AIIMS Delhi set for overhaul, expand services across NCR

New Delhi: In a move set to transform India’s premier healthcare institution, the NITI Aayog is likely to recommend a comprehensive revamp of the All India Institute of Medical Sciences (AIIMS), Delhi, including a strategic expansion of its clinical services across the National Capital Region (NCR).  

Also Read: Delhi opens first brain health clinic at Dwarka Hospital

According to Economic Times, the move is aimed at reducing the load on existing infrastructure and freeing doctors for medical research, said a senior government official.

This restructuring is expected to significantly reduce long waiting times and improve patient flow for non-critical treatments.  Currently, AIIMS Delhi’s outpatient department (OPD) manages an overwhelming 7,200 patients per day, while its emergency section treats approximately 400–500 cases daily, putting immense strain on resources and staff.

According to the news reports, a committee headed by NITI Aayog member Dr. VK Paul is currently reviewing the existing systems at AIIMS and is expected to soon draft a comprehensive reform plan. The blueprint will outline specific timelines and actionable steps to elevate the institute’s healthcare services to international standards.

The committee’s report, due in the latter half of this year, will present policy recommendations. These recommendations will be structured into short-term, medium-term, and long-term interventions, complete with timelines and operational steps.

The official revealed that the committee is exploring the possibility of utilising vacant or underutilised facilities in other government — and potentially private — hospitals to extend AIIMS OPD services.

Also Read: No New AIIMS Planned for Jhansi, NITI Aayog Panel to Propose Reforms AIIMS New Delhi Transformation: MoS Health

The official stated, “All aspects are being considered to ensure quality of service and that medical care is not compromised. A final decision will be taken by the committee.”

“However, the idea of spreading OPDs outside of AIIMS will only succeed if there is a strict monitoring mechanism in place to ensure everyone in need of medical care or advice is catered as is done at AIIMS,” the official added, reports Economic Times. 

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Smoking More Than Doubles Risk of Aortic Dissection, But Quitting Slashes Risk, Study Finds

Norway: A new analysis of UK Biobank data, supported by a meta-analysis of prospective studies, has confirmed a strong association between tobacco smoking and aortic dissection—a rare but fatal cardiovascular condition. Among 500,000 participants, current smokers had over twice the risk of aortic dissection compared to never-smokers (HR 2.48). The risk rose further with higher daily cigarette use (HR 2.63) and greater cumulative exposure (HR 1.66).

“In contrast, former smokers showed no significant increase in risk (HR 1.03) and had a 48–75% lower risk than current smokers, highlighting the benefits of quitting,” the researchers reported in Scientific Reports. They stressed that while smoking intensity drives up risk, cessation substantially lowers it—underscoring the need for more vigorous public health efforts to curb smoking and promote cessation.

While tobacco smoking raises the risk of aortic dissection, evidence from prospective studies is limited, and the impact of smoking cessation on this risk remains unclear. To address these gaps, Dagfinn Aune, Department of Nutrition, Oslo New University College, Oslo, Norway, and colleagues examined various aspects of tobacco use with aortic dissection within the UK Biobank cohort and further strengthened their findings through a meta-analysis of existing cohort studies.

For this purpose, the researchers investigated the association between various aspects of tobacco smoking and the risk of aortic dissection using data from the UK Biobank Study. They complemented their findings with a meta-analysis of existing cohort studies. In the UK Biobank analysis, multivariable Cox proportional hazards models were employed to estimate hazard ratios (HRs) and 95% confidence intervals (CIs).

To identify relevant cohort studies for the meta-analysis, systematic searches were conducted in PubMed and Embase up to July 19, 2024, and summary relative risks (RRs) with 95% CIs were calculated using random effects models.

The study led to the following findings:

  • Over a mean follow-up of 12.3 years, 376 new cases of aortic dissection were identified among 499,078 UK Biobank participants.
  • Compared to never-smokers, the multivariable-adjusted hazard ratio (HR) was 2.48 (95% CI: 1.87–3.29) for current smokers and 1.03 for former smokers.
  • There was a clear dose-response relationship between cigarettes smoked per day and risk of aortic dissection, with HRs of 2.31 for 1–9 cigarettes/day, 2.94 for 10–19, and 2.63 for 20 or more.
  • Smoking exposure measured in pack-years also showed a positive association, with an HR of 1.66 for ≥30 pack-years compared to never-smokers.
  • Former smokers who had quit for varying durations experienced a 48–75% lower risk of aortic dissection compared to current smokers.
  • In the meta-analysis, the summary relative risk (RR) was 2.44 for current smokers and 1.32 for former smokers versus never smokers.
  • The risk increased by 52% per 10 cigarettes/day (RR 1.52) and by 16% per 10 pack-years (RR 1.16).
  • The risk decreased by 22% per 10 years since quitting smoking (RR 0.78).

