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C4.Cardiovascular system
In the West, cardiovascular disease is the most common cause of premature death in men, and
a frequent cause of disability. Factors such as smoking and diet are strongly implicated, so much
of this illness is preventable. If health professionals understand the mechanisms of the various
disease processes it is easier for them to help patients avoid or cope with these illnesses.
Cardiovascular disease (CVD) and its treatment frequently causes considerable confusion because there are a number of closely related conditions and a wide range of drugs, many of which can be used in more than one condition. It is the aim of this chapter to explain how an understanding of the principles of haemodynamics in particular can clarify not only the relationship between various cardiovascular diseases but also common threads running through their pharmacotherapy.
The first section discusses some important general principles of the normal function of the
cardiovascular system. We will first consider the cardiovascular system simply as a closed system
of pump, tubes and fluid designed to perfuse the tissues. We then discuss energy handling in
cardiac muscle, its oxygen demand and its oxygen supply. The physiology of the vascular
endothelium and the neurohormonal control of cardiovascular function must also be considered.
This approach allows predictions to be made about how the cardiovascular system responds to
normal and abnormal circumstances, and how drugs can affect its function.
Physiological principles of theViscosity
cardiovascular systemResistance ÷(4.2)
r4
This section assumes a basic understanding of
the physiology of the CVS. Appropriate back-
ground material for revision of the anatomy,
physiology and pharmacology of the CVS is
suggested in the References and further reading
section.
Haemodynamics
Haemodynamics is the term used to describe the interactions of the physiological parameters that govern the behaviour of the CVS.
Blood flow and blood pressure
The purpose of the CVS is to provide an adequate perfusion of blood to all body tissues in response to a wide variety of sometimes swiftly changing demands. The ability of the heart to act as a pump to maintain this perfusion may be called the pump performance, usually expressed as cardiac output.
Fluid flow through a rigid tube depends on the
pressure gradient and inversely on the resistance
to flow:
Pressure gradient
Flow ÷(4.1)
Resistance
Because blood vessels are not strictly rigid this
relationship does not precisely describe blood
flow, but it is a useful approximation. The pres-
sure gradient is generated by the heart during
contraction, i.e. when doing work and using
energy. It is equivalent to the blood pressure, or
more precisely the mean arterial pressure,
which is approximately equal to diastolic pres-
sure plus one-third of the systolic-diastolic pres-
sure difference. Note that pressure is merely a
means to an end: the goal is output.
Blood pressure is required to overcome the
peripheral resistance, which depends predomi-
nantly on the radius of the blood vessels (r) and the viscosity of the blood (Poiseuille’s law):
Blood viscosity is approximately constant,
although it may be altered pathologically, e.g. by
increased RBC mass or acute dehydration. Thus
variations in resistance usually reflect changes
in the calibre of blood vessels. Not all vessels
contribute equally. The arterioles are the main
resistance vessels; together with the arteries they
represent about 70% of the peripheral resistance.
Thus changes in systemic blood pressure, or perfusion of any particular region of the body, are readily achieved by altering the calibre of the resistance vessels, especially because the resis-
tance depends on the fourth power of the vessel radius. From Equations 4.1 and 4.2:
Flow ÷ pressure r4(4.3)
Thus very small changes in vessel diameter will produce large changes in flow if pressure is unaltered. For example, a small sustained constriction of all the body’s resistance vessels will mean that a considerable increase in blood pressure is required if the same flow is to be
maintained. This may be relevant to the aeti-
ology of hypertension. Conversely, vasodilata-
tion will permit increased flow.
Regional control of resistance and flow: autoregulation
The CVS exploits the flow/resistance relation-
ship to increase the perfusion of specific areas
temporarily at no extra cost in cardiac work.
Blood is diverted from areas of lesser need, such
as the skin, to those of greater need, such as
muscle, by constricting vessels in the former and
dilating those in the latter. Because the overall
peripheral resistance does not change, cardiac
output and blood pressure also remain
unchanged and there is no requirement for extra
cardiac work.
How are these adjustments made? When
activity in a tissue or organ increases, more
oxygen is required. Initially blood flow does not
increase, so oxygen demand outstrips supply and the tissue becomes hypoxic; consequentlyresistance but have two other important roles in
metabolic by-products, including acids and carbon dioxide, accumulate extracellularly. These have a direct dilating effect on local resis-
tance vessels, facilitating increased perfusion. Conversely, when a tissue is receiving too much blood for its needs, the reverse mechanism mediates local vasoconstriction.
Here is an elegant example of the economy of
the body, a sensitive self-regulating system that
continuously monitors blood flow through all
tissues and redistributes it according to need.
Note that, initially at least, no interventions
from the nervous or hormonal systems are
required.
The lung is an important exception to this
general rule of hypoxic vasodilatation. Lung
arterioles constrict when hypoxic, and it is not
difficult to see why. Hypoxia (low tissue oxygen)
in an area of lung implies inefficiency in gas
transport, possibly as a result of local disease.
Blood perfusing that area will be inadequately
oxygenated and thus it will dilute the total
pulmonary oxygen output. Consequently, blood
is directed away from damaged areas of lung by
local vasoconstriction. However, this mechanism
becomes counterproductive (i.e. maladaptive)
when large areas of lung are involved (see
Chapter 5).
Other local influences on blood vessel calibre
include injury (causing constriction to limit
blood loss) and numerous local hormones
and mediators, including prostaglandins
(prostacyclin is a vasodilator), thromboxanes
(predominantly constrictor), endothelins and
angiotensin (constrictor) and nitric oxide (NO;
vasodilator). Most are released from vascular
endothelial cells and some may also have a
crucial influence on blood vessel growth and
proliferation, which has a bearing on vascular
obstructive disease (see p. 235).
Distribution of blood volume
The amount of blood contained in different
components of the circulation is in inverse
proportion to their resistance. Low-resistance
veins and venules contain up to 75% of blood
volume and are referred to as capacitance
vessels. They have little effect on peripheral
circulatory regulation. Firstly, they exert a crucial
influence on cardiac output (discussed below).
Secondly, being both compliant and muscular,
veins can dilate or constrict to accommodate
sudden changes in blood volume (e.g. IV infu-
sions, fluid depletion), buffering potentially
destabilizing effects on venous return and
cardiac output (p. 189).
Conversely, resistance vessels (arteries and arterioles) contain only a small proportion of the blood; thus changes in their calibre alter the
blood volume only slightly. Their primary func-
tion is the maintenance of the blood pressure via control of the peripheral resistance.
Cardiac output and blood pressure
Equation 4.1 can be expressed more familiarly
as:
Blood pressure
Cardiac output(4.4)
Peripheral resistance
This illustrates important relationships
between the main haemodynamic parameters.
For example, any rise in resistance requires an
increased blood pressure, generated by the
heart, if cardiac output is be maintained. If this
situation is sustained, the extra work required
will take its toll and eventually this may lead to
heart failure. An increased peripheral resistance
is commonly found in most hypertensive
patients, but rather than always being the cause
of the condition this could be a secondary
autoregulation in response to an excessive
cardiac output (p. 213). Thus in treating hype-
tension, although reducing peripheral resistance
is the most obvious therapeutic target, strategies
to reduce cardiac output are equally appro-
priate. Indeed one of the ways that both beta-
adrenergic blockers (beta-blockers) and diuretics
are thought to act is by initially reducing
cardiac output.
Pump performance
It is crucial to appreciate how the heart
behaves as a pump. To understand the patho-
genesis of heart failure in particular, and the
rationale for treating CVD generally, the factors
that influence cardiac performance must be
considered. Three variables determine the
performance of a pump: (i) its initial priming
with fluid to be pumped; (ii) its intrinsic
power; and (iii) the resistance it must overcome
in expelling fluid. In cardiac terms these are
known as preload, intrinsic contractility and
afterload respectively.
Cardiac cycle
A brief summary of the main stages in the cardiac cycle is given in the text accompany-
ing Figure 4.1, and will be referred to in the
subsequent discussion.
Preload
The force of contraction of a muscle is propor-
tional to the degree to which it is stretched
before contracting - this is the preload. In the
heart it is equivalent to the degree of distension
of a chamber at the end of diastole, the end-
diastolic volume (EDV). This is the basis of the
well-known Starling’s law, which is often
simply stated as: ‘the cardiac output equals the
venous return’. It may be restated more precisely
as: ‘the stroke volume is proportional to the
EDV’, where the stroke volume is the volume
expelled in one systolic beat. Some readers may
find the mechanical analogy given in Figures 4.2
and 4.3 helpful in understanding this concept
(see also References and further reading).
An important implication of Starling’s law is
that the heart is driven by the venous return.
This is another example of economical self-
regulation. Consider what happens when exer-
tion such as running is initiated. The leg
muscles need extra blood immediately, and the
leg arterioles rapidly dilate as the tissue
becomes hypoxic. But even as this happens
there will be an increased venous return, owing
to the peripheral muscle pump. As deep-lying
peripheral veins in the leg are compressed by
contracting muscles, an increased blood flow is
immediately delivered to the right side of the
heart (one-way flow being ensured by the
non-return valves in veins). Thus immedi-
ately vigorous activity starts, the preload is
system
increased, raising the cardiac output by the Starling mechanism.
This does not require the intervention of any
hormonal or neural mechanisms, the increased
venous return and cardiac output being directly
proportional to the increased activity. It also
explains the benefit of raising the legs of
someone who has fainted (it certainly does not
‘increase the blood supply to the head’ directly).
Filling pressure
The preload on a cardiac chamber can also be
expressed as the pressure within it at the end of
diastole, the end-diastolic pressure (EDP),
which is approximately the filling pressure of
the blood flowing into that chamber. A sustained
rise in either of these factors implies that a
normal heart is being overloaded or that an inef-
fective heart requires an elevated preload to
maintain normal output. The right atrial pres-
sure (RAP) and the left ventricular EDP (LVEDP),
measured by cardiac catheterization via periph-
eral arteries, give important information about
the degrees of right- and left-sided heart func-
tion respectively. The RAP also indicates whether
the systemic circulatory volume is appropriate,
and so can be used to monitor IV infusions and
prevent the heart, and the circulation generally,
becoming overloaded.
The right heart preload may be determined
more conveniently and less invasively by
measuring the pressure in the great veins as they
enter the right atrium. The central venous
pressure (CVP) is measured by passing an IV
catheter percutaneously in the neck region so
that its tip rests in the superior vena cava.
Filling is not a passive process; it is energy-
dependent. This energy is derived partly from
relaxation of the compressive deformation of the
previous systolic contraction, elastic recoil
aiding the restoration of diastolic shape. An
important determinant of filling is ventricular
compliance (distensibility, the inverse of stiff-
ness). If it is reduced, a higher preload will
be needed, possibly leading to diastolic failure
(p. 189).
Ejection fraction
The ratio of the stroke volume to the EDV repre-
sents the effectiveness of cardiac emptying Figure 4.1Important components of the heart. (a) The main internal structural components of the heart. This diagram
(not anatomically precise or to scale) also shows the blood flow through the different chambers, emphasizing the origins
and destinations of blood on each side. (b) The main centres of electrical excitation and pathways of electrical conduc-
tion in the heart. NB All given pressures are approximate and typical of a healthy young adult. AV, aortic valve; AVN,
atrioventricular node; BB, bundle branches (right and left); BH, bundle of His; LA/RA, left/right atrium; LV/RV, left/right
ventricle; MV, mitral valve; PA, pulmonary artery; PF, Purkinje fibres; PV, pulmonary valve; PVn, pulmonary vein; SAN,
sinoatrial node; TV, tricuspid valve.
CIRCULATION (starting with return of blood to the heart from the peripheral circulation)
• Deoxygenated blood returns to the right side of the heart from
venae cavae during diastole (relaxation)
• It enters the right atrium at a pressure of 0-10 mmHg
• Right atrial contraction increases pressure until the tricuspid valve
• Blood flows through the tricuspid valve into the right ventricle
during diastole, partially assisted by atrial contraction (the ‘atrial
kick’)
• As right atrial pressure rises, the tricuspid valve closes and the
pulmonary valve opens
• Right ventricular systole (contraction) sends blood via
pulmonary arteries to the lungs at a pressure of about 30 mmHg
• Blood is oxygenated in the lungs and returns to the left atrium via
the pulmonary veins
• Left atrial systole increases pressure until the mitral valve opens
• Blood flows through the mitral valve into the left ventricle during
diastole
• Left ventricular contraction during systole
• As pressure rises, the mitral valve closes (‘lub’) and the aortic
valve opens
• Left ventricular contraction during systole sends blood via the
aorta to the body at a maximum pressure of about 120 mmHg
• Ventricular pressure falls and the aortic valve closes (‘dup’)
• Blood perfuses the periphery and oxygenates tissues
• Mean pressure falls to 30 mmHg at the arterial end of capillaries
and 15 mmHg at the venous end
• Deoxygenated blood returns to the heart via the veins; flow is
facilitated by the peripheral muscle pump, and back flow is
prevented by one-way venous valves
CARDIAC CYCLE (starting at end of diastole)
• Impulses originate in the sino-atrial node, which controls rhythm
and causes atrial systole
• Impulses spread across the atrium to the atrioventricular node
• Impulses traverse the bundle of His and bundle branches in the
septum (between Left and Right heart)
• Ventricular systole starts from the apex of the ventricles
• Intraventricular pressure rises, initially without change of size
because the aortic and pulmonary valves are closed (isovolumic
phase)
• Impulse spreads towards the base of the ventricles (valves) via
Purkinje fibres
• Mitral and tricuspid valves close as pressure rises
• Aortic and pulmonary valves open as pressure exceeds systemic
or pulmonary
• Blood propelled towards the aortic and pulmonary valves by
contractile wave spreading from the apex and twisting
deformation of the ventricles due to asymmetric myocardial muscle sheets (ejection phase)
• Blood flows to the lungs from the right ventricle, and to the rest of
body from the left ventricle
• Pressure in the ventricles falls and the aortic and pulmonary valves
close
• Blood flows from the aorta into the coronary arteries as the
ventricles relax; ventricular diastole
Figure 4.2Spring model of the loading on a pump. (a) Spring in resting position. (b) Spring stretched (primed) by preload P. The degree of stretch, and therefore the energy stored for subsequent recoil, is proportional to the magni-
tude of preload. (c) Afterload A applied to spring. (d) Spring recoils (contracts). Resistance to recoil depends on magni-
tude of afterload, and force of recoil depends on physical properties of spring (‘contractility’).
during systole. It is thus a good index of cardiac efficiency and is used as a quantitative measure of the degree of heart failure:
Stroke volume
Ejection(4.5)
fractionEnd-diastolic volume
The average ejection fraction in health, measured by echocardiography, is 60-70%.
Intrinsic contractility
The biochemical and metabolic condition of
heart muscle will influence its performance
regardless of preloading. Variable contractility
is a property not found in other smooth muscle
or in skeletal muscle. It is affected by the
autonomic nervous system, systemic hormones
(e.g. adrenaline [epinephrine]), and disease (e.g.
ischaemia due to obstructed coronary vessels),
so that the same preload may produce a greater
or lesser performance. Contractility also
increases with increased heart rate (the force-
frequency effect). These represent further adap-
tive mechanisms available to the CVS.
Afterload
This is the resistance that the heart meets in
contracting and doing work to drive blood
through the arteries. A raised peripheral resis-
tance will at first reduce cardiac output,
although normally a reflex increase in contrac-
tility will promptly restore it, at the expense of
extra cardiac work. For most purposes the after-
load is approximately equivalent to the blood
pressure.
Summary
Within the normal physiological range, cardiac
performance is directly proportional to
preloading (EDV or filling pressure) and contrac-
tility, and inversely proportional to afterload
(vascular resistance). These relationships are
illustrated and explained further in Figure 4.4.
Factors affecting pump performance
Preload
This, the most complex of all determinants of
cardiac performance, is usually taken as equiva-
lent to the venous return. However, the more
precise concept of filling pressure must be used
to understand how preload varies (Figure 4.5).
The filling pressure at the right atrium is usually
about 10 mmHg. It depends on three main
factors:
1. The degree to which the circulatory system as
a whole is ‘filled’ with blood, i.e. the blood
volume.
2. The pressure exerted by the veins to
accommodate this, i.e. the venous tone.
3. The contribution of muscular activity to
venous return, i.e. the peripheral muscle pump (p. 168).
Blood volume
Fluid and electrolyte clearance by the kidney
is varied to defend blood pressure. In partic-
ular, fluid is retained if renal perfusion is
threatened. This is achieved through a var-
iety of endocrine mechanisms including the
renin-angiotensin-aldosterone system (RAAS), vasopressin/antidiuretic hormone, PGs and kinins. Urine output also varies with renal perfu- sion. The renal control of body fluid volume is discussed in detail in Chapter 14.
Figure 4.3Stages in the cardiac cycle to illustrate loading, using the analogy of the spring. The effects of preload and
afterload may be grasped more easily if it is imagined that there are springs in the ventricular wall that behave in a similar
way to those in the previous figure. The right side is shown during diastole (a, b) to illustrate preload and the left side
during systole to illustrate afterload (c, d). This is because changes in preload (systemic filling pressure) usually affect the
right side, while the left side is usually affected by changes in afterload (systemic vascular resistance). However, similar
considerations apply to both sides and they fill and empty simultaneously. (Volumes given below apply to average resting
cardiac cycle, i.e. no exertion.) (a) Right side of heart at the end of systole (ESV, end-systolic volume; about 50 mL).
Myocardial fibres are contracted (‘springs’ recoiled). Venous return starts to fill right atrium and then right ventricle,
producing preload. (b) Right side at the end of diastole (EDV, end-diastolic volume; about 120 mL). Myocardial fibres are
stretched, to a degree proportional to preloading (equivalent to volume of venous return). The potential force of subse-
quent contraction is proportional to the degree of myocardial stretch (equivalent to EDV). (c) Left side of heart at end of
diastole. Myocardial fibres now start to contract. The afterload is equivalent to the resistance of the systemic arterioles
(peripheral resistance) against which the left ventricle must eject the stroke volume (approx. 70 mL). The stroke volume will
also be determined by the condition of the myocardium (contractility, perfusion, etc.). (d) Left side at end of systole; position
is similar to (a). RV starting to fill. Stroke volume (SV) = EDV - ESV. Ejection fraction = SV/EDV (usually approx. 60%).
Figure 4.4Variation of pump performance with preload, afterload and contractility. (a) Preload. Assuming afterload and
contractility remain constant, the preload/output curve is normally steep up to a maximum M (which depends on fitness).
M is seldom reached and above it performance declines steeply with increasing preload. Note that the average resting
cardiac output is 5 L/min. These ‘contractility curves’ or Frank-Starling curves clearly show how cardiac output is driven
by venous return. They are useful to illustrate variations in cardiac performance resulting from changes in other parame-
ters. (b) Afterload. If contractility and preload remain constant, increases in afterload (usually peripheral resistance) reduce
performance almost linearly, as shown in curve F. However, a curve such as this would only be found in heart failure.
Normally, preload and contractility do not remain constant but increase reflexly to defend cardiac output (curve N),
producing an almost flat relationship over a wide range. Comparison of curves F and N shows why arterial vasodilators,
which reduce afterload, have little effect on output in health but can considerably improve it in failure. (c) Contractility.
This family of contractility curves shows how different intrinsic contractilities affect the response of the heart to preload
(assuming afterload is constant). Curve N is as in (a). Curve S, showing positive inotropic stimulation (e.g. sympathetic
nervous system) is steeper and goes higher. Curve I shows the inhibitory effect of negative inotropic influences (e.g.
parasympathetic nervous system). Curves S, N and I represent normal physiological variation. In compensated heart
failure (C) the curve may barely rise above the minimum resting output. In decompensated failure (F), output actually falls
with increases in preload beyond a certain point. This explains why preload reduction in heart failure can actually improve
output (see p. 199).
The most recently identified mediators are the
natriuretic peptide (NP) hormones, released
from a variety of tissues. The most important are
atrial natriuretic peptide (ANP) (from the atria)
and brain natriuretic peptide (BNP) (from
brain and cardiac ventricles) and they are
proving useful as markers for heart failure
because they are released when the circulation is
failing. They have both vasodilator and natri-
uretic actions, and serve as counter-regulatory
influences to limit excessive cardiac dilatation,
peripheral vasoconstriction and renal fluid
retention, and as protection against fluid
overloading.
Venous tone
The balance between the volume of fluid within blood vessels and its pressure is controlled by the
tone of the vessels. If fluid volume is increased,
e.g. by renal fluid retention, the pressure will
tend to rise. The veins, being more compliant
than arteries, will then dilate to accommodate
the extra volume and hence buffer what may
otherwise generate a dangerous rise in filling
pressure and cardiac drive. Without this compli-
ance the heart could rapidly be overloaded and
fail. Conversely, sudden falls in blood volume,
e.g. as a result of severe haemorrhage, can be
partially compensated by venoconstriction.
However, venous compliance is limited and large rises in blood volume do increase filling pressure at first, although further compensatory mechanisms eventually come into play, e.g. increased renal fluid clearance.
Venous tone, like arterial tone, is under auto-
nomic control. Adrenergic drugs or stimulation of the sympathetic nervous system cause veno-
constriction, which is consistent with the stress response (‘fight or flight’): it increases the venous return and filling pressure and so cardiac output. Conversely, extensive venodilatation is implicated in the pathogenesis of circulatory
shock because it causes a profound reduction in cardiac output and blood pressure.
Ventricular compliance
Resistance to filling is determined by the ease
with which the shape and size of the ventricle
are restored during diastole. The hypertrophy of
ventricular muscle that accompanies hyperten-
sion, some forms of cardiomyopathy (diseased
heart muscle) and the diffuse fibrosis of chronic
ischaemic heart disease can produce a stiff
myocardium that significantly reduces ventric-
ular compliance, preventing adequate filling
(p. 188).
Afterload
The afterload is determined mainly by arteriolar
tone, which is affected by both normal physio-
system
logical mechanisms and disease (Table 4.1). In
health, the overall tone is kept within narrow
limits because there is rarely any physiological
advantage in raising afterload. In hypertension,
afterload is persistently raised, so the heart must
work harder to maintain normal output; the ulti-
mate result may be left ventricular failure (LVF).
In health, blood viscosity is also constant.
Persistent hypoxaemia (reduced blood oxygen
level, e.g. in COPD), causes a reflex rise in RBC
count (polycythaemia). The resulting increase in
blood viscosity increases the afterload, which
can contribute to right ventricular failure (RVF;
see Chapter 5).
Contractility
Agents or circumstances that increase or decrease
contractility are termed positively or negatively
inotropic, respectively (Table 4.2). Small changes
in perfusion demands are normally accommo-
dated by changes in preloading and the Starling
effect rather than in contractility. However, if
necessary, positive inotropic effects can be
activated rapidly by the sympathetic nervous
system, and more slowly under hormonal
influences, e.g. thyroxine.
The myocardial adrenergic receptors are mainlyperfusion, i.e. ischaemic heart disease. However,
beta1. However, the existence of a small but
significant population of beta2-receptors means
that beta2 selectivity among agonists such as the
bronchodilators can never entirely free them
from cardiac effects. This contrasts with highly
selective beta1-adrenergic blocking drugs, which
will spare the lung and other beta2-populated
sites. The parasympathetic nervous system has
negatively inotropic effects via muscarinic
receptors, restricted mainly to the atria.
Among drugs, two main groups affect contrac-
tility: the beta-adrenergic agents (stimulants and blockers) act via their normal autonomic recep-
tors, while the cardiac glycosides and other agents, e.g. the phosphodiesterase inhibitors, affect myocardial cells directly.
Myocardial pathology
Numerous conditions cause deterioration in
myocardial contractility, hypoxia (low tissue
oxygen level) being one of the most important.
It usually results from impaired coronary
reduced blood oxygenation (hypoxaemia) will have a similar effect, e.g. severe chronic anaemia (Chapter 11) or COPD (Chapter 5).
Subtle problems can result from excessive
myocardial hypertrophy. A modest increase in
myocardial mass is usually a beneficial adaptive
response to chronically increased cardiac loading,
as in any well-exercised muscle. However, if the
myocardium grows too quickly it may outpace
the formation of new coronary vessels, causing
relative ischaemia. In addition, a thick
myocardium is less compliant (impairing filling),
and the extra cardiac work required to contract it
during systole will also reduce efficiency.
Overloading, e.g. excessive afterload in
chronic hypertension, or excessive preload in
fluid retention, can damage the myocardium by
forcing it to operate beyond its ability to
compensate, causing heart failure. This and the
various other pathological processes that directly
affect the myocardium are discussed in more
detail on pp. 188-193.
Heart rate
This represents yet another compensatory option for the CVS because cardiac output can quickly be changed without necessarily changing stroke volume or intrinsic contractility:
Cardiac
output
Stroke volume heart rate
Heart rate is under broadly similar physio-
logical influences to contractility. However,
while the sympathetic nervous system exerts
an excitatory influence on contractility, the
predominant physiological control on resting
rate is inhibitory parasympathetic tone via the
vagus nerve, slowing the heart (i.e. negatively
chronotropic). When the heart rate is
increased the diastolic interval is reduced but
the systolic time is mostly unchanged. Gener-
ally speaking, the CVS will use changes in rate
only to produce rapid temporary changes in
output. Medium-term output changes require
altered contractility, and chronic changes
involve renal compensation and possibly myocardial hypertrophy.
Summary
The relationships between the factors discussed above are summarized in Figure 4.6. This emphasizes the multifactorial nature of CVS
adjustments, involving coordination of haemo-
dynamic, neural and endocrine feedback loops and control paths.
Coronary circulation
Because the heart pumps continuously and has
little reserve energy substrate (e.g. glucose), its
blood supply is critical. Moreover, it has the
highest oxygen extraction of any organ in the
body (i.e. its coronary arteriovenous oxygen
difference is greatest). This means that increases
in oxygen demand need to be met mainly by
increases in perfusion. Many common cardiac
diseases result from impaired coronary perfusion.
Coronary perfusion
elastic recoil of the aorta immediately following systole, as the myocardium relaxes (Figure 4.7). Perhaps surprisingly, ventricular muscle is effec-
tively perfused only during diastole, because myocardial contraction during systole com-
presses the coronary vessels, especially in the inner layer (endocardium).
The perfusion pressure driving blood into the
coronary arteries is the difference between the
pressure in the aorta and the pressure within
the heart chamber during diastole (Equation 4.7).
CoronaryMeanEnd-
perfusionarterial- diastolic
pressurepressurepressure
(4.7)
Thus both low blood pressure and a raised
EDP, e.g. during heart failure, can compro-
mise coronary perfusion. Note also that blood
has to change direction and flow back
towards the heart during diastole to enter the
coronary arteries, which branch off the aorta
just after the aortic valve. This tends to
produce turbulence, which may be a factor in
the particular sensitivity of the coronary
arteries to atherosclerosis.
Control and compensation
The principal physiological controls on coronary vasculature are autoregulatory, with dilatation
occurring in response to increased demand as
metabolic by-products accumulate in the
stimulated myocardium. Autonomic control
plays a minor role via alpha-adrenergic constrictor
and beta2-adrenergic dilator nerves. These may
however play a role in coronary vasospastic
diseases such as variant angina (p. 249).
The heart does not normally have a well-
developed system of collateral vessels; thus it is more compromised by vascular obstruction than other tissues. Therefore atheromatous plaques that occlude coronary arteries in ischaemic heart disease (p. 236) will have a disproportionately large effect. However, regular exercise and chronic vascular obstruction both stimulate the development of coronary collaterals.
A fixed obstruction such as an atheroma (see
below) not only reduces the lumen but also
impairs the vessel’s ability to dilate, and may
abolish it completely. Furthermore, during
ischaemia, autoregulated dilatation normally
occurs in vessels adjacent to the obstructed one;
this may actually divert blood away from the
area served by the obstructed vessel if that area
does not have a collateral supply. This phenom-
enon, known as coronary steal, is sometimes
seen when vasodilators are used in acute angina;
the pain actually increases as blood is redirected
away from the ischaemic area.
Myocardial energetics
Oxygen demand
The work done by the heart is given approxi-
mately by the product cardiac output blood
pressure. Clearly, oxygen demand is related to
the work done. This relationship is governed by
several variables. One way of expressing it is:
O2 demand contractility
myocardial wall tension
time in tension(4.8)
Contractility depends on the contractile state
of the myocardium (p. 174), time in tension is
related to heart rate, and wall tension is related to mean arterial pressure (for the left ventricle).
Thus adrenaline (epinephrine), hypertension
and tachycardia(increased heart rate) all
increase oxygen demand if other factors remain
unchanged. This is particularly important to
remember when the coronary supply is compro-
mised, because increases in such factors may
precipitate acute angina.
If contractility is approximately constant, Equation 4.8 simplifies to:
O2 demand ÷ heart rate blood pressure
(4.9)
This semi-quantitative approximation, known as the ‘rate-pressure product’, is convenient for clinical studies because the variables are easily measured. It can be used to predict the effect of various strategies or drugs on oxygen demand. In the treatment of certain conditions the aim
is to reduce the rate-pressure product, e.g. in
ischaemic heart disease, where oxygen supply to the myocardium is restricted.
Efficiency
This may be taken as the work the heart does in relation to its oxygen consumption. Although absolute values do not concern us here, relative changes do. A number of important conse-
quences affecting efficiency follow from the heart being a hollow chamber.
First, ‘volume work’ is more efficient than
‘pressure work’. That is, work done to increase
cardiac output requires a smaller increase in
oxygen demand than does the same amount of
work done to raise blood pressure. Thus volume
overloading is less harmful to the heart than
sustained high blood pressure. Consequently,
heart failure or angina develop far more readily
from hypertension or aortic stenosis (narrowing
of the aortic valve) than from fluid retention or
aortic incompetence (incomplete closure of
aortic valve). Conversely, strategies to reduce
afterload might be expected to be more effective
at reducing cardiac workload than strategies
reducing preload.
A more important consequence relates to
myocardial wall tension, a major determinant of
oxygen demand. The ability to expel blood
during systole depends on the tension generated
system
in the ventricular wall and this is determined by
the diastolic stretch imparted by preloading.
However, the effect is not linear and as preload
increases there are disproportionately greater
increases in oxygen demand. Thus doubling the
preload will require more than double the
oxygen demand if output is also to be doubled.
The explanation is given by Laplace’s law.
Clearly, the walls of a hollow container need to
develop (or maintain) tension in order to
generate (or withstand) pressure within. Laplace’s
law states that this tension is proportional not
only to the magnitude of the required pressure
but also to the size of the container. In the cardio-
vascular context the ‘containers’ we are interested
in are blood vessels and heart chambers:
Wall tension ÷ internal pressure radius
(4.10)
This explains, among other things, why large arteries need much thicker walls than smaller
ones, despite their internal pressure being similar. (Similarly, thin bicycle tyres, because of their small radius, can withstand much higher pressures than much thicker car tyres.)
Thus the larger the size from which a heart has
to contract, i.e. the greater the EDV, the greater
will be the wall tension required to generate the
same internal pressure needed to overcome the
afterload. This means an increased oxygen
demand for the same output (Equation 4.8). So
for a given individual, the larger the heart, the
less efficient it is. ‘Larger’ in this context means
an increase in chamber size and should be distin-
guished from ‘hypertrophy’, which is an increase
in muscle mass (p. 181).
The significance of this may be gauged when
we recall that cardiac enlargement by the
Starling mechanism is a prime strategy for
accommodating extra haemodynamic demands.
Normally it causes no problem because there
is sufficient cardiac reserve. However, in
the failing or ischaemic heart this reduced
efficiency can mean the difference between
compensation (i.e. coping) and decompensa-
tion. It also explains the rationale for the use
of vasodilators in heart failure, which reduce
preload or afterload and therefore ventricular
wall tension.
Cardiovascular reserveriorates the patient will eventually be unable to
sustain an adequate cardiac output for normal
The cardiovascular (cardiac) reserve is the degreeactivity, or may even be breathless at rest; this is
to which the CVS can increase its performance to
meet additional circulatory demands, or can
maintain performance in the face of increased
afterload or impaired contractility. Changes in
cardiovascular demand are detected by a
comprehensive system of receptors (Figure 4.6).
Baroreceptors in the aortic arch, the carotid
body, the atria and the ventricles detect changes
in intravascular or intracardiac pressure and
relay these to the cardiovascular/vasomotor
centre in the medulla. This then mediates an
appropriate response via adjustments in sympa-
thetic and parasympathetic outflow, principally
to the vasculature and myocardium, and also
via antidiuretic hormone (ADH, vasopressin)
secretion. Chemoreceptors in the carotid body
and the aortic arch detect oxygen tension, which
would fall if lung perfusion were compromised.
Intracardiac baroreceptors also mediate NP
secretion.
The renal juxtaglomerular apparatus is
another important detector of reduced perfu-
sion, mediating its response principally via the
RAAS. In chronic situations, the kidney may
increase erythropoietin secretion, expanding RBC
numbers.
At rest, the average cardiac output is approxi-
mately 5 L/min. Because it depends on body size,
the cardiac output is sometimes adjusted for
body surface area: the resting cardiac index is
approximately 3 L/min/m2. In a fit adult, cardiac
output can be increased on demand up to
20-25 L/min; there may also be a rise in blood
pressure. The difference between resting and
maximum cardiac output is the cardiac reserve.
With a diseased heart, the cardiac reserve is
reduced. In mild heart failure the reduction may
be small and therefore only noticeable on
vigorous exertion, when the patient will become
unusually fatigued. As heart function deterio-
rates, the degree of exertion that produces the
same level of fatigue becomes progressively
smaller. This reduced exercise tolerance is a
measure of diminishing cardiac reserve.
As long as the patient can maintain an
adequate cardiac output at rest the heart failure
is compensated. However, as the condition dete-
decompensation.
The various haemodynamic, neural and
endocrine mechanisms and strategies of cardio-
vascular compensation are summarized in Table
4.3; many have already been discussed. They are
classified according to the speed with which the
CVS can mobilize them. Note that medium- and
long-term compensation mechanisms resemble
normal physiological responses to exercise
training.
Acute compensation
The CVS can respond very rapidly to acutely
increased demand. Cardiac output may be raised
through the Starling mechanism following
increased venous return and/or venoconstric-
tion. The cardiovascular centre and sympathetic
nervous system also contribute by acting on the
myocardium and pacemaker, giving positive
inotropic and chronotropic responses. Falls in
blood pressure are also compensated by a sympa-
thetic nervous system vasoconstrictor response.
ANP may be secreted by the right atrium when
atrial baroreceptors detect an increase in atrial
filling, as a counter-regulatory response to limit
or buffer these actions. This counters excessive
activity of the sympathetic nervous system.
Medium-term compensation
If the stress is more prolonged, many acute
compensatory mechanisms may persist, but
others also come into play. Renal compensation
(see Chapter 14, p. 881) involves the RAAS and
fluid retention to expand or maintain circulating
fluid volume. There may also be secretion of
ADH. More directly, if renal perfusion pressure is
reduced there will be reduced urine output
owing to reduced filtration and increased
reabsorption.
Long-term compensation
Chronically increased demand induces myocar-
dial hypertrophy, an increase in myocardial
muscle mass that increases contractility (note that this differs from ‘cardiac enlargement’, which means an increased EDV). If there is persistent hypoxaemia as a result of poor pulmonary perfu-
sion, an increased red cell count will eventually be induced, possibly resulting in polycythaemia. The kidneys continue to retain fluid.
Constraints on cardiac reserve
There are limits to most of these mechanisms;
the CVS cannot accommodate increasing
demands indefinitely (Table 4.4). Eventually
these primarily beneficial haemodynamic and
neuroendocrine mechanisms come to be
deployed in circumstances beyond their design
limits: they then become maladaptive (counter-
productive). This accounts for many of the
features of heart failure.
Renal/Starling
The kidneys will attempt to support a failing
circulation by retaining fluid, increasing the
filling pressure and thus cardiac output.
However, because of the Laplace limitation
(p. 178), a failing myocardium cannot benefit
indefinitely from this. As the heart becomes
progressively more stretched, not only does it
become less oxygen efficient but the cells also
become fatigued and unable to respond. There is
a limit to the degree of stretch (cardiac enlarge-
ment) that the muscle fibres can tolerate, depen-
dent at the ultracellular level on the degree of
interdigitation of the actin and myosin fila-
ments. Beyond this, fluid retention becomes
maladaptive. There is also the more obvious
anatomical constraint of the pericardial sac
around the heart.
Sympathetic nervous system
Adrenergic receptors on myocardial or vascular smooth muscle eventually become desensitized (accommodated) to prolonged and unrelieved stimulation,andthereforelessresponsive,possibly through down-regulation or post-receptor un-
coupling. This may induce reflex sympathetic over-activity that, among other things, produces an unsustainable increase in myocardial oxygen demand and promotes arrhythmia.
At this stage, which is found in early chronic
(compensated) heart failure, a further protective
mechanism is activated. Atrial and arterial
baroreceptors (stretch receptors) signal the CVS
centre to limit sympathetic activity and promote
increased vagal activity. This reduces myocardial
wall stress by reducing excessive cardiac stimula-
tion and peripheral vasoconstriction; arrhyth-
mias are also inhibited. Thus as cardiac function
declines the heart is protected against excessive
demands. As we will see below, this mechanism
later becomes blunted; baroreceptor failure
signals the onset of decompensation and over-
whelming maladaptive stimulation of heart and
arteries.
Renal/endocrine
Renin secretion may also become excessive,
partly mediated by the sympathetic nervous
system, and angiotensin then contributes to
the decompensation. Failure in the counter-
regulatory NP and nitric oxide mechanisms
exacerbates the situation. This will allow exces-
sive fluid retention and vasoconstriction by no
longer attenuating the actions of aldosterone
and angiotensin.
If the heart rate increase is excessive, coordi-
nation becomes disrupted and arrhythmias
develop that compromise the efficiency of
ventricular ejection. The practical maximum
heart rate in a young fit person is about three
times the resting rate, but is reduced to double
the resting rate at age 80 years. Even before this
stage efficiency may be reduced because of inad-
equate time for complete emptying or refilling
within each cardiac cycle.
Finally, myocardial hypertrophy is not without disadvantages (Figure 4.8):
• The heart becomes stiffer, i.e. less compliant,
and so more work and more oxygen are
required for each contraction.
• The muscle growth will be partly inwards,
reducing the chamber size.
• The thicker walls will produce unequal
stresses at different levels within the thickness
during contraction, so more energy will be
expended in deforming them.
• Muscle development may outstrip new
coronary vessel growth (angiogenesis).
It must be remembered that the main function
of the Starling mechanism is to maintain stroke
volume under conditions of increased loading.
Even under maximal exercise stimulation stroke
volume rarely increases by more than about
25%. The increase in cardiac output during
exercise is principally due to increased heart rate.
The main cardiovascular effect of training is
to increase resting stroke volume and EDV and
reduce resting heart rate. This increases cardiac
reserve by allowing greater latitude for increased
heart rate and ejection fraction.
Thus although the CVS is beautifully designed
to compensate most economically for wide
variations in physiological demands, there are
certain stresses with which it cannot cope and
these can lead to CVD, particularly heart failure.
Clinical features of cardiovascular disease
Symptoms
Because the CVS supplies all organs, symptoms
may arise in any one of these, and the cause may
not be obviously cardiovascular, especially to a
patient. Further, because most CVD is chronic,
symptoms may at first be noticeable only on
exertion. As the disease progresses, the point at
which symptoms develop comes earlier. The
severity of many acute cardiovascular symptoms
can be graded empirically by applying the widely
used functional scale of the New York Heart
Association (NYHA):
• Grade I. Asymptomatic. No symptoms at
ordinary physical activity.
• Grade II. Mild. Symptoms evident on
strenuous exertion.
• Grade III. Moderate. Symptoms evident on
moderate exertion.
• Grade IV. Severe. Symptoms at rest.
Fatigue
Impaired perfusion to body skeletal muscle due
to reduced myocardial function (heart failure)
will cause patients to tire easily. Reduced exercise
tolerance can be estimated empirically by asking
how far a patient can walk, climb stairs, etc. or
quantified by formal exercise testing on a tread-
mill or exercise bicycle (with ECG monitoring).
Of course, fatigue can have many other causes,
both physical and mental. Common iatrogenic
causes include beta-blocker therapy and, in the
elderly especially, diuretic-induced sodium and
potassium imbalance.
Dizziness; fainting (syncope)
Temporarily interrupted CNS perfusion (tran-
sient ischaemic attacks, TIAs) commonly result
from, among other causes, sudden temporary
ventricular arrhythmias or postural hypoten-
sion. It is usually reversible within a few minutes
(contrast this with epilepsy, stroke, etc.). Possible
iatrogenic causes of syncope are CNS depres-
sants, vasodilator therapy or diuretic-induced hypovolaemia. Simple faints in otherwiseorigin, and such symptoms should not be used
healthy individuals are not uncommon and
usually are due to increased parasympathetic
activity causing transient hypotension (vaso-
vagal attack).
Dyspnoea
Shortness of breath or difficulty in breathing is a
subjective feeling that may or may not be
associated with objectively reduced blood
oxygenation. Possible causes are mainly cardio-
vascular (i.e. pulmonary oedema from LVF),
primary pulmonary disease (Chapter 5) and
anaemia. Postural variation is common in
cardiovascular dyspnoea: it is worse when
supine, so that the patient breathes more easily
when erect or sitting (orthopnoea). This is
because intrathoracic pressure is increased when
the patient is recumbent, raising pulmonary
venous pressure and thus promoting the forma-
tion of alveolar oedema (see below).
Palpitations
An abnormal awareness of the heartbeat is usually caused by an arrhythmia, particularly an extrasystole. Patients may also notice severe tachycardia or bradycardia.
Pain
Pain arising in the chest region can have many
origins, including the upper GIT, the lungs and
the chest wall, as well as acute anxiety. The
typical cardiac ischaemic pain associated with
coronary artery disease is characteristically
described as ‘crushing’ or ‘choking’, but seldom
as ‘sharp’ or ‘momentary’. Patients may illustrate
it by making a fist against their sternum or
describing it as “like someone bear-hugging you
from behind”. The pain may radiate up to the
jaw or down the left arm. The most important
differential diagnosis for a pharmacist is
dyspeptic pain from the oesophagus, or from the
stomach or duodenum, which may be described
as sharp (“like a knife”) and patients illustrate by
pointing (see Chapter 3). However, it may not be
possible from the patient’s description to distin-
guish between cardiac pain and that of epigastric
in isolation to diagnose cardiac events.
Examination: signs and history
Pulse
Palpating the pulse indicates cardiac rate and
rhythm. If vascular obstructive disease is
suspected, it is customary to take the pulse at
several sites on either side of the body (both
wrists, elbows, ankles, knees) to check for
possible impaired or asymmetric perfusion. For
example, a diabetic may have normal pulses at
the knee but weak ones at the ankle owing to
angiopathy. The pulse pressure, the difference
in pressure between systole and diastole, can be
estimated by palpation and yields useful semi-
quantitative information (e.g. both the arterial
rigidity of arteriosclerosis in the aged, and an
incompetent aortic valve, cause a sharp differ-
ence with each beat, i.e. wide pulse pressure).
Palpation of the left chest at the fouth or fifth intercostal space, about halfway between the
sternum and side of body, will reveal the apex beat. This is where the left ventricle impacts on the chest wall during systole, yielding informa-
tion about the rhythm and strength of the heart beat. In an enlarged heart this point is shifted
leftwards (away from the sternum).
Blood pressure
Measurement of systemic arterial blood pres-
sure is discussed on pp. 214-216. The pressure is
at or near systolic level for only a short part of
the cardiac cycle: for most of the cycle, pressure
is nearer diastolic. Thus mean arterial pressure
(MAP), which gives an indication of the average
stress put on the arterial system, is not a simple
average: it is calculated by giving greater weight
to the diastolic:
Mean
arterialdiastolic1/3 (systolic - diastolic)
pressure(4.11)
In developed countries, blood pressure
increases with age. Systolic pressure is affected
more than diastolic, and continues rising, possibly to 180-200 mmHg at age 80 (which
indicates the need for treatment) as arterioscle-
rosis (p. 235) reduces arterial compliance. Dias-
tolic pressure rises less steeply to around
90 mmHg at age 60, and then flattens out. Thus,
the pulse pressure widens on ageing, reflecting
decreasing aortic compliance. Between the ages
of 20 and 60, the approximate normal values are
given by:
Systolic blood pressure1002/3 age
(4.12)
Diastolic blood pressure671/3 age
(4.13)
Blood pressure is normally a little lower in
younger women than men but tends to rise
faster postmenopausally so that pressures
converge, and older women have higher
systolic pressures than men. In less developed
and rural areas there is little change with age,
but migrants from rural areas to industrialized
ones tend to acquire the rising pattern,
suggesting the existence of strong environmental
factors.
The central venous pressure (CVP) is the
blood pressure at the point where the great
veins enter the right atrium and is normally
between 0 and 10 mmHg. The CVP represents
the RAP or preload and is a good index of
cardiac performance, because reduced ventric-
ular performance will cause it to rise. It may be
used to monitor possible fluid overload in heart
failure or IV fluid therapy. The jugular venous
pressure (JVP) is a non-invasive external indi-
cator, detectable by examining for possible
swelling of the jugular vein in the neck. It is
measured by estimating the height of this
swollen portion above the line of the clavicle
(with the patient sitting with their thorax at
45º). Normally it is undetectable but in right
heart failure it is raised.
Cyanosis
This blue coloration of blood is caused by
reduced oxygen saturation (increased deoxy-
haemoglobin level). It is noticeable clinically in
highly vascular areas such as lips, tongue or
nailbeds. The terms central and peripheral in
system
relation to cyanosis refer to its origin and not
where it is observed - a common source of
confusion. Central cyanosis is caused by gener-
alized arterial hypoxaemia, due for example to
pulmonary oedema. In peripheral cyanosis the
arterial oxygen saturation may be normal but
perfusion of a particular area (usually fingers or
toes) is compromised. In heart failure this
commonly occurs in the skin as vasoconstriction
there diverts blood to more important areas.
Local blood flow is slowed, more oxygen is
extracted, the arteriovenous oxygen difference is
raised, and the blood becomes abnormally
deoxygenated and blue-tinged. The area will be
cold, but if it is massaged to improve local
perfusion then normal colour may be restored
(contrast this with central cyanosis).
Oedema
The origins of oedema are complex. The conven-
tional explanation is illustrated in Figure 4.9,
although recent evidence has questioned the
completeness of this. On this model the oedema
of heart failure is primarily caused by a combi-
nation of raised total body water (owing to renal
fluid retention) and the preferential redistribu-
tion of an abnormal amount of this water to the
extravascular extracellular compartment, i.e.
tissue fluid (owing to raised peripheral venous
pressure). As will be discussed below, hydrostatic
factors also contribute. Generally, pulmonary
oedema results from left heart failure, and
peripheral oedema (in ankles, sacrum, abdom-
inal organs) from right heart failure. If the
oedematous area is compressed firmly with the
thumb for about 10 s (this is usually painless
for the patient), the impression remains as a pit
for very much longer than would be the case for
normal skin - hence the term pitting oedema.
Investigation
Electrocardiogram
An ECG reveals to the trained eye both qualita-
tive and quantitative information about the
heart’s activity and electrical conduction system.
The multiplicity of leads enables localization of certain lesions; e.g. where an infarction
has occurred. Exercise provocation and 24-h
recording may be useful modifications. The trace
as it most commonly appears in generic ECG
illustrations (similar to lead II) is shown in Figure
4.10, together with an account of the origin of each component. A number of basic ECG traces will be used in the relevant sections below to
illustrate some typical abnormalities.
Imaging
A plain chest X-ray (see Figure 4.12(a)) will show the size of the heart and whether or not the lung fields are clear. Shadowing at the base of the
lungs along the lower margin (defined by the
diaphragm) usually indicates accumulation of fluid (i.e. pulmonary oedema).
Undoubtedly the most generally useful tech-
nique is echocardiography, which uses ultra-
sound. This is relatively inexpensive and
completely non-invasive. It provides a contin-
uous timed record of all the movements and
dimensions of cardiac structures (including wall
thickness, chamber size, shape and valve
movements), and can measure ejection fraction.
Magnetic resonance imaging(MRI) and
computed tomography (CT) scanning of the
thorax may also sometimes be required.
In ventricular angiography, heart move-
ment throughout the cardiac cycle can be visu-
alized by injecting radio-opaque material into
the general circulation. In coronary angiog-
raphy, much smaller quantities of contrast
medium are precisely injected via a catheter at
the root of a coronary artery to visualize
possible obstructive lesions. This is becoming a
standard investigation and diagnosis of cardiac
ischaemic symptoms, and for deciding whether
bypass or angioplasty (p. 253) is indicated, and
if so where.
Nuclear imaging is used in two ways. In
radionuclide ventriculography, thallium-201
taken up from coronary blood by healthy
myocardial tissue leaves‘cold’ spots that
identify under-perfused (ischaemic) areas. Tech-
netium-99-labelled RBCs enable visualization of
the heart chambers and their movement; the
ejection fraction can be measured accurately.
Catheterization
A fine plastic catheter may be introduced into the heart via a peripheral artery to access the left side of the heart or a vein (right side) so as to lie with its tip in a heart chamber or great vessel. Radiocontrast medium may then be injected,
pressure at that point measured or blood with-
drawn for gas analysis. It is particularly useful to measure the RAP (equivalent to CVP or preload), pressure drop across a valve, and pressure in the pulmonary vein (pulmonary ‘wedge’ pressure, equivalent to left atrial pressure).
Heart failure
Heart failure (cardiac failure) is not a disease but a syndrome, with many possible aetiologies and a complex pathogenesis, yet it may be simply defined as the failure of the heart to meet the
normal perfusion demands of the body. Many diseases can impair cardiac performance and all are usually serious. Consequently, chronic cardiac failure has a poor prognosis, comparable with that for many forms of cancer.
Whatever the cause of failure, the clinical
picture resulting from reduced contractility is similar. This is due to a combination of the
consequences of impaired perfusion and the
secondary consequences of maladaptive attempts
by the CVS to compensate (p. 180; Table 4.3).
The cardiac failure syndrome may also involve
peripheral organ damage not directly caused by
reduced blood supply, especially in skeletal
muscle.
Terminology
Terms commonly used to describe different
aspects of heart failure are given in Table 4.5.
Most cases of heart failure would be classified as
‘chronic compensated low-output left ventric-
ular systolic failure’. The clinical features of left
and right failure differ in certain crucial aspects,
but many patients, especially the elderly, present
with bilateral failure. The distinction between
acute and chronic is important for management.
The difference between systolic and diastolic
failure is discussed below.
Heart failure187
Epidemiology
Determining the prevalence of heart failure
depends upon which grade, ejection fraction
cut-off point and population are being consid-
ered. Estimates for symptomatic heart failure
vary between 0.5% and 2%, but among those
aged over 80 this rises to over 10%. If asympto-
matic cases (Class 1) are included, overall preva-
lence is almost 10%. The annual incidence in the
UK is approximately 0.3%, representing over
150000 cases.
Aetiology
The causes of heart failure may be considered in two broad groups:
1. Pump failure, with primary reduction in
myocardial contractility.
2. Overloading, with either excessive afterload
(pressure overload) or excessive preload (volume overload), which arise outside the heart and reduce contractility secondarily.
Specific causes within these groups may give rise to failure acutely or chronically and may initially affect one specific chamber or side of the heart. However, in chronic heart failure both sides are usually affected eventually. Table 4.6 shows the common causes in each group.
Despite this wide range of possible aetiologies,
in industrialized countries by far the most
common cause of LVF is ischaemic heart disease,
causing over half of cases; the second most
common is cardiomyopathy (see below) and the
third is valvular disease. Untreated systemic
hypertension used to be a common cause but is
no longer a major factor. Valve disease secondary
to childhood rheumatic fever is now uncommon
as a result of improved public health and sanita-
tion. However, in developing countries the
picture is quite different, with infective and
nutritional causes predominating.
system
Pathogenesis
Primary pump failure
Damage to the myocardium usually results in
systolic failure. Ischaemic heart disease (IHD,
restriction of the coronary blood supply) is
the most common cause; it usually affects just
one chamber, most often the left ventricle.
Ischaemic failure may develop suddenly
following myocardial infarction (MI), with no
prior warning signs of ischaemic chest pain over
the preceding weeks or months. Alternatively
there may be slowly progressive diffuse fibrosis
with multiple minor and possibly asymptomatic
infarcts, especially in the elderly. Chronic
ischaemia may also induce asymptomatic
myocardial hibernation, with progressive
decline in systolic function, although poten-
tially this is reversible by revascularization.
However, it must be remembered that IHD is a
separate disease entity from heart failure and
does not invariably lead to it. Heart failure rarely results from stable angina pectoris.
The cardiomyopathies are a miscellaneous
group in which diffuse damage occurs
throughout the myocardium. They are either
idiopathic or secondary to conditions such as
infection, toxins (e.g. alcohol), inflammation or
autoimmune disease. In dilated cardiomy-
opathy the myocardium becomes thin, weak and
excessively enlarged, with a raised EDV and a low
ejection fraction. This may arise as a consequence
of, for example, infection, thyroid disease or
alcohol abuse. In hypertrophic cardiomy-
opathy there is excessive thickening of the
myocardium, leading to poor ventricular filling
and obstructed ejection, particularly due to struc-
tural distortion around the valves, whereas in
restrictive cardiomyopathy there is increased
ventricular stiffness but little hypertrophy.
In the ageing heart a diffuse (‘senile’) fibrosis
can occur and a number of systemic diseases
such as sarcoid and amyloidosis may have
diffuse cardiac complications that lead to even-
tual failure. Arrhythmias may also cause pump
failure. Interestingly, cardiac tumours are rare.
While most forms of pump failure cause
reduced contractility and systolic failure, some
diffuse diseases of the myocardium can lead to
it becoming fibrosed and stiff, with reduced
compliance. This results in difficulty in filling
the heart adequately during diastole, and leads
to diastolic failure. This has been recognized
in about one-fifth of patients with symptoms
of failure (i.e. low cardiac output), but a
normal heart size and ejection fraction (and
thus normal systolic function), and may be
present in up to half of all heart failure cases.
Causes include patchy ischaemic or senile
fibrosis, restrictive cardiomyopathy and hyper-
trophic cardiomyopathy(e.g.owing to
untreated hypertension).
Overloading
Both over-work and over-stretch cause structural
and biochemical abnormalities in myocardial
cells, such as the deposition of fibrils and impaired
calcium utilization. The result is a decreased
force and velocity of contraction and delayed
relaxation. These effects are usually irreversible.
Heart failure189
Excessive afterload
If the systemic vascular resistance is abnormally
high, causing systemic hypertension, the raised
afterload on the left ventricle may eventually
cause it to fail, but the right ventricle will
initially be unaffected. The heart is far more
prone to damage from pressure overloading
than from volume overloading, although the
former is now relatively uncommon because
hypertension is detected earlier and treated
better. However, it is possible that failure diag-
nosed as ischaemic or cardiomyopathic may
have been aetiologically related to chronic
undetected hypertension.
Similarly, sustained rises in pulmonary vascular resistance, causing pulmonary hyper-
tension (e.g. secondary to many chronic lung
diseases), can eventually lead to RVF, known as cor pulmonale, although it may be secondary to many other conditions.
Theoretically, the afterload on both sides
may be increased by abnormally high blood
viscosity, such as in polycythaemia, but this is
unlikely to cause failure in the absence of other
abnormalities.
Excessive preload
This is an uncommon general cause of failure.
Whether or not excessive increases in venous
return lead to failure depends on the cause and
other factors. The heart tolerates volume over-
load well, and because the output initially is
high, symptoms are not at first evident. The left
side of the heart receives the same volume of
venous return as the right, at approximately the
same preloading, because the lungs usually offer
little resistance. Because the left ventricle is by
far the more powerful, if decompensation is
caused by raised systemic filling pressure the
right side will be first to fail.
If moderate hypervolaemia develops, the
initially raised output will be surplus to the
perfusion needs of the body. Owing to autoregu-
lation there will be vasoconstriction throughout
the body and a rise in peripheral resistance:
blood pressure will increase and output will
return to normal (remember, blood pressure
cardiac outputperipheral resistance). Thus,
the raised preload is converted to a raised after-
load and, if not corrected, this may itself lead to
failure. This could also have a bearing on the
pathogenesis of essential hypertension (p. 213).
Precisely the opposite occurs in diseases where
widespread vasodilatation results in a severely
reduced peripheral resistance, e.g. in septicaemic
shock. This produces an obligatory requirement
for raised cardiac output to maintain blood pres-
sure, leading eventually to what is known as
high-output failure(although this is a
misleading term because by definition it does
not become failure until the myocardium can no
longer sustain the output). Other conditions
create an excessive (hyperdynamic) systemic
demand for output, stimulating the heart via the
usual CVS reflexes. Examples include chronic
severe anaemia, low blood oxygen being the
stimulus, and thyrotoxicosis, where basal
metabolic rate is increased.
Although not usually primary causes of heart
failure, anaemia, severe infection, fluid retention
(including that from drugs such as NSAIDs and
corticosteroids) or over-enthusiastic IV infusion
can be causes of decompensation in patients
with otherwise stable compensated heart failure.
Valve disease
Stenosis (narrowing or failure to open fully)
causes an outflow obstruction, which increases
system
afterload; thus mitral stenosis can cause left
atrial failure. Alternatively, valve incompetence
(failure to close fully) will permit regurgitation,
which causes volume overload in the chambers
both upstream and downstream of the valve:
upstream, because of the back-flow and down-
stream because there will eventually be an
abnormally large ingress as the upstream
chamber overfills. On this basis we can predict
the consequences of stenosis or incompetence of
the mitral, tricuspid, aortic and pulmonary
valves, i.e. which chamber(s) will fail and
whether this is the result of excessive afterload or
preload.
Pathophysiology
Haemodynamic changes
Heart failure is a dynamic process rather than a
single event, even when acute. Whatever the
aetiology, the process is similar and the reduc-
tions in cardiac effectiveness can be represented
by pump performance curves (Figure 4.11).
As contractility falls the stroke volume is
reduced; this leaves a higher EDV after ejection.
This means an increased preload for the next
contraction so that contractility is increased
appropriately (by the Starling mechanism).
Consequently output is restored, but as long as
the myocardium is impaired then output is
being maintained only at the expense of
increased diastolic size, i.e. the EDV is increased.
Because the heart is now ‘larger’ it is less effi-
cient, according to Laplace’s law. In health this is
usually insignificant, but in heart failure this
compensation eventually reduces efficiency and
erodes the cardiac reserve.
In Figure 4.11, curve N represents normal
contractility. Point n represents the resting
cardiac output of 5 L/min (that which is suffi-
cient to maintain resting organ function and
renal fluid clearance); the difference between n
and n-max represents the cardiac reserve. If
output falls much below 5 L/min there will be
symptoms of hypoperfusion, notably fatigue.
Alternatively, should perfusion demands exhaust
the cardiac reserve by requiring preload to rise
beyond point P-max, output will not increase
and may fall. Consequently venous pressure will
rise, causing congestive symptoms (i.e. oedema).
On the left side of the heart this will result in
pulmonary oedema and breathlessness.
Acute failure
Suppose that a patient with normal cardiac func-
tion suddenly were to suffer a moderate MI.
Contractility immediately drops and output may
quickly fall below the normal resting minimum,
to point f on a new, less steep, contractility curve
(F). The patient experiences fatigue even at rest, among other symptoms, and the CVS initiates compensation.
The heart enlarges until a new equilibrium is
attained at a higher preload (point f ). The
cardiac reserve is now reduced, as is the
maximum output that can be reached by
maximal preload (f ). At rest, the patient may
be unaware of any disability but he or she will
have reduced exercise tolerance, becoming
breathless earlier than before the MI. This situ-
ation (n ➞ f ➞ f) is termed compensated
failure. Note that a higher preload than before
is needed to sustain even resting cardiac output
(f ), so the heart is permanently less efficient.
If the infarction is very severe, the output may
drop precipitately to point d, putting the patient
Heart failure191
on curve D, and they would probably collapse.
After maximum compensation to point d ,
normal resting output can only just be attained
at maximal preload; the patient may even be
beyond this, on the falling arm of the curve.
There is now zero cardiac reserve and the patient
will be fatigued at the slightest exertion and may
be breathless even at rest: this is decompensated
failure.
Chronic failure
A gradual reduction in cardiac contractility produces a similar pattern, except that the patient’s haemodynamics would be represented by a series of progressively declining contrac-
tility curves, rather than a sudden fall.
A patient could remain in chronic compen-
sated failure indefinitely if the disease progres-
sion is arrested or is sufficiently slow. However,
a supervening severe stress (e.g. a serious infec-
tion, sudden fluid overload, excessive exertion
or chronic anaemia) often drives them into
decompensation.
A plain chest X-ray (CXR) dramatically visual-
izes severe heart failure. Figure 4.12(a) shows a
normal chest: the heart shadow occupies about
half the width of the thorax, i.e. the cardiotho-
racic index is 0.5. In Figure 4.12(b) (severe
failure) the cardiac enlargement is easily seen;
the index is nearer 0.7. The increased size is not
due to cardiac hypertrophy, which does not
show up on plain X-ray (the absolute increase in
size in hypertrophy being relatively modest and
growth predominantly inwards). What is shown
is the result of an increased diastolic volume.
Compensation and consequences: decompensation
Heart failure is more than simply a reduction in
cardiac output and accompanying tissue hypop-
erfusion. As was shown above (p. 180), when the
cardiac reserve is mobilized in circumstances
where its main effector system - the heart itself -
cannot respond, it soon becomes maladaptive.
Cardiac enlargement, driven in part by excessive
fluid retention and possibly by venoconstriction,
brings inefficiency and over-stretch as muscle
fibres lose mutual adherence. Excessive hyper-
trophy interferes with ventricular filling and
ejection. The maladaptive changes in ventricular
shape caused by dilatation and hypertrophy are
termed remodelling, especially when they
follow MI. Angiotensin may contribute to this
process.
These changes are accompanied by the
neuroendocrine mechanisms we met in
discussing cardiac reserve. In heart failure these
can exacerbate the situation as one or more
components fail to respond satisfactorily, e.g. a
failure to increase myocardial contractility
following increased sympathetic nervous system
activity.
The normally protective baroreceptor-
mediated inhibition of sympathetic outflow
becomes blunted, and unrestrained sympathetic
drive results in excessive inotropic stimulation
of the myocardium and widespread peripheral
vasoconstriction. Both conditions place further
loads on the heart. In addition, renal perfusion is
reduced and atrial pressures rise. Thus circu-
lating levels of noradrenaline (norepinephrine),
angiotensin, aldosterone, ADH (vasopressin) and NP all rise.
Decompensation follows as these mechanisms
combine to reduce cardiac output, rather than to
increase or even just maintain it. The heart has
passed the maximum on its contractility curve
(see Figure 4.4). Irreversible myocardial cell
damage and necrosis follow. The sequence of
events is illustrated in Figure 4.13. Clearly, treat-
ment must target not only low cardiac output
but also these maladaptive mechanisms.
Cardiogenic shock
If contractility falls below that which can sustain
the resting cardiac output, producing wide-
spread hypoperfusion, this counterproductive
cycle deteriorates rapidly. Peripheral arterioles
throughout the body respond to local hypoxia
by autoregulatory dilatation, overcoming the
centrally mediated vasoconstriction that
attempts to defend blood pressure. The result is a
disastrous fall in blood pressure, low venous return and poor coronary perfusion; together(dyspnoea) and oedema. However, the clinical
these result in even worse contractility and lower cardiac output. At the same time, hypoxic lung vessels constrict, thereby increasing right ventricular afterload. The entire syndrome is termed cardiogenic shock.
Despite the most aggressive management, the
whole devastating vicious cycle can be rapidly
fatal, especially if irreversible multi-organ
damage occurs before circulation is restored.
Clinical features
The classical symptom triad of heart failure is
exercise limitation (fatigue), shortness of breath
picture, although fairly consistent, is often more
complex. Many of the clinical features result
from impaired flow ahead of the affected
chamber; this hypoperfusion is termed the
forward component of heart failure. Other
symptoms are caused by an increase in pressure
in the veins draining into the affected chamber;
this results in congestion or oedema, termed
the backward component (Figure 4.14). Both
components usually coexist - they are different
aspects of failure, not different forms of it.
However, the symptoms may vary according to
which side of the heart is primarily affected, and
the picture is further complicated by the
neuroendocrine compensatory mechanisms A feature that commonly accompanies
chronic failure is the anaemia of chronic disease,
which contributes to the fatigue and also exacer-
bates the failure by putting an extra load on the
heart owing to increased circulatory demands.
Forward component (hypoperfusion)
The effects of hypoperfusion are independent of
which side of the heart fails because the outputs
from either side are always equal, even when
reduced. The principal feature is fatigue, but
numerous other symptoms follow from poor
peripheral perfusion. The extremities will be cold
and pale as the CVS attempts to redirect the
reduced cardiac output away from skin and
muscle to the brain, heart and kidney by periph-
eral vasoconstriction. Reduced renal perfusion
pressure will cause fluid and electrolyte reten-
tion, partly via activation of the RAAS,
contributing to oedema. Over-activity of the
sympathetic nervous system produces symptoms
such as tachycardia and tachypnoea (increased
respiratory rate).
It is possible that fatigue is not due just to
skeletal muscle hypoperfusion but is part of a
generalized myopathy secondary to heart
failure. It may result from impaired energy
system
handling and subsequent atrophy, or rises in
catabolic cytokines, possibly of cardiac origin,
such as TNF. Both myocardial and respiratory
muscles are affected, exacerbating the cardiac
problems and contributing to the breathlessness.
Backward component (congestion/oedema)
Right-sided failure. The raised pressure within
the great veins draining into the right side of the
heart (i.e. systemic venous congestion) will be
communicated back to the venous end of
systemic capillaries where it impairs the venous
drainage of tissue fluid, causing peripheral
oedema (p. 184). A further factor in acute failure
is the haemodilution caused by expansion of the
blood volume. This reduces plasma protein
concentration and thus oncotic pressure,
contributing to further loss of fluid from the
vascular compartment.
Not all areas of the body are affected equally.
The additional effect of gravity will make
oedema first noticed in the ankles of erect
patients, or in the sacral area of the bed-bound.
The liver, being highly vascular, is affected early,
causing hepatomegaly (enlarged liver), and the
patient may then feel bloated, nauseous and
anorexic. Congestion of the stomach and duodenum may impair nutrient and drug absorption. Later, ascites (free oedema fluid in the abdominal cavity) may develop.
A raised JVP (p. 184), seen as distension and pulsation of the external jugular veins in the
neck, gives an accessible, approximate clinical index of the severity of right-heart failure. The CVP (p. 184) is a more precise indicator for
monitoring the progress of severe failure, but
measuring it is invasive. The raised systemic
venous pressure reduces the arteriovenous pres-
sure difference, slowing peripheral blood flow and causing peripheral cyanosis.
In the kidney, raised venous pressure has more
far-reaching consequences. It reduces the
glomerular filtration rate (owing to raised
efferent arteriolar pressure; see Chapter 14) thus
exacerbating the fluid and electrolyte retention.
This is maladaptive because the resultant
increased intravascular volume further raises
venous pressures, exacerbating excessive preload
and oedema.
In summary, right-sided failure causes fatigue, fluid retention, peripheral oedema, abdominal congestion and peripheral cyanosis.
Left-sided failure. This is more common and
usually more serious. The rise in pulmonary
venous pressure causes pulmonary congestion
and pulmonary oedema by a similar mecha-
nism to that causing peripheral oedema in right-
sided failure. However, unlike most other tissues,
lungs do not normally have any tissue fluid and
the equivalent of the extravascular space is the
normally dry alveolar space. Thus even a small
imbalance in transcapillary pressure can allow
fluid into the alveoli, which seriously interferes
with gas diffusion and also reduces pulmonary
compliance (thereby increasing the work of
breathing). The resulting hypoxaemia causes
severe breathlessness (dyspnoea) and central
cyanosis. Severe pulmonary oedema can be
rapidly fatal (see also Chapter 5).
The dyspnoeic effects of mild pulmonary
oedema are particularly noticeable when the
patient is supine because the oedema fluid then
spreads throughout the lungs. When erect, i.e.
sitting or standing, venous filling pressure is
reduced as intravascular fluid is redistributed to
lower parts of the body; this reverses the condi-
tions that produce pulmonary oedema. This is
Heart failure195
orthopnoea, breathing adequately only when
erect. Even a moderate change in posture, such
as propping a patient up in bed with pillows,
promotes redistribution of the fluid, which
collects at the lung bases to leave the apexes
relatively clear and permitting adequate ventila-
tion at rest. This is easily visualized by X-ray
(Figure 4.12). However, in all but the mildest
pulmonary oedema, changes in posture alone
are insufficient and drug therapy is needed. In
addition to oxygen and diuretics, opiates may be
used in severe cases; they work in part by
venodilatation, causing a rapid reduction in
filling pressure.
A typical history given by patients with
untreated left-heart failure is of waking breath-
less, wheezy and coughing after a few hours’
sleep. They go to the window for a ‘breath of
fresh air’, and quite soon feel better: not because
of the air, plainly, but owing to the change in
posture. This phenomenon, because it may recur
throughout the night, is called paroxysmal
nocturnal dyspnoea (PND). It is a classical,
almost pathognomonic sign of LVF. Such
patients are advised to sleep with three or four
cushions, or in a chair, which usually improves
matters at least in the early stages.
To summarize, left-sided failure causes severe fatigue, pulmonary oedema, severe breathlessness and central cyanosis.
Predominant pathophysiological pattern
The backward and forward components can occur
to different extents in the same patient. Which
predominates - congestion or hypoperfusion -
depends on the shape of the patient’s contractility
curve and the position of its maximum. Figure
4.15 shows left ventricular contractility curves in
heart failure. The ‘dyspnoea threshold’ represents
the preload above which pulmonary venous pres-
sure is so high as to cause breathlessness. Below the
‘fatigue threshold’, output is so low as to cause
severe tiredness.
If the maximum output attainable is below the dyspnoea threshold (curve H, hypoperfused pattern), fatigue will occur after even moderate exertion, but before breathlessness. On the other hand, the patient whose heart is on curve C will become breathless before their muscles actually become fatigued (congestive pattern). Bilateral (biventricular) failure
Unilateral chronic failure is uncommon. Usually,
patients present with bilateral failure and have
mixed symptoms because failure of one side
eventually compromises function on the other:
this is the classical ‘congestive cardiac failure’.
The hypoperfusion that follows failure of either
side affects the pulmonary and systemic circu-
lations equally. Coronary hypoperfusion will
ensue, leading eventually to chronic ischaemic
ventricular failure on the opposite side.
Following unilateral LVF, pulmonary congestion
will increase the afterload on the right ventricle
and if this is untreated, the result will be RVF.
Asymptomatic left ventricular dysfunction
The early stages in slowly deteriorating chronic heart failure are initially fully compensated and therefore asymptomatic (Class I on the NYHA scale; p. 197). It can only be detected by investi-
gation, but there is evidence that early detection and treatment, before irreversible myocardial damage develops, improves prognosis.
Presentation
A few common examples of heart failure patients
will serve to illustrate typical presentations. One
might be an undiagnosed hypertensive male in
his mid-forties, probably somewhat obese,
possibly living a stressful life, perhaps starting to
suffer from angina pectoris. His heart failure may
be precipitated acutely by MI or may develop
slowly along with ventricular hypertrophy.
Another example might be an older smoker
with COPD (Chapter 5), slowly developing cor
pulmonale. A third example might be an elderly
patient with underlying asymptomatic IHD and
developing valve disease, perhaps following
childhood rheumatic fever.
Most will complain at first of increasing
fatigue and a reduced exercise tolerance:
climbing stairs, running for a bus, working or
going shopping, etc. They will find breathing
particularly difficult at night and may have
obvious ankle oedema after a day on their feet.
They may complain of palpitations. Eventually
they will see their GP, when a provisional diag-
nosis will usually be straightforward. However,
NICE recommends definitive investigation.
Investigation and grading
Investigations are used in heart failure to
confirm the diagnosis and exclude other possi-
bile diagnoses, to determine the cause and any
exacerbating or precipitating factors, to grade
the extent of dysfunction, and to monitor the
progress of treatment. It is important to try to
determine the cause of heart failure because it may be reversible or correctable.
Extensive investigation is not usually required.
A CXR will show the extent of cardiac enlarge-
ment and the existence of lung congestion, i.e.
pulmonary oedema. The stethoscope may reveal
the characteristic sounds of valve disease or the
crackles on breathing (crepitations) that are
characteristic of pulmonary oedema. The pulse
may indicate an arrhythmia. An ECG will
reveal any cardiac hypertrophy (usually from
long-standing hypertension), ischaemia, the
possibility of MI and any arrhythmia.
Echocardiography is becoming mandatory as
the single most useful non-invasive indicator of
ventricular function and the best predictor of
prognosis, through measurement of ejection
fraction. Other routine investigations would
include urea and electrolytes, full blood count,
and liver, renal and thyroid function tests.
More sophisticated tests and instruments are available for the few cases that present diag-
nostic problems, including isotope imaging, cardiac catheterization and coronary angiog-
raphy. These can also be used to measure the
extent of myocardial damage. Except in acute severe failure, invasive haemodynamic measure-
ments are rarely indicated.
Currently the potential of measuring a natri-
uretic peptide precursor, N-terminal pro-BNP
(NT proBNP) as a diagnostic marker and index
severity and progress is being evaluated. At
present its use is restricted to ruling out signifi-
cant heart failure if its level is low or normal.
Grading
A variety of semi-quantitative bedside methods
and scales are employed for grading. The patient
is asked about limitations on daily activities such
as walking distance or stair climbing before the
onset of fatigue or dyspnoea, or how many
pillows they sleep with. These questions may be
supplemented by formal exercise testing. Exami-
nation of the JVP and the extent of oedema are
important.
Such observations can be used to grade the
patient on the NYHA scale for heart failure, and
although symptoms do not always correlate with
objective functional impairment, it is useful to
Heart failure197
indicate the approximate ejection fraction (EF) of each class:
• Class I. Asymptomatic. No symptoms at
ordinary physical activity (EF 40-50%).
• Class II. Mild. Breathlessness and fatigue
evident on strenuous exertion (EF 35-40%).
• Class III. Moderate. Breathlessness and fatigue
evident on moderate exertion (EF 30-35%).
• Class IV. Severe. Breathlessness at rest (EF
30%)
Symptomatic improvement also correlates poorly with changes in haemodynamic indices. Thus for monitoring therapy and progