Hyponatremia and Myelinolysis Pregnancy
Transcription
Hyponatremia and Myelinolysis Pregnancy
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The CompuServe address is mhs:annals@acp, and the Internet address is annals @mail. acponline. org. Hyponatremia and Myelinolysis To the Editor: Drs. Laureno and Karp suggest that in humans, "rapid" correction of symptomatic hyponatremia may have detrimental sequelae, such as myelinolysis (1), despite overwhelming evidence to the contrary (2, 3). Although absolute correction of hyponatremia in laboratory animals by more than 25 mmol/L in 48 hours can lead to cerebral demyelinating lesions, the "rate" of correction of plasma sodium concentrations in both humans and laboratory animals has been shown to be irrelevant (2, 4). Most patients who have brain damage associated with hyponatremic encephalopathy are menstruant women who have had a hypoxic episode (4). Among 117 patients with brain damage secondary to hyponatremic encephalopathy, 96% had a hypoxic episode secondary to delayed onset of therapy and only 4% had brain damage that might have been related to overcorrection (4). In the past, the picture might have been distorted by the increased likelihood of brain damage after an increase of plasma sodium in patients with end-stage liver disease. The authors (1) unfortunately conclude that respiratory arrest leading to hypoxic encephalopathy in hyponatremic young women "rarely occurs," even though in the study they cite, most patients with hyponatremia were not included in the computer survey. To ascertain that most patients who have brain damage associated with hyponatremia are young women who have hypoxic events (4), the authors need look no further than Table 1 in the article by Steele and colleagues (5) in the same issue of Annals in which their review appears. In summary, brain damage from hyponatremic encephalopathy due to delayed onset of therapy is at least 24 times more likely than brain damage due to improper therapy. Most patients who have brain damage secondary to hyponatremic encephalopathy are young (menstruant) women (4), whereas those who have brain damage from a change in plasma sodium concentration usually have end-stage liver disease. /. Carlos Ayus, MD Baylor College of Medicine Houston, TX 77024 Allen I. Arieff, MD University of California Medical Center San Francisco, CA 94143 References 1. Laureno R, Karp BI. Myelinolysis after correction of hyponatremia. Ann Intern Med. 1997;126:57-62. 2. Sarnaik AP, Meert K, Hackbarth R, Fleischmann L. Management of hyponatremic seizures in children with hypertonic saline: a safe and effective strategy. Crit Care Med. 1991;19:758-62. 3. Tien R, Arieff AI, Kucharczyk W, Wasik A, Kucharczyk J. Hyponatremic encephalopathy: is central pontine myelinolysis a component? Am J Med. 1992;92:513-22. 4. Ayus JC, Arieff AI. Brain damage and postoperative hyponatremia: role of gender. Neurology. 1996;46:323-8. 5. Steele A, Gowrishankar M, Abrahamson S, Mazer CD, Feldman RD, Halpern ML. Postoperative hyponatremia despite near-isotonic saline infusion: a phenomenon of desalination. Ann Intern Med. 1997;126:20-5. In response: Rapid correction of hyponatremia can cause myelinolysis. This iatrogenic illness has been well documented in humans (1, 2) and in controlled experiments in three mammalian species (3-5). Drs. Ayus and Arieff state that the rate of correction of plasma sodium concentration is "irrelevant," yet they warn that a rate of correction of "more than 25 mmol/L in 48 hours can lead to cerebral demyelinating lesions." These statements are contradictory. The authors then discuss one possible outcome of symptomatic hyponatremia. We have always recognized that neurologic complications are associated with both hyponatremia and its correction. We hope that Drs. Ayus and Arieff will soon recognize the amassed data showing that rapid correction of hyponatremia may cause myelinolysis. We advise that the increase in serum sodium concentration be limited, whenever possible, to a rate of less than 10 mmol/L in any 24-hour period. Barbara I. Karp, MD National Institutes of Health Bethesda, MD 20892 Robert Laureno, MD Washington Hospital Center Washington, DC 20010 References 1. Karp BP, Laureno R. Pontine and extrapontine myelinolysis. A neurological disorder following rapid correction of hyponatremia. Medicine (Baltimore). 1993;72:359-73. 2. Sterns RH, Cappuccio JD, Silver SM, Cohen EP. Neurological sequelae after treatment of severe hyponatremia: a multicenter perspective. J Am Soc Nephrol. 1994;4:1522-30. 3. Illowsky BP, Laureno R. Encephalopathy and myelinolysis after rapid correction of hyponatremia. Brain. 1987;110:855-67. 4. Laureno R. Central pontine myelinolysis following rapid correction of hyponatremia. Ann Neurol. 1983;13:232-42. 5. Verbalis J, Martinez AJ. Neurological and neuropathological sequelae of correction of chronic hyponatremia. Kidney Int. 1991;39:1274-82. Pregnancy-Related Thromboembolism To the Editor: I read with interest the informative article by Friederich and colleagues (1) and the editorial by Lee (2) on thromboembolic disease and pregnancy. Low-molecular-weight heparin, recommended by Friederich and colleagues and Lee, has been effectively and safely used for thromboprophylaxis during pregnancy (3, 4). However, no information seems to be available about the drug's safety in relation to breast feeding, and drug companies advise against its use during the puerperium in 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 163 breast-feeding patients. I would appreciate the authors' comments on this issue. Arumugam Manoharan, MD St. George Hospital Kogarah, Sydney, Australia References 1. Friederich PW, Sanson BJ, Simioni P, Zanardi S, Huisman MV, Kindt I, et al. Frequency of pregnancy-related venous thromboembolism in anticoagulant factor-deficient women: implications for prophylaxis. Ann Intern Med. 1996;125:955-60. 2. Lee RV. Thromboembolic disease and pregnancy: are all women equal? [Editorial] Ann Intern Med. 1996;125:1001-3. 3. Manoharan A. Use of low-molecular weight heparin during pregnancy [Letter]. J Clin Pathol. 1994;47:94-5. 4. Sturridge F, de Swiet M. The use of low-molecular weight heparin for thromboprophylaxis in pregnancy. Br J Obstet Gynaecol. 1994;101:69-71. To the Editor: We would like to point out a critical error by Friederich and associates (1) and to report on what we believe is the largest population study of the incidence of deep venous thrombosis and pulmonary embolism in the setting of delivered pregnancies (4 weeks postpartum). Our data suggest that the incidence is not only low but is similar to the incidence in closely age-matched nonpregnant women in another study (2). The annual 1.8% frequency of deep venous thrombosis in nonpregnant women 20 to 40 years of age cited by Friederich and colleagues is inaccurate. As listed in the original report (2), the correct frequency is 0.018%. We reviewed records of delivered pregnancies and postpartum periods during which deep venous thrombosis and pulmonary embolism occurred from January 1985 through January 1996 in the northern California region of Kaiser Permanente (a health maintenance organization serving 2.5 million members). A total of 280 793 deliveries occurred; among these, 251 charts were identified by International Classification of Diseases codes with concomitant diagnoses of delivered pregnancy/postpartum and thromboembolic disease. Patients were included in our study if deep venous thrombosis or pulmonary embolism was documented by venography, Doppler ultrasonography, ventilationperfusion scanning, or pulmonary angiography. Eighty-one patients met these criteria (67 with deep venous thrombosis and 14 with pulmonary embolism); thus, the incidence of documented deep venous thrombosis or pulmonary embolism in this population was 0.029%. As cited in Friederich and colleagues' study, previous studies have reported frequencies of these conditions of 1.3% to 7% during pregnancy and 6.1% to 23% during the postpartum period (1). Our incidence suggests a much lower frequency, as does the 0.055% frequency reported in the second largest population study of these two conditions in women giving birth; like ours, this study required objective documentation of thromboembolism (3). Most noteworthy, in nonpregnant women 20 to 40 years of age, the annual frequency of thromboembolism has been observed to be 0.018% (2). By using the Fisher exact test, we found no statistically significant difference between this incidence and the incidence of deep venous thrombosis or pulmonary embolism in our study population (P > 0.2). In response: Dr. Manoharan addresses the important issue of the use of a drug when there is no formal knowledge of safety in a specific situation. The experience with low-molecular-weight heparin in pregnancy was obtained while the pharmaceutical companies advised against use of the drug during pregnancy (1, 2). One report has indicated that low-molecular-weight heparin, like unfractionated heparin, does not appear in breast milk (3). Moreover, heparin is not easily absorbed and thus when given orally is unlikely to cause any adverse effects. We thank Brickner and colleagues for pointing out a mathematical error that escaped our attention when we reviewed the galley proofs of our article. The numbers in the second paragraph of the introduction should read 0.018%, 0.013% to 0.07%, and 0.061% to 0.23%, respectively. Thus, Brickner and colleagues' findings agree with the existing literature on the incidence of pregnancy-related venous thromboembolism in the general population. Martin H. Prins, MD, PhD Academic Medical Center, University of Amsterdam Amsterdam, the Netherlands References 1. Rasmussen C, Wadt J, Jacobsen B. Thromboembolic prophylaxis with LMWH during pregnancy. Int J Gynecol Obstet. 