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1.
Sports Med Int Open ; 7(1): E9-E14, 2023 Jan.
Artículo en Inglés | MEDLINE | ID: mdl-38549733

RESUMEN

The purpose of this study was to evaluate the patient-reported and objective functional outcomes of those patients who underwent nonoperative management of a single-tendon retracted proximal hamstring avulsion. A retrospective case series of consecutive patients with an MRI-confirmed diagnosis of single-tendon proximal hamstring avulsion treated nonoperatively with at least one year of follow-up was performed. Patient-reported outcome measures (PROMs) including SF-12v2, Lower Extremity Functional Score (LEFS), Hip Outcome Score-activities of daily living and sport subscale (HOS-ADL, HOS-SS) were prospectively collected. Objective measurements included strength testing of the affected and unaffected limbs with a handheld dynamometer and single-leg hop test. Student's t-tests were used to determine differences between limbs. Eleven of fourteen patients were available for PROMs (79%); five completed functional testing. Subjective scores revealed a mean SF-12v2 mental component score of 56.53±8.2, and a physical component score of 50.1±12.7. LEFS was 84%±19.8, HOS-ADL 87.9%±17.2, and HOS-SS 80.9%±24. The differences between limbs were not statistically significant for strength at 45 or 90 degrees of knee flexion, nor for single-leg hop distance. Patients in a non-professional athlete population who undergo nonoperative management of single-tendon retracted proximal hamstring avulsions can expect good subjective and objective outcomes.

2.
Arthrosc Sports Med Rehabil ; 4(2): e653-e659, 2022 Apr.
Artículo en Inglés | MEDLINE | ID: mdl-35494306

RESUMEN

Purpose: To develop a clinically meaningful proximal hamstring tear classification system and to present outcome data for defined subtypes. Methods: Retrospective review was undertaken of patients diagnosed with proximal hamstring tears at a single institution from 2012 to 2019. Images were reviewed by an orthopedic surgeon and musculoskeletal radiologist. Tears were classified as Type 1: partial with subtypes (1A, 1 cm or mild complete tear; 1B, 1-2 cm or full tear with <2 cm retraction), Type 2: complete single-tendon tears with subtypes (2c conjoint tendon only; 2s semimembranosus tendon only); or Type 3: complete tears with >2 cm retraction. Demographics, patient-reported outcome measures including Hip Outcome Score, Activities of Daily Living Subscore (HOS-ADL) and patient satisfaction were evaluated. A poor outcome was defined as HOS-ADL < 80%, and the patient acceptable symptom state (PASS) was defined as HOS-ADL 89.7%. Results: At a mean follow-up of 38.6 (range: 12-94) months for 114 patients, distributions were as follows: 18.4% Type 1A, 19.2% Type 1B, 7.8% Type 2c, 3.5% Type 2s, and 50.9% Type 3. Intra-observer and inter-observer reliability had a mean Kappa of 0.985 (95% CI: .956, 1.01) and .905 (95% CI: .895 .915). 66 patients underwent surgery, with 68.97% of them being Type 3. The mean HOS-ADL and PASS rate were higher for operatively treated patients (95%, 93.4%) than for nonoperatively treated patients (81.86%, 44.7%). There were significantly more patients satisfied in the surgery group in both Type 1 and Type 3 tears (P = .046 and P = .049). Body mass index was a significant predictor of a poor outcome in Type 3 tears (P = .039). History of corticosteroid or PRP injection, smoking, and diabetes were not significant predictors of a poor outcome. Conclusion: We present an MRI-based classification system for proximal hamstring injuries with both excellent intra-observer and inter-observer reliability. Outcome measures were improved in patients who underwent surgery. Level of Evidence: IV, cohort study: diagnostic case series.