“The findings strengthen the evidence that tobacco smoking increases the risk of aortic dissection, with a possible dose-response relationship associated with smoking intensity and duration,” the authors wrote. They further noted that quitting smoking significantly lowers this risk. Concluding their analysis, they emphasized that while further research is warranted, the results reinforce the need for stronger public health initiatives to reduce smoking prevalence and promote cessation.

Reference:

Khan, M. Y., Dillman, A., Hibino, M., & Aune, D. (2025). Tobacco smoking and the risk of aortic dissection in the UK Biobank and a meta-analysis of prospective studies. Scientific Reports, 15(1), 1-10. https://doi.org/10.1038/s41598-025-96529-y

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Left Atrial Remodeling Predicts Cardiovascular Risk in Asymptomatic Diabetes Patients with Early CKD: Study

China: A recent study published in Reviews in Cardiovascular Medicine highlights the significance of left atrial structural and functional alterations in forecasting major cardiac complications in patients with type 2 diabetes mellitus (T2DM) and early-stage chronic kidney disease (CKD).

Led by Dr. Mingxia Gong and researchers from the Department of Echocardiography at The Third Affiliated Hospital of Soochow University, the study utilized advanced imaging techniques to assess whether changes in the left atrium (LA) could predict future cardiovascular events in this high-risk yet often overlooked population.

“In asymptomatic type 2 diabetes patients, progression of diabetic nephropathy was associated with higher LAVImin and lower LASr, both reflecting declining kidney function. These markers independently predicted major cardiovascular events (AUC: 0.818), emphasizing the value of LA strain analysis in early cardiorenal risk evaluation,” the researchers reported.

Using four-dimensional automatic left atrial quantification (4D Auto LAQ), the team evaluated 361 individuals with asymptomatic T2DM and early CKD. The imaging measured LA volume indices, such as minimum (LAVImin), maximum, and pre-ejection volumes, and strain values reflecting LA function during reservoir, conduit, and contraction phases.

Over a median follow-up of nearly four years, 70 participants experienced major adverse cardiovascular events (MACEs), which included nonfatal myocardial infarction, stroke, heart failure, or cardiac death. Through detailed statistical analyses, including Cox proportional hazard models, the study identified two LA parameters as independent predictors of cardiovascular risk: increased LAVImin and reduced longitudinal strain during the reservoir phase (LASr).

The key findings of the study include the following:

  • Each unit increase in LAVImin was associated with a 21% higher risk of major adverse cardiovascular events (adjusted HR: 1.21).
  • Higher LASr values were linked to a significantly lower risk of cardiovascular events (adjusted HR: 0.81).
  • Patients with LAVImin >16.9 mL/m² had more than twice the risk of MACEs compared to those with LAVImin ≤16.9 mL/m².
  • Individuals with LASr <18.5% faced nearly a fourfold increased risk of MACEs compared to those with LASr ≥18.5%.
  • LASr was identified as the strongest echocardiographic predictor of cardiovascular events among the parameters studied.
  • The predictive accuracy of LAVImin and LASr for MACEs was high, with an AUC of 0.818.

The researchers emphasize that these structural and functional changes in the left atrium may reflect early cardiovascular stress due to underlying diabetic nephropathy, even in the absence of symptoms. As such, integrating 4D LA quantification—especially LASr—into routine cardiac evaluations could enhance early detection and risk stratification in T2DM patients with renal involvement.

“While further studies with larger populations are warranted, the results emphasize the clinical utility of LA remodeling parameters in guiding early intervention strategies aimed at reducing cardiovascular complications in diabetic patients with early kidney dysfunction,” the authors concluded.

