November 6th, 2013
FDA Issues Recommendations on Spinal Catheters & Enoxaparin
Nicholas Downing, MD
The FDA is advising clinicians to “carefully consider” the timing of spinal catheter insertion and removal in patients taking low-molecular-weight heparins (e.g., Lovenox and generic enoxaparin), with an additional recommendation to delay dosing these drugs after catheter removal to lower the risk for spinal column bleeding and paralysis.
Among the specific recommendations:
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Spinal catheter placement or removal should be postponed for at least 12 hours after administration of prophylactic doses of enoxaparin (e.g., those used to prevent deep vein thrombosis); longer, 24-hour delays may be considered for patients on higher therapeutic doses of enoxaparin.
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A postprocedure dose of enoxaparin generally should be given no earlier than 4 hours after catheter removal.
The products’ labels will be updated with the new guidance.
Originally published in Physician’s First Watch
November 6th, 2013
ACE Inhibitors, Angiotensin-Receptor Blockers Tied to Increase in Kidney Admissions
Nicholas Downing, MD
Increases in prescriptions for angiotensin-converting enzyme (ACE) inhibitors and angiotensin receptor blockers (ARBs) in recent years may have contributed to an increase in hospital admissions for acute kidney injury, according to a PLoS ONE study.
U.K. researchers examined national prescription and hospital admission data from April 2007 through March 2011. Nationwide, ACE-inhibitor and ARB prescriptions increased by about 16% — and admissions for acute kidney injury by 52% — over the study period. In addition, there was “strong evidence” that increases in ACE-inhibitor and ARB prescriptions within particular general practices corresponded to increases in kidney hospitalizations within those practices. The researchers calculate that increases in such prescriptions accounted for 15% (roughly 11,000) of the overall rise in kidney admissions.
CardioExchange’s Harlan Krumholz commented: “This ecological analysis should be interpreted cautiously, as the researchers were limited in their ability to link the use of ACE inhibitors and ARBs by individual patients with an increase in risk. This does not mandate a change in practice. What I find most concerning is the increase in acute kidney injury — and there is an urgent need for patient-level studies to determine what is fueling the elevation in risk.”
Originally published in Physician’s First Watch
November 6th, 2013
Perspective On the First New Atherectomy Device in 20 Years
Kush Agrawal, MD
The 2011 ACCF/AHA/SCAI PCI guidelines give rotational atherectomy (RA) a Class IIa LOE C recommendation as reasonable to use in cases where heavily calcified coronary lesions either cannot be crossed by a predilation balloon or if crossed cannot be adequately predilated prior to successful stent delivery. Furthermore, routine use of RA is Class III, contraindicated, as demonstrated in trial data from the late 1990’s, early 2000’s—In the 1997 DART trial, for instance, restenosis was seen in a quarter of patients, whether they were treated by RA or POBA. The ARTIST trial in 2001 failed to demonstrate benefit for routine RA in diffuse BMS in-stent restenosis.
Modern therapy with paclitaxel DES also failed to demonstrate a benefit with routine pretreatment of heavily calcified lesions in the ROTAXUS trial in 2009 with regards to the predefined primary angiographic endpoint of late lumen loss at 30 days. Though a modest clinical benefit was noted among the secondary endpoints, the trial was admittedly underpowered to make the claim suggested by the data.
Traditional rotational atherectomy systems rely on an in-line, concentric diamond-tipped burr whose end result is debulking of fibrotic and calcific lesions to microparticulate matter of a minimum of 5-10 microns in diameter. Immediate frequent adverse effects include “slow” or “no reflow” phenomenon sometime accompanied by localized myocardial stunning, vessel spasm and transient occlusion, neighboring plaque shift and jailed side branch, dissection or complete heart block in RCA or dominant LCx lesion intervention. Rotablation is therefore not indicated in shock, thrombus, dissection, CTOs, low EF, single conduit, or vein graft intervention.
