anti-epilepsy medications. Not only are drugs acting on epigenetic processes currently available and in development for a variety of human diseases, but there is some evidence that one or more commonly used AEDs may act, in part, through epigenetic mechanisms. Most of the work identifying epigenetic changes in epilepsy has focused on DNA methylation. Recently, there has been exceptional interest in the role of microRNAs, especially where attention has also focused on their potential for use as biomarkers to support early diagnosis and prognosis in the clinic. In contrast, other aspects, such as histone modifications and long noncoding RNAs, have been less studied [71].
Among classes of molecules constituting the epigenome are histones and noncoding RNAs, both long and shorter, in-cluding microRNAs. The latter contribute to RNA silencing and post-transcriptional regulation of gene expression, alter-ing expression levels of multiple proteins. A central problem in studying the epigenome in humans is to disentangle cause from effect and relevance either way from epiphenomena [27]. The mechanisms of action of ketogenic diet in epilepsy have been revealed recently, such as epigenetic mechanism for increase the adenosine level in the brain and inhibition of DNA methylation. Thus, although a series of microRNAs have been shown to associate with human TLE [72], the studied tissue had been surgically resected from people with drug resistance, and cause and effect (for either disease sus-ceptibility or drug resistance) could not be distinguished. In animal models, manipulation of specific microRNAs can in-fluence seizures and disease [73], though some data are less supportive, however, whether this would be the case in hu-man epilepsy, and specifically whether this approach would counter drug resistance, remains unknown.
Neuroinflammatory hypothesis. Accumulating evidence over the past decade indicates an important pathophysiological role of brain inflammation in pharmacoresistant epilepsy. Different inflammatory molecules and pathways have been shown to significantly contribute to the mechanisms of seizure generation and progression in different experimental models [74]. Inflammation refers to the complex biological response of tissues against infections or sterile (non-infectious) injuries, it is closely associated with the activation
of both innate and adaptive immune cells. It represents a key homeostatic mechanism of the body’s defense, which is crucial for activating mechanisms for tissue repair, via the production of a large array of inflammatory cytokines and related effector molecules. A novel emerging concept in inflammation is the specific interaction between the innate immune system and injured brain tissue, known as neuroinflammation. Although neuroinflammation currently lacks a consensus definition, in general it can be seen as the biosynthesis and release of molecules with inflammatory properties by resident cells of the brain, including activated microglia and astrocytes, neurons, endothelial cells of the blood-brain barrier, and blood-born macrophages.
A notable finding is that the inflammatory mediators released by the resident brain cells during epileptic activ-ity (i.e. cytokines, chemokines, alarmins/danger signals, prostaglandins, complement factors) are not only effectors molecules of the immune system promoting local inflamma-tion, but also function as neuromodulators directly affecting neuronal function and excitability [75]. Prominent changes in several immune/inflammatory pathways, such as IL-1R1/TLR4, COX-2, TNF-a, complement and chemokines have been reported within epileptogenic lesions in preclinical and clinical studies. These pathways seem critically involved in ictogenesis and epileptogenesis. A more detailed assessment of the use of these inflammatory pathways is needed as po-tential biomarkers which contribute to the development of epilepsy or to measure the effectiveness of therapeutic in-terventions.
Gut-brain axis. The “gut microbiota-brain axis” is the interaction between gut microbiome and brain. This bidi-rectional communication is provided by the nervous, en-docrine, immune, circulatory, and metabolic pathways [76]. Ketogenic Diet (KD) may be considered another alternative treatment in drug-resistant epilepsy (DRE). This type of diet was used since 1921, in the treatment of intractable epilepsy in children.
Animal models. Olson et al., demonstrated in two-seizure mouse models, KD changes microbiota and leads to anti-sei-zure protection. KD fed-mice have demonstrated a decreas-ing in seizure duration and frequency. Also, it was measured the level of GABA and glutamate. GABA levels were higher in KD fed-mice. The direct association between chronic stress-induced epilepsy and intestinal dysbiosis in Sprague-Dawley rats was reported in a study [77].