Reference:

Mingxia Gong, Min Xu, Suoya Pan, Shu Jiang, Xiaohong Jiang. Association of Left Atrium Remodeling With Major Adverse Cardiovascular Events in Asymptomatic Type 2 Diabetes Patients With Early Chronic Kidney Disease. Rev. Cardiovasc. Med. 2025, 26(5), 27247. https://doi.org/10.31083/RCM27247

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Positive-Pressure Exhaust Technique Improves Mesh Fixation in TAPP Hernia Repair: Study

Researchers have found in a study on laparoscopic transabdominal preperitoneal (TAPP) hernia repair that the pneumoperitoneum positive-pressure exhaust technique enhances mesh fixation by eliminating dead space and improving tissue apposition. This simple, cost-effective approach may lower recurrence risk and offers benefits such as real-time mesh positioning assessment, multimodal fixation without extra devices, and simplified dead space management. Further large-scale studies are needed to validate its long-term efficacy.

A study was done to investigate the effects of the pneumoperitoneum positive-pressure exhaust technique on mesh fixation and postoperative recovery in laparoscopic transabdominal preperitoneal prosthetic (TAPP) hernia repair. A retrospective cohort analysis was conducted on 655 patients who underwent TAPP between January 2019 and December 2023. Patients were divided into a direct suture group (n=304) and a positive-pressure exhaust group (n=351) on the basis of preperitoneal space management. In the exhaust group, a 20G needle or drainage tube was placed percutaneously before peritoneal closure. After suturing, 12 mmHg pneumoperitoneum pressure was maintained to evacuate residual gas from the preperitoneal space through the externalized needle/tube. The primary outcomes included postoperative complications (bleeding, mesh infection, seroma, reoperation) and hospitalization duration. Results: Baseline characteristics were not significantly different (P>0.05). Although not statistically significant, there were clinically meaningful differences between the groups; the exhaust group had lower seroma (11.97% vs. 16.78%, P=0.079) and mesh infection (0.28% vs. 1.32%, P=0.189) incidence rates than the direct suture group did. The exhaust group had a significantly shorter hospital stay than the direct suture group (median 7 vs. 7 days, P=0.013) and had a 0% recurrence rate at the 1-year follow-up (vs. 1.32% for the direct suture group). The positive-pressure exhaust technique facilitates mesh fixation by eliminating dead space through improved tissue apposition. This simple, cost-effective approach may reduce the risk of recurrence, although larger prospective studies are needed to validate its long-term efficacy.

Reference:

He, W., Chen, B. Efficacy of intraperitoneal positive pressure gas expulsion in laparoscopic transabdominal preperitoneal hernioplasty: a retrospective cohort study. BMC Surg 25, 231 (2025). https://doi.org/10.1186/s12893-025-02965-y

Keywords:

Positive-Pressure, Exhaust, Technique, Improves, Mesh, Fixation, TAPP, Hernia, Repair, Study, He, W., Chen, B, Laparoscopic hernioplasty, Preperitoneal space, Mesh fixation, Pneumoperitoneum pressure, Postoperative complications

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Redefine low lead levels: Even one unit increase in Low Lead Levels tied to Poorer Academic Performance in Children: JAMA

A recent study found that a 1-unit increase in blood lead levels—within the range currently considered low (<3.5 μg/dL) is associated with consistently lower academic performance across school grades. This study was published in JAMA Network Open by George L. and colleagues. This large cohort study from Iowa, reveals that blood lead level increases below the Centers for Disease Control and Prevention (CDC) intervention level are associated with measurable decreases in math and reading scores. These findings imply that the current level is too high to serve as a threshold that protects children’s cognitive development and learning outcomes.

In 2021, the CDC reduced the reference value for blood lead level in children to 3.5 μg/dL or greater, marking the level at which public health action is indicated. But researchers have raised questions about whether even lower levels of lead in the blood might be harmful. This research, undertaken between May 2024 and March 2025, aimed to redress this issue by assessing the academic achievement of children with lead levels below and at or above this cut-off.

With a cohort design, the research associated the birth certificates of 305,256 Iowa children born during 1989 through 2010 with their grades 2 through 11 standardized reading and mathematics test scores and with early childhood blood lead tests. The primary outcome assessed was the National Percentile Rank (NPR) reading and math scores.

Children’s data were joined within 1,782,873 child-grade observations, offering a large sample to analyze. Of the children investigated:

  • 51.0% were boys

  • 41.1% were first-born

  • 43.9% were born to mothers with a high school education or lower

  • The average age at blood lead testing was 1.9 years (SD: 1.5), and 37.7% of children had blood lead levels below 3.5 μg/dL.

