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1.
Public Health ; 233: 83-89, 2024 Jun 10.
Article in English | MEDLINE | ID: mdl-38861778

ABSTRACT

OBJECTIVE: To describe the incidence and victim demographics of Welsh hospital admissions due to dog bites and strikes from 2014 to 2022. STUDY DESIGN: Descriptive analysis of Welsh hospital admissions data. METHODS: Residents of Wales admitted to a Welsh National Health Service (NHS) hospital for a dog bite or strike, were identified using ICD-10 codes. The annual incidence of dog bite and strike admissions between 2014 and 2022 was calculated and stratified by child-adult status, sex, and Local Health Boards. Trends over time were analysed using the Chi-square test for trends. RESULTS: Hospital admissions due to dog bites and strikes have significantly increased from 16.3 per 100,000 to 23.7 per 100,000 population in 2022. This was driven by an increase in non-geriatric adults and an increase in three Local Health Boards. The Swansea Bay area has the highest incidence in Wales (56.1 admissions per 100,000). CONCLUSIONS: Wales has a higher incidence of dog bites and strikes than England or the Republic of Ireland. Work in the communities where incidence is exceptionally high is needed to understand the reasons behind having the highest incidence of dog bites in the British Isles and to establish the most efficacious methods for bite prevention.

2.
Public Health ; 215: 91-93, 2023 Feb.
Article in English | MEDLINE | ID: mdl-36652787

ABSTRACT

OBJECTIVE: This study aimed to describe the incidence and demographics of fatal dog bites or strikes, as defined in English and Welsh mortality data (2001-2021). STUDY DESIGN: A descriptive analysis of the Office for National Statistics registered deaths data set. METHODS: Individuals whose cause of death was defined as 'bitten or struck by a dog' were identified. The average annual number of dog-related deaths and trends in incidence were calculated. Age and sex demographics of victims were described. RESULTS: In total, there were 69 registered deaths, a mean of 3.3 (95% confidence interval 0.3-6.3) dog-related deaths per year, and a mean annual incidence of 0.59 (95% confidence interval 0.06-1.11) deaths per 10 million population. There was no year-on-year change in incidence. Of victims, 59% were male, 10% were <5 years, and 30% were ≥75 years. CONCLUSIONS: Dog-related deaths are rare in England and Wales and have not increased between 2001 and 2021. Further contextual information about the incidents is needed to be able to develop public health strategies and interventions.


Subject(s)
Bites and Stings , Male , Humans , Dogs , Animals , Female , Wales/epidemiology , England/epidemiology , Accidents , Incidence
3.
J Dairy Sci ; 104(9): 10194-10202, 2021 Sep.
Article in English | MEDLINE | ID: mdl-34099304

ABSTRACT

Our aims were to (1) determine how interdigital skin temperature (IST), measured using infrared thermography, was associated with different stages of digital dermatitis (DD) lesions and (2) develop and validate models that can use IST measurements to identify cows with an active DD lesion. Between March 2019 and March 2020, infrared thermographic images of hind feet were taken from 2,334 Holstein cows across 4 farms. We recorded the maximum temperature reading from infrared thermographic images of the interdigital skin between the heel bulbs on the hind feet. Pregnant animals were enrolled approximately 1 to 2 mo precalving, reassessed 1 wk after calving, and again at approximately 50 to 100 d postpartum. At these time points, IST and the clinical stage of DD (M-stage scoring system: M1-M4.1) were recorded in addition to other data such as the ambient environmental temperature, height, body condition score, parity, and the presence of other foot lesions. A mixed effect linear regression model with IST as the dependent variable was fitted. Interdigital skin temperature was associated with DD lesions; compared to healthy feet, IST was highest in feet with M2 lesions, followed by M1 and M4.1 lesions. Subsequently, the capacity of IST measurements to detect the presence or absence of an active DD lesion (M1, M2, or M4.1) was explored by fitting logistic regression models, which were tested using 10-fold validation. A mixed effect logistic regression model with the presence of active DD as the dependent variable was fitted first. The average area under the curve for this model was 0.80 when its ability to detect presence of active DD was tested on 10% of the data that were not used for the model's training; an average sensitivity of 0.77 and an average specificity of 0.67 was achieved. This model was then restricted so that only explanatory variables that could be practically recorded in a nonresearch, external setting were included. Validation of this model demonstrated an average area under the curve of 0.78, a sensitivity of 0.88, and a specificity of 0.66 for 1 of the time points (precalving). Lower sensitivity and specificity were achieved for the other 2 time points. Our study adds further evidence to the relationship between DD and foot skin temperature using a large data set with multiple measurements per animal. Additionally, we highlight the potential for infrared thermography to be used for routine on-farm diagnosis of active DD lesions.


Subject(s)
Cattle Diseases , Digital Dermatitis , Foot Diseases , Animals , Cattle , Cattle Diseases/diagnosis , Diagnostic Imaging , Digital Dermatitis/diagnosis , Female , Foot Diseases/diagnosis , Foot Diseases/veterinary , Parity , Pregnancy
4.
Epidemiol Infect ; 145(10): 2020-2029, 2017 07.
Article in English | MEDLINE | ID: mdl-28462753

ABSTRACT

Ticks represent a large global reservoir of zoonotic disease. Current surveillance systems can be time and labour intensive. We propose that the passive surveillance of companion animal electronic health records (EHRs) could provide a novel methodology for describing temporal and spatial tick activity. A total of 16 58 857 EHRs were collected over a 2-year period (31 March 2014 and 29 May 2016) from companion animals attending a large sentinel network of 192 veterinary clinics across Great Britain (the Small Animal Veterinary Surveillance Network - SAVSNET). In total, 2180 EHRs were identified where a tick was recorded on an animal. The relative risk of dogs presenting with a tick compared with cats was 0·73 (95% confidence intervals 0·67-0·80). The highest number of tick records were in the south central regions of England. The presence of ticks showed marked seasonality with summer peaks, and a secondary smaller peak in autumn for cats; ticks were still being found throughout most of Great Britain during the winter. This suggests that passive surveillance of companion animal EHRs can describe tick activity temporally and spatially in a large cohort of veterinary clinics across Great Britain. These results and methodology could help inform veterinary and public health messages as well as increase awareness of ticks and tick-borne diseases in the general population.


Subject(s)
Cat Diseases/epidemiology , Dog Diseases/epidemiology , Electronic Health Records/statistics & numerical data , Epidemiological Monitoring/veterinary , Sentinel Surveillance/veterinary , Ticks/physiology , Animals , Cat Diseases/parasitology , Cats , Dog Diseases/parasitology , Dogs , Pets , Sentinel Species/parasitology , Tick-Borne Diseases/epidemiology , Tick-Borne Diseases/parasitology , United Kingdom/epidemiology
5.
J Hosp Infect ; 111: 96-101, 2021 May.
Article in English | MEDLINE | ID: mdl-33453350

ABSTRACT

BACKGROUND: COVID-19 placed a significant burden on the care home population during the first wave. Care Quality Commission's care quality ratings are given to all English care homes and could be used to identify whether care homes are at risk of COVID-19 outbreaks. METHODS: An audit was performed, April 2020, of Liverpool care homes to identify associations between COVID-19 status and care quality ratings from the Care Quality Commission. Univariable logistic regression was performed to identify whether the Care Quality Commissions ratings were associated with a care home experiencing a COVID-19 outbreak, or a home having asymptomatic cases. FINDINGS: Over half of the care homes (53.2%, n=41), had laboratory-confirmed clinical cases and 39 (95.1%) of these were reported as outbreaks. A small number of care homes (10.4%, n=8) had asymptomatic cases and over a third had no clinical or asymptomatic cases (36.4%, n=28). There was no significant difference between the overall Care Quality Commission rating of Liverpool and English care homes (p=0.57). There was no significant association between any of the Care Quality Commission rating domains and the presence of COVID-19 outbreaks and/or asymptomatic cases. CONCLUSIONS: During the first wave of the COVID-19 pandemic, Care Quality Commission ratings were not associated with COVID-19 outbreaks or asymptomatic cases in care homes. Infection prevention and control components of Care Quality Commission ratings need to be strengthened to identify care homes at a potential risk of infectious disease outbreaks that may require targeted support. Further large-scale studies will be required to test the findings from this study.


