45 results on '"Gravenor, Mike B."'
Search Results
2. Repeated Challenge with Prion Disease: The Risk of Infection and Impact on Incubation Period
- Author
-
Gravenor, Mike B., Stallard, Nigel, Curnow, Robert, and McLean, Angela R.
- Published
- 2003
3. The Flock-to-Flock Force of Infection for Scrapie in Britain
- Author
-
Gravenor, Mike B., Cox, D. R., Hoinville, Linda J., Hoek, Alies, and McLean, Angela R.
- Published
- 2001
4. Scrapie Transmission in Britain: A Recipe for a Mathematical Model
- Author
-
McLean, Angela R., Hoek, Alies, Hoinville, Linda J., and Gravenor, Mike B.
- Published
- 1999
5. impact of dementia, frailty and care home characteristics on SARS-CoV-2 incidence in a national cohort of Welsh care home residents during a period of high community prevalence.
- Author
-
Emmerson, Chris, Hollinghurst, Joseph, North, Laura, Fry, Richard, Akbari, Ashley, Humphreys, Ciarán, Gravenor, Mike B, and Lyons, Ronan A
- Subjects
FRAIL elderly ,COVID-19 ,CONFIDENCE intervals ,ANALYSIS of variance ,HOME care services ,CROSS-sectional method ,AGE distribution ,RETROSPECTIVE studies ,RISK assessment ,DEMENTIA ,LOGISTIC regression analysis ,RESIDENTIAL patterns ,ODDS ratio ,WELSH people - Abstract
Background dementia may increase care home residents' risk of COVID-19, but there is a lack of evidence on this effect and on interactions with individual and care home-level factors. Methods we created a national cross-sectional retrospective cohort of care home residents in Wales for 1 September to 31 December 2020. Risk factors were analysed using multi-level logistic regression to model the likelihood of SARS-CoV-2 infection and mortality. Results the cohort included 9,571 individuals in 673 homes. Dementia was diagnosed in 5,647 individuals (59%); 1,488 (15.5%) individuals tested positive for SARS-CoV-2. We estimated the effects of age, dementia, frailty, care home size, proportion of residents with dementia, nursing and dementia services, communal space and region. The final model included the proportion of residents with dementia (OR for positive test 4.54 (95% CIs 1.55–13.27) where 75% of residents had dementia compared to no residents with dementia) and frailty (OR 1.29 (95% CIs 1.05–1.59) for severe frailty compared with no frailty). Analysis suggested 76% of the variation was due to setting rather than individual factors. Additional analysis suggested severe frailty and proportion of residents with dementia was associated with all-cause mortality, as was dementia diagnosis. Mortality analyses were challenging to interpret. Discussion whilst individual frailty increased the risk of COVID-19 infection, dementia was a risk factor at care home but not individual level. These findings suggest whole-setting interventions, particularly in homes with high proportions of residents with dementia and including those with low/no individual risk factors may reduce the impact of COVID-19. [ABSTRACT FROM AUTHOR]
- Published
- 2022
- Full Text
- View/download PDF
6. SARS-CoV-2 infection risk among 77,587 healthcare workers: a national observational longitudinal cohort study in Wales, United Kingdom, April to November 2020.
- Author
-
Hollinghurst, Joe, North, Laura, Szakmany, Tamas, Pugh, Richard, Davies, Gwyneth A, Sivakumaran, Shanya, Jarvis, Rebecca, Rolles, Martin, Pickrell, W Owen, Akbari, Ashley, Davies, Gareth, Griffiths, Rowena, Lyons, Jane, Torabi, Fatemeh, Fry, Richard, Gravenor, Mike B, and Lyons, Ronan A
- Abstract
Objectives: To better understand the risk of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) infection among healthcare workers, leading to recommendations for the prioritisation of personal protective equipment, testing, training and vaccination. Design: Observational, longitudinal, national cohort study. Setting: Our cohort were secondary care (hospital-based) healthcare workers employed by NHS Wales (United Kingdom) organisations from 1 April 2020 to 30 November 2020. Participants: We included 577,756 monthly observations among 77,587 healthcare workers. Using linked anonymised datasets, participants were grouped into 20 staff roles. Additionally, each role was deemed either patient-facing, non-patient-facing or undetermined. This was linked to individual demographic details and dates of positive SARS-CoV-2 PCR tests. Main outcome measures: We used univariable and multivariable logistic regression models to determine odds ratios (ORs) for the risk of a positive SARS-CoV-2 PCR test. Results: Patient-facing healthcare workers were at the highest risk of SARS-CoV-2 infection with an adjusted OR (95% confidence interval [CI]) of 2.28 (95% CI 2.10–2.47). We found that after adjustment, foundation year doctors (OR 1.83 [95% CI 1.47–2.27]), healthcare support workers [OR 1.36 [95% CI 1.20–1.54]) and hospital nurses (OR 1.27 [95% CI 1.12–1.44]) were at the highest risk of infection among all staff groups. Younger healthcare workers and those living in more deprived areas were at a higher risk of infection. We also observed that infection rates varied over time and by organisation. Conclusions: These findings have important policy implications for the prioritisation of vaccination, testing, training and personal protective equipment provision for patient-facing roles and the higher risk staff groups. [ABSTRACT FROM AUTHOR]
- Published
- 2022
- Full Text
- View/download PDF
7. Breeding Periodicity for Male Sea Turtles, Operational Sex Ratios, and Implications in the Face of Climate Change
- Author
-
HAYS, GRAEME C., FOSSETTE, SABRINA, KATSELIDIS, KOSTAS A., SCHOFIELD, GAIL, and GRAVENOR, MIKE B.
- Published
- 2010
8. Intensity of COVID-19 in care homes following hospital discharge in the early stages of the UK epidemic.
- Author
-
Hollinghurst, Joe, North, Laura, Emmerson, Chris, Akbari, Ashley, Torabi, Fatemeh, Williams, Chris, Lyons, Ronan A, Hawkes, Alan G, Bennett, Ed, Gravenor, Mike B, and Fry, Richard
- Subjects
COVID-19 ,CONFIDENCE intervals ,NURSING ,MULTIPLE regression analysis ,HEALTH facility administration ,NURSING care facilities ,RISK assessment ,INFECTIOUS disease transmission ,DESCRIPTIVE statistics ,ODDS ratio ,COVID-19 pandemic ,DISCHARGE planning ,DISEASE risk factors - Abstract
Background defining features of the COVID-19 pandemic in many countries were the tragic extent to which care home residents were affected and the difficulty in preventing the introduction and subsequent spread of infection. Management of risk in care homes requires good evidence on the most important transmission pathways. One hypothesised route at the start of the pandemic, prior to widespread testing, was the transfer of patients from hospitals that were experiencing high levels of nosocomial events. Methods we tested the hypothesis that hospital discharge events increased the intensity of care home cases using a national individually linked health record cohort in Wales, UK. We monitored 186,772 hospital discharge events over the period from March to July 2020, tracking individuals to 923 care homes and recording the daily case rate in the homes populated by 15,772 residents. We estimated the risk of an increase in case rates following exposure to a hospital discharge using multi-level hierarchical logistic regression and a novel stochastic Hawkes process outbreak model. Findings in regression analysis, after adjusting for care home size, we found no significant association between hospital discharge and subsequent increases in care home case numbers (odds ratio: 0.99, 95% CI: 0.82, 1.90). Risk factors for increased cases included care home size, care home resident density and provision of nursing care. Using our outbreak model, we found a significant effect of hospital discharge on the subsequent intensity of cases. However, the effect was small and considerably less than the effect of care home size, suggesting the highest risk of introduction came from interaction with the community. We estimated that approximately 1.8% of hospital discharged patients may have been infected. Interpretation there is growing evidence in the UK that the risk of transfer of COVID-19 from the high-risk hospital setting to the high-risk care home setting during the early stages of the pandemic was relatively small. Although access to testing was limited to initial symptomatic cases in each care home at this time, our results suggest that reduced numbers of discharges, selection of patients and action taken within care homes following transfer all may have contributed to the mitigation. The precise key transmission routes from the community remain to be quantified. [ABSTRACT FROM AUTHOR]
- Published
- 2022
- Full Text
- View/download PDF
9. COVID-19 infection risk amongst 14,104 vaccinated care home residents: a national observational longitudinal cohort study in Wales, UK, December 2020–March 2021.