The study employed regression modeling to control for sociodemographic, child and maternal health, and school variables in analyzing the relationship between blood lead levels and academic performance.

Key Findings

The analysis demonstrated that even minor increases in blood lead levels—below the 3.5 μg/dL intervention level—were linked to diminished academic performance:

In children with blood lead levels less than 3.5 μg/dL, a 1-unit increase was linked with:

  • −0.47 NPR points in mathematics (95% CI: −0.65 to −0.30)

  • −0.38 NPR points in reading (95% CI: −0.56 to −0.20)

In children with blood lead levels ≥3.5 μg/dL, with each 1-unit increase, there was associated:

  • −0.52 NPR points in mathematics (95% CI: −0.58 to −0.47)

  • −0.56 NPR points in reading (95% CI: −0.62 to −0.51)

Notably, these decreases were consistent through grades 2 to 11, reflecting long-term impacts on cognitive and academic achievement independent of the timing of exposure during early childhood.

These findings suggest a need for reconsidering existing thresholds of intervention and increasing public health measures to prevent lead exposure in all settings in which children reside, learn, and play.

Reference:

Wehby GL. Early-Life Low Lead Levels and Academic Achievement in Childhood and Adolescence. JAMA Netw Open. 2025;8(5):e2512796. doi:10.1001/jamanetworkopen.2025.12796

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Pesticides from golf courses influence prevalence of Parkinson’s disease: JAMA

A new study published in the Journal of American Medical Association showed that the prevalence of Parkinson’s disease (PD) among the local population may be influenced by pesticides used on golf courses.

Pesticide exposure is one of the environmental risk factors that has been associated with a higher risk of Parkinson’s disease. It is yet unknown how golf course pesticide exposure affects the risk of Parkinson’s disease. Therefore, this study was set to determine whether living close to golf courses is linked to a higher incidence of Parkinson’s disease and to look at drinking water pollution as a possible exposure source using data on groundwater vulnerability and municipal well sites.

Patients with incident Parkinson’s disease and matched controls from the Rochester Epidemiology Project, which ran from 1991 to 2015, were included in this case-control research. Living in water service areas with a golf course, living in water service areas in groundwater-vulnerable areas, living in water service areas with shallow municipal wells, living in water service areas with a municipal well on a golf course, and living in water service areas with a golf course were all considered. Sex, age, race and ethnicity, index year, median household income, and urban/rural categorization were all taken into account in all models.

There were 5,113 matched controls (median [IQR] age, 72 [65-79] years; 3043 male [59.5%]; 4504 White [88.1%]) and 419 incident PD patients (median [IQR] age, 73 [65-80] years; 257 male [61.3%]). Living within one mile of a golf course was linked to a 126% higher chance of having Parkinson’s disease (PD) than living more than 6 miles away from one (adjusted odds ratio [aOR], 2.26; 95% CI, 1.09-4.70), even after controlling for patient demographics and neighborhood variables.

The risks of Parkinson’s disease (PD) were nearly twice for those who lived in water service regions with golf courses (1.96; 95% CI, 1.20-3.23) and 49% higher for those who lived in areas with private wells (1.49; 95% CI, 1.05-2.13). Furthermore, the risks of getting Parkinson’s disease (PD) were 82% higher for residents of water service areas with a golf course in sensitive groundwater regions than for residents of nonvulnerable groundwater regions (a1.82; 95% CI, 1.09-3.03).

Overall, those who lived closer to golf courses had a higher chance of developing Parkinson’s disease (PD) than those who lived farther away. People who lived in sensitive groundwater locations and in water service areas with golf courses had the associations with the highest likelihood increases.

Source:

Krzyzanowski, B., Mullan, A. F., Dorsey, E. R., Chirag, S. S., Turcano, P., Camerucci, E., Bower, J. H., & Savica, R. (2025). Proximity to golf courses and risk of Parkinson disease. JAMA Network Open, 8(5), e259198. https://doi.org/10.1001/jamanetworkopen.2025.9198

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A dental floss that can measure stress, reveals research

Chronic stress can lead to increased blood pressure and cardiovascular disease, decreased immune function, depression, and anxiety. Unfortunately, the tools we use to monitor stress are often imprecise or expensive, relying on self-reporting questionnaires and psychiatric evaluations.

Now a Tufts interdisciplinary engineer and his team have devised a simple device using specially designed floss that can easily and accurately measure cortisol, a stress hormone, in real time.

“It started in a collaboration with several departments across Tufts, examining how stress and other cognitive states affect problem solving and learning,” said Sameer Sonkusale, professor of electrical and computer engineering. “We didn’t want measurement to create an additional source of stress, so we thought, can we make a sensing device that becomes part of your day-to-day routine? Cortisol is a stress marker found in saliva, so flossing seemed like a natural fit to take a daily sample.”

Their design of a saliva-sensing dental floss looks just like a common floss pick, with the string stretched across two prongs extending from a flat plastic handle, all about the size of your index finger. The saliva is picked up by capillary action through a very narrow channel in the floss. The fluid is drawn into the pick handle and an attached tab, where it spreads across electrodes that detect the cortisol.

Cortisol recognition on the electrodes is accomplished with a remarkable technology developed almost 30 years ago called electropolymerized molecularly imprinted polymers (eMIPs). They work similarly to the way you might make a plaster cast of your hand. A polymer is formed around a template molecule, in this case cortisol, which is later removed to leave behind binding sites. These sites have a physical and chemical shape “memory” of the target molecule so they can bind free-floating molecules that are coming in.

The eMIP molds are versatile, so one can create dental floss sensors that detect other molecules that can be found in saliva, such as estrogen for fertility tracking, glucose for diabetes monitoring, or markers for cancer. There is also potential for detecting multiple biomarkers in saliva at the same time, for more accurate monitoring of stress, cardiovascular disease, cancer, and other conditions.

“The eMIP approach is a game changer,” said Sonkusale. “Biosensors have typically been developed using antibodies or other receptors that pick up the molecule of interest. Once a marker is found, a lot of work has to go into bioengineering the receiving molecule attached to the sensor. eMIP does not rely on a lot of investment in making antibodies or receptors. If you discover a new marker for stress or any other disease or condition, you can just create a polymer cast in a very short period of time.”

Accuracy of the cortisol sensors is comparable to the best-performing sensors on the market or in development. Bringing this device into the home and in the hands of individuals without need for training will make it possible to fold stress monitoring into many aspects of health care. Currently Sonkusale and his colleagues are creating a startup to try and bring the product to market.

He points out that while the dental floss sensor is quantitatively highly accurate, the practice of tracking markers in saliva is best for monitoring, not for the initial diagnosis of a condition. That’s in part because saliva markers can still have variations between individuals.

“For diagnostics, blood is still the gold standard, but once you are diagnosed and put on medication, if you need to track, say, a cardiovascular condition over time to see if your heart health is improving, then monitoring with the sensor can be easy and allows for timely interventions when needed,” he says.

Reference:

Atul Sharma, Saliva-Sensing Dental Floss: An Innovative Tool for Assessing Stress via On-Demand Salivary Cortisol Measurement with Molecularly Imprinted Polymer and Thread Microfluidics Integration, ACS Applied Materials & Interfaces, DOI:10.1021/acsami.5c02988 

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Invasive Strategy Offers No Added Benefit in Low-Risk SCAD Patients and Raises Bleeding Risk: Study Finds

China: A recent risk-stratification-based study has brought new insight into managing stable coronary artery disease (SCAD), highlighting that an invasive approach may not offer universal benefits over conservative treatment—except in patients identified as moderate-to-high risk.

In patients with SCAD, percutaneous coronary intervention (PCI) did not significantly reduce ischemic events compared to conservative management and was associated with an increased risk of bleeding (hazard ratio 1.59), the researchers reported in BMC Medicine. However, among those classified as moderate-to-high risk, PCI was linked to a 33% reduction in ischemic events and a 27% decrease in all-cause mortality without an accompanying rise in bleeding risk. These findings suggest that risk stratification could be crucial in guiding optimal treatment strategies for SCAD.

The long-term benefits of percutaneous coronary intervention in patients with stable coronary artery disease, as compared to conservative management, have remained a topic of ongoing debate. To address this uncertainty, Zizhao Qi, Department of Cardiology, The Second Affiliated Hospital of Harbin Medical University, Harbin, China, and colleagues aimed to assess the impact of an initial invasive strategy versus a conservative approach on long-term clinical outcomes in SCAD patients, using risk stratification to identify which subgroups may benefit most from each treatment pathway.

