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  HIV/AIDS & Health > Treatment > Treatment Issues > Volume 15 number 4

GMHC: Treatment Issues

Past Issues

Volume 15, number 4
April 2001

 

Contents

Kind of a Drag...
T-20's taking its sweet time getting here. Why?

Revolution!
Profound changes in attitudes to worldwide AIDS treatment

You Lost Me After the Title...
The fundamentals of reading scientific papers

What's HCV Got to Do, Got to Do With It?
Does hepatitis C make HIV even worse

A TI Editorial
Women need to be better served by drug trials

 

What's Taking T-20 So Long?    

By Bob Huff

T-20 is the first member of a new class of anti-HIV drugs called "fusion inhibitors" that are designed to block one stage of HIV's entry into target cells. Because T-20 halts HIV at a unique point in the virus's life cycle, it is expected to be active against viral strains with diminished susceptibility to all currently available antiretroviral drugs. This singular resistance profile is one reason why the drug's sponsors, Trimeris, Inc. and Hoffman-LaRoche, have guided the development of T-20 with an emphasis on use in so-called "salvage" therapy.

When HIV infects a new target cell, it first binds to receptors on the cell's surface where it undergoes a transformation of shape, revealing a viral attachment protein called gp41. The gp41 protein anchors a hook-like structure into the cell's membrane. Then the gp41 pulls the virus package into contact with the cell's surface where the lipid bilayers of the cell wall and the viral envelope fuse and become one. After fusion occurs, the enzymes and RNA of the virus are emptied into the cell where they begin to replicate new virus.

T-20 is a small protein that matches a portion of the gp41 mechanism thought to pull the virus into contact with a cell's surface. If sufficient amounts of T-20 are present in the environment when gp41 is attaching itself to the target cell, the drug molecule will pair with an exposed segment of gp41 and block the movement of the viral envelope towards the cell surface. This is called fusion inhibition. A sister compound, T-1249 works in a similar way but on a different segment of gp41.

Since 1996, T-20 has moved through the first few stages of human testing, demonstrating that it is safe enough to continue to use and that it has anti-HIV activity at attainable doses. Now larger Phase III trials have begun that are designed to show if the drug is an effective treatment for reducing viral load when combined with other, conventional, antiretroviral therapies.

However, parts of the research agenda for T-20, including a broad expanded access safety study and a government-sponsored trial that planned to include T-20 among several other experimental drugs for patients with highly drug-resistant viruses, have been scaled back or put on hold until a sufficient supply of T-20 becomes available from the manufacturer. With early data indicating that T-20 can safely contribute to viral suppression and a small amount of data suggesting synergistic activity between T-20 and other experimental entry inhibitors, the limited current capacity of the sponsor to manufacture the drug deserves attention.

Making It

The production of T-20 on a commercial scale is a formidable task. The sponsors are building a first-of-its-kind chemical manufacturing plant in Boulder, Colorado, dedicated to synthesizing commercial quantities of large peptide molecules such as T-20 and T-1249. The current supply of T-20 for experimental purposes has been produced in laboratories and more recently by contractors in small pilot plants where the techniques of large-scale production are being engineered.

Until viable production methods are established and the commercial facility goes online, the pilot plants can only produce about 100 kilograms of T-20 per year. This is enough of the drug to supply about 1200 patients annually. According to statements recently made to investment analysts, the sponsors are projecting that the first production batch will leave the Boulder plant early in 2002. Until then, supplies of T-20 will be tight.

The long-awaited expanded access program, slated to begin this summer, expects to only have enough T-20 to enroll 450 patients worldwide, with 168 in the U.S. This is disappointing, given the critical need many people have for a drug that attacks a new target in the HIV life cycle. It is not expected that the supply situation will improve much between now and when the new plant begins to produce.

The T-20 molecule itself bears little resemblance to those of current AIDS drugs. The sixteen HIV drugs on the market in the U.S. are all relatively small molecules that can be absorbed through the intestines. They are also relatively cheap and easy to manufacture, as we see from the recent availability of generic versions of antiretroviral drugs made by firms in India and Brazil. In contrast, T-20 is a huge molecule of a kind never before manufactured on a commercial scale. It is also too large to be orally absorbed and must be injected under the skin twice a day.

T-20 is a string of 36 amino acids called a peptide (a peptide is really a small protein), and there are 14 different amino acids that make up the chain of 36. Amino acids are commonly called "the building blocks" of proteins. Proteins from food are digested into amino acids, which are absorbed, distributed by the blood, then used by the body to repair itself and to build the various proteins and enzymes it needs to operate. Strings of amino acids like T-20 can't be taken orally because the proteolytic (protein chopping) enzymes in the gut will break them down. The sequence of 36 amino acids that makes up T-20 needs to stay intact for the drug to do its work. Injecting T-20 under the skin bypasses the digestive enzymes of the gut and puts the full-length molecule directly into the body.

In the laboratory, machines can make very small quantities of T-20 by adding one amino acid after another in sequence to create a chain. When the peptide chain is complete, the molecules are separated by weight, and partially or incorrectly formed peptides are filtered out. But this process doesn't translate well into large-scale production. To insure correct assembly of the chain and prevent unwanted reactions that can't be easily controlled in the industrial setting, the amino acid building blocks have to be processed in a way that "protects" them until the chain is finished being built.

This is where it gets complicated. The manufacturer purchases the protected amino acids from third-party specialty chemical makers. The unprecedented quantities of "building blocks" required for the production of T-20 initially exceeded the capacity and experience of these suppliers. So, not only has the pharmaceutical company had to dramatically scale-up its factory capacity, so have the vendors. To insure a redundant backup supply, the manufacturer has decided that at least two suppliers should be capable of providing each crucial component. The system depends on over 125 outside vendors to provide 45,000 kilograms of protected amino acids and other chemicals just to produce 1000 kilograms of T-20. There are over 100 separate steps to assembling a T-20 molecule. The novelty and complexity of this process explains why supplies of T-20 will be limited until the logistics of production are settled.

After the T-20 precursor is assembled, the protecting molecules have to be removed and the remaining product must be purified. Then the purified T-20 is freeze-dried (lyophilized), inspected, tested for sterility, labeled and packaged. It takes about 10 weeks to assemble a batch of T-20 and another 30 days to freeze-dry and package the drug.

The next milestone for the manufacturer will be to produce a registration batch of T-20 for submission to the FDA. The FDA will conduct stability testing to determine the shelf life of the drug and to see if it needs refrigeration to remain stable. When the registration batch is submitted, the manufacturing process is officially frozen and can't be changed without resubmitting product from the new process for stability testing. Currently the sponsor expects to submit drug samples for stability testing by the third quarter of 2001. After the "lockdown" of the manufacturing process, larger, "validation" batches will start to go into production. Monthly outputs of 100 to 200 kilograms are projected by early next year. People with AIDS in need of new treatment options will expect the limited expanded access program to "expand" considerably at that point.

Barring any breakdown in the complicated chain of chemical and equipment suppliers, increasing quantities of T-20 should become available each month up until the time of approval, when a capacity of 400 to 600 kilograms per month is projected. Results from the Phase III efficacy trials are expected to be reported at the 9th Annual Retrovirus Conference in 2002. If this target is met, application for approval could be submitted to the FDA during the following six months. Though it's impossible to predict how the drug will fare in its continuing clinical trials, two years from now to approval may not be unthinkable. By mid-2003 the company anticipates being able to treat 40,000 patients per year. The development of T-1249 is thought to be running about two years behind T-20.

Trimeris officials have pegged the expected profit margin of T-20 to be in line with that for protease inhibitors. The profit, of course, will be added to the cost of making T-20. The price when and if T-20 is approved? Don't ask.

Relative size of HIV drug molecules



Saquinavir




AZT

 



T-20

 

 

The Changing Outlook for Worldwide HIV Treatment   

By Gregg Gonsalves

The fight for affordable AIDS medications for the millions of poor people living with HIV/AIDS across the globe is far from over, yet one year ago, few would have predicted how far the struggle has come since the International AIDS Conference in Durban last summer.

A revolution is happening in Africa. Largely due to the efforts of the Treatment Action Campaign (TAC), a group of South African people affected by HIV/AIDS, chances are improving that some of the poorest people in the world may one day obtain the expensive anti-AIDS medicines that have saved so many lives in the U.S. and Europe. Founded in December of 1998, South Africa's TAC is arguing for access to drugs that directly attack the virus that causes AIDS, that treat the deadly opportunistic infections that kill people with HIV/AIDS, and that block mother-to-child transmission of HIV. Before the issue garnered headlines around the world, TAC was laying the foundation for a radical revision of how the rich, industrialized countries of North America and Europe should think about public health in the developing nations of Africa, Asia and South America.

For most of the two decades of the AIDS epidemic, even after therapies became available that clearly extended the health and lives of those who took them, not many people gave serious thought to treating the millions of people infected with HIV in developing countries. Most of these millions are too poor and the drugs too expensive. Instead, the world health community rallied around the hope for an AIDS vaccine to prevent new infections, essentially writing off the deaths of millions as a sad reality. But as the HIV-positive South African High Court Judge Edwin Cameron has said:

"We don't accept 'sad realities' in South Africa. If we accepted what others told us were sad realities, we would still have had a racist oligarchy oppressing our people. We would have had indescribable chaos and bloodshed. We have shown through our history that we will confront those 'sad realities,' and we will change them."

And change them, they have. Led by TAC (and a few other organizations, including the Nobel Prize-winning Doctors without Borders), there is now a global call to drastically reduce the prices of these expensive drugs and to allow the manufacture and importation of cheaper generic copies of patented medications. Many argue that the violation of pharmaceutical patent protections by poorer nations is permitted by international trade agreements allowing compulsory licensing and parallel importing in cases of national emergency, such as the AIDS epidemic.

The pharmaceutical companies have fought back. The South African Pharmaceutical Manufacturers Association and forty multinational drug companies (including GlaxoSmithKline, Merck, Bristol-Myers Squibb, Boehringer-Ingelheim and Roche) are challenging that country's Medicines and Related Substances Control Amendment Act. The Medicines Act, passed by the South African Parliament and signed into law by Nelson Mandela in 1997, contains several provisions intended to make essential medicines more accessible and affordable to its citizens. GlaxoSmithKline (GSK) has also warned generic manufacturers against supplying Ghana and Uganda with cheaper versions of its drugs lamivudine (3TC) and zidovudine (AZT). In a November, 2000, letter to Cipla Limited, the Indian generic drug maker, GSK barked:

"Importation, sale or offering for sale of products containing lamivudine and zidovudine in Uganda by Cipla or any of its affiliates represents an infringement of our Company's exclusive patent rights. I look forward to your assurance that you will cease all infringing activity in Uganda and respect the above mentioned patent rights."

Activists here in the U.S., led by the HealthGAP Coalition, the AIDS Coalition to Unleash Power/Philadelphia and the Consumer Project on Technology, have been successful in getting the federal government to moderate its unqualified support for industry on this issue. In December, 1999, President Clinton issued an Executive Order that allows countries in sub-Saharan Africa to pursue the manufacture, importation, and use of generic anti-AIDS drugs without the threat of U.S. government intervention to block their actions. To the surprise of many, the new Bush administration has announced that it will maintain the Clinton order.

However, the U.S. has asked the World Trade Organization to initiate a dispute resolution procedure against Brazil over one of its patent law provisions that allows compulsory licensing for products that are not produced locally. While the U.S. Trade Representative's office has assured activists that there are other provisions in Brazilian law that allow compulsory licensing of pharmaceuticals — specifically in the case of national emergency — many are worried that the U.S. actions will have a chilling effect on Brazil's successful AIDS program. The Brazilian approach has used locally produced generic versions of antiretroviral medications to treat approximately 100,000 people living with HIV/AIDS, sparing them from unnecessary suffering and death. In addition, the U.S. government is now pushing for stringent intellectual property provisions in the Free Trade Agreement of the Americas, which are more restrictive to compulsory licensing than current international agreements. These provisions, if enacted, could hinder the implementation of effective AIDS treatment programs like Brazil's in over thirty nations in North, Central and South America and the Caribbean.

Lately, the pharmaceutical industry has been feeling the heat. In February 2001, Cipla offered to supply HIV triple-combination therapy (i.e., stavudine, lamivudine and nevirapine) for $350 per patient per year to Doctors without Borders, and to sell the therapy for $600 per patient per year to poor governments. After the Cipla offer, and amid growing concern in the industry over a tarnished public image, several big AIDS drug makers have significantly dropped the prices of their patented antiretroviral medications in the developing world. While these price cuts are welcome (and belie the notion that industry cannot afford to sell these drugs in the developing world at reduced prices), many of the offers come with restrictions in the fine print that limit the reductions to only certain countries or regions. This patchwork-pricing plan leaves the drugs still out of reach for many nations and still more expensive than generic versions offered by Cipla and others. For instance, Merck said they would not offer Brazil the yearly per person price of $600 for Crixivan and $500 for Stocrin (efavirenz) that South Africa had been offered. Merck claimed that Brazil is not as needy as other countries, yet some activists wonder if Brazil has been targeted for its willingness to make its own generic antiretroviral drugs. Indeed, Brazil has threatened to start producing a generic version of Stocrin this summer if prices don't come down. In retaliation, Merck threatened to take legal action against a Brazilian laboratory when they imported a generic form of Stocrin from India as the first step towards copying the drug. As we went to press, Merck had struck a deal with the Brazilian government to lower the prices of its two antiviral drugs, proving once again that generic competition (or the prospect thereof) can drive prices down. Whether the deal holds needs to be watched carefully.

Last summer, many of us who went to the International AIDS Conference in Durban listened glumly as South African President Thabo Mbeki questioned whether HIV was the cause of AIDS. In a protest march to the conference center through the streets of Durban, the women and men of TAC were asking a different, altogether more important question: Why should some people have the privilege of purchasing their life and health when 34 million people in the resource-poor world are falling ill, feeling sick to death, and are dying? Justice Cameron posed this very question in a speech that same week. For Justice Cameron this "seems a moral inequity of such fundamental proportions that no one can look at it and fail to be spurred to thought and action about it." The world is beginning to rise to his challenge.

While prices from industry are not yet at the level that make them affordable to many countries, many people are now pondering how to deploy antiretroviral therapy in these regions. How do you procure these drugs in bulk? How do you distribute them? How do you build up the health care infrastructure in those places that need additional resources in order to deliver these drugs to patients? How do you train doctors and other healthcare providers in the painstaking details of treating HIV/AIDS? How do you medically manage antiretroviral therapy in resource-poor settings? Few dared to move beyond a theoretical consideration of these questions a year ago.

