Nazmi Krasniqi
University of Zurich
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Featured researches published by Nazmi Krasniqi.
European Heart Journal | 2012
Frank Enseleit; Isabella Sudano; Daniel Périat; Stephan Winnik; Mathias Wolfrum; Andreas J. Flammer; Georg M. Fröhlich; Priska Kaiser; Astrid Hirt; Sarah R. Haile; Nazmi Krasniqi; Christian M. Matter; Klaus Uhlenhut; Petra Högger; Thomas F. Lüscher; Frank Ruschitzka; Georg Noll
AIMS Extracts from pine tree bark containing a variety of flavonoids have been used in traditional medicine. Pycnogenol is a proprietary bark extract of the French maritime pine tree (Pinus pinaster ssp. atlantica) that exerts antioxidative, anti-inflammatory, and anti-platelet effects. However, the effects of Pycnogenol on endothelial dysfunction, a precursor of atherosclerosis and cardiovascular events, remain still elusive. METHODS AND RESULTS Twenty-three patients with coronary artery disease (CAD) completed this randomized, double-blind, placebo-controlled cross-over study. Patients received Pycnogenol (200 mg/day) for 8 weeks followed by placebo or vice versa on top of standard cardiovascular therapy. Between the two treatment periods, a 2-week washout period was scheduled. At baseline and after each treatment period, endothelial function, non-invasively assessed by flow-mediated dilatation (FMD) of the brachial artery using high-resolution ultrasound, biomarkers of oxidative stress and inflammation, platelet adhesion, and 24 h blood pressure monitoring were evaluated. In CAD patients, Pycnogenol treatment was associated with an improvement of FMD from 5.3 ± 2.6 to 7.0 ± 3.1 (P < 0.0001), while no change was observed with placebo (5.4 ± 2.4 to 4.7 ± 2.0; P = 0.051). This difference between study groups was significant [estimated treatment effect 2.75; 95% confidence interval (CI): 1.75, 3.75, P < 0.0001]. 15-F(2t)-Isoprostane, an index of oxidative stress, significantly decreased from 0.71 ± 0.09 to 0.66 ± 0.13 after Pycnogenol treatment, while no change was observed in the placebo group (mean difference 0.06 pg/mL with an associated 95% CI (0.01, 0.11), P = 0.012]. Inflammation markers, platelet adhesion, and blood pressure did not change after treatment with Pycnogenol or placebo. CONCLUSION This study provides the first evidence that the antioxidant Pycnogenol improves endothelial function in patients with CAD by reducing oxidative stress.
Heart | 2011
Jan Steffel; Gligor Milosevic; Anja Hurlimann; Nazmi Krasniqi; Mehdi Namdar; Frank Ruschitzka; Thomas F. Lüscher; Firat Duru; Johannes Holzmeister; David Hürlimann
Background The individual benefit from cardiac resynchronisation therapy (CRT) varies largely among patients. Aims To compare different definitions of echocardiographic super-response to CRT regarding their ability to predict the incidence of adverse events. Methods Three definitions of super-response to CRT were evaluated in 110 consecutive patients with CRT implantation: (1) an absolute increase in ejection fraction of ≥10%; (2) a decrease in left ventricular end-systolic volume of ≥30%; and (3) a decrease in left ventricular end-diastolic volume of ≥20%. The primary endpoint was a combination of time to death, heart transplantation, ventricular assist device implantation and hospitalisation for heart failure. Secondary endpoints included time to first appropriate implantable cardioverter defibrillator (ICD) discharge during follow-up. Results All three definitions of super-response were highly predictive of a reduced risk for reaching the primary combined endpoint (3-year estimators: 64%±7% vs 82%±7% for ejection fraction ≥10%; 63%±8% vs 92%±5% for end-systolic volume ≥30%; and 62%±8% vs 94%±4% for end-diastolic volume ≥20%; all p<0.001). In all three analyses, super-responders had a significantly shorter time from diagnosis of heart failure until the time point of CRT implantation. However, even super-responders, independent of the definition, did experience appropriate ICD discharges during follow-up. Conclusions All three definitions of super-response are highly predictive for a favourable outcome after CRT. However, even patients with pronounced reverse left ventricular remodelling experience appropriate ICD discharges during follow-up.
