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Describing our institution’s off-label use of gabapentin to treat irritability after superior cavopulmonary connection surgery and its impact on subsequent opiate and benzodiazepine requirements.
Methods:
This is a single-center retrospective cohort study including infants who underwent superior cavopulmonary connection operation between 2011 and 2019.
Results:
Gabapentin was administered in 74 subjects (74/323, 22.9%) during the observation period, with a median (IQR) starting dose of 5.7 (3.3, 15.0) mg/kg/day and a maximum dose of 10.7 (5.5, 23.4) mg/kg/day. Infants who underwent surgery in 2015–19 were more likely to receive gabapentin compared with those who underwent surgery in 2011–14 (p < 0.0001). Infants prescribed gabapentin were younger at surgery (137 versus 146 days, p = 0.007) and had longer chest tube durations (1.8 versus 0.9 days, p < 0.001), as well as longer postoperative intensive care (5.8 versus 3.1 days, p < 0.0001) and hospital (11.5 versus 7.0 days, p < 0.0001) lengths of stays. The year of surgery was the only predisposing factor associated with gabapentin administration in multivariate analysis. In adjusted linear regression, infants prescribed gabapentin on postoperative day 0–4 (n = 64) had reduced benzodiazepine exposure in the following 3 days (−0.29 mg/kg, 95% CI −0.52 – −0.06, p = 0.01) compared with those not prescribed gabapentin, while no difference was seen in opioid exposure (p = 0.59).
Conclusions:
Gabapentin was used with increasing frequency during the study period. There was a modest reduction in benzodiazepine requirements associated with gabapentin administration and no reduction in opioid requirements. A randomised controlled trial could better assess gabapentin’s benefits postoperatively in children with congenital heart disease.
We report a case of hypoplastic left heart syndrome and with subsequent aortopathy and then found to have hereditary haemorrhagic telangiectasia/juvenile polyposis syndrome due to a germline SMAD4 pathologic variant. The patient’s staged palliation was complicated by the development of neoaortic aneurysms, arteriovenous malformations, and gastrointestinal bleeding thought to be secondary to Fontan circulation, but workup revealed a SMAD4 variant consistent with hereditary haemorrhagic telangiectasia/juvenile polyposis syndrome. This case underscores the importance of genetic modifiers in CHD, especially those with Fontan physiology.
CHD is an important phenotypic feature of chromosome 22q11.2 copy number variants. Biventricular repair is usually possible, however there are rare reports of patients with chromosome 22q copy number variants and functional single ventricle cardiac disease.
Methods:
This is a single centre retrospective review of patients with chromosome 22q copy number variants who underwent staged single ventricle reconstructive surgery between 1 July, 1984 and 31 December, 2020.
Results:
Seventeen patients met inclusion criteria. The most common diagnosis was hypoplastic left heart syndrome (n = 8) and vascular anomalies were present in 13 patients. A microdeletion of the chromosome 22 A-D low-copy repeat was present in 13 patients, and the remaining had a duplication. About half of the patients had documented craniofacial abnormalities and/or hypocalcaemia, and developmental delay was very common. Fifteen patients had a Norwood operation, 10 patients had a superior cavopulmonary anastomosis, and 7 patients had a Fontan. Two patients had cardiac transplantation after Fontan. Overall survival is 64% at 1 year, and 58% at 5 and 10 years. Most deaths occurred following Norwood operation (n = 5).
Conclusions:
CHD necessitating single ventricle reconstruction associated with chromosome 22q copy number variants is not common, but typically occurs as a variant of hypoplastic left heart syndrome with the usual cytogenetic microdeletion. The most common neonatal surgical intervention performed is the Norwood, where most of the mortality burden occurs. Associated anomalies and medical issues may cause additional morbidity after cardiac surgery, but survival is similar to infants with other types of single ventricle disease.
Vesicular monoamine transporter 2 (VMAT2) inhibitors including valbenazine are first-line therapies for tardive dyskinesia (TD), a persistent movement disorder associated with antipsychotic exposure. This real-world study was performed to assess the association between patient awareness of TD symptoms and clinician-assessed symptom severity.
Methods
Clinicians who treated antipsychotic-induced TD with a VMAT2 inhibitor within the past 24 months were asked to extract demographic/clinical data from patients charts and complete a survey for additional data, including patient awareness of TD (yes/no) and TD symptom severity (mild/moderate/severe).