1994;47:121-5. 2. Melissari E, Parker CJ, Wilson NV, et al. Use of LMWH in pregnancy. Thromb Haemost. 1992;68:652-6. 3. Harenberg J, Leber G, Zimmermann R, Schmidt W. Thromboembolieprophylaxe mit niedermolekularem Heparin in der Schwangerschaft. Geburtsh u Frauenheilk. 1987;47:15-8. To the Editor: In his editorial on thrombosis prophylaxis during pregnancy in women with hereditary or acquired thrombophilia, Lee (1) rightly asks whether all women entering reproductive life should be screened for coagulation deficiencies. For factor V Leiden, we have already answered in the negative: If mass screening for factor V Leiden were followed by routine anticoagulation prophylaxis, even a short course (say, 6 weeks) of oral anticoagulation during the puerperium might cause the death of as many young mothers as, or even more than, would have died of pulmonary emboli resulting from their thrombophilic condition (2). The recommendation that attention be paid to the personal and family history of thrombosis is borne out by the important paper by Friederich and colleagues (3), whose results pertain to women who already have one or more relatives with venous thrombosis and a coagulation defect. Lee mentions that a fear of litigation in the United States might lead to defensive testing for thrombophilia and prescribing of anticoagulation during the entire pregnancy. We hope that this will be counterbalanced by a fear of hemorrhagic side effects (although we, as Europeans, are not sure whether such side effects might also lead to litigation) (4). Prescribers should not forget that there are different modes of prophylaxis. For example, it might be worthwhile to investigate prophylaxis with elastic stockings during or after pregnancy (alone or in combination with a very low dose of pharmacologic anticoagulation). In a meta-analysis of prophylaxis in patients having hip surgery, elastic stockings proved to be only slightly less effective than pharmacologic anticoagulation and certainly caused no bleeding (5). Leslea A. Brickner, MD Kate A. Scannell, MD Lynn Acker son, PhD Kaiser Permanente Oakland, CA 94611 Ian P. Vandenbroucke, MD, PhD Frits R. Rosendaal, MD Leiden University Hospital 2300 RD Leiden, the Netherlands References 1. Friederich PW, Sanson BJ, Simioni P, Zanardi S, Huisman MV, Kindt I, et al. Frequency of pregnancy-related venous thromboembolism in anticoagulant factor-deficient women: implications for prophylaxis. Ann Intern Med. 1996;125:955-60. 2. Nordstrom M, Lindblad B, Bergqvist D, Kjellstrom T. A prospective study of the incidence of deep-vein thrombosis within a defined urban population. J Intern Med. 1992;232:155-60. 3. Rutherford S, Montoro M, McGehee W, Strong T. Thromboembolic disease associated with pregnancy: an 11-year review [Abstract]. Am J Obstet Gynecol. 1991;164(Suppl):286. References 1. Lee RV. Thromboembolic disease and pregnancy: are all women equal? [Editorial] Ann Intern Med. 1996;125:1001-2. 2. Vandenbroucke JP, van der Meer FJ, Helmerhorst FM, Rosendaal FR. Factor V Leiden: should we screen oral contraceptive users and pregnant women? Br Med J. 1996;313:1127-30. 3. Friederich PW, Sanson BJ, Simioni P, Zanardi S, Huisman MV, Kindt I, et al. Frequency of pregnancy-related venous thromboembolism in anticoagulant factor-deficient women: implications for prophylaxis. Ann Intern Med. 1996;125:955-60. 4. van der Meer FJ, Rosendaal FR, Vandenbroucke JP, Briet E. Bleeding 164 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 Table. Guide to Clinical Decisions about Prophylaxis of Thromboembolism in Pregnant Women History of Thromboembolism? Personal No Yes No Yes Screen for Thrombophilia? Family No No Yes Yes No Maybe Yes Yes Pharmacologic Prophylaxis? Antepartum Intrapartum or Postpartum No Maybe Maybe Probably No Yes Yes Yes complications in oral anticoagulant therapy: an analysis of risk factors. Arch Intern Med. 1993;153:1557-62. 5. Imperiale TF, Speroff T. A meta-analysis of methods to prevent venous thromboembolism following total hip replacement. JAMA. 1994;271: 1780-5. In response: I thank Drs. Vandenbroucke and Rosendaal for reinforcing the importance of old-fashioned history taking as a screening strategy for thrombophilic predisposition. In a litigious venue, unfortunately, the availability of a quantifiable test often means that the new technique supplants the old and becomes the standard. And after the presence of thrombophilia has been identified, doing nothing during pregnancy (a condition highly publicized as a hypercoagulable state) is risky even when doing something like anticoagulation has clearly defined risks. In light of new studies of genetic thrombophilic conditions, neither the older literature about pregnancy and thromboembolism nor the literature that deals exclusively with thromboembolic disease in nonpregnant patients is a reliable source of guidance. There should be no debate about adequate heparinization for women who have thromboembolism during pregnancy or the postpartum period. There should also be no debate about the universal utility of prophylactic postural and mechanical procedures (such as use of elastic stockings) for pregnant women. Which pregnant women need pharmacologic prophylaxis, how much prophylaxis is necessary, and when prophylaxis should be administered need to be further elucidated. Any clinical decisions and studies must be stratified according to the personal and family histories of thromboembolic events and according to the results of evaluation for thrombogenic predisposition (Table). I am not aware of any prospective studies examining the outcome in terms of prevention of thromboembolism with varying doses of heparin during gestation. I agree with Drs. Vandenbroucke and Rosendaal that, given the coagulation changes of pregnancy, a small amount of heparin should go a long way. Studies of heparin metabolism indicate that to treat active thromboembolism during pregnancy, a larger dose than expected may be necessary. However, we do not know whether this applies to prophylaxis in a patient with a personal or familial history of thromboembolic disease. Richard V. Lee, MD State University of New York at Buffalo Buffalo, NY 14222 Update in Infectious Diseases To the Editor: In the Update in Infectious Diseases, Bartlett (1) states that "worldwide, about 1.7 billion persons currently have tuberculosis...." This statement implies that these persons have clinical tuberculosis. In 1991, Kochi (2) estimated that approximately 1.7 billion persons were infected with Mycobacterium tuberculosis. This figure reflected the prevalence of tuberculous infection, not tuberculosis itself. In Table 2, "incidence" is defined as "the number of deaths per epidemic period, unless otherwise noted." I assume that this is a typographical error and that incidence is referring to the number of cases rather than the number of deaths. In Table 5, the frequency of administration of trimethoprimsulfamethoxazole for prevention of Pneumocystis carinii pneumonia and toxoplasmosis was not included. Richard I Frankel, MD, MPH University of Hawaii at Manoa Honolulu, HI 96813 References 1. Bartlett JG. Update in infectious diseases. Ann Intern Med. 1997;126: 48-56. 2. Kochi A. The global tuberculosis situation and the new control strategy of the World Health Organization. Tubercle. 1991;72:1-6. In response: Dr. Frankel is correct about the incidence of tuberculosis. The estimate of 1.7 billion refers to the number of patients who are infected with M. tuberculosis, not the number of patients with tuberculosis itself. In Table 2, the footnote for "Incidence" is mislabeled. This refers to the number of patients infected rather than the number of deaths. The number of deaths is given in the next column. With regard to Table 5, trimethoprim-sulfamethoxazole is administered once daily except as otherwise stated. lohn G. Bartlett, MD Johns Hopkins University School of Medicine Baltimore, MD 21205 The Illusion of Deterministic Rules To the Editor: The recent article by Glassman and colleagues (1) contains several errors and may mislead readers about the promises and limitations of cost-effectiveness analysis. First, their Table 2 reflects a 2.5% risk for rupture with aneurysms 3.5 to 3.9 cm in diameter, but their text reports a figure of 0.25%. Second, their Table 3, from which most of their conclusions are drawn, is inaccurate. A common mistake in calculating lives saved is not using a fixed reference point. In this case, a reasonable reference point is the number of patients who would die if no patients had surgery for aneurysms. Using their example, 2900 of 40 000 patients would die under those circumstances (3080 if the 2.5% risk for rupture is used for aneurysms <4 cm rather than the 0.25% we used). In either case, the number of lives saved for each threshold at each of the three hospital networks is calculated relative to this reference point. We believe that the correct figures are presented in the Table on page 166. Many of the authors' conclusions are not preserved with this new table. For example, the authors' view that the three hospital networks differ little in total number of lives saved at the 5-cm threshold for surgery is no longer supported. Similarly, although the authors' table suggested that increasing numbers of lives are saved at the 6-cm threshold as one moves from network A to network C, our table reveals the opposite. The authors' result could never be achieved given the different surgical mortality rates. In the new table, network A not only saves more lives at the 4-cm threshold, it saves each life at a lower cost than network B or C. Finally, we agree that cost-effectiveness analyses often involve