KD, microbiome and epilepsy. KD is a high-fat, and very low-carbohydrate diet. KD in children with retractable epi-lepsy was evaluated in randomized controlled prospective study. Patients had a relevant decreasing in seizure severity. Seizures were reduced to at least 50% in children who re-ceived KD. The effect of the KD on gut microbiome in chil-dren with DRE, due to GLUT-1 deficiency was investigated for 90 days. Compared with baseline increasing in Desulfovi-brio species was established after KD. There were no signifi-cant differences in Bacteroidetes and Firmicutes levels. Xie et al., used KD (4:1 ratio) for a week. They noticed that 64% of children with DRE had ≥50% decreasing in seizure frequen-
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cy. Compared with baseline, while Bacteroides increased markedly, Bifidobacterium increased less significantly after KD therapy. Cronobacter, which was at high levels before KD, after therapy presented similar levels with the control group [78]. KD (4:1 ratio) was used in children (five patients had Dravet syndrome, three each had West syndrome and Lennox-Gastaut syndrome, and the remainder couldn’t be classified) for six months. Reduction of Firmicutes and in-creasing Bacteroidetes levels were reported after therapy. KD-non-responder group demonstrated increased levels of Clostridiales, Ruminococcaceae, Rikenellaceae, Lachno-spiraceae, and Alistipes, comparative with responder group [79]. Lindefeldt et al., evaluated the effect of KD on eleven children with DRE (due to perinatal asphyxia, encephalitis, cortical dysplasia, tuberous sclerosis, and unknown cause) and one with pyruvate dehydrogenase deficiency. Relative abundance of Escherichia coli increasing was observed on KD. Levels of Bifidobacteria as well as Eubacterium rectale and Dialister were decreased during KD therapy [80].
Gut dysbiosis in epilepsy patients. Probiotics show benefi-cial effect on seizures in patients with DRE. In a pilot study was shown seizures reduction and higher quality of life in 28.9% of adult patients with DRE, who were treated with probiotic cocktail [81]. Another study demonstrated that ro-tavirus infection manifests a risk factor for neonatal seizures. Probiotic administration after birth was linked with reduced risk of seizures [82]. Peng et al, established that Bacteroide-tes phylum is the largest one (56.7 % in Drug Sensitive (DS) and 57.2% in Healthy Control (HC)); Firmicutes phylum is the second dominant (38.2% in DS and 37.5% in HC). The while, Bacteroidetes was relatively lower (45.7%), and the Firmicutes was the largest phylum (46.9%) in patients with DRE. Also, it was shown an increasing of other rare phyla in the DRE group; Verrucomicrobia was more abundant in the DRE group (0.32%) than (0.03% in DS) and (0.09% in HC) groups. Patients with DRE have altered composition of gut microbiota; so, dysbiosis may be implicated in the patho-physiology of DRE.
Biomarkers of drug-resistant epilepsyBiomarkers may play a role in individualized epileptic
treatment, based on the patients’ biomarker profile. Molecular biomarkers, inflammatory markers can indicate not only the presence, type, and severity of neuropathologically damaged tissue with epileptogenic potential, but may also have the potential for localizing epileptogenic zone (EZ) [83].
