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Many studies have highlighted the detrimental effect of childhood maltreatment (CM) on depression severity and the course of illness in major depressive disorder (MDD). Yet our understanding of how CM influences the dynamic symptom change throughout a patient’s trajectory remains limited. Hence, we investigated the impact of CM on depression severity in MDD with a focus on various treatment phases during inpatient treatment and after discharge (1 or 2 years later) and validated findings in a real-world setting.
Methods
We used longitudinal data from a cohort study sample (n = 567) and a clinical routine sample (n = 438). CM was measured with the Childhood Trauma Questionnaire (CTQ), and depression severity was assessed using Beck’s Depression Inventory (BDI). The long-term clinical trajectory was assessed using the Life Chart Interview.
Results
Our analyses revealed that CM significantly increased depression severity before, during, and after inpatient therapy in both samples. Although CM was associated with higher depression severity at the beginning of inpatient treatment and lower remission rates upon discharge, no discernible impact of CM was evident on the relative change in symptoms over time during inpatient treatment. CM consistently predicted higher relapse rates and lower rates of full remission after discharge during long-term follow-up in both samples.
Conclusions
Our findings affirm the link between CM and the development of more severe and persistent clinical trajectories within real-world clinical settings. Furthermore, conventional psychiatric treatments may not lead to comparable outcomes for individuals with a history of CM, underscoring the necessity for tailored therapeutic interventions.
The EMT-ATG achieved a significant milestone with its inaugural deployment during the SIDS4 Conference in Antigua. The EMT2030 strategy and Global Health Emergency Corps (GHEC) approach underscore the importance of collaborative leadership and joint efforts among all the networks to provide a comprehensive response.
Objectives:
The primary objective of the deployment was to ensure the health and safety of SIDS4 conference attendees through a coordinated and effective emergency medical response. It also aimed to demonstrate the capability of small island countries to establish and deploy fully operational and self-sufficient EMTs in coordination with other rapid response capacities, fostering a model of collaborative leadership.
Method/Description:
Training programs, conducted in collaboration with PAHO, focused on disaster response, triage, and mass casualty management. PAHO capacity building included the procurement of medical equipment, establishment of mobile medical units, and enhancement of communication systems for seamless coordination.
In preparation for deployment, ATG-EMT conducted simulation exercises and drills which involved various stakeholders, including local health authorities, security agencies, prehospital EMS, public health rapid response teams, and community volunteers.
Results/Outcomes:
The successful deployment of ATG-EMT during the SIDS4 Conference demonstrated the team’s capability to provide high-quality medical care and support at a high-profile international event. This contributed to the health and safety of over 4,500 delegates.
Conclusion:
The deployment highlights the importance of continuous training, robust capacity building, meticulous preparation in developing an effective emergency medical response system and serves as a model for small island countries aiming to enhance their disaster response capabilities.
Changing human behaviours is a key facet of addressing global environmental issues. There are many factors (i.e. determinants) that could influence whether an individual engages in pro-environmental behaviour, and understanding these determinants can improve efforts to protect and restore the natural environment. However, despite published criticism of poor survey design, there is little practical guidance on how to capture these determinants accurately in closed-answer surveys (those with predefined answer options). A recent literature review summarized behavioural determinants of pro-environmental behaviour. We build on this by providing practical insights into how 17 key pro-environmental behavioural determinants can be measured through closed-answer surveys. We reviewed 177 papers published during 2013–2023 that met the criteria for inclusion. These papers captured 624 measurements of the 17 determinants. We found seven types of question formats used, including scales (Likert scales, semantic scales and a pictorial scale), multiple-choice questions (where respondents could select either one or more answer options), binary questions and ranking questions. We then synthesized design considerations both specifically for each format and more broadly across surveys. These considerations included using validated measures, reducing cognitive burden and biases (e.g. social desirability bias, order effects, recall bias), selecting the question format (e.g. different formats of multiple-choice or binary questions) and using best practices for scale questions. The insights collected through this review provide practical advice for developing closed-answer surveys that robustly and usefully measure key determinants of pro-environmental behaviour.
