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1.
Rheumatology (Oxford) ; 60(8): 3617-3627, 2021 08 02.
Article in English | MEDLINE | ID: mdl-33484138

ABSTRACT

OBJECTIVES: Management of early arthritis is based upon early recognition of individuals at high risk of developing persistent arthritis. Therefore, this study investigates whether the number of risk factors for persistent disease or treatment determines the clinical course of early arthritis by comparing the chance at (sustained) DMARD-free remission ((S)DFR) after 2 years follow-up. METHODS: Data from the tREACH trial, a stratified single-blinded multicentre strategy trial with a treat-to-target approach were used. We selected all patients with ≥1 swollen joint who did not fulfil 1987 and/or 2010 criteria for RA. The number of risk factors present; autoantibody-positivity, polyarthritis (>4), erosive disease and elevated acute phase reactants, determined risk group stratification. Multivariate logistic regression analyses were performed with (S)DFR as dependent variables and baseline disease activity score (DAS), treatment, symptom duration and number of risk factors present as independent variables. RESULTS: In total, 130 early arthritis patients were included and respectively 31, 66 and 33 had 0, 1 and ≥2 risk factors present. DFR rates were respectively 74%, 48% and 45% for early arthritis patients with 0, 1 and ≥2 risk factors present. In accordance SDFR rates were 61%, 32% and 30%. In our logistic model (S)DFR was not influenced by the initial treatment strategies when stratified for risk groups. CONCLUSION: The chance at (S)DFR in early arthritis diminishes when more risk factors are present, which is irrespective of the given initial treatment. Our data point out to a stratified management approach in early arthritis based on their risk profile, but validation is needed. TRIAL REGISTRATION: ISRCTN registry: ISRCTN26791028 (http://www.isrctn.com/ISRCTN26791028).


Subject(s)
Arthritis/epidemiology , Adult , Antirheumatic Agents/therapeutic use , Arthritis/drug therapy , Cohort Studies , Female , Humans , Male , Middle Aged , Netherlands/epidemiology , Remission, Spontaneous , Risk Factors
2.
Rheumatol Int ; 38(9): 1643-1650, 2018 Sep.
Article in English | MEDLINE | ID: mdl-30014260

ABSTRACT

Fatigue has a large impact on quality of life and is still unmanageable for many patients. Study aims were describe (1) the prevalence and pattern of fatigue over time in patients with early rheumatoid arthritis under a treat-to-target strategy and (2) identify predictive factors for worsening and recovering of fatigue over time. Data from the tREACH study were used, comparing different treatment strategies with fatigue as secondary objective. Patient outcomes on fatigue, quality of life, depression, and coping were obtained every 6 months and clinically assessed every 3 months. Prediction of fatigue at 12 months was investigated with an ROC curve. Analysis was stratified into non-fatigue and fatigue at baseline. Logistic regression was used for the evolution of fatigue in relation with the covariates over time. Almost half of all patients (n = 246) had high fatigue levels at baseline, decreasing slightly over time. At 12 months, 43% of patients were fatigued; while 23% of the initially fatigued patients showed lower levels of fatigue, the fatigue level had increased in 15% of the initially non-fatigued patients. The strongest predictor of fatigue was the previous fatigue levels (AUC 0.89). Higher score on the depression scale and coping with limitations was associated with developing fatigue over time in the initially non-fatigued group. Despite a strict treat-to-target strategy, fatigue remained an overall problem during the first year of treatment, and was mainly predicted by its baseline status. In subgroups, a small additional effect of depression was seen. Monitoring fatigue and depression may be important in managing fatigue.


Subject(s)
Arthritis, Rheumatoid/epidemiology , Fatigue/epidemiology , Quality of Life , Severity of Illness Index , Arthritis, Rheumatoid/psychology , Comorbidity , Female , Humans , Male , Middle Aged , Prospective Studies , ROC Curve
3.
Ann Rheum Dis ; 75(12): 2119-2123, 2016 Dec.
Article in English | MEDLINE | ID: mdl-27283332

ABSTRACT

OBJECTIVES: With early and intensive treatment many patients with early RA attain remission. Aims were to investigate (1) the frequency and time to sustained remission and subsequent tapering in patients initially treated with conventional synthetic disease modifying anti-rheumatic drug ((cs)DMARD) strategies and (2) the frequency and time to flare and regained remission in patients tapering csDMARDs and biological (b)DMARDs during 2 years of follow-up. METHODS: Two-year follow-up data from the treatment in the Rotterdam Early Arthritis Cohort (tREACH) cohort were used. Patients were randomised to initial treatment with triple DMARD therapy (iTDT) with glucocorticoid (GC) bridging or methotrexate monotherapy (iMM) with GC bridging. Patients were evaluated every 3 months. In case Disease Activity Score (DAS) was >2.4 treatment was switched to a TNF-blocker. In case DAS<1.6 at 2 consecutive time points, tapering was initiated according to protocol. Outcomes were rates of sustained remission (DAS<1.6 at 2 consecutive time points), flare (medication increase after tapering) and remission after flare (DAS<1.6). Data were analysed using Kaplan-Meier analyses. RESULTS: During 2 years of follow-up, sustained remission was achieved at least once by 159 (57%) of patients, of whom 118 and 23 patients initiated tapering of csDMARDs and bDMARDs, respectively. Thirty-four patients achieved drug-free remission. Flare rates were 41% and 37% and within 1 year, respectively. After flare, 65% of patients tapering csDMARDs re-achieved remission within 6 months after treatment intensification. CONCLUSIONS: Regardless of initial treatment strategy, 57% of patients achieved sustained remission during 2 years of follow-up. Flare rates were 41% and 37% within 12 months in patients tapering csDMARDs and bDMARDs, respectively. TRIAL REGISTRATION NUMBER: ISRCTN26791028; Post-results.


Subject(s)
Antirheumatic Agents/administration & dosage , Arthritis, Rheumatoid/drug therapy , Glucocorticoids/administration & dosage , Methotrexate/administration & dosage , Adult , Aged , Drug Administration Schedule , Drug Therapy, Combination , Female , Follow-Up Studies , Humans , Kaplan-Meier Estimate , Male , Middle Aged , Remission Induction , Symptom Flare Up , Time Factors
4.
Rheumatol Int ; 35(8): 1325-33, 2015 Aug.
Article in English | MEDLINE | ID: mdl-25724472

ABSTRACT

Glucocorticoids (GC) are widely used in rheumatoid arthritis (RA). Ongoing active disease due to GC resistance may unfavorably influence long-term disease outcome in RA. We studied the association between the presence of glucocorticoid receptor (GR) and glucocorticoid-induced transcript 1 (GLCCI1) gene polymorphisms, which modulate GC sensitivity, and baseline disease activity score (DAS) and efficacy of GC bridging therapy in RA. We prospectively studied in vivo GC sensitivity in 138 patients with recent-onset or longstanding RA. In vivo GC sensitivity was expressed as the relative decrease in DAS following 2 weeks of standardized GC therapy. All patients were genotyped for the GR polymorphisms BclI (rs41423247), N363S (rs6195), 9ß (rs6198), ER22/23EK (rs6189 + rs6190), and the GLCCI1 variant rs37972 and subsequently divided in groups carrying a polymorphism associated with increased GC sensitivity (BclI-G allele, N363S-G allele, GLCCI1-C allele) or decreased GC sensitivity (9ß-G allele, ER22/23EK-A/A allele, GLCCI1-T allele). Differences in baseline DAS and relative decrease in DAS in the different genotype groups were analyzed using analysis of covariance and linear regression. Baseline DAS was higher in patients who carried polymorphisms of the GR and GLCCI1 genes associated with decreased GC sensitivity. GLCCI1 genotype, but not GR genotypes, was associated with improvement in DAS in male patients with RA. The GLCCI1 gene minor allele (rs37972) may be associated with less efficient GC bridging therapy in male RA patients. Carriers of the BclI-G, N363S-G, or GLCCI1-C alleles had lower levels of baseline disease activity, suggesting a role for the GLCCI1 and GR gene in regulation of GC sensitivity to endogenously produced cortisol.


