Σάββατο 31 Μαρτίου 2018

IJERPH, Vol. 15, Pages 649: Robust Economic Control Decision Method of Uncertain System on Urban Domestic Water Supply

IJERPH, Vol. 15, Pages 649: Robust Economic Control Decision Method of Uncertain System on Urban Domestic Water Supply

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040649

Authors: Li Ma Wei

As China quickly urbanizes, urban domestic water generally presents the circumstances of both rising tendency and seasonal cycle fluctuation. A robust economic control decision method for dynamic uncertain systems is proposed in this paper. It is developed based on the internal model principle and pole allocation method, and it is applied to an urban domestic water supply system with rising tendency and seasonal cycle fluctuation. To achieve this goal, first a multiplicative model is used to describe the urban domestic water demand. Then, a capital stock and a labor stock are selected as the state vector, and the investment and labor are designed as the control vector. Next, the compensator subsystem is devised in light of the internal model principle. Finally, by using the state feedback control strategy and pole allocation method, the multivariable robust economic control decision method is implemented. The implementation with this model can accomplish the urban domestic water supply control goal, with the robustness for the variation of parameters. The methodology presented in this study may be applied to the water management system in other parts of the world, provided all data used in this study are available. The robust control decision method in this paper is also applicable to deal with tracking control problems as well as stabilization control problems of other general dynamic uncertain systems.



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IJERPH, Vol. 15, Pages 642: Extremely Low Frequency-Magnetic Field (ELF-MF) Exposure Characteristics among Semiconductor Workers

IJERPH, Vol. 15, Pages 642: Extremely Low Frequency-Magnetic Field (ELF-MF) Exposure Characteristics among Semiconductor Workers

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040642

Authors: Sangjun Choi Wonseok Cha Jihoon Park Seungwon Kim Won Kim Chungsik Yoon Juhyun Park Kwonchul Ha Donguk Park

We assessed the exposure of semiconductor workers to extremely low frequency-magnetic fields (ELF-MF) and identified job characteristics affecting ELF-MF exposure. These were demonstrated by assessing the exposure of 117 workers involved in wafer fabrication (fab) and chip packaging wearing personal dosimeters for a full shift. A portable device was used to monitor ELF-MF in high temporal resolution. All measurements were categorized by operation, job and working activity during working time. ELF-MF exposure of workers were classified based on the quartiles of ELF-MF distribution. The average levels of ELF-MF exposure were 0.56 µT for fab workers, 0.59 µT for chip packaging workers and 0.89 µT for electrical engineers, respectively. Exposure to ELF-MF differed among types of factory, operation, job and activity. Workers engaged in the diffusion and chip testing activities showed the highest ELF-MF exposure. The ELF-MF exposures of process operators were found to be higher than those of maintenance engineers, although peak exposure and/or patterns varied. The groups with the highest quartile ELF-MF exposure level are operators in diffusion, ion implantation, module and testing operations, and maintenance engineers in diffusion, module and testing operations. In conclusion, ELF-MF exposure among workers can be substantially affected by the type of operation and job, and the activity or location.



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IJERPH, Vol. 15, Pages 644: Determinants of Child Health Behaviors in a Disadvantaged Area from a Community Perspective: A Participatory Needs Assessment

IJERPH, Vol. 15, Pages 644: Determinants of Child Health Behaviors in a Disadvantaged Area from a Community Perspective: A Participatory Needs Assessment

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040644

Authors: Manou Anselma Mai Chinapaw Teatske Altenburg

Children from disadvantaged areas are hard to reach for interventions aimed at promoting healthy lifestyles. We conducted a participatory needs assessment, in which researchers collaborated with a community in a disadvantaged area in Amsterdam to gain an understanding of the health-related issues of children within this community. Qualitative data was collected through: three to four participatory group meetings with three groups of 9–12-year-old children (n = 5–9 per group); nine interviews with professionals working with youth; two interviews with parents and their children; and informal meetings including 31 parents. All transcriptions or summaries were coded and analyzed. Childhood overweight/obesity was indicated as the main health issue. A lack of physical activity and unhealthy dietary behavior were identified as the main risk factors, with underlying determinants such as culture, habits, finances, and social norms. Identified needs included more supervised, low-priced sports activities at a nearby location and more education on adopting a healthy diet. Our participatory health needs assessment resulted in a comprehensive overview of the most relevant risk factors and determinants of childhood overweight/obesity and needs from the community’s perspective. This knowledge aids in the development of better tailored, and thereby potentially more effective, interventions.



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IJERPH, Vol. 15, Pages 647: Application of a Time-Stratified Case-Crossover Design to Explore the Effects of Air Pollution and Season on Childhood Asthma Hospitalization in Cities of Differing Urban Patterns: Big Data Analytics of Government Open Data

IJERPH, Vol. 15, Pages 647: Application of a Time-Stratified Case-Crossover Design to Explore the Effects of Air Pollution and Season on Childhood Asthma Hospitalization in Cities of Differing Urban Patterns: Big Data Analytics of Government Open Data

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040647

Authors: Ching-Yen Kuo Ren-Hao Pan Chin-Kan Chan Chiung-Yi Wu Dinh-Van Phan Chien-Lung Chan

Few studies have assessed the lagged effects of levels of different urban city air pollutants and seasons on asthma hospitalization in children. This study used big data analysis to explore the effects of daily changes in air pollution and season on childhood asthma hospitalization from 2001 to 2010 in Taipei and Kaohsiung City, Taiwan. A time-stratified case-crossover study and conditional logistic regression analysis were employed to identify associations between the risk of hospitalization due to asthma in children and the levels of air pollutants (PM2.5, PM10, O3, SO2, and NO2) in the days preceding hospitalization. During the study period, 2900 children in Taipei and 1337 in Kaohsiung aged ≤15 years were hospitalized due to asthma for the first time. The results indicated that the levels of air pollutants were significantly associated with the risk of asthma hospitalization in children, and seasonal effects were observed. High levels of air pollution in Kaohsiung had greater effects than in Taipei after adjusting for seasonal variation. The most important factor was O3 in spring in Taipei. In children aged 0–6 years, asthma was associated with O3 in Taipei and SO2 in Kaohsiung, after controlling for the daily mean temperature and relative humidity.



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IJERPH, Vol. 15, Pages 645: Factors that Predict Parental Willingness to Have Their Children Vaccinated against HPV in a Country with Low HPV Vaccination Coverage

IJERPH, Vol. 15, Pages 645: Factors that Predict Parental Willingness to Have Their Children Vaccinated against HPV in a Country with Low HPV Vaccination Coverage

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040645

Authors: Maria Ganczak Barbara Owsianka Marcin Korzeń

Background: Adolescent HPV (Human Papilloma Virus) vaccination is yet to be introduced as a mandatory program in Poland. Polish literature on factors associated with adolescent HPV vaccination is scant, despite the fact that uptake is one of the poorest in the European Union. Objectives: To assess HPV awareness and identify independent predictors for parental willingness to have their children vaccinated against HPV. Methods: All parents of first grade students from three selected high schools in Zgorzelec, Poland, who participated in parent–teacher meetings at the time the study was conducted, had their children unvaccinated regarding HPV, and who gave informed consent to participate were included. There were 600 first grade students; 9 were vaccinated against HPV. This left 591 parents who met the eligibility criteria; the response rate was 76.1%. Results: Awareness of HPV was reported by 55.3% of 450 parents (mean age 42 years, 70.9% females); 85.1% expressed their willingness to vaccinate their children against HPV; 31.3% identified HPV as a sexually transmitted pathogen, and 36.2% identified it as a risk factor of cervical cancer. Multivariable logistic regression analyses indicated that being employed (OR 2.09; 95% CI: 1.10–3.86), having positive attitudes toward vaccines (OR 3.02; 95% CI: 1.34–6.49), previous information about HPV (OR 2.02; 95% CI: 1.17–3.51), and concerns about the side effects of the HPV vaccine (OR 0.60; 95% CI: 0.35–0.99) were independent predictors of parents’ willingness to vaccinate. Conclusions: Attitudes regarding their child being vaccinated against HPV were positive among Polish parents, even though awareness and knowledge of HPV in this group were low. Most of the significant factors that influenced their willingness were modifiable, such as being informed about HPV and having positive attitudes toward vaccines. Future interventions should focus specifically on vulnerable subgroups, such as unemployed parents.



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IJERPH, Vol. 15, Pages 646: Children and Caregivers’ Exposure to Adverse Childhood Experiences (ACES): Association with Children’s and Caregivers’ Psychological Outcomes in a Therapeutic Preschool Program

IJERPH, Vol. 15, Pages 646: Children and Caregivers’ Exposure to Adverse Childhood Experiences (ACES): Association with Children’s and Caregivers’ Psychological Outcomes in a Therapeutic Preschool Program

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040646

Authors: Yair Ziv Inbar Sofri Kristen Capps Umphlet Stephanie Olarte Jimmy Venza

Exposure to adverse childhood experiences (ACE) has been found to have a profound negative impact on multiple child outcomes, including academic achievement, social cognition patterns, and behavioral adjustment. However, these links have yet to be examined in preschool children that are already experiencing behavior or social-emotional problems. Thus, the present study examined the links between the caregiver’s and the child’s exposure to ACE and multiple child and caregiver’s outcomes in a sample of 30 preschool children enrolled in a Therapeutic Nursery Program (TNP). Children are typically referred to this TNP due to significant delays in their social emotional development that often result in difficulty functioning in typical childcare, home, and community settings. Analyses revealed some contradictory patterns that may be specific to this clinical sample. Children with higher exposure to ACE showed more biased social information processing patterns and their caregivers reported lower child social skills than caregivers of children with less exposure, however their inhibitory control levels were higher (better control) and staff reported that these children exhibited better social skills as well as better approaches to learning than children with less exposure. No such contradictions were found in relation to the caregiver’s exposure to ACE, as it was positively associated with a number of negative child and caregiver outcomes.