3.
Clin Biomech (Bristol, Avon) ; 94: 105352, 2022 04.
Artículo en Inglés | MEDLINE | ID: mdl-33858696

RESUMEN

BACKGROUND: To potentially limit peri-implant fractures our institution commonly implements a "stress-taper" fixation construct in which the screw lengths towards the proximal end of a construct are incrementally decreased, in order to avoid a focal stress-riser when loaded. To assess this construct, we asked: 1) Does the stress taper strategy increase torsional strength than the bicortical locking construct when biomechanically tested in a cadaveric femur model? 2) Does it fail in a less comminuted fracture pattern? METHODS: Seven matched pairs of cadaveric femora were randomly assigned to one of two distal femur fixation groups: plating with stress taper strategy or bicortical fixation. Specimens were first cyclically loaded, then axially rotated to failure under 800 N of compression. Peak torque at failure, degrees of rotation at failure, and energy to failure were calculated and compared using paired t-tests. Fractures were categorized with the assistance of fluoroscopy according to the Orthopedic Trauma Association classification, 32. FINDINGS: There was significantly greater peak torque (110.6 ± 49.7 Nm vs. 80.6 ± 35.2 Nm), rotation at failure (23.8 ± 5.3° vs 18.9 ± 4.5°) and energy to failure (25.3 ± 15.7 J vs. 14.1 ± 8.3 J) in the stress-taper group as compared to the bicortical group (p = 0.0424), (p = 0.0213) and (p = 0.0460), respectively. 6/7 fractures in the stress-taper group were classified 32 A1 with 1/7 classified A2. 5/7 fractures in the bicortical group were classified B1 and 2/7 classified A2. INTERPRETATION: 'Stress taper fixation' in distal femurs may be protective against peri-implant fractures compared to traditional bicortical fixation. The 'stress taper' concept can increase torsional failure strength in an in vitro model.


Asunto(s)
Fracturas Periprotésicas , Fenómenos Biomecánicos , Placas Óseas , Cadáver , Fémur/cirugía , Humanos , Fracturas Periprotésicas/cirugía
4.
JSES Open Access ; 3(4): 350-356, 2019 Dec.
Artículo en Inglés | MEDLINE | ID: mdl-31891038

RESUMEN

BACKGROUND: Posterior shoulder instability is common in young athletes. Although the posterior shoulder instability literature is less robust than its anterior counterpart, many surgical procedures have been developed and refined over the past several centuries to address this condition. MATERIALS AND METHODS: This article represents a retrospective historical analysis of the most common procedures used to treat posterior shoulder instability after sports injuries. A systematic approach to obtain published information on posterior shoulder instability was performed using the PubMed/MEDLINE database, manual searches of high-impact factor journals, and conference proceedings and books. RESULTS: A wide array of both soft tissue-based and bone-based procedures have been developed for the treatment of posterior shoulder instability, ranging from procedures addressing the soft tissue alone (capsular shift, labral repair, reverse Putti-Platt) or bone-based procedures (glenoid and/or humeral osteotomy, glenoid bone block) to a combination of both bone and soft-tissue procedures (modified McLaughlin procedure). DISCUSSION: Over the past several centuries, a number of procedures have been developed to address posterior shoulder instability, particularly as this pathology has become better understood. Future work is required not only to continue to advance these procedures but also to assess their outcomes. An understanding of the historical perspective of posterior shoulder instability procedures is essential as surgeons continue to modify these procedures in an effort to best help their patients.

5.
Arthroscopy ; 34(8): 2324-2325, 2018 08.
Artículo en Inglés | MEDLINE | ID: mdl-30077257

RESUMEN

The continued debate regarding the appropriate threshold to consider performing bony stabilization procedures in the treatment of shoulder instability has contributed to a recent boom of new research in this area. The contribution of both glenoid bone loss and version in predicting potential clinical failure after soft tissue stabilization is one of those topics. The authors of the featured study demonstrate the relationship between measured glenoid version and bone loss, which can assist us in our clinical decision making. To date, most measures of glenoid version have been reported based on analysis of 2 dimensions. However, with 2-dimensional analysis, bone loss may result in potentially errant measurement of version and require subsequent correction. Moreover, 3-dimensional analysis could result in a more nuanced understanding of the complexities of glenoid pathologic study in patients with shoulder instability.


Asunto(s)
Inestabilidad de la Articulación , Articulación del Hombro , Cadáver , Humanos , Escápula , Hombro
6.
Orthop J Sports Med ; 6(7): 2325967118786697, 2018 Jul.
Artículo en Inglés | MEDLINE | ID: mdl-30090835