American Journal of Cardiology | 2014
Ardan M. Saguner; Sabrina Ganahl; Samuel Hannes Baldinger; Andrea Kraus; Argelia Medeiros-Domingo; Sebastian Nordbeck; Arhan R. Saguner; Andreas S. Mueller-Burri; Laurent M. Haegeli; Thomas Wolber; Jan Steffel; Nazmi Krasniqi; Etienne Delacretaz; Thomas F. Lüscher; Leonhard Held; Corinna Brunckhorst; Firat Duru
The value of electrocardiographic findings predicting adverse outcome in patients with arrhythmogenic right ventricular dysplasia (ARVD) is not well known. We hypothesized that ventricular depolarization and repolarization abnormalities on the 12-lead surface electrocardiogram (ECG) predict adverse outcome in patients with ARVD. ECGs of 111 patients screened for the 2010 ARVD Task Force Criteria from 3 Swiss tertiary care centers were digitized and analyzed with a digital caliper by 2 independent observers blinded to the outcome. ECGs were compared in 2 patient groups: (1) patients with major adverse cardiovascular events (MACE: a composite of cardiac death, heart transplantation, survived sudden cardiac death, ventricular fibrillation, sustained ventricular tachycardia, or arrhythmic syncope) and (2) all remaining patients. A total of 51 patients (46%) experienced MACE during a follow-up period with median of 4.6 years (interquartile range 1.8 to 10.0). Kaplan-Meier analysis revealed reduced times to MACE for patients with repolarization abnormalities according to Task Force Criteria (p = 0.009), a precordial QRS amplitude ratio (∑QRS mV V1 to V3/∑QRS mV V1 to V6) of ≤ 0.48 (p = 0.019), and QRS fragmentation (p = 0.045). In multivariable Cox regression, a precordial QRS amplitude ratio of ≤ 0.48 (hazard ratio [HR] 2.92, 95% confidence interval [CI] 1.39 to 6.15, p = 0.005), inferior leads T-wave inversions (HR 2.44, 95% CI 1.15 to 5.18, p = 0.020), and QRS fragmentation (HR 2.65, 95% CI 1.1 to 6.34, p = 0.029) remained as independent predictors of MACE. In conclusion, in this multicenter, observational, long-term study, electrocardiographic findings were useful for risk stratification in patients with ARVD, with repolarization criteria, inferior leads TWI, a precordial QRS amplitude ratio of ≤ 0.48, and QRS fragmentation constituting valuable variables to predict adverse outcome.
BMC Cardiovascular Disorders | 2015
Ardan M. Saguner; Sabrina Ganahl; Andrea Kraus; Samuel Hannes Baldinger; Deniz Akdis; Arhan R. Saguner; Thomas Wolber; Laurent M. Haegeli; Jan Steffel; Nazmi Krasniqi; Thomas F. Lüscher; Felix C. Tanner; Corinna Brunckhorst; Firat Duru
BackgroundArrhythmogenic right ventricular cardiomyopathy/dysplasia (ARVC/D) is considered a progressive cardiomyopathy. However, data on the clinical features of disease progression are limited. The aim of this study was to assess 12-lead surface electrocardiographic (ECG) changes during long-term follow-up, and to compare these findings with echocardiographic data in our large cohort of patients with ARVC/D.MethodsBaseline and follow-up ECGs of 111 patients from three tertiary care centers in Switzerland were systematically analyzed with digital calipers by two blinded observers, and correlated with findings from transthoracic echocardiography.ResultsThe median follow-up was 4 years (IQR 1.9–9.2 years). ECG progression was significant for epsilon waves (baseline 14% vs. follow-up 31%, p = 0.01) and QRS duration (111 ms vs. 114 ms, p = 0.04). Six patients with repolarization abnormalities according to the 2010 Task Force Criteria at baseline did not display these criteria at follow-up, whereas in all patients with epsilon waves at baseline these depolarization abnormalities also remained at follow-up. T wave inversions in inferior leads were common (36% of patients at baseline), and were significantly associated with major repolarization abnormalities (p = 0.02), extensive echocardiographic right ventricular involvement (p = 0.04), T wave inversions in lateral precordial leads (p = 0.05), and definite ARVC/D (p = 0.05).ConclusionsOur data supports the concept that ARVC/D is generally progressive, which can be detected by 12-lead surface ECG. Repolarization abnormalities may disappear during the course of the disease. Furthermore, the presence of T wave inversions in inferior leads is common in ARVC/D.