Subject(s)
Arthritis, Rheumatoid/genetics , Receptors, Glucocorticoid/genetics , Adult , Aged , Arthritis, Rheumatoid/drug therapy , Cohort Studies , Female , Glucocorticoids/therapeutic use , Haplotypes , Humans , Male , Middle Aged , Severity of Illness Index , Treatment Outcome
5.
Ann Rheum Dis ; 73(7): 1331-9, 2014 Jul.
Article in English | MEDLINE | ID: mdl-24788619

ABSTRACT

OBJECTIVES: To compare 1-year clinical efficacy of (1) initial triple disease-modifying antirheumatic drug therapy (iTDT) with initial methotrexate (MTX) monotherapy (iMM) and (2) different glucocorticoid (GC) bridging therapies: oral versus a single intramuscular injection in early rheumatoid arthritis. METHODS: In a single-blinded randomised clinical trial patients were randomised into three arms: (A) iTDT (methotrexate+sulfasalazine+hydroxychloroquine) with GCs intramuscularly; (B) iTDT with an oral GC tapering scheme and (C) MTX with oral GCs similar to B. Primary outcomes were (1) area under the curve (AUC) of Health Assessment Questionnaire (HAQ) and Disease Activity Score (DAS) and (2) the proportion of patients with radiographic progression. RESULTS: 281 patients were randomly assigned to arms A (n=91), B (n=93) or C (n=97). The AUC DAS and HAQ were respectively -2.39 (95% CI -4.77 to -0.00) and -1.67 (95% CI -3.35 to 0.02) lower in patients receiving iTDT than in those receiving iMM. After 3 months, treatment failure occurred less often in the iTDT group, resulting in 40% fewer treatment intensifications. The difference in treatment intensifications between the arms required to maintain the predefined treatment goal remained over time. No differences were seen between the two GC bridging therapies. Respectively 21%, 24% and 23% of patients in arms A, B and C had radiographic progression after 1 year. Patients receiving iTDT had more adjustments of their medication owing to adverse events than those receiving iMM. CONCLUSIONS: Treatment goals are attained more quickly and maintained with fewer treatment intensifications with iTDT than with iMM. However, no difference in radiographic progression is seen. Both GC bridging therapies are equally effective and, therefore, both can be used. TRIAL REGISTRATION NUMBER: ISRCTN26791028.


Subject(s)
Antirheumatic Agents/therapeutic use , Arthritis, Rheumatoid/drug therapy , Glucocorticoids/therapeutic use , Hydroxychloroquine/therapeutic use , Methotrexate/therapeutic use , Sulfasalazine/therapeutic use , Administration, Oral , Adult , Aged , Area Under Curve , Arthritis, Rheumatoid/diagnostic imaging , Disease Progression , Drug Therapy, Combination/methods , Female , Humans , Injections, Intramuscular , Longitudinal Studies , Male , Middle Aged , Radiography , Single-Blind Method , Treatment Outcome
6.
Ann Rheum Dis ; 72(1): 72-8, 2013 Jan.
Article in English | MEDLINE | ID: mdl-22679301

ABSTRACT

OBJECTIVE: To determine the most effective induction disease-modifying antirheumatic drug (DMARD) strategy in early rheumatoid arthritis (RA), second to compare one single dose of intramuscular glucocorticoids (GCs) with daily oral GCs during the induction phase. METHODS: The 3-month data of a single-blinded clinical trial in patients with recent-onset arthritis (tREACH) were used. Patients were included who had a high probability (>70%) of progressing to persistent arthritis, based on the prediction model of Visser. Patients were randomised into three induction therapy strategies: (A) combination therapy (methotrexate (MTX) + sulfasalazine + hydroxychloroquine) with GCs intramuscularly; (B) combination therapy with an oral GC tapering scheme and (C) MTX with oral GCs similar to B. A total of 281 patients were randomly assigned to strategy (A) (n=91), (B) (n=93) or (C) (n=97). RESULTS: The Disease Activity Score (DAS) after 3 months was lower in patients receiving initial combination therapy than in those receiving MTX monotherapy (0.39 (0.67 to 0.11, 95% CI)). DAS did not differ between the different GC bridging treatments. After 3 months 50% fewer biological agents were prescribed in the combination therapy groups. Although the proportion of patients with medication adjustments differed significantly between the treatment arms, no differences were seen in these adjustments due to adverse events after stratification for drug. CONCLUSION: Triple DMARD induction therapy is better than MTX monotherapy in early RA. Furthermore, no differences were seen in medication adjustments due to adverse events after stratification for drug. Intramuscular and oral GCs are equally effective as bridging treatments and both can be used.