The Diamondback 360 Coronary Orbital Atherectomy System (OAS), just approved by the FDA, will likely improve these outcomes and hopefully end-user perceptions as well. I was able to get some quality hands-on time with the Stealth© OAS at a recent Interventional Fellows’ Conference last month, and found the device remarkably easy to use with clearly a significant amount of forethought invested in device design and execution. A 1.25mm or 1.50mm diameter crown, eccentrically mounted on a drive shaft, creates an orbit with rotational motion that is manipulated in fine gradations by adjustment of the RPM control knob, mounted on the device console. There is a proprietary stainless steel, spring tip guidewire (not substitutable) with a safety cone that must be kept unkinked so as to ensure no kinks within the guidewire and drive shaft within the body. At the most caudad end of the console is a brake to secure the guidewire and drive shaft in place, preventing both axial and rotational motion in those components. Once the saline infusion pump (nonsterile) is setup and primed (ensuring all air along the line is out and proprietary lipid-enriched Viperslide fluid lubricates the working length), the motor is turned on and low RPMs initiated. Constant to-and-fro motion starting just proximal to the lesion and angiographic guidance of debulking follows as with traditional atherectomy. As with traditional rotablation, any kinks or bends in the guidewire are prohibitive, and the maximum time for the Diamond OAS is 5 minutes in the IFU.
In 2008, ORBIT I demonstrated the superiority of orbital atherectomy. While the purpose of vessel prep remains the same –i.e., reduce plaque shift, facilitate stent placement, reduce calcium burden to allow optimal stent expansion – this new methodology with eccentric orbit allows blood and particulate microdebris to flow past the crown, allowing its continuous washout. Additional benefits include auto-cooling of the apparatus and reduction of thermal injury risk to the vessel. It’s particularly remarkable to note that the particulate matter dislodged are on the order of 2-5 microns in diameter, roughly a quarter to one-half the size of the size of debris from traditional rotablation systems. This matter is in turn auto-phagocytized by the reticulocyte endothelial system, explaining the significantly reduced incidence of slow or no-reflow phenomenon noted with OAS use. Because orbit size can be changed 1:1 with motor speed, there are inherently less exchanges and better conformability to varying / tapering vessel diameters, thereby creating a better reconstruction of the native lumen prior to stenting. The safety and efficacy demonstrated in this year’s ORBIT II trial by 30-day MACE was illustrative of its prior success.
Premarket approval and selective rollout will start the process of iterative discovery. What remains to be seen is not only how quickly the use of this adjunct device takes hold, but what frontiers can be safely breached as the initial steep learning curves are overcome for device fine-tuning. Can OAS be instrumental in diffuse ISR, where traditional rotablation has failed? Can the use of OAS be applied to unprotected left main lesions, where traditional systems have shown significant promise in those with SYNTAX scores >50? Research implications can potentially include the use of IVUS/OCT co-registration of post-ablation vessel diameter, uniformity, and micro-dissection that further inform stent selection, thereby ensuring greater long-term durability and efficacy.
Finally, taking a more ubiquitous global view, how does OAS fare in the periphery? In a large registry of all comers, OAS for PAD endovascular intervention has shown great promise already. In the CONFIRM Registry debulking (above and below-the-knee) was documented in over 3000 pts. Observational data without core lab adjudication of plaque reduction must of course be interpreted with caution, but OAS demonstrated impressive results in an expectedly morbid cohort of patients, where more than two-thirds were diabetic, more than two-thirds had co-existing CAD, and nearly half had critical limb ischemia at the time of intervention. Over the 2 year span from 2009 to 2011, the CONFIRM I, II, and III registry data demonstrated a paradigm shift from attempts primarily at lumen gain to techniques aimed at maximizing vessel compliance, by using shorter spin times, smaller crown sizes, lower rotational speeds, and lower post-ablation maximal inflation pressures. These in turn dramatically lowered slow flow, embolism, and spasm. If the adjunctive use of OAS can help change the operative paradigm from barotrauma and recoil/dissection to one focused on long-term compliance of a smaller lumen, this seems truly worth the wait.
November 6th, 2013
Why Amarin Has To Finish Its Big Fish Oil Study
CardioExchange Editors, Staff
The following post is by Matt Herper, who covers science and medicine for Forbes magazine.
When a panel of experts appointed by the Food and Drug Administration said the agency should deny Amarin Pharmaceuticals a broader marketing approval for its fish oil pill Vascepa, the company’s shares tanked 60%, making it the worst-performing biotechnology stock on the Nasdaq or New York Stock Exchange last week. The company reacted with shock and many of its investors became angry.
One idea that came up almost immediately: Amarin should drop the big and expensive study it had started to prove that taking Vascepa to lower triglyceride levels really does prevent heart attacks, strokes, and surgical procedures. Stopping the trial, called REDUCE-IT, was one of the first ideas that analysts brought up on the conference call that followed Amarin’s rout at the FDA. And Joseph S. Zakrzewski, Amarin’s chief executive, refused to rule it out. “We’ve been planning and hopeful of a positive meeting today. But as I said earlier, we’re going to take a look from top to bottom and look at everything.”
