scholarly journals The ACL can hypertrophy in response to mechanical loading: an MRI study in elite athletes (157)

2021 ◽  
Vol 9 (10_suppl5) ◽  
pp. 2325967121S0028
Author(s):  
Melanie Beaulieu ◽  
Madeleine DeClercq ◽  
Nathan Rietberg ◽  
Sylvia Li ◽  
Emily Harker ◽  
...  

Objectives: Several morphological risk factors for anterior cruciate ligament (ACL) injury have been identified,1,6,12,13 including the size of the ACL.5,8,12,15 A smaller ACL volume and diameter are associated with a greater risk of injury when comparing ACL-injured subjects to matched controls.5,8,12,15 Although morphological risk factors as a group have been largely characterized as non-modifiable,9,10 ACL surface and cross-sectional areas (CSA) have the potential for modifiability, especially during growth and development.7,11 These ACL area measures have increased and the mechanical properties of the ACL have improved following exercise through periods of growth in animal models.2,7,11,14 In humans, we are only aware of one study of ACL hypertrophy—a small study of elite weightlifters.7The main purpose of this study, therefore, was to determine whether the ACL can hypertrophy in response to mechanical loading by comparing bilateral differences in ACL CSA in athletes who habitually load one leg more than the other in training for their sport. Based on the work of Grzelak et al. in weightlifters,7 as well as animal evidence that the ACL responds to exercise,2,11,14 we hypothesized that these athletes would present with significantly greater ACL CSAs in the landing/drive leg, the knee that is loaded the most in comparison with the contralateral control knee. Demonstrating the potential for the ACL to hypertrophy via mechanical loading would provide a scientific basis for exploring ACL injury prevention strategies aimed at increasing ACL CSA and robustness given that a small ACL volume and diameter are known risk factors for injury. This is particularly important for all children and especially females since they are at a much higher risk for ACL injury, and thereafter the development of knee osteoarthritis. Methods: We recruited 50 figure skaters and springboard divers because they consistently and repeatedly use one leg more than the other, thereby ensuring that one knee was habitually loaded more than the other (Table 1). More specifically, figure skaters always land their jumps on the same leg, while springboard divers always drive the same leg (‘drive’ leg) into the board during their hurdle approach. Sport training for all participants began prior to puberty and continued through and after. Bilateral knee magnetic resonance images (MRIs) were acquired with a Philips Ingenia 3.0-T scanner using a dedicated knee coil. Each knee, resting in slight flexion in the coil, was scanned using three sequences, all in the plane of the ACL: (1) oblique-sagittal (repetition time (TR): 5100 ms; echo time (TE): 30 ms; slice thickness: 2.5 mm; pixel spacing: 0.19 x 0.19 mm); (2) oblique-coronal (TR: 4000 ms; TE: 30 ms; slice thickness: 2.5 mm; pixel spacing: 0.20 x 0.20 mm); (3) oblique-axial (TR: 5100 ms; TE: 30 ms; slice thickness: 2.5 mm; pixel spacing: 0.20 x 0.20 mm). Using the oblique-axial-plane scans, the ACL CSA was measured on the three slices that were closest to 50% of the ligament’s length, and then averaged (Figure 1). Using the oblique-sagittal-plane scans, which were reconstructed to run parallel to the patellar tendon, the anteroposterior diameter of the patellar tendon was measured perpendicular to the tendon’s longitudinal axis at a distance of 2 cm distal to the patella3,4 on the slice displaying the thickest part of the tendon at that height (Figure 2). In addition, isometric and isokinetic knee extensor and knee flexor peak torques were acquired using a dynamometer. Bilateral differences in ACL CSA, PT diameter, and knee muscle strength were evaluated via one-sample t-tests that compared the mean percent difference between limbs to a null hypothesis of a zero mean percent difference. Correlations between bilateral ACL CSA differences, age of training onset and years of training were also examined. Results: Athletes with repeated unilateral lower limb loading had significantly greater ACL CSAs in the dominant knee than the non-dominant knee (Table 1; ACL CSAs: dominant = 42.0 ± 8.8 mm2; non-dominant = 40.8 ± 9.1 mm2; % difference = 4.4 ± 13.8%; t = 2.236; p = 0.030). Also, these athletes had significantly greater AP patellar tendon diameters in the dominant knee than the non-dominant knee (Table 1; patellar tendon diameters: dominant = 4.1 ± 0.6 mm; non-dominant = 3.9 ± 0.5 mm; % difference = 4.5 ± 9.4%, t = 3.322; p = 0.002). The percent bilateral difference in ACL CSA, however, was not associated with training onset (r = 0.087, p = 0.553) or years of training (r = -0.068, p = 0.641). Lastly, isometric knee flexor peak torques were significantly greater in the landing/drive leg than the contralateral knee (Table 2). Peak torques from other contraction types or muscle group did not differ between limbs (Table 2). Conclusions: Athletes who habitually loaded one leg more than the other prior to, during and after puberty exhibited significant unilateral ACL hypertrophy in their landing/drive leg. These results support existing evidence that exercise, including resistance and endurance regimens, during periods of pubertal growth has the potential to increase ACL CSA and, therefore, its strength.2,7,14 This suggests that perhaps the ACL could be ‘trained’ to become larger, more robust, and thus at lower risk of injury given that a smaller ligament is associated with a greater risk of injury. The bilateral difference in patellar tendon morphology supports our assumption that the athletes participating in this study consistently loaded one knee more than the other during their sport training, and that increased loading led to the hypertrophy of two important structures in that knee. Many gaps in knowledge—ACL development during growth and how exercise may alter its morphology and mechanical properties—need to be addressed as injury prevention strategies that involve ‘training’ the ACL are explored.