Subject(s)
COVID-19/epidemiology , Disease Outbreaks/statistics & numerical data , Forecasting , Homes for the Aged/statistics & numerical data , Nursing Homes/statistics & numerical data , Pandemics/statistics & numerical data , Quality of Health Care/statistics & numerical data , Aged , Aged, 80 and over , England/epidemiology , Female , Humans , Male , SARS-CoV-2
6.
J Hosp Infect ; 111: 89-95, 2021 May.
Article in English | MEDLINE | ID: mdl-33453349

ABSTRACT

BACKGROUND: COVID-19 care home outbreaks represent a significant proportion of COVID-19 morbidity and mortality in the UK. National testing initially focused on symptomatic care home residents, before extending to asymptomatic cohorts. AIM: The aim was to describe the epidemiology and transmission of COVID-19 in outbreak free care homes. METHODS: A two-point prevalence survey of COVID-19, in 34 Liverpool care homes, was performed in April and May 2020. Changes in prevalence were analysed. Associations between care home characteristics, reported infection, prevention and control interventions, and COVID-19 status were described and analysed. FINDINGS: No resident developed COVID-19 symptoms during the study. There was no significant difference between: the number of care homes containing at least one test positive resident between the first (17.6%, 95% confidence interval (CI) 6.8-34.5) and second round (14.7%, 95% CI 5.0-31.1) of testing (p>0.99); and the number of residents testing positive between the first (2.1%, 95% CI 1.2-3.4) and second round (1.0%, 95% CI 0.5-2.1) of testing (P=0.11). Care homes providing nursing care (risk ratio (RR) 7.99, 95% CI 1.1-57.3) and employing agency staff (RR 8.4, 95% CI 1.2-60.8) were more likely to contain test positive residents. Closing residents shared space was not associated with residents testing positive (RR 2.63, 95% CI 0.4-18.5). CONCLUSIONS: Asymptomatic COVID-19 care homes showed no evidence of disease transmission or development of outbreaks; suggesting that current infection prevention and control measures are effective in preventing transmission. Repeat testing at two to three weeks had limited or no public health benefits over regular daily monitoring of staff and residents for symptoms. These results should inform policies calling for regular testing of asymptomatic residents.


Subject(s)
COVID-19 Testing/statistics & numerical data , COVID-19/prevention & control , COVID-19/transmission , Carrier State/diagnosis , Disease Outbreaks/prevention & control , Homes for the Aged/statistics & numerical data , Nursing Homes/statistics & numerical data , Adult , Aged , Aged, 80 and over , Asymptomatic Infections/epidemiology , COVID-19/epidemiology , Female , Humans , Male , Middle Aged , SARS-CoV-2 , Symptom Assessment , United Kingdom/epidemiology
7.
Am J Orthod Dentofacial Orthop ; 137(2): 274-84, 2010 Feb.
Article in English | MEDLINE | ID: mdl-20152686

ABSTRACT

INTRODUCTION: Early Class III treatment with reverse-pull headgear generally results in maxillary skeletal protraction but is frequently also accompanied by unfavorable dentoalveolar effects. An alternative treatment with intermaxillary elastics from a temporary anchorage device might permit equivalent favorable skeletal changes without the unwanted dentoalveolar effects. METHODS: Six consecutive patients (3 boys, 3 girls; ages, 10-13 years 3 months) with Class III occlusion and maxillary deficiency were treated by using intermaxillary elastics to titanium miniplates. Cone-beam computed tomography scans taken before and after treatment were used to create 3-dimensional volumetric models that were superimposed on nongrowing structures in the anterior cranial base to determine anatomic changes during treatment. RESULTS: The effect of the intermaxillary elastic forces was throughout the nasomaxillary structures. All 6 patients showed improvements in the skeletal relationship, primarily through maxillary advancement with little effect on the dentoalveolar units or change in mandibular position. CONCLUSIONS: The use of intermaxillary forces applied to temporary anchorage devices appears to be a promising treatment method.