I responded on Twitter.
. @adamfeuerstein If they stop Reduce-It, they should close the company and none of the executives should ever work in biotech again. $AMRN
— Matthew Herper (@matthewherper) October 16, 2013
After that, I spent a lot of time arguing with Amarin investors who thought that ending the study was a splendid idea – after all, it is costing Amarin, which has $270 million in the bank, $30 million to $40 million a year and will last until at least 2016, although costs will decrease with time. Amarin had expected REDUCE-IT to be funded by Vascepa sales, which may not come. Why not double down on expanding the sales force instead? Brian Orelli at The Motley Fool accused me of forgetting that a company’s primary duty is to its shareholders, not to science.
The investors and Orelli are not remembering their Pharma history. Stopping REDUCE-IT, which could be the first study to show that a fish oil pill is worth taking, would be considered unethical by many of the doctors who conduct clinical trials and whose endorsement the company needs. It could create bad press that would make Vascepa even harder to sell, be seen as a vote of no confidence by Amarin in its own drug, and remove a huge potential upside for Vascepa sales. In short, it would be both wrong and commercially stupid.
Why am I so confident? I remember when a big heart study run by a drug company was stopped for commercial reasons. It wound up being national news and being decried angrily in the Journal of the American Medical Association.
This was back in 2003, and the study was stopped by Pharmacia, when it was being run by Fred Hassan. The study, called CONVINCE, tested a blood pressure medicine called verapamil against standard blood pressure drugs. The study had recruited 16,600 patients, and was supposed to continue until patients had 2,246 heart attacks, strokes, or heart-related deaths.
Instead, Pharmacia stopped the trial two years early “for commercial reasons,” when there had been 729 heart attacks, strokes, or heart related deaths. The independent scientists running the study were told that the study was stopped for “business considerations.” In other words, even though the patients had volunteered, the company did not want to continue to fund the study.
That led to a stinging JAMA editorial calling the decision “a broken pact with researchers and patients.” The authors, Bruce Psaty and Drummond Rennie, include a long list of stopped studies, including a Bristol-Myers Squibb study of cancer drug Taxol, a Pfizer study of doxorubicin, also for cancer, and a Novartis study of fluvastatin, for high cholesterol.
But the JAMA authors argued that stopping studies for business reasons is wrong:
In a capitalist society, legal contracts permitting, companies can fire employees, decline to purchase components or equipment, and even cancel some consulting or research arrangements with scientists. But the recruitment and involvement of human research participants places clinical trials in a category decidedly distinct from the customary swapping and trading of ordinary goods and services. When patients or other research participants are recruited for scientific investigations, they agree willingly to expose themselves to risk. Individuals often participate out of a sense of altruism, and counted among the most important reasons for joining trials are the improvements in their own health, the contributions to science, and the improvement of the health of others.
They further argue that stopping trials early represents a violation of the Declaration of Helsinki, used as an ethical guide for medical experiments. It’s wrong to ask patients to enroll in a study that is too small to have a chance at delivering an answer. So isn’t it also wrong to shrink a study that was big enough by stopping it early?
There’s room for disagreement here; Psaty and Rennie cite other articles that argue it is perfectly ethical for companies to stop trials to deploy limited resources. But the anger many investors feel against the FDA doesn’t matter to those arguments; the idea is that there is a contract between Amarin and patients, not between Amarin and the FDA. At the very least, stopping the study is likely to weaken Amarin’s commercial case in the meantime. The company really has no choice but to dig in its heels and wait for the REDUCE-IT results in three years.
I reached out to a public relations person retained by Amarin about this story and did not receive a response.
–Matt Herper
Reprinted with permission from Forbes.
November 5th, 2013
Should You Be Worried About the Treatment for Low-T?
Larry Husten, PHD
The ubiquitous ads ask: “Should I be worried about Low-T”? But now there’s a good chance there’s a more important question: “Should I be worried about the treatment for low-T?”
A new study published in JAMA raises the distinct possibility that testosterone therapy may increase the risk for death, heart attack, and stroke. The findings are hardly definitive, but they may raise significant questions about the enormous increase in testosterone use in recent years, especially given the absence of any evidence demonstrating the safety of testosterone therapy.
Rebecca Vigen and colleagues performed a retrospective analysis of 8709 male veterans with low testosterone levels (300 ng/mL) who underwent coronary angiography; 1223 of the men went on to start testosterone therapy sometime after their angiogram. At 3 years, the absolute rate of death, MI, or stroke was 25.7% in the testosterone group versus 19.9% in the no testosterone group. (The 95% confidence interval for the difference was −1.4% to 13.1%).
After adjustment for baseline differences between the groups, there was a significant, 29% increase in risk associated with testosterone (CI 1.05-1.58, p = 0.02). The effect size was the same in the groups of people who had coronary artery disease and those who did not. One important finding was that the testosterone group was at increased risk for events despite having a generally lower risk profile at baseline.
The authors acknowledge the limitations of observational studies and that their study does not prove that testosterone therapy is harmful. But, they write, it is important for physicians “to inform patients that long-term risks are unknown and there is a possibility that testosterone therapy might be harmful.”
In an accompanying editorial, Anne Cappola writes that “in light of the high volume of prescriptions and aggressive marketing by testosterone manufacturers, prescribers and patients should be wary.” She also considers whether or not the results are applicable to the larger patient population taking testosterone:
Perhaps the most important question is the generalizability of the results of this study to the broader population of men taking testosterone: men of this age group who are taking testosterone for “low T syndrome” or for antiaging purposes and younger men taking it for physical enhancement. Does the 29% increased risk of myocardial infarction, ischemic stroke, or mortality apply to these groups? Are the benefits—real or perceived—for these groups of men worth any increase in risk? These populations represent a sizable group of testosterone users, and there is only anecdotal evidence that testosterone is safe for these men.
Joe Ross sent the following comment:
I think this is a critical study that helps to enhance our understanding of the risks of testosterone therapy. Experience with this drug illustrates the challenge of understanding benefits and risks for therapy, particularly for drugs that are approved on the basis of surrogate outcomes, made all the more complicated when drugs, like testosterone, are increasingly used and seemingly promoted for off-label uses. No drug is without risk. We need better methods of post-market surveillance to estimate these risks of therapy once the drugs are approved for use in the wider population. While many adults may perceive the risks of therapy to be outweighed by the benefits, patients are best served by ensuring that this information is available and can be used to inform decision making. Although the authors suggest that an RCT is needed to accurately estimate the risks associated with testosterone therapy, such a trial would not be completed for years. In the meantime, this study provides key information that patients should be considering when making a decision to use testosterone therapy.
November 4th, 2013
Healthy Diet in Middle Age Leads to Healthier Old Age
Larry Husten, PHD
New results from a long-running study offer fresh evidence that a “healthy” diet is actually good for you. The study shows that women who followed a healthy diet while in middle age had a much better chance of reaching age 70 without any of the major illnesses or impairments usually associated with old age.
In a paper published in the Annals of Internal Medicine, Cecilia Samieri and colleagues analyzed data from 10,670 women who participated in the Nurses’ Health Study and who had no major diseases in the mid-1980s when they were in their late 60s and early 70s. They found that women with healthy diets (as assessed by the Alternative Healthy Eating Index-2010 and the Alternate Mediterranean diet scores) were much more likely to reach the age of 70 with no major chronic diseases, no impairment in cognition, no physical disabilities, and intact mental health.
As described by the authors, the healthy diets “generally focus on greater intakes of plant foods, whole grains, and fish or long-chain ω-3 PUFAs; moderate intake of alcohol; and lower intake of red and processed meats.”
Compared to women with the lowest diet scores, women with diet scores in the highest quintile had a 61% to 80% increase in the odds of becoming a “healthy ager.” After adjusting for other known risk factors, the women in the highest quintile had a 34%-46% increase. These trends were all highly significant. The healthy agers also had less hypertension and hypercholesterolemia, exercise more, and were less likely to be obese or to smoke.
Only 11% of the women in the overall study group met the definition of healthy agers. Two-thirds had no major chronic disease, 43% had no mental health limitations, and 27% had no impairment of physical function. Twelve percent of the women had had a heart attack or bypass surgery, 8% had diabetes, and 6% had breast cancer.
Summarizing their findings, the authors wrote that they “found that greater quality of diet at midlife was strongly associated with increased odds of good health and well-being among individuals surviving to older ages. These data may have an especially important role in promoting a healthy diet—maintaining physical, cognitive, and mental health with aging may provide a more powerful incentive for dietary change than simply prolonging life or avoiding any single chronic disease.”