The pharmaceutical industry has made some public concessions but as yet they've shipped no drugs. Lately, they've been flexing their formidable public relations muscle to try to lower expectations — recently a flurry of articles and op-ed pieces have appeared questioning the feasibility of ever solving the infrastructure problems of Africa. We've made considerable progress during the past year but the challenges posed by Justice Cameron will not be met until the tide of suffering and death is stemmed.

 

How to Read a Scientific Paper    

By Carlton Hogan, University of Minnesota, Coalition for Salvage Therapy
(First of a three-part series)

Part One:

So Many Papers, So Little Time:
What Can I Trust?

When it comes to coverage of health issues on TV and in the papers, it seems like the media has a new, and often contradictory, story every week. First eggs are cholesterol-laden orbs of death, then they're a great source of protein. One day, estrogen replacement can protect against heart disease in older women, the next day it can't. Last year, a high-fiber diet was said to be your best protection against colon cancer, now they say it's irrelevant (although anything that gets you to eat all your veggies can't be too bad).

In a complex and fast-paced field like AIDS research, the confusion can be even worse. Every single month, over a hundred scientific articles and conference presentations come out, each intended to expand our knowledge about HIV. And that's not even counting all the reports (like basic immunology studies) that are key to understanding HIV/AIDS but are not technically "AIDS research." While many of these scientific reports help piece together the jigsaw puzzle of HIV, filling in a picture of the virus and its nefarious activities, the absolute truth may be as difficult to grasp here as it is in the mainstream media.

Two years ago d4T (Zerit) was widely thought to be the least toxic of all the NRTIs (nucleoside reverse transcriptase inhibitors: drugs in the same class as AZT, ddI and abacavir). More recently, findings suggest that d4T may be one of the prime suspects for causing damage to mitochondria (energy "factories" within our cells). Similarly, not long ago, missing a single dose of one's antiretroviral medication was thought to be risking catastrophe. In 2000, our spring fashion line featured the concept of strategic treatment interruption (STI) as the next great hope.

The Internet, while being an indispensable research tool, literally bringing the libraries of the world to our fingertips, has also increased the deluge of information. Now hundreds of articles — some in agreement, some contradictory — vie for our attention, along with the commentary of experts pointing out confirmation of their pet theories — and refutation of their rivals' — in the newest research.

How can we make sense of this? Obviously not all research is equally good or useful. How can a healthcare consumer critically evaluate this torrent of information? When two reputable sources disagree, how do we make sense of it? Do we have to believe one over the other or do we try to find some useful synthesis?

The highly technical language of most papers doesn't help matters. While much of the jargon serves as a kind of "shorthand" among scientists to refer to common methods or basic findings, it can make scientific papers difficult or impossible to understand for those who aren't involved in the field.

The good news is that there are some common rules and conventions for writing science reports that make reading, understanding and interpreting the results much easier. Certain standards and terminology are universal, whether one is discussing immunology or botany. I hope to provide you with an understanding of these conventions and how they are used — and misused. While it's probably a good policy to mistrust anyone who claims to have the one and only answer to a controversy, it's a lot easier to evaluate someone's claims (or your own discoveries) when you have a good understanding of the scientific conventions.

Anatomy Lesson (The Components of a Research Paper)

Before we dig into the specifics of analyzing a research paper, let's take a look at how scientific reports are organized and how the information is presented. Usually, the basic structure of a scientific paper is the same, whether it's about AIDS or nuclear physics. Roughly speaking, you can always expect to find these sections in a paper:

  • the abstract
  • the background and rationale
  • a description of the methods used
  • the actual results, and finally
  • the discussion — the author's interpretation of the results.

Hopefully the discussion makes sense of the results within the context of the issues that were raised in the background and rationale.

Let's take a closer look at each of these sections.

1. The abstract

The abstract isn't technically a part of a paper, rather it's the "Reader's Digest" version: a short synopsis that summarizes the key points. These key points should give you a brief recap of each part of the paper listed above. Generally when one consults Medline, AEGIS, or other on-line information sources, an abstract is all that's available. The abstract is an invaluable tool that can help you decide which papers are worth getting and reading in their entirety. As a tool for fully understanding the research, abstracts have substantial limitations. Specific details beyond those necessary to convey the main finding are scarce. Often the description of methods is cursory or missing, making it hard to assess the scientific rigor of the study. Only the primary results are summarized, omitting potentially valuable supporting data. Still, abstracts play an indispensable role by allowing you to quickly extract the gist of a paper.

2. Background and rationale

The background and rationale section tells you the reasons why the paper was written. It describes previous related research, identifies the questions that are still unanswered and proposes exactly what the paper will address. For the purposes of this article I will refer to an imaginary antiretroviral drug I call "X-100" to provide examples. (X-100 does not exist, and all the data relating to X-100 is for illustration purposes only.)