For this purpose, the researchers conducted a sub-analysis of the multicenter, observational OPT-CAD (Optimal antiPlatelet Therapy for Chinese patients with Coronary Artery Disease) study. They compared clinical outcomes in SCAD patients who were initially managed with either PCI (invasive strategy) or conservative treatment, based on their risk levels determined by the OPT-CAD score.

The primary outcome was the occurrence of ischemic events over five years, including cardiac death, myocardial infarction, and ischemic stroke. Secondary outcomes included all-cause mortality and major bleeding events, defined as BARC types 2, 3, or 5.

The study led to the following findings:

  • The study included 1767 patients (58.0%) in the conservative group and 1278 patients (42.0%) in the invasive group.
  • Overall, the invasive strategy did not lower the risk of ischemic events compared to the conservative approach.
  • However, it was linked to a higher risk of BARC type 2, 3, or 5 bleeding (adjusted HR 1.59).
  • In the low-risk subset (N = 2030), outcomes were similar, with no added benefit from the invasive strategy.
  • In the moderate-to-high-risk subset (N = 1015), the invasive approach significantly reduced the risk of ischemic events (HR 0.67).
  • A trend toward reduced all-cause mortality was also observed in this group (HR 0.73).
  • No increased risk of bleeding was noted in moderate-to-high-risk patients receiving invasive treatment.

“In patients with stable coronary artery disease, an initial invasive strategy did not provide additional clinical benefit over conservative management and was associated with a higher risk of bleeding,” the researchers noted. “However, among those classified as moderate-to-high risk based on the OPT-CAD score, the invasive approach was linked to a reduction in ischemic events without an increased risk of bleeding”

“These findings underscore the potential utility of the OPT-CAD score in guiding personalized treatment decisions for patients with SCAD,” they concluded.

Reference:

Qi, Z., Qiu, M., Xu, Y. et al. Comparative outcomes of invasive versus conservative strategy in stable coronary artery disease patients: a risk-stratification-based hypothesis-generative study. BMC Med 23, 199 (2025). https://doi.org/10.1186/s12916-025-04020-2

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Striking the Balance: Cervical Collar Adjustments for Optimized Intubation, finds study

Recent study conducted a randomized controlled trial to compare cervical spine motion during videolaryngoscopic intubation in patients wearing a cervical collar. The research aimed to evaluate the difference in cervical spine motion between applying only the posterior piece and applying both the anterior and posterior pieces of the cervical collar during intubation. A total of 102 patients were divided into posterior-only and anterior-posterior groups, and cervical spine motion was measured at different segments. The results showed that the differences in mean cervical spine motion between the two groups were approximately 1.2°, 1.0°, and -0.3° at different cervical spine segments.

Intubation Performance Comparison

The study observed that applying only the posterior piece of the cervical collar led to shorter intubation times compared to using both pieces. Despite this difference in intubation times, no significant variations were found in other intubation performance measures or associated complications between the two groups. Interestingly, the study found that the absence of the anterior piece did not significantly impact the cervical spine motion during intubation, contrary to expectations that it could increase motion due to altered lifting forces.

Advantages of Videolaryngoscopy

Moreover, the research highlighted that videolaryngoscopy offers advantages over direct laryngoscopy in terms of intubation success rate, time, glottic view, and cervical spine motion reduction. The study emphasized the importance of using videolaryngoscopes, especially in patients with cervical spine instability, to minimize potential complications like spinal cord injury due to excessive neck extension during intubation. The paper also discussed the limitations of the study, such as not measuring lifting forces during intubation and the need for continuous fluoroscopy to capture the maximum spine motion. The findings suggest that the decision to remove the anterior piece of the cervical collar for videolaryngoscopic intubation should consider individual patient needs and potential benefits in challenging intubation conditions.

Conclusion of the Study

In conclusion, the study’s results indicated that removing the anterior piece of the cervical collar did not significantly affect cervical spine motion during intubation but resulted in shorter intubation times. These findings provide valuable insights for clinicians when considering the removal of the anterior piece to address difficult intubation scenarios in patients wearing a cervical collar.

Key Points

– Conducted a randomized controlled trial comparing cervical spine motion during videolaryngoscopic intubation in patients wearing a cervical collar.