Cardiology Research and Practice | 2014
Catherine Gebhard; Nazmi Krasniqi; Barbara E. Stähli; Bernd Klaeser; Tobias A. Fuchs; Jelena R. Ghadri; Laurent M. Haegeli; Thomas F. Lüscher; Philipp A. Kaufmann; Firat Duru
Background. Contrast-enhanced computed tomography is commonly acquired before radiofrequency catheter ablation (RFCA) for atrial fibrillation (AFib) to guide the procedure. We analyzed pulmonary vein (PV) ostial diameter and volumes on a high-definition 64-slice CT (HDCT) scanner in patients with AFib prior to RFCA. Methods and Results. This retrospective study included 50 patients (mean age 60.2 ± 11.4 years, 30 males) undergoing cardiac HDCT scanning before RFCA for drug refractory AFib and 50 age-, BMI-, and sex-matched controls with normal sinus rhythm undergoing HDCT. PV ostial diameter and volume were measured and calculated using a semiautomatic calliper tool. Total ostial PV volume was significantly increased in patients with AFib as compared to controls (P < 0.005). Similarly, total ostial PV diameter was significantly increased in AFib compared to controls (P < 0.001). In AFib, the largest PV volume and diameters were measured in right superior PV (P < 0.05 versus controls). The difference in PV volume between patients and controls was most pronounced in right superior PVs (P = 0.015). Right middle PVs were found more often in patients with AFib (16/50; 32%) than in normal subjects (7/50; 14%). Conclusion. Enlargement of PV ostial area and enlargement of volume are frequent findings in patients with drug refractory AFib. These parameters may add to the risk stratification for AFib recurrence following RFCA.
European Heart Journal | 2013
Dominik C. Benz; Nazmi Krasniqi; Ute Wagnetz; Ruedi Stieger; Felix C. Tanner; Urs Eriksson
A 63-year-old male presented with progressive right-sided hemiparesis, facial palsy, and aphasia. He had been scheduled for neoadjuvant chemotherapy for relapsing adenocarcinoma of the left colic flexure, and a left-sided port-a-cath was implanted 7 days ago. The CCT scan revealed several already well-demarked ischaemic brain lesions. Treatment with aspirin and statin was …
European Heart Journal | 2014
Nazmi Krasniqi; Urs Eriksson
This editorial refers to ‘Improved diagnosis of idiopathic giant cell myocarditis and cardiac sarcoidosis by myocardial gene expression profiling’[†][1], by D. Lassner et al., on page 2186. Gene expression profiling allows us to assess the expression of numerous genes simultaneously. In oncology, this novel technique contributed greatly to better classification, improved prognostic stratification, and specifically tailored treatment approaches for many cancers. In heart diseases, however, gene expression profiling has not yet found its way into routine diagnostic work-up. The appearance of heart-infiltrating cells, their composition, their morphological differentiation, as well as resolution of active inflammation or fibrotic remodelling are tightly and specifically regulated processes in myocarditis and inflammatory dilated cardiomyopathy (iDCM). Thus it seems obvious to expect specific gene expression patterns orchestrating time- and disease-specific cytokine production, adhesion molecules, and activation states of pro- and anti-inflammatory intracellular pathways. Despite low sensitivity, endomyocardial biopsies (EMBs) are still the diagnostic gold standard for inflammatory heart diseases. Analysis of biopsies by conventional histology, immunohistochemistry, and reverse transcription–quantitative PCR (RT–qPCR) aiming at viral genomes provides not only a quite specific diagnosis but also prognostic and therapeutic clues.1 Lymphocytic myocarditis is the most common histological form of active inflammatory heart disease, and usually results from viral infection or virus-triggered heart-specific autoimmunity. Other typical histological patterns include eosinophilic and idiopathic giant cell myocarditis (IGCM). IGCM represents a rare but distinct entity of unknown origin with unfavourable prognosis.2 Typical IGCM histology shows … [1]: #fn-2
PLOS ONE | 2012
Nazmi Krasniqi; Michael Turgut; Marc Husmann; Marco Roffi; Urs Schwarz; Matthias Greutmann; Thomas F. Lüscher; Beatrice Amann; Roberto Corti
Background Percutaneous carotid artery stenting (CAS) became a widely used procedure in patients with symptomatic and asymptomatic carotid artery stenosis. However its role compared to carotid endarterectomy (CAD) remains questioned. We analysed the safety of carotid artery stenting program of a prospective CAS register program of a tertiary teaching hospital. Method Between July 2003 and December 2010, 208 patients underwent CAS procedure. Baseline, procedural and follow-up data were prospectively collected. Primary peri-interventional outcome was defined as 30-day major adverse events (MAE), including death, stroke or myocardial infarction, and mid- to long-term follow-up outcome included ipsilateral stroke, myocardial infarction or death. Secondary outcome was restenosis rate ≥50% per lesion. Results Unilateral carotid artery interventions were performed in 186 patients. In 22 patients CAS was performed bilaterally as stages procedures. The 30-day MAE rate was 1.9% consisting of two contralateral strokes and two ipsilateral stroke. Mean clinically follow-up was 22 months. Mid- to long-term MAE was 8.1% with 6.3% (n = 13) deaths, 1.9% (n = 4) myocardial infarctions and 0.9% (n = 2) ipsilateral stroke. The restenosis rate ≥50% per lesion was 4.3% at a mean follow-up of 22 months. Target lesion revascularization was performed in one patient, because of restenosis at 9 months follow-up after first CAS. Conclusion Implementation of a carotid artery stenting program at a tertiary, teaching hospital is a safe method for treatment of carotid artery stenosis. The adverse event rate during mid-to-long-term follow-up suggests an appropriate patient selection.