Subject(s)
Malocclusion, Angle Class III/therapy , Maxilla/surgery , Orthodontic Appliances, Functional , Orthodontics, Corrective/methods , Traction/methods , Adolescent , Bone Plates , Child , Cone-Beam Computed Tomography , Female , Humans , Male , Malocclusion, Angle Class III/pathology , Maxilla/growth & development , Maxilla/pathology , Models, Dental , Orthodontic Anchorage Procedures/instrumentation , Orthodontics, Corrective/instrumentation , Osteogenesis, Distraction/instrumentation , Osteogenesis, Distraction/methods , Pilot Projects , Prospective Studies
8.
Am J Orthod Dentofacial Orthop ; 136(1): 94-9, 2009 Jul.
Article in English | MEDLINE | ID: mdl-19577154

ABSTRACT

INTRODUCTION: The objective of this study was to evaluate a new method for superimposition of 3-dimensional (3D) models of growing subjects. METHODS: Cone-beam computed tomography scans were taken before and after Class III malocclusion orthopedic treatment with miniplates. Three observers independently constructed 18 3D virtual surface models from cone-beam computed tomography scans of 3 patients. Separate 3D models were constructed for soft-tissue, cranial base, maxillary, and mandibular surfaces. The anterior cranial fossa was used to register the 3D models of before and after treatment (about 1 year of follow-up). RESULTS: Three-dimensional overlays of superimposed models and 3D color-coded displacement maps allowed visual and quantitative assessment of growth and treatment changes. The range of interobserver errors for each anatomic region was 0.4 mm for the zygomatic process of maxilla, chin, condyles, posterior border of the rami, and lower border of the mandible, and 0.5 mm for the anterior maxilla soft-tissue upper lip. CONCLUSIONS: Our results suggest that this method is a valid and reproducible assessment of treatment outcomes for growing subjects. This technique can be used to identify maxillary and mandibular positional changes and bone remodeling relative to the anterior cranial fossa.


Subject(s)
Cone-Beam Computed Tomography/methods , Image Processing, Computer-Assisted/methods , Imaging, Three-Dimensional/methods , Maxillofacial Development/physiology , Bone Plates , Child , Chin/growth & development , Cranial Fossa, Anterior/pathology , Ethmoid Bone/pathology , Face , Follow-Up Studies , Humans , Lip/growth & development , Malocclusion, Angle Class III/therapy , Mandible/growth & development , Mandibular Condyle/growth & development , Maxilla/growth & development , Observer Variation , Skull Base/growth & development , Software , Treatment Outcome , User-Computer Interface , Zygoma/growth & development
9.
J Oral Maxillofac Surg ; 66(7): 1439-45, 2008 Jul.
Article in English | MEDLINE | ID: mdl-18571028

ABSTRACT

PURPOSE: Skeletal anchorage systems are increasingly used in orthodontics. This article describes the techniques of placement and removal of modified surgical miniplates used for temporary orthodontic anchorage and reports surgeons' perceptions of their use. PATIENTS AND METHODS: We enrolled 97 consecutive orthodontic patients having miniplates placed as an adjunct to treatment. A total of 200 miniplates were placed by 9 oral surgeons. Patients and surgeons completed questionnaires after placement and removal surgeries. RESULTS: Fifteen miniplates needed to be removed prematurely. Antibiotics and anti-inflammatories were generally prescribed after placement but not after removal surgery. Most surgeries were performed with the patient under local anesthesia. Placement surgery lasted on average between 15 and 30 minutes per plate and was considered by the surgeons to be very easy to moderately easy. The surgery to remove the miniplates was considered easier and took less time. The patients' chief complaint was swelling, lasting on average 5.3 +/- 2.8 days after placement and 4.5 +/- 2.6 days after removal. CONCLUSIONS: Although miniplate placement/removal surgery requires the elevation of a flap, this was considered an easy and relatively short surgical procedure that can typically be performed with the patient under local anesthesia without complications, and it may be considered a safe and effective adjunct for orthodontic treatment.