In a paper describing the usefulness of X-100 for patients who have previously failed a protease inhibitor (PI), the background and rationale should explain why the X-100 experiments were done in the first place. It might discuss the rate of virologic failure in patients treated with PIs, the clinical implications of virologic failure, and why new therapies like X-100 are needed. Next, it might give us some background on X-100 itself: its basic chemistry and research results, including in vitro (in the laboratory) activity, animal studies, and any human research to date. The background and rationale is exactly what it sounds like. It provides you with the basic context of the research, and offers the rationale (reason) why this particular study is needed. It should also describe the primary hypothesis (the key question that drives the research) as well as any secondary objectives.

3. Methods

The methods section is one of the most important, and also most neglected, parts of a scientific paper. Here the investigators describe exactly how they did the research: how they set it up, what measurements were taken, what mathematical methods were used to analyze the data, etc. The methods section is where eligibility criteria (who was, and was not, allowed in a clinical trial) and endpoints (the exact definition of what is to be measured, and why) are defined. It is also in the methods section that the primary hypothesis and secondary objectives (introduced in the rationale) are specified in full detail.

In the case of our fictional "X-100" trial, the hypothesis might go something like this: "In adults with CD4 counts between 50 and 300, who have HIV RNA (viral load) of over ten thousand while on a protease inhibitor containing regimen, X-100 provides a greater and more prolonged decrease in HIV RNA compared to an optimized regimen using approved agents, guided by genotypic resistance testing." The study then attempts to prove (or disprove) this hypothesis. Secondary objectives might compare X-100 with standard treatments on the bases of toxicity, quality of life, or other important considerations.

In this age of high technology, with sophisticated tests like HIV RNA, sometimes the focus drifts from the specific and detailed construction of the hypothesis. It's tempting to add all kinds of extra measurements to a trial without first being clear about exactly what questions they will address. More than one scientist has observed that properly framing and describing the research question is half the job. By starting with a clearly thought out and well-described research question, much of the subsequent planning is just filling in blanks for the specifics that are dictated by the nature of the question itself. [One amusing sociological side note on the methods section: At scientific conferences you can always spot someone who works in the same field as an author — they jump straight to the methods section, just as others tend to skip past it. But after all, if they're in the same discipline, they hardly need convincing of the background and rationale!]

4. Results

The heart of a paper, the results section presents the actual findings of the study. You also will read a description of what the conditions were at the start of the trial. In our fictional X-100 trial, we might see a summary of the patients' baseline (at the beginning) CD4s, their viral loads, their history of AIDS-related conditions, and, since this is a salvage trial, probably a summary of their previous treatment histories. In terms of the actual results themselves, we might expect to see the average viral loads of the group who got X-100 compared to those who didn't. We also might see information about the duration of response, relative rates of clinical disease, toxicities, and other objectives of the trial. We can certainly expect to see all the data relating to the objectives described in the methods section. Editorializing about the meaning and implications of the results is supposed to be restricted to the discussion section. Rarely are things divided this neatly, though, and the results section can contain a fair amount of analysis and sometimes, spin.

5. Discussion

This is where the authors try to wrap up the whole package. The findings are discussed in the context laid out in the background and rationale, and the significance of the results is established. In general, this is the most editorial section of the paper, where authors not only discuss the raw data, but attempt to generalize (extend) these findings to groups of people who were not in the trial. By nature, some speculation is not only tolerated but expected, even if it's as bland as "X-100 holds great promise for the treatment of HIV-infected individuals failing existing therapies."

Now that we have discussed how a paper is constructed, we can get to the interesting stuff — the actual contents of the paper. Of the thousands of papers published every year, some are far more reliable and relevant than others. There are certain specific characteristics you can look for when deciding which papers to trust and use for making important decisions.

Who is Telling You This?

It may seem very obvious, but one of the most important criteria for evaluating any piece of information is to consider its source. Many people feel more comfortable with research coming from a university or the National Institutes of Health than if it comes from a drug company. It's only recently that most research designed to lead to U.S. Food and Drug Administration approval of a company's new drug application (NDA) has primarily come from trials conducted by drug companies or by hand-picked teams of investigators. These studies are often the first and only source of information available about a new drug. Obviously it would be na•ve and unproductive to ignore this research just because of the source, but knowing the source can certainly help you to critically evaluate the research, and may affect how much you are willing to take on faith.

Sad as it is, it's not just drug companies that have a personal stake in "favorable" research results. The careers of modern-day academics flourish or die based on the papers they publish. And rarely does anyone publish papers with negative results (those where the experiment failed). So there's considerable psychic pressure on everybody involved with trials to produce positive research results. Furthermore, many people feel that data is inherently less trustworthy when it's been summarized and presented by someone with a financial stake in the outcome. Fortunately, more and more journals are adopting policies that obligate investigators with a financial stake in the research results to disclose their interests.