November 4th, 2013
Selections from Richard Lehman’s Literature Review: November 4th
Richard Lehman, BM, BCh, MRCGP
CardioExchange is pleased to reprint this selection from Dr. Richard Lehman’s weekly journal review blog at BMJ.com. Selected summaries are relevant to our audience, but we encourage members to engage with the entire blog.
JAMA Intern Med 28 Oct 2013 Vol 173
Better Diet Quality and Decreased Mortality Among MI Survivors (pg. 1808): Survivors of myocardial infarction in the Nurses’ Health Study (women) and the Health Professionals Follow-up Study provided food diaries which allowed the authors of this study to assess how “healthily” they ate and what effect this had on their survival. The score they used (AHEI2010) was based on an idealised “Mediterranean diet” and includes bonus points for moderate alcohol intake. Those who followed this diet had lower all-cause mortality after MI. Mildly interesting, but like all observational dietary studies, not actually science.
NEJM 31 Oct 2013 Vol 369
Circulatory Shock: If you are the kind of doctor who sees a lot of circulatory shock, you may want to read the latest clinical review on this topic.
November 4th, 2013
Should Plasma Levels of Dabigatran Guide How We Dose the Drug?
Stuart J Connolly, MD
CardioExchange’s John Ryan interviews Stuart J. Connolly about his research group’s analysis of data from the manufacturer-funded RE-LY trial. The study, published in JACC, showed that the risk for ischemic events was inversely related to trough plasma concentrations of dabigatran and that the risk for major bleeding increased with dabigatran exposure.
Ryan: Your study convincingly shows the relationship between dabigatran plasma-concentration levels and risk-benefit for patients with atrial fibrillation. Should we be dosing according to those levels?
Connolly: The relationship between plasma concentration and outcomes is most convincing for bleeding. There is some reason to consider that measuring a trough plasma concentration after starting therapy would be useful in reducing bleeding risk, perhaps with a target concentration <250 ng/mL. However, this has not been demonstrated in a prospective study. We currently have no clinically available way to measure the levels. A prospective trial would be best.
Ryan: You find that many factors predicted levels. Do they reflect who was taking the medication regularly or differences in patient factors?
Connolly: Quite a lot of variation in plasma concentration is unexplained, although we know that renal function is very predictive of concentrations. A few other factors, such as concomitant medication, also have some effect on levels.
Ryan: Should we be using an algorithm in the dosing?
Connolly: An algorithm would mostly depend on renal function and would have to be validated. As you may know, we did use an algorithm in the RE-ALIGN study in valve patients, to get a more appropriate dose. Unfortunately, dabigatran did not work in those patients, so we could not really validate the algorithm.
JOIN THE DISCUSSION
Given the findings from Dr. Connolly and his colleagues, do you think a validated algorithm for dabigatran dosing is likely to be developed? Would you use one if it were available?
November 1st, 2013
Hip and Knee Replacements Associated with Lower CV Risk
Total joint arthroplasty was associated with reduced cardiovascular risk among patients with knee or hip osteoarthritis in a BMJ study.
Researchers in Canada matched roughly 150 people aged 55 or older with moderate-to-severe knee or hip osteoarthritis who underwent total joint replacement to people with osteoarthritis who did not have surgery.
People who underwent arthroplasty were less likely to have a serious cardiovascular event during 7 years’ follow-up, compared with those who did not have surgery (hazard ratio, 0.56). The authors estimate that the number needed to treat to prevent one cardiovascular event was 8.
The authors offer several potential explanations for the surgery’s observed cardiovascular benefit, including improvements in exercise capability
October 31st, 2013
Does OPTIMIZE Reveal the Optimal DAPT Time Frame?
Richard A. Lange, MD, MBA and L. David Hillis, MD
In the OPTIMIZE trial of 3119 patients with stable coronary artery disease or low-risk ACS treated with zotarolimus-eluting stents, 3 months of dual antiplatelet therapy (DAPT) was noninferior to 12 months for net adverse clinical and cerebral events (composite of all-cause death, MI, stroke, or major bleeding) without significantly increasing the risk of stent thrombosis. Tell us:
- In what percentage of your PCI cases do you use a zotarolimus stent?
- Are the results unique to the zotarolimus-eluting DES or applicable to other second generation (i.e., everolimus-eluting) DES?
- Does this study persuade you to administer DAPT for 3 months rather than 12 months to low-risk patients treated with a DES?
To read more about OPTIMIZE, click here for our news story.