In response to the intricate challenges posed by high-cost, one-shot curative therapies, this study explores what hinders the wide implementation of innovative payment schemes across Europe. Drawing insights from the Belgian social healthcare system, this study focused on defining the necessary and sufficient conditions for implementing outcome-based spread payments in the context of market access to advanced medicinal products
Methods
Semi-structured interviews (n=33) were conducted with physicians (n=2), hospital pharmacists (n=4), hospital managers (n=2), patient representatives (n=3), industry representatives (n=5), Belgian policymakers (n=6), sickness fund representatives (n=4), legislative experts (n=2), and accounting experts (n=5) to elicit opinions and insights on stakeholders’ responsibilities and roles, and identify the necessary and sufficient conditions to establish outcome-based spread payments for the reimbursement of innovative therapies. The interviews took place between July 2020 and October 2020. The framework method analysis was performed using NVivo software (version 20.4.1.851). Statements were allocated into six main topics: payment structure, spread payments, outcome-based agreements, governance, transparency, and regulation.
Results
Interviewees across stakeholder groups endorsed the idea of implementing outcome-based spread payments. However, opinions varied on practical and legal feasibility, especially regarding long-term follow-up for patients, data collection burden on physicians, and implications on the financing flow of health technology developers, hospitals, and the government. Concerns were also raised regarding the potential need for new governance structures, enhanced transparency on agreements and pricing mechanisms, as well as defining data requirements to address uncertainties often seen with this type of therapy. All interviewees emphasized the importance of increasing stakeholders’ understanding of these agreements to foster broader acceptance and successful implementation.
Conclusions
The effective implementation of outcome-based spread payments falls behind because consensus on how this reimbursement method can be a sustainable solution is missing. Leveraging the concepts of necessary and sufficient conditions from organizational research, this study provides guidance on resolving challenges and defines stakeholders’ roles for successfully implementing this reimbursement approach.
The Personalized Advantage Index (PAI) shows promise as a method for identifying the most effective treatment for individual patients. Previous studies have demonstrated its utility in retrospective evaluations across various settings. In this study, we explored the effect of different methodological choices in predictive modelling underlying the PAI.
Methods
Our approach involved a two-step procedure. First, we conducted a review of prior studies utilizing the PAI, evaluating each study using the Prediction model study Risk Of Bias Assessment Tool (PROBAST). We specifically assessed whether the studies adhered to two standards of predictive modeling: refraining from using leave-one-out cross-validation (LOO CV) and preventing data leakage. Second, we examined the impact of deviating from these methodological standards in real data. We employed both a traditional approach violating these standards and an advanced approach implementing them in two large-scale datasets, PANIC-net (n = 261) and Protect-AD (n = 614).
Results
The PROBAST-rating revealed a substantial risk of bias across studies, primarily due to inappropriate methodological choices. Most studies did not adhere to the examined prediction modeling standards, employing LOO CV and allowing data leakage. The comparison between the traditional and advanced approach revealed that ignoring these standards could systematically overestimate the utility of the PAI.
Conclusion
Our study cautions that violating standards in predictive modeling may strongly influence the evaluation of the PAI's utility, possibly leading to false positive results. To support an unbiased evaluation, crucial for potential clinical application, we provide a low-bias, openly accessible, and meticulously annotated script implementing the PAI.
The hippocampal formation represents a key region in the pathophysiology of schizophrenia. Aerobic exercise poses a promising add-on treatment to potentially counteract structural impairments of the hippocampal formation and associated symptomatic burden. However, current evidence regarding exercise effects on the hippocampal formation in schizophrenia is largely heterogeneous. Therefore, we conducted a systematic review and meta-analysis to assess the impact of aerobic exercise on total hippocampal formation volume. Additionally, we used data from a recent multicenter randomized-controlled trial to examine the effects of aerobic exercise on hippocampal formation subfield volumes and their respective clinical implications.
Methods
The meta-analysis comprised six studies that investigated the influence of aerobic exercise on total hippocampal formation volume compared to a control condition with a total of 186 people with schizophrenia (100 male, 86 female), while original data from 29 patients (20 male, 9 female) was considered to explore effects of six months of aerobic exercise on hippocampal formation subfield volumes.
Results
Our meta-analysis did not demonstrate a significant effect of aerobic exercise on total hippocampal formation volume in people with schizophrenia (g = 0.33 [−0.12 to 0.77]), p = 0.15), but our original data suggested significant volume increases in certain hippocampal subfields, namely the cornu ammonis and dentate gyrus.
Conclusions
Driven by the necessity of better understanding the pathophysiology of schizophrenia, the present work underlines the importance to focus on hippocampal formation subfields and to characterize subgroups of patients that show neuroplastic responses to aerobic exercise accompanied by corresponding clinical improvements.
In situ elemental imaging of planetary surface regolith at a spatial resolution of 100s to 1000s of microns can provide evidence of the provenance of rocks or sediments and their habitability, and can identify post-depositional diagenetic alteration affecting preservation. We use high-resolution elemental maps and XRF spectra from MapX, a flight prototype in situ X-ray imaging instrument, to demonstrate this technology in rock types relevant to astrobiology. Examples are given for various petrologies and depositional/diagenetic environments, including ultramafic/mafic rocks, serpentinites, hydrothermal carbonates, evaporites, stromatolitic cherts and diagenetic concretions.
In the course of an artificially triggered avalanche, a particle tracking procedure is combined with supplementary measurements, including Global Navigation Satellite System (GNSS) positioning, terrestrial laser scanning and Doppler radar measurements. Specifically, an intertial measurement unit is mounted inside a rigid sphere, which is placed in the avalanche track. The sphere is entrained by the moving snow, recording translational accelerations, angular velocities and the flux density of Earth's magnetic field. Based on the recorded data, we present a threefold analysis: (i) a qualitative data interpretation, identifying different particle motion phases which are associated with corresponding flow regimes, (ii) a quantitative time integration algorithm, determining the corresponding particle trajectory and associated velocities on the basis of standard sensor calibration, and (iii) an improved quantitative evaluation relying on a novel in situ sensor calibration technique, which is motivated by the limitations of the given dataset. The final results, i.e. the evolution of the angular orientation of the sensor unit, translational and rotational velocities and estimates of the sensor trajectory, are assessed with respect to their reliability and relevance for avalanche dynamics as well as for future design of experiments.
We investigated concurrent outbreaks of Pseudomonas aeruginosa carrying blaVIM (VIM-CRPA) and Enterobacterales carrying blaKPC (KPC-CRE) at a long-term acute-care hospital (LTACH A).
Methods:
We defined an incident case as the first detection of blaKPC or blaVIM from a patient’s clinical cultures or colonization screening test. We reviewed medical records and performed infection control assessments, colonization screening, environmental sampling, and molecular characterization of carbapenemase-producing organisms from clinical and environmental sources by pulsed-field gel electrophoresis (PFGE) and whole-genome sequencing.
Results:
From July 2017 to December 2018, 76 incident cases were identified from 69 case patients: 51 had blaKPC, 11 had blaVIM, and 7 had blaVIM and blaKPC. Also, blaKPC were identified from 7 Enterobacterales, and all blaVIM were P. aeruginosa. We observed gaps in hand hygiene, and we recovered KPC-CRE and VIM-CRPA from drains and toilets. We identified 4 KPC alleles and 2 VIM alleles; 2 KPC alleles were located on plasmids that were identified across multiple Enterobacterales and in both clinical and environmental isolates.