- Author
-
Hollinghurst, Joe, North, Laura, Perry, Malorie, Akbari, Ashley, Gravenor, Mike B, Lyons, Ronan A, and Fry, Richard
- Subjects
COVID-19 ,IMMUNIZATION ,SCIENTIFIC observation ,CONFIDENCE intervals ,FRAIL elderly ,COVID-19 vaccines ,RISK assessment ,DESCRIPTIVE statistics ,ELECTRONIC health records ,POLYMERASE chain reaction ,LONGITUDINAL method ,PROPORTIONAL hazards models - Abstract
Background vaccinations for COVID-19 have been prioritised for older people living in care homes. However, vaccination trials included limited numbers of older people. Aim we aimed to study infection rates of SARS-CoV-2 for older care home residents following vaccination and identify factors associated with increased risk of infection. Study Design and Setting we conducted an observational data-linkage study including 14,104 vaccinated older care home residents in Wales (UK) using anonymised electronic health records and administrative data. Methods we used Cox proportional hazards models to estimate hazard ratios (HRs) for the risk of testing positive for SARS-CoV-2 infection following vaccination, after landmark times of either 7 or 21 days post-vaccination. We adjusted HRs for age, sex, frailty, prior SARS-CoV-2 infections and vaccination type. Results we observed a small proportion of care home residents with positive polymerase chain reaction (tests following vaccination 1.05% (N = 148), with 90% of infections occurring within 28 days. For the 7-day landmark analysis we found a reduced risk of SARS-CoV-2 infection for vaccinated individuals who had a previous infection; HR (95% confidence interval) 0.54 (0.30, 0.95). For the 21-day landmark analysis, we observed high HRs for individuals with low and intermediate frailty compared with those without; 4.59 (1.23, 17.12) and 4.85 (1.68, 14.04), respectively. Conclusions increased risk of infection after 21 days was associated with frailty. We found most infections occurred within 28 days of vaccination, suggesting extra precautions to reduce transmission risk should be taken in this time frame. [ABSTRACT FROM AUTHOR]
- Published
- 2022
- Full Text
- View/download PDF
10. Long-term changes in abundance and distribution of microzooplankton in the NE Atlantic and North Sea
- Author
-
Hinder, Stephanie L., Manning, Jane E., Gravenor, Mike B., Edwards, Martin, Walne, Anthony W., Burkill, Peter H., and Hays, Graeme C.
- Published
- 2012
- Full Text
- View/download PDF
11. Major flares as a diagnostic and prognostic measure when assessing ankylosing spondylitis severity
- Author
-
Brophy, Sinead, Gravenor, Mike B, and Siebert, Stefan
- Published
- 2010
- Full Text
- View/download PDF
12. Frequency and characteristics of disease flares in ankylosing spondylitis
- Author
-
Cooksey, Roxanne, Brophy, Sinead, Gravenor, Mike B., Brooks, Caroline J., Burrows, Claire L., and Siebert, Stefan
- Published
- 2010
- Full Text
- View/download PDF
13. Estimation of Mutation Rates
- Author
-
Gravenor, Mike B. and Saunders, Nigel J.
- Published
- 2004
14. Genetic haplotypes of Th-2 immune signalling link allergy to enhanced protection to parasitic worms
- Author
-
Moller, Maria, Gravenor, Mike B., Roberts, Stephen E., Sun, Dejan, Gao, Peisong, and Hopkin, Julian M.
- Published
- 2007
15. Encephalopathies: Scrapie in Britain during the BSE years
- Author
-
Gravenor, Mike B., Cox, D. R., Hoinville, Linda J., Hoek, Alies, and McLean, Angela R.
- Published
- 2000
16. Risk factors for outbreaks of COVID‐19 in care homes following hospital discharge: A national cohort analysis.
- Author
-
Emmerson, Chris, Adamson, James P., Turner, Drew, Gravenor, Mike B., Salmon, Jane, Cottrell, Simon, Middleton, Victoria, Thomas, Buffy, Mason, Brendan W., and Williams, Chris J.
- Subjects
COVID-19 pandemic ,HOSPITAL admission & discharge ,PUBLIC hospitals ,ADULT care facilities ,COHORT analysis ,ADULT day care - Abstract
Background: The population of adult residential care homes has been shown to have high morbidity and mortality in relation to COVID‐19. Methods: We examined 3115 hospital discharges to a national cohort of 1068 adult care homes and subsequent outbreaks of COVID‐19 occurring between 22 February and 27 June 2020. A Cox proportional hazards regression model was used to assess the impact of time‐dependent exposure to hospital discharge on incidence of the first known outbreak, over a window of 7‐21 days after discharge, and adjusted for care home characteristics, including size and type of provision. Results: A total of 330 homes experienced an outbreak, and 544 homes received a discharge over the study period. Exposure to hospital discharge was not associated with a significant increase in the risk of a new outbreak (hazard ratio 1.15, 95% CI 0.89, 1.47, P =.29) after adjusting for care home characteristics. Care home size was the most significant predictor. Hazard ratios (95% CI) in comparison with homes of <10 residents were as follows: 3.40 (1.99, 5.80) for 10‐24 residents; 8.25 (4.93, 13.81) for 25‐49 residents; and 17.35 (9.65, 31.19) for 50+ residents. When stratified for care home size, the outbreak rates were similar for periods when homes were exposed to a hospital discharge, in comparison with periods when homes were unexposed. Conclusion: Our analyses showed that large homes were at considerably greater risk of outbreaks throughout the epidemic, and after adjusting for care home size, a discharge from hospital was not associated with a significant increase in risk. [ABSTRACT FROM AUTHOR]
- Published
- 2021
- Full Text
- View/download PDF
17. Toxic marine microalgae and shellfish poisoning in the British isles: history, review of epidemiology, and future implications
- Author
-
Davies Angharad P, Brooks Caroline J, Hays Graeme C, Hinder Stephanie L, Edwards Martin, Walne Anthony W, and Gravenor Mike B
- Subjects
Industrial medicine. Industrial hygiene ,RC963-969 ,Public aspects of medicine ,RA1-1270 - Abstract
Abstract The relationship between toxic marine microalgae species and climate change has become a high profile and well discussed topic in recent years, with research focusing on the possible future impacts of changing hydrological conditions on Harmful Algal Bloom (HAB) species around the world. However, there is very little literature concerning the epidemiology of these species on marine organisms and human health. Here, we examine the current state of toxic microalgae species around the UK, in two ways: first we describe the key toxic syndromes and gather together the disparate reported data on their epidemiology from UK records and monitoring procedures. Secondly, using NHS hospital admissions and GP records from Wales, we attempt to quantify the incidence of shellfish poisoning from an independent source. We show that within the UK, outbreaks of shellfish poisoning are rare but occurring on a yearly basis in different regions and affecting a diverse range of molluscan shellfish and other marine organisms. We also show that the abundance of a species does not necessarily correlate to the rate of toxic events. Based on routine hospital records, the numbers of shellfish poisonings in the UK are very low, but the identification of the toxin involved, or even a confirmation of a poisoning event is extremely difficult to diagnose. An effective shellfish monitoring system, which shuts down aquaculture sites when toxins exceed regularity limits, has clearly prevented serious impact to human health, and remains the only viable means of monitoring the potential threat to human health. However, the closure of these sites has an adverse economic impact, and the monitoring system does not include all toxic plankton. The possible geographic spreading of toxic microalgae species is therefore a concern, as warmer waters in the Atlantic could suit several species with southern biogeographical affinities enabling them to occupy the coastal regions of the UK, but which are not yet monitored or considered to be detrimental.
