Impact Study


Understanding injuries on the basketball court

Wearable sensors will give researchers data on impact loading in real-world game and practice situations.

Whether players are crashing the boards on rebounds, sprinting down court on a fast break or taking a charge on defense, basketball is a physically demanding sport that can take a toll on athletes’ bodies.

In particular, basketball players experience a large number of high-impact loading events during their career and these repetitive loading events are thought to be related to the high incidence of lower-limb injury that elite players experience, including bone-stress injury. Unfortunately, the relationship between mechanical loading and injury is not clear because until now it has been difficult to measure impact loads during practice and games.

A new study led by Irene Davis, Harvard Medical School professor of physical medicine and rehabilitation and the director of the Spaulding National Running Center plans to examine the role of fatigue on landing impacts and bone-stress injuries in basketball players.

The research team will be using small devices, called wearable sensors, that can be secured to the lower leg to measure these loads while players are on the court. The relationship between load and injury is affected by other factors such as sleep, nutrition, bony anatomy and the current state of bone health. To prevent bone-stress injury and help athletes recover from bone-stress injury, we must first have a better understanding of these mechanical and biological factors and how they relate to bone health, the researchers said.

“Ultimately, we want to understand the factors that affect the foot-bone loading a basketball player sustains over the course of a season,” Davis said.

The study is funded by the National Basketball Association and GE Orthopedics and Sports Medicine Collaboration.

Davis and her team will focus on foot-bone stress injuries as these are the most common in basketball players. They plan to first collect baseline measures of foot-bone anatomy and bone health using various types of imagining techniques. They will also gather data on nutrition and diet, such as the amount of vitamin D in the blood and daily caloric intake. The study team will then monitor how hard the players are landing with each step across practices and games throughout the season and also monitor sleep over the course of the season. Finally, the team will image the foot again to determine if any injuries are developing.

“Bone-stress injuries can progress to small cracks in the bone, and ultimately, complete fractures. These injuries can be season ending and sometimes career ending. Therefore, preventing them from happening is the best approach. We believe this study will provide important information for sports medicine professionals who oversee these athletes’ care,” Davis said.

The advent of wearable sensors that can accurately measure and monitor impact loads provides an opportunity to characterize the physical demands of the game in unprecedented ways, Davis said. This new form of data has the potential to influence the understanding of lower-limb injury, as well as provide crucial insight on how to alter training to mitigate injury risk and how to improve return-to-play decisions.

Understanding the role of mechanical loading in maintaining bone health is particularly relevant to young elite basketball athletes whose skeletons are still undergoing a modeling process and to freshman college athletes who might receive a dramatic increase in impact load exposure during preseason training that their skeletons have not yet adapted to.

By including both college and elite basketball athletes in this cohort, Davis said that her research will address several interesting research questions: How does lower-limb load exposure due to training differ between college and elite level basketball athletes? What is the impact load exposure during a game and how does this compare to training? How do lower-limb impact loads change during a game and throughout the season (i.e., is there a fatigue-related change in impact load)? And ultimately, does impact load exposure predict bone health and possibly, bone-stress injury?

The findings of the study should also provide insight that will be helpful for the health of people who happen not to be elite athletes, Davis said.

“Ultimately, measuring and monitoring the mechanical loads experienced by musculoskeletal tissue is critical to improve our understanding of musculoskeletal injury and health,” Davis said.

Scientists have identified the immune cascade that fuels complications, tissue damage in Chlamydia infections


More than 2.8 million chlamydia infections make it the most common sexually transmitted disease in the United States.

Closing a critical gap in knowledge, Harvard Medical School scientists have unraveled the immune cascade that fuels tissue damage and disease development in chlamydia infection—the most common sexually transmitted disease in the United States.

Physicians have long known that complications of chlamydia are not caused by the bacterium itself but instead arise from inflammation in the reproductive organs. However, up until now, it remained unclear what drives this damaging inflammation.

Findings of the new research, conducted in mice and published Feb. 9 in PNAS, reveal the precise mechanism behind this phenomenon and identify the cast of immune cells involved in it. Further, the research shows that the body deals with chlamydia infection via two distinct and separate immune pathways—one driving the clearance of bacteria and one fueling inflammation and tissue damage.

More than 2.8 million chlamydia infections occur each year in the United States, according to the Centers for Disease Control and Prevention. Left untreated, chlamydia can lead to pelvic inflammatory disease, chronic pelvic pain, ectopic pregnancy, infertility and prostate inflammation.

Chlamydia infections can be cleared with prompt antibiotic treatment, but most people infected with the bacterium have silent infections, resulting in delayed treatment. Untreated infections that linger for months—and sometimes for years—can cause irreversible inflammatory damage to the reproductive organs.

“By the time the infection is identified, irreversible damage has often occurred so we urgently need therapies that prevent these devastating consequences,” said senior author Michael Starnbach, professor in the Department of Microbiology and Immunobiology at Harvard Medical School. “Our findings offer a roadmap for the development of vaccines that can stimulate immune protection against chlamydia-associated diseases.”

The study findings show that complications of chlamydia infections arise from inflammation that occurs when several types of protective immune cells rush to the reproductive organs after the bacterium invades the body. Remarkably, the research shows these immune cells are not involved in the clearance of bacteria, but rather that clearance is instead prompted by a different class of immune cells.

The existence of such separate immune responses is good news, the researchers said.

“This is a truly encouraging finding,” said study first author Rebeccah Lijek, who conducted the research as a post-doctoral fellow at Harvard Medical School and is now assistant professor of biological science at Mount Holyoke College.

“It means that if one class of immune cells is responsible for clearing the infection, while another class of immune cells causes tissue damage and subsequent disease, then we can develop treatments that precision target inflammation without exacerbating bacterial levels,” she said.

To understand how the bacterium damages urogenital tissue, the team started out by recreating symptoms that mimic human chlamydia infection in mice—the first successful instance of doing so.  Past failures to replicate human symptoms in an animal model have hampered the understanding of the chlamydia-driven diseases for decades, the team said.

Next, the team analyzed the reproductive tissue of infected mice, using a technique that identifies the presence of various immune cells. The researchers observed that in the first few days after infection, immune cells known as neutrophils—the body’s first responders—charge up to the urogenital tract and cause inflammation and damage.

To determine what happens in the absence of neutrophils, researchers used an antibody specifically designed to target these cells while sparing all others.

Chlamydia-infected mice that lacked neutrophils showed no tissue damage despite harboring the bacterium. The absence of neutrophils had no effect on bacterial levels—an indicator that neutrophils play no role in the clearing of the bacterium.

Further analysis showed that in the later stages of infection—a week or so after the bacterium enters the body—a different set of immune cells make their way to the urogenital tract.

Researchers observed dramatically elevated levels of two types of T cells. Known as the body’s elite assassins, T cells are “trained” to seek out and destroy pathogens. In this case, however, researchers identified two distinct subtypes of T cells: general-assignment, bystander T cells that drive inflammation and chlamydia-specific T cells, formed in response to the presence of this particular bacterium.

Previous research conducted by Starnbach’s team had shown that chlamydia-specific T cells are responsible for clearing the infection but up until now the scientists didn’t know whether the chlamydia-specific T cells might also spark damaging inflammation. They do not, the study showed.

To understand what attracts inflammation-inducing cells to infected urogenital tissue, researchers analyzed more than 700 inflammation-promoting and immunity-inducing genes.

During infection, these genes release signaling proteins known as chemokines, which call on immune cells to make their way to the site of infection. Researchers identified a trio of chemokines—CXCL 9,10,11—that were particularly elevated, compared with all others.

These very proteins are also known to play a role in the autoimmune conditions inflammatory bowel disease and rheumatoid arthritis.

In a final step, the researchers used a chemical compound to block the activity of the inflammation-inducing chemokines. Mice treated with the compound had markedly reduced levels of nonspecific, bystander T cells and markedly less inflammation and tissue damage, compared with untreated mice. Notably, the improvement occurred without any effect on bacterial levels.

Several compounds that target the receptor for inflammation-inducing chemokines CXCL 9,10,11 are currently being tested in clinical trials as a treatment for inflammatory bowel disease.

“Our data suggest that such therapies may also be beneficial in the treatment and prevention of pelvic inflammation following chlamydia infection,” Lijek said.

Treatment with Novartis’ Ultibro® Breezhaler® improved cardiac function in COPD patients with lung hyperinflation


  • Ultibro® Breezhaler® provided significant improvements in cardiac and lung function in COPD patients with lung hyperinflation, compared to placebo  
  • CLAIM is the first study to investigate the effect of dual bronchodilation on cardiac function
  • Data published in the Lancet Respiratory Medicine

 Novartis today announced the publication of the CLAIM* study in the Lancet Respiratory Medicine, which demonstrated that treatment once-daily Ultibro® Breezhaler® (indacaterol/glycopyrronium 110/50 mcg) significantly improved lung and cardiac function, when compared to placebo, in chronic obstructive pulmonary disease (COPD) patients with lung hyperinflation[1].

Many people living with COPD are at increased risk of death and disability due to comorbid cardiovascular disease[2]. Lung hyperinflation is common in people with COPD[3], and has been linked to impaired cardiac function and a worsening of COPD symptoms, especially breathlessness[4]-[6]. CLAIM is the first study to investigate the effects of dual bronchodilation on cardiac function and lung hyperinflation[1].

The CLAIM study met its primary endpoint demonstrating that treatment with Ultibro Breezhaler led to decreased lung hyperinflation and improvements in cardiac function** after 14 days of treatment[1]. This translated into clinically relevant patient benefits of improved health status and breathlessness (dyspnea), studied as exploratory endpoints[1].

“Lung hyperinflation is often associated with impaired cardiac function in patients with COPD,” said Shreeram Aradhye, Chief Medical Officer and Global Head of Medical Affairs for Novartis Pharmaceuticals. “The publication of the CLAIM study is important for any COPD patient with signs of lung hyperinflation. For the first time, we demonstrated that treatment with Ultibro Breezhaler can reduce lung hyperinflation and improve cardiac function, breathlessness and health status.”

In the CLAIM study Ultibro Breezhaler was well tolerated and its safety profile was comparable with placebo[1].

About the CLAIM study

The CLAIM study was a randomized, double-blinded, placebo-controlled, single-center, two period cross-over study comparing the effects of 14-day Ultibro® Breezhaler® therapy with placebo on cardiac and lung function in hyperinflated COPD patients[1]. It involved a total of 62 patients, of whom 57 completed both treatment periods[1]. All patients had moderate-to-very severe COPD and confirmed lung hyperinflation (residual volume >135% predicted).[1]

The primary endpoint of the study was to demonstrate the effect of 14-day once-daily Ultibro Breezhaler treatment on left ventricular end-diastolic volume (LV-EDV) as measured by MRI[1]. Secondary endpoints included effects on lung function parameters as measured by residual volume (RVol), forced expiratory volume in one second (FEV1) and forced vital capacity (FVC)[1].

Cardiac assessments included right ventricular end-diastolic volume (RV-EDV), left and right ventricular stroke volume (LV-SV and RV-SV), left and right ventricular end-systolic volumes (LV-ESV and RV-ESV) and cardiac index (CI)[1].

About Ultibro Breezhaler

Ultibro Breezhaler 110/50 mcg is a once-daily LABA***/LAMA**** dual bronchodilator approved in the European Union (EU) as a maintenance bronchodilator treatment to relieve symptoms in adult patients with COPD[7]. Clinical trials have shown that it provides significant improvements in bronchodilation compared to treatments widely used as current standards of care, including salmeterol/fluticasone 50/500 mcg and open-label tiotropium (18 mcg)[8][10]. Ultibro Breezhaler is currently approved for use in over 100 countries worldwide, including countries within the EU and Latin America, Japan, Canada, Switzerland and Australia.  

 

About the Novartis COPD portfolio

Novartis is committed to addressing the unmet medical needs of COPD patients and improving their quality of life by providing innovative medicines and devices. The Novartis COPD portfolio includes Ultibro Breezhaler (indacaterol/glycopyrronium bromide), Seebri® Breezhaler® (glycopyrronium bromide) and Onbrez® Breezhaler® (indacaterol), which are all indicated as maintenance treatments for COPD patients. Glycopyrronium bromide and certain use and formulation intellectual property were exclusively licensed to Novartis in April 2005 by Sosei and Vectura.

Novartis continues development of respiratory products for delivery via the low resistance Breezhaler inhalation device, which makes it suitable for patients with different severities of airflow limitation[11]. The Breezhaler device allows patients to hear, feel and see that they have taken the full dose correctly[7],[11].

About COPD

COPD affects an estimated 210 million people worldwide[12] and is the fourth leading cause of death[13]. It is progressive (usually gets worse over time) and can be a life-threatening disease[12],[14]. COPD makes it difficult to breathe, with symptoms that have a destructive impact on patients’ function (i.e. activity limitation, decreased mobility) and quality of life[12],[14].

Lung hyperinflation occurs in a significant proportion of patients with COPD. It occurs as a result of air trapping, due to airway obstruction. Hyperinflation causes increased breathlessness and can affect the health status of people with COPD[6].

More Than Half of UK Docs Support Assisted Dying


Assisted dying is not legal in the United Kingdom, but debate over the issue continues, most recently in a series of articles published online February 7 in the BMJ.

The organization that represents physicians — the British Medical Association (BMA) — does not accurately represent their views on the issue, argues Dr Jacky Davis, consultant radiologist at the Whittington Hospital in London, in a personal view article.

The BMA has long been opposedto assisted dying, and its view is often quoted in parliamentary debate as representing that of physicians, she comments.

But a recent opinion poll of physicians (conducted in October 2017 by doctors.net) found that 55% agreed or strongly agreed that assisted dying should be made legal in defined circumstances; 43% disagreed, and 2% had no opinion.

Hence, the BMA should change its policy and adopt a neutral position — “a stance that would allow for constructive engagement while acknowledging the range of views of the membership,” she argues.

Dr Davis, who is also a member of BMA Council, a board member of Dignity in Dying, and chair of Healthcare Professionals for Assisted Dying, argues that the current disconnect between BMA policy and the views of physicians and patients “undermines the BMA’s credibility, and its continuing opposition excludes it from the public debate.”

Assisted dying does not represent a leap into a dangerous unknown. Dr Jacky Davis

“Assisted dying does not represent a leap into a dangerous unknown,” Dr Davis writes. “Other jurisdictions have proved that it is possible to change the law, and doctors have shown that such laws can work hand in hand with excellent palliative care.”

Public Morality Shift?

“It feels as if we are experiencing a rare example of public morality shifting ahead of legislative change,” writes Dr Bobbie Farsides, professor of clinical and biomedical ethics at the University of Sussex, in a commentary.

Prof Farsides acted as adviser to the House of Lords committee that considered the Assisted Dying Bill in 2015. At that time, very strong views were expressed both for and against the legislation, as previously reported by Medscape Medical News.

But the polarization of past parliamentary debates is “no longer reflected in society, given recent opinion polls,” she comments.

She was referring to a poll of the general public conducted in 2015 that found that 82% supported legislation for assisted dying.

“Given this is so, the law may well change soon,” Prof Farsides comments.

She has been involved in the debate about assisted dying for the past 20 years, after she wrote an editorial for the Journal of Medical Ethics (1998;24:149-50). “I argued that it was logically consistent to be a good palliative care doctor and to think that for some patients the best option would be a managed death,” Prof Farsides writes.

“I have never campaigned for or against legal assisted dying,” she states. Instead, she presents evidence from countries where assisted dying is legal and invites colleagues to draw their own conclusions.

“Patients are more aware than ever of what is, and is not, possible for them as they approach the end of their lives, and practitioners need to be prepared and able to respond compassionately,” she comments.

“Surely we have come to understand that there need be no contradiction between being a good palliative care doctor and respecting a patient’s wish to die and their request for assistance,” she concludes.

“Not a Proper Role for Doctors”

Arguing the case against passage of legislation in a “head-to-head” article is Dr Bernard Ribeiro, former president of Royal College of Surgeons and a member of the House of Lords. In 2015, when the Assisted Dying Bill was rejected in the United Kingdom, he argued that “assisting patient suicides was not a proper role for doctors.

“I hold to that view and I make no apology for using the term assisting suicide,” he writes. “In law, supplying terminally ill patients with lethal drugs with which to end their lives constitutes assisting suicide.”

This is “a matter for the courts, not for the consulting room,” he argues.

Dr Ribeiro emphasizes the uneveness of the physician-patient relationship. “The doctor holds most of the cards. We have professional expertise that most patients are in no position to challenge.”

He worries about vulnerable patients “who, not unreasonably, could interpret a doctor’s willingness to process a request for ‘something to end it all’ as meaning that in the doctor’s view, ending their lives is a course of action that would be in their ‘best interest.’ ”

Controversy Subsides After Legislation

“Although plans to adopt assisted dying have caused much controversy, most places have found that once the political decision has been made this tends to subside,” writes journalist Bob Roehr in a feature article in the BMJ.

“The pattern has been repeated many times, beginning 20 years ago in the state of Oregon,” he writes. Since that time, the pattern has been followed in five other states, including the most populous state, California. The pattern has also emerged in Canada.

Roehr highlights a disconnect in the United States between physicians and the American Medical Association (AMA) that is similar to the disconnect between physicians and the BMA in the United Kingdom.

The AMA opposes assisted dying, and the American College of Physicians (ACP) and the American Academy of Family Physicians are opposed to physician-assisted suicide.

Yet in a 2016 Medscape poll, 57% of US physicians showed support for assisted dying, and in a 2017 Medpage poll, 61% of healthcare professionals showed support.

The situation was different in Canada, where medical aid in dying was legalized in 2016, Roehr notes.

“The Canadian Medical Association initially resisted assisted dying. But after that country’s high court ruled it to be a fundamental human right, the association embraced the decision and participated in writing the law, provincial regulations, and training its members to implement that ruling,” he writes.

Stefanie Green, MD, president of the Canadian Association of Medical Assistance in Dying Assessors and Providers (CAMAP), says she is seeing a gradual increase in willingness among physicians to learn and participate in assisted dying when their patients express interest, he adds.

BMJ Calls for a Neutral Position

“The BMJ supports the legalisation of assisted dying,” says Dr Fiona Godlee, the BMJ’s editor in chief, in a statement.

“The great majority of the British public are in favour and there is now good evidence that it works well in other parts of the world, as a continuation of care for patients who request it and are in sound mind. We believe that this should be a decision for Society and Parliament, and that medical organisations should adopt at least a neutral position to allow an open and informed public debate.”

Taking an Emotional Toll

Physicians’ experience of how it feels to be involved in assisted dying is detailed in an essay written by Dr Sabine Netters, now a consultant in medical oncology and palliative care at the Isala Oncology Center, Zwolle, the Netherlands.

She describes her first experience of euthanasia, which occurred 10 years ago, when she was a medical trainee. The patient had metastatic cancer with paraplegia caused by spinal metastasis, which left him “paralysed from the waist down, unable to control his bowels, his skeleton ridden with cancers.”

“He makes me see that even when therapy fails, the doctor’s role is far from over,” Dr Netters writes. “Instead it adjusts, because the goal has changed from living longer to dying better.

“But textbooks offer no advice, and years of training have left me totally unprepared for this,” she adds.

She writes that after the patient has died from a lethal injection, surrounded by his family, “I’ve just helped kill someone, but I don’t see it in a negative way. It was beautiful.

“As a doctor I will do anything to save a life, and this evening that meant giving someone a dignified death,” she adds.

She also details the emotional toll that the process takes on the physicians involved.

“I hoped euthanasia would become less of an emotional burden to me as my experience grew,” Dr Netters writes, noting that she has helped five patients to die over the past 10 years.

“But it didn’t, and now I know it never will,” she writes.

“The general population, politicians, and legislators — perhaps even some doctors who have not been involved in the procedure — seem to think that assisted dying or euthanasia is just another medical intervention,” she comments. “It is not.”

Lab-Confirmed Flu Virus Linked to Imminent Risk for Acute MI


Patients with laboratory-confirmed influenza were about six times as likely to be admitted for acute MI in the following 7 days compared with the period comprising the prior and subsequent years, results of a cohort study show.[1]

The risk was especially pronounced in older patients and was independent of flu vaccination status or history of MI hospitalization. There was also a signal that other forms of respiratory infection can similarly raise the risk for MI admission.

The findings are consistent with a lot of prior research, acknowledged Dr Jeffrey C Kwong (University of Toronto, ON), but much of it associated MI with acute respiratory infections by undetermined pathogens, or with other indirect indicators of flu.

“This is the first one where we used lab-confirmed influenza as the exposure, and we found this association that was quite strong between influenza and MI,” he told theheart.org | Medscape Cardiology.

Kwong is lead author on the study, which was based on Ontario health insurance records of people tested for respiratory viruses from May 2009 to May 2014 and was published January 24 in the New England Journal of Medicine.

The results are “no surprise,” agreed Dr Scott David Solomon (Brigham and Women’s Hospital, Boston, MA), who wasn’t involved in the study. But, he added, “What’s novel here, and improves on prior knowledge, is that it goes down to the individual-patient level, and says that when somebody actually has confirmed influenza, that they are more likely to have an MI.”

Kwong and his colleagues state that the increased MI risk regardless of vaccination status should not be seen as evidence that influenza vaccinations are ineffective; the study wasn’t designed to explore that issue. It does suggest, however, “that if vaccinated patients have influenza of sufficient severity to warrant testing, their risk of acute myocardial infarction is increased to a level that is similar to that among unvaccinated patients.”

The study seems to strengthen familiar public health messages about getting flu vaccinations and taking measures to prevent the spread of respiratory viruses, especially for patients with cardiovascular risk factors. Despite such messages, vaccination rates may be low even in such high-risk groups.

Solomon pointed to a recent analysis based on patients with heart failure in the PARADIGM-HF trial that saw only about a 53% rate of vaccination for influenza in North America.[2]

“And that was surprising because these were people who are clearly at risk, and would clearly benefit from vaccination,” he said.

Even when the effectiveness of the season’s flu vaccination has been questioned, such as the current flu season, “getting some protection is better than getting no protection,” Kwong said.

Secondary prevention patients with heart disease “don’t question taking aspirin, they don’t question taking β-blockers, they don’t question taking blood pressure medications or statins. But a lot of patients question the value of getting a flu shot,” he said.

“If you compare the effectiveness of influenza vaccination in preventing infection to statins in preventing MI, they shouldn’t be having second thoughts about getting a flu shot.”

Seven-Day Risk Interval

The analysis looked at 364 hospitalizations for acute MI in 332 patients that occurred within 1 year before and 1 year after laboratory confirmation of influenza; 48% in were women and 24% of the patients had been previously hospitalized for MI.

Of the 364 hospitalizations, 20 occurred during the first 7 days after the collection of a positive respiratory specimen, termed the “risk interval.” The remaining 344 hospitalizations occurred during the 2-year period made up of the year before and the year after the risk interval, termed the “control interval.”

The risk for MI hospitalization was increased sixfold during the risk interval compared with the control interval. Kwong said the group had expected the risk to fall off gradually, “but we actually saw that it just dropped down to nothing right after the first week. It’s really that first week where the risk is concentrated.”

Table 1. Incidence Ratios for Acute MI Hospitalization by Time After Laboratory Confirmation of Influenza

Interval Incidence Ratio (95% CI)
Days 1–7 6.05 (3.86–9.50)
Days 1–3 6.30 (3.25–12.22)
Days 4–7 5.78 (3.17–10.53)
Days 8–14 0.60 (0.15–2.41)
Days 15–28 0.75 (0.31–1.81)

 

The group also observed increased MI hospitalization risk associated with respiratory samples positive for viruses other than influenza. The implication may be that respiratory infections per se, not simply influenza, are associated with acute MI, according to Kwong.

“I think we just found that influenza risk seemed to be higher than that of the other respiratory viruses.”

Risk associated with influenza B was higher than with influenza A; Kwong said his group doesn’t have an explanation for the difference.

Table 2. Incidence Ratios for Acute MI Hospitalization by Specific Infections

Infection Incidence Ratio (95% CI)
Influenza A 5.17 (3.02–8.84)
Influenza B 10.11 (4.37–23.38)
RSV 3.51 (1.11–11.12)
Noninfluenza virus, non-RSV 2.77 (1.23–6.24)
Illness, no respiratory virus identifieda 3.30 (1.90–5.73)
RSV = respiratory syncytial virus. aFrom among influenza A, influenza B, RSV, parainfluenza virus, adenovirus, human metapneumovirus, coronavirus, or enterovirus.

 

Respiratory infections could trigger MI by any of several possible mechanisms, Kwong and Solomon observed.

Influenza elevates an array of proinflammatory cytokines that can lead to endothelial dysfunction, and possibly plaque rupture, but whether that’s the primary mechanism “is really just a postulate. We don’t know for sure that’s what is contributing,” Solomon said.

People with the flu also have increased oxygen demand, which might produce myocardial ischemia in someone with significant coronary lesions, he observed. Platelet activation is also increased.

“If the flu can trigger these events in people who are at risk, then it behooves us to do everything we can to minimize the risk associated with influenza,” Solomon said. “Obviously that means vaccination. And we are currently testing a strategy that might provide even better immunity in patients who are at risk.”

Solomon is a principal investigator for the ongoing Influenza Vaccine to Effectively Stop Cardiothoracic Events and Decompensated Heart Failure (INVESTED) trial, which has randomly assigned about 3000 of an estimated target of 9300 patients, he said.

INVESTED is comparing a high-dose trivalent influenza vaccine to a quadrivalent vaccine at a standard dose in patients with a recent history of hospitalization for MI or heart failure and other high-risk features. Mortality and cardiopulmonary hospitalization are the primary endpoints.

Should We “Revere” the Universe? — A Reflection on Yūgen


In Japanese aesthetics, there is a concept called “yūgen” that refers to an awareness of the profound grace and subtlety of the universe — an awareness which evokes feelings that are inexplicably deep and too mysterious for words. Alan Watts once wrote of yūgen, noting that,

“There is no English word for a type of feeling which the Japanese call yūgen, and we can only understand by opening our minds to situations in which Japanese people use the word […] ‘To watch the sun sink behind a flower-clad hill, to wander on and on in a huge forest without thought of return, to stand upon the shore and gaze after a boat that disappears behind distant islands, to contemplate the flight of wild geese seen and lost among the clouds.’ (Seami) All these are yugen, but what have they in common?”

I find these to be beautiful examples of situations which might provoke this feeling of yūgen, and upon reading them, I feel that I know exactly what yūgen is, despite there being no English translation. Yūgen is an expansive feeling, a mystical awareness, an almost soaring reverence for existence that is summoned forth by a poignant confrontation with the ineffable details of reality.

This feeling is integral to who I am. It is something I have experienced many times, and it is the essence of my most intimate connection to the universe. Sometimes this mystical, reverent feeling arises when I contemplate life from a macro-perspective, imagining the endless, sprawling sea of the cosmos. Often, though, it is the tiny, transient, unexpected details of day-to-day experience — a flittering hummingbird, a diminishing sunset, a precious song or bit of poetry — that awaken an expansive feeling, humbling me and reminding me that I exist in an enigmatic wonderland about which I know virtually nothing.

hummingbird-hawk-moth-542500_1280-2

 

A Story of “Reverence”

A little over one year ago, in August of 2014, I arrived in Busan, South Korea, a city of 5 million people — a city where I would live for one year, teaching English to elementary school students.

One night shortly after arriving, I found myself on the roof of my friend Jon’s apartment building. It was a clear, slightly chilly evening, and a number of us were gathered atop this tall structure, gazing out at the city, the ocean, and the surrounding mountains, enjoying friendly conversation and Jon’s strumming of his guitar.

As the night progressed, the large group of us atomized a bit, and I found myself in a one-on-one conversation with Mick, one of numerous new friends and fellow EPIK English teachers. Mick is a brilliant guy from Ireland whose dominant lens for understanding the world, in my experience, tends to be scientific, rational, secular.

Somehow, we got on the topic of spirituality, and at the time I said I was sort of a pantheist, in that I didn’t believe in anything above and beyond nature, but that I thought nature itself was deserving of a kind of religious reverence. The endlessly diverse and sublime forms of nature — not to mention the inarticulable, astonishing, omnipresent mystery of it all — were, for me, so wondrous and incomprehensible that I felt humbled before them. If anything should be called sacred, it was nature itself, I thought.

So, anyway, shortly into our conversation I said something like, “Nature is deserving of reverence.”

And Mick replied, “Why?”

Why?

At the time, Mick’s response troubled me. It troubled me because I couldn’t explain to him why, exactly.

His question actually unsettled me to such an extent that I became really self-conscious of my use of terms like “spiritual” or “religious” or “sacred” or “revere.” I started to reframe my deep-down feelings as representative of “secular awe,” rather than “spiritual reverence.” I saw that I had no rational basis for calling existence “sacred.” All I had was a feeling — a qualitative experience of wonder and reverence. All I had was yūgen.

For months, I stuck with the secular mode of describing my relationship to the universe. An almost-mystical wonder and a deep curiosity about existence continued to constitute my most basic orientation toward life, but I imagined that I had reached a more credible viewpoint. I was an agnostic skeptic — a man with no fixed views, a questioner of all things.

And I still am that, I think. At least intellectually.

Linguistic Trickiness, Part I

But nearly a year after that conversation with Mick, I realized something.

I saw clearly that my deep-down feeling of reverence — my yūgen awareness — had never actually changed. I had just begun using different language to describe it — language that would be more acceptable to the scientific, rational community. By using the vocabulary of “wonder” and “sublimity,” as opposed to “reverence” and “sacredness,” I was eschewing some of the more woo-woo connotations that I saw being associated with the latter terms. I didn’t want to be considered “spiritual” or “New Age” because those words connote a very specific stereotypical person whom many people discredit and view as somewhat kooky.

But ultimately, I was still talking about the same thing. The “wonder” I felt was not categorically different from a “spiritual awe,” which is not categorically different from a “religious reverence,” depending on who you ask.

Regardless of which label the politics of language compelled me to use, this same feeling was still the core, fundamental basis of my relationship to the world. Albert Einstein described the feeling well when he wrote,

“The finest emotion of which we are capable is the mystic emotion. Herein lies the germ of all art and all true science. Anyone to whom this feeling is alien, who is no longer capable of wonderment and lives in a state of fear is a dead man. To know that what is impenetrable for us really exists and manifests itself as the highest wisdom and the most radiant beauty, whose gross forms alone are intelligible to our poor faculties — this knowledge, this feeling … that is the core of the true religious sentiment. In this sense, and in this sense alone, I rank myself among profoundly religious men.”

I love this passage from Einstein because he could have said the same thing in purely secular, safe language, avoiding the use of words like “mystic” and “religious,” but he didn’t. I think on one hand he recognized that there is significant overlap in the nature of the scientist’s wonder and the mystic’s reverence, to the point where they are often largely the same thing. I also suspect that Einstein realized that certain words simply carry more weight — that choosing to view one’s awe as a religious feeling was more significant than simply using different words to describe the same phenomenon. Carl Sagan may have understood the same when he wrote,

“Science is not only compatible with spirituality; it is a profound source of spirituality. When we recognize our place in an immensity of light years and in the passage of ages, when we grasp the intricacy, beauty and subtlety of life, then that soaring feeling, that sense of elation and humility combined, is surely spiritual. So are our emotions in the presence of great art or music or literature, or of acts of exemplary selfless courage such as those of Mohandas Gandhi or Martin Luther King Jr. The notion that science and spirituality are somehow mutually exclusive does a disservice to both.”

It seems to me that both Sagan and Einstein understood that there is immense power in the language we opt to use, and that certain words carry layers of cultural and historic significance that charge them with a particular aliveness. One can talk about a secular feeling of wonder while staring at a glowing moon hovering in the night sky, but depending on one’s background, there may be a distinct power, or vitality, in choosing instead to call that moon holy and sacred, and to identify the wonder one feels as a religious, spiritual, or mystical feeling.

In either case, one is talking about the same experience, but if, for example, one grew up immersed in the language of organized religion, then the latter way of speaking about that experience probably holds a significance and a set of powerful connotations that the former simply cannot graze.

'Fjord landscape in Norway' by Marcus Larson. Photo Source: WikiArt

To declare that one reveres the universe or sees existence as sacred is not to debase oneself to the status of a lesser, primitive, irrational purveyor of things, as I had nearly convinced myself at one time. It is, rather, to utilize the most powerful language available to oneself to not only more adequately express the soaring feeling that is motivating the statement, but also to solidify and emphasize in one’s own mind the unparalleled importance of the soaring feeling, of yūgen.

If I say that I see God in the night sky, it is a way of validating to myself that the mysterious beauty, sublimity, and majesty I am experiencing is, for me, the highest and most important Something — the thing deserving of being perma-capitalized in written language, the thing carrying a significance for me that is equal to or greater than the significance the word has for many Christians I know, despite the fact that we define the word very differently (for me, “God” just means nature, existence, the mystery of everything).

Linguistic Trickiness, Part II

Of course one runs into problems here because plenty of people would tell me that my choosing to use a language of religiosity to describe the natural world is misleading and renders my actual meaning unclear. My response to those people is that language is fluid and ever-changing and can accommodate new usages. From my perspective, our ability to use the potent language of religiosity/spirituality to celebrate and validate the depth of our experience is more important than maintaining a clear boundary between secular and religious experiences of awe (a distinction which, as I’ve argued, is dubious to begin with).

Religious or spiritual humans who believe in an anthropomorphic deity or supernatural forces should not have a monopoly on many of the most powerful words in human languages. We should be able to reclaim these words — to use them as a means of poetically conveying and affirming the significance of our awe — without being pigeonholed as dupes or construed as making sweeping metaphysical claims about something supernatural.