Subject(s)
Antirheumatic Agents/administration & dosage , Arthritis, Rheumatoid/drug therapy , Administration, Oral , Antirheumatic Agents/adverse effects , Drug Therapy, Combination , Female , Glucocorticoids/administration & dosage , Humans , Hydroxychloroquine/administration & dosage , Hydroxychloroquine/adverse effects , Induction Chemotherapy , Injections, Intramuscular , Male , Methotrexate/administration & dosage , Methotrexate/adverse effects , Middle Aged , Recovery of Function/drug effects , Sulfasalazine/administration & dosage , Sulfasalazine/adverse effects
7.
Arthritis Rheum ; 64(10): 3095-101, 2012 Oct.
Article in English | MEDLINE | ID: mdl-22673898

ABSTRACT

OBJECTIVE: To optimize use of the Disease Activity Score in 28 joints (DAS28) in early rheumatoid arthritis (RA) by adding the "squeeze test" of forefeet. METHODS: The squeeze test is used to examine bilateral compression pain (BCP) across the metatarsophalangeal (MTP) joints. For this study, data for patients participating in the Treatment in the Rotterdam Early Arthritis Cohort study, an ongoing clinical trial that evaluates different induction therapies in patients with early RA, were randomly divided into 2 subsets. In subset 1 (149 patients and 819 disease activity assessments), the mathematical function of the DAS28-squeeze was constructed using a linear regression model with the DAS as the dependent variable and the DAS28 and squeeze test as the independent variables. A DAS28-BCP disease state was also constructed, in which DAS28 disease state categorizations were upgraded one state if the result of the squeeze test was positive. In subset 2 (153 patients and 754 assessments), concordance in disease states between the DAS28, DAS28-squeeze, and DAS28-BCP disease states was compared, using both the DAS and Boolean-defined remission criteria as reference. RESULTS: Agreement between the DAS and the DAS28-squeeze (82%) was significantly higher than agreement between the DAS and the DAS28 (76%). When we assessed the group of patients who had arthritis of the forefeet only (22 patients and 46 assessments), overall agreement between the DAS and the DAS28 was 40%, while agreement between the DAS and the DAS28-squeeze was 59% and that between the DAS and the DAS28-BCP disease state was 65%. Furthermore, the specificities of the DAS28-squeeze and the DAS28-BCP (80% and 81%, respectively) were higher than that of the DAS28 (76%), while the sensitivities of the DAS28, DAS28-squeeze, and DAS28-BCP to identify true remission according to the Boolean criteria were 88%, 87%, and 81%, respectively. CONCLUSION: Adding the squeeze test of forefeet to the DAS28 has value for dependably classifying the disease state in patients with early RA.


Subject(s)
Arthritis, Rheumatoid/diagnosis , Metatarsophalangeal Joint/physiopathology , Arthritis, Rheumatoid/physiopathology , Cohort Studies , Female , Humans , Male , Middle Aged , Sensitivity and Specificity , Severity of Illness Index
8.
Semin Arthritis Rheum ; 50(3): 423-431, 2020 06.
Article in English | MEDLINE | ID: mdl-32224045

ABSTRACT

OBJECTIVES: To determine the impact of a disease flare on patient reported outcome measures (PROMs) in rheumatoid arthritis (RA) patients, who are tapering treatment. METHODS: Data were used from the TARA trial; a multicenter, randomized controlled trial in which RA patients, with a well-controlled disease (DAS≤2.4 and SJC≤1) for at least 6 months, gradually tapered their DMARDs. PROMs of patients with a flare (DAS>2.4 and/or SJC>1) were compared every three months before and after a flare with their own norm values. Linear Mixed Models were used to investigate whether a disease flare influenced functional ability (HAQ-DI), fatigue (BRAF-MDQ), quality of life (EQ-5D and SF36), anxiety and depression (HADS), morning stiffness, general health (GH) and worker productivity, and if so, the duration was determined. For unemployment and sick leave we used descriptive statistics. RESULTS: A flare negatively influenced GH, morning stiffness, HAQ-DI, EQ-5D, BRAF-MDQ, and the SF36 physical component scale and this effect lasted >3 months. Except for the HAQ-DI, effect sizes exceeded the minimum clinically important differences (MCIDs). For the physical outcomes effects lasted >6 months. Worker productivity was not significantly affected by a flare. CONCLUSION: A disease flare influenced patients' lives, the largest effect was seen in the physical outcomes, and lasted 6 months. Although on a group level effect sizes for the separate PROMs were not always significant or larger than specific MCIDs, a disease flare can still be of great importance for individual patients.