tradeoffs and that those tradeoffs can be hard to balance. But hard-to-balance tradeoffs are not an argument against using costeffectiveness analyses to develop decision rules. An important purpose of cost-effectiveness analysis is to make these tradeoffs explicit. Sometimes, these analyses reveal that some strategies are clearly better than others. The miscalculations by Glassman and colleagues understate the persuasiveness of quantitative health policy analysis. After this analysis, for example, who would consider using a 4-cm threshold at network B or C? More lives could be saved, at a lower cost, by using a 6-cm threshold at network A. Similarly, a 5-cm threshold at network C is clearly worse than a 6-cm threshold at network A or B. We believe that few could support using the 4-cm threshold at network A after viewing this analysis. Although this strategy 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 165 Table. Corrected Values for Lives Saved, Intervention Cost, and Cost per Life Saved Variable Hospital Network A Aneurysm >4 cm Total lives saved, n Total intervention cost, $ Cost per life saved, $ Aneurysm >5 cm Total lives saved, n Total intervention cost, $ Cost per life saved, $ Aneurysm > 6 cm Total lives saved, n Total intervention cost, $ Cost per life saved, 5 2280 1 200 000 000 526316 Hospital Network B Hospital Network C 1680 1080 900 000 000 600 000 000 535714 555556 2240 1840 1440 800 000 000 600 000 000 400 000 000 357 143 326 087 277 778 1720 1520 1320 400 000 000 300 000 000 200 000 000 232 558 197368 151515 carries an average cost of $526 316 per life saved, the relative extravagance of this strategy is most evident when one considers that the 40 additional lives saved at this threshold, compared with the 5-cm threshold at the same network, increase costs by $400 000 000. In other words, each additional life saved costs $10 000 000. Although the authors created their example to illustrate the limitations of cost-effectiveness analysis, the correct figures ironically reveal how much these analyses contribute. The virtue of these analyses is that they often reveal which strategies are dominated, which are extravagant, and which are truly close calls. David A. Asch, MD, MBA John C. Hershey, PhD University of Pennsylvania Philadelphia, PA 19104 Reference 1. Glassman PA, Model KE, Kahan JP, Jacobson PD, Peabody JW. The role of medical necessity and cost-effectiveness in making medical decisions. Ann Intern Med. 1997;126:152-6. To the Editor: The analytical model proposed by Glassman and colleagues (1) is an excellent example of how better definitions can help clarify what is really important to consider in developing decision rules. Although I agree that cost-effectiveness as a basis for clinical choices is questionable, I think that "medical necessity" is an important factor in clinical decision-making processes. From a public health standpoint, medical necessity justifies the need for such actions as quarantining. It would be hard, for example, to require that children be immunized against most known infectious diseases if there were no medical reason for this immunization. Although it can be argued that herd immunity would not require all children to be immunized in order for a community to derive a benefit from such intervention, having all children immunized would be the right step toward eradicating the disease. Second, as the authors note, what may be necessary may not be reimbursable by health insurance. This does not mean that the definitions used by health insurers are appropriate bases for defining medical necessity. Furthermore, as long as the courts are called on to define situations in which physicians are held accountable or liable for actions that may be considered negligent, medical necessity will remain a crucial consideration in prioritizing clinical actions. Finally, it is understandable why medical necessity has lost its urgency as the management of chronic diseases becomes more common. In such cases, clinical outcomes are no longer as straightforward as matters of life and death. Rather, disease is measured by its impact on a patient's quality of life, which is uninsurable. Betty C. Jung, RN, MPH Guilford, CT 06437 166 Reference 1. Glassman PA, Model KE, Kahan JP, Jacobson PD, Peabody JW. The role of medical necessity and cost-effectiveness in making medical decisions. Ann Intern Med. 1997;126:152-6. In response: Drs. Asch and Hershey point out two errors, one arithmetic and one conceptual. The arithmetic error, transposing a decimal point (turning 0.25% into 2.5%), does not affect the model. Thus, we focus here on the conceptual error: We added lives saved (by not performing surgery) for patients who were not being considered for intervention in the first place. We concur with the calculations of Asch and Hershey but do not concur that our miscalculations understate the persuasiveness of quantitative health policy. When the calculations of Asch and Hershey are used, cost-effectiveness still fails to act as a deterministic decision point. Network A provides the most cost-effective point for the 4-cm threshold, but it no longer does so for the 5-cm threshold. Asch and Hershey agree that few could support using the 4-cm threshold at network A after viewing the associated costs, even though doing so would improve societal outcome. This underscores our main point, which is that perverse decisions (such as choosing a network of lesser quality) can occur if one focuses on cost-effectiveness without considering other important factors. Rigorous cost-effectiveness analyses have a role in health care decisions, but we are not convinced that the needed rigor will always be present within a competitive marketplace where coverage decisions may be influenced by financial incentives. Ms. Jung's comments bring out the varied uses of medical necessity. However, we do not share her view that medical necessity is a strong factor in clinical decision making. First, there is little to suggest that providers routinely incorporate the concept of medical necessity in their clinical decisions. Second, medical necessity decisions are primarily made by payers and are often predicated on contractual requirements rather than on clinical judgment. Third, medical necessity does not always correlate with good public policy; this is true, for example, for immunization to prevent re-emergence of an infectious disease, such as diphtheria. Finally, interpretations by courts and payers vary, and medical necessity is thus not currently a viable foundation on which to prioritize clinical actions. Whether it can be is controversial, and some have argued that cost-effectiveness should become the basis for coverage decisions (1). We believe that cost-effectiveness will not readily solve the medical necessity conundrum. Nonetheless, developing better methods to target those who truly need a medical service and those who do not is paramount. Our primary concern was to demonstrate the intrinsic problems that arise when medical necessity and cost-effectiveness are used. We hope that our model was helpful in this regard. Peter Glassman, MBBS, MSc John Peabody, MD, PhD West Los Angeles Veterans Affairs Medical Center Los Angeles, CA 90073 Karyn Model, PhD National Economic Research Associates Los Angeles, CA 90017 Reference 1. Eddy DM. Clinical decision making: from theory to practice. Benefit language: criteria that will improve quality while reducing costs. JAMA. 1996;275:650-7. Hantavirus Antibodies in New York To the Editor: To clarify an association between end-stage renal disease and antibodies to hantavirus (1, 2), we examined serum samples from patients seen in a dialysis facility and an emergency department in New York City. Serum samples were screened by enzyme-linked immunosorbent assay (ELISA) using previously described protocols (1). To confirm the ELISA results, a Western blot analysis of tentatively 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 positive samples was done. Samples with antibodies directed against nucleocapsid protein (3) were considered seropositive. Of 546 samples screened by ELISA, 292 were controls obtained from the emergency department population and 254 were obtained from patients undergoing hemodialysis. Overall, 28 samples (5.13%) were positive by ELISA. Of these, 4 (1.37%) were from the emergency department population and 24 (9.45%) were from the dialysis population. This difference was statistically significant (odds ratio, 7.5 [95% CI, 2.4 to 25.9]; P < 0.001). Western blot analysis could not confirm many ELISA-positive results. Of the 4 ELISA-seropositive samples obtained from the emergency department population, only 1 (0.34%) was confirmed; of the 24 ELISA-seropositive samples obtained from patients undergoing dialysis, only 5 (1.97%) were confirmed. The latter patients tended to be infected with hantavirus more often than did the former (odds ratio, 5.8 [CI, 0.7 to 277.3]; P = 0.07). Our data corroborate the observation (1) that patients undergoing hemodialysis tend to have antibodies to hantavirus more frequently than do control patients. The seroprevalences in the control group and dialysis group were similar to those observed in Baltimore (0.34% and 0.25% compared with 1.97% and 2.80%, respectively). These results also indicate a need to interpret ELISA results with some caution because 22 of 28 ELISApositive samples were negative according to Western blot analysis. This suggests that uremic serum samples have nonspecific reactions to ELISA reagents. It is unclear whether results of the serologic tests for hantavirus represent infection or cross-reactive autoantibodies to shared epitopes. This question may be resolved by prospective studies of patients with acute hemorrhagic fever with the renal syndrome, who may develop hypertensive renal disease (4). As an alternative, the presence of viral antigen or nucleic acids in these patients would provide critical supporting evidence of ongoing viral infection. Walter G. Wasser, MD North General Hospital New York, NY 10035 Cindy A. Rossi, MA U.S. Army Research Institute of Infectious Diseases Frederick, MD 21701 Gregory E. Glass, PhD Johns Hopkins School of Public Health Baltimore, MD 21205 References 1. Glass GE, Watson AJ, LeDuc JW, Kelen GD, Quinn TC, Childs JE. Infection with a ratborne hantavirus in US residents is consistently associated with hypertensive renal disease. J Infect Dis. 1993;167:61420. 