Results
Data for 601 patients were provided by 163 clinicians (113 psychiatrists; 46 neurologists; 4 primary care physicians). Patient demographics: 50% male; mean age 50.6 years; 55% schizophrenia/schizoaffective disorder; 29% bipolar disorder; 16% other psychiatric diagnoses. Positive relationships were seen between patient awareness and clinician-assessed symptom severity. Awareness was highest in patients with severe symptoms in specific body regions: face (88% vs 78%/69% [awareness by severe vs moderate/mild symptoms]); jaw (90% vs 80%/67%); wrists (90% vs 69%/63%). In other regions, awareness was similar in patients with severe or moderate symptoms: lips (85%/86% vs 68% [severe/moderate vs mild]); tongue (81%/80% vs 73%); neck (80%/78% vs 68%); arms (67%/66% vs 62%); knees (67%/67% vs 53%).
Conclusions
In patients prescribed a VMAT2 inhibitor for TD, patient awareness was generally higher in those determined to have moderate-to-severe symptom severity as assessed by the clinician. More research is needed to understand how awareness and severity contribute to TD burden, and whether different treatment strategies are needed based on these factors.
This paper studies the macroeconomic effects of shocks to idiosyncratic business risk in an economy with endogenously incomplete markets. I develop a model in which firms face idiosyncratic risk and obtain insurance from intermediaries through contracts akin to credit lines. Insurance is imperfect due to limited commitment in financial contracts. Although steady-state capital is higher than if firms were constrained to issue only standard equity, a rise in uncertainty about idiosyncratic business outcomes leads to an endogenous reduction in risk sharing. This deterioration in risk sharing results from a general-equilibrium shortage of pledgeable assets and implies that the economy’s response to an increase in idiosyncratic business risk can be amplified by financial contracting rather than dampened. In a parametrized version of the model, a rise in idiosyncratic business risk generates a large increase in uncertainty about aggregate investment.
The Society of Academic Emergency Medicine Disaster Medicine Interest Group, the Office of the Assistant Secretary for Preparedness and Response – Technical Resources, Assistance Center, and Information Exchange (ASPR TRACIE) team, and the National Institutes of Health Library searched disaster medicine peer-reviewed and gray literature to identify, review, and disseminate the most important new research in this field for academics and practitioners.
Methods:
MEDLINE/PubMed and Scopus databases were searched with key words. Additional gray literature and focused hand search were performed. A Level I review of titles and abstracts with inclusion criteria of disaster medicine, health care system, and disaster type concepts was performed. Eight reviewers performed Level II full-text review and formal scoring for overall quality, impact, clarity, and importance, with scoring ranging from 0 to 20. Reviewers summarized and critiqued articles scoring 16.5 and above.
Results:
Articles totaling 1176 were identified, and 347 were screened in a Level II review. Of these, 193 (56%) were Original Research, 117 (34%) Case Report or other, and 37 (11%) were Review/Meta-Analysis. The average final score after a Level II review was 11.34. Eighteen articles scored 16.5 or higher. Of the 18 articles, 9 (50%) were Case Report or other, 7 (39%) were Original Research, and 2 (11%) were Review/Meta-Analysis.
Conclusions:
This first review highlighted the breadth of disaster medicine, including emerging infectious disease outbreaks, terror attacks, and natural disasters. We hope this review becomes an annual source of actionable, pertinent literature for the emerging field of disaster medicine.
The discovery of historical genders and sexualities offers the possibility of establishing continuities between the past and present that allow for identification and a more nuanced understanding of contemporary categories. Sexually, femininity was defined by the passive position in heterosexual intercourse, and yet, one of the principal medieval associations with femininity was sexual voracity. The survey of genders and sexualities discussed in this chapter is organized around a few configurations found in medieval literary texts. Beginning in the twelfth century, the literature of romance initiated a new model of heroic masculinity in tandem with the invention of heterosexual courtly love. Same-sex desire in the Middle Ages appears most often in the context of friendship. Virginity provided a kind of gender transitivity for women in a way that it did not for male saints. Finally, the chapter addresses literary representations of gender transgression and sexual acts between members of the same sex.
There have been long questions about the relationship of schizophrenia to other mental disorders. Lifetime DSM-III-R diagnoses of mood and anxiety disorders in twins with clinically diagnosed schizophrenia (n = 24) and their non-affected co-twins (n = 24) were compared with twins from pairs without schizophrenia (n = 3327) using a sample from the Vietnam Era Twin Registry. Schizophrenic probands had significantly elevated rates of all included disorders (bipolar disorder, major depression, dysthymia, generalized anxiety disorder, panic disorder, and PTSD) compared with controls (P < 0.01). The odd ratios comparing co-twins of schizophrenic probands with controls was greater than three for every disorder, but did not attain statistical significance. A similar pattern was observed when analyses were restricted to only monozygotic twins (n = 12). Consistent with other studies, schizophrenics appeared to have higher rates of a range of mental disorders. Our results suggest that schizophrenia per se represents a risk factor for other psychiatric disorders, but the absence of significantly elevated risk among non-schizophrenic co-twins suggested that family environmental and/or genetic factors that contribute to risk of schizophrenia do not increase the risk of mood and anxiety disorders to the same extent that the risk of these other disorders is increased by the presence of schizophrenia. Twin Research (2000) 3, 28–32.