- Published
- 2011
- Full Text
- View/download PDF
18. Protocol for a population-based Ankylosing Spondylitis (PAS) cohort in Wales
- Author
-
Atkinson Mark D, Brophy Sinead, Siebert Stefan, Gravenor Mike B, Phillips Ceri, Ford David V, Jones Kerina H, and Lyons Ronan A
- Subjects
Diseases of the musculoskeletal system ,RC925-935 - Abstract
Abstract Background To develop a population-based cohort of people with ankylosing spondylitis (AS) in Wales using (1) secondary care clinical datasets, (2) patient-derived questionnaire data and (3) routinely-collected information in order to examine disease history and the health economic cost of AS. Methods This data model will include and link (1) secondary care clinician datasets (i.e. electronic patient notes from the rheumatologist) (2) patient completed questionnaires (giving information on disease activity, medication, function, quality of life, work limitations and health service utilisation) and (3) a broad range of routinely collected data (including; GP records, in-patient hospital admission data, emergency department data, laboratory/pathology data and social services databases). The protocol involves the use of a unique and powerful data linkage system which allows datasets to be interlinked and to complement each other. Discussion This cohort can integrate patient supplied, primary and secondary care data into a unified data model. This can be used to study a range of issues such as; the true economic costs to the health care system and the patient, factors associated with the development of severe disease, long term adverse events of new and existing medication and to understand the disease history of this condition. It will benefit patients, clinicians and health care managers. This study forms a pilot project for the use of routine data/patient data linked cohorts for other chronic conditions.
- Published
- 2010
- Full Text
- View/download PDF
19. BSE – a wolf in sheep's clothing?
- Author
-
Baylis, Matthew, Houston, Fiona, Kao, Rowland R., McLean, Angela R., Hunter, Nora, and Gravenor, Mike B.
- Published
- 2002
- Full Text
- View/download PDF
20. Early Discontinuation of P2Y12 Antagonists and Adverse Clinical Events Post-Percutaneous Coronary Intervention: A Hospital and Primary Care Linked Cohort.
- Author
-
Harris, Daniel E., Lacey, Arron, Akbari, Ashley, Obaid, Daniel R., Smith, Dave A., Jenkins, Geraint H., Barry, James P., Gravenor, Mike B., and Halcox, Julian P.
- Published
- 2019
- Full Text
- View/download PDF
21. EARLY DISCONTINUATION OF P2Y12 ANTAGONISTS AND ADVERSE CLINICAL OUTCOMES POST PERCUTANEOUS CORONARY INTERVENTION
- Author
-
Harris, Daniel, Lacey, Arron, Akbari, Ashley, Gravenor, Mike B., and Halcox, Julian
- Published
- 2018
- Full Text
- View/download PDF
22. Classification of accelerometer wear and non-wear events in seconds for monitoring free-living physical activity.
- Author
-
Shang-Ming Zhou, Hill, Rebecca A., Morgan, Kelly, Stratton, Gareth, Gravenor, Mike B., Bijlsma, Gunnar, and Brophy, Sinead
- Abstract
Objective: To classify wear and non-wear time of accelerometer data for accurately quantifying physical activity in public health or population level research. Design: A bi-moving-window-based approach was used to combine acceleration and skin temperature data to identify wear and non-wear time events in triaxial accelerometer data that monitor physical activity. Setting: Local residents in Swansea, Wales, UK. Participants: 50 participants aged under 16 years (n=23) and over 17 years (n=27) were recruited in two phases: phase 1: design of the wear/non-wear algorithm (n=20) and phase 2: validation of the algorithm (n=30). Methods: Participants wore a triaxial accelerometer (GeneActiv) against the skin surface on the wrist (adults) or ankle (children). Participants kept a diary to record the timings of wear and non-wear and were asked to ensure that events of wear/non-wear last for a minimum of 15 min. Results: The overall sensitivity of the proposed method was 0.94 (95% CI 0.90 to 0.98) and specificity 0.91 (95% CI 0.88 to 0.94). It performed equally well for children compared with adults, and females compared with males. Using surface skin temperature data in combination with acceleration data significantly improved the classification of wear/non-wear time when compared with methods that used acceleration data only ( p<0.01). Conclusions: Using either accelerometer seismic information or temperature information alone is prone to considerable error. Combining both sources of data can give accurate estimates of non-wear periods thus giving better classification of sedentary behaviour. This method can be used in population studies of physical activity in free-living environments. [ABSTRACT FROM AUTHOR]
- Published
- 2015
- Full Text
- View/download PDF
23. Local Modelling Techniques for Assessing Micro-Level Impacts of Risk Factors in Complex Data: Understanding Health and Socioeconomic Inequalities in Childhood Educational Attainments.
- Author
-
Zhou, Shang-Ming, Lyons, Ronan A., Bodger, Owen G., John, Ann, Brunt, Huw, Jones, Kerina, Gravenor, Mike B., and Brophy, Sinead
- Subjects
DATA analysis ,PUBLIC health ,SOCIOECONOMIC factors ,EQUALITY ,MEDICAL statistics ,HUMAN geography - Abstract
Although inequalities in health and socioeconomic status have an important influence on childhood educational performance, the interactions between these multiple factors relating to variation in educational outcomes at micro-level is unknown, and how to evaluate the many possible interactions of these factors is not well established. This paper aims to examine multi-dimensional deprivation factors and their impact on childhood educational outcomes at micro-level, focusing on geographic areas having widely different disparity patterns, in which each area is characterised by six deprivation domains (Income, Health, Geographical Access to Services, Housing, Physical Environment, and Community Safety). Traditional health statistical studies tend to use one global model to describe the whole population for macro-analysis. In this paper, we combine linked educational and deprivation data across small areas (median population of 1500), then use a local modelling technique, the Takagi-Sugeno fuzzy system, to predict area educational outcomes at ages 7 and 11. We define two new metrics, “Micro-impact of Domain” and “Contribution of Domain”, to quantify the variations of local impacts of multidimensional factors on educational outcomes across small areas. The two metrics highlight differing priorities. Our study reveals complex multi-way interactions between the deprivation domains, which could not be provided by traditional health statistical methods based on single global model. We demonstrate that although Income has an expected central role, all domains contribute, and in some areas Health, Environment, Access to Services, Housing and Community Safety each could be the dominant factor. Thus the relative importance of health and socioeconomic factors varies considerably for different areas, depending on the levels of each of the other factors, and therefore each component of deprivation must be considered as part of a wider system. Childhood educational achievement could benefit from policies and intervention strategies that are tailored to the local geographic areas' profiles. [ABSTRACT FROM AUTHOR]
- Published
- 2014
- Full Text
- View/download PDF
24. Multi-decadal range changes vs. thermal adaptation for north east Atlantic oceanic copepods in the face of climate change.
- Author
-
Hinder, Stephanie L., Gravenor, Mike B., Edwards, Martin, Ostle, Clare, Bodger, Owen G., Lee, Patricia L. M., Walne, Antony W., and Hays, Graeme C.