2. Peter JB, Patnaik M, Gott P, Weins B, Souw PT. Antibodies to different strains of hantavirus in end-stage renal disease in USA and Japan. Lancet. 1994;343:181. 3. Schmaljohn CS, Jennings GB, Jay J, Dalrymple JM. Coding strategy of the S genome segment of hanta virus. Virology. 1986;155:633-43. 4. Kleinknecht D, Rolin PE. Hypertension after hemorrhagic fever with renal syndrome. Nephron. 1993;61:121. Paraneoplastic Autoimmune Xerostomia To the Editor: An 18-year-old man was hospitalized with intense thirst, polyuria, polydypsia, and weight loss. The oral mucosa appeared slightly dry, and mild hepatosplenomegaly was present. The physical examination was otherwise unremarkable. Diabetes mellitus and insipidus were ruled out by laboratory tests and imaging of the head. Fever and pancytopenia, in the absence of signs of disease other than xerostomia, prompted us to take a biopsy specimen from the bone marrow. Lymphoblastic lymphoma was diagnosed, polychemotherapy produced complete remission, and xerostomia disappeared. Two relapses were heralded by xerostomia that disappeared after remission was obtained through salvage protocols. The patient died of aspergillotic pneumonia during drug-induced pancytopenia. His salivary Figure. A. Normal histologic appearance of the patient's salivary gland (hematoxylin and eosin stain; original magnification, x40). B. The patient's serum immunostains monkey salivary ducts on indirect immunofluorescence (original magnification, X40). (Courtesy of Drs. E. Bosi and A. M. Girardi.) C. The patient's IgG levels are detectable in the ductal and acinar cells of his parotid gland on direct immunocytochemistry (original magnification, x40). D. The patient's IgG reacts preferentially with the cytoplasm of the acinar cells of his parotid gland, leaving nuclei unstained (direct immunocytochemistry; original magnification, x80). glands were clinically and histologically (Figure, panel A) normal, and no antinuclear antibodies were present in his serum, thus excluding the Sjogren syndrome (1). To investigate the nonfortuitous relation between xerostomia and lymphoma, we looked for autoantibodies to the salivary glands in the patient's serum. Circulating autoantibodies against the ductal cells of monkey salivary glands were demonstrated by indirect immunofluorescence at each relapse and during the second remission (Figure, panel B). The presence of autoantibodies was shown by direct immunocytochemistry in the patient's parotid gland (Figure, panels C and D). Autoantibodies directed against cellular antigens are present in patients with a malignant condition (2). Although rarely pathogenic (3), autoantibodies can be considered markers of an impending tumor because they can precede the appearance of clinically detectable cancer (4, 5). To our knowledge, paraneoplastic autoimmune xerostomia has never been reported. Although the cellular target of these autoantibodies is unknown, we hypothesize that they might play a pathogenic role inhibiting salivary secretion. We suggest that the sudden appearance of xerostomia together with autoantibodies to the salivary glands—after exclusion of the Sjogren syndrome, direct infiltration of the salivary glands by neoplasia, and primary disorders of water balance—should prompt a careful search for occult cancer. Franco Folli, MD, PhD Maurilio Ponzoni, MD Aurelio M. Vicari, MD Istituto di Ricovero e Cura a Carattere Scientifico 20132 Milano, Italy 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 167 Table. References 1. Moutsopolous HM. Sjogren's syndrome. In: Isselbacher KJ, Braunwald E, Wilson JD, Martin JB, Fauci AS, Kasper DL, eds. Harrison's Principles of Internal Medicine. 13th ed. New York: McGraw-Hill; 1994: 1661-4. 2. Agarwala SS. Paraneoplastic syndromes. Med Clin North Am. 1996;80: 173-84. 3. Lennon VA, Lambert EH. Autoantibodies bind solubilized calcium channel-omega conotoxin complexes from small cell lung carcinoma: a diagnostic aid for Lambert-Eaton myastenic syndrome. Mayo Clin Proc. 1989;64:1498-553. 4. Posner JB. Paraneoplastic syndromes. Neurol Clin. 1991;9:919-36. 5. Folli F, Solimena M, Cofiell R, Austoni M, Tallini G, Fassetta G, et al. Autoantibodies to a 128-kd synaptic protein in three women with the stiff-man syndrome and breast cancer. N Engl J Med. 1993;328:546-51. Intracranial Hypertension and Minocycline To the Editor: We report a case of intracranial hypertension with permanent visual damage after minocycline treatment. A 19-year-old healthy woman was treated with minocycline, 100 mg/d, for acne vulgaris. Two weeks after treatment began, the patient presented with severe headache, nausea, and visual disturbance. Ophthalmologic examination revealed severe bilateral papilledema with visual field damage. A computed tomographic scan of the brain was normal. After minocycline therapy was discontinued and acetazolamide was administered, the papilledema disappeared. However, the patient's visual fields and visual acuity are permanently damaged. Tetracyclines, especially minocycline, are widely used to treat acne vulgaris. Despite the listed side effects of the tetracycline groups, therapy with these agents is safe. Intracranial hypertension or pseudotumor cerebri is well known in infants but rare in adults (1). Intracranial pressure is also common in patients treated by both tetracyclines and retinoids (2). Among the few cases reported in the literature, elevated intracranial pressure was more common in women; neurologic and ophthalmologic symptoms developed 1 month after therapy began; and, in most cases, neurologic and ophthalmologic symptoms and signs were alleviated after discontinuation of minocycline therapy (1, 3). In some patients, however, visual acuity was permanently damaged (4). One patient required lumboperitoneal bypass (5). Minocycline is known to penetrate into the central nervous system and to have good lipoid solubility. The mechanism by which minocycline increases intracranial pressure is unknown. Awareness of this cause of headache and visual obscuration may prevent severe, permanent neurologic damage. Joseph Shiri, MD Boaz Amichai, MD Tel-Nordoy Clinic Tel-Aviv, Israel References 1. Lubetzki C, Sanson M, Cohen D, et al. Benign intracranial hypertension and minocycline. Rev Neurol Paris. 1988;144:218-20. 2. Delaney RA, Narayanswamy TR, Wee D. Pseudo-tumor cerebri and acne. Mil Med. 1990;155:511. 3. Le-Bris P, Glacet-Breard A, Coscas G, et al. Papilledema caused by minocycline: apropos of a case. J Fr Ophthalmol. 1988;11:681-4. 4. Lander CM. Minocycline-induced benign intracranial hypertension. Clin Exp Neurol. 1989;26:161-7. 5. Donnet A, Dufour H, Graziani N, et al. Minocycline and benign intracranial hypertension. Biomed Pharmacother. 1992;46:171-2. Thyrotoxicosis Factitia Veterinarius To the Editor: We describe a case of "thyrotoxicosis factitia canis." A 50-year-old woman presented with new-onset nervousness and dizziness. Her medical history was notable for hypertension treated with enalapril, 10 mg four times daily. Further questioning revealed that the patient's dog, who "had no thyroid," was 168 15 July 1997 • Annals of Internal Medicine Day 1 13 49 74 Results of Follow-Up in a Patient with Thyrotoxicosis Factitia Veterinarius* Thyroxine Radioimmunoassayt Triiodothyronine RU* Triiodothyronine Radioimmunoassay§ TSH || Ixg/dL % Ixg/mL mU/L 21.7 8.5 6.9 33.9 33.8 33.8 2.69 1.49 1.19 <0.03 0.03 0.88 1.83 * TSH = thyroid-stimulating hormone, t Normal range, 4.5 to 12.0 jug/dl_. * Normal range, 25% to 40%. § Normal range, 0.8 to 2.0 ng/mL || Normal range, 0.32 to 5.0 mU/L. being treated with L-thyroxine, 0.6 mg four times daily (a typical canine dosage). It seems that, at some point, the patient may have inadvertently switched her medication with her dog's medication. The results of physical examination were normal except for tremor. The pulse was 72 beats/min and regular. The patient was followed after correction of her regimen; results of this follow-up are shown in the Table. Further search for diagnostic clues to the diagnosis, such as a low uptake on I 123 scanning or a suppressed thyroglobulin level, was considered unnecessary in this case because of the careful history. Interim treatment with j3-blockers may be needed in some cases but was not in this one. We suggest that a pet history should be taken when puzzling symptoms are present in previously healthy patients. Sheila Feit, MD Syosset, NY 11791 Helen Feit, MD Villanova, PA Mycobacteriosis in the Pliocene To the Editor: Recognition of disease in antiquity is predicated on the uniformity of the character of disease over time. Although bone can manifest only a limited spectrum of reaction to any "insult," the pattern of skeletal involvement is often highly specific (1). One such pattern—vertebral destruction with partial collapse, minimal reactive bone formation, but fusing affected adjacent vertebrae (producing a coalesced, acutely angulated vertebral appearance)—is highly specific for mycobacterial disease, such as tuberculosis (1, 2). Observation of such a phenomena in a Pliocene macropod stimulated this analysis. Fused proximal caudal macropod (kangaroo) vertebrae (Queensland F178989), discovered on the Chinchilla Rifle Range in southeastern Queensland, Australia, consisted of one partially collapsed vertebra, angulated 90 degrees in juxtaposition to a second and associated with extensive new bone formation. The first vertebra had an irregular spinal canal with several speculations and was fused with the subjacent two vertebrae. There was an oval-shaped, slightly expansile lytic lesion in the right transverse process of the third vertebra. Three-dimensional computed tomographic reconstruction (done by Southwoods Radiology, Youngstown, Ohio, and Carol Scott, St. Joseph Hospital, Warren, Ohio) revealed classic collapse and fusion with no significant new bone formation (Figure). Disruption of vertebral centra with subsequent angulation and fusion is characteristic of Mycobacterium tuberculosis in humans (1, 2) and of M. avium in macropods (1, 3, 4). Trauma and osteoporotic compression fractures do not produce lytic lesions (1, 2). Cancer produces lytic lesions but not fusion. Spondyloarthropathy produces vertebral fusion but not transverse process lytic lesions or vertebral collapse. Brucellosis and fungal disease • Volume 127 • Number 2 Figure. Three-dimensional reconstruction of computed tomographic images of affected vertebrae. The left and middle panels reveal reconstructed radiologic images. The image in the upper right panel is slightly oblique. The images in the center and the bottom right panels have been manipulated to remove overlapping structures. Draining sinuses are especially visible on the bottom right image. The vertebral pedicle and spinous processes have been removed to allow visualization of the posterior aspect of the vertebral body. General disorganization of bone with collapse, minimal new bone formation, and draining sinuses are notable. (such as that caused by Blastomycosis species) can produce lytic lesions, but collapse with fusion has not been observed (2). Thus, mycobacterial disease seems to be the most reasonable diagnosis. The earliest previous example (5) was in a 6000-yearold Egyptian mummy. Queensland F178989 substantially extends the antiquity of mycobacterial infection (existent in contemporary macropods) to 5 million years and seems to represent the earliest notation of this infection (1). Bruce M. Rothschild, MD Arthritis Center of Northeast Ohio Youngstown, OH 44512 Ralph E. Molnar, MD Queensland Cultural Centre South Brisbane, Queensland, Australia Jeno I. Sebes, MD University of Tennessee Center for Health Sciences Memphis, TN 28117 References 1. Rothschild BM, Martin L, eds. Paleopathology: Disease in the Fossil Record. London: CRC Pr; 1993. 2. Resnick D, Niwayama G, eds. Diagnosis of Bone and Joint Disorders. 2d ed. Philadelphia: WB Saunders; 1989. 3. Kennedy S, Montali RJ, James AE, Bush M. Bone lesions in three tree kangaroos. J Am Vet Med Assoc. 1978;173:1094-8. 4. Mann PC, Montali RJ, Bush M. Mycobacterial osteomyelitis in captive marsupials. J Am Vet Med Assoc. 1982;181:1331-3. 5. Strouhal E. La Tuberculose Vertebrate en Egypte et Nubie Anciennes. Bulletins et Memoires Societe de la dAnthropologic de Paris. 1987; 14: 261-70. Protracted Cholestatic Hepatitis after the Use of Prostata To the Editor: One reason for the growing popularity of herbal medicines is the perception that these compounds are safe and free of side effects. We report a case of acute hepatitis caused by Prostata (Gero Vita International), an herbal preparation used to treat prostatic hypertrophy. A 65-year-old man with nocturia and hesitancy began taking Prostata, which had been ordered from a catalogue. Two weeks later, he developed jaundice and severe pruritus and stopped taking the medication. His abdomen was not tender, and his liver and spleen were not palpable. Biochemical findings were as follows: bilirubin level, 8.2 mg/dL; aspartate aminotransferase level, 1238 IU/L; alanine aminotransferase level, 1364 IU/L; alkaline phosphatase level, 179 IU/L (normal <108 IU/L); y-glutamyl transferase level, 391 IU/L; hematocrit, 0.41; leukocyte count, 3.3 X l^/mm 3 (polymorphonuclear count, 1.6 X KP/mm3); lymphocyte count, 1.2 X 103/mm3; monocyte count, 0.4 X 103/ mm3; eosinophil count, 0.1 X 103/mm3); and platelet count, 153 000 cells/mm3. Serum total protein level was 6.3 g/dL (albumin level, 3.6 g/dL), and the carcinoembryonic antigen level was less than 2 mg//nL. Computed tomography of the abdomen revealed a normal liver, pancreas, and biliary system. Results of serologic testing were negative for hepatitis A virus IgM, hepatitis B surface antigen, cytomegalovirus IgM, and antibodies to hepatitis C virus; hepatitis C virus RNA was undetectable by polymerase chain reaction. The patient was positive for antimitochondrial antibodies (titer, 1:320) and negative for antinuclear antibodies and anti-smooth-muscle antibody. Liver enzyme levels remained abnormal for more than 3 months before completely returning to normal. Because of slow resolution of disease, liver biopsy done 2 months after presentation showed a parenchymal infiltrate of neutrophils and lymphocytes that involved the portal tracts, early bridging, and mild periportal fibrosis. No evidence showed cirrhosis, granulomas, or bile duct damage. Prostata is a combination of zinc picolinate, pyridoxine, Lalanine, glutamic acid, apis mellifica pollen, silica, hydrangea extract, panex ginseng, serenoa serrulata, and pygeum africanum. Serenoa (saw palmetto) is presumably the most active ingredient, providing an estrogenic and antiandrogenic effect through direct stimulation of estrogen receptors and inhibition of testosterone5-alpha-reductase (1). Both estrogens and antiandrogens can be hepatotoxic. Estrogens interfere with bromosulfophthalein and bilirubin excretion (2), and cholestasis of pregnancy may be a manifestation of exaggerated responsiveness to cholestatic effects of high estrogen levels (3). Fulminant hepatitis has been reported with the antiandrogenic drugs flutamide and cyproterone acetate (4). Flutamide competitively inhibits binding of dihydrotestosterone to androgen receptors and increases plasma concentrations of estrogen and testosterone in the rat by blocking the inhibitory feedback of testosterone on production of luteinizing hormone (5). The cholestatic hepatitis observed with flutamide is postulated to result from testosterone-mediated cholestasis. 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 169 Saeed Hamid, MD Sergio Rojter, MD John Vierling, MD Southwestern Medical Center Dallas, TX 75235-9151 References 1. Champault M, Patel JC, Bonnard AM. A double-blind trial of an extract of the plant serenoa repens in benign prostatic hyperplasia. Br J Clin Pharmacol. 1984;18:461-2. 2. Kottra LL, Kappas A. Effect of estradiol on plasma disappearance rate of sulfobromophthalein in man. Arch Intern Med. 1966;117:373-5. 3. Haemmerli HU. Jaundice during pregnancy. In: Schiff L, ed. Diseases of the Liver. 4th ed. Philadelphia: JB Lippincott; 1975:1336-48. 4. Dankoff JS. Near fatal liver dysfunction secondary to administration of flutamide for prostate cancer. J Urol. 1992;148:1914. 5. Marchetti B, Labrie F. Characteristics of flutamide action on prostate and testicular functions in the rat. J Steroid Biochem. 1988;29:691-8. Fatal Phenformin-Associated Lactic Acidosis To the Editor: The popularity of metformin has renewed interest in biguanide hypoglycemic agents. The association between phenformin and fatal lactic acidosis, particularly in patients with renal failure, led to the withdrawal of phenformin from the U.S. market in 1977 (1). We describe a patient who recently died of phenformin-associated lactic acidosis. A 64-year-old Haitian woman with diabetes, hypertension, and consequent renal insufficiency presented with profound lactic acidosis (pH, 7.15; bicarbonate level <5.0 mmol/L; lactic acid level, 54.5 mmol/L). She had been hospitalized on four previous occasions for unexplained severe lactic acidosis. After recovery from such an episode, muscle biopsy had disclosed normal structure on light and electron microscopy and normal in vitro mitochondrial enzymatic function (pyruvate dehydrogenase complex, dihydrolipoamide dehydrogenase, and electron transport chain complexes I to IV). Mitochondrial DNA contained no rearrangements or known point mutations. During this final hospitalization, we discovered that the patient had been taking Bidiabe (Laboratori Guidotti, Pisa, Italy), a combination of chlorpropamide (125 mg) and phenformin hydrochloride (30 mg). Despite treatment with antibiotics, sodium bicarbonate, insulin, and hemodialysis, the patient died. The patient's serum phenformin concentration was 649 /ig/L at admission and 42 /ig/L at autopsy. Our patient had obtained Bidiabe without prescription in Haiti and had been taking it without the knowledge of her physicians for several years. It is not known why some patients develop lactic acidosis while taking phenformin. We found no enzyme deficiency to explain recurrent acidosis in our patient. However, skeletal-muscle electron microscopy done at autopsy revealed hyperplasia of mitochondria that had normal size, internal structure, and distribution (Figure). Hepatocyte mitochondrial hyperplasia might reflect an early compensatory response to adverse environmental stimuli, as has been hypothesized in other settings (2). The availability of metformin, a drug that has similar efficacy but is associated with a lower risk for lactic acidosis, now renders phenformin obsolete (3). Physicians, especially those serving immigrant communities, must remain aware of the availability of phenformin. Jonathan Rosand, MD Jonathan W. Friedberg, MD Jane M. Yang, MD Massachusetts General Hospital Boston, MA 02114 References 1. Misbin RI. Phenformin-associated lactic acidosis: pathogenesis and treatment. Ann Intern Med. 1977;87:591-5. 