Subject(s)
Alveolar Process/surgery , Bone Plates , Device Removal , Orthodontic Anchorage Procedures/instrumentation , Adolescent , Adult , Bone Screws , Child , Dental Implantation, Endosseous , Female , Humans , Male , Miniaturization , Orthodontic Anchorage Procedures/methods , Surveys and Questionnaires
10.
Am J Orthod Dentofacial Orthop ; 133(1): 18-24, 2008 Jan.
Article in English | MEDLINE | ID: mdl-18174066

ABSTRACT

INTRODUCTION: Temporary skeletal anchorage is a relatively recent addition to orthodontic treatment. Surgical miniplates, modified with intraoral attachments, provide an alternative to miniscrews for skeletal anchorage. In this study, we wanted to determine patients' and providers' perceptions of miniplate use during orthodontic treatment. METHODS: Consecutive patients having miniplates placed as part of their treatment completed questionnaires about their experiences during surgery and orthodontic treatment. A total of 200 miniplates were placed for 97 patients. The 30 orthodontists treating these patients also completed questionnaires concerning miniplate success, handling complexity, and whether these devices simplified treatment. RESULTS: The success rate was 92.5%. The devices were well tolerated by the patients. After a year, 72% of the patients reported that they did not mind having the implant, and 82% said that the surgical experience was better than expected, with little or no pain. The most frequent problems were postsurgical swelling, lasting 5 days on average, and cheek irritation experienced initially by more than a third of the patients, but it lessened over time. The clinicians reported that these devices were easy to use and greatly simplified orthodontic treatment. CONCLUSIONS: Miniplates are well accepted by patients and providers and are a safe and effective adjunct for complex orthodontic treatments.


Subject(s)
Attitude of Health Personnel , Orthodontic Anchorage Procedures/instrumentation , Orthodontic Anchorage Procedures/psychology , Patient Satisfaction , Adolescent , Adult , Bone Plates , Child , Dental Implantation, Endosseous , Dentists , Equipment Failure , Female , Humans , Male , Middle Aged , Miniaturization , Prospective Studies , Surveys and Questionnaires
11.
Am J Orthod Dentofacial Orthop ; 131(4 Suppl): S52-8, 2007 Apr.
Article in English | MEDLINE | ID: mdl-17448386

ABSTRACT

INTRODUCTION: Our aim was to review the experimental literature to determine what is known about functional and morphological tissue reactions around orthodontically loaded temporary skeletal anchorage devices. METHODS: The PubMed electronic database and the reference citations in published articles were searched to the end of April 2006. The inclusion criteria were animal studies about orthodontically loaded skeletal anchorage consisting of metallic bone plates or screw implants of 2.2 mm diameter or less. Data on healing time, force application, stability, side effects, and osseointegration were collected by 2 independent readers. RESULTS: Eight articles met the selection criteria. The healing times ranged from 0 to 12 weeks, and the amount of force varied from 25 to 500 g. Implant stability was generally achieved without severe side effects. Direct bone-screw contact was reported to be 10% to 58%, and osseointegration increased with loading time. Nevertheless, no significant difference in bone-screw contact was found between loaded and unloaded screw implants, or between tension and pressure sides of loaded implants. CONCLUSIONS: This review highlights some positive experimental findings that apply in clinical practice. However, questions concerning optimal force systems, surgical techniques and placement, and healing times remain. Future research should be well controlled and based on standardized protocols to test specific hypotheses.


Subject(s)
Dental Implants , Implants, Experimental , Orthodontic Anchorage Procedures/instrumentation , Animals , Bone Plates , Bone Screws , Dental Implantation, Endosseous , Dental Stress Analysis , Equipment Failure , Miniaturization , Osseointegration
12.
J Dent Educ ; 71(4): 501-10, 2007 Apr.
Article in English | MEDLINE | ID: mdl-17468311