One relatively little-known fact is the significance of the last author listed. Obviously, everybody looks at the name of the lead author. The research is likely to be their personal project and they probably have more tied up in terms of time, thought, and effort than anyone else (although let's not forget the grad student who is probably listed fifth or sixth). But the last author in the list is usually the senior scientist in whose lab the work was done. So intramural (on-campus) research at the National Institutes of Allergy and Infectious Disease (NIAID) always lists Anthony Fauci, the director of NIAID and its several labs, as the last author, even when his only participation was advisory.

Looking Forward, Looking Back
(Prospective vs. Retrospective Designs)

One of the things that can most affect the usefulness and generalizability of a study is whether it was prospective or retrospective. A prospective study is an experiment that is designed to answer a specific question (prospective — meaning literally "looking forward"), with every aspect of the design meant to facilitate getting that particular answer. Alternatively, a retrospective study starts with a bunch of information that was collected for some other purpose (maybe not even with research in mind. Clinic charts are a good example). The investigator then tries to answer a new question by piggybacking onto the existing set of data.

Retrospective designs can never produce the kind of convincing results that prospective studies can, for reasons I will shortly discuss. However, prospective designs are not always practical or possible. For example, if we wanted to know if the introduction of HAART had a major impact on AIDS-related dementia, we would have to look at people from the pre-HAART era to make that comparison. This is a question we simply cannot answer prospectively today. It would be criminal to deprive PWAs of optimal treatment simply to do that study.

Sometimes there may be only a narrow window of time during which one can answer a question prospectively. In the example above, dementia-related questions could have been included in the initial trials of HAART when the new combinations were being compared to only one or two drugs. Today, however, we know that HAART is effective and that no one should be denied it. But in the case of our mythical X-100, since we don't really know what effect it has yet, we have a unique opportunity to collect some neurocognitive data that lets us compare X-100 to standard HAART for prevention of dementia.

One of the biggest problems with retrospective data is that we have no idea who was excluded from the data set, and why. For example, if we used chart review to try to get an idea of who had dementia in the early nineties, we might stumble into some unexpected pitfalls. It's possible that one particular clinic had a very good relationship with the neurology clinic, so that all potential dementia cases were taken to neurology for evaluation and diagnosis. This clinic might report a high rate of dementia. Another clinic that serves many people with multiple addictions might not carefully distinguish between early dementia and other cognitive problems. They'd report a low rate of incidence. One of the biggest problems with missing data is that, by definition, we don't know how much data are missing or why they are missing. One of the advantages of a prospective design is that we can make sure that all participants have, say, their neurocognitive functions measured in the same way at baseline, so that we do not have to compare apples and oranges.

Next Month

In our next installment, we'll look at inclusion and exclusion criteria, endpoints, and then we'll flip a few coins to understand the role that chance plays in all of this.

If you live in New York and would like to read some of the scientific information about HIV/AIDS, visit GMHC's Treatment Education Library. The address is 119 West 24 Street on the 7th floor.

The Treatment Library offers a wide range of information about HIV/AIDSÑfrom easy-to-read pamphlets to the latest scientific journals. The friendly staff can also help you search for information and abstracts on the Internet. Basic classes on using the Internet are offered for people living with HIV/AIDS. Call 212/367-1458 for more information or to make an appointment to use the library.

 

Does HCV Negatively Impact on HIV Disease Progression and Survival?    

By Michael Marco, Treatment Action Group (TAG)

It is often stated that the rate of progression to cirrhosis for individuals infected with hepatitis C virus (HCV) may be accelerated for persons also infected with HIV who have CD4+ counts less than 200 cells/mm3. A recent paper in the British medical journal, The Lancet, and a number of studies presented at the 8th Annual Retrovirus Conference have reported on attempts to answer a parallel question about HIV-HCV coinfection: Does infection with HCV have a negative impact on HIV disease progression and survival? The best data are from the well-established European HIV cohorts and a group at Johns Hopkins University in Baltimore, Maryland. But results remain contradictory and the question is begging for more research.

Studies Concluding "Yes."

A large, prospective study from Greub and colleagues1 of the Swiss HIV Cohort was recently published in The Lancet. Patients initiating HAART between June 1996 and May 1999 were followed for survival, clinical progression, HIV RNA suppression, CD4 cell recovery, and number of HAART changes according to HCV status. Of the 3,111 HIV patients who were followed for a median of 28 months, 1,157 (37.2%) were coinfected with HCV, 1,015 (87.7%) of these with a history of IDU. There were significant differences in baseline HIV characteristics between the HCV-infected and HCV-uninfected patients: 27.7% vs. 23.5% had AIDS; 58.9% vs. 52.3% were antiretroviral treatment (ART) naive; and median CD4 cell counts were 172 vs. 222 cells/mm3.

After the initiation of HAART, there was no association between HCV infection and the probability of reaching an HIV RNA of <400 copies/mL. Approximately 87% of all patients suppressed their HIV RNA to <400 copies/mL. There were, however, differences between the two groups with regard to CD4 cell recovery. After one year on HAART, the probability of failing to increase one's CD4 count by 50 cells/mm3 was 25.1% for HCV-infected patients compared to 16% for the HCV-uninfected patients.