Even if some detractors agreed with me on this, many would probably still misunderstand precisely why I feel a need to use such language. They would assume that when I bite into a peach and call it “divine,” I’m just being hyperbolic for the sake of emphasizing how good it is. But, actually, the whole point of my using such language is that I don’t think it’s hyperbolic. I think “divine miracle” actually falls short of truly capturing the magic of the fact that a bark-clad nature-claw erupted from beneath the surface of the rock we’re floating on and grew from one of its fingers a juicy morsel of deliciousness that I, a fragile bipedal creature, can pluck and cram into my face for enjoyment and sustenance.

peaches-869386_1280-2

 

Just the other day I overheard a woman telling some friends that her partner thinks she has magical abilities, but that she doesn’t believe in magic and has never seen evidence of any such thing. And in moments like that I chuckle a bit and also feel kind of troubled, wondering why “magic” is limited to something above and beyond nature itself. Why don’t we consider it “magical” that we emit from our face-holes ridiculously complex noises that can somehow communicate our deepest fears and dreams and ideas and loves and losses? As philosopher-rapper-mystic, KOOL A.D., once said on Twitter (I might be paraphrasing), “The difference between science and magic is mostly attitudinal.”

What I’m driving at is that nature itself is so utterly magnificent that we can use the highest linguistic compliments our species has ever devised — “magical,” “holy,” “divine,” “sacred” — and still totally fail to even come close to expressing just how colossally, inexpressibly profound existence is.

On a most basic level, all language is metaphor, in that every word is a symbol representing some other thing or concept. Surely we can agree, then, that we shouldn’t limit ourselves to flaccid metaphors when more potent ones are available? We should use language to its fullest expressive capacity because even at its best, it remains totally insufficient to fully communicate any experience.

Revisiting

And so if I could go back to that night on that rooftop in South Korea, what I would like to say to Mick is that I use the word “revere” because it is the most effective means available to me of expressing an inarticulable soaring feeling that I feel when I encounter certain details of life that awaken me, momentarily, to a greater, wider, fathomless reality. Beyond that, it is also an effective means of validating the significance of that soaring feeling in my life.

I would tell him that I call life itself “holy” and “sacred” sometimes because although those words yet pale before actuality, they nonetheless do the most justice to my visceral experience of this world as something beyond all language and human conception, to my feeling of yūgen.

Maybe that explanation would be too dense and cumbersome, though. Maybe, instead, it would be better to say that I can’t answer that for youEither you know the answer to that question, or you don’t.

Or, maybe, instead, there would be a more suitable course of action.

Maybe, if I went back to that rooftop in South Korea and were confronted once more with Mick’s question, the appropriate response would be to say nothing at all.

Maybe the best thing to do would be to stare bemusedly into Mick’s eyes for a moment before looking up and pointing a single index finger at the black ocean of the night sky.

Kava: The ancient anxiety remedy that’s today’s ‘It’ drink


Kava, also often called kava kava, is a member of the nightshade family of plants and native to the South Pacific islands.

Pacific Islanders have used it for hundreds of years as a ceremonial drink to promote a state of relaxation.

More recently, kava has received widespread attention for its relaxing and stress-reducing properties.

However, it has been linked with several health concerns, raising questions about its safety.

This article explains everything you need to know about the benefits and dangers of kava.

What Is Kava?

Kava is a tropical evergreen shrub with heart-shaped leaves and woody stems. Its scientific name is Piper methysticum.

Pacific cultures traditionally use the kava drink during rituals and social gatherings. To make it, people first grind its roots into a paste.

This grinding was traditionally performed by chewing the roots and spitting them out, but now it’s typically done by hand.

The paste is then mixed with water, strained and consumed.

Its active ingredients are called kavalactones, which account for 3–20% of the dry weight of the root of the plant.

Studies suggest kavalactones may have the following effects on the body:

Most of the research to date has focused on kava’s potential to reduce anxiety.

It is largely unknown how kavalactones produce these effects, but they appear to work by affecting neurotransmitters in the brain. Neurotransmitters are chemicals that nerves release to communicate with each other.

One of these neurotransmitters is gamma-aminobutyric acid (GABA), which decreases the activity of nerves.

SUMMARY The roots of the kava plant contain compounds called kavalactones. These compounds are responsible for many of kava’s beneficial effects.Kava Can Help Decrease Anxiety

Anxiety disorders are among the most common psychiatric disorders today. They are commonly treated with talk therapy, medications or both.

Many types of medications are available, but they may come with unwanted side effects and can be habit-forming.

This has increased the demand for presumably safe, natural remedies like kava.

The first long-term study investigating the effects of kava extract in people with anxiety was published in 1997.

Compared to a placebo, it significantly decreased the severity of participants’ perceived anxiety.

The researchers also noted no side effects related to withdrawal or dependency, whereas these effects are common with other drugs often used to treat anxiety.

Since this study, several other studies have demonstrated the benefits of kava on anxiety. A review of 11 of these studies concluded that kava extract is an effective treatment for anxiety.

What’s more, another review of a specific kava extract came to a similar conclusion, reporting that it could be used as an alternative to certain anxiety drugs and other antidepressants.

Recent research has continued to find evidence that kava is effective for anxiety.

SUMMARY The current research supports the use of kava for treating anxiety. It tends to be as effective as certain anxiety drugs, with no evidence of dependency.

Kava May Aid Sleep

A lack of sleep is linked to many medical issues, including high blood pressure, diabetes, depression, obesity and cancer.

Realizing this, many people turn to sleep medications to help them sleep better. Like drugs used to treat anxiety, sleep medications may become habit-forming, resulting in physical dependence.

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Kava is commonly used as an alternative to these sleep medications due to its calming effects.

In one study in 24 people, kava was found to reduce stress and insomnia, compared to a placebo.

However, both the researchers and participants knew whether they were receiving kava or a placebo. This may have caused a bias that affected the outcome.

Despite these flaws, a subsequent, higher-quality study found kava to be more effective than a placebo at improving sleep quality and reducing anxiety.

Interestingly, kava’s effects on insomnia may stem from its effects on anxiety.

Stress-induced insomnia is common in those with anxiety. Therefore, in cases of insomnia, kava may be treating anxiety, which may then help people sleep better.

It’s unknown how kava affects sleep in those without anxiety or stress-induced insomnia.

Additionally, it can make you drowsy but doesn’t seem to affect driving ability.

SUMMARY Kava is a natural alternative to prescription sleep medications. While it’s effective at treating stress-induced insomnia, its effects on otherwise healthy people are unknown.

Forms of Kava

Kava can be taken in tea, capsule, powder or liquid form.

With the exception of kava tea, these products are made from a concentrated mixture that’s prepared by extracting kavalactones from the root of the plant with ethanol or acetone.

Kava Tea

Tea is the most common method of taking kava for anxiety, as it’s readily available.

It’s sold alone or alongside other herbs touted to promote relaxation and brewed using hot water.

Be sure to find kava teas that list the kavalactone content, as well as other ingredients.

Avoid teas that list the ingredients as “proprietary blends.” With these products, you won’t know how much kava you’re getting.

Kava Tincture or Liquid

This is a liquid form of kava sold in small bottles ranging in size from 2–6 ounces (59–177 ml). You can take it with a dropper or mix it into juice or another drink to cover its whiskey-like taste.

It’s important to only take a small dose, as the kavalactones are concentrated, making kava tincture and kava liquid more potent than other forms.

Kava Capsules

Those who don’t like the taste of kava can take it in capsule form.

As with kava tea, look for products that list the kavalactone content. For example, one capsule may contain 100 mg of kava root extract that is standardized to contain 30% kavalactones.

Knowing this information will help you avoid consuming too much or too little kavalactones.

Dosage

Experts recommend that your daily intake of kavalactones does not exceed 250 mg.

An effective dose of kavalactones is 70–250 mg.

Kava supplements may list kavalactones in milligrams or as a percentage. If the content is listed as a percentage, you will need to calculate the amount of kavalactones it contains.

For example, if one capsule contains 100 mg of kava root extract and is standardized to contain 30% kavalactones, it will contain 30 mg of kavalactones (100 mg x 0.30 = 30 mg).

To reach an effective dose within the range of 70–250 mg of kavalactones, you would need to take at least three capsules of this particular supplement.

Most extracts of kava root contain 30–70% kavalactones.

SUMMARY Kava is available in many forms. Avoid products with “proprietary blends.” Instead, look for products that tell you the kavalactone content per dose, or the percentage of kavalactones the product is standardized to contain.

Side Effects

While kava may be beneficial for anxiety, many people are concerned about its potential side effects.

In the early 2000s, several cases of liver toxicity were reported related to kava consumption.

The US Food and Drug Administration later warned about the risk of liver damage associated with products containing kava.

Its use has even been banned or restricted in many countries, including Germany, Switzerland, France, Canada and the UK.

However, the ban in Germany was later lifted due to poor evidence of related risks.

Kava is thought to harm the liver in many ways, one of which involves how it interacts with certain drugs.

The liver enzymes that break down kava also break down other drugs. Thus, kava can tie up these enzymes and prevent them from breaking down other drugs, causing them to build up and harm the liver.

Adulteration is another reason kava products are thought to be unsafe.

To save money, some companies use other parts of the kava plant, such as the leaves or stems, instead of the roots. The leaves and stems are known to harm the liver.

Still, several analyses of studies on the topic have found no evidence of liver damage in people who have taken these supplements in the short term, or about 1–24 weeks.

Therefore, people without liver injuries and those who are not taking medications that affect the liver may be able to use kava safely in appropriate doses for about one to two months.

SUMMARY Though kava can be used safely in the short term, it has been linked to liver problems. It’s best to consult a doctor before you start taking kava, since it may interact with certain drugs. Certain products may also be adulterated with other parts of the plant.

The Bottom Line

Kava has a long history of consumption in the South Pacific and is considered a safe and enjoyable beverage.

The roots of the plant contain compounds called kavalactones, which have been shown to help with anxiety.

Consult your doctor if you plan on taking kava, as it may interact with some medications.

Also, make sure you read the labels of the kava products you’re interested in to confirm the kavalactone content in each dose.

Lastly, check whether the kava was derived from the root or other parts of the plant that may be more harmful to the liver.

With these cautions in mind, it’s possible for the majority of people to safely enjoy the benefits of kava.

These 5 habits will make your life 10 times better (according to science)


What are the best habits for a healthy mind and body?

I see this question asked ALL the time.

Here’s the thing…With pretty much any “habit” someone is promoting, it doesn’t mean it will benefit you as well. We’re not all the same. What works for some people might not work for you.

So, how can you work out the “healthy habits” that give you the best chance of helping you?

Scientific research, and lots of it!

Research is designed to eliminate factors you can’t control, and also be statistically significant for the majority of participants. And the more positive research there is, the higher chance it will actually benefit you.

So, in this post, I’m going to go over 5 natural habits that science says will probably work. Enjoy!

1) Running

Humans are built to run. We evolved to run great distances hunting prey and gathering food.

So it’s no surprise that research suggests running could be one of the most effective habits for your health, physically and mentally.

A 2014 study that appeared in the Journal of the American College of Cardiology found that “running, even 5-10 minutes a day, at slow speeds, even slower than 6 miles per hour [10:00 minute pace], is associated with markedly reduced risks of death from all causes and cardiovascular disease.”

A 2017 study found that, in general, runners have a 25%-40% reduced risk of premature mortality and live approximately 3 years longer than non-runners.

It’s not just your physical health, either. Running, and other forms of exercise, can reduce anxiety symptoms and help you relax, according to studies cited by the Anxiety and Depression Association of America. In some studies, running may work as well as medication to relieve anxiety.

Running has also been found to help people with depression. Science has found that depression is related to low levels of neurotransmitters such as serotonin and norepinephrine, both of which are stimulated by exercise.