- Subjects
- *
ECOLOGY of copepoda , *CLIMATE change , *ANIMAL population density , *BIOLOGICAL adaptation - Abstract
Populations may potentially respond to climate change in various ways including moving to new areas or alternatively staying where they are and adapting as conditions shift. Traditional laboratory and mesocosm experiments last days to weeks and thus only give a limited picture of thermal adaptation, whereas ocean warming occurring over decades allows the potential for selection of new strains better adapted to warmer conditions. Evidence for adaptation in natural systems is equivocal. We used a 50-year time series comprising of 117 056 samples in the NE Atlantic, to quantify the abundance and distribution of two particularly important and abundant members of the ocean plankton (copepods of the genus Calanus) that play a key trophic role for fisheries. Abundance of C. finmarchicus, a cold-water species, and C. helgolandicus, a warm-water species, were negatively and positively related to sea surface temperature ( SST) respectively. However, the abundance vs. SST relationships for neither species changed over time in a manner consistent with thermal adaptation. Accompanying the lack of evidence for thermal adaptation there has been an unabated range contraction for C. finmarchicus and range expansion for C. helgolandicus. Our evidence suggests that thermal adaptation has not mitigated the impacts of ocean warming for dramatic range changes of these key species and points to continued dramatic climate induced changes in the biology of the oceans. [ABSTRACT FROM AUTHOR]
- Published
- 2014
- Full Text
- View/download PDF
25. Constructing Compact Takagi-Sugeno Rule Systems: Identification of Complex Interactions in Epidemiological Data.
- Author
-
Zhou, Shang-Ming, Lyons, Ronan A., Brophy, Sinead, and Gravenor, Mike B.
- Subjects
DATA mining ,EPIDEMIOLOGY ,BIOINFORMATICS ,PARSIMONIOUS models ,INFORMATION science - Abstract
The Takagi-Sugeno (TS) fuzzy rule system is a widely used data mining technique, and is of particular use in the identification of non-linear interactions between variables. However the number of rules increases dramatically when applied to high dimensional data sets (the curse of dimensionality). Few robust methods are available to identify important rules while removing redundant ones, and this results in limited applicability in fields such as epidemiology or bioinformatics where the interaction of many variables must be considered. Here, we develop a new parsimonious TS rule system. We propose three statistics: R, L, and v-values, to rank the importance of each TS rule, and a forward selection procedure to construct a final model. We use our method to predict how key components of childhood deprivation combine to influence educational achievement outcome. We show that a parsimonious TS model can be constructed, based on a small subset of rules, that provides an accurate description of the relationship between deprivation indices and educational outcomes. The selected rules shed light on the synergistic relationships between the variables, and reveal that the effect of targeting specific domains of deprivation is crucially dependent on the state of the other domains. Policy decisions need to incorporate these interactions, and deprivation indices should not be considered in isolation. The TS rule system provides a basis for such decision making, and has wide applicability for the identification of non-linear interactions in complex biomedical data. [ABSTRACT FROM AUTHOR]
- Published
- 2012
- Full Text
- View/download PDF
26. Cholera Outbreak in Senegal in 2005: Was Climate a Factor?
- Author
-
de Magny, Guillaume Constantin, Thiaw, Wassila, Kumar, Vadlamani, Manga, Noël M., Diop, Bernard M., Gueye, Lamine, Kamara, Mamina, Roche, Benjamin, Murtugudde, Raghu, Colwell, Rita R., and Gravenor, Mike B.
- Subjects
CHOLERA ,DISEASE outbreaks ,DIARRHEA ,RAINFALL ,OCEAN temperature ,WATERBORNE infection - Abstract
Cholera is an acute diarrheal illness caused by Vibrio cholerae and occurs as widespread epidemics in Africa. In 2005, there were 31,719 cholera cases, with 458 deaths in the Republic of Senegal. We retrospectively investigated the climate origin of the devastating floods in mid-August 2005, in the Dakar Region of Senegal and the subsequent outbreak of cholera along with the pattern of cholera outbreaks in three other regions of that country. We compared rainfall patterns between 2002 and 2005 and the relationship between the sea surface temperature (SST) gradient in the tropical Atlantic Ocean and precipitation over Senegal for 2005. Results showed a specific pattern of rainfall throughout the Dakar region during August, 2005, and the associated rainfall anomaly coincided with an exacerbation of the cholera epidemic. Comparison of rainfall and epidemiological patterns revealed that the temporal dynamics of precipitation, which was abrupt and heavy, was presumably the determining factor. Analysis of the SST gradient showed that the Atlantic Ocean SST variability in 2005 differed from that of 2002 to 2004, a result of a prominent Atlantic meridional mode. The influence of this intense precipitation on cholera transmission over a densely populated and crowded region was detectable for both Dakar and Thiès, Senegal. Thus, high resolution rainfall forecasts at subseasonal time scales should provide a way forward for an early warning system in Africa for cholera and, thereby, trigger epidemic preparedness. Clearly, attention must be paid to both natural and human induced environmental factors to devise appropriate action to prevent cholera and other waterborne disease epidemics in the region. [ABSTRACT FROM AUTHOR]
- Published
- 2012
- Full Text
- View/download PDF
27. Graduate Entry Medicine: Selection Criteria and Student Performance.
- Author
-
Bodger, Owen, Byrne, Aidan, Evans, Philip A., Rees, Sarah, Jones, Gwen, Cowell, Claire, Gravenor, Mike B., and Williams, Rhys
- Subjects
MEDICAL students ,ACADEMIC achievement ,FACTOR analysis ,MEDICAL education ,MEDICAL teaching personnel - Abstract
Background: Graduate entry medicine raises new questions about the suitability of students with different backgrounds. We examine this, and the broader issue of effectiveness of selection and assessment procedures. Methods: The data included background characteristics, academic record, interview score and performance in pre-clinical modular assessment for two years intake of graduate entry medical students. Exploratory factor analysis is a powerful method for reducing a large number of measures to a smaller group of underlying factors. It was used here to identify patterns within and between the selection and performance data. Principal Findings: Basic background characteristics were of little importance in predicting exam success. However, easily interpreted components were detected within variables comprising the 'selection' and 'assessment' criteria. Three selection components were identified ('Academic', 'GAMSAT', 'Interview') and four assessment components ('General Exam', 'Oncology', 'OSCE', 'Family Case Study'). There was a striking lack of relationships between most selection and performance factors. Only 'General Exam' and 'Academic' showed a correlation (Pearson's r = 0.55, p<0.001). Conclusions: This study raises questions about methods of student selection and their effectiveness in predicting performance and assessing suitability for a medical career. Admissions tests and most exams only confirmed previous academic achievement, while interview scores were not correlated with any consequent assessment. [ABSTRACT FROM AUTHOR]
- Published
- 2011
- Full Text
- View/download PDF
28. Toxic marine microalgae and shellfish poisoning in the British isles: history, review of epidemiology, and future implications.
- Author
-
Hinder, Stephanie L., Hays, Graeme C., Brooks, Caroline J., Davies, Angharad P., Edwards, Martin, Walne, Anthony W., and Gravenor, Mike B.