Metabolites, proteins, messenger RNAs (mRNAs) and microRNAs (miRNAs) play a critical role in the regulation of neuronal biological processes, as well they might have importance in early disease diagnosis, effective prognostic monitoring and can be clubbed with existing techniques to preoperatively localize the EZ. Thus, the challenge is to find a biomarker which one can help accurately localize the EZ and offering new therapeutic approach strategies. Several microarray and target studies have reported a differential expression of more than 100 miRNAs in epilepsy. From those, miR-146a, miR-155 and miR-132 have a key role in epilepsy-related biological processes, such as neuroinflammation,
neuronal growth, neuroprotection and neurodegeneration [84]. MiRNA-155 has been shown, in experimental studies, to be much higher in patients with generalized genetic epilepsy compared to control, and miRNA-4521 could serve as a potential biomarker in refractory epilepsy. Changes in the mRNA levels of various glutamate and gamma-aminobutyric acid (GABA) receptor subunits modulating of glutamatergic and GABAergic synaptic transmission, also mRNA polyadenylation profile can be utilized as a biomarker in generalized, and focal epilepsies [85]. Inflammatory molecules have been identified in experimental models of epilepsy and surgically resected brain tissue from treatment-resistant epilepsy. Different components especially, cyclooxygenase-2 (COX-2) play an important role in the post seizure inflammation, possibly contributing to secondary damage in the brain and the increased likelihood of repetitive seizures. High mobility group box-1 (HMGB1), that takes part in the immune response via activating macrophages and endothelial cells, leading to the release of tumor necrosis factor-a (TNF-a), interleukin-1 (IL-1), interleukin-6 (IL-6) has been indicated as a potential therapeutic agent in epilepsy and as a non-invasive biomarker, which could identify patients with high risk of epilepsy. The level of HMGB1 has been shown to increase within 3–4 h after seizure, proving HMGB1 to be a promising marker. Moreover, it is known that in drug-resistant epilepsy (DRE) resulting from Rasmussen’s encephalitis, some patients showed seizure improvement following adalimumab administration, an anti-TNF-a therapy [86].
In sum, biomarker discovery and validation efforts need to balance between curation and control on the one hand, while allowing for broader coverage and generalizability on the other [87]. In time, this will lead to the development of effective strategies for the early screening, clinical diagnosis, treatment, and prevention of refractory epilepsy.
Advances in pharmacological treatmentSeveral antiepileptic drugs are currently in clinical trials
whose mode of action is either historical, novel or adapted from previous AEDs. Everolimus, a compound which had been in use primarily for other clinical indications (renal cancer, organ transplant immunosuppression, metastatic neuroendocrine tumors) was approved in 2018 and has shown promise as an antiepileptogenic agent in patients with tuberous sclerosis. It works as an inhibitor of an overactive and dysregulated mTOR pathway. EXIST-3 trial [88] showed response rate of 28.2% and 40.0% for low-exposure and high-exposure everolimus, respectively, compared to placebo of 15.1%. Other compounds already in use for other medical indications and being tested in epilepsy include melatonin, biperiden, fenfluramine, bumetanide and verapamil [89]. Apart from these clinical in-use medications, drugs specifi-cally designed for epilepsy are under investigation.
Clinical studies of cenobamate, which was recently ap-proved for the treatment of partial-onset seizures in adults, showed approximately 20% of patients experienced seizure freedom, which is very impressive compared with previous add-on clinical trials with various other novel AEDs in pa-
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tients with DRE [90]. A similar impressive antiseizure effect has been observed with the novel ASD fenfluramine in Dra-vet syndrome, in which approximately 25% of patients had long-term seizure freedom, suggesting that the long hoped-for breakthrough is a feasible goal [91].
Other compounds undergoing recruitment in phase 2/3 studies (registered on Clinicaltrials.gov) include padsevonil, neurosteroids (ganoxolone), XEN1101, E2082 and vori-nostat. Several other drugs appear to be suspended due to failed early stage efficacy studies and others will need further preliminary data to assess their potential [89]. Cannabidiol studies have had a surge of interest after successes in recent trials of patients with Dravet and Lennox-Gastaut (LGS) syndromes and further open-label study has shown good re-tention rate, efficacy and safety data [92].
Epidiolex is the first canabidiol oral solution to be FDA (Food and Drug Administration) approved. Double-blind controlled studies showed significant seizure reduction in the range of 17%–23% compared to placebo for monthly convulsive seizures in Dravet syndrome and monthly total seizure reduction in the two pivotal LGS trials [93]. Overall, most of the drugs in the pipeline have similar mechanism of actions to traditional drugs. Clinical benefits over exist-ing drugs are, therefore, unlikely in the near future. Along-side the novelty in drug therapy explored by pharmaceutical companies, viral-vector mediated gene therapy has demon-strated success in animal models of focal neocortical epilep-sy using chemical-genetics and optogenetics, but no human trials are yet in progress.