ABSTRACT

Results of the annual American Dental Education Association surveys of dental school seniors show approximately 10 percent of graduates enter federal government services while less than 1 percent enter dental academia. To examine this difference, this study sought the perceptions of senior dental students and junior military dental officers regarding their choice of a military career in order to determine how military recruitment strategies influenced their career decisions. Official documents explaining military recruitment efforts were requested from the military services and summarized. In-depth telephone interviews were conducted to gather perception data from the students and dental officers on successful strategies. By employing several strategies, the military was able to inform potential recruits about the benefits of being a dentist in the military. The opportunity to have the military finance a student's dental education was a successful military recruitment tool. Other enticing factors included guaranteed employment upon graduation, prestige associated with serving in the military, access to postgraduate training, minimal practice management responsibilities, and opportunities to continue learning and improve clinical skills without significant financial implications. It was concluded that dental education can use the same strategies to highlight the benefits of an academic career and offer many similar incentives that may encourage students to consider a career path in dental education.


Subject(s)
Faculty, Dental , Military Dentistry , Personnel Selection , Attitude , Career Choice , Clinical Competence , Education, Dental/economics , Education, Dental, Continuing , Education, Dental, Graduate , Employment , Fellowships and Scholarships/economics , Financing, Government , Humans , Interviews as Topic , Motivation , Practice Management, Dental , Students, Dental/psychology , United States , Workforce
13.
Am J Dent ; 19(1): 47-50, 2006 Feb.
Article in English | MEDLINE | ID: mdl-16555658

ABSTRACT

PURPOSE: This study evaluated bond strengths of orthodontic brackets to instrumented and uninstrumented enamel using self-etching adhesive systems when compared to a total-etch adhesive system. The adhesive remnant index (ARI) was also determined after debonding. METHODS: 140 bovine incisors were included in acrylic resin, and divided randomly in two groups: instrumented vs. uninstrumented enamel. For the instrumented enamel, specimens had their facial enamel ground flat to 600-grit. In each group, specimens were subdivided into four experimental subgroups according to the adhesive technique used: Transbond Plus, Adper Prompt L-Pop, iBond, and Adper Single Bond, applied following manufacturers' instructions. Orthodontic brackets were bonded to the treated instrumented or uninstrumented enamel with Transbond XT light-cured resin-based composite cement, and the bond strength was tested in shear mode after 7 days. One group where no etch and no adhesive were used served as a control. ARI scores were determined after debonding. RESULTS: There was no statistically significant difference in mean bond strengths between instrumented and uninstrumented enamel for any of the adhesive systems (P > or = 0.05). No significant differences were observed for bond strengths among the adhesives tested (P = 0.308), and all experimental groups resulted in mean bond strengths significantly higher than the controls (P < 0.05). Statistically significant differences were identified when ARI scores were compared, with less adhesive remnants being observed for iBond (uninstrumented enamel) and the control groups (P < 0.05).


Subject(s)
Acid Etching, Dental/methods , Dental Bonding , Dental Cements/chemistry , Dental Enamel/ultrastructure , Orthodontic Brackets , Adhesiveness , Animals , Bisphenol A-Glycidyl Methacrylate/chemistry , Cattle , Dental Prophylaxis , Materials Testing , Random Allocation , Resin Cements/chemistry , Stress, Mechanical , Surface Properties , Time Factors
14.
Nat Commun ; 7: 11761, 2016 06 01.
Article in English | MEDLINE | ID: mdl-27249364

ABSTRACT

Earlier diagnosis and treatment of Alzheimer's disease would greatly benefit from the identification of biomarkers at the prodromal stage. Using a prominent animal model of aspects of the disease, we here show using clinically relevant methodologies that very young, pre-pathological PDAPP mice, which overexpress mutant human amyloid precursor protein in the brain, exhibit two cryptic deficits that are normally undetected using standard methods of assessment. Despite learning a spatial memory task normally and displaying normal brain glucose uptake, they display faster forgetting after a long delay following performance to a criterion, together with a strong impairment of brain glucose uptake at the time of attempted memory retrieval. Preliminary observations suggest that these deficits, likely caused by an impairment in systems consolidation, could be rescued by immunotherapy with an anti-ß-amyloid antibody. Our data suggest a biomarker strategy for the early detection of ß-amyloid-related abnormalities.