Just a few days after Eve Kosofsky Sedgwick's death last April 12, I received an e-mail from Lee Edelman. “I sometimes think,” he wrote, “that Eve was the only person who really thought this day would come.” Lee's “really” resonates with a talk Eve gave a decade ago. I don't recall that she shared it with me at the time she wrote it, or I may have forgotten, not wanting to take in what she was saying. The piece was made available to me as Eve's literary executor, a task I agreed to several years ago in something of the same state of mind: not wanting to accept what I knew I was agreeing to, not wanting to believe what Eve realized would come. I'm aiming now to put together a volume of Eve's writing that represents her work since Touching Feeling appeared in 2003. Thanks to David Kosofsky, I have on one of those mass storage devices the contents of Eve's computers; there I found “Reality and Realization,” the 1999 talk to which I refer. It was “learning that a cancer I had thought was in remission had in fact become incurable,” Eve wrote, that made “inescapably vivid in repeated mental shuttle-passes the considerable distance between knowing that one will die and realizing it.” Just this shuttle, I would suggest, colors much of the work Eve was doing toward the book on Proust she was writing in the last several years.
The Essay that Follows was Prompted by a Session at the 2004 MLA Annual Convention, “Ten Years Since Queering The Renaissance,” organized by Madhavi Menon and chaired by Jonathan Goldberg. The other panelists were Jeffrey Masten and Richard Rambuss, two of the contributors to the 1994 volume, and Laurie Shannon. The papers ranged widely from theoretical questions about the activity of queering to the practices of glossing texts, from relations between queering and gendering to the ways in which queering might also throw into question the human-animal divide. The essay below picks up on some of the broadest theoretical questions raised by the panel, emphasizing the need to continue the work begun a decade ago and suggesting some methodological problems and challenges to be faced.
The study of the significance of Cather's sexuality for her writing was decisively launched by Sharon O'Brien in a 1984 essay; subsequent work in this area takes O'Brien's 1987 biography of Cather as a benchmark, a necessary point of departure. In “'The Thing Not Named': Willa Cather as a Lesbian Writer,” O'Brien linked the topics I address here - the question of Cather's artistic practices; the question of her sexuality - in the phrase she highlights from Cather's programmatic 1922 essay, “The Novel Démeublé.” “The thing not named” names the love that dare not speak its name, the crime not to be named among Christians. For O'Brien, Cather's self-recognition as a lesbian was inscribed under this prohibition (O'Brien found evidence for this self-understanding in an 1892 letter of Cather's to Louise Pound). “Cather did not fully or uncritically internalize the emotionally crippling definition of lesbianism as 'sick' or 'perverse' and challenged the social construction of female friendship as unnatural. And yet simultaneously she could not help accepting it” (p. 81). Out of this ambivalence, O'Brien argued, Cather fashioned gender-ambivalent characters (as she had early named herself William Cather, MD; she signed the letter to Pound “William”), displaced same-sex desire into luscious descriptions of feminized landscapes, and eventually molded strong women characters who, however, never were coupled with other women.
Although the expression special rights emerged most prominently in the twentieth century as a negative response to the civil rights movement, the use of the term has recently acquired a broader, more ubiquitous doctrinal reach. In this paper we elaborate on the meaning of the term special rights as a political device and a way to mobilize power. As a discourse, special rights inverts relations between majority and minority, threatens a cultural contract that distributes universalistic and particular norms, and alters relations of governance. We apply these ideas to an empirical study of special rights politics in three very different issues in Hawai'i-same-sex marriage, the conversion of landholding from leasehold to fee, and indigenous sovereignty. These case studies demonstrate both the pervasiveness and capaciousness of special rights. We show that the use and impact of this discursive strategy varied a great deal from case to case, as did the responses to the accusations of special rights. Our findings suggest that special rights language and its surrogates have become a pervasive part of post-civil rights politics.
The purpose of this paper is to identify the important gaps in research coverage, particularly in areas key to the National Service Framework for Mental Health (NSF-MH) (Department of Health, 1999) and the NHS Plan (Department of Health, 2000), and to translate these gaps into researchable questions, with a view to developing a potential research agenda for consideration by research funders.