Subject(s)
Antirheumatic Agents/administration & dosage , Arthritis, Rheumatoid/drug therapy , Drug Tapering/methods , Symptom Flare Up , Tumor Necrosis Factor Inhibitors/administration & dosage , Aged , Dose-Response Relationship, Drug , Female , Humans , Male , Middle Aged , Minimal Clinically Important Difference , Patient Reported Outcome Measures , Physical Functional Performance , Quality of Life , Time Factors
9.
J Bone Miner Res ; 13(10): 1587-93, 1998 Oct.
Article in English | MEDLINE | ID: mdl-9783547

ABSTRACT

The aim of our study was to validate a hip fracture risk function, composed of age and femoral neck bone mineral density (BMD). This estimate of the 1-year cumulative risk was previously developed on the basis of Dutch hip fracture incidence data and BMD in men and women. A cohort of 7046 persons (2778 men) aged 55 years and over was followed for an average of 3.8 years. The 1-year hip fracture risk estimate was calculated for each participant according to the risk function and categorized as low (<0.1%), moderate (0.1 to < 1%), or high (> or =1%). Observed first hip fracture incidence was then analyzed for each of these risk categories by age and gender. Additionally, we calculated the relative risk per standard deviation (SD) decrease in femoral neck BMD in this population. At baseline, 2360 individuals were categorized as low risk, 2567 as moderate risk, and 378 as high risk During follow-up, 110 first hip fractures were observed corresponding to an incidence rate of 4.1/1000 person-years (pyrs) (95% confidence interval 3.4-5.0). The observed incidence rate in the low risk group was 0.2/1000 pyrs (0.1-0.9), 2.7/1000 pyrs (1.8-3.9) in the moderate risk group, and 18.4/1000 pyrs (12.4-27.2) in the high risk group. Below the age of 70 years, incidence was low in all categories, and very few individuals were considered at high risk Above the age of 70 years, the observed incidence was high in the high risk group, while in the low and moderate risk groups, the incidence remained low even over 80 years of age. In women, the age-adjusted relative risk for hip fractures was 2.5 per SD decrease in femoral neck BMD (1.8-3.6), while in men this relative risk was 3.0 per SD (1.7-5.4). In conclusion, we observed a similar relation of hip fracture with femoral neck BMD in men and women and were able to predict accurately hip fracture rates over a period of almost 4 years.


Subject(s)
Hip Fractures/epidemiology , Aged , Aged, 80 and over , Bone Density , Cohort Studies , Female , Femur Neck/chemistry , Follow-Up Studies , Humans , Incidence , Male , Middle Aged , Models, Theoretical , Netherlands/epidemiology , Prospective Studies , Registries , Risk Factors
10.
J Bone Miner Res ; 16(2): 379-85, 2001 Feb.
Article in English | MEDLINE | ID: mdl-11204438

ABSTRACT

Osteoporosis is a common disease with a strong genetic component. Polymorphisms in the vitamin D receptor (VDR) gene have been implicated in osteoporosis but explain only a small part of the genetic effect on bone mineral density (BMD) while their effect on fractures is still uncertain. Recently, a G to T polymorphism in an Sp1 site in the collagen type Ialpha1 (COLIA1) gene was found to be associated with reduced BMD and with increased fracture risk. To analyze the combined influence of polymorphisms in the VDR gene and the COLIA1 gene in determining the susceptibility to osteoporotic fracture, we studied 1004 postmenopausal women. The "baT" VDR haplotype, constructed from three adjacent restriction fragment length polymorphisms, was found to be overrepresented among fracture cases (p = 0.009). This corresponded to an odds ratio (OR) of 1.8 (95% CI, 1.0-3.3) for heterozygous carriers and 2.6 (95% CI, 1.4-5.0) for homozygous carriers of the risk haplotype. The effect was similar for vertebral and nonvertebral fractures and, most importantly, independent of BMD. We observed significant interaction (p = 0.03) between VDR and COLIA1 genotype effects. Fracture risk was not VDR genotype-dependent in the COLIA1 "reference" group (genotype GG) while in the COLIA1 "risk" group (genotypes GT and TT) the risk of fracture was 2.1 (95% CI, 1.0-4.4) for heterozygous and 4.4 (95% CI, 2.0-9.4) for homozygous carriers of the VDR risk haplotype. We conclude that both the VDR and the COLIA1 polymorphisms are genetic markers for osteoporotic fracture in women, independent of BMD. Our data indicate that interlocus interaction is likely to be an important component of osteoporotic fracture risk.