1994 ◽  
Vol 72 (01) ◽  
pp. 058-064 ◽  
Author(s):  
Goya Wannamethee ◽  
A Gerald Shaper

SummaryThe relationship between haematocrit and cardiovascular risk factors, particularly blood pressure and blood lipids, has been examined in detail in a large prospective study of 7735 middle-aged men drawn from general practices in 24 British towns. The analyses are restricted to the 5494 men free of any evidence of ischaemic heart disease at screening.Smoking, body mass index, physical activity, alcohol intake and lung function (FEV1) were factors strongly associated with haematocrit levels independent of each other. Age showed a significant but small independent association with haematocrit. Non-manual workers had slightly higher haematocrit levels than manual workers; this difference increased considerably and became significant after adjustment for the other risk factors. Diabetics showed significantly lower levels of haematocrit than non-diabetics. In the univariate analysis, haematocrit was significantly associated with total serum protein (r = 0*18), cholesterol (r = 0.16), triglyceride (r = 0.15), diastolic blood pressure (r = 0.17) and heart rate (r = 0.14); all at p <0.0001. A weaker but significant association was seen with systolic blood pressure (r = 0.09, p <0.001). These relationships remained significant even after adjustment for age, smoking, body mass index, physical activity, alcohol intake, lung function, presence of diabetes, social class and for each of the other biological variables; the relationship with systolic blood pressure was considerably weakened. No association was seen with blood glucose and HDL-cholesterol. This study has shown significant associations between several lifestyle characteristics and the haematocrit and supports the findings of a significant relationship between the haematocrit and blood lipids and blood pressure. It emphasises the role of the haematocrit in assessing the risk of ischaemic heart disease and stroke in individuals, and the need to take haematocrit levels into account in determining the importance of other cardiovascular risk factors.


2021 ◽  
Vol 7 (4) ◽  
pp. 298
Author(s):  
Teny M. John ◽  
Ceena N. Jacob ◽  
Dimitrios P. Kontoyiannis

Mucormycosis (MCR) has been increasingly described in patients with coronavirus disease 2019 (COVID-19) but the epidemiological factors, presentation, diagnostic certainty, and outcome of such patients are not well described. We review the published COVID-19-associated mucormycosis (CAMCR) cases (total 41) to identify risk factors, clinical features, and outcomes. CAMCR was typically seen in patients with diabetes mellitus (DM) (94%) especially the ones with poorly controlled DM (67%) and severe or critical COVID-19 (95%). Its presentation was typical of MCR seen in diabetic patients (mostly rhino-orbital and rhino-orbital-cerebral presentation). In sharp contrast to reported COVID-associated aspergillosis (CAPA) cases, nearly all CAMCR infections were proven (93%). Treating physicians should have a high suspicion for CAMCR in patients with uncontrolled diabetes mellitus and severe COVID-19 presenting with rhino-orbital or rhino-cerebral syndromes. CAMR is the convergence of two storms, one of DM and the other of COVID-19.


Trauma ◽  
2021 ◽  
pp. 146040862098362
Author(s):  
Ashley Marumoto ◽  
Adam Guzman ◽  
William B. Harris ◽  
John Vossler ◽  
Sidney Johnson

Introduction Surfing is a popular leisure activity with inherent risk of injury that many participants fail to mitigate. There is a paucity of literature reporting severe surf-related trauma and associated risk factors. Methods A retrospective observational study of registry data from Honolulu’s main trauma center assessing surf-related injuries and risk factors for severe injury was performed between January 1, 2014 and December 31, 2018. Results Spine (35.1%), face (17.5%), and head (12.3%) injuries were the most common injuries identified in this cohort. A number of predictors for severe injury as well as serious spine injury were identified. Major risk factors for severe injury and serious spine injury included location of injury on Maui (Severe injury: OR 6.79, 95%CI 1.43–40.35, p = 0.0217; serious spine injury: OR 7.27, 95%CI 1.39–58.24, p = 0.0308) and being from one of the 48 contiguous states (severe injury: OR 3.33, 95%CI 1.10–10.98, p = 0.0388; serious spine injury: OR 2.95, 95%CI 1.08–8.46, p = 0.0379). Conclusion Understanding the nature of surf-related injuries and who is at risk can help to inform safety interventions that may prevent severe, sometimes irreversible injury. Efforts should be made to increase public awareness to the potential risk of surf-related activities.


2021 ◽  
pp. 1-8
Author(s):  
Elena M. D’Argenio ◽  
Timothy G. Eckard ◽  
Barnett S. Frank ◽  
William E. Prentice ◽  
Darin A. Padua

Context: Anterior cruciate ligament (ACL) injuries are a common and devastating injury in women’s soccer. Several risk factors for ACL injury have been identified, but have not yet been examined as potentially dynamic risk factors, which may change throughout a collegiate soccer season. Design: Prospective cohort study. Methods: Nine common clinical screening assessments for ACL injury risk, consisting of range of motion, movement quality, and power, were assessed in 29 Division I collegiate women’s soccer players. Preseason and midseason values were compared for significant differences. Change scores for each risk factor were also correlated with cumulative training loads during the first 10 weeks of a competitive soccer season. Results: Hip external rotation range of motion and power had statistically significant and meaningful differences at midseason compared with preseason, indicating they are dynamic risk factors. There were no significant associations between the observed risk factor changes and cumulative training load. Conclusions: Hip external rotation range of motion and power are dynamic risk factors for ACL injury in women’s collegiate soccer athletes. Serial screening of these risk factors may elucidate stronger associations with injury risk and improve prognostic accuracy of screening tools.


2005 ◽  
Vol 187 (3) ◽  
pp. 203-205 ◽  
Author(s):  
Mark Weiser ◽  
Jim van Os ◽  
Michael Davidson

SummaryMany manifestations of mental illness, risk factors, course and even response to treatment are shared by several diagnostic groups. For example, cognitive and social impairments are present to some degree in most DSM and ICD diagnostic groups. The idea that diagnostic boundaries of mental illness, including schizophrenia, have to be redefined is reinforced by recent findings indicating that on the one hand multiple genetic factors, each exerting a small effect, come together to manifest as schizophrenia, and on the other hand, depending on interaction with the environment, the same genetic variations can present as diverse clinical phenotypes. Rather than attempting to find a unitary biological explanation for a DSM construct of schizophrenia, it would be reasonable to deconstruct it into the most basic manifestations, some of which are common with other DSM constructs, such as cognitive or social impairment, and then investigate the biological substrate of these manifestations.


1970 ◽  
Vol 26 (2) ◽  
pp. 54-60 ◽  
Author(s):  
MA Rahman ◽  
MMU Bhuiyan ◽  
MM Kamal ◽  
M Shamsuddin

Identification of risk factors is important for the design of control programmes for mastitis in cows. Information about farms and management was collected at a farm visit. California Mastitis Test (CMT) was performed to assess sub-clinical mastitis, and cows, udder and milk were examined for clinical mastitis. A total of 347 lactating cows from 83 farms in the dry season (November - February) and 388 lactating cows from 89 farms in the wet season (June - October) were studied. The overall prevalence of mastitis was 19.9% and 44.8% in dry and wet seasons, respectively. The prevalence of mild mastitis was 17.3% and 40.7%, whereas that of moderate mastitis was 2.6% and 4.1% in dry and wet seasons, respectively. The prevalence of mastitis was higher (P<0.01) in wet than in dry season. On average, 18.7% quarters had mastitis during the wet season and 6.9% in the dry season. In the dry and wet seasons, respectively, 63.9% and 11.2% had completely dry floors, and the prevalence of mastitis was 22.6% and 30.0%. On the other hand, 88.8% and 36.1% of 83 farms had partly or completely wet and soiled floor and the prevalence of mastitis was 40.0% and 59.5% in the dry and wet seasons, respectively. Udder cleanliness, milk yield and peri-parturient diseases significantly (P<0.01) increased the risk of mastitis. The prevalence of mastitis is regarded as quite high. Dry and clean floor to keep cow's udder and teat clean would help control mastitis in the dairy farms of Bangladesh. DOI: 10.3329/bvet.v26i2.4951 Bangl. vet. 2009. Vol. 26, No. 2, 54-60


1988 ◽  
Vol 16 (4) ◽  
pp. 277-282 ◽  
Author(s):  
Sonja Vaglum ◽  
Per Vaglum ◽  
Øivind Larsen

95 non alcoholic female employees were personally interviewed and divided into three drinking pattern groups with an increasing level of alcohol consumption: the traditional feminine drinking group (TF) ( n=28), the new feminine drinking group (NF) ( n=37), and the masculine drinking group (M) ( n=30). The groups were compared on family variables which may be regarded as risk factors of alcoholism. The results show an inverse relationship between family risk factors and consumption level, the TF-group having significantly more risk factors than the other two groups. The TF-women more often came from families where the mother and her parents were abstainers, while the father and his parents were more often alcohol abusers or not abstainers. The TF-women were more often attached to their alcoholic fathers as children, while the M-women were more often attached to their mothers. The choice of drinking pattern may be inversely related to the frequency of family risk factors among non alcoholic women.


2009 ◽  
Vol 44 (1) ◽  
pp. 101-109 ◽  
Author(s):  
Gregory D. Myer ◽  
Kevin R. Ford ◽  
Jon G. Divine ◽  
Eric J. Wall ◽  
Leamor Kahanov ◽  
...  

Abstract Objective: To present a unique case of a young pubertal female athlete who was prospectively monitored for previously identified anterior cruciate ligament (ACL) injury risk factors for 3 years before sustaining an ACL injury. Background: In prospective studies, previous investigators have examined cross-sectional measures of anatomic, hormonal, and biomechanical risk factors for ACL injury in young female athletes. In this report, we offer a longitudinal example of measured risk factors as the participant matured. Differential Diagnosis: Partial or complete tear of the ACL. Measurements: The participant was identified from a cohort monitored from 2002 until 2007. No injury prevention training or intervention was included during this time in the study cohort. Findings: The injury occurred in the year after the third assessment during the athlete's club basketball season. Knee examination, magnetic resonance imaging findings, and arthroscopic evaluation confirmed a complete ACL rupture. The athlete was early pubertal in year 1 of the study and pubertal during the next 2 years; menarche occurred at age 12 years. At the time of injury, she was 14.25 years old and postpubertal, with closing femoral and tibial physes. For each of the 3 years before injury, she demonstrated incremental increases in height, body mass index, and anterior knee laxity. She also displayed decreased hip abduction and knee flexor strength, concomitant with increased knee abduction loads, after each year of growth. Conclusions: During puberty, the participant increased body mass and height of the center of mass without matching increases in hip and knee strength. The lack of strength and neuromuscular adaptation to match the increased demands of her pubertal stature may underlie the increased knee abduction loads measured at each annual visit and may have predisposed her to increased risk of ACL injury.


2015 ◽  
Vol 7 (2) ◽  
Author(s):  
Tetsuya Mitsunaga ◽  
Takeshi Saito ◽  
Keita Terui ◽  
Mitsuyuki Nakata ◽  
Sachie Ohno ◽  
...  

Intestinal obstruction is a common complication after Ladd procedure. Ninety-three cases who had undergone the Ladd procedure between 1977 and 2013 treated at our own institution were retrospectively reviewed to identify the causes and risk factors for intestinal obstruction. The Ladd procedure has been performed without any intestinal fixing. Of the 87 cases who survived to discharge, intestinal obstruction was observed in 22 (25.3%). Among the cases with intestinal obstruction, 13 (59.1%) showed intestinal ischemia at the initial operation; this incidence was notably high, although it is low when only those cases with another concurrent surgical digestive disease are considered. All cases of intestinal obstruction were caused not by recurrent volvulus, but by adhesion between the intestine and the mesentery. Intestinal fixing is not required to prevent recurrent volvulus, but it is important to achieve adequate widening of the mesenteric base. The risk of intestinal obstruction after the Ladd procedure, on the other hand, is high. Moreover, patients with intestinal ischemia have an increased risk of intestinal obstruction.


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