Subject(s)
Alzheimer Disease/diagnosis , Amyloid beta-Protein Precursor/genetics , Antibodies, Neutralizing/pharmacology , Brain/drug effects , Glucose/metabolism , Memory Disorders/metabolism , Alzheimer Disease/drug therapy , Alzheimer Disease/metabolism , Alzheimer Disease/physiopathology , Amyloid beta-Protein Precursor/antagonists & inhibitors , Amyloid beta-Protein Precursor/metabolism , Animals , Biological Transport/drug effects , Biomarkers/metabolism , Brain/metabolism , Brain/physiopathology , Brain Mapping , Deoxyglucose/pharmacology , Disease Models, Animal , Female , Gene Expression , Humans , Maze Learning/drug effects , Memory Disorders/genetics , Memory Disorders/physiopathology , Memory Disorders/prevention & control , Mice , Mice, Transgenic , Transgenes
15.
Vet Rec ; 179(14): 358, 2016 Oct 08.
Article in English | MEDLINE | ID: mdl-27484328

ABSTRACT

Recent publications highlighting autochthonous Babesia canis infection in dogs from Essex that have not travelled outside the UK are a powerful reminder of the potential for pathogen emergence in new populations. Here the authors use electronic health data collected from two diagnostic laboratories and a network of 392 veterinary premises to describe canine Babesia cases and levels of Babesia concern from January 2015 to March 2016, and the activity of ticks during December 2015-March 2016. In most areas of the UK, Babesia diagnosis in this population was rare and sporadic. In addition, there was a clear focus of Babesia cases in the affected area in Essex. Until February 2016, analysis of health records indicated only sporadic interest in Babesia largely in animals coming from overseas. Following media coverage in March 2016, there was a spike in owner concern that was geographically dispersed beyond the at-risk area. Tick activity (identified as ticks being removed from animals in veterinary consultations) was consistent but low during the period preceding the infections (<5 ticks/10,000 consultations), but increased in March. This highlights the use of electronic health data to describe rapidly evolving risk and concern that follows the emergence of a pathogen.


Subject(s)
Babesiosis/epidemiology , Dog Diseases/epidemiology , Electronic Health Records/statistics & numerical data , Sentinel Surveillance/veterinary , Ticks , Animals , Communicable Diseases, Emerging/veterinary , Dog Diseases/parasitology , Dogs , United Kingdom/epidemiology
16.
Gene ; 189(1): 35-42, 1997 Apr 11.
Article in English | MEDLINE | ID: mdl-9161409

ABSTRACT

The coordinate expression from induced lambda prophages of pLit-rexB-tImm (late immunity transcription, LIT RNA) and po-oop-t(o) (OOP RNA) has remained unexplained. The initial assigned sequence for pLit bore no relationship to po. We have identified two promoter sites for independent rexB transcription, denoted here pLit2 and pLit1, which are separated by about 330 bp. The upstream pLit1 site shares with po a common 9 bp sequence between the -10 and -35 regions, with strong homology to aspects of the SOS box or LexA operator site. This sequence is also found within OOP RNA, suggesting that OOP RNA, or another regulatory factor recognizing the common sequence, was involved in the regulation of rexB expression and hence Rex exclusion. We measured the influence of OOP synthesis from plasmids on the Rex phenotype, finding that plasmids producing OOP can suppress Rex exclusion by a lambda prophage. The possibility was suggested that low level constitutive rexB transcription occurs from pLit2. Potential binding sites were identified for DnaA, for the LexA, CI and Cro repressors and for lambda O protein in the 80 nt DNA interval upstream from and including pLit1, suggesting a complex regulatory pattern for rexB expression from this promoter.


Subject(s)
Bacteriophage lambda/genetics , Lysogeny/genetics , Mutation , RNA, Viral/biosynthesis , Suppression, Genetic/genetics , Viral Proteins/genetics , Base Sequence , Consensus Sequence/genetics , Gene Expression Regulation, Viral , Molecular Sequence Data , Nucleic Acid Conformation , Phenotype , Plasmids/genetics , Plasmids/pharmacology , Promoter Regions, Genetic , RNA, Viral/chemistry , Repressor Proteins/genetics , Repressor Proteins/pharmacology , Transcription, Genetic
17.
Arch Neurol ; 49(3): 255-8, 1992 Mar.
Article in English | MEDLINE | ID: mdl-1536627