- Subjects
TOXIC marine algae ,CLIMATE change ,EPIDEMIOLOGY ,MICROALGAE ,SHELLFISH - Abstract
The relationship between toxic marine microalgae species and climate change has become a high profile and well discussed topic in recent years, with research focusing on the possible future impacts of changing hydrological conditions on Harmful Algal Bloom (HAB) species around the world. However, there is very little literature concerning the epidemiology of these species on marine organisms and human health. Here, we examine the current state of toxic microalgae species around the UK, in two ways: first we describe the key toxic syndromes and gather together the disparate reported data on their epidemiology from UK records and monitoring procedures. Secondly, using NHS hospital admissions and GP records from Wales, we attempt to quantify the incidence of shellfish poisoning from an independent source. We show that within the UK, outbreaks of shellfish poisoning are rare but occurring on a yearly basis in different regions and affecting a diverse range of molluscan shellfish and other marine organisms. We also show that the abundance of a species does not necessarily correlate to the rate of toxic events. Based on routine hospital records, the numbers of shellfish poisonings in the UK are very low, but the identification of the toxin involved, or even a confirmation of a poisoning event is extremely difficult to diagnose. An effective shellfish monitoring system, which shuts down aquaculture sites when toxins exceed regularity limits, has clearly prevented serious impact to human health, and remains the only viable means of monitoring the potential threat to human health. However, the closure of these sites has an adverse economic impact, and the monitoring system does not include all toxic plankton. The possible geographic spreading of toxic microalgae species is therefore a concern, as warmer waters in the Atlantic could suit several species with southern biogeographical affinities enabling them to occupy the coastal regions of the UK, but which are not yet monitored or considered to be detrimental. [ABSTRACT FROM AUTHOR]
- Published
- 2011
- Full Text
- View/download PDF
29. CodonTest: Modeling Amino Acid Substitution Preferences in Coding Sequences.
- Author
-
Delport, Wayne, Scheffler, Konrad, Botha, Gordon, Gravenor, Mike B., Muse, Spencer V., and Pond, Sergei L. Kosakovsky
- Subjects
AMINO acid sequence ,GENETIC algorithms ,MARKOV processes ,COMBINATORIAL optimization ,GENETIC code ,RATE processes - Abstract
Codon models of evolution have facilitated the interpretation of selective forces operating on genomes. These models, however, assume a single rate of non-synonymous substitution irrespective of the nature of amino acids being exchanged. Recent developments have shown that models which allow for amino acid pairs to have independent rates of substitution offer improved fit over single rate models. However, these approaches have been limited by the necessity for large alignments in their estimation. An alternative approach is to assume that substitution rates between amino acid pairs can be subdivided into K rate classes, dependent on the information content of the alignment. However, given the combinatorially large number of such models, an efficient model search strategy is needed. Here we develop a Genetic Algorithm (GA) method for the estimation of such models. A GA is used to assign amino acid substitution pairs to a series of K rate classes, where K is estimated from the alignment. Other parameters of the phylogenetic Markov model, including substitution rates, character frequencies and branch lengths are estimated using standard maximum likelihood optimization procedures. We apply the GA to empirical alignments and show improved model fit over existing models of codon evolution. Our results suggest that current models are poor approximations of protein evolution and thus gene and organism specific multi-rate models that incorporate amino acid substitution biases are preferred. We further anticipate that the clustering of amino acid substitution rates into classes will be biologically informative, such that genes with similar functions exhibit similar clustering, and hence this clustering will be useful for the evolutionary fingerprinting of genes. [ABSTRACT FROM AUTHOR]
- Published
- 2010
- Full Text
- View/download PDF
30. Benchmarking Multi-Rate Codon Models.
- Author
-
Delport, Wayne, Scheffler, Konrad, Gravenor, Mike B., Muse, Spencer V., and Pond, Sergei Kosakovsky
- Subjects
PHYLOGENY ,GENETIC models ,GENOMES ,AMINO acids ,GENETIC algorithms ,GENETIC code ,NUCLEOTIDES ,RHODOPSIN ,EMPIRICAL research - Abstract
The single rate codon model of non-synonymous substitution is ubiquitous in phylogenetic modeling. Indeed, the use of a non-synonymous to synonymous substitution rate ratio parameter has facilitated the interpretation of selection pressure on genomes. Although the single rate model has achieved wide acceptance, we argue that the assumption of a single rate of non-synonymous substitution is biologically unreasonable, given observed differences in substitution rates evident from empirical amino acid models. Some have attempted to incorporate amino acid substitution biases into models of codon evolution and have shown improved model performance versus the single rate model. Here, we show that the single rate model of non-synonymous substitution is easily outperformed by a model with multiple non-synonymous rate classes, yet in which amino acid substitution pairs are assigned randomly to these classes. We argue that, since the single rate model is so easy to improve upon, new codon models should not be validated entirely on the basis of improved model fit over this model. Rather, we should strive to both improve on the single rate model and to approximate the general time-reversible model of codon substitution, with as few parameters as possible, so as to reduce model over-fitting. We hint at how this can be achieved with a Genetic Algorithm approach in which rate classes are assigned on the basis of sequence information content. [ABSTRACT FROM AUTHOR]
- Published
- 2010
- Full Text
- View/download PDF
31. An Evolutionary Model-Based Algorithm for Accurate Phylogenetic Breakpoint Mapping and Subtype Prediction in HIV-1.
- Author
-
Pond, Sergei L. Kosakovsky, Posada, David, Stawiski, Eric, Chappey, Colombe, Poon, Art F. Y., Hughes, Gareth, Fearnhill, Esther, Gravenor, Mike B., Brown, Andrew J. Leigh, and Frost, Simon D. W.
- Subjects
PHYLOGENY ,HIV ,COMPUTATIONAL biology ,DRUG resistance ,NOSOLOGY ,PATHOGENIC microorganisms - Abstract
Genetically diverse pathogens (such as Human Immunodeficiency virus type 1, HIV-1) are frequently stratified into phylogenetically or immunologically defined subtypes for classification purposes. Computational identification of such subtypes is helpful in surveillance, epidemiological analysis and detection of novel variants, e.g., circulating recombinant forms in HIV-1. A number of conceptually and technically different techniques have been proposed for determining the subtype of a query sequence, but there is not a universally optimal approach. We present a model-based phylogenetic method for automatically subtyping an HIV-1 (or other viral or bacterial) sequence, mapping the location of breakpoints and assigning parental sequences in recombinant strains as well as computing confidence levels for the inferred quantities. Our Subtype Classification Using Evolutionary ALgorithms (SCUEAL) procedure is shown to perform very well in a variety of simulation scenarios, runs in parallel when multiple sequences are being screened, and matches or exceeds the performance of existing approaches on typical empirical cases. We applied SCUEAL to all available polymerase (pol) sequences from two large databases, the Stanford Drug Resistance database and the UK HIV Drug Resistance Database. Comparing with subtypes which had previously been assigned revealed that a minor but substantial (≈5%) fraction of pure subtype sequences may in fact be within- or inter-subtype recombinants. A free implementation of SCUEAL is provided as a module for the HyPhy package and the Datamonkey web server. Our method is especially useful when an accurate automatic classification of an unknown strain is desired, and is positioned to complement and extend faster but less accurate methods. Given the increasingly frequent use of HIV subtype information in studies focusing on the effect of subtype on treatment, clinical outcome, pathogenicity and vaccine design, the importance of accurate, robust and extensible subtyping procedures is clear. [ABSTRACT FROM AUTHOR]
- Published
- 2009
- Full Text
- View/download PDF
32. Long and short-term outcomes in patients requiring continuous renal replacement therapy post cardiopulmonary bypass
- Author
-
Luckraz, Heyman, Gravenor, Mike B, George, Ravi, Taylor, Sue, Williams, Andrew, Ashraf, Saeed, Argano, Vincenzo, and Youhana, Aprim
- Subjects
- *
CARDIAC surgery , *MORTALITY , *ARTIFICIAL blood circulation , *CARDIOPULMONARY bypass - Abstract