Subject(s)
Collagen/genetics , Fractures, Bone/genetics , Genetic Predisposition to Disease , Receptors, Calcitriol/genetics , Cohort Studies , Female , Genotype , Humans , Middle Aged , Polymorphism, Genetic , Postmenopause
11.
J Clin Endocrinol Metab ; 84(9): 3146-50, 1999 Sep.
Article in English | MEDLINE | ID: mdl-10487678

ABSTRACT

Age at menopause and risk of hysterectomy have strong genetic components, but the genes involved remain ill defined. We investigated whether genetic variation at the estrogen receptor (ER) gene contributes to the variability in the onset of menopause in 900 postmenopausal women, aged 55-80 yr, of the Rotterdam Study, a population-based cohort study in The Netherlands. Gynecological information was obtained, and if women reported surgical menopause, validation of type and indication of surgery was accomplished by checking medical records. The ER genotypes (PP, Pp, and pp) were assessed by PCR using the PvuII endonuclease. Compared with women carrying the pp genotype, homozygous PP women had a 1.1-yr (P < 0.02) earlier onset of menopause. Furthermore, an allele dose effect was observed, corresponding to a 0.5-yr (P < 0.02) earlier onset of menopause per copy of the P allele. The risk of surgical menopause was 2.4 (95% confidence interval, 1.5-3.8) times higher for women carrying the PP genotype compared to those in the pp group, with the most prominent effect in women who underwent hysterectomy due to fibroids or menorrhagia. We conclude that genetic variations of the ER gene are related to the onset of natural menopause and the risk of surgical menopause, especially hysterectomy.


Subject(s)
Menopause, Premature/genetics , Menopause/genetics , Polymorphism, Restriction Fragment Length , Receptors, Estrogen/genetics , Aged , Aged, 80 and over , Aging , Female , Genotype , Humans , Hysterectomy , Middle Aged , Odds Ratio , Ovariectomy
12.
Bone ; 25(3): 369-74, 1999 Sep.
Article in English | MEDLINE | ID: mdl-10495142

ABSTRACT

Hip fractures constitute a major health problem. For effective prevention, high-risk groups need to be identified. The objective here was to develop hip fracture risk scores while assessing the added value of bone mineral density relative to more conventional risk indicators. We prospectively followed during 4 years a cohort of 5208 persons (2193 men) aged 55 years and over from the Rotterdam Study, a population-based cohort study conducted in the Netherlands. Risk scores for hip fracture were constructed using several conventional risk indicators requiring interview and anthropometry only, and bone mineral density. During follow-up, 50 persons (14 men) suffered hip fracture. Hip fracture risk was independently determined by age, gender, height, the use of a walking aid, cigarette smoking, and either bone mineral density or weight. We developed two risk scores, with and without bone mineral density. The observed 4-year risk ranged from 3/3389 (0.1%) to 17/169 (10.1%) for the lowest and highest category of the score including bone mineral density, respectively. For the score without bone mineral density, these risks were 8/3117 (0.3%) and 16/144 (11.1%), respectively. The area under the receiver operating characteristic curve indicating discriminatory power was 0.88 for the risk score including, and 0.83 for the score excluding, bone mineral density (p for difference = 0.04). In conclusion, risk scores with and without bone mineral density measurement can be used for hip fracture risk assessment in elderly persons. While the score with bone mineral density has a modestly better performance, the score requiring interview and anthropometry only may be especially useful in primary care settings.