ABSTRACT

From December 1973 through November 1988, we cared for 11 patients who presented with acute radicular pain and in whom radicular compression was ruled out by imaging techniques. Eventually, multiple sclerosis was diagnosed and judged to be responsible for the acute radiculopathy. The patients (seven women, aged 18 to 40 years; median, 32 years) and four men (aged 23 to 34 years; median, 29 years) were followed up from 6 months to 15 years (mean, 4 years 11 months). They represent 3.9% of 282 newly diagnosed cases of multiple sclerosis during the same 15 years. A retrospective analysis of the characteristics of their illness and its evolution was conducted. Six had lumbosacral radiculopathies; three, cervical and two, thoracic. In six of the 11 patients, symptoms occurred in close relationship to trauma; seven had recurrent radicular pain; four had other pain syndromes; and three others, paroxysmal symptoms. One patient died of complications from multiple sclerosis 3 years after diagnosis. Three others were rated five or greater in the extended Kurtzke disability status scale during follow-up.


Subject(s)
Multiple Sclerosis/complications , Pain/etiology , Spinal Cord Diseases/etiology , Adolescent , Adult , Female , Humans , Magnetic Resonance Imaging , Male , Middle Aged , Pain/diagnosis , Spinal Cord Diseases/diagnosis , Spinal Cord Injuries/complications , Wounds and Injuries/complications
18.
Arch Neurol ; 40(5): 287-9, 1983 May.
Article in English | MEDLINE | ID: mdl-6847422

ABSTRACT

Continuous taped EEG recordings were made following resuscitation in 18 survivors of cardiopulmonary arrest. These taped data were processed, using Bickford's method of compressed spectral array, and four distinctive patterns were recognized. These patterns correlated significantly with eventual outcome of these patients, suggesting that processed EEG information can provide important prognostic information for such patients.


Subject(s)
Brain/physiopathology , Electroencephalography , Heart Arrest/physiopathology , Consciousness/physiology , Female , Humans , Male , Middle Aged , Prognosis
19.
Int J Epidemiol ; 9(4): 335-40, 1980 Dec.
Article in English | MEDLINE | ID: mdl-7203776

ABSTRACT

A smallpox facial scar survey of 465 892 persons aged 0-19 years was carried out in Bangladesh in 1976, covering approximately 1% of the 0-19 year old population. Of the 4 306 persons found with facial scarring consistent with previous smallpox infection, none had a history of smallpox with onset after the last reported case on October 16, 1975. Histories taken from persons with facial scars allowed smallpox incidence to be estimated for each year from 1972 to 1975. These estimates indicate that completeness of reporting increased steadily from 11.8% in 1972 to 83.0% in 1975, reflecting the increasing effectiveness of surveillance.


Subject(s)
Health Surveys , Smallpox/epidemiology , Adolescent , Adult , Bangladesh , Child , Child, Preschool , Cicatrix/epidemiology , Epidemiologic Methods , Face , Humans , Infant , Infant, Newborn , Population Surveillance
20.
Int J Epidemiol ; 14(3): 473-81, 1985 Sep.
Article in English | MEDLINE | ID: mdl-4055214

ABSTRACT

A Monte Carlo simulation study was designed to evaluate the sample survey technique currently used by the Expanded Programme on Immunization (EPI) of the World Health Organization. Of particular interest was how the EPI strategy compared to a more traditional sampling strategy with respect to bias and variability of estimates. It was also of interest to investigate whether the estimates of population vaccination coverage were accurate to within 10 percentage points of the actual levels. It was found that within particular clusters, the EPI method was particularly sensitive to pocketing of vaccinated individuals, but the more traditional method gave more accurate and less variable results under a variety of conditions. However, the stated goal of the EPI, of being able to produce population estimates accurate to within 10 percentage points of the true levels in the population, was satisfied in the artificially created populations studied.


Subject(s)
Immunization , Models, Theoretical , Monte Carlo Method , Operations Research , Child, Preschool , Humans , Infant , Population Density , Sampling Studies , World Health Organization
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