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IJERPH, Vol. 15, Pages 643: The Impact of Suicide Bereavement on Educational and Occupational Functioning: A Qualitative Study of 460 Bereaved Adults

IJERPH, Vol. 15, Pages 643: The Impact of Suicide Bereavement on Educational and Occupational Functioning: A Qualitative Study of 460 Bereaved Adults

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040643

Authors: Alexandra Pitman Adelia Khrisna Putri Tanisha De Souza Fiona Stevenson Michael King David Osborn Nicola Morant

People bereaved by suicide are at an increased risk of suicide and of dropping out of education or work. Explanations for these associations are unclear, and more research is needed to understand how improving support in educational or work settings for people bereaved by suicide might contribute to reducing suicide risk. Our objective was to explore the impact of suicide on occupational functioning. We conducted a cross-sectional online study of bereaved adults aged 18–40, recruited from staff and students of British higher educational institutions in 2010. We used thematic analysis to analyse free text responses to two questions probing the impact of suicide bereavement on work and education. Our analysis of responses from 460 adults bereaved by suicide identified three main themes: (i) specific aspects of grief that impacted on work performance, cognitive and emotional domains, and social confidence; (ii) structural challenges in work or educational settings including a lack of institutional support, the impact of taking time off, and changes to caring roles; and (iii) new perspectives on the role of work, including determination to achieve. Institutional support should be tailored to take account of the difficulties and experiences described.



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IJERPH, Vol. 15, Pages 648: Preventing Opioid Use Disorders among Fishing Industry Workers

IJERPH, Vol. 15, Pages 648: Preventing Opioid Use Disorders among Fishing Industry Workers

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040648

Authors: Angela Walter Cesar Morocho Lauren King John Bartlett Debra Kelsey Monica DeSousa Gretchen Biesecker Laura Punnett

Fishing industry workers are at high risk for work-related musculoskeletal disorders (MSDs) and injuries. Prescription opioids used to treat pain injuries may put these workers at increased risk for developing substance disorders. Using a Community-Based Participatory Research approach, formative research was conducted to inform the eventual development of relevant interventions to prevent and reduce opioid use disorders among fishing industry workers. Qualitative interviews (n = 21) were conducted to assess: knowledge and attitudes about opioid use disorders; features of fishing work that might affect use and/or access to treatment; and community and organizational capacity for prevention and treatment. Participants reported numerous pathways connecting commercial fishing with opioid use. The combination of high stress and physically tasking job duties requires comprehensive workplace interventions to prevent chronic pain and MSDs, in addition to tailored and culturally responsive treatment options to address opioid use disorders in this population. Public health programs must integrate workplace health and safety protection along with evidence-based primary, secondary, and tertiary interventions in order to address opioid use disorders, particularly among workers in strenuous jobs.



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IJERPH, Vol. 15, Pages 641: Cooking Fuels in Lagos, Nigeria: Factors Associated with Household Choice of Kerosene or Liquefied Petroleum Gas (LPG)

IJERPH, Vol. 15, Pages 641: Cooking Fuels in Lagos, Nigeria: Factors Associated with Household Choice of Kerosene or Liquefied Petroleum Gas (LPG)

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040641

Authors: Obianuju Ozoh Tochi Okwor Olorunfemi Adetona Ayesha Akinkugbe Casmir Amadi Christopher Esezobor Olufunke Adeyeye Oluwafemi Ojo Vivian Nwude Kevin Mortimer

Cooking with dirty-burning fuels is associated with health risk from household air pollution. We assessed the prevalence of and factors associated with the use of cooking fuels, and attitudes and barriers towards use of liquefied petroleum gas (LPG). This was a cross-sectional, population-based survey conducted in 519 households in Lagos, Nigeria. We used a structured questionnaire to obtain information regarding choice of household cooking fuel and the attitudes towards the use of LPG. Kerosene was the most frequently used cooking fuel (n = 475, 91.5%; primary use n = 364, 70.1%) followed by charcoal (n = 159, 30.6%; primary use n = 88, 17%) and LPG (n = 86, 16.6%; primary use n = 63, 12.1%). Higher level of education, higher income and younger age were associated with LPG vs. kerosene use. Fuel expenditure on LPG was significantly lower than for kerosene ( N (Naira) 2169.0 ± 1507.0 vs. N 2581.6 ± 1407.5). Over 90% of non-LPG users were willing to switch to LPG but cited safety issues and high cost as potential barriers to switching. Our findings suggest that misinformation and beliefs regarding benefits, safety and cost of LPG are important barriers to LPG use. An educational intervention program could be a cost-effective approach to improve LPG adoption and should be formally addressed through a well-designed community-based intervention study.



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Παρασκευή 30 Μαρτίου 2018

Urinary excretion of platinum from South African precious metals refinery workers

Background

Urinary platinum (Pt) excretion is a reliable biomarker for occupational Pt exposure and has been previously reported for precious metals refinery workers in Europe but not for South Africa, the world’s largest producer of Pt.

Objective

This study aimed to quantify the urinary Pt excretion of South African precious metals refinery workers.

Methods

Spot urine samples were collected from 40 workers (directly and indirectly exposed to Pt) at two South African precious metals refineries on three consecutive mornings prior to their shifts. Urine samples were analysed for Pt using inductively coupled plasma-mass spectrometry and were corrected for creatinine content.

Results

The urinary Pt excretion of workers did not differ significantly between sampling days. Urinary Pt excretions ranged from <0.1 to 3.0 µg Pt/g creatinine with a geometric mean of 0.21 µg Pt/g creatinine (95% CI 0.17 to 0.26 µg Pt/g creatinine). The work area (P=0.0006; 2=0.567) and the number of years workers were employed at the refineries (P=0.003; 2=0.261) influenced their urinary Pt excretion according to effect size analyses. Directly exposed workers had significantly higher urinary Pt excretion compared with indirectly exposed workers (P=0.007).

Conclusion

The urinary Pt excretion of South African precious metals refinery workers reported in this study is comparable with that of seven other studies conducted in precious metals refineries and automotive catalyst plants in Europe. The Pt body burden of workers is predominantly determined by their work area, years of employment in the refineries and whether they are directly or indirectly exposed to Pt.



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IJERPH, Vol. 15, Pages 640: Assessing Vulnerability to Urban Heat: A Study of Disproportionate Heat Exposure and Access to Refuge by Socio-Demographic Status in Portland, Oregon

IJERPH, Vol. 15, Pages 640: Assessing Vulnerability to Urban Heat: A Study of Disproportionate Heat Exposure and Access to Refuge by Socio-Demographic Status in Portland, Oregon

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040640

Authors: Jackson Voelkel Dana Hellman Ryu Sakuma Vivek Shandas

Extreme urban heat is a powerful environmental stressor which poses a significant threat to human health and well-being. Exacerbated by the urban heat island phenomenon, heat events are expected to become more intense and frequent as climate change progresses, though we have limited understanding of the impact of such events on vulnerable populations at a neighborhood or census block group level. Focusing on the City of Portland, Oregon, this study aimed to determine which socio-demographic populations experience disproportionate exposure to extreme heat, as well as the level of access to refuge in the form of public cooling centers or residential central air conditioning. During a 2014 heat wave, temperature data were recorded using a vehicle-traverse collection method, then extrapolated to determine average temperature at the census block group level. Socio-demographic factors including income, race, education, age, and English speaking ability were tested using statistical assessments to identify significant relationships with heat exposure and access to refuge from extreme heat. Results indicate that groups with limited adaptive capacity, including those in poverty and non-white populations, are at higher risk for heat exposure, suggesting an emerging concern of environmental justice as it relates to climate change. The paper concludes by emphasizing the importance of cultural sensitivity and inclusion, in combination with effectively distributing cooling centers in areas where the greatest burden befalls vulnerable populations.



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IJERPH, Vol. 15, Pages 638: Can Periodical Examinations of Employees Be Useful in Detection of Glycaemia Impairment and Improving Patients’ Adherence to Medical Recommendations?

IJERPH, Vol. 15, Pages 638: Can Periodical Examinations of Employees Be Useful in Detection of Glycaemia Impairment and Improving Patients’ Adherence to Medical Recommendations?

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040638

Authors: Andrzej Marcinkiewicz Wojciech Hanke Paweł Kałużny Agnieszka Lipińska-Ojrzanowska Marta Wiszniewska Jolanta Walusiak-Skorupa

Worldwide epidemiological data indicates insufficient diagnosis of diabetes as an increasing public health problem. In the search for solutions to this disadvantageous situation, occupational medicine health services seem to open up a unique opportunity to recognize some abnormalities in the early stages, especially among the asymptomatic working-age population. 316 workers underwent obligatory prophylactic examinations. In patients with twice assayed FGL ≥ 126 mg/dL (7.0 mmol/L) an additional intervention was implemented, including further diagnostic processes and therapy in General Practice (GP), followed by examination by an occupational health specialist within 3 months. The diagnosis of previously unknown diabetes was established among 2.5% of examined workers. All patients referred to the GP due to detected glycaemia impairment visited their doctor and finished the diagnostic process, took up therapy constrained by the occupational health physician to show the effects of intervention within 3 months. Prophylactic medical check-ups allow improved compliance and medical surveillance over glycaemia impairment in patients with prediabetes states, unknown diabetes or uncontrolled clinical course of diabetes. Considering fasting glucose level during mandatory prophylactic examination helps effective prevention of diabetes and its complications and thus provides public health system benefits.



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IJERPH, Vol. 15, Pages 639: Assessing the Health-Care Risk: The Clinical-VaR, a Key Indicator for Sound Management

IJERPH, Vol. 15, Pages 639: Assessing the Health-Care Risk: The Clinical-VaR, a Key Indicator for Sound Management

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040639

Authors: Enrique Jiménez-Rodríguez José Feria-Domínguez Alonso Sebastián-Lacave

Clinical risk includes any undesirable situation or operational factor that may have negative consequences for patient safety or capable of causing an adverse event (AE). The AE, intentional or unintentionally, may be related to the human factor, that is, medical errors (MEs). Therefore, the importance of the health-care risk management is a current and relevant issue on the agenda of many public and private institutions. The objective of the management has been evolving from the identification of AE to the assessment of cost-effective and efficient measures that improve the quality control through monitoring. Consequently, the goal of this paper is to propose a Key Risk Indicator (KRI) that enhances the advancement of the health-care management system. Thus, the application of the Value at Risk (VaR) concept in combination to the Loss Distribution Approach (LDA) is proved to be a proactive tool, within the frame of balanced scorecard (BSC), in health organizations. For this purpose, the historical events recorded in the Algo-OpData® database (Algorithmics Inc., Toronto, ON, Canada, IBM, Armonk, NY, USA) have been used. The analysis highlights the importance of risk in the financials outcomes of the sector. The results of paper show the usefulness of the Clinical-VaR to identify and monitor the risk and sustainability of the implemented controls.