At the end of follow-up, 7.5% of the HCV-infected patients in the Lancet study developed an OI compared to 4.7% of the HIV-only patients. Death from all causes was also more common in the HCV-infected patients: 8.8% vs. 4%. Interestingly, there were significant differences in the probability of clinical progression to AIDS and death when data were stratified by active injection drug use (IDU) and HCV infection. The estimated probability of clinical progression at 2 years was: 6.6% for HIV-only/no active IDU; 9.7% for HCV-positive/no active IDU; and 15% for HCV-positive/active IDU.

This study is one of the first (and largest) to detect an increase in OI and death due to coinfection with HCV. One explanation for this could be the impaired CD4 cell recovery in HCV-infected patients on HAART. Other factors could involve the quality of healthcare that current and former IDUs are likely to receive. These results need to be confirmed in another study of equal size in a different country. The fact that over 85% of these 3,000 Swiss patients had HIV RNA under 400 copies/mL makes this author suspect that Switzerland does not represent the "real world" when it comes to HIV and its medical management.

At the 8th Annual Retrovirus Conference, Klein and colleagues2 from Montreal's McGill University presented results from a chart review of 182 HIV-positive patients that also suggested HCV coinfection was associated with increased hospitalizations and faster progression to death. Seventy-eight HIV/HCV coinfected patients were compared with 104 patients infected with HIV only. All were seen at the McGill clinic between January 1996 and June 1999. While both groups had similar baseline demographic characteristics, only 23% of the coinfected patients were on HAART compared to 35% of the HIV-only patients. Coinfected patients tended to have poorer outcomes (expressed here as the number of events per 100 patient years): the rate of opportunistic infections (OI) was 9.77 vs. 7.91; deaths, 6.67 vs. 2.27; and hospitalizations, 15.03 vs. 6.79 in coinfected and HIV-only patients, respectively.

The authors speculated that the differences in HIV clinical progression "may be explained in part by the lower use of HAART" and "by increased co-morbid factors associated with injection drug use" among coinfected patients. The data here are interesting, but it is difficult to garner definitive conclusions from such a small, retrospective single-institution case study.

Impairment of CD4 cell recovery in HIV/HCV coinfected patients on HAART was also noted in a Spanish study conducted by Martin and colleagues3 from Vincent Soriano's group. A cross-section "snapshot" of 902 HIV-positive patients (72% coinfected with HCV) who attended an HIV clinic between January 1998 and April 2000 observed significant differences in CD4 count and viral load between HCV-infected and HIV-only patients, respectively: mean CD4 count was 518 vs. 620 cells/mm3 and HIV RNA was approximately 11,000 vs. 6,000 copies/mL. Similar proportions of patients in each category were receiving ART (~92%) and there was no reported difference in drug adherence (83% taking >90% of pills).

In a longitudinal analysis over a two year interval, there were striking immunologic and virologic differences between the two groups. HIV RNA on average declined by only 606 copies/mL in the HCV-infected group compared to 5,788 copies/mL in the HIV-only group. Likewise, CD4 counts on average increased by 53 cells/mm3 (11%) compared to 111 cells/mm3 (22%) in the HCV-infected and HIV-only groups, respectively.

The authors raise an interesting point for HIV-treating physicians to ponder: would treating a coinfected patient's HCV (regardless of liver fibrosis state) indirectly help combat the underlying HIV disease?

Does HCV Negatively Impact on HIV Disease Progression and Survival? Studies Concluding "No."

Data from the Johns Hopkins 1,742 patient HIV cohort suggest that HCV coinfection does not affect HIV disease progression or survival. Sulkowski and colleagues4 prospectively followed this cohort, 45% of whom were HCV-infected, from January 1996 to June 2000 and observed outcomes of CD4 cell decline to under 200 cells/mm3, development of OI, and death. HCV-infected patients were older, more likely to be black (85% HCV+ vs. 65% HCV-negative) and had past or present IDU (85% HCV-positive vs. 14% HCV-negative), yet no differences were observed in baseline CD4 and HIV RNA.

When HAART use and lack of HIV RNA suppression to <400 copies/mL were controlled for in a multivariate analysis, HCV infection was not significantly associated with CD4 decline or survival (relative hazard = 1.18). Use of HAART and lack of HIV RNA suppression remained significant in the multivariate analysis. Of interest, impairment of CD4 cell recovery on HAART was also noticed in the coinfected patients at Hopkins. With three studies2,3,4 reporting this fact, TAG believes that intensified research on the immunology of HCV coinfection is warranted.

Two other studies presented at the 8th CROI — one French, one Spanish — also failed to document an increased rate of HIV clinical progression or mortality in coinfected patients. Rancinan and colleagues5 performed a retrospective analysis of 995 HIV-positive patients from the French Aquitaine Cohort (58% of whom were coinfected with HCV). No significant increase in risk of AIDS or death was noted in the HCV-infected patients compared to the HIV-only patients. In Macias and colleagues'6 504 patient Seville HIV cohort, deaths due to liver failure have increased since 1997, yet no significant difference in survival was observed between HCV-infected and HIV-only patients.