Abstract: Objective: The development of acute renal failure following cardiac surgery is a rare but devastating complication with high morbidity and mortality. This study aimed to assess the incidence of acute renal failure necessitating continuous renal replacement therapy (CRRT) in patients who required cardiopulmonary bypass, to determine the factors associated with mortality and to evaluate long-term outcome. Methods: Patients who underwent cardiac surgery between October 1997 and 2003 and treated with CRRT were included (n=98). Six patients were then excluded (already in established renal failure pre-operatively) and one patient lost to follow-up. A retrospective analysis was carried out. Results: Overall CRRT was used in 2.9% (92/3172). The mean (SD) age of patients was 68 (10) years. Their mean pre-operative creatinine level and duration of cardiopulmonary bypass were 154 (87)micromol/l and 160 (84)min, respectively. Mean duration from surgery to establishment of CRRT was 50 (42)h. Mean creatinine level prior to hospital discharge was 168 (93)micromol/l. Thirty-day mortality was 42%. Significant risk factors for death were complex procedures (odds ratio=9.9), gastro-intestinal complications (OR=7.2), cross-clamp time over 88min (OR=5.9), re-exploration (OR=4.0) and patients age over 75 years (OR=3.3). Actuarial 1 and 5-year survivals (95% CI) were 53 (43, 63) % and 52 (42, 62) %, respectively. Only 2 (2.2%) patients required long term renal support. Conclusions: Acute renal failure necessitating the use of CRRT is a rare but serious complication post cardiopulmonary bypass. In the long-term, surviving patients are not likely to require further renal support. [Copyright &y& Elsevier]
- Published
- 2005
- Full Text
- View/download PDF
33. A Model for Estimating Total Parasite Load in Falciparum Malaria Patients
- Author
-
GRAVENOR, MIKE B., LLOYD, ALUN L., KREMSNER, PETER G., MISSINOU, MICHEL A., ENGLISH, MIKE, MARSH, KEVIN, and KWIATKOWSKI, DOMINIC
- Subjects
- *
MEDICAL parasitology , *MALARIA treatment - Abstract
We describe an age-structured mathematical model of the malaria parasite life cycle that uses clinical observations of peripheral parasitaemia to estimate population dynamics of sequestered parasites, which are hidden from the clinical investigator. First, the model was tested on parasite populations cultured in vitro, and was found to account for ∼72% of the variation in that sub-population of parasites that would have been sequestered in vivo. Next, the model was applied to patients undergoing antimalarial therapy. Using individual data sets we found that although the model fitted the peripheral parasite curves very well, unique solutions for the fit could not be obtained; therefore, robust estimates of sequestered parasite dynamics remained unavailable. We conclude that even given detailed data on individual parasitaemia, estimates of sequestered numbers may be difficult to obtain. However, if data on individuals undergoing similar therapy are collected at equal time intervals, some of these problems may be overcome by estimating specific parameters over groups of patients. In this manner we estimated sequestered parasite density in a group of patients sampled at identical time points following antimalarial treatment. Using this approach we found significant relationships between changes in parasite density, age structure and temperature that were not apparent from the analysis of peripheral parasitaemia only. [Copyright &y& Elsevier]
- Published
- 2002
- Full Text
- View/download PDF
34. Abstract 14994: Discontinuation of Statins and Adverse Clinical Outcomes Post Percutaneous Coronary Intervention.
- Author
-
Harris, Daniel E, Lacey, Arron, Akbari, Ashley, Gravenor, Mike B, and Halcox, Julian P
- Published
- 2018
35. To the Editors of Biometrics:.
- Author
-
Gravenor, Mike B. and Saunders, Nigel J.
- Subjects
- *
LETTERS to the editor , *BIOMETRY - Abstract
Presents a letter to the editor in response to the article "Estimation of Mutation Rates," by Mike B. Gravenor and Nigel J. Saunders in "Biometrics."
- Published
- 2004
- Full Text
- View/download PDF
36. Scrapie in Britain during the BSE years.
- Author
-
Gravenor, Mike B., Cox, D.R., Hoinville, Linda J., Hoek, Alies, and McLean, Angela R.
- Subjects
- *
SHEEP diseases , *BOVINE spongiform encephalopathy , *SCRAPIE , *FEED contamination - Abstract
Focuses on the possibility that some sheep in Great Britain were infected during the 1980s after exposure to feed contaminated with bovine spongiform encephalopathy (BSE). Similarity of BSE in sheep to the transmissible spongiform encephalopathy called scrapie; Data of the historical changes in scrapie incidence indicating that it is unlikely that a substantial epidemic of BSE has occurred in the sheep population.
- Published
- 2000
- Full Text
- View/download PDF
37. Mutation rates: estimating phase variation rates when fitness differences are present and their impact on population structure.
- Author
-
Saunders, Nigel J., Moxon, E. Richard, and Gravenor, Mike B.
- Subjects
- *
PATHOGENIC microorganisms , *BACTERIA , *MICROBIOLOGY - Abstract
Phase variation is a mechanism of ON-OFF switching that is widely utilized by bacterial pathogens. There is currently no standardization to how the rate of phase variation is determined experimentally, and traditional methods of mutation rate estimation may not be appropriate to this process. Here, the history of mutation rate estimation is reviewed, describing the existing methods available. A new mathematical model that can be applied to this problem is also presented. This model specifically includes the confounding factors of back-mutation and the influence of fitness differences between the alternate phenotypes. These are central features of phase variation but are rarely addressed, with the result that some previously estimated phase variation rates may have been significantly overestimated. It is shown that, conversely, the model can also be used to investigate fitness differences if mutation rates are approximately known. In addition, stochastic simulations of the model are used to explore the impact of 'jackpot cultures' on the mutation rate estimation. Using the model, the impact of realistic rates and selection on population structure is investigated. In the absence of fitness differences it is predicted that there will be phenotypic stability over many generations. The rate of phenotypic change within a population is likely, therefore, to be principally determined by selection. A greater insight into the population dynamics of mutation rate processes can be gained if populations are monitored over successive time points. [ABSTRACT FROM AUTHOR]
- Published
- 2003
- Full Text
- View/download PDF
38. The impact of dementia, frailty and care home characteristics on SARS-CoV-2 incidence in a national cohort of Welsh care home residents during a period of high community prevalence.
- Author
-
Emmerson C, Hollinghurst J, North L, Fry R, Akbari A, Humphreys C, Gravenor MB, and Lyons RA
- Subjects
- Humans, SARS-CoV-2, Nursing Homes, Retrospective Studies, Prevalence, Incidence, Cross-Sectional Studies, COVID-19 epidemiology, COVID-19 therapy, Frailty diagnosis, Frailty epidemiology, Dementia diagnosis, Dementia epidemiology, Dementia therapy
- Abstract
Background: dementia may increase care home residents' risk of COVID-19, but there is a lack of evidence on this effect and on interactions with individual and care home-level factors., Methods: we created a national cross-sectional retrospective cohort of care home residents in Wales for 1 September to 31 December 2020. Risk factors were analysed using multi-level logistic regression to model the likelihood of SARS-CoV-2 infection and mortality., Results: the cohort included 9,571 individuals in 673 homes. Dementia was diagnosed in 5,647 individuals (59%); 1,488 (15.5%) individuals tested positive for SARS-CoV-2. We estimated the effects of age, dementia, frailty, care home size, proportion of residents with dementia, nursing and dementia services, communal space and region. The final model included the proportion of residents with dementia (OR for positive test 4.54 (95% CIs 1.55-13.27) where 75% of residents had dementia compared to no residents with dementia) and frailty (OR 1.29 (95% CIs 1.05-1.59) for severe frailty compared with no frailty). Analysis suggested 76% of the variation was due to setting rather than individual factors. Additional analysis suggested severe frailty and proportion of residents with dementia was associated with all-cause mortality, as was dementia diagnosis. Mortality analyses were challenging to interpret., Discussion: whilst individual frailty increased the risk of COVID-19 infection, dementia was a risk factor at care home but not individual level. These findings suggest whole-setting interventions, particularly in homes with high proportions of residents with dementia and including those with low/no individual risk factors may reduce the impact of COVID-19., (© The Author(s) 2022. Published by Oxford University Press on behalf of the British Geriatrics Society. All rights reserved. For permissions, please email: journals.permissions@oup.com.)