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IJERPH, Vol. 15, Pages 637: The Mental Health Status and Intellectual Ability of Unwed Mothers Dwelling in Korean Shelter Homes

IJERPH, Vol. 15, Pages 637: The Mental Health Status and Intellectual Ability of Unwed Mothers Dwelling in Korean Shelter Homes

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040637

Authors: Suyeon Jo Soowon Park Jung Youn Bo Sohn Hyo Choi Ji Lee Jin Lee Jun-Young Lee

Although many unwed mothers have issues concerning mental health and intellectual ability, little research has focused on their mental and cognitive status. Due to the public stigma attached to unwed mothers in South Korea, they tend to conceal their status and are less likely to seek psychiatric and psychological help. In this context, this study aims to assess the current status of their mental health and intellectual characteristics. A total of 48 unwed mothers from two shelter homes in South Korea agreed to participate in the study. We compared the mental health status of these unwed mothers with that of the general female population. Unwed mothers were more likely than those of the general female population to have mood disorders, post traumatic stress disorder (PTSD), alcohol and nicotine use disorders, and attention-deficit hyperactivity disorder (ADHD). Among the 48 unwed mothers, 20 (41.7%) had an IQ of less than 70, and the mean IQ (78.31) was significantly lower than the normalized mean IQ of the general female population. This study confirmed that unwed mothers dwelling in Korean shelter homes are more likely than the general female population to have mental disorders.



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IJERPH, Vol. 15, Pages 635: A Community-Driven Approach to Generate Urban Policy Recommendations for Obesity Prevention

IJERPH, Vol. 15, Pages 635: A Community-Driven Approach to Generate Urban Policy Recommendations for Obesity Prevention

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040635

Authors: Julia Díez Pedro Gullón María Sandín Vázquez Belén Álvarez María Martín María Urtasun Maite Gamarra Joel Gittelsohn Manuel Franco

There is an increasing research interest in targeting interventions at the neighborhood level to prevent obesity. Healthy urban environments require including residents’ perspectives to help understanding how urban environments relate to residents’ food choices and physical activity levels. We describe an innovative community-driven process aimed to develop environmental recommendations for obesity prevention. We conducted this study in a low-income area in Madrid (Spain), using a collaborative citizen science approach. First, 36 participants of two previous Photovoice projects translated their findings into policy recommendations, using an adapted logical framework approach. Second, the research team grouped these recommendations into strategies for obesity prevention, using the deductive analytical strategy of successive approximation. Third, through a nominal group session including participants, researchers, public health practitioners and local policy-makers, we discussed and prioritized the obesity prevention recommendations. Participants identified 12 policy recommendations related to their food choices and 18 related to their physical activity. The research team grouped these into 11 concrete recommendations for obesity prevention. The ‘top-three’ ranked recommendations were: (1) to adequate and increase the number of public open spaces; (2) to improve the access and cost of existing sports facilities and (3) to reduce the cost of gluten-free and diabetic products.



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IJERPH, Vol. 15, Pages 636: The Function of Personality in Suicidal Ideation from the Perspective of the Interpersonal-Psychological Theory of Suicide

IJERPH, Vol. 15, Pages 636: The Function of Personality in Suicidal Ideation from the Perspective of the Interpersonal-Psychological Theory of Suicide

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040636

Authors: Marc Baertschi Alessandra Costanza Alessandra Canuto Kerstin Weber

The Interpersonal-Psychological Theory of Suicide (IPTS) has been increasingly studied over the last years, responding to the demand for a valid framework addressing suicidality. Yet, only a few studies have explored the function of personality in the IPTS and none with clinical patients. We aimed to contribute to fill this gap in investigating the relationship between personality as conceptualized by the Five-Factor Model, the IPTS constructs, and a dimensional measure of current suicidal ideation. We conducted correlation, multiple linear regression, and path analyses based on a trait-interpersonal framework in a sample of 201 individuals visiting the psychiatric emergency room of a general hospital with current suicidal ideation. Neuroticism (positively) and openness (negatively) predicted perceived burdensomeness, while neuroticism (positively) and extraversion (negatively) predicted thwarted belongingness. Higher conscientiousness and lower extraversion were both predictors of the acquired capability for suicide. However, none of the models involving path analyses with IPTS variables as mediators of the relationship between personality traits and suicidal ideation was adequately adjusted to the data. Thus, it appears that personality plays a significant albeit modest role in suicidality when considered from an IPTS perspective. As personality is frequently assessed in the clinical routine, health professionals should consider it as complementary to detect individuals at risk of or presenting suicidal ideation.



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IJERPH, Vol. 15, Pages 634: Demographics and Psychological Factors Associated with Adiposity in Nurses

IJERPH, Vol. 15, Pages 634: Demographics and Psychological Factors Associated with Adiposity in Nurses

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040634

Authors: Bernarda Sánchez-Jiménez Reyna Sámano Daniela Chinchilla-Ochoa Rosa Morales-Hernández Ana Rodríguez-Ventura

Adiposity-based chronic disease (ABCD), overweight-Ow- or obesity-Ob-) in health personnel is as frequent as in the general population, even though they understand well the importance of maintaining a healthy weight. Thus, it is highly likely that certain demographic and psychological conditions, independently of knowledge, are contributing to develop ABCD. The aim of this study was to examine the association between these factors and ABCD in nurses. Data were collected from a cross-sectional study conducted in a tertiary level institute in Mexico City from 2012 to 2013. All the nurses of the institute of any age, shift, service area and seniority were invited to participate and 55% (265) accepted. We found that ABCD was present in 79.6%, and low self-esteem and emotional distress in 26% and 10%, respectively. Working in the night shift (p = 0.031), labor seniority &ge;15 years (p = 0.006), having 1 or more children (p = 0.021) and sessions of physical activity &lt;30 min (p = 0.03) were associated with ABCD. Low self-esteem (OR = 2, 95% CI 1.150&ndash;3.07, p = 0.023) and emotional distress (OR = 4, 95% CI 1.472&ndash;13.078, p = 0.012) were associated with unhealthy lifestyle (less of 3 days per week and/or less of 30 min per session of physical activity and poor dietary habits). Therefore, strategies to prevent and treat ABCD must consider each context among nurses and psychological disorders need be identified to avoid an unhealthy lifestyle.



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IJERPH, Vol. 15, Pages 633: The Relationship between Sleep Time and Mental Health Problems According to the Strengths and Difficulties Questionnaire in Children after an Earthquake Disaster: The Fukushima Health Management Survey

IJERPH, Vol. 15, Pages 633: The Relationship between Sleep Time and Mental Health Problems According to the Strengths and Difficulties Questionnaire in Children after an Earthquake Disaster: The Fukushima Health Management Survey

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040633

Authors: Shuntaro Itagaki Tetsuya Ohira Masato Nagai Seiji Yasumura Masaharu Maeda Yuriko Suzuki Hirobumi Mashiko Tetsuya Shiga Itaru Miura Hirooki Yabe

A cross-sectional study was performed on the adverse effects of sleep time on the mental health of children after the Great East Japan Earthquake and subsequent nuclear reactor accident in March 2011. The target participants were children aged 4–15 years living inside the government-designated evacuation zone as of 11 March 2011 (n = 29,585). The participants’ parents/guardians completed the Strengths and Difficulties Questionnaire (SDQ) and sleep time data were obtained from the 2011 Fukushima Health Management Survey. A total of 18,745 valid responses were returned. We excluded questionnaires with incomplete answers leaving 13,272 responses for the final analysis. First, we divided the children into three age groups for analysis. Second, we divided each age group into four or five groups based on sleep time per day. We used SDQ scores ≥16 to indicate a high risk of mental health problems. In the 4–6-year-old group, those with a sleep time of &lt;9 h had a higher risk. In the 7–12-year-old group, those with ≥10 h of sleep time had a higher risk. In the 13–15-year-old group, those with ≥9 h of sleep time had a higher risk. Shorter sleep time was associated with a higher risk of mental health in 4–6-year-olds. On the other hand, oversleeping was associated with a high risk of mental health in 7–15-year-olds.



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Πέμπτη 29 Μαρτίου 2018

Incident CTS in a large pooled cohort study: associations obtained by a Job Exposure Matrix versus associations obtained from observed exposures

Background

There is growing use of a job exposure matrix (JEM) to provide exposure estimates in studies of work-related musculoskeletal disorders; few studies have examined the validity of such estimates, nor did compare associations obtained with a JEM with those obtained using other exposures.

Objective

This study estimated upper extremity exposures using a JEM derived from a publicly available data set (Occupational Network, O*NET), and compared exposure-disease associations for incident carpal tunnel syndrome (CTS) with those obtained using observed physical exposure measures in a large prospective study.

Methods

2393 workers from several industries were followed for up to 2.8 years (5.5 person-years). Standard Occupational Classification (SOC) codes were assigned to the job at enrolment. SOC codes linked to physical exposures for forceful hand exertion and repetitive activities were extracted from O*NET. We used multivariable Cox proportional hazards regression models to describe exposure-disease associations for incident CTS for individually observed physical exposures and JEM exposures from O*NET.

Results

Both exposure methods found associations between incident CTS and exposures of force and repetition, with evidence of dose–response. Observed associations were similar across the two methods, with somewhat wider CIs for HRs calculated using the JEM method.

Conclusion

Exposures estimated using a JEM provided similar exposure-disease associations for CTS when compared with associations obtained using the ‘gold standard’ method of individual observation. While JEMs have a number of limitations, in some studies they can provide useful exposure estimates in the absence of individual-level observed exposures.