Cardiology Research and Practice | 2012
Nazmi Krasniqi; Diana Segalada; Thomas F. Lüscher; Kurt Lippuner; Laurent M. Haegeli; Jan Steffel; Thomas Wolber; Corinna Brunckhorst; Johannes Holzmeister; David Hürlimann; Firat Duru
Background. Falls and fractures in the elderly are among the leading causes of disability. We investigated whether pacemaker implantation prevents falls in patients with SND in a large cohort of patients. Methods. Patient demographics and medical history were collected prospectively. Fall history was retrospectively reconstituted from available medical records. The 10-year probability for major osteoporotic fractures was calculated retrospectively from available medical records using the Swiss fracture risk assessment tool FRAX-Switzerland. Results. During a mean observation period of 2.3 years after implantation, the rates of fallers and injured fallers with fracture were reduced to 15% and 6%, respectively. This corresponds to a relative reduction in the number of fallers of 75% (P < 0.001) and of injured fallers of 63% (P = 0.014) after pacemaker implantation. Similarly, the number of falls was reduced from 60 (48%) before pacemaker implantation to 22 (18%) thereafter (relative reduction 63%, P = 0.035) and the number of falls with injury from 22 (18%) to 7 (6%), which corresponds to a relative reduction of 67%, P = 0.013. Conclusion. In patients with SND, pacemaker implantation significantly reduces the number of patients experiencing falls, the total number of falls, and the risk for osteoporotic fractures.
Cardiology Research and Practice | 2010
Laurent M. Haegeli; Thomas Wolber; Ercüment Ercin; Lukas Altwegg; Nazmi Krasniqi; Paul Novak; Laurence D. Sterns; Corinna Brunckhorst; Thomas F. Lüscher; Richard Leather; Firat Duru
Introduction. For pulmonary vein isolation in patients with atrial fibrillation (AF), some centers use the double transseptal puncture technique for catheter access in order to facilitate catheter manipulation within the left atrium. However, no safety data has so far been published using this approach. Method. 269 ablation procedures were performed in 243 patients (mean age 56.6 ± 9.3 years, 75% men) using the double transseptal puncture for catheter access in all cases. Patients were considered for ablation of paroxysmal (80%), persistent (19%), and permanent (1%) AF. 230 procedures were performed on an outpatient basis (85.5%), and 26 were repeat procedures (9.7%). Results. The double transseptal puncture catheter access was successfully achieved in all patients. The procedural success with the endpoint of pulmonary vein isolation was reached in 255 procedures (95%). A total of 1048 out of 1062 pulmonary veins (99%) were successfully isolated. Major complications occurred in eight patients (3.0%). Of these, seven patients (2.6%) had pericardial effusion requiring percutaneous drainage, and one patient (0.4%) suffered a minor reversible stroke. One patient (0.4%) had a minor air embolism with transient symptoms. Conclusion. The double transseptal puncture catheterization technique allows easy catheter manipulation within the left atrium to reach the goal of acute procedural success in AF ablation. Procedure-related complications are rare, and the technique can be used safely for AF ablation in the outpatient setting.