2. Reznik-Schuller HM, Reuber MD. Ultrastructure of liver tumors induced in F344 rats by methapyrilene. J Environ Pathol Toxicol Oncol. 1986;7:181-96. 3. Bailey CJ, Turner RC. Metformin. N Engl J Med. 1996;334:574-9. A Return to Farr and Nightingale Figure. Electron micrograph obtained at autopsy shows hepatocyte cytoplasm densely filled with mitochondria {asterisks). The latter are of normal size, shape, and internal structure. Arrow demarcates luminal space, and the bar represents 1.9 ^m. 170 15 July 1997 • Annals of Internal Medicine To the Editor: In her response to our defense of Farr and Nightingale (1), Dr. Iezzoni fails to distinguish between two issues: the correct calculation of the incidence rate and the comparability of data across hospitals. In her original contribution, Dr. Iezzoni had accused Farr and Nightingale of using the wrong method of calculation and thereby making the wrong comparison (2). We are amazed by the first part of her counterexample, the myocardial infarction rate of 326%. We gave exactly this example in our letter and at the same time indicated the solution: a 326% death rate per patient-year amounts to 0.9 deaths per 100 patient-days, which is not confusing. Next comes the comparability of incidence rates between hospitals. In 1948, Greenwood stated that even if one uses the right denominator (as Farr and Nightingale did), comparisons between hospital statistics remain hazardous (3). We have discussed this problem elsewhere (4). One factor that Dr. Iezzoni mentions is a difference in length of stay between hospitals. When length of follow-up is related to mortality, which it almost always is, the simple solution is to stratify by time. That is done routinely, for example, by Cox proportional hazards models that estimate hazard rates (which are ratios of incidence rates by the day!). When • Volume 127 • Number 2 person-time denominators are used over longer periods of time, follow-up is subdivided into "first week," "second week," and so on. This adjustment for length of stay has nothing to do with the calculation of incidence. Of course, the solution proposed by Dr. Iezzoni—to use a fixed time interval—is an excellent one. It permits one to calculate either incidence rates or cumulative incidences afterward. Did Farr and Nightingale have political motives? Of course they did; they bore a grudge against certain hospitals with poor ventilation and sanitation (5). In this, they resemble Dr. Iezzoni, who militates (rightly) against the simplistic use of betweenhospital comparisons (5). Might Farr and Nightingale's zeal have led them to throw caution to the wind when publishing comparisons that proved how right they were? Not unlikely. In the end, were they right by insisting on reforms? Most probably. That, and not the way in which they did their calculations, is the heart of the argument. Jan P. Vandenbroucke, MD, PhD Leiden University 2300 RC Leiden, the Netherlands Christina MJ.E. Vandenbroucke-Grauls, MD, PhD University "Vrije Universiteit" 1081 HV Amsterdam, the Netherlands References 1. Iezzoni LI. In defense of Farr and Nightingale [Letter]. Ann Intern Med. 1996;125:1014. 2. Iezzoni LI, Ash AS, Shwartz M, Daley J, Hughes JS, Mackiernan YD. Judging hospitals by severity-adjusted mortality rates: the influence of the severity-adjustment method. Am J Public Health. 1996;86:1379-87. 3. Greenwood M. Some British Pioneers of Social Medicine. London: Oxford Univ Pr; 1948:97-108. 4. Ierodiakonou K, Vandenbroucke JP. Medicine as a stochastic art. Lancet. 1993;341:542-3. 5. Eyler JM. Victorian Social Medicine. The Ideas and Methods of William Farr. Baltimore: Johns Hopkins Univ Pr; 1979:183. In response: As I said in response to the first letter of Drs. Vandenbroucke and Vandenbroucke-Grauls, their assertions are reasonable. It all boils down to context: My comments were framed by current state and regional initiatives to publish "report cards" on hospitals. I cannot imagine the Pennsylvania Health Care Cost Containment Council (1), New York's Cardiac Surgery Reporting System (2), or Cleveland Health Quality Choice (3) using the number of deaths per 100 days in-hospital in their report cards on hospital mortality rates. Given the common English meaning of the words "death rate," such figures would not make intuitive sense to the average reader. Lisa I Iezzoni, MD, MSc Beth Israel Deaconess Medical Center Boston, MA 02215 References 1. Pennsylvania Health Care Cost Containment Council. Focus on Heart Attack in Western Pennsylvania. A 1993 Summary Report for Health Benefits Purchasers, Health Care Providers, Policy-makers, and Consumers. Harrisburg, PA: Pennsylvania Health Care Cost Containment Council; 1996. 2. Chassin MR, Hannan EL, DeBuono BA. Benefits and hazards of reporting medical outcomes publicly. N Engl J Med. 1996;334:394-8. 3. Rosenthal GE, Harper DL. Cleveland Health Quality Choice: a model for collaborative community-based outcomes assessment. Jt Comm J Qual Improv. 1994;20:425-42. Twain: Differences of Opinion on the Worthiest of All Occupations To the Editor: I read with interest Dr. Ober's informative and entertaining paper (1). Although the medical practices of the 19th century, particularly as viewed through the acerbic wit of Mark Twain, appear crude and often dangerous, it seems inappropriate to state that "Nineteenth century medicine was as stagnant as it was toxic; therapeutic bloodletting had been championed in James' Medicinal Dictionary of 1743, and it was still being strongly advocated in 1892 by William Osier." In a broad sense, the therapeutics of the 19th century saw the discovery of emetine, chloral, pilocarpine, antipyrine, ephedrine, suprarenal extract, general anesthesia, antisepsis, and radiation therapy— hardly a stagnant period! Phlebotomy is currently used to treat polycythemia, hemochromatosis, and porphyria. William Osier's advocacy of venesection is somewhat overstated. Osier recognized the abuses of this technique when he wrote on pneumonia (2): In many cases the question comes up at the onset as to the propriety of venesection. The reproach of Van Helmont, that 'a bloody Moloch presides in the chairs of medicine,' cannot be brought against the present generation of physicians. During the first five decades of this century, the profession bled too much, but during the last decades we have certainly bled too little. In 1898, in his textbook, he quoted P.C.A. Louis's seminal attack on bloodletting in pneumonia but continued to advocate the practice (3). Interestingly, Osier, when offered James's Medicinal Dictionary by a bookseller in 1910, wrote that ".. .the James Dictionary I do not care for, the only important thing about it now is that Johnson wrote the Preface" (4). Although Samuel Johnson had a hand in the book, modern scholars do not agree that he wrote the preface. As Mark Twain said, "It were not best that we should all think alike; it is difference of opinion that makes horse races" (5). Richard L. Golden, MD State University of New York at Stony Brook School of Medicine Stony Brook, NY 11794 References 1. Ober KP. The pre-Flexnerian reports: Mark Twain's criticism of medicine in the United States. Ann Intern Med. 1997;126:152-6. 2. Osier W. The Principles and Practice of Medicine. New York: D. Appleton; 1892:530. 3. Osier W. The Principles and Practice of Medicine. 3rd ed. New York: D. Appleton; 1898:135. 4. Osier W. Typed letter signed to G. Gregory. Oxford: 25 July 1910. 5. Twain M. Pudd'nhead Wilson: a tale. In: Cardwell G, ed. Mississippi Writings. Library of America; 1982:1029. In response: I appreciate Dr. Golden's comments and have no serious disagreement with any of them. Some of Twain's statements about 19th century medicine were almost certainly exaggerations, and he would have been the first to admit that he was not above embellishing the facts to help make his point. However, other sources cited in my paper would tend to confirm that 19th century medicine for the average citizen was largely as Twain reported it. Medical advances did indeed occur in the 1800s, but stagnation also occurred in the sense that these improvements were not readily translated into benefit for the patient; instead, the old approaches continued to be favored. Twain was appalled that James's Medicinal Dictionary of 1743 was still used by physicians a century later (1): In 1861 this deadly book was still working the cemeteries . . . For three generations and a half it had been going quietly along, enriching the earth with its slain. Up to its last free day it was trusted and believed in and its devastating advice taken, as was shown by notes inserted between its leaves. The venesection issue is an interesting one. In 1890, Twain (1) championed the application of evidence-based medicine by berating "the celebrated Bonetus" for the report of 12 headache cases in the Medicinal Dictionary, all of whom died after being bled: 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 171 Without enlarging upon the matter, I merely note this coincidence—they all 'dy'd.' Not one of these people got well; yet this obtuse hyena sets down every little gory detail of the several assassinations as complacently as if he was doing a useful and meritorious work in perpetuating the methods of his crimes. In Osier's famous 1892 text (published 149 years after the Medicinal Dictionary and 2 years after Twain's suggestion that a 0 in 12 survival rate for bled patients was not a good clinical outcome), Osier himself did indeed suggest that venesection was underused in the last half of the century. He then proceeded to report on his own series of patients with pneumonia, which, by coincidence, was the same size as Bonetus's headache series (n = 12). Osier stated that "I urged free venesection, but in twelve hospital patients bled under these circumstances only one recovered" (2). Comparison of Bonetus's raw data with Osier's suggests that the outcomes for these two series were probably not statistically significantly different. As I mentioned in my paper, Twain was very pleased with the new scientific orientation of medicine in the late 19th century, and he agreed with Dr. Golden's assessment by stating that "in our day our physicians and surgeons work a thousand miracles— prodigies which would have ranked as miracles fifty years ago" (3). Finally, despite his criticisms, Twain continued to believe that "the physician's is the highest and worthiest of all occupations" (3). K. Patrick Ober, MD Bowman Gray School of Medicine of Wake Forest University Winston-Salem, NC 27157 References 1. Twain M. A majestic literary fossil. In: Neider C, ed. The Complete Humorous Sketches and Tales of Mark Twain. Garden City, NY: Doubleday; 1961:532-42. 