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IJERPH, Vol. 15, Pages 629: Reconsidering the Relationship between Air Pollution and Deprivation

IJERPH, Vol. 15, Pages 629: Reconsidering the Relationship between Air Pollution and Deprivation

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040629

Authors: Nick Bailey Guanpeng Dong Jon Minton Gwilym Pryce

This paper critically examines the relationship between air pollution and deprivation. We argue that focusing on a particular economic or social model of urban development might lead one to erroneously expect all cities to converge towards a particular universal norm. A naive market sorting model, for example, would predict that poor households will eventually be sorted into high pollution areas, leading to a positive relationship between air pollution and deprivation. If, however, one considers a wider set of theoretical perspectives, the anticipated relationship between air pollution and deprivation becomes more complex and idiosyncratic. Specifically, we argue the relationship between pollution and deprivation can only be made sense of by considering processes of risk perception, path dependency, gentrification and urbanization. Rather than expecting all areas to eventually converge to some universal norm, we should expect the differences in the relationship between air pollution and deprivation across localities to persist. Mindful of these insights, we propose an approach to modeling which does not impose a geographically fixed relationship. Results for Scotland reveal substantial variations in the observed relationships over space and time, supporting our argument.



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IJERPH, Vol. 15, Pages 628: Temporal and Spatial Variation in, and Population Exposure to, Summertime Ground-Level Ozone in Beijing

IJERPH, Vol. 15, Pages 628: Temporal and Spatial Variation in, and Population Exposure to, Summertime Ground-Level Ozone in Beijing

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040628

Authors: Hui Zhao Youfei Zheng Ting Li Li Wei Qing Guan

Ground-level ozone pollution in Beijing has been causing concern among the public due to the risks posed to human health. This study analyzed the temporal and spatial distribution of, and investigated population exposure to, ground-level ozone. We analyzed hourly ground-level ozone data from 35 ambient air quality monitoring sites, including urban, suburban, background, and traffic monitoring sites, during the summer in Beijing from 2014 to 2017. The results showed that the four-year mean ozone concentrations for urban, suburban, background, and traffic monitoring sites were 95.1, 99.8, 95.9, and 74.2 μg/m3, respectively. A total of 44, 43, 45, and 43 days exceeded the Chinese National Ambient Air Quality Standards (NAAQS) threshold for ground-level ozone in 2014, 2015, 2016, and 2017, respectively. The mean ozone concentration was higher in suburban sites than in urban sites, and the traffic monitoring sites had the lowest concentration. The diurnal variation in ground-level ozone concentration at the four types of monitoring sites displayed a single-peak curve. The peak and valley values occurred at 3:00–4:00 p.m. and 7:00 a.m., respectively. Spatially, ground-level ozone concentrations decreased in gradient from the north to the south. Population exposure levels were calculated based on ground-level ozone concentrations and population data. Approximately 50.38%, 44.85%, and 48.49% of the total population of Beijing were exposed to ground-level ozone concentrations exceeding the Chinese NAAQS threshold in 2014, 2015, and 2016, respectively.



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IJERPH, Vol. 15, Pages 630: Cigarette Waste in Popular Beaches in Thailand: High Densities that Demand Environmental Action

IJERPH, Vol. 15, Pages 630: Cigarette Waste in Popular Beaches in Thailand: High Densities that Demand Environmental Action

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040630

Authors: Nipapun Kungskulniti Naowarut Charoenca Stephen Hamann Siriwan Pitayarangsarit Jeremiah Mock

Thailand, like all nations, has a responsibility to initiate environmental actions to preserve marine environments. Low- and middle-income countries face difficulties implementing feasible strategies to fulfill this ambitious goal. To contribute to the revitalization of Thailand’s marine ecosystems, we investigated the level of tobacco product waste (TPW) on Thailand’s public beaches. We conducted a cross-sectional observational survey at two popular public beaches. Research staff collected cigarette butts over two eight-hour days walking over a one-kilometer stretch of beach. We also compiled and analyzed data on butts collected from sieved sand at 11 popular beaches throughout Thailand’s coast, with 10 samples of sieved sand collected per beach. Our survey at two beaches yielded 3067 butts in lounge areas, resulting in a mean butt density of 0.44/m2. At the 11 beaches, sieved sand samples yielded butt densities ranging from 0.25 to 13.3/m2, with a mean butt density of 2.26/m2 (SD = 3.78). These densities show that TPW has become a serious problem along Thailand’s coastline. Our findings are comparable with those in other countries. We report on government and civil society initiatives in Thailand that are beginning to address marine TPW. The solution will only happen when responsible parties, especially and primarily tobacco companies, undertake actions to eliminate TPW.



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IJERPH, Vol. 15, Pages 626: Health Impacts and Economic Costs of Air Pollution in the Metropolitan Area of Skopje

IJERPH, Vol. 15, Pages 626: Health Impacts and Economic Costs of Air Pollution in the Metropolitan Area of Skopje

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040626

Authors: Gerardo Martinez Joseph Spadaro Dimitris Chapizanis Vladimir Kendrovski Mihail Kochubovski Pierpaolo Mudu

Background: Urban outdoor air pollution, especially particulate matter, remains a major environmental health problem in Skopje, the capital of the former Yugoslav Republic of Macedonia. Despite the documented high levels of pollution in the city, the published evidence on its health impacts is as yet scarce. Methods: we obtained, cleaned, and validated Particulate Matter (PM) concentration data from five air quality monitoring stations in the Skopje metropolitan area, applied relevant concentration-response functions, and evaluated health impacts against two theoretical policy scenarios. We then calculated the burden of disease attributable to PM and calculated the societal cost due to attributable mortality. Results: In 2012, long-term exposure to PM2.5 (49.2 μg/m3) caused an estimated 1199 premature deaths (CI95% 821–1519). The social cost of the predicted premature mortality in 2012 due to air pollution was estimated at between 570 and 1470 million euros. Moreover, PM2.5 was also estimated to be responsible for 547 hospital admissions (CI95% 104–977) from cardiovascular diseases, and 937 admissions (CI95% 937–1869) for respiratory disease that year. Reducing PM2.5 levels to the EU limit (25 μg/m3) could have averted an estimated 45% of PM-attributable mortality, while achieving the WHO Air Quality Guidelines (10 μg/m3) could have averted an estimated 77% of PM-attributable mortality. Both scenarios would also attain significant reductions in attributable respiratory and cardiovascular hospital admissions. Conclusions: Besides its health impacts in terms of increased premature mortality and hospitalizations, air pollution entails significant economic costs to the population of Skopje. Reductions in PM2.5 concentrations could provide substantial health and economic gains to the city.



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IJERPH, Vol. 15, Pages 625: Farmers’ Willingness to Pay for Health Risk Reductions of Pesticide Use in China: A Contingent Valuation Study

IJERPH, Vol. 15, Pages 625: Farmers’ Willingness to Pay for Health Risk Reductions of Pesticide Use in China: A Contingent Valuation Study

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040625

Authors: Wenyu Wang Jianjun Jin Rui He Haozhou Gong Yuhong Tian

This study aimed to estimate farmers’ willingness to pay (WTP) for health risk reductions of pesticide use by applying the contingent valuation method (CVM) and to explore the factors that influence farmers’ WTP in China. In total, 244 farmers were randomly selected and interviewed. The mean WTP was estimated to be $65.38 (0.94% of total household income) per household per year for a 5/10,000 reduction in morbidity risk. This study shows that farmers’ socioeconomic and attitudinal factors that significantly affect their WTP include farmers’ farming income, education, household size and risk perceptions. In particular, the results demonstrate that respondents’ social trust, social reciprocity and social networks have significant impacts on their WTP. The findings of this study can provide useful insights for policy makers to design effective policies to address health problems related to pesticide use in the developing world.



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IJERPH, Vol. 15, Pages 627: Recurrent Renal Colic in a Patient with Munchausen Syndrome

IJERPH, Vol. 15, Pages 627: Recurrent Renal Colic in a Patient with Munchausen Syndrome

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040627

Authors: Francesco Miconi Valentina Rapaccini Emanuela Savarese Gabriele Cabiati Augusto Pasini Giovanni Miconi Nicola Principi Susanna Esposito

Background: In most of the cases regarding children, factitious disorders (FDs) are intentionally produced by parents. Less attention is paid to FDs in which a child or adolescent intentionally induces or falsifies the disease to attain a patient’s role. Case presentation: A 13-year-old immigrated and adopted boy previously underwent an operation for renal joint syndrome and was affected by recurrent episodes of renal colic. The boy was admitted reporting acute left flank pain with scars on the mucous face of his prepuce and had a recent previous hospitalization for the same reason. Laboratory tests and radiological findings did not reveal any morphological or functional alterations. Self-induced FD was suspected, and a psychiatric consultation was performed. After psychiatric consultation and remission of the symptoms with a placebo, a diagnosis of Munchausen syndrome was suspected. The patient’s uncle was not initially convinced of the diagnosis. Some videos clearly showed that the boy was handling his prepuce to excrete stones, explaining the scars. A therapeutic plan with psychiatrist support was later accepted with a positive outcome. No further signs and symptoms of renal colic were reported. Conclusions: It is recommended that paediatricians include FD in the differential diagnosis of a persistent and unexplained medical condition. If suspicion arises, confirmation and long-term therapy by a group of qualified specialists, including psychiatrists, should be planned.



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Using survival analysis to improve pre-emptive fire engine allocation for emergency response

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Publication date: April 2018
Source:Fire Safety Journal, Volume 97
Author(s): Godfred Yeboah, Peter Y. Park
Municipal fire districts with only one fire engine face challenges when responding to multiple concurrent emergency calls. The problem appears to arise more often than might be expected. The pre-emptive allocation of fire engines for predetermined short-term periods from one carefully selected fire district to another could help fire districts to respond to multiple incidents more efficiently and effectively by maximizing the use of a municipality's existing resources. This study used survival analysis (the Kaplan-Meier estimator and Cox hazard model) to determine the time (time of day, day of the week and season) when the risk of multiple emergencies was expected to be highest in a “demand” fire district and lowest in a “supplier” district. The type of incident most likely to occur was also considered. Our case study in Saskatoon found that the demand district most needed help with multiple calls during summer weekends from 10 a.m. to 11 p.m. One of the two supplier districts analyzed had low risk at these times and could participate in pre-emptive allocation. Alarm incidents were the most likely type of incident to occur during multiple calls. The study clearly demonstrates the potential for pre-emptive fire engine allocation based on a data-driven and scientific approach.