Conclusions:
Our response to a single patient colonized with VIM-CRPA and KPC-CRE identified concurrent CPO outbreaks at LTACH A. Epidemiologic and genomic investigations indicated that the observed diversity was due to a combination of multiple introductions of VIM-CRPA and KPC-CRE and to the transfer of carbapenemase genes across different bacteria species and strains. Improved infection control, including interventions that minimized potential spread from wastewater premise plumbing, stopped transmission.
This chapter highlights the complexity of communicating public health information to culturally and linguistically diverse communities. Drawing on translation evaluation reports generated by ninety students of the University of Melbourne's Master of Translation and Interpreting, this chapter surveys and examines the veracity of official health messaging translated and made available to Chinese communities from state and federal government websites during the COVID-19 pandemic. We compare translated written resources on COVID-19 provided by different Australian states and the federal government, focusing on identifying different approaches to and significant linguistic, cultural, and conceptual discrepancies in the Chinese translation. We argue that a coherent and well-informed approach to communication by responsible government bodies through quality translation is essential in times of health emergency.
Keywords: COVID-19 translated resources, culturally and linguistically diverse communities, Chinese translation, government messaging, health communication
Introduction
The COVID-19 pandemic has brought with it considerable disruptions and uncertainties, but these have been further exacerbated by linguistic barriers. There has been no shortage of evidence that the novel coronavirus is having a disproportionately high and negative impact on linguistic minority communities around the world. In their statement on the impact of COVID-19 and racial discrimination, the United Nations Committee on the Elimination of Racial Discrimination (CERD) highlights the global evidence that the pandemic continues to disproportionately affect individuals and communities who belong to “national or ethnic, religious and linguistic minorities,” concluding that the pandemic has exacerbated social and structural inequalities, discrimination and exclusion (Committee on the Elimination of Racial Discrimination, 2020). Responses to the virus have varied all over the world, with countries, international organisations, states and local communities enforcing an array of COVID-19 strategies often in conjunction with differing health advice and tailored to the specific circumstances of the region (Amat et al., 2020; Bakir, 2020; Banerjee, 2020; Benítez et al., 2020; Brown, 2020; de Bruijn et al., 2020; Canestrini, 2020; Capano, 2020; Chabibi and Jamallullail, 2020; Chiplunkar and Das, 2021; Christensen and Lægreid, 2020; Civitarese, 2020). The global pandemic has highlighted the importance of recognising linguistic diversity, embracing social inclusion through language, and safeguarding the health and well-being of society by providing accurate and efficient translated health advice.
Does landholding inequality undermine democratization? Recent contributions have challenged the argument that landholding elites oppose suffrage extension if geographically fixed assets are unequally distributed. We advance research on this long-standing question by exploiting exogenous variance to reinvestigate the relationship. Using multiple instruments, we find that landholding inequality decreases support for suffrage extension. By focusing on traditional patterns of social control, we explore an empirically neglected mechanism linking landholding inequality and democratization. Taking advantage of four direct democratic votes between 1866 and 1877 in Switzerland, we demonstrate that landholding inequality also influences the political preferences of ordinary citizens who do not control these resources. This paper shows that high levels of landholding inequality provide local elites with the incentive and the means to align the local population's voting behaviour with their political goals. Supplementary analyses using qualitative and quantitative data further substantiate this social control mechanism.
Contains 'The Meeting-place of Wixamtree Hundred', by F. W. Marsom. 'Newnham Priory: A Bedford Rental, 1506-7', by W. N. Henman. 'Newnham Priory: Rental of Manor at Biddenham, 1505-6', by Barbara Cook. 'The Papers of Richard Taylor of Clapham (c. 1579-1641)', by G. D. Gilmore. 'John Crook, 1617-1699: A Bedfordshire Quaker', by H. G. Tibbutt. 'A Bedfordshire Wage Assessment of 1684', by T. S. Willan. 'A Luton Baptist Minute Book, 1707-1806', by C. E. Freeman.