2. Osier W. The Principles and Practice of Medicine: New York: D. Appleton; 1892:530. 3. Friedlander WJ. Mark Twain, social critic, and his image of the doctor. Ann Intern Med. 1972;77:1007-10. On Bedside Teaching To the Editor: I was delighted to read LaCombe's article on bedside teaching (1). As he points out, it is a sorry state of affairs that the use of bedside teaching at university hospitals has significantly decreased since the 1960s. This decrease, I think, results from the new imaging techniques that can make a diagnosis for us. This diagnostic testing often escalates the cost of medical care. A complete history followed by a thorough physical examination can help new physicians to order appropriate tests rather than a battery of expensive tests. This cannot be achieved unless physicians develop good bedside assessment skills. In the United States, many young teachers of medicine are products of this more laboratory-oriented teaching style and thus have fewer bedside clinical skills. There is no doubt that these teachers will have to sharpen their bedside clinical evaluation abilities before they can impart their skills and knowledge to the next generation of physicians. Many of the Board examinations in the different branches of medicine are basically written examinations. Very little of the examinations actually involves patient assessment at the bedside. In Canada, the Royal College of Physicians and Surgeons maintains an examination format that includes bedside assessment of the patient. I think it is high time that bedside evaluation be included in the different medical specialty examinations in the United States. If this is not done, students will have little incentive to sharpen their bedside skills, nor will the physicians who teach these skills. IIP. Patil, MB, BS, FRCP(C) Dalhousie University Halifax, Nova Scotia, Canada 172 15 July 1997 • Annals of Internal Medicine Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. To the Editor: I read with interest Dr. LaCombe's comments (1) on his perceptions of the increasing failure to teach the next generation of physicians medicine at the bedside. I would like to remind Dr. LaCombe that there remains one branch of medicine in which the value of the bedside examination remains firmly rooted, namely, neurology. The neurologic examination confirms or negates the initial impressions of lesion localization drawn from the elements of history. The nuances of the neurologic examination are not readily conveyed in textbooks and must be learned at the bedside. Every well-trained neurologist is mentored at the bedside. Although newer imaging techniques of the brain and spinal cord have revolutionized our approach to many disorders, they are no substitute for the careful neurologic examination. I am reminded of the words of the neurologist F.M.R. Walshe (2): "The more resources we have, and the more complex they are, the greater are the demands upon our clinical skill. These resources are calls upon judgment and not substitutes for it. Do not, therefore, scorn clinical examination; learn it sufficiently to get from it all it holds, and gain in it the confidence it merits." Joseph R. Berger, MD University of Kentucky Lexington, KY 40536 References 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. 2. Walshe FM. The changing and the unchanging face of medicine. Can Med Assoc J. 1952;67:395-7. To the Editor: As I read LaCombe's article on bedside teaching (1), I reflected that the changes in medical economics may resurrect "the good old days." We academic internists have never been busier and now need to continuously document our real impact on patient care. There is no better way to do this than to round daily with the housestaff, at which time they present new and follow-up patients—at the bedside. We learn and teach each other as we go while communicating at the bedside with patients and families on a daily basis. We encourage nurses to join us, and we always write our daily orders after the bedside presentation, assessment, and plan have been discussed. With the patients, their families, and the attending nurse there, the physician of record, who is also the teacher, learns and verifies the facts, communicates with the patients and families, and is present when the daily diagnostic and therapeutic orders are written. All this is done while the physician observes housestaff and students. I am now evaluating a similar format for residents' primary care clinics. When the residents are prepared to present within the time frame allotted, they put a green flag up outside their examining rooms. I enter for an "examining room presentation" that is similar to the inpatient bedside presentation. The same positive results occur in clinic as occur in the inpatient service. The attendings are able to move relatively rapidly from one room to the next while giving each patient a reasonable amount of personal attention and educating the resident. We believe we can run resident-based clinics with this operational design and still adhere to reasonable managed care characteristics. Clifford W. Zwillich, MD University of Colorado Health Sciences Center Denver, CO 80220 Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. To the Editor: Thank you for publishing "On Bedside Teaching" (1). LaCombe nicely distinguishes between principles, to which we allegedly adhere, and practice, which readily obscures patients and their informal care givers behind a morass of figures. According to McKnight and Rockwood (2) "house staff readily declaim weeks' worth of serial biochemistry but cannot tell when a patient last walked unaided." One advantage of • Volume 127 • Number 2 practicing and teaching geriatric medicine is that one can take the student to the most relevant bedside—the one in the patient's home. Colin Powell, MD, FRCP Dalhousie University Halifax, Nova Scotia, Canada References 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. 2. McKnight C, Rockwood K. A hierarchical assessment of balance and mobility. Age Aging. 1997;24:126-30. To the Editor: I would like to thank Dr. LaCombe for bringing us back to the basics (1). When I was at the University of California, San Francisco, I tried to do as much bedside teaching as possible but was frustrated by the disappearance of patients. Probably half of the patients I went to visit were off somewhere else, often in an imaging center awaiting a test. I sometimes took the entire housestaff team down with me to the radiology suite where, in less than adequate circumstances, we would at least get a history and do a preliminary physical examination. The current accelerated pace of diagnosis and treatment means that the early stages of the workup are done much more quickly than in the good old days. Making this fast pace more compatible with bedside teaching is not easy. I don't think that simply informing the nurses will suffice, especially because the attending physician may not be the one who is doing the bedside teaching. Stephen A. Schroeder, MD The Robert Wood Johnson Foundation Princeton, NJ 08543-2316 Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. To the Editor: I was touched by the recent article on bedside teaching (1). As a harried academic physician, I long to get back to basics and spend more time doing bedside teaching but have not been able to do so. The article correctly captured both the costs and rewards of effective bedside teaching. I thank the author for gently reminding all of us what we are missing. Elise A. Olsen, MD Duke University Medical Center Durham, NC 27710 Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. To the Editor: The article "On Bedside Teaching" (1) appeared at exactly the right time for me. I am teaching a course on physical diagnosis to a group of medical students at the University of Minnesota from March until May 1997. This represents a return to teaching for me after an absence of more than 20 years. As I recall, my own education included a great deal of hands-on teaching at the bedside. I was a little astonished and distressed to learn that this practice has become relatively uncommon. I hope that I can emulate the method and skills outlined in LaCombe's essay and appreciate the references to the literature on physical diagnosis. I do not think my skills have atrophied too seriously, at least not in disorders of the heart and lungs. They certainly can stand to be polished, however, especially if I am going to be showing them off in public. Thomas F. Mulrooney, MD Minnesota Lung Center Minneapolis, MN 55407 task somewhat daunting and frightening; I have never performed bedside teaching before, an embarrassing admission indeed. However, I believe it will be a rewarding experience. It is my hope that my residents and students and I will become better diagnosticians. As has been noted so frequently, the art of physical diagnosis is vanishing. I recently reviewed an article for the, American Journal of Medicine in which the authors found that cardiologists are not significantly better at diagnosing certain cardiac murmurs than general internists or family practitioners. Furthermore, it seems abundantly clear that a physician's physical diagnosis abilities do not improve much after the third year of medical school. I find these facts quite shameful. I believe that everyone will profit by taking rounds back to the bedside. David M. Ennis, MD Birmingham Baptist Medical Center Birmingham, AL 35213-1944 Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. In response: Dr. Patil illustrates the common belief among academicians that "no one does bedside teaching but us." In truth, the opening vignette in my essay, which begins "Some time ago, when visiting a great university medical center..." and which ends with the housestafiPs incredulous wonderment at what bedside teaching really was, actually occurred at Dr. Patil's institution, Dalhousie University in Nova Scotia, when I was the T.J. Murray Visiting Scholar in Medicine in 1994. Dr. Berger illustrates another common misconception, the belief that "our specialty relies upon physical diagnosis as does no other." I would have to say, after 20 years in practice, that neurologists too have lost their edge where physical diagnosis is concerned. I think that all practicing internists would agree with me that when we ask for a neurology consultation, the first question asked of us by the neurologist is, "what did the CAT scan show?" Drs. Zwillich and Powell point out that bedside teaching can occur in the outpatient clinic and at the patient's home, something we must not forget. Dr. Schroeder's point is well taken and deserves emphasis. To make certain that the patient will be there when one returns to the bedside with the entourage takes considerable planning beforehand. Finally, and perhaps most important, the comments by Drs. Olsen, Mulrooney, and Ennis illustrate the concerns of academicians everywhere who wish to return to bedside teaching. The pressures on academic physicians to see more patients and make more money for the department erode the teaching of students in general, the art of bedside teaching, and physician diagnosis particularly. That is a secret to no one. The trepidation expressed by Drs. Ennis and Mulrooney is common. Here is a trick for the anxious bedside teacher: The night before your bedside rounds, open Sapira (1) or DeGowin (2) and read all you can about the physical findings you have already seen and know you can recognize. Ignore the findings you have never seen. Reading about them will not help you there. But knowing the significance and historical basis of Queen Anne's sign, for example, will give you some confidence, and something to say, even if you begin with only, "Well, she doesn't have Queen Anne's sign." Michael A. LaCombe, MD Bridgton, ME 04009 Reference 1. LaCombe MA. On bedside teaching. Ann Intern Med. 1997;126:217-20. To the Editor: After reading "On Bedside Teaching" (1), I was inspired to begin doing bedside teaching, especially because I am currently attending on the General Medical Service. I find the References 1. Sapira JD. The Art and Science of Bedside Diagnosis. Baltimore: Williams & Wilkins; 1990. 2. DeGowin EL, DeGowin RL, Jochimsen PR, Theilen RO. DeGowin & DeGowin's Bedside Diagnostic Examination. 5th ed. New York: McGraw-Hill; 1993. 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2 173 Doing the Little Things To the Editor: As a former chief resident at a university medical center, I had a sense of nostalgia when reading Rinder's essay, "Doing the Little Things" (1). Maintaining a laboratory for the housestaff and students to use was a pleasure and brought home the importance of both sample collection and the clinical laboratory in the treatment of patients. In our case, the housestaff laboratory had to be shut down because it did not have the "quality control" systems demanded by the Joint Commission on Accreditation of Hospitals (JCAH), even though the tests were being done in parallel by the main laboratory. Ironically, one of the best teaching methods was eliminated in order to improve the hospital. The laboratory personnel were not too keen on the housestaff coming down to their crowded workstations to do Gram stains or look at the CBCs the laboratory prepared! Personally, I miss showing up for morning report with purplestained fingers. Howard Homier, MD University of California, Davis, School of Medicine Davis, CA 95616 Reference 1. Kinder MR. Doing the little things. Ann Intern Med. 1997; 126:247. In response: Homler's sentiments are consistent with those of many other respondents who have contacted me in the past several months. Most respondents echo Homler's comments that the housestaff laboratory provided a sense of accomplishment while teaching students and housestaff the importance of interpreting test results. However, whereas Homier states that JCAH issues have shut down his and other satellite laboratories, most correspondents have indicated added frustration with housestaff attitudes toward just examining specimens collected by others. It is unclear whether this lack of motivation is a result of the access problem, a failure of academic faculty to teach specimen examination, or simply a change in the way housestaff view their role as care providers. I truly believe that motivated students and house officers will find ways to examine specimens and persuade administrative types to provide facilities for these activities. Morton R. Rinder, MD Washington University School of Medicine St. Louis, MO 63110 Physician-Assisted Suicide To the Editor: As pointed out by Drickamer and colleagues (1), physician-assisted suicide is changing the physician-patient relationship. It is clear that physicians as a group are divided in their willingness to assist suicide: Of 938 physicians in Washington, 40% were willing to help a patient to commit suicide but 39% held that assisted suicide is never ethically justified (2). With the reports from the Netherlands that involuntary euthanasia has followed the legalization of voluntary euthanasia (3), concern will increase among patients about what would happen to them if they became too ill to participate in end-of-life decisions. Physi- 174 cians are unlikely to discuss their ethical views with patients, but patients will increasingly want to know their physician's stand on euthanasia and assisted suicide. One way to address this issue is for physicians to document their stand on euthanasia and assisted suicide and have this position accessible for public review. A group of seven physicians from six states has set up an Internet registry of physicians who do not practice assisted suicide or euthanasia (http://www.wp .com/JMV/Anti-Euthanasia). Members of the public have free access to this registry, and physicians can have their names included when they log onto the site. Patrick Pullicino, MD, PhD Buffalo General Hospital Buffalo, NY 14203 References 1. Drickamer MA, Lee MA, Ganzini L. Practical issues in physicianassisted suicide. Ann Intern Med. 1997;126:146-51. 2. Cohen JS, Fihn SD, Boyko EJ, Jonsen AR, Wood RW. Attitudes toward assisted suicide and euthanasia among physicians in Washington State. N Engl J Med. 1994;331:89-94. 3. Van der Maas PJ, van der Wal G, Haverkate I, de Graaf CL, Kester JG, Onwuteaka-Philipsen BD, et al. Euthanasia, physician-assisted suicide, and other medical practices involving the end of life in the Netherlands, 1990-1995. N Engl J Med. 1996;335:1699-705. In response: Voluntary euthanasia has not been legalized in the Netherlands, although guidelines of acceptable practice and a reporting system were established in 1991 (1). Contrary to Dr. Pullicino's statements, evidence suggests that since the establishment of the guidelines and reporting system in the Netherlands, the number of cases of involuntary euthanasia found on survey has actually decreased (1). We are not sure whether Dr. Pullicino's assertion that physicians are unlikely to discuss their ethical views with patients is correct. One of the positive outcomes of the publicity focused on the physician-assisted suicide issue seems to be an increase in dialogue about all end-of-life issues (2), which we find heartening. A World Wide Web site is a good source of public information, but physician-patient communication is best done faceto-face. The timing and manner in which the physician's position on assisted suicide is revealed are best determined within the context of each individual physician-patient relationship. When a patient does inquire about assisted suicide, we hope that the physician will take that opportunity to explore the underlying reasons for that patient's request. Margaret A. Drickamer, MD West Haven Veterans Affairs Medical Center West Haven, CT 06516 Melinda A. Lee, MD Linda Ganzini, MD Portland Veterans Affairs Medical Center Portland, OR 97207 References 1. Van der Maas PJ, van der Wal G, Haverkate I, de Graaf CL, Kester JG, Onwuteaka-Philipsen RD, et al. Euthanasia, physician-assisted suicide, and other medical practices involving the end of life in the Netherlands, 1990-1995. N Engl J Med. 1996;335:1699-705. 2. Lee MA, Ganzini L, Brummel-Smith K. When patients ask about assisted suicide: a viewpoint from Oregon. West J Med. 1996;16:205-8. 15 July 1997 • Annals of Internal Medicine • Volume 127 • Number 2