RESUMEN

BACKGROUND: Posterior glenoid bone deficiency can occur with recurrent glenohumeral instability. Glenoid reconstruction with a distal tibial allograft (DTA) has been reported to successfully restore contact pressures that occur during posterior glenohumeral translation. However, there are concerns regarding the risk of allograft resorption, availability, and costs. Extracapsular reconstruction using a scapular spinal autograft (SSA) has been reported as an alternative technique secondary to its anatomic location relative to the posterior shoulder and preferable autograft properties. There are no known prior biomechanical studies evaluating the scapular spine as an effective extracapsular graft choice. PURPOSE: To compare the efficacy of a DTA and SSA in restoring the stability of a glenoid with a large posterior bone defect compared with the intact native glenoid. STUDY DESIGN: Controlled laboratory study. METHODS: Ten cadaveric shoulders were tested. With the use of a custom KUKA robot, a 50-N compressive force was applied to the glenohumeral joint. The peak force required to translate the humeral head beyond the glenoid lip posteriorly as well as the lateral displacement that occurred during posterior translation were measured. Testing was performed in 5 conditions: (1) intact glenoid and labrum, (2) simulated reverse Bankart lesion, (3) 12-mm posterior glenoid defect, (4) glenoid defect reconstructed with a fresh DTA, and (5) glenoid defect reconstructed with an SSA. RESULTS: The mean glenoid width was 30 mm. The mean peak force and lateral displacement decreased significantly with a glenoid defect (0.99 ± 2.3 N and 0.06 ± 0.09 mm, respectively; P < .0001) compared with the intact glenoid (23.00 ± 9.7 N and 1.83 ± 0.70 mm, respectively; P = .0001). There was no significant difference between the peak force after reconstruction of the defect with a DTA (23.00 ± 7.4 N) and SSA (23.00 ± 7.7 N) when compared with the intact glenoid (P = .9999). There were no significant differences in the peak force between the 2 grafts (P = .9999). Additionally, both the DTA (1.04 ± 1.09 mm) and the SSA (1.02 ± 1.17 mm) demonstrated no differences in lateral displacement when compared with the intact glenoid (P = .2336 and .2043, respectively). There was no difference in lateral displacement that occurred between the DTA and SSA (P = .9999). CONCLUSION: Reconstruction of a large posterior glenoid defect with either a DTA or an SSA can effectively restore glenohumeral stability. CLINICAL RELEVANCE: This study supports the use of a DTA or SSA in posterior glenoid defect reconstruction. Clinical studies are needed to determine the long-term effects of utilizing such grafts.

7.
Am J Sports Med ; 46(5): 1058-1063, 2018 04.
Artículo en Inglés | MEDLINE | ID: mdl-29537865

RESUMEN

BACKGROUND: There is currently no consensus regarding the amount of posterior glenoid bone loss that is considered critical. Critical bone loss is defined as the amount of bone loss that occurs in which an isolated labral repair will not sufficiently restore stability. PURPOSE: The purpose is to identify the critical size of the posterior defect. STUDY DESIGN: Controlled laboratory study. METHODS: Eleven cadaveric shoulders were tested. With the use of a custom robot device, a 50-N compressive force was applied to the glenohumeral joint, and the peak force that was required to translate the humeral head posteriorly and the lateral displacement that occurred with translation were measured. The defect size was measured as a percentage of the glenoid width. Testing was performed in 11 conditions: (1) intact glenoid and labrum, (2) simulated reverse Bankart lesion, (3) the reverse Bankart lesion repaired, (4) a 10% defect, (5) the reverse Bankart lesion repaired, (6) a 20% defect, (7) the reverse Bankart lesion repaired, (8) a 30% defect, (9) the reverse Bankart lesion repaired, (10) a 40% defect, and (11) the reverse Bankart repaired. RESULTS: Force and displacement decreased as the size of the osseous defect increased. The mean peak force that occurred with posterior displacement in specimens with a glenoid defect ≥20% and a reverse Bankart repair (13 ± 9 N) was significantly lower than the peak force that occurred in specimens with an isolated reverse Bankart repair (22 ± 10 N) ( P = .0451). In addition, the mean lateral displacement was significantly less in the specimens with a 20% glenoid defect and a reverse Bankart repair (0.61 ± 0.57 mm) compared with the lateral displacement that occurred in specimens with an isolated reverse Bankart repair (1.6 ± 0.78 mm) ( P = .0058). CONCLUSION: An osseous defect that is ≥20% of the posterior glenoid width remains unstable after isolated reverse Bankart repair. CLINICAL RELEVANCE: A bony restoration procedure of the glenoid may be necessary in shoulders with a posterior glenoid defect that is ≥20% of the glenoid width.


Asunto(s)
Inestabilidad de la Articulación/patología , Luxación del Hombro/patología , Articulación del Hombro/patología , Lesiones de Bankart/patología , Fenómenos Biomecánicos , Cadáver , Fuerza Compresiva , Femenino , Humanos , Inestabilidad de la Articulación/cirugía , Masculino , Persona de Mediana Edad , Luxación del Hombro/cirugía , Articulación del Hombro/cirugía
8.
J Am Acad Orthop Surg ; 26(1): e1-e10, 2018 Jan 01.
Artículo en Inglés | MEDLINE | ID: mdl-29206691

RESUMEN

Skiing and snowboarding have increased in popularity since the 1960s. Both sports are responsible for a substantial number of musculoskeletal injuries treated annually by orthopaedic surgeons. Specific injury patterns and mechanisms associated with skiing and snowboarding have been identified. No anatomic location is exempt from injury, including the head, spine, pelvis, and upper and lower extremities. In these sports, characteristic injury mechanisms often are related to the position of the limbs during injury, the athlete's expertise level, and equipment design. Controversy exists about the effectiveness of knee bracing and wrist guards in reducing the incidence of these injuries. Understanding these injury patterns, proper training, and the use of injury prevention measures, such as protective equipment, may reduce the overall incidence of these potentially debilitating injuries.


Asunto(s)
Esquí/lesiones , Traumatismos Craneocerebrales/epidemiología , Traumatismos Craneocerebrales/prevención & control , Diseño de Equipo , Humanos , Incidencia , Extremidad Inferior/lesiones , Ropa de Protección , Traumatismos Vertebrales/epidemiología , Traumatismos Vertebrales/prevención & control , Equipo Deportivo , Extremidad Superior/lesiones
9.
Orthopedics ; 40(6): e940-e946, 2017 Nov 01.
Artículo en Inglés | MEDLINE | ID: mdl-28662249

RESUMEN

The musculoskeletal manifestations of hemophilia A and B are some of the most common presenting symptoms and continue to be challenging to practitioners. Hemophilic arthropathy, if not initially adequately treated and managed, may lead to debilitating disease and eventually require the consideration of major surgery, including total joint arthroplasty. Thorough comprehension of the pathophysiology, diagnosis, and both medical and surgical interventions is critical in establishing an appropriate treatment regimen for these patients. Furthermore, a true multidisciplinary approach involving hematology, orthopedics, and physical therapy is essential for a patient with hemophilic arthropathy. The authors present a comprehensive review of hemophilic arthropathy from an orthopedist's perspective. [Orthopedics. 2017; 40(6):e940-e946.].


Asunto(s)
Hemofilia A/complicaciones , Hemofilia B/complicaciones , Artropatías/etiología , Adulto , Artritis/diagnóstico , Artritis/etiología , Artritis/cirugía , Artroplastia/métodos , Femenino , Humanos , Artropatías/diagnóstico , Artropatías/cirugía , Imagen por Resonancia Magnética , Masculino , Procedimientos Ortopédicos/métodos , Radiografía , Ultrasonografía
11.
J Orthop ; 14(1): 26-29, 2017 Mar.
Artículo en Inglés | MEDLINE | ID: mdl-27821997

RESUMEN

The midtarsal joint, also known as the Chopart or the transverse tarsal joint, is composed of the talonavicular and calcaneocuboid articulations.1 Midtarsal joint dislocations are rare injuries given the strong periarticular ligamentous support.2, 3 Medial, lateral, dorsal, and rarely plantar dislocations have been reported from multiple high-energy mechanisms.4, 5 We describe the case of a 24-year-old male who sustained talonavicular and calcaneocuboid plantar dislocations associated with a middle and lateral intercuneiform dislocation, open proximal 5th metatarsal fracture, 2nd-4th metatarsal base fractures, and lateral cuneiform fracture. The mechanism of injury, diagnosis, management, operative intervention, and follow up are discussed.

12.
Orthopedics ; 40(2): 119-124, 2017 Mar 01.
Artículo en Inglés | MEDLINE | ID: mdl-27925640

RESUMEN

Distal clavicle osteolysis is an uncommon condition that most commonly affects weight lifters and other athletes who perform repetitive overhead activity. Although this condition most commonly presents in young active men, it is becoming increasing more common in women with the rise in popularity of body building and extreme athletics. Distal clavicle osteolysis can be debilitating, especially in those with rigorous training regimens, preventing exercise because of pain with activities such as bench presses and chest flies. Aside from a careful history and physical examination, radiographic evaluation is essential in distinguishing isolated distal clavicle osteolysis from acromioclavicular joint pathology, despite a potentially similar presentation of the 2 conditions. Nonoperative therapy that includes activity modification, nonsteroidal anti-inflammatory drugs, and cortisone injections is the first-line management for this condition. Patients whose conditions are refractory to nonoperative modalities may benefit from distal clavicle resection via either open or arthroscopic techniques. Arthroscopic techniques typically are favored because of improved cosmesis and the added benefit of the ability to assess the glenohumeral joint during surgery to rule out concomitant pathology. There are varying operative techniques even within arthroscopic management, with pros and cons of a direct and an indirect surgical approach. Patients often do well after such procedures and are able to return to their preinjury level of participation in a relatively short period. [Orthopedics. 2017; 40(2):119-124.].