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IJERPH, Vol. 15, Pages 624: Patient as a Partner in Healthcare-Associated Infection Prevention

IJERPH, Vol. 15, Pages 624: Patient as a Partner in Healthcare-Associated Infection Prevention

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040624

Authors: Marta Wałaszek Małgorzata Kołpa Zdzisław Wolak Anna Różańska Jadwiga Wójkowska-Mach

Objectives: The objective of the study was getting to know the knowledge and attitudes towards hand hygiene (HH) among Polish patients and healthcare workers (HCWs). Methods: 459 respondents replied to the survey: 173 (37.6%) patients and 286 (62.3%) HCWs; 57 HCWs were additionally interviewed. Results: Few HCWs knew and used the “5 moments for HH” in the required situations. Both patients and HCWs rated HH of other HCWs poorly: only 75% of patients and 54% of HCWs noticed the application of HH before blood sample collection, but 1/2 of interviewed HCWs did not encounter a request for HH from a patient. According to interviews, 23 (40%) HCWs did not admonish others when they did not use HH. Seventy-five percent of patients and HCWs claimed that, in the past, in schools the toilets were poorly stocked, but the situation improved with the passage of time. Conclusions: There are barriers with resspect to treating patients as partners in HH in Polish hospitals and HCWs’ lack of compliance with the “5 moments for HH” significantly reduces patients’ safety. Practice implications: Education regarding HH should be conducted for the whole society from an early age: lack of proper supplies in school bathrooms impedes the development of positive HH habits.



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IJERPH, Vol. 15, Pages 623: Physical Activity as a Determinant of Quality of Life in Working-Age People in Wrocław, Poland

IJERPH, Vol. 15, Pages 623: Physical Activity as a Determinant of Quality of Life in Working-Age People in Wrocław, Poland

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040623

Authors: Daniel Puciato Michał Rozpara Zbigniew Borysiuk

Regular physical activity can greatly contribute to the improvement of physical fitness and performance, reduction of the incidence risk of some occupational diseases, and as a consequence, to a general improvement of quality of life in terms of health status. The aim of the article was to assess relationships between the quality of life and physical activity of a working-age population. The study material comprised 4460 residents of the city of Wrocław, Poland (2129 men, 2331 women) aged 18–64 years. The study was a questionnaire survey using the International Physical Activity Questionnaire Short Form (IPAQ-SF) and The World Health Organization Quality of Life (WHOQOL-BREF) questionnaires. The highest levels of overall quality of life and its four particular domains (physical, psychological, social, and environmental), as well as perceived health conditions were found among the most physically active respondents. Furthermore, the odds of high assessment of perceived overall quality of life were shown to increase with the increasing levels of physical activity. Activities aimed at the improvement of the quality of life of working-age people should involve programs enhancing the development of physical activity.



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Τετάρτη 28 Μαρτίου 2018

Parental posttraumatic stress and child behavioral problems in world trade center responders

American Journal of Industrial Medicine, EarlyView.


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Codability of industry and occupation information from cancer registry records: Differences by patient demographics, casefinding source, payor, and cancer type

American Journal of Industrial Medicine, EarlyView.


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Remembering Jim Melius

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American Journal of Industrial Medicine, EarlyView.


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The psychological distress and care needs of mesothelioma patients and asbestos‐exposed subjects: A systematic review of published studies

American Journal of Industrial Medicine, EarlyView.


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James Melius, MD, DrPH, 1948‐1918

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American Journal of Industrial Medicine, EarlyView.


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Risk factors associated with allergic sensitization and asthma phenotypes among poultry farm workers

American Journal of Industrial Medicine, EarlyView.


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Clinical and laboratory factors contributing to uninterpretable beryllium lymphocyte proliferation tests (BeLPT)

American Journal of Industrial Medicine, EarlyView.


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Asbestos standards: Impact of currently uncounted chrysotile asbestos fibers on lifetime lung cancer risk

American Journal of Industrial Medicine, EarlyView.


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NIOSH remembers James Melius, M.D., Dr.P.H.

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American Journal of Industrial Medicine, EarlyView.


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In memoriam

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American Journal of Industrial Medicine, EarlyView.


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Shift work and cardiovascular disease – do the new studies add to our knowledge?

The association of shift work with cardiovascular disease (CVD) has been studied for decades with new systematic reviews repeatedly being published (1–4). Based on 34 studies and over 2 million employees, the systematic review of Vyas et al (4) concluded a few years ago that shift work was associated with incident myocardial infarction, with a risk ratio of 1.23 [95% confidence interval (CI) 1.15–1.31]. In this issue, a new systematic review and meta-analysis on shift work and the risk of CVD is published. Based on 21 studies, including 10 new ones since the publication of Vyas et al (4), Torquati and colleagues (3) found that shift work was associated with coronary heart disease (CHD) morbidity with a pooled risk ratio of 1.26 (95% CI 1.10–1.43) and about 20% increased risk of death from CHD or CVD. The study also reports that risk of CVD events increased by 7.1% for every five years of exposure. Even though the classical study of Knutsson et al (5) showed that CVD increases with exposure up to 20 years, the exposure–response estimate based on the meta-analysis is novel. With the increasing number of original studies and systematic reviews over the years, our knowledge on the association between shift work and CVD should be growing. However, new studies often have old quality problems. Without improvement in quality, new studies may not sufficiently add to the knowledge base. Information and selection bias, insufficient or incorrect control of confounding, and imprecise exposure information have often been common challenges in studies of shift work and CVD (1, 2). Thus, we ask whether the quality of new studies reviewed by Torquati et al (3) has improved? And if not, how should future shift work and CVD studies be designed to overcome methodological challenges? Selection bias Earlier studies on shift work and CVD have discussed the possible role of selection, primarily as a source of negative bias, indicating that many may underestimate the true risk. A “healthy shift worker effect” may rise if mainly healthy employees are selected into shift work, for instance based on pre-employment screening or selection out of shift work due to insomnia or other health problems. Both options are possible since health check-ups and regulations for transfer to day work in cases of recognized health problems are included in current legislation in many countries. Since the association between shift work and chronic diseases like CVD and breast cancer attenuates after cessation of exposure (6, 7), restricting study populations to elderly cohorts of former shift workers – who have not been exposed for years – may overlook real associations. The recent Million Women Study (8), which found no association between shift work and cancer, included subjects of very advanced age. Starting follow-up at an older age may have resulted in the inclusion of more participants less susceptible to the effects of night shift work (7, 9). Furthermore, old age is associated with the accumulation of competing risk factors, diminishing the relative role of shift work compared to the other factors (10). In the current review, different risks of bias were systematically examined across all individual studies by a validated tool (11). Attrition was not possible to assess in 13 of the 21 published studies, and 1 had clearly a high attrition. If attrition was linked to the full cessation of exposure follow-up in some of the studies, we may have a negative bias of unknown magnitude in some of the published studies. Exposure assessment Already 20 years ago, Bøggild & Knutsson (1) suggested in their review of shift work and CVD that “different shift schedules should be distinguished to identify which type of shift schedule confers the smallest risk”. Torquati et al (3) studied the quality of exposure assessment of the individual studies by analyzing whether information on duration of exposure as well as shift intensity was available, as requested for instance by the International Agency for Research on Cancer (IARC) working group report on shift work and cancer studies (12). Torquati et al (3) also investigated the possible use of objective exposure information (payroll or other employer registers or diary data of working hours) of the published studies. Of 21 studies, 8 had additional information on the different elements of shift work exposure and only 4 could provide objective data on shift work exposure. The lack of life-time information on shift work could bias the evaluation of shift work health effects since this may mean that risks of long-term or early shift work exposure is overlooked. In addition, it is common that many day workers are exposed to shift work in the beginning of their career (13); thus, lack of information of earlier exposure attenuates the observed risk estimates. The use of objective registry-based shift work and health data has several benefits: it provides precise information on exposure less affected by information bias as well as outcome data less affected by attrition since data can be retrieved for all employees (14). However, the main limitations relate to the possibility of accessing company records on longer periods of exposure in addition to obtaining information on exposure outside the main occupation. Confounding and effect mediators Based on Torquati et al (3), all the 21 analyzed studies adjusted for age, body mass index, ethnicity, and socioeconomic status.  However, besides increased energy intake (15) and weight gain (16), shift work disturbs sleep and may increase smoking (4). Adjustment for smoking may thus hide a true effect of shift work on smoking-related diseases. A recent study indicated that shift workers had similar leisure-time physical activity patterns as day workers but were more sedentary at work (17).  As the authors note, in order to disentangle effect mediation from true confounding, we would need information on these factors not only during the pre-employment period but also repeatedly during and after exposure to shift work. In their sensitivity analysis, Torquati et al (3) investigated how various sources of potential bias influenced the observed overall risks. Studies were classified as having low, intermediate, or high risk of bias from either unreliable exposure assessment, insufficient adjustment for confounders, analytical methods, blinding of assessors, attrition, selective reporting, or funding. Rather surprisingly, the overall degree of bias had no strong influence on the magnitude of the reported risks, indicating that methodological shortcomings of the studied bias types may not explain the positive overall findings. However, this may not be the case for the reported positive dose–response relationship with duration of shift work. Of the five studies included in the analysis, three showed increasing risk with duration of shift work (18–20), while two showed no such trend (21, 22). The first three studies all relied on self-reported exposure and outcome information that was not blinded to exposure status, while the latter two relied on register information on exposure as well as outcome. For the other eight risk of bias parameters, all five studies were assessed as being equal. This actually questions the reliability of the reported 7.1% increasing relative risk per five years of shift work, which may be affected by recall bias and stresses the need for analyses based on objective exposure as well as objective outcome data (23, 24). In conclusion, the present review of Torquati et al (3) shows that even if the number of new publications on shift work and cardiovascular health increases, many of the new studies still include the well-known old sources of bias. Some light is seen in the acknowledgement of the need for better exposure assessment of shift work. The new case–control studies of shift work and breast cancer used interviews to get more precise and relevant information on exposure to night and shift work (7). However, the use of electronic records of working hours would be most optimal. For the cohort studies, we would need to combine the precise information on exposure to shift work with longer and more systematic follow-up. With objective information on shift characteristics, which are robust to differential recall, it may be possible to provide acceptable safety limits for the number of annual or consecutive night shifts for different exposure times and/or risk groups. Therefore, future etiological studies and research into the prevention of CVD risks in shift work needs to be based on the principle of obtaining precise and repeated information on exposure to shift work combined with long registry follow-up and repeated information on confounders and possible mediators. by Härmä M, Gustavsson P, Kolstad HA. doi:10.5271/sjweh.3723

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IJERPH, Vol. 15, Pages 622: Parents’ Experience and Views of Vaccinating Their Child against Influenza at Primary School and at the General Practice

IJERPH, Vol. 15, Pages 622: Parents’ Experience and Views of Vaccinating Their Child against Influenza at Primary School and at the General Practice

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040622

Authors: Pauline Paterson Will Schulz Martin Utley Heidi Larson

The purpose of this study was to gain an in-depth understanding of parents’ experience and views of vaccinating their four to six-year-old child against influenza at school and at the general practice (GP). A cross-sectional qualitative study was conducted between March–June 2016 with parents of children in Reception and Year 1 in four randomly selected schools in Bury, Leicestershire, and Surrey, England. Twenty-five outreach forms were completed and returned, and seven interviews were conducted. Interview transcripts were coded by theme in NVivo (version 11, QSR International Pty Ltd., Melbourne, Australia). The primary reason parents gave for vaccinating their child was to prevent their child from contracting influenza. Parents’ perceived benefits of vaccinating in schools were to avoid the inconvenience of having to take their child to the GP, and that their child would behave better at school. Parents viewed that accompanying their child for the vaccination at school would undermine the convenience and peer-pressure advantages of the school as a venue. No parents expressed concern about their child being too young to be vaccinated in school. This research suggests that the school is a desirable venue for childhood influenza vaccination, both from the parents’ view and given that influenza vaccination coverage is higher when delivered through schools than GPs.