The debate over whether HCV alters HIV clinical progression adds to the growing list of questions for clinical and basic research into HIV/HCV coinfection. In this fledgling field we desperately need large, prospective, collaborative, natural history studies (as well as treatment trials) in the U.S. and abroad and the financial resources to implement and carry them out with proper follow-up.

Footnotes:

1. Greub G, Leergerber B, Battegay M, et al. Clinical progression, survival, and immune recovery during antiretroviral therapy in patients with HIV-1 and hepatitis C virus coinfection: the Swiss HIV Cohort Study. Lancet 356: 1800Ð5, 2000.

2. Klein MB, Lalonde RG, Suissa S. Hepatitis C (HCV) co-infection is associated with increased morbidity and mortality among HIV-infected patients [abstract 596]. 8th CROI, Chicago, 2001.

3. Martin J, Lopez M, Arranz R, et al. Impact of hepatitis C in HIV-infected individuals in an urban center in Madrid, Spain [abstract 572]. 8th CROI, Chicago, 2001.

4. Sulkowski M, Moore R, Mehta S, Thomas D. Effect of HCV coinfection on HIV disease progression and survival in HIV-infected adults [abstract 34]. 8th CROI, Chicago, 2001.

5. Rancinan C, Neau D, Saves M, et al. Does hepatitis C virus (HCV) coinfection modify survival in HIV patients on combinations of antiretrovirals? [abstract 570]. 8th CROI, Chicago, 2001.

6. Macias J, Pineda JA, Melguizo I, et al. Influence of hepatitis C virus (HCV) infection on mortality of patients with HIV disease under highly active antiretroviral therapy (HAART) [abstract 571]. 8th CROI, Chicago, 2001.

 

A Treatment Issues Editorial

We Need to Know More about How HIV Drugs Work in Women    

Community advocates routinely remind clinical trial sponsors how important it is to insure that drugs are studied in women. Trial sponsors routinely say they agree and want to do better as they recite the percentages of women in their studies. The advocates then point out that it is not sufficient to merely increase the representation of women in a study to reflect their proportion of the epidemic. To obtain statistically significant results, there should be enough women enrolled to allow an independent analysis. That's when the meeting peters out.

The representation of women in clinical trials should be increased. Sponsors can start by conducting more trials at sites that treat large numbers of women. If studies continue to run primarily at centers that serve mostly men, then little will change. This may require investment in training and capacity to develop new research sites, but it's a small price to pay if we can better generalize the results. Our commitment to community-based research also needs to be reaffirmed — even as our expectations for its performance are increased.

But simply (or not so simply) increasing the proportion of women enrolled in trials does not address the call for statistically significant results. The sample sizes of drug efficacy trials are chosen to yield convincing results with the contribution of data from every participant. Unless the study drug is a blockbuster, conclusions that rely on only a subset of the data can never be as sure as those from a full analysis. The only way to have equal confidence in the results for both men and women is to enroll equal numbers of each.

That's not likely to happen. Clinical trials for efficacy are expensive and slow going. Doubling the sample size of a trial will double its cost and probably double the time to get results — something neither sponsors nor the community want. Still, we need to get better information about the effects of drugs on women. Body weight, hormonal variation, and menstruation are understudied variables. The nature, frequency and severity of toxicities seem to be different for women. Women may typically have lower viral loads than men. Add to these genetic factors and differences in immunological response — which we understand even less — and our ignorance seems appalling.

But there are some immediate steps that sponsors can take to start producing improved woman-specific data in two critical areas: pharmacokinetics and safety. Pharmacokinetics (PK) is the study of how a drug is absorbed and distributed as it moves through a body. If women process and eliminate drugs at different rates than men — and there is evidence that they may — then women risk inadequate viral suppression (if drug levels are too low) or increased toxicity (if drug levels are too high). Safety studies rely on time and numbers of patients to uncover a drug's side effects. The number of women receiving a new drug and the length of time they are studied need to be increased if we hope to understand a drug's safety profile before it goes to market. Specifically:

  • Continue intensive, longer-term PK studies in women after the initial Phase I studies are complete. We need to know about possible dose adjustments before large efficacy trials begin.

  • Start expanded access programs early and promote enrollment from sites that treat women in significant numbers. If slots are limited, preferentially enroll women — expanded access programs are safety studies, too.

  • Increase basic science research on all factors affecting drug metabolism in women. Centers of PK studies such as the University of Liverpool, UK should be doing much more.

Efficacy data from HIV drug trials in the U.S. are unlikely to ever provide statistically significant results when stratified for female gender. Industry should take proactive steps to develop supplementary data on two key areas where woman-specific information is lacking: pharmacokinetics and safety. Patients and doctors will have more confidence extrapolating efficacy data to women if there are studies to reassure them that a drug is biologically available and that it is safe.

 

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