Asunto(s)
Clavícula , Osteólisis/diagnóstico , Adulto , Antiinflamatorios/uso terapéutico , Artroscopía , Clavícula/diagnóstico por imagen , Clavícula/fisiopatología , Clavícula/cirugía , Terapia Combinada , Femenino , Humanos , Masculino , Anamnesis , Osteólisis/etiología , Osteólisis/fisiopatología , Osteólisis/terapia , Examen Físico , Levantamiento de Peso
13.
Arthroplast Today ; 2(4): 177-182, 2016 Dec.
Artículo en Inglés | MEDLINE | ID: mdl-28326424

RESUMEN

Patients with afibrinogenemia or hypofibrinogenemia present a unique challenge to the arthroplasty surgeon as fibrinogen is a key contributor to hemostasis. Patients with these disorders are known to have a higher risk for postsurgical bleeding complications. We present the case of a patient with hypofibrinogenemia who underwent an elective total knee arthroplasty. Our colleagues in hematology-oncology guided us initially to achieve and maintain appropriate fibrinogen levels in the early perioperative period. However, the patient developed an acute joint effusion and subsequent infection 4 weeks after her initial operation. Her fibrinogen levels were noted to have fallen below the target range by that time, and it was also revealed that the patient failed to follow-up with hematology-oncology to monitor her levels. Based on our review of the available literature, we recommend that patient's fibrinogen levels be closely monitored and maintained ideally >100 mg/dL not only in the initial perioperative window but perhaps for the first 4-6 weeks postoperatively as well.

14.
Geriatr Orthop Surg Rehabil ; 5(4): 200-6, 2014 Dec.
Artículo en Inglés | MEDLINE | ID: mdl-26246943

RESUMEN

INTRODUCTION: The heath care system in the United States is in the midst of a transition, in large part to help accommodate an older and more medically complex population. Central to the current evolution is the reassessment of value based on the cost utility of a particular procedure compared to alternatives. The existing contribution of geriatric orthopedics to the societal burden of disease is substantial, and literature focusing on the economic value of treating elderly populations with musculoskeletal injuries is growing. MATERIALS AND METHODS: A literature review of peer-reviewed publications and abstracts related to the cost-effectiveness of treating geriatric patients with orthopedic injuries was carried out. RESULTS: In our review, we demonstrate that while cost-utility studies generally demonstrate net society savings for most orthopedic procedures, geriatric populations often contribute to negative net society savings due to decreased working years and lower salaries while in the workforce. However, the incremental cost-effective ratio for operative intervention has been shown to be below the financial willingness to treat threshold for common procedures including joint replacement surgery of the knee (ICER US$8551), hip (ICER US$17 115), and shoulder (CE US$957) as well as for spinal procedures and repair of torn rotator cuffs (ICER US$12 024). We also discuss the current trends directed toward improving institutional value and highlight important complementary next steps to help overcome the growing demands of an older, more active society. CONCLUSION: The geriatric population places a significant burden on the health care system. However, studies have shown that treating this demographic for orthopedic-related injuries is cost effective and profitable for providers under certain scenarios.

15.
Hand Surg ; 18(2): 179-87, 2013.
Artículo en Inglés | MEDLINE | ID: mdl-24164121

RESUMEN

The purpose of this study was to establish a normal measure of scaphoid position in the radioulnar plane in standard neutral, radial and ulnar deviation posteroanterior radiographs. This measurement may allow indirect evaluation of the radiocarpal ligaments and comparison between normal and pathologic states (following radius fractures, perilunate dislocations). Measurements were trialed on 74 normal wrist radiographs and 25 cadaver wrists. We evaluated the distance between the radial styloid and the scaphoid and corresponding scaphoid width. The ratio of distance/width at the mid styloid level (0.35, imprecision SD = 0.1) had the lowest random error and is therefore the most precise measurement of true scaphoid translation. This measurement is independent of scapholunate ligament integrity and may provide a better assessment of the radiocarpal component of ulnar translational instability. Abnormal movement of the scaphoid in the radioscaphoid joint likely reflects ligamentous injury. Identifying and addressing these injuries may prevent the development of arthritis.


Asunto(s)
Hueso Escafoides/anatomía & histología , Articulación de la Muñeca/anatomía & histología , Cadáver , Humanos , Masculino , Rango del Movimiento Articular , Valores de Referencia , Estudios Retrospectivos , Articulación de la Muñeca/fisiología
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