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De Gruyter launches new open access journal Chemistry Teacher International: Best Practices in Chemistry Education

 



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IJERPH, Vol. 15, Pages 620: Beliefs about Vaccinations: Comparing a Sample from a Medical School to That from the General Population

IJERPH, Vol. 15, Pages 620: Beliefs about Vaccinations: Comparing a Sample from a Medical School to That from the General Population

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040620

Authors: Lauren Latella Robert McAuley Mitchell Rabinowitz

The current study compares health care professionals’ beliefs about vaccination statements with the beliefs of a sample of individuals from the general population. Students and faculty within a medical school (n = 58) and a sample from the general population in the United States (n = 177) were surveyed regarding their beliefs about vaccinations. Participants evaluated statements about vaccinations (both supporting and opposing), and indicated whether they thought the general population would agree with them. Overall, it was found that subjects in both populations agreed with statements supporting vaccination over opposing statements, but the general population was more likely to categorize the supporting statements as beliefs rather than facts. Additionally, there was little consensus within each population as to which statements were considered facts versus beliefs. Both groups underestimated the number of people that would agree with them; however, the medical affiliates showed the effect significantly more. Implications for medical education and health communication are discussed.



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IJERPH, Vol. 15, Pages 621: Water Quality in Surface Water: A Preliminary Assessment of Heavy Metal Contamination of the Mashavera River, Georgia

IJERPH, Vol. 15, Pages 621: Water Quality in Surface Water: A Preliminary Assessment of Heavy Metal Contamination of the Mashavera River, Georgia

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040621

Authors: Sisira Withanachchi Giorgi Ghambashidze Ilia Kunchulia Teo Urushadze Angelika Ploeger

Water quality contamination by heavy metal pollution has severe effects on public health. In the Mashavera River Basin, an important agricultural area for the national food system in Georgia (e.g., vegetable, dairy and wine production), water contamination has multiple influences on the regional and country-wide health. With new industrial activities in the region, sediment extraction, and discharge of untreated wastewater into the river, its tributaries and irrigation canals, a comprehensive study of water quality was greatly needed. This study examined sediment and water samples from 17 sampling sites in the Mashavera River Basin during the high and low precipitation seasons. The results were characterized utilizing the Geo-accumulation Index (Igeo), Enrichment Factor (EF), Pollution Load index (PLI), Contamination Factor (CF) and Metal Index (MI). According to the CFs, Cu &gt; Cd &gt; Zn &gt; Pb &gt; Fe &gt; Mn &gt; Ni &gt; Cr &gt; Hg is the descending order for the content of all observed heavy metals in sediments collected in both seasons. Fe and As were additionally examined in water samples. Overall, As, Cd and Pb, all highly toxic elements, were found in high concentrations in downstream sample sites. According to these results, comprehensive monitoring with narrow intervals between sampling dates, more sample sites along all waterways, and proximate observation of multiple trace metal elements are highly recommended. Moreover, as the part of the water quality governance system, an immediate and sustainable collective action by all stakeholders to control the pollution level is highly recommended, as this issue is linked to the security of the national food system and poses a local public health risk.



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IJERPH, Vol. 15, Pages 618: Parents’ Experiences of Suicide-Bereavement: A Qualitative Study at 6 and 12 Months after Loss

IJERPH, Vol. 15, Pages 618: Parents’ Experiences of Suicide-Bereavement: A Qualitative Study at 6 and 12 Months after Loss

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040618

Authors: Victoria Ross Kairi Kõlves Lisa Kunde Diego De Leo

The death of a child by suicide is a severe trauma, placing parents at greater risk of psychological morbidity and physical health problems compared to other causes of death. However, few studies have examined the aftermath and bereavement experience for parents following the death of a child to suicide, limiting the ability to guide effective postvention services through empirical research. The current study, which was part of a larger longitudinal investigation of suicide bereavement in Queensland, Australia, examined the individual experiences of both mothers and fathers bereaved by suicide over time, specifically at the six month and 12 month time points after their loss. Bereaved parents who had provided written consent to be contacted for research purposes were identified through the Queensland Suicide Register, and took part in individual, semi-structured interviews. Generic qualitative analysis identified three key themes: searching for answers and sense-making, coping strategies and support, and finding meaning and purpose. Some participants showed indications of meaning-making and post-traumatic growth at 12 months after the suicide. According to the dual process model of bereavement, it is likely that participants were still oscillating between sense-making and meaning making, indicating that adapting to bereavement is a dynamic and fluctuating process.



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IJERPH, Vol. 15, Pages 619: ‘Obesogenic’ School Food Environments? An Urban Case Study in The Netherlands

IJERPH, Vol. 15, Pages 619: ‘Obesogenic’ School Food Environments? An Urban Case Study in The Netherlands

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040619

Authors: Joris Timmermans Coosje Dijkstra Carlijn Kamphuis Marlijn Huitink Egbert van der Zee Maartje Poelman

(1) Background: This study aimed to explore and define socio-economic (SES) differences in urban school food environments in The Netherlands. (2) Methods: Retail food outlets, ready-to-eat products, in-store food promotions and food advertisements in public space were determined within 400 m walking distance of all secondary schools in the 4th largest city of The Netherlands. Fisher’s exact tests were conducted. (3) Results: In total, 115 retail outlets sold ready-to-eat food and drink products during school hours. Fast food outlets were more often in the vicinity of schools in lower SES (28.6%) than in higher SES areas (11.5%). In general, unhealthy options (e.g., fried snacks, sugar-sweetened beverages (SSB)) were more often for sale, in-store promoted or advertised in comparison with healthy options (e.g., fruit, vegetables, bottled water). Sport/energy drinks were more often for sale, and fried snacks/fries, hamburgers/kebab and SSB were more often promoted or advertised in lower SES areas than in higher SES-areas. (4) Conclusion: In general, unhealthy food options were more often presented than the healthy options, but only a few SES differences were observed. The results, however, imply that efforts in all school areas are needed to make the healthy option the default option during school time.



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IJERPH, Vol. 15, Pages 616: The Epidemiology of Unintentional and Violence-Related Injury Morbidity and Mortality among Children and Adolescents in the United States

IJERPH, Vol. 15, Pages 616: The Epidemiology of Unintentional and Violence-Related Injury Morbidity and Mortality among Children and Adolescents in the United States

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040616

Authors: Michael Ballesteros Dionne Williams Karin Mack Thomas Simon David Sleet

Injuries and violence among young people have a substantial emotional, physical, and economic toll on society. Understanding the epidemiology of this public health problem can guide prevention efforts, help identify and reduce risk factors, and promote protective factors. We examined fatal and nonfatal unintentional injuries, injuries intentionally inflicted by other (i.e., assaults and homicides) among children ages 0–19, and intentionally self-inflicted injuries (i.e., self-harm and suicides) among children ages 10–19. We accessed deaths (1999–2015) and visits to emergency departments (2001–2015) for these age groups through the Centers for Disease Control and Prevention’s (CDC) Web-based Injury Statistics Query and Reporting System (WISQARS), and examined trends and differences by age, sex, race/ethnicity, rural/urban status, and injury mechanism. Almost 13,000 children and adolescents age 0–19 years died in 2015 from injury and violence compared to over 17,000 in 1999. While the overall number of deaths has decreased over time, there were increases in death rates among certain age groups for some categories of unintentional injury and for suicides. The leading causes of injury varied by age group. Our results indicate that efforts to reduce injuries to children and adolescents should consider cause, intent, age, sex, race, and regional factors to assure that prevention resources are directed at those at greatest risk.



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IJERPH, Vol. 15, Pages 617: Comparison of Commensal Escherichia coli Isolates from Adults and Young Children in Lubuskie Province, Poland: Virulence Potential, Phylogeny and Antimicrobial Resistance

IJERPH, Vol. 15, Pages 617: Comparison of Commensal Escherichia coli Isolates from Adults and Young Children in Lubuskie Province, Poland: Virulence Potential, Phylogeny and Antimicrobial Resistance

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040617

Authors: Ewa Bok Justyna Mazurek Andrzej Myc Michał Stosik Magdalena Wojciech Katarzyna Baldy-Chudzik

Commensal Escherichia coli population is a dynamic structure which may be important in the pathogenesis of extraintestinal infections. The aim of this study was the comparison of genetic diversity of commensal E. coli isolates from two age group—adults and young children. E. coli strains were isolated on MacConkey agar and identified by biochemical tests. Determination of four major phylogenetic groups, identification of virulence genes and antimicrobial resistance determinants were performed by using multiplex or simplex PCR. Phenotypic analysis of resistance was based on disc-diffusion method. The prevalence of virulence genes was significantly higher among isolates from adults than from young children. Phylogroup B2 predominated among E. coli from adults, whereas phylogroup A was the most common in isolates from young children. The analyses of antimicrobial resistance revealed that resistance to at least one antimicrobial agent and multidrug-resistance were detected significantly more frequent in the isolates from adults than from young children. This study documented that the commensal E. coli isolates from adults showed greater genetic diversity than from young children and constitutes a substantial reservoir of the virulence genes typical for extraintestinal pathogenic E. coli.