Gene therapy. The use of novel therapeutic approaches in the management of epilepsy is steadily progressing. Neuro-logical disorders are sometimes caused by inherited or ac-quired genetic changes that lead to abnormal nervous sys-tem development, neurodegeneration, or impaired neuronal function. About 30% of the epilepsies have been thought to have a genetic origin [94]. Gene therapy, as an emerging and novel therapeutic approach has curative potentials of the most common neurological disorders including DRE. It had been formerly defined as a method to replace the defective copy of a gene with a normal copy which acts correctly in the cells [95]. There are various methods to transfer and ex-press a gene in a particular region of the brain that include cell transplantation, liposomes, non-viral and viral vector delivery, (adenovirus, adeno-associated virus, herpes sim-plex virus, lentivirus, and retrovirus). Gene therapy for DRE treatment aims to induce the local release of anticonvulsant or antiepileptogenic properties to counterbalance between excitation and inhibition in the brain. It offers the possibility of targeting therapeutic genes expressing in the seizure gen-erating area without needing tissue ablation. These results are very promising; however, it is important to note that only infrequent types of epilepsy are caused by a single mutant gene; while they are commonly caused by inheritance of two or more susceptibility genes that usually influence a large part of the brain. Therefore, an extensive gene transfer is needed; however, the presently available gene therapies provide only local effects [94]. Improvement in the gene therapy-treating
epilepsy can be possible through progress in understand-ing the disease mechanisms, designing suitable gene vec-tors, selecting suitable genes, and choosing the right delivery methods. Taken together, gene therapy can be considered as a therapeutic approach in the management of epilepsy; but further studies are needed to verify the safety and effi-cacy of this method in human. Gene therapy is a more chal-lenging and complicated process than the simple concept of gene replacement. Techniques for transferring of exogenous genes into the desired sequence of target cells have been re-markably improved. Clustered regularly interspaced short palindromic repeats (CRISPR) are types of nucleic acid se-quences that function in harmony with CRISPR-associated (Cas) proteins to provide immunity in bacteria and archaea against foreign invasion of nucleotides, such as viruses, plas-mid, and phages. CRISPR-Cas9 system has recently attracted increasing attention for therapeutic applications [96]. This system has presented a novel approach in repairing gene de-fects for treating various types of disorders including neuro-logical diseases. Due to its potential in targeted gene editing and repairing of genetic mutations, CRISPR-Cas9 can also be considered for applying as a possible therapeutic ap-proach in treating DRE with genetic origins. Although it is the most powerful and useful technique for the multiplexed genome manipulating, there are still some challenges regard-ing efficiency and accuracy concerns, and further studies are needed to verify its safety before clinical applications. Sev-eral studies with the aim of epilepsy treating have applied various cell types, such as neural stem cells, mesenchymal stem cells, hippocampal precursor cells, GABAergic precur-sor cells, and bone marrow-derived mononuclear cells. They all aim to diminish seizure severity and frequency in the brain through different mechanisms of action. Although the results are encouraging, to use cell therapy in clinical appli-cation, additional and vigorous studies are necessary to test safety and efficacy of this approach [97].