– Evaluated the difference in cervical spine motion between applying only the posterior piece and applying both anterior and posterior pieces of the cervical collar during intubation. – Found differences in mean cervical spine motion between the groups at approximately 1.2°, 1.0°, and -0.3° at different cervical spine segments.

– Applying only the posterior piece of the cervical collar led to shorter intubation times compared to using both pieces without significant variations in other intubation performance measures or complications.

– Highlighted that videolaryngoscopy offers advantages over direct laryngoscopy in terms of intubation success rate, time, glottic view, and reduction of cervical spine motion, especially important in patients with cervical spine instability.

– Results suggest that the decision to remove the anterior piece of the cervical collar for videolaryngoscopic intubation should be individualized based on patient needs and potential benefits in challenging intubation conditions.

Reference –

Woo-Young Jo et al. (2024). Cervical Spine Motion During Videolaryngoscopic Intubation Using A Macintosh-Style Blade With And Without The Anterior Piece Of A Cervical Collar: A Randomized Controlled Trial. *Canadian Journal Of Anaesthesia*, 72, 142 – 151. https://doi.org/10.1007/s12630-024-02849-4.

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Expectant Management Outperforms LMWH in Umbilical Artery Thrombosis, Study Finds

China: A recent study published in Frontiers in Medicine has cast doubt on the therapeutic value of low-molecular-weight heparin (LMWH) in managing umbilical artery thrombosis (UAT) during pregnancy, suggesting that expectant management may be more beneficial in improving maternal and fetal outcomes.

Umbilical artery thrombosis is a rare but potentially life-threatening pregnancy complication caused by clot formation that obstructs blood flow through the umbilical artery. This can severely limit the fetus’s oxygen and nutrient supply, increasing the risk of fetal distress, growth restriction, or stillbirth. Due to its rarity, there is no clear consensus on standardized treatment. Diagnosis usually involves a Doppler ultrasound and pathological confirmation, and management aims to prolong gestation and improve outcomes. While LMWH is sometimes used, its benefits over expectant management remain unclear.

Against the above background, Peng Zhao, Department of Obstetrics, Women’s Hospital, Zhejiang University School of Medicine, Hangzhou, China, and colleagues conducted the study to evaluate the therapeutic value of LMWH in managing UAT during pregnancy.

For this purpose, the researchers conducted a retrospective study spanning from January 2013 to December 2023 involving singleton pregnant women diagnosed with umbilical artery thrombosis. The participants were divided into two groups: the experimental group received low-molecular-weight heparin as part of anticoagulation therapy during pregnancy, while the expectant group received standard prenatal care without targeted intervention for UAT.

The study revealed the following findings:

  • Birth weight was significantly higher in the expectant group than in the experimental group (2434.40 ± 770.20 g vs. 1874.46 ± 717.83 g).
  • The incidence of births before 34 weeks was significantly lower in the expectant group compared to the experimental group (42.24% vs. 82.75%).
  • Gestational age at birth was higher in the expectant group than in the experimental group (35.32 ± 3.89 weeks vs. 33.59 ± 4.17 weeks), though this difference was not statistically significant.
  • Multi-factor ANOVA showed a statistically significant effect of anticoagulation therapy on birth weight (F = 4.479).
  • Gestational age at birth also had a statistically significant effect on birth weight (F = 179.110).
  • The relationship between birth weight, anticoagulation therapy, and gestational age at birth was represented by the following equation:
  • Birth weight = −3314.782 – 256.106 × (anticoagulation therapy: 1 if yes, 0 if no) + 161.858 × gestational age at birth.

The study offers important insights into managing umbilical artery thrombosis, indicating that expectant therapy may provide substantial advantages over experimental treatment with low-molecular-weight heparin.

“These findings hold potential value for guiding clinical decision-making and highlight the need for further research to refine treatment strategies for this rare but serious pregnancy complication,” the authors concluded.

Reference:

Zhao, P., Lu, Y., Liu, S., Zhang, L., Chen, C., & Yang, X. (2025). Evaluating the efficacy of low-molecular-weight heparin in managing umbilical artery thrombosis during pregnancy: Does it offer therapeutic benefits? Frontiers in Medicine, 12, 1540685. https://doi.org/10.3389/fmed.2025.1540685

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