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IJERPH, Vol. 15, Pages 615: Nutrition-Related Knowledge, Attitudes, and Practices (KAP) among Kindergarten Teachers in Chongqing, China: A Cross-Sectional Survey

IJERPH, Vol. 15, Pages 615: Nutrition-Related Knowledge, Attitudes, and Practices (KAP) among Kindergarten Teachers in Chongqing, China: A Cross-Sectional Survey

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040615

Authors: Hongyan Liu Xianglong Xu Dengyuan Liu Yunshuang Rao Cesar Reis Manoj Sharma Jun Yuan Yao Chen Yong Zhao

Kindergarten teachers play an important role in providing kindergarten children with education on nutrition. However, few studies have been published on nutrition-related knowledge, attitudes, and practices (KAP) of Chinese kindergarten teachers. This study aimed to assess the nutrition-related knowledge, attitudes, and practices (KAP) of kindergarten teachers in Chongqing, China. Thus, a cross-sectional survey was conducted using a structured KAP model questionnaire administered to 222 kindergarten teachers, who were senior teachers from 80 kindergartens in 19 districts and 20 counties in Chongqing. Multiple regression analysis was used to analyze the influential factors. Among the participants, 54.2% were familiar with simple nutrition-related knowledge; only 9.9% of them were satisfied with their knowledge of childhood nutrition; and 97.7% of them had a positive attitude to learn nutrition-related knowledge. Only 38.7% of the participants had attended pediatric nutrition knowledge courses or training. Multiple regression analysis confirmed significant independent effects on the nutrition knowledge score (p &lt; 0.0001) of respondents on age, type of residence, type of kindergarten, body mass index(BMI), professional training of kindergarten teachers, behavior of having ever participated in childhood nutrition education knowledge courses or training, and behavior of having ever paid attention to children’s nutrition knowledge. The model indicated that independent variables explained 45.4% (adjusted R2) of the variance found in the knowledge scores of respondents. While there were low levels of nutrition knowledge and training, it was still encouraging to note that there were positive attitudes towards acquiring nutrition-related knowledge among kindergarten teachers in Chongqing, China. These findings provide some implications that necessary training measures need to be carried out to improve the nutrition-related knowledge level among kindergarten teachers in China.



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IJERPH, Vol. 15, Pages 614: Geospatial Analysis and Seasonal Distribution of West Nile Virus Vectors (Diptera: Culicidae) in Southern Ontario, Canada

IJERPH, Vol. 15, Pages 614: Geospatial Analysis and Seasonal Distribution of West Nile Virus Vectors (Diptera: Culicidae) in Southern Ontario, Canada

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040614

Authors: Bryan Giordano Kevin Turner Fiona Hunter

The purpose of this study was to establish geospatial and seasonal distributions of West Nile virus vectors in southern Ontario, Canada using historical surveillance data from 2002 to 2014. We set out to produce mosquito abundance prediction surfaces for each of Ontario’s thirteen West Nile virus vectors. We also set out to determine whether elevation and proximity to conservation areas and provincial parks, wetlands, and population centres could be used to improve our model. Our results indicated that the data sets for Anopheles quadrimaculatus, Anopheles punctipennis, Anopheles walkeri, Culex salinarius, Culex tarsalis, Ochlerotatus stimulans, and Ochlerotatus triseriatus were not suitable for geospatial modelling because they are randomly distributed throughout Ontario. Spatial prediction surfaces were created for Aedes japonicus and proximity to wetlands, Aedes vexans and proximity to population centres, Culex pipiens/restuans and proximity to population centres, Ochlerotatus canadensis and elevation, and Ochlerotatus trivittatus and proximity to population centres using kriging. Seasonal distributions are presented for all thirteen species. We have identified both when and where vector species are most abundant in southern Ontario. These data have the potential to contribute to a more efficient and focused larvicide program and West Nile virus awareness campaigns.



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Τρίτη 27 Μαρτίου 2018

Anke Beck to leave De Gruyter

 



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Reply

Dear Sir,

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Industrial Maladies

By Sir Thomas Legge. Published by Oxford Medical Publications, 1934. 225 pp.

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Science of Diving—Concepts and Applications

WienkeBruce. Published by CRC Press. 2015. ISBN: 978-1-4987-2513-2. Price: £94.00 (hardback); £84.60 (e-book). 401 pp.

https://ift.tt/2Gi86Om

New and emerging risks of chemical carcinogens: detection and prevention

Cancer is a major cause of death worldwide and there are many efforts to tackle it. Occupational cancer is a cancer caused fully or partially by exposure to a cancer-causing agent at work. It has been estimated that 8% of all cancers are caused by exposures to carcinogens in the workplace. Using the cancer incidence numbers in the EU-27, this means that there are about 122000 new cancer cases in the EU each year caused by occupational exposure [1]. This number is very likely to be an underestimate because of the long latency of cancer, and difficulties in establishing a causal relationship between occupational exposure and cancer. On the other hand, millions of EU workers are currently exposed to thousands of (process generated) substances and mixtures for which a detailed risk assessment of their carcinogenic properties is not available [2,3]. Occupational cancer can be prevented by limiting exposure to zero. Since limiting exposure will reduce the number of cases in the long run, it is worth focusing on this by timely understanding the risks and developing measures to control them. In the European Environment Agency report Late Lessons From Early Warnings [4], a selection of occupational, public health and environmental emerging risks were evaluated. One of their main conclusions was that there is a lack of institutional and other mechanisms to respond to early warning signals. The report shows that by ignoring early warnings by businesses, and manufacturing doubt about the science supporting such warnings, costs are transferred to society. Reducing the delay between early warnings and actions is one of their main recommendations.

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SurveyMonkey®



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Organizational justice and the psychological contract

Justice can be defined as the quality of being fair and reasonable. It may be framed in terms of law, morality, ethics, religion and equity and the concept of justice varies from culture to culture. Theories of justice have a long pedigree, and one of the earliest theories is defined in Plato’s (428–348 BC) Republic in terms of the harmonious relationship between the individual and the just city state: ‘A just man is a man in the right place, doing his best and giving the equivalent of what he has received.’ Other philosophers have argued that justice is determined by natural law, the social contract, or the principle of egalitarianism. There are many theories of distributive, retributive and restorative justice.

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Occupational Medicine Calendar

2018DateEventContact AddressVenueJuly 11–12World Congress on Environmental Toxicology and Healthhttps://environment.conferenceseries.com/events-list/occupational-safety-and-health-servicesSydney, AustraliaSeptember 12–13Employability in the 21st Century - 2nd International Conference on Sustainable Employabilityhttp://www.employability21.comLeuven, BelgiumSeptember 23–25OEMAC 36th Annual Scientific Conferencehttp://oemac.org/annual-conference/2018-calgary/Calgary, Alberta

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In this issue of Occupational Medicine

A theme that frequently emerges in reviewing the new articles for Occupational Medicine is the extent to which specialists in occupational medicine are focused as much on the contribution of illness to the ability to work as we are on the effect of work exposures on the development of ill-health. Previous articles in this journal come to mind, in particular those addressing once fatal or incapacitating illnesses such as cancer or cystic fibrosis. They remind us that prior views on work ability have broadened through modern medicine’s ability to effectively treat disease while at the same time preserving patients’ ability to function in the world of work. Still, our knowledge of the factors that permit engagement of the chronically ill at work lags behind. Several articles in this issue are noteworthy in pointing out the gaps where better understanding of ill-health at work could be beneficial in our mission.

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Occupational eye hazard of Renaissance sculptor Benvenuto Cellini and the recurrent theme of pigeon’s blood

Benvenuto Cellini (1500–71), an Italian sculptor, is known for his bronze sculpture ‘Perseus with the Head of Medusa’, which is now located in the Loggia dei Lanzi in Florence. Cellini also wrote a famous autobiography in which the following occupational eye injury is described [1] occurring when Cellini worked with his sculpture ‘Narcissus’ in the 1540s.

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Is there a need for specific smoking cessation programs for the military?

Dear Sir,

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Visit the workplace? What’s wrong with it?

It was the human resources (HR) lady on the phone. I was at the clinic room in a factory, ‘doing a list’ for hand-arm vibration syndrome. I got the uneasy feeling that by making the request, I was seeking to break a local tradition of clinician insulation from the workplace. ‘I am required to visit the workplace and see the workers at work’, I explained, ‘... it’s part of health surveillance’. A short write up and a binary ruling of ‘fit’ or ‘unfit’ was really what management was after. There were not meant to be any twists to the oft told tale ... and surely no role for an Oliver asking for more. What the Dickens was I trying to do?

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Implementation of the Directive 89/391/EEC in Europe

Dear Sir,

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A Sculptor’s Workshop, Stratford-upon-Avon 1617 (replica by Henry Wallis), 1857

Sunlight floods the dark interior revealing an almost sacred scene of adoration, renaissance and creative spirit. The red-haired Dutch sculptor Geerhart Janssen kneels reverentially before the luminous white marble figure of William Shakespeare in academic pose, his hands resting on a cushion—the right soon to hold a quill, the left atop a piece of parchment. Janssen is putting the finishing touches to a memorial sculpture while the elegantly dressed playwright Ben Johnson proffers the immortal bard’s death mask. Yet Janssen’s children seem oblivious to the drama being played out before them. The two ‘ginger’ innocents on the floor are lost in play with some of their father’s clay figures, while their older sibling leans languidly against the open timber door, chewing her left index finger and gazing distantly beyond the historic tableau. Outside a path leads down to a tree-lined riverbank and an écorché (a human figure with the skin removed to display the musculature) poses on the sill of a creeper-clad window, which frames the iconic view of the Avon and Holy Trinity’s elegant spire. On the wall behind the sculpture rests a model of the funerary monument, signed and dated 1857. This imaginary scene is a replica (39 × 53 cm) [1] of a much larger Wallis painting (whereabouts unknown) originally owned by Robert Platt (1802–82), a wealthy cotton manufacturer from Cheshire [2].