So, what’s the “perfect” amount of running per week? According to Carl. J. Lavie, MD, “Running for 20 to 30 minutes, or about a mile-and-a-half to three miles, twice per week would appear to be perfect.”

2) Intermittent Fasting

If you were to do intermittent fasting, you would not eat from say, 7 PM until 11 am (16 hours) and during 11 am to 7 PM, you would eat as much as you want.

There are other ways to practice it. You could not eat for 24 hours, once or twice a week.

Of course, it doesn’t mean you can just eat junk food and you will experience the benefits. It’s still important to eat healthy food.

There’s starting to be a lot more research on intermittent fasting.

First, intermittent fasting has been found to boost metabolic rate (increase calories out) and reduce the amount of food you eat (reduces calories in).

According to a 2014 review, intermittent fasting can cause weight loss of 3-8% over 3-24 weeks. The people also lost 4-7% of their waist circumference, which indicates that they lost lots of belly fat, which is harmful in the abdominal cavity that causes disease.

Studies also show that intermittent fasting can reduce oxidative damage and inflammation in the body. This should have benefits against aging and development of numerous diseases.

Also, intermittent fasting has been shown to improve several risk factors for heart disease, such as blood pressure, cholesterol levels, triglycerides and inflammatory markers.

3) Lift weights

Weightlifting is not something that readily comes up when it comes to health. But it can actually be very beneficial for your body and mood.

Research suggests that lifting weights can add years to your life. A 2014 UCLA study suggested that the more muscle mass we have, the less likely we are to die prematurely.

The lead researcher said in a statement, “the greater your muscle mass, the lower your risk of death….Thus, rather than worrying about weight or body mass index, we should be trying to maximize and maintain muscle mass.”

Your sleep also improves when you do resistance training. In a small 2012 study in older men, researchers found that resistance training reduce the number of times the study participants woke up during the night.

4) Stop using Facebook

You may not like this one, as you’re probably reading this article from Facebook.

But research is starting to show that staying off Facebook will probably make you happier.

Researchers in Denmark asked people to stop using Facebook for one week to see if it made them happier. Compared to the control group who continued to use Facebook, they appeared more satisfied with their life once the experiment was complete.

The lead researcher of the study attributed the results to people’s tendencies to compare themselves to others on social media. The researcher stated:

“Facebook distorts our perception of reality and of what other people’s lives really look like. We take into account how we’re doing in life through comparisons to everyone else, and since most people only post positive things on Facebook, that gives us a very biased perception of reality…If we are constantly exposed to great news, we risk evaluating our own lives as less good.”

There have also been plenty of studies that have found correlations between heavier Facebook use and depression, feelings of envy and isolation and lower self-esteem.

There’s no doubt that Facebook is great for keeping in touch with people, but there’s no shortage of messaging apps. So instead of mindlessly scrolling Facebook, your time might be better spent using constructive apps that help you learn and gain knowledge.

5) Get outside in nature

We’re spending a lot more time indoors, thanks to urbanization and technology controlling our lives.

Unfortunately, this means we’re not getting enough time out in nature. However, there’s plenty of research to suggest that getting out in nature, whether it’s forests, mountains or the sea, can reduce stress and make you happier.

A study in Japan found that participants who were assigned to walk in a forest (compared to an urban center) were found to have significantly lower heart rates and increased relaxation and less stress.

Another study in Finland found that urban dwellers who strolled for as little as 20 minutes through an urban park or woodland reported significantly more stress relief than those who strolled in the city center.

The reasons are unclear, but scientists believe that we evolved to be more relaxed in natural spaces.

Looking to reduce stress and live a calmer, more focused life? Mindfulness is the easy way to gently let go of stress and be in the moment. It has fast become the slow way to manage the modern world – without chanting mantras or finding hours of special time to meditate.

In Hack Spirit’s new eBook, The Art of Mindfulness, we explain how you can use mindfulness practically to help you clear your mind, let go of your worries and live peacefully in the present moment.

By devoting full attention on what we are doing in the moment, we can alleviate suffering, fear and anxiety.

With the power of mindfulness at our fingertips and the beauty of looking deeply, we can find insights to transform and heal any situation.

American Cancer Society Guidelines for Breast Screening with MRI as an Adjunct to Mammography


Abstract

New evidence on breast Magnetic Resonance Imaging (MRI) screening has become available since the American Cancer Society (ACS) last issued guidelines for the early detection of breast cancer in 2003. A guideline panel has reviewed this evidence and developed new recommendations for women at different defined levels of risk. Screening MRI is recommended for women with an approximately 20–25% or greater lifetime risk of breast cancer, including women with a strong family history of breast or ovarian cancer and women who were treated for Hodgkin disease. There are several risk subgroups for which the available data are insufficient to recommend for or against screening, including women with a personal history of breast cancer, carcinoma in situ, atypical hyperplasia, and extremely dense breasts on mammography. Diagnostic uses of MRI were not considered to be within the scope of this review.

INTRODUCTION

Mammography has been proven to detect breast cancer at an early stage and, when followed up with appropriate diagnosis and treatment, to reduce mortality from breast cancer. For women at increased risk of breast cancer, other screening technologies also may contribute to the earlier detection of breast cancer, particularly in women under the age of 40 years for whom mammography is less sensitive. The American Cancer Society (ACS) guideline for the early detection of breast cancer, last updated in 2003, stated that women at increased risk of breast cancer might benefit from additional screening strategies beyond those offered to women at average risk, such as earlier initiation of screening, shorter screening intervals, or the addition of screening modalities (such as breast ultrasound or magnetic resonance imaging [MRI]) other than mammography and physical examination. However, the evidence available at the time was insufficient to justify recommendations for any of these screening approaches. The ACS recommended that decisions about screening options for women at significantly increased risk of breast cancer be based on shared decision making after a review of potential benefits, limitations, and harms of different screening strategies and the degree of uncertainty about each.1

Although there still are limitations in the available evidence, additional published studies have become available since the last update, particularly regarding use of breast MRI. The ACS guideline panel has sought to provide additional guidance to women and their health care providers based on these new data.

GUIDELINE DEVELOPMENT

The ACS convened an expert panel to review the existing early detection guideline for women at increased risk and for MRI screening based on evidence that has accumulated since the last revision in 2002 to 2003. Literature related to breast MRI screening published between September 2002 and July 2006 was identified using MEDLINE (National Library of Medicine), bibliographies of identified articles, and unpublished manuscripts. Expert panel members reviewed and discussed data during a series of conference calls and a working meeting in August, 2006. When evidence was insufficient or lacking, the final recommendations incorporated the expert opinions of the panel members. The ACS Breast Cancer Advisory Group members and the National Board of Directors discussed and voted to approve the recommendations.

SUMMARY OF RECOMMENDATIONS

Table 1 summarizes the ACS recommendations for breast MRI screening.

Table TABLE 1. Recommendations for Breast MRI Screening as an Adjunct to Mammography
  1. * Evidence from nonrandomized screening trials and observational studies.
  2. †Based on evidence of lifetime risk for breast cancer.
  3. †Payment should not be a barrier. Screening decisions should be made on a case-by-case basis, as there may be particular factors to support MRI. More data on these groups is expected to be published soon.
Recommend Annual MRI Screening (Based on Evidence* )
   BRCA mutation
   First-degree relative of BRCA carrier, but untested
   Lifetime risk ∼20–25% or greater, as defined by BRCAPRO or other models that are largely dependent on family history
Recommend Annual MRI Screening (Based on Expert Consensus Opinion†)
   Radiation to chest between age 10 and 30 years
   Li-Fraumeni syndrome and first-degree relatives
   Cowden and Bannayan-Riley-Ruvalcaba syndromes and first-degree relatives
Insufficient Evidence to Recommend for or Against MRI Screening‡
   Lifetime risk 15–20%, as defined by BRCAPRO or other models that are largely dependent on family history
   Lobular carcinoma in situ (LCIS) or atypical lobular hyperplasia (ALH)
   Atypical ductal hyperplasia (ADH)
   Heterogeneously or extremely dense breast on mammography
   Women with a personal history of breast cancer, including ductal carcinoma in situ (DCIS)
Recommend Against MRI Screening (Based on Expert Consensus Opinion)
   Women at <15% lifetime risk

BACKGROUND

MRI

MRI utilizes magnetic fields to produce detailed cross-sectional images of tissue structures, providing very good soft tissue contrast. Contrast between tissues in the breast (fat, glandular tissue, lesions, etc.) depends on the mobility and magnetic environment of the hydrogen atoms in water and fat that contribute to the measured signal that determines the brightness of tissues in the image. In the breast, this results in images showing predominantly parenchyma and fat, and lesions, if they are present. A paramagnetic small molecular gadolinium-based contrast agent is injected intravenously to provide reliable detection of cancers and other lesions. Thus, contrast enhanced MRI has been shown to have a high sensitivity for detecting breast cancer in high-risk asymptomatic and symptomatic women, although reports of specificity have been more variable.2, [3], [4], [5], [6], [7]–8 This high signal from enhancing lesions can be difficult to separate from fat, leading to the use of subtraction images or fat suppression, or both, to assess disease. Because parenchymal tissue also enhances, but generally more slowly than malignant lesions, and also because contrast can wash out rapidly from some tumors, it is important to look at images at an early time point after contrast injection (typically 1 to 3 minutes). MRI examinations may involve examining images at one time point or, more often, will collect a preinjection image with sequential sets of images after contrast injection (dynamic contrast-enhanced [DCE]-MRI). Both the appearance of lesions and, where available, the uptake and washout pattern can be used to identify malignant disease and discriminate it from benign conditions.

These techniques, which have been widely employed for assessing symptomatic disease, have recently been shown to provide good sensitivity as a screening tool for breast cancer in women at increased risk based on family history.9, [10], [11], [12], [13]–14 The approach requires appropriate techniques and equipment, together with experienced staff. Higher quality images are produced by dedicated breast MRI coils, rather than body, chest, or abdominal coils.

IDENTIFICATION OF WOMEN WITH A HIGH RISK OF BREAST CANCER

Three approaches are available for identifying women with a high risk of breast cancer: family history assessment, genetic testing, and review of clinical history. All contribute to identifying women who are candidates for breast MRI screening.

Family History

Although a high proportion of women in the general population have at least one relative with breast cancer, for the majority of these women, this “family history” either does not increase risk at all (ie, the cancer was sporadic) or is associated with, at most, a doubling of lifetime risk (due to either shared environmental risk factors or an inherited gene of low penetrance). Only 1% to 2% of women have a family history suggestive of the inheritance of an autosomal dominant, high-penetrance gene conferring up to an 80% lifetime risk of breast cancer. In some families, there is also a high risk of ovarian cancer. Features of the family history which suggest the cancers may be due to such a high-penetrance gene include 2 or more close (generally first- or second-degree) relatives with breast or ovarian cancer; breast cancer occurring before age 50 years (premenopausal) in a close relative; a family history of both breast and ovarian cancer; one or more relatives with 2 cancers (breast and ovarian cancer or 2 independent breast cancers); and male relatives with breast cancer.15, [16], [17]–18

Two breast/ovarian cancer susceptibility genes, BRCA1 and BRCA2, have been identified.19,20 Inherited mutations in these genes can be found in approximately 50% of families in which an inherited risk is strongly suspected based on the frequency and age of onset of breast cancer cases, and in most families in which there is a much higher than expected incidence of both breast and ovarian cancer.