Subject(s)
Bone Density , Femur Neck/pathology , Hip Fractures/diagnosis , Aged , Cohort Studies , Female , Hip Fractures/etiology , Hip Fractures/prevention & control , Humans , Male , Odds Ratio , Predictive Value of Tests , Prospective Studies , ROC Curve , Risk Assessment , Risk Factors , Sensitivity and Specificity
13.
Bone ; 34(1): 195-202, 2004 Jan.
Article in English | MEDLINE | ID: mdl-14751578

ABSTRACT

The incidence of all non-vertebral fractures, as well as the relation to bone mineral density (BMD), was quantified in 7806 men and women from the Rotterdam Study, a prospective, population-based cohort study of men and women aged 55 years and older. In addition, the sensitivity of using a T-score at or below -2.5 for identifying subjects at risk for fractures was assessed. At baseline, between 1990 and 1993, femoral neck BMD was measured by dual energy X-ray absorptiometry (DXA). Subsequently, gender-specific T-scores were calculated using the NHANES reference population. During a mean follow-up of 6.8 years, information on incident non-vertebral fractures was gathered. In general, hip, wrist and upper humerus fractures are the most frequent fractures in both men and women. Femoral neck BMD appears to be an equally important risk factor in both genders, and is especially related to hip fractures. For all non-vertebral fractures, the age-adjusted hazard ratio (95% confidence interval) per standard deviation decrease in femoral neck BMD was 1.5 (1.4-1.6) for women and 1.4 (1.2-1.6) for men. For hip fractures, the hazard ratios were 2.1 (1.7-2.5) for women and 2.3 (1.6-3.3) for men. Only 44% of all non-vertebral fractures occurred in women with a T-score below -2.5; in men, this percentage was even lower (21%). Thus, there is a clear need for the development of more sensitive risk assessment tools, using not only BMD, but also other clinical predictors of fractures.


Subject(s)
Bone Density/physiology , Fractures, Bone/epidemiology , Fractures, Bone/physiopathology , Aged , Aged, 80 and over , Bone Diseases, Metabolic/complications , Bone Diseases, Metabolic/epidemiology , Bone and Bones/injuries , Bone and Bones/pathology , Bone and Bones/physiopathology , Cohort Studies , Female , Fractures, Bone/complications , Fractures, Bone/etiology , Humans , Incidence , Male , Middle Aged , Osteoporosis/complications , Osteoporosis/epidemiology , Proportional Hazards Models , Risk Assessment , Risk Factors , Sex Characteristics
14.
Spine (Phila Pa 1976) ; 18(1): 35-40, 1993 Jan.
Article in English | MEDLINE | ID: mdl-8434323

ABSTRACT

Recently smoking has been increasingly implicated as a possible risk factor for low-back pain. One explanation for this finding is confounding by occupation. To investigate this possibility, the relationship between smoking and self-reported back pain was studied within 13 occupations. A relationship between smoking and back pain was observed only in occupations that require physical exertion. The relationship between smoking and other musculoskeletal pain also was explored. Pain in the extremities turned out to be related more clearly to smoking than to pain in the neck or the back. This suggests confounding or a general influence of smoking on pain. It is concluded that prevention of back pain could be a beneficial side-effect of anti-smoking campaigns. However, the prime target for prevention of low-back pain would have to be other factors.


Subject(s)
Back Pain/etiology , Occupations , Smoking/adverse effects , Adult , Back Pain/epidemiology , Humans , Male , Middle Aged , Prevalence
15.
Int J Occup Med Environ Health ; 14(1): 57-61, 2001.
Article in English | MEDLINE | ID: mdl-11428258

ABSTRACT

In the Netherlands, the need for a basically new approach to education and training in occupational medicine was felt by professionals, students, schools and occupational health services (OHS) in the early 1990s. After an inventory of the problems and shortcomings of the traditional curriculum, the Netherlands School of Occupational Health defined the framework for a new curriculum. In this article the background, principles and structure of the new curriculum are described. Three principles shape the curriculum: the needs of OHS; professional standards; and the state-of-the-art. The characteristics of the new curriculum are: interaction between theory and practice; students' self-management of the learning process; co-makership with OHS; and multidisciplinarity. The curriculum consists of a course/theory and a practical part. Most of the theoretical part is presented to so called core group of 12 students, which is to be maintained during the full course period of 4 years. The adage for the practical part to be spent in a certified OHS institution is: "the best teaching OHS are learning OHS". In 1999, the first group of students entered the renewed curriculum. First impressions of the experience gained are presented.