Exosome therapy. The exosome is a kind of extracel-lular vesicles which have initially been recognized in the 1980s. Exosomes are characterized by homogeneous shaped nano (40–100 nm) membranous vesicles with a density of 1.13–1.19g/cm2. They can be secreted by several body cell types and have been detected in the various biological flu-ids including blood, urine, saliva, CSF, breast milk, amniotic fluid, malignant ascites, bronchoalveolar fluid, and synovial fluid. Depending on their source cells, exosomes can contain a variety of lipids, proteins, and genetic elements, such as DNA, non-coding RNAs, mRNAs, and microRNAs. These agents which are also known as “cargo” can be delivered to the surrounding cells or transferred to other distal cells and alter the recipient cell function. Therefore, exosomes can be considered as a novel form of intercellular communica-tion. Interestingly, it has been shown that many cells of the nervous system, such as neurons, microglia, astrocytes, oli-godendrocytes, and neural stem cells can release exosomes. Thus, exosomes may have a role in the function, develop-ment, and pathologies of the nervous system [98]. Emerg-ing pieces of evidence have suggested that exosomes can be
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used to rescue neuronal pathologies and alterations. It has been revealed that these vesicles have crucial roles in the re-generation process and repair of the nervous system. Their simple structure, low immunogenicity, and ability to cross the blood-brain barrier (BBB) have made a great opportu-nity to engineer and apply them as vehicles for delivering microRNAs, drugs, proteins, and other active agents to the brain. MicroRNAs have been known as master regulators of gene expression. In the nervous system, they can alter the regulation of various proteins which associate with several neuronal processes and actions. They have been shown to regulate essential genes involved in seizure susceptibility. Therefore, exosomes contained the agents which have anti-seizure activity can be potentially applied to manage and treat epilepsy. However, more studies are needed to address their use in clinical trials [84, 98].
neuromodulation in pharmacoresistant epilepsyCorrectly selected antiepileptic drugs (AEDs) show good
clinical improvement in most individuals with epilepsy, al-though almost a third of these patients at some point will present an inadequate or insufficient response to current AEDs [99]. In individuals with drug-resistant epilepsy the percentage of general morbidity and mortality is significant-ly higher when compared to drug responsive cases. There-fore, there is a consistent need for improving therapeutically management in this population. From a pathophysiological point of view, epilepsy is a result of abnormal neuronal net-work activity in the brain due to a pathological increase in excitatory synapses (Glutaminergic) with a decrease in in-hibitory activity (GABA-ergic). Thus, approaching this para-digm it is assumed that inhibitory neuromodulation could induce the phenomenon of LTD (long-term excitatory de-pression) with normalization of the excitation threshold in hyperactive areas and as a result obtain the expected thera-peutic effect. Modulation of brain activity can be achieved by impacting specific intra/ extracranial targets, either the pe-ripheral elements of sensitization or direct cortical-subcor-tical activity as shown in Figure 1. By influencing the activ-ity of these components, a modulation of either widespread brain networks or direct modulation of network nodes can be achieved.
Vagal nerve stimulation (VNS) involves intermittent electrical stimulation of the afferent fibers of the left cervical vagus nerve in a transcutaneous (tVNS) or non-invasive (nVNS) way or by means of an implanted helical electrode connected to a pulse generator. The therapeutic efficacy of VNS appears to be mediated by the activation of fast myelinated fibers in the vagus nerve. Its anticonvulsant effect can be explained by several mechanisms, such as the modulation of neurotransmitter expression with increased inhibition and reduced excitability, changes in cerebral blood flow, desynchronization of electroencephalographic (EEG) rhythms, and anti-inflammatory effects mediated by norepinephrine [100].
Transcranial direct current stimulation (tDCS) is a non-invasive method that modulates cortical excitability using a weak constant electric current passing through two elec-
trodes (anode and cathode) applied over the skull. Cortical excitability may increase following anodal stimulation, while it generally decreases after cathodal stimulation. Consider-ing this principle, hyperpolarization using cathodal tDCS has been proposed as therapy to suppress epileptiform dis-charges [101].
Trigeminal nerve stimulation (TNS) similar to VNS and tDCS uses electrical stimuli but targets trigeminal sensory roots within the facial tissue (ophthalmic nerve, supra-trochlear nerve, infraorbital nerve). Considering the projec-tions of the trigeminal pathway, it is thought to generate an arousal-like effect from stimulation of the reticular activat-ing system which leads to a shift of cortical activity from a “synchronized” state to a “desynchronized” state. As seizures present highly synchronous activity, it was hypothesized that desynchronization of the neocortex would have an anticon-vulsant effect [102].