Several models can assist clinicians to estimate breast cancer risk or the likelihood that a BRCA mutation is present (Online Supplemental Material). The Gail, Claus, and Tyrer-Cusick models estimate breast cancer risk based on family history, sometimes in combination with other risk factors, such as reproductive history or prior breast biopsies.16,21, [22]–23 Although risk prediction is generally similar for the different models, an individual woman’s risk estimate may vary with different models.21,24,25

Two decision models have been developed to estimate the likelihood that a BRCA mutation is present, BRCAPRO18,26 and the Breast and Ovarian Analysis of Disease Incidence and Carrier Estimation Algorithm (BOADICEA)27; the BOADICEA model also provides estimates of breast cancer risk (Online Supplemental Material).

Genetic Testing

The prevalence of BRCA mutations is estimated to be between 1/500 and 1/1,000 in the general population28; however, in women of Jewish ethnicity, the prevalence is 1/50.29,30 Women with cancer-predisposing mutations in either BRCA1 or BRCA2 have an increased risk of both breast and ovarian cancer. From population-based studies, women with BRCA1 mutations are estimated to have a 65% risk by age 70 years for developing breast cancer (95% confidence interval [CI], 44% to 78%); the corresponding risk for BRCA2 mutations is 45% (95% CI, 31% to 56%).31 Risks estimated from cancer-prone families seen in referral centers are higher, with limit of risk in the 85% to 90% range.31 These mutations follow an autosomal dominant pattern of transmission, which means that the sister, mother, or daughter of a woman with a BRCA mutation has a 50% chance of having the same mutation.

The benefits and risks of genetic testing are beyond the scope of this article, but are reviewed in the American Society of Clinical Oncology policy statement update on genetic testing for cancer susceptibility.32 Genetic testing for a BRCA1 or BRCA2 mutation is generally offered to adult members of families with a known BRCA mutation, or to women with at least a 10% likelihood of carrying such a mutation, based on either validated family history criteria or one of the above-mentioned models. If a woman from a family in which a BRCA mutation has been previously identified does not have that mutation, one can generally safely conclude that her breast cancer risk is no higher than it would have been if she did not have a family history of breast cancer. However, in a high-risk family without a known mutation, failure to find a mutation in a particular member does not reduce her risk estimate.

A high risk of breast cancer also occurs with mutations in the TP53 gene (Li-Fraumeni syndrome) and the PTEN gene (Cowden and Bannayan-Riley-Ruvalcaba syndromes).33 Accurate prevalence figures are not available, but these conditions appear to be very rare.34,35

Clinical Indicators of Risk

Some clinical factors are associated with substantial breast cancer risk. Among women with Hodgkin disease, increased breast cancer risk has been consistently and significantly associated with mantle field radiation treatment. In several studies of women treated between 1955 and 1995, risk was inversely related to age at treatment in patients diagnosed between the ages of 10 to 30 years, with only slight or no increased risk when diagnosis was before age 10 years or after age 30 years.36, [37], [38], [39], [40]–41 Risk following treatment with radiation and chemotherapy was half that of treatment with radiation alone in two studies,39,42 which may reflect the effect of chemotherapy on earlier onset of menopause; risk was equivalent in a third study.43 Risk of breast cancer significantly increased 15 to 30 years after radiation therapy.41 More recently, treatment approaches have used lower doses of radiation and limited-field radiotherapy. In one study, which compared patients who received radiation therapy in 1966 to 1974 and 1975 to 1985, treatment in the later timeframe was not related to increased risk of breast cancer after a median follow up of 13 years, whereas patients treated between 1966 and 1974 were at increased risk, suggesting that Hodgkin disease survivors treated with current approaches will not face substantially increased breast cancer risk.44

Lobular carcinoma in situ (LCIS) and atypical lobular hyperplasia (ALH), together described as lobular neoplasia, are associated with substantially increased risk of subsequent breast cancer, with lifetime risk estimates ranging from 10% to 20%.45 This equates to a continuous risk of about 0.5% to 1.0% per year. The invasive cancers may be ipsilateral or contralateral, are usually invasive lobular cancers, and more than 50% of these diagnoses occur more than 15 years after the original diagnosis of LCIS. Similar findings have been reported by Fisher et al,46 describing a 12-year update of 180 women with LCIS who were treated with local excision alone and followed by the National Surgical Adjuvant Breast Project (NSABP), as well as Li et al, who described the risk of invasive breast cancer among 4,490 LCIS patients using Surveillance, Epidemiology, and End Results (SEER) data between 1988 to 2001.47

A typical ductal hyperplasia (ADH) is part of the continuum of ductal proliferative breast diseases ranging from usual ductal hyperplasia to ductal carcinoma in situ (DCIS). The literature review by Arpino et al45 suggests a 4- to 5-fold increased risk of invasive breast cancer (compared with a 6- to 10-fold risk with LCIS) at a median follow up of 17 years, which is doubled if the woman has an associated family history of breast cancer. It is unclear, however, what percentage of the women with this family history and ADH are at this significantly increased risk because they are carriers of a BRCA1 or 2 gene mutation.

Mammographic density has been shown to be a strong independent risk factor for the development of breast cancer.48, [49], [50]–51 In several studies, women with the most breast density were found to have a 4- to 6-fold increased risk of breast cancer, compared with women with the least dense breasts.52, [53], [54], [55]–56 For example, women with 75% or higher mammographic density had a more than five-fold increased risk of breast cancer, compared with women with less than 1% density.57 In addition, it has been shown that malignant tumors of the breast are more likely to arise in the areas of greatest mammographic density, compared with the more fatty areas of the breast.58

The absolute risk of contralateral breast cancer in women with a personal history of breast cancer is estimated to be 0.5% to 1% per year, or 5% to 10% during the 10 years following diagnosis, significantly higher than that of the general population.59 Hormone therapy and/or chemotherapy for the primary cancer is likely to subsequently lower the risk of contralateral breast cancer.

EVIDENCE AND RATIONALE

Evidence of Efficacy from MRI Screening Studies

In the mid to late 1990s, at least 6 prospective, nonrandomized studies were initiated in The Netherlands, the United Kingdom (UK), Canada, Germany, the United States (US), and Italy to determine the benefit of adding annual MRI to (film) mammography for women at increased risk of breast cancer. Some of the studies included ultrasound and/or clinical breast examination, as well. Despite substantial differences in patient population (age, risk, etc.) and MRI technique, all reported significantly higher sensitivity for MRI compared with mammography (or any of the other modalities). All studies that included more than one round of screening reported interval cancer rates below 10%. Participants in each of these 6 studies had either a documented BRCA1 or BRCA2 mutation or a very strong family history of breast cancer. Some of the studies included women with a prior personal history of breast cancer.

Kriege et al screened 1,909 unaffected women aged 25 to 70 years with an estimated 15% or higher lifetime risk of breast cancer (19% proven to have a BRCA mutation) at 6 centers across The Netherlands.9 After a median of 3 rounds of screening, 50 breast cancers (44 invasive) were diagnosed. Eighty percent of the invasive cancers were detected by MRI, compared with 33% by mammography. However, mammography outperformed MRI for detecting DCIS. Of the invasive cancers, 43% were 1 cm or smaller in diameter, and 33% had spread to axillary lymph nodes. The specificity of MRI was 90%, compared with 95% for mammography.

Leach et al screened 649 unaffected women aged 35 to 49 years who had at least a 25% lifetime risk of breast cancer (19% proven to have a BRCA mutation) at 22 centers in the UK.11 After a median of 3 rounds of screening, 35 cancers (29 invasive) were diagnosed. Sensitivity of MRI was 77%, compared with 40% for mammography, with specificities of 81% and 93%, respectively. MRI was most sensitive and mammography least sensitive for women with BRCA1 mutations. Forty-five percent of the cancers were 1 cm or less in size, and 14% had spread to axillary lymph nodes. There were two interval cancers.

Warner et al screened 236 women aged 25 to 65 years with a BRCA mutation at a single center in Toronto for up to 3 years and detected 22 cancers (16 invasive).14 Sensitivity of MRI was 77%, compared with 36% for mammography, with 50% of the cancers 1 cm or smaller, and 13% were node positive. There was one interval cancer. Specificity was 95% for MRI and 99.8% for mammography.

Kuhl et al screened 529 women aged 30 years and older with a lifetime breast cancer risk of at least 20% at a single center in Bonn for a mean of 5 years.10 They detected 43 cancers (34 invasive), with 1 interval cancer. The sensitivity of MRI was 91%, compared with 33% for mammography. The node positive rate was 16%. Specificity of both MRI and mammography was 97%.

The International Breast MRI Consortium screened 390 women aged 25 years and older with more than a 25% lifetime risk of breast cancer at 13 centers (predominantly in the US) on a single occasion.12 Four cancers were found by MRI, and only one of these by mammography. However, because the patients were not followed after screening, the false-negative rate could not be determined. MRI specificity was 95%, compared with 98% for mammography.

In a study in Italy with 9 participating centers, Sardanelli et al screened 278 women aged 25 years and older; 27% carried a BRCA mutation or had a first-degree relative with a BRCA mutation.13 After a median of 1.4 rounds of screening, 18 cancers (14 invasive) were found. MRI sensitivity was 94%, compared with 59% for mammography, 65% for ultrasound, and 50% for clinical breast examination. MRI specificity was 99%.

Overall, studies have found high sensitivity for MRI, ranging from 71% to 100% versus 16% to 40% for mammography in these high-risk populations. Three studies included ultrasound, which had sensitivity similar to mammography. The Canadian, Dutch, and UK studies9,11,14 reported similar sensitivity (71% to 77%) within CIs for MRI, although the single-center study from Germany10 reported a higher sensitivity, which may reflect the concentration of radiological practice and higher patient volume per radiologist at a single center. There is evidence of a learning curve for radiologists conducting MRI breast screening, with the number of lesions investigated falling with experience.60 The three multicenter studies reflect the likely initial effectiveness of this modality in a population context, and it is expected that, with training and advances in technology, sensitivity will increase further.

Table 2 provides a summary of these six screening studies.

Table TABLE 2. Published Breast MRI Screening Study Results
The Netherlands Canada United Kingdom Germany United States Italy
  1. n/a = not applicable.
No. of centers 6 1 22 1 13 9
No. of women 1,909 236 649 529 390 105
Age range 25–70 25–65 35–49 ≥30 ≥25 ≥25
No. of cancers 50 22 35 43 4 8
Sensitivity (%)
   MRI 80 77 77 91 100 100
   Mammogram 33 36 40 33 25 16
   Ultrasound n/a 33 n/a 40 n/a 16
Specificity (%)
   MRI 90 95 81 97 95 99
   Mammogram 95 >99 93 97 98 0
   Ultrasound n/a 96 n/a 91 n/a 0

Most of the available data are based on screening women at high risk due to family history and/or genetic mutations. More recently, smaller studies have provided information on the potential benefit of MRI screening for women with clinical factors that put them at increased risk. Preliminary data were obtained from one retrospective study, in which Port et al61 reviewed the screening results of 252 women with biopsy-confirmed LCIS and 126 women with atypical hyperplasia (either ductal or lobular), of whom half were screened with annual mammography and biennial clinical exams and half were also screened with MRI. The women who were screened with MRI were younger and more likely to have a strong family history. MRI screening offered a small advantage to patients with LCIS, but not atypical hyperplasia, and also resulted in increased biopsies: 6 cancers were detected by MRI in 5 women with LCIS (4% of patients undergoing MRI), and none were detected in women with atypical hyperplasia. Biopsies were recommended for 25% of MRI screened patients; 13% of biopsies had a cancer detected. All of the cancers in women screened with MRI were Stage 0 to I, whereas all of the cancers in women who were not screened with MRI were Stage I to II. Cancer was detected on the first MRI in 4 of 5 patients. The sensitivity of MRI was 75%, the specificity was 92%, and the positive predictive value was 13%.