Subject(s)
Curriculum , Occupational Medicine/education , Quality of Health Care , Humans , Netherlands , Occupational Health Services/standards , Occupational Medicine/standards , Organizational Innovation , Workforce
16.
Ned Tijdschr Geneeskd ; 143(26): 1369-73, 1999 Jun 26.
Article in Dutch | MEDLINE | ID: mdl-10416494

ABSTRACT

OBJECTIVE: To evaluate the reactions of companies and Occupational Health Services (OHSs) to the reform of the social security system by the government of the Netherlands; especially to inventory to what extent intended effects (more handicapped workers employed, more reintegration efforts) and unintended effects (exclusion handicapped workers, deteriorated quality OHSs) occurred. DESIGN: Inventory survey. METHOD: Data on number of OHSs and their sizes and staff compositions were collected in September 1997 through a questionnaire sent to all members of the National Association of OHSs (BOA). In addition, data on efforts of enterprises in the area of working circumstances in 1996 and in 1997 were derived from the published results of enquiries by telephone among a representative random sample of 4,000 enterprises. RESULTS: The number of employees in the care of the OHSs was twice as high in 1997 as in 1991. The number of OHS staff members had also doubled, but the proportion of physicians among the total staff had decreased. The number of employees per physician had increased by 34%. The nature of the contracts concluded with enterprises shows that the extension of the market has not led to more extensive OHS care, although it has brought about greater variation. Generally, large companies developed a policy to prevent disability and to employ more handicapped workers, while small and medium-size companies more often tried to exclude people that is at risk for disability or absenteeism. CONCLUSION: Intended effects occurred to a limited extent in larger companies and unintended effects mainly in small and medium-size companies.


Subject(s)
Health Care Reform/organization & administration , Occupational Health Services , Social Security/legislation & jurisprudence , Disability Evaluation , Disabled Persons/statistics & numerical data , Employment/statistics & numerical data , Employment/trends , Female , Health Care Surveys , Humans , Male , Netherlands , Occupational Health Services/legislation & jurisprudence , Occupational Health Services/organization & administration , Policy Making , Privatization/organization & administration , Program Evaluation , Social Security/trends , Workers' Compensation/trends , Workforce
17.
Ned Tijdschr Geneeskd ; 143(26): 1374-8, 1999 Jun 26.
Article in Dutch | MEDLINE | ID: mdl-10416495

ABSTRACT

Between 1993 and 1998 a fundamental reform of the social security system and Occupational Health Services (OHSs) in the Netherlands was implemented in order to lower the relatively high sickness and disability rates. The principle of the government policy is to impose the financial consequences of incapacity for work as much as possible on those who cause it: employers and employees. The reform implies the creation of a market in both fields. Joining an OHS was made mandatory for all employers by ultimately the first of January 1998. Price and product competition between different suppliers of OHSs is promoted. This implies an explosive increase of the target population and the rise of commercial OHSs (which in 1997 provided for 570,000 employees). Other OHSs originated from industrial insurance boards (over 2 million) or from industrial health services (over 3 million). The change of system has increased the economic importance of sickness and health. The number of persons incapable for work has meanwhile grown, risk avoidance by enterprises being one of the causes. Owing to the enhanced interference of employers with absenteeism, the health care system is being asked for specific measures for employees and better contacts between industrial physicians and treating physicians.


Subject(s)
Health Policy , Occupational Health Services/organization & administration , Social Security/organization & administration , Absenteeism , Adult , Economic Competition , Female , Humans , Interprofessional Relations , Male , Middle Aged , Netherlands , Occupational Health Services/economics , Social Security/economics , Unemployment/statistics & numerical data , Work Capacity Evaluation , Workers' Compensation/economics
18.
Ned Tijdschr Geneeskd ; 143(26): 1379-82, 1999 Jun 26.
Article in Dutch | MEDLINE | ID: mdl-10416496

ABSTRACT

In the field of Occupational Health Services (OHSs) a fundamental change of the regime of supply of services was implemented in the Netherlands between 1993 and 1998 by introducing market competition. This regime change is characterised as a shift from a suppliers' market where occupational physicians were able to determine the supply to a large extent, to a buyers' market where companies can choose from a large variety of services at different prices. The regime change does affect the position of the occupational physician drastically and many consider their professional integrity and independence threatened. To meet the demand for an independent judgement and advice in problems concerning the interaction between work and health, the professional group should organize itself more as a party in the market.


Subject(s)
Occupational Health Services/standards , Occupational Medicine/standards , Adult , Economic Competition , Ethics, Medical , Female , Humans , Interprofessional Relations , Male , Middle Aged , Netherlands , Occupational Health Services/economics , Occupational Health Services/supply & distribution , Occupational Medicine/economics , Occupational Medicine/trends , Workforce
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