Transcranial magnetic stimulation (TMS) is a non-invasive brain stimulation technique which using electromagnetic induction phenomenon is able to module electrical activity of targeted cortical areas. The application of low-frequency (<1Hz) repetitive TMS or continuous theta burst stimulation (cTBS) modulates the cortical excitability and produces its relatively long-term depression-like mechanisms in the cortex [103].
Deep brain stimulation (DBS) is an invasive neuromodu-lation technique that uses electrical stimulation through electrode implantation within the anterior nucleus of thala-mus, centromedian nucleus of thalamus, cerebellum, hip-pocampus, or subthalamic nucleus to interfere with neuro-nal synchronized oscillations, thus inducing modulation of pathological neural networks [104].
Responsive neurostimulation (RNS) is a closed loop, inva-sive brain stimulation method that aims to suppress ictal ac-tivity by delivering stimulation directly in response to elec-trographic activity; it is highly time- and area-specific, there-fore providing stimulation only when needed [100] (fig. 1).
By reducing cortical excitability, targeted neuromodula-tion has enormous therapeutic potential in the treatment of epilepsy, especially in drug-resistant epilepsy.
PerspectivesThe issue of drug resistance to epilepsy remains relevant
to date. Thus, the use of an integrated approach, personalizing the therapy of patients with refractory epilepsy, can achieve significant positive results.
Therefore, a therapeutic strategy for drug-resistant epilepsy should be based on the one hand, on the suppression of epileptogenesis and, on the other hand, on overcoming drug resistance. An integrated approach to the problem of drug resistance will allow not only obtaining new data on the mechanisms of the pathogenesis of epilepsy, but also improving the algorithm for treating patients and increasing its effectiveness.
Although the previous decades have noted remarkable developments in the neurosciences, technological improve-ments in diagnostics (genetics, imaging, electrophysiology)
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and increased options of drug therapies, epidemiological studies suggest that this has not translated in wide benefits for drug-resistant patients [105].
Conclusions
Neuroscience of drug-resistant epilepsy faces many chal-lenges. Inflammatory mediators, biomarkers, and genes might allow the identification of new treatment targets, contribute to an earlier diagnosis, and assess the clinical outcomes. New therapeutic approaches, with personalized therapy for each patient, offer better perspectives for patients and their families. Thus, drug resistance in epilepsy is an ur-gent scientific and practical issue that requires fundamental and interdependent clinical research. The further develop-ment of new surgical methods and non-surgical treatment of drug-resistant epilepsy remains relevant, including the modernization of neurorehabilitation methods.
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. Authors’ ORCID iDs and academic degreesVitalie Chiosa, MD, PhD, Assistant Professor – https:/orcid.org/0000-0001-9026-1121Dumitru Ciolac, MD, Assistant Professor – https://orcid.org/0000-0003-1243-313X Viorica Chelban, MD, PhD, MSc, MRCP, Assistant Professor – https://orcid.org/0000-0002-5817-6290 Daniela Gasnas, MD, Assistant Professor – https://orcid.org/0000-0003-2696-5444Anatolie Vataman, MD, Assistant Professor – https://orcid.org/0000-0002-6328-6216 Cristina Munteanu, MD, Assistant Professor – https://orcid.org/0000-0001-9534-2094Stanislav Groppa, MD, PhD, Professor, Academician – https:/orcid.org/0000-0002-2120-2408
Authors’ contributionVC, DC and SG conceptualized the project and designed the research; VC, DC, VC, DG, AV and CM conducted literature review and drafted the first manuscript. SG revised the manuscript critically. All the authors approved the final version of the manuscript.
FundingThis study was supported by Nicolae Testemitanu State University of Medicine and Pharmacy and Institute of Emergency Medicine, Chisinau, the Republic of Moldova. This study was also supported by the project entitled “Integrating epileptogenic mechanisms to create a network of multimodal diagnosis and treatment of epilepsy” (20.80009.8007.40) within the State Program (2020-2023). The trial was the authors’ initiative. The authors are independent and take responsibility for the integrity of the data and accuracy of the data analysis.
Ethics approval and consent to participateNo approval was required for this study.
Conflict of InterestsThe authors declare no conflict of interests.
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