Technological Limitations and Potential Harms Associated with MRI Screening

Although the efficacy of breast MRI has been demonstrated, it does not achieve perfect sensitivity or specificity in women undergoing screening, and as such, the issue of adverse consequences for women who do, but especially those who do not, have breast cancer is important to address. As with mammography and other screening tests, false negatives after MRI screening can be attributed to inherent technological limitations of MRI, patient characteristics, quality assurance failures, and human error; false positives also can be attributed to these factors, as well as heightened medical-legal concerns over the consequence of missed cancers. A patient’s desire for definitive findings in the presence of a low-suspicion lesion may also contribute to a higher rate of benign biopsies. The consequences of all these factors include missed cancers, with potentially worse prognosis, as well as anxiety and potential harms associated with interventions for benign lesions.

The specificity of MRI is significantly lower than that of mammography in all studies to date, resulting in more recalls and biopsies. Call-back rates for additional imaging ranged from 8% to 17% in the MRI screening studies, and biopsy rates ranged from 3% to 15%.9, [10], [11], [12], [13]–14 However, several researchers have reported that recall rates decreased in subsequent rounds of screening: prevalence screens had the highest false-positive rates, which subsequently dropped to less than 10%.9,62,63 Most call backs can be resolved without biopsy. The call-back and biopsy rates of MRI are higher than for mammography in high-risk populations; while the increased sensitivity of MRI leads to a higher call-back rate, it also leads to a higher number of cancers detected. The proportion of biopsies that are cancerous (positive predictive value) is 20% to 40%.9, [10], [11], [12], [13]–14 Since false-positive results appear to be common, more data are needed on factors associated with lower specificity rates.

Table 3 compares the likelihood of detection and follow-up tests for women who underwent screening MRI and mammography in two screening studies (Dutch and UK). The study populations differed, with the Dutch study having a wider age group and lower risk category, compared with the UK study.9,11 This affected both the prevalence of cancer and the pick-up rate by modality in the two studies. These results, drawn from two trials, demonstrate the relatively high recall rate in the high-risk population, as well as the fact that MRI is a relatively new technique. Despite the high number of recalls, because of the high cancer rate, the rate of benign surgical biopsy in the UK study per cancer detected was similar to that experienced in the population-based national breast screening service. Recalls will inevitably lead to additional investigations, many of which will not demonstrate that cancer is present.

Table TABLE 3. Rates of Detection and Follow-up Tests for Screening MRI Compared with Mammography
MRI Mammography
The Netherlands United Kingdom The Netherlands United Kingdom
Positives 13.7% 19.7% 6.0% 7.2%
Recalls 10.84% 10.7% 5.4% 3.9%
Biopsies 2.93% 3.08% 1.3% 1.33%
Cancers 1.04% 1.44% 0.46% 0.69%
False negatives 0.23% 0.43% 0.81% 1.52%

Given the high rate of cancer combined with the risk of false-positive scans in a high-risk population undergoing MRI-based screening, the psychological health of these women merits study. In a subgroup of 611 women in the UK study, 89% reported that they definitely intended to return for further screening, and only 1% definitely intended not to return. However, 4% found breast MRI “extremely distressing,” and 47% reported still having intrusive thoughts about the examination 6 weeks afterward.64

In a sample of 357 women from the Dutch study, psychological distress remained within normal limits throughout screening for the group as a whole. However, elevated breast cancer-specific distress related to screening was found in excessive (at least once per week) breast self-examiners, risk overestimators, and women closely involved in the breast cancer case of a sister. At least 35% of the total sample belonged to one of these subgroups. It was recommended that patients in one of these vulnerable subgroups be approached for additional psychological support.65

In a small sample of women from the Toronto study followed over a course of 2 years, there was no evidence of any effect on global anxiety, depression, or breast cancer-related anxiety.66 In another sample of 57 women, almost 50% had elevated baseline general and/or breast cancer-specific anxiety, but in 77% of cases this was attributed by the patients to life events, including relatives with cancer. A nonsignificant increase in general anxiety and breast cancer-related anxiety, compared with baseline, was found in the subset of women recalled for further imaging or biopsies.67 Follow-up time is still insufficient to determine whether anxiety scores return to baseline once the work up has been completed.

There is a special responsibility to alert patients to this technology, with its potential strengths and harms, and to be encouraging, while allowing for shared decision making. The interplay between risks, benefits, limitations, and harms is complicated by the fact that individual women likely will weigh these differently depending on their age, values, perception of risk, and their understanding of the issues. Steps should be taken to reduce anxiety associated with screening and the waiting time to diagnosis, and conscientious efforts should be made to inform women about the likelihood of both false-negative and false-positive findings. How information is conveyed to the patient greatly influences the patient’s response: it is important that providers not convey an undue sense of anxiety about a positive MRI finding. While the high rate of biopsies and further investigations is acceptable in women with a high risk of breast cancer, the number of such investigations in women at lower risk will be much higher than would be appropriate, leading to the need to counsel women in lower risk categories that MRI screening is not advisable and that the harms are believed to outweigh the benefits. Such advice needs to be based on considerations of family history, genetic mutation status, other risk factors, age, and mammographic breast density.

There are substantial concerns about costs of and limited access to high-quality MRI breast screening services for women with familial risk. In addition, MRI-guided biopsies are not widely available. With many communities not providing MRI screening and with MRI-guided biopsies not widely available, it is recognized that these recommendations may generate concerns in high-risk women who may have limited access to this technology.

The ability of MRI to detect breast cancer (both invasive and in situ disease) is directly related to high-quality imaging, particularly the signal-to-noise ratio, as well as spatial resolution of the MR image. In order to detect early breast cancer (ie, small invasive cancers, as well as DCIS), simultaneous imaging of both breasts with high spatial resolution is favored. High spatial resolution imaging should be performed with a breast coil on a high field magnet with thin slices and high matrix (approximately 1 mm in-plane resolution). These technical parameters are considered to be the minimal requirements to perform an adequate breast MRI study. The ability to perform MRI-guided biopsy is absolutely essential to offering screening MRI, as many cancers (particularly early cancers) will be identified only on MRI. The American College of Radiology (ACR) is currently developing an accreditation process for performing breast MRI, and, in addition to the performance of high spatial resolution images, the ability to perform MRI intervention (ie, needle localization and/or biopsy) will be essential in order to obtain accreditation by this group. Accreditation will be voluntary and not mandatory. This guideline will likely be available in 2007.

There is a learning curve with respect to interpretation for radiologists. Published trial sites that experience a high volume of cases are experienced, but community practice groups have reported call-back rates over 50% in the majority of the studies that are interpreted. Experience and familiarity with patterns of enhancement, normal and possibly abnormal, are thought to decrease recall rates and increase positive biopsy rates. The ACR accreditation process will stipulate a minimum number of exams that must be read for training purposes and a minimum number for ongoing accreditation. Sites performing breast MRI are encouraged to audit their call-back rates, biopsy rates, and positive biopsy rates.

Cost-effectiveness

Only limited data are available on the cost-effectiveness of breast MRI screening. One recent study modeled cost-effectiveness for adding MRI to mammography screening for women of different age groups who carry a BRCA1 or BRCA2 mutation.68 The authors concluded that the cost per quality-adjusted life year (QALY) saved for annual MRI plus film mammography, compared with annual film mammography alone, varied by age and was more favorable in carriers of a mutation in BRCA1 than BRCA2 because BRCA1 mutations confer higher cancer risk, and higher risk of more aggressive cancers, than BRCA2 mutations.31 Estimated cost per QALY for women aged 35 to 54 years was $55,420 for women with a BRCA1 mutation and $130,695 for women with a BRCA2 mutation. Cost-effectiveness was increased when the sensitivity of mammography was lower, such as in women with very dense breasts on mammography: estimated costs per QALY were $41,183 for women with a BRCA1 mutation and $98,454 for women with a BRCA2 mutation with dense breast tissue. The most important determinants of cost-effectiveness were breast cancer risk, mammography sensitivity, MRI cost, and quality of life gains from MRI.

An evaluation of the cost-effectiveness of the UK study69 has determined that the incremental cost per cancer detected for women at approximately 50% risk of carrying a BRCA gene mutation was $50,911 for MRI combined with mammography over mammography alone. For known mutation carriers, the incremental cost per cancer detected decreased to $27,544 for MRI combined with mammography, compared with mammography alone. Analysis supporting the introduction of targeted MRI screening in the UK for high-risk women70 identified the incremental cost of combined screening per QALY in 40- to 49-year-old women as $14,005 for a BRCA1 carrier with a 31% 10-year riskthe group in which MRI screening is seen to be most effective; $53,320 for women with a 12% 10-year risk; and $96,379 for women with a 6% 10-year risk. For the 30- to 39-year-old age range, the incremental costs per QALY are $24,275 for a BRCA1 carrier with an 11% 10-year risk and $70,054 for a women with a 5% 10-year risk. Based on these estimates, which are based on costs within the UK National Health Service, MRI screening will be offered to women at familial risk aged 30 to 39 years at a 10-year risk greater than 8%, and to women at familial risk aged 40 to 49 years at a 10-year risk greater than 20%, or greater than 12% when mammography has shown a dense breast pattern.

Evidence Supporting Benefit of MRI Screening Among Women in Different Risk Categories

The guideline recommendations were based on consideration of (1) estimates of level of risk for women in various categories and (2) the extent to which risk groups have been included in MRI studies, or to which subgroup-specific evidence is available. Because of the high false-positive rate of MRI screening, and because women at higher risk of breast cancer are much more likely to benefit than women at lower risk, screening should be recommended only to women who have a high prior probability of breast cancer. There is growing evidence that breast cancer in women with specific mutations may have biological and histological features that differ from sporadic cancers. This may result in observed variations in the sensitivity of MRI relative to mammography in detecting cancer in women with a BRCA mutation and those at high familial risk, but without mutations in these genes.11

Women at Increased Risk Based on Family History

The threshold for defining a woman as having significantly elevated risk of breast cancer is based on expert opinion. Any woman with a BRCA1 or BRCA2 mutation should be considered at high risk. The panel has not restricted its recommendations only to women with BRCA mutations because BRCA testing is not always available or informative, and other risk indicators identify additional subsets of women with increased breast cancer risk. If mutation testing is not available, has been done and is noninformative, or if a woman chooses not to undergo testing, pedigree characteristics suggesting high risk may be considered. Very careful family history analysis is required, using tools such as BRCAPRO.18,26 Risk assessment is likely to offer the greatest potential benefit for women under the age of 40 years. Table 4 provides examples of women with a family history indicative of moderate and high risk. The online supplemental material provides guidance for accessing and using risk assessment models.

Table TABLE 4. Breast Cancer Risks for Hypothetical Patients, Based on 3 Risk Models
Family History BRCAPRO*,18 Claus16 Tyrer-Cuzick23
  1. C = breast cancer.
  2. OC = ovarian cancer.
  3. * BRCAPRO (1.4–2) Breast cancer risk calculated to age 85 years.
  4. †Breast cancer risk calculated to age 79 years.
  5. ‡Breast cancer risk calculated for lifetime. Other personal characteristics included in the Tyrer-Cuzick risk model for each case were age at menarche = 12; age at first birth = 28; height = 1.37 meters (5 feet, 4 inches); weight = 61 kg (134 lbs); woman has never used hormone replacement therapy (HRT); no atypical hyperplasia or lobular carcinoma in situ (LCIS).
35-year-old woman
   Mother BC 33
   Maternal aunt BC 42 19% 36% 28%
35-year-old woman
   Paternal aunt BC 29, OC 49
   Paternal grandmother BC 35 23% 24% 32%
35-year-old woman
   Paternal aunt BC 29
   Paternal grandmother BC 35 18% 24% 31%
35-year-old woman
   Mother BC 51
   Maternal aunt BC 60 13% 18% 23%
35-year-old woman of Jewish ancestry
   Mother BC 51
   Maternal aunt BC 60 18% 18% 28%

Women at Increased Risk Based on Clinical Factors

Additional factors that increase the risk of breast cancer, and thus may warrant earlier or more frequent screening, include previous treatment with chest irradiation (eg, for Hodgkin disease), a personal history of LCIS or ADH, mammographically dense breasts, and a personal history of breast cancer, as discussed above. There are little data to assess the benefit of MRI screening in women with these risk factors. Women at increased risk or who are concerned about their risk may find it helpful to have their provider clarify the bases for MRI screening recommendations, as well as areas of uncertainty. For some women, mammography may be as effective as for women at average risk, and MRI screening may have little added benefit. In contrast, mammography is less effective in women with very dense breasts, and MRI screening may offer added benefit.

Women who have received radiation treatment to the chest, such as for Hodgkin disease, compose a well-defined group that is at high risk. Although evidence of the efficacy of MRI screening in this group is lacking, it is expected that MRI screening might offer similar benefit as for women with a strong family history, particularly at younger ages and within 30 years of treatment. Because of the high risk of secondary breast cancer in this group, MRI screening is recommended based on expert consensus opinion.

While lifetime risk of breast cancer for women diagnosed with LCIS may exceed 20%, the risk of invasive breast cancer is continuous and only moderate for risk in the 12 years following local excision.46 Only one MRI screening study has included a select group of women with LCIS,61 which showed a small benefit over mammography alone in detecting cancer. This benefit was not seen in patients with atypical hyperplasia. MRI use should be decided on a case-by-case basis, based on factors such as age, family history, characteristics of the biopsy sample, breast density, and patient preference.

Although there have been several trials reported looking at the accuracy and positive predictive value of MRI and mammography in women with high breast density, all of these trials have been conducted in women with known or highly-suspected malignancies within the breast.71, [72], [73]–74 To this point, there has been no Phase III randomized trial reported that has shown a reduction in either mortality or in the size of diagnosed breast cancer when comparing breast MRI with mammography in women with high mammographic density.

Scant data are available for MRI screening of women with a personal history of breast cancer. In one study, MRI detected more cancers in women who had both a personal history and a family history, compared with women at high risk based on family history alone.75 While women with a previous diagnosis of breast cancer are at increased risk of a second diagnosis, the ACS panel concluded that the estimated absolute lifetime risk of 10% does not justify a recommendation for MRI screening at the present time.

Limitations of Evidence from MRI Studies and Research Needs

Assiduous attempts were made to base recommendations on solid evidence. However, outcome data from screening MRI studies are not sufficient to form a solid basis for many of the recommendations. It was therefore necessary to rely on available inferential evidence and expert opinion to provide the guidance needed for patients and their health care providers.

Although the literature shows very good evidence for greater sensitivity of MRI than mammography and good evidence for a stage shift toward earlier, more favorable tumor stages by MRI in defined groups of women at increased risk, there are still no data on recurrence or survival rates, and therefore, lead-time bias is still a concern. Further, a large randomized, mortality endpoint study is unlikely to take place, and it will be necessary in the foreseeable future to rely on evidence of stage of disease and types of cancers. In the absence of randomized trials, recurrence and survival data will come from observational study designs.

The age at which screening should be initiated for women at high risk is not well established. The argument for early screening is based on the cumulative risk of breast cancer in women with BRCA1 mutations and a strong family history of early breast cancer, which is estimated to be 3% by age 30 years and 19% by age 40 years.76 Population-based data also indicate that risk for early breast cancer is increased by a family history of early breast cancer.16 Based on these observations, some experts have suggested that breast cancer screening begin 5 to 10 years before the earliest previous breast cancer in the family. In 1997, an expert panel suggested that screening be initiated at some time between the ages of 25 and 35 years for women with a BRCA1 or BRCA2 mutation.77 Because these recommendations were based on limited observational data, the decision regarding when to initiate screening should be based on shared decision making, taking into consideration individual circumstances and preferences. No data are available related to the effectiveness of screening women beyond age 69 years with MRI and mammography versus mammography alone; most of the current data are based on screening in younger women, and thus, similar investigations are needed in older age cohorts. For most women at high risk, screening with MRI and mammography should begin at age 30 years and continue for as long as a woman is in good health.1

Most of the available data are based on annual MRI screening; there is a lack of evidence regarding shorter or longer screening intervals. Further, while good data are available for the first screening exam (ie, the “prevalent screen”), considerably less data are available from subsequent screening exams (ie, “incidence screens”), and the available data include relatively short follow-up times. Most studies of annual MRI have shown few interval cancers, certainly fewer than with mammography. Given the probably shorter duration of the detectable preclinical phase, or sojourn time, in women with BRCA mutations, MRI has demonstrated superiority to mammography in this regard. Therefore, to the best of our knowledge, MRI should be performed annually. However, in view of data suggesting that tumor doubling time in women with an inherited risk decreases with age,78 it is conceivable that older women can safely be screened less frequently than younger women. The available evidence is limited, and additional research regarding optimal screening interval by age and risk status is needed.

Some experts recommend staggering MRI screening and mammography screening every 6 months. The potential advantage of this approach is that it may reduce the rate of interval cancers. Other experts recommend MRI and mammography at the same time or within a short time period. This approach allows for the results of both screening tests to be interpreted together and reported to the patient at the same time. All of the clinical trials screened participants with both MRI and mammography at the same time. There is no evidence to support one approach over the other. For the majority of women at high risk, it is critical that MRI screening be provided in addition to, not instead of, mammography, as the sensitivity and cancer yield of MRI and mammography combined is greater than for MRI alone. However, where there is a concern about raised radiation sensitivity, it may be advisable to employ MRI alone despite the overall lower sensitivity.

In order to pursue answers to some of the unresolved questions related to the use of MRI and mammography to screen women at increased risk, it is important to develop creative strategies related to data gathering and study design. Multicenter studies can result in greater efficiency in accumulating sufficiently large enough data sets in this subgroup of women. Conventional study designs with randomization may prove difficult given the potential advantage of adding MRI to mammography in higher-risk groups, and thus, design strategies that utilize surrogate markers and historic controls may prove both more practical and feasible. To move forward, we encourage the development of a simple, common data collection protocol to capture information from the growing number of centers that offer MRI and formal systems to collect outcome data. Because many insurers presently cover MRI screening for high-risk women, it may be economical to do prospective surveillance studies since screening costs are covered by third parties. A common surveillance protocol could permit pooling of data, much like presently is done within the framework of the National Cancer Institute’s Breast Cancer Surveillance Consortium, a collaborative network of seven mammography registries in the United States with linkages to tumor and/or pathology registries that was organized to study the delivery and quality of breast cancer screening and related patient outcomes in the United States.79 We also encourage seeking opportunities for broad international research collaboration on study questions of common interest.

Several further clinical trials of screening women at increased risk of breast cancer are underway, including an international study of MRI and ultrasound in conjunction with the International Breast MRI Consortium and Cancer Genetics Network, and the American College of Radiology Imaging Network (ACRIN) 666 screening trial of mammography compared with ultrasound. An amendment to the ACRIN trial, 6666, will screen patients with one round of MRI.

CONCLUSION

Often no available screening modality is uniquely ideal. For breast MRI, there is an increasing body of observational data showing that screening can identify cancer in patients of specific risk groups, ie, high-risk patients facing a lifetime risk of ∼20–25% or greater related to family history as estimated by one or more of the different risk models. We have specified a range of risk because estimates from the risk models vary and because each of the risk models is imperfect. Furthermore, these models likely will continue to be refined over time; therefore, these risk estimates for different family history profiles are likely to change. Thus, when estimating patient risk it is important to always be certain that the most current model is being used. In addition to family history, clinical factors as described earlier may be a relevant factor in individualized decisions about MRI screening when family history alone does not predict a risk of approximately 20–25%.

Several studies have demonstrated the ability of MRI screening to detect cancer with early-stage tumors that are associated with better outcomes. While survival or mortality data are not available, MRI has higher sensitivity and finds smaller tumors, compared with mammography, and the types of cancers found with MRI are the types that contribute to reduced mortality. It is reasonable to extrapolate that detection of noninvasive (DCIS) and small invasive cancers will lead to mortality benefit.

The guideline recommendations for MRI screening as an adjunct to mammography for women at increased risk of breast cancer take into account the available evidence on efficacy and effectiveness of MRI screening, estimates of level of risk for women in various categories based on both family history and clinical factors, and expert consensus opinion where evidence for certain risk groups is lacking. All of these groups of women should be offered clinical trials of MRI screening, if available. Women should be informed about the benefits, limitations, and potential harms of MRI screening, including the likelihood of false-positive findings. Recommendations are conditional on an acceptable level of quality of MRI screening, which should be performed by experienced providers in facilities that provide MRI-guided biopsy for the follow up of any suspicious results.

American Cancer Society/American Society of Clinical Oncology Breast Cancer Survivorship Care Guideline


The purpose of the American Cancer Society/American Society of Clinical Oncology Breast Cancer Survivorship Care Guideline is to provide recommendations to assist primary care and other clinicians in the care of female adult survivors of breast cancer. A systematic review of the literature was conducted using PubMed through April 2015. A multidisciplinary expert workgroup with expertise in primary care, gynecology, surgical oncology, medical oncology, radiation oncology, and nursing was formed and tasked with drafting the Breast Cancer Survivorship Care Guideline. A total of 1,073 articles met inclusion criteria; and, after full text review, 237 were included as the evidence base. Patients should undergo regular surveillance for breast cancer recurrence, including evaluation with a cancer-related history and physical examination, and should be screened for new primary breast cancer. Data do not support performing routine laboratory tests or imaging tests in asymptomatic patients to evaluate for breast cancer recurrence. Primary care clinicians should counsel patients about the importance of maintaining a healthy lifestyle, monitor for post-treatment symptoms that can adversely affect quality of life, and monitor for adherence to endocrine therapy. Recommendations provided in this guideline are based on current evidence in the literature and expert consensus opinion. Most of the evidence is not sufficient to warrant a strong evidence-based recommendation. Recommendations on surveillance for breast cancer recurrence, screening for second primary cancers, assessment and management of physical and psychosocial long-term and late effects of breast cancer and its treatment, health promotion, and care coordination/practice implications are made.

This guideline was developed through a collaboration between the American Cancer Society and the American Society of Clinical Oncology and has been published jointly by invitation and consent in both CA: A Cancer Journal for Clinicians and Journal of Clinical Oncology. Copyright © 2015 American Cancer Society and American Society of Clinical Oncology. All rights reserved. No part of this document may be reproduced or transmitted in any form or by any means, electronic or mechanical, including photocopy, recording, or any information storage and retrieval system, without written permission by the American Cancer Society or the American Society of Clinical Oncology.