- Published
- 2022
- Full Text
- View/download PDF
39. Staff-pupil SARS-CoV-2 infection pathways in schools in Wales: a population-level linked data approach.
- Author
-
Thompson DA, Abbasizanjani H, Fry R, Marchant E, Griffiths L, Akbari A, Hollinghurst J, North L, Lyons J, Torabi F, Davies G, Gravenor MB, and Lyons RA
- Subjects
- Child, Humans, SARS-CoV-2, Schools, Semantic Web, Wales epidemiology, COVID-19
- Abstract
Background: Better understanding of the role that children and school staff play in the transmission of SARS-CoV-2 is essential to guide policy development on controlling infection while minimising disruption to children's education and well-being., Methods: Our national e-cohort (n=464531) study used anonymised linked data for pupils, staff and associated households linked via educational settings in Wales. We estimated the odds of testing positive for SARS-CoV-2 infection for staff and pupils over the period August- December 2020, dependent on measures of recent exposure to known cases linked to their educational settings., Results: The total number of cases in a school was not associated with a subsequent increase in the odds of testing positive (staff OR per case: 0.92, 95% CI 0.85 to 1.00; pupil OR per case: 0.98, 95% CI 0.93 to 1.02). Among pupils, the number of recent cases within the same year group was significantly associated with subsequent increased odds of testing positive (OR per case: 1.12, 95% CI 1.08 to 1.15). These effects were adjusted for a range of demographic covariates, and in particular any known cases within the same household, which had the strongest association with testing positive (staff OR: 39.86, 95% CI 35.01 to 45.38; pupil OR: 9.39, 95% CI 8.94 to 9.88)., Conclusions: In a national school cohort, the odds of staff testing positive for SARS-CoV-2 infection were not significantly increased in the 14-day period after case detection in the school. However, pupils were found to be at increased odds, following cases appearing within their own year group, where most of their contacts occur. Strong mitigation measures over the whole of the study period may have reduced wider spread within the school environment., Competing Interests: Competing interests: None declared., (© Author(s) (or their employer(s)) 2021. Re-use permitted under CC BY-NC. No commercial re-use. See rights and permissions. Published by BMJ.)
- Published
- 2021
- Full Text
- View/download PDF
40. Disease control across urban-rural gradients.
- Author
-
Wells K, Lurgi M, Collins B, Lucini B, Kao RR, Lloyd AL, Frost SDW, and Gravenor MB
- Subjects
- Asymptomatic Infections epidemiology, COVID-19 epidemiology, COVID-19 transmission, Computer Simulation, Contact Tracing, Humans, Models, Biological, Physical Distancing, Rural Population, Social Interaction, Urban Population, Wales epidemiology, COVID-19 prevention & control, Communicable Disease Control methods, Pandemics prevention & control, SARS-CoV-2
- Abstract
Controlling the regional re-emergence of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) after its initial spread in ever-changing personal contact networks and disease landscapes is a challenging task. In a landscape context, contact opportunities within and between populations are changing rapidly as lockdown measures are relaxed and a number of social activities re-activated. Using an individual-based metapopulation model, we explored the efficacy of different control strategies across an urban-rural gradient in Wales, UK. Our model shows that isolation of symptomatic cases or regional lockdowns in response to local outbreaks have limited efficacy unless the overall transmission rate is kept persistently low. Additional isolation of non-symptomatic infected individuals, who may be detected by effective test-and-trace strategies, is pivotal to reducing the overall epidemic size over a wider range of transmission scenarios. We define an 'urban-rural gradient in epidemic size' as a correlation between regional epidemic size and connectivity within the region, with more highly connected urban populations experiencing relatively larger outbreaks. For interventions focused on regional lockdowns, the strength of such gradients in epidemic size increased with higher travel frequencies, indicating a reduced efficacy of the control measure in the urban regions under these conditions. When both non-symptomatic and symptomatic individuals are isolated or regional lockdown strategies are enforced, we further found the strongest urban-rural epidemic gradients at high transmission rates. This effect was reversed for strategies targeted at symptomatic individuals only. Our results emphasize the importance of test-and-trace strategies and maintaining low transmission rates for efficiently controlling SARS-CoV-2 spread, both at landscape scale and in urban areas.
- Published
- 2020
- Full Text
- View/download PDF
41. Understanding and responding to COVID-19 in Wales: protocol for a privacy-protecting data platform for enhanced epidemiology and evaluation of interventions.
- Author
-
Lyons J, Akbari A, Torabi F, Davies GI, North L, Griffiths R, Bailey R, Hollinghurst J, Fry R, Turner SL, Thompson D, Rafferty J, Mizen A, Orton C, Thompson S, Au-Yeung L, Cross L, Gravenor MB, Brophy S, Lucini B, John A, Szakmany T, Davies J, Davies C, Thomas DR, Williams C, Emmerson C, Cottrell S, Connor TR, Taylor C, Pugh RJ, Diggle P, John G, Scourfield S, Hunt J, Cunningham AM, Helliwell K, and Lyons R
- Subjects
- COVID-19, Coronavirus Infections epidemiology, Humans, Pneumonia, Viral epidemiology, Risk Factors, SARS-CoV-2, Wales epidemiology, Betacoronavirus, Coronavirus Infections therapy, Delivery of Health Care standards, Pandemics prevention & control, Pneumonia, Viral therapy
- Abstract
Introduction: The emergence of the novel respiratory SARS-CoV-2 and subsequent COVID-19 pandemic have required rapid assimilation of population-level data to understand and control the spread of infection in the general and vulnerable populations. Rapid analyses are needed to inform policy development and target interventions to at-risk groups to prevent serious health outcomes. We aim to provide an accessible research platform to determine demographic, socioeconomic and clinical risk factors for infection, morbidity and mortality of COVID-19, to measure the impact of COVID-19 on healthcare utilisation and long-term health, and to enable the evaluation of natural experiments of policy interventions., Methods and Analysis: Two privacy-protecting population-level cohorts have been created and derived from multisourced demographic and healthcare data. The C20 cohort consists of 3.2 million people in Wales on the 1 January 2020 with follow-up until 31 May 2020. The complete cohort dataset will be updated monthly with some individual datasets available daily. The C16 cohort consists of 3 million people in Wales on the 1 January 2016 with follow-up to 31 December 2019. C16 is designed as a counterfactual cohort to provide contextual comparative population data on disease, health service utilisation and mortality. Study outcomes will: (a) characterise the epidemiology of COVID-19, (b) assess socioeconomic and demographic influences on infection and outcomes, (c) measure the impact of COVID-19 on short -term and longer-term population outcomes and (d) undertake studies on the transmission and spatial spread of infection., Ethics and Dissemination: The Secure Anonymised Information Linkage-independent Information Governance Review Panel has approved this study. The study findings will be presented to policy groups, public meetings, national and international conferences, and published in peer-reviewed journals., Competing Interests: Competing interests: None declared., (© Author(s) (or their employer(s)) 2020. Re-use permitted under CC BY. Published by BMJ.)
- Published
- 2020
- Full Text
- View/download PDF
42. Early Discontinuation of P2Y 12 Antagonists and Adverse Clinical Events Post-Percutaneous Coronary Intervention: A Hospital and Primary Care Linked Cohort.
- Author
-
Harris DE, Lacey A, Akbari A, Obaid DR, Smith DA, Jenkins GH, Barry JP, Gravenor MB, and Halcox JP
- Subjects
- Age Factors, Aged, Aged, 80 and over, Cohort Studies, Drug Prescriptions statistics & numerical data, Female, Hemorrhage epidemiology, Humans, Hypertension epidemiology, Male, Middle Aged, Renal Insufficiency, Chronic epidemiology, Retreatment, Retrospective Studies, Stroke epidemiology, Thromboembolism epidemiology, Wales epidemiology, Clopidogrel administration & dosage, Medication Adherence, Percutaneous Coronary Intervention, Purinergic P2Y Receptor Antagonists administration & dosage
- Abstract
Background Early discontinuation of P2Y
12 antagonists post-percutaneous coronary intervention may increase risk of stent thrombosis or nonstent recurrent myocardial infarction. Our aims were to (1) analyze the early discontinuation rate of P2Y12 antagonists post-percutaneous coronary intervention, (2) explore factors associated with early discontinuation, and (3) analyze the risk of major adverse cardiovascular events (death, acute coronary syndrome, revascularization, or stroke) associated with discontinuation from a prespecified prescribing instruction of 1 year. Method and Results We studied 2090 patients (2011-2015) who were recommended for clopidogrel for 12 months (+aspirin) post-percutaneous coronary intervention within a retrospective observational population cohort. Relationships between clopidogrel discontinuation and major adverse cardiac events were evaluated over 18-month follow-up. Discontinuation of clopidogrel in the first 4 quarters was low at 1.1%, 2.6%, 3.7%, and 6.1%, respectively. Previous revascularization, previous ischemic stroke, and age >80 years were independent predictors of early discontinuation. In a time-dependent multiple regression model, clopidogrel discontinuation and bleeding (hazard ratio=1.82 [1.01-3.30] and hazard ratio=5.30 [3.14-8.94], respectively) were independent predictors of major adverse cardiac events as were age <49 and ≥70 years (versus those aged 50-59 years), hypertension, chronic kidney disease stage 4+, previous revascularization, ischemic stroke, and thromboembolism. Furthermore, in those with both bleeding and clopidogrel discontinuation, hazard ratio for major adverse cardiac events was 9.34 (3.39-25.70). Conclusions Discontinuation of clopidogrel is low in the first year post-percutaneous coronary intervention, where a clear discharge instruction to treat for 1 year is provided. Whereas this is reassuring from the population level, at an individual level discontinuation earlier than the intended duration is associated with an increased rate of adverse events, most notably in those with both bleeding and discontinuation.- Published
- 2019
- Full Text
- View/download PDF
43. Classification of accelerometer wear and non-wear events in seconds for monitoring free-living physical activity.
- Author
-
Zhou SM, Hill RA, Morgan K, Stratton G, Gravenor MB, Bijlsma G, and Brophy S
- Subjects
- Acceleration, Adolescent, Adult, Algorithms, Ankle, Body Temperature, Child, Female, Humans, Male, Motor Activity, Skin, Wales, Wrist, Young Adult, Accelerometry methods, Exercise, Monitoring, Ambulatory methods, Sedentary Behavior
- Abstract
Objective: To classify wear and non-wear time of accelerometer data for accurately quantifying physical activity in public health or population level research., Design: A bi-moving-window-based approach was used to combine acceleration and skin temperature data to identify wear and non-wear time events in triaxial accelerometer data that monitor physical activity., Setting: Local residents in Swansea, Wales, UK., Participants: 50 participants aged under 16 years (n=23) and over 17 years (n=27) were recruited in two phases: phase 1: design of the wear/non-wear algorithm (n=20) and phase 2: validation of the algorithm (n=30)., Methods: Participants wore a triaxial accelerometer (GeneActiv) against the skin surface on the wrist (adults) or ankle (children). Participants kept a diary to record the timings of wear and non-wear and were asked to ensure that events of wear/non-wear last for a minimum of 15 min., Results: The overall sensitivity of the proposed method was 0.94 (95% CI 0.90 to 0.98) and specificity 0.91 (95% CI 0.88 to 0.94). It performed equally well for children compared with adults, and females compared with males. Using surface skin temperature data in combination with acceleration data significantly improved the classification of wear/non-wear time when compared with methods that used acceleration data only (p<0.01)., Conclusions: Using either accelerometer seismic information or temperature information alone is prone to considerable error. Combining both sources of data can give accurate estimates of non-wear periods thus giving better classification of sedentary behaviour. This method can be used in population studies of physical activity in free-living environments., (Published by the BMJ Publishing Group Limited. For permission to use (where not already granted under a licence) please go to http://group.bmj.com/group/rights-licensing/permissions.)
- Published
- 2015
- Full Text
- View/download PDF
44. An evolutionary model-based algorithm for accurate phylogenetic breakpoint mapping and subtype prediction in HIV-1.
- Author
-
Kosakovsky Pond SL, Posada D, Stawiski E, Chappey C, Poon AF, Hughes G, Fearnhill E, Gravenor MB, Leigh Brown AJ, and Frost SD
- Subjects
- Chromosome Mapping, Computer Simulation, Phylogeny, Algorithms, Biological Evolution, Genome, Viral genetics, HIV-1 classification, HIV-1 genetics, Models, Genetic, Software
- Abstract
Genetically diverse pathogens (such as Human Immunodeficiency virus type 1, HIV-1) are frequently stratified into phylogenetically or immunologically defined subtypes for classification purposes. Computational identification of such subtypes is helpful in surveillance, epidemiological analysis and detection of novel variants, e.g., circulating recombinant forms in HIV-1. A number of conceptually and technically different techniques have been proposed for determining the subtype of a query sequence, but there is not a universally optimal approach. We present a model-based phylogenetic method for automatically subtyping an HIV-1 (or other viral or bacterial) sequence, mapping the location of breakpoints and assigning parental sequences in recombinant strains as well as computing confidence levels for the inferred quantities. Our Subtype Classification Using Evolutionary ALgorithms (SCUEAL) procedure is shown to perform very well in a variety of simulation scenarios, runs in parallel when multiple sequences are being screened, and matches or exceeds the performance of existing approaches on typical empirical cases. We applied SCUEAL to all available polymerase (pol) sequences from two large databases, the Stanford Drug Resistance database and the UK HIV Drug Resistance Database. Comparing with subtypes which had previously been assigned revealed that a minor but substantial (approximately 5%) fraction of pure subtype sequences may in fact be within- or inter-subtype recombinants. A free implementation of SCUEAL is provided as a module for the HyPhy package and the Datamonkey web server. Our method is especially useful when an accurate automatic classification of an unknown strain is desired, and is positioned to complement and extend faster but less accurate methods. Given the increasingly frequent use of HIV subtype information in studies focusing on the effect of subtype on treatment, clinical outcome, pathogenicity and vaccine design, the importance of accurate, robust and extensible subtyping procedures is clear.
- Published
- 2009
- Full Text
- View/download PDF
45. Risk assessments on BSE.
- Author
-
Gravenor MB and Kao RR
- Subjects
- Animals, Canada, Cattle, Risk Assessment, Encephalopathy, Bovine Spongiform transmission
- Published
- 2003
Catalog
Discovery Service for Jio Institute Digital Library
For full access to our library's resources, please sign in.