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Fifty years ago: Searching for occupational cancer risks

There is by now a long list of proven occupational cancer risks; these cover a wide range of jobs and carcinogenic substances, and a variety of cancer sites. One occupational cancer recently brought to light, where the exact agent is not yet known, is carcinoma of the nasal cavity and accessory sinuses in woodworkers. Acheson, Hadfield and Macbeth (1967) examined the incidence of this cancer in men in Oxfordshire and parts of Berkshire and Buckinghamshire and found that from 1956 to 1965, there had been 17 cases among some 12000 woodworkers, although not more than one case would have been expected according to regional age-specific rates. The excess of cases was among furniture workers in High Wycombe. Intensive work is currently being carried out on the cancer mortality of a number of occupational groups including asbestos workers and rubber workers. But there are various suspected occupational cancer risks which still await investigation, and which an industrial medical officer may be well placed to study. For instance, it has long been suspected that metal dust can cause cancer of the larynx, but it seems that nobody has yet taken a group of men with past exposure of this kind and made a survey of their subsequent cancer mortality.

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Systematic review: impact of liver transplantation on employment

Abstract
Background
The majority of liver transplant recipients survive long term after the procedure.
Aim
To assess if this positive outcome is associated with improved employment post-transplant.
Methods
A systematic review of publications between 2001 and 2016 was performed. A standard procedure was used to search for suitable publications from two databases (PubMed and EMBASE). Duplicates were removed and abstracts screened by both authors for possible inclusion. Possible suitable publications were obtained and examined for the presence of pre- and post-employment information. Full articles that had this information were reviewed by standard methodology for assessment of bias.
Results
A total of 162 individual abstracts were screened. Thirty-five full papers were reviewed and 13 papers included in the detailed review. Risk of bias was considered high due to low response rates, poor assessment of prognostic and confounding factors and varying definitions of employment. Heterogeneous data precluded meta-analysis. Eight studies focused on return to work as a primary outcome and five on quality of life with employment as a secondary outcome. Follow-up varied between 2 and 13 years. Rates of employment fell in all studies assessed. Employment rates ranged from 26 to 80% pre-transplant and 18 to 44% post-transplant. The proportion of those categorized as ill-health retired was 24% greater after orthotopic liver transplantation.
Conclusions
Improved survival after liver transplantation was not reflected in a return to employment and retirement was common. Areas for further study include interventions to minimize physical deconditioning, depression associated with lower employment rates and type of work available after transplant.

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Systematic review: chronic obstructive pulmonary disease and work-related outcomes

Abstract
Background
Several studies have assessed the impact of chronic obstructive pulmonary disease (COPD) on work ability and work productivity; however, this relationship is poorly understood.
Aims
To undertake a systematic review to assess the effects of COPD on employment, absenteeism and presenteeism.
Methods
A comprehensive search using CINAHL, Embase, MEDLINE and the Cochrane Library was conducted to include epidemiological studies from 1937 to August 2017. One reviewer screened all citations. Shortlisted full-text articles were independently assessed by a second reviewer. Data were extracted by one reviewer with a random sample of papers (45%) checked by a second reviewer.
Results
Forty-four studies were included; the majority of evidence was from cross-sectional studies, and some cohort studies. COPD patients had lower employment rates than those without COPD. Among those in work, most studies showed patients with COPD took more time off work than those without and reported poorer work performance (presenteeism), although evidence for this association was weaker. The influence of disease severity on these outcomes was unclear; however, it appeared that increasing severity of airflow obstruction was associated with reduced likelihood of being employed. A number of methodological limitations were found among the evidence, including the lack of adjustment for important confounders.
Conclusions
Future studies are required which assess the impact of COPD on presenteeism using validated presenteeism instruments and consistent reporting methods. Robust studies are now needed to identify modifiable factors associated with these poorer working outcomes to inform future interventions aimed at improving work productivity among those with COPD.

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Case-control investigation of occupational exposure to chlorinated solvents and non-Hodgkins lymphoma

Objectives

Although many studies have investigated the association between trichloroethylene (TCE) exposure and non-Hodgkin’s lymphoma (NHL), less is known about other chlorinated solvents. We extended our previous analysis of occupational TCE exposure in a multicentre population-based case-control study of NHL to investigate associations with five additional chlorinated solvents: 1,1,1,-trichloroethane, carbon tetrachloride, chloroform, methylene chloride and perchloroethylene.

Methods

Cases (n=1189) and controls (n=982) provided detailed information on their occupational histories and workplace exposure to chlorinated solvents for selected occupations using job-specific interview modules. An industrial hygienist used this information and a review of the literature to assess occupational exposure to chlorinated solvents. We computed ORs and 95% CIs for different exposure metrics, with the unexposed group as the referent. We also computed ORs by NHL subtype.

Results

High cumulative hours exposed to carbon tetrachloride was associated with NHL (>520 hours: OR 1.9; 95% CI 1.0 to 3.6; Ptrend=0.04). This association remained after restricting to jobs with high-intensity exposure (OR 2.0; 95% CI 1.1 to 3.8; P=0.03) and ≥90% exposure probability (OR 2.1; 95% CI 1.0 to 4.3; P=0.03), adjusting for TCE (OR 2.1; 95% CI 1.0– to 4.1; P=0.04) and incorporating a 15-year lag (OR 1.9; 95% CI 1.0 to 3.6; P=0.06). The other evaluated chlorinated solvents were not associated with NHL.

Conclusions

This is the first study using high-quality quantitative exposure assessment methods to identify a statistically significant elevated association between occupational exposure to carbon tetrachloride and NHL. Our findings, although limited by a small number of exposed cases, offer evidence that carbon tetrachloride may be a lymphomagen.



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IJERPH, Vol. 15, Pages 610: Evaluating Community Partnerships Addressing Community Resilience in Los Angeles, California

IJERPH, Vol. 15, Pages 610: Evaluating Community Partnerships Addressing Community Resilience in Los Angeles, California

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040610

Authors: Malcolm Williams Anita Chandra Asya Spears Danielle Varda Kenneth Wells Alonzo Plough David Eisenman

Community resilience has grown in importance in national disaster response and recovery efforts. However, measurement of community resilience, particularly the content and quality of relationships aimed at improving resilience, is lacking. To address this gap, we used a social network survey to measure the number, type, and quality of relationships among organizations participating in 16 coalitions brought together to address community resilience in the Los Angeles Community Disaster Resilience project. These coalitions were randomized to one of two approaches (community resilience or preparedness). Resilience coalitions received training and support to develop these partnerships and implement new activities. Both coalition types received expert facilitation by a public health nurse or community educator. We also measured the activities each coalition engaged in and the extent to which partners participated in these activities at two time points. We found that the community resilience coalitions were initially larger and had lower trust among members than the preparedness communities. Over time, these trust differences dissipated. While both coalitions grew, the resilience community coalitions maintained their size difference throughout the project. We also found differences in the types of activities implemented by the resilience communities; these differences were directly related to the trainings provided. This information is useful to organizations seeking guidance on expanding the network of community-based organizations that participate in community resilience activities.



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IJERPH, Vol. 15, Pages 609: An Extended Chemical Plant Environmental Protection Game on Addressing Uncertainties of Human Adversaries

IJERPH, Vol. 15, Pages 609: An Extended Chemical Plant Environmental Protection Game on Addressing Uncertainties of Human Adversaries

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040609

Authors: Zhengqiu Zhu Bin Chen Sihang Qiu Rongxiao Wang Feiran Chen Yiping Wang Xiaogang Qiu

Chemical production activities in industrial districts pose great threats to the surrounding atmospheric environment and human health. Therefore, developing appropriate and intelligent pollution controlling strategies for the management team to monitor chemical production processes is significantly essential in a chemical industrial district. The literature shows that playing a chemical plant environmental protection (CPEP) game can force the chemical plants to be more compliant with environmental protection authorities and reduce the potential risks of hazardous gas dispersion accidents. However, results of the current literature strictly rely on several perfect assumptions which rarely hold in real-world domains, especially when dealing with human adversaries. To address bounded rationality and limited observability in human cognition, the CPEP game is extended to generate robust schedules of inspection resources for inspection agencies. The present paper is innovative on the following contributions: (i) The CPEP model is extended by taking observation frequency and observation cost of adversaries into account, and thus better reflects the industrial reality; (ii) Uncertainties such as attackers with bounded rationality, attackers with limited observation and incomplete information (i.e., the attacker’s parameters) are integrated into the extended CPEP model; (iii) Learning curve theory is employed to determine the attacker’s observability in the game solver. Results in the case study imply that this work improves the decision-making process for environmental protection authorities in practical fields by bringing more rewards to the inspection agencies and by acquiring more compliance from chemical plants.



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IJERPH, Vol. 15, Pages 608: How Socio-Environmental Factors Are Associated with Japanese Encephalitis in Shaanxi, China—A Bayesian Spatial Analysis

IJERPH, Vol. 15, Pages 608: How Socio-Environmental Factors Are Associated with Japanese Encephalitis in Shaanxi, China—A Bayesian Spatial Analysis

International Journal of Environmental Research and Public Health doi: 10.3390/ijerph15040608

Authors: Shaobai Zhang Wenbiao Hu Xin Qi Guihua Zhuang

Evidence indicated that socio-environmental factors were associated with occurrence of Japanese encephalitis (JE). This study explored the association of climate and socioeconomic factors with JE (2006–2014) in Shaanxi, China. JE data at the county level in Shaanxi were supplied by Shaanxi Center for Disease Control and Prevention. Population and socioeconomic data were obtained from the China Population Census in 2010 and statistical yearbooks. Meteorological data were acquired from the China Meteorological Administration. A Bayesian conditional autoregressive model was used to examine the association of meteorological and socioeconomic factors with JE. A total of 1197 JE cases were included in this study. Urbanization rate was inversely associated with JE incidence during the whole study period. Meteorological variables were significantly associated with JE incidence between 2012 and 2014. The excessive precipitation at lag of 1–2 months in the north of Shaanxi in June 2013 had an impact on the increase of local JE incidence. The spatial residual variations indicated that the whole study area had more stable risk (0.80–1.19 across all the counties) between 2012 and 2014 than earlier years. Public health interventions need to be implemented to reduce JE incidence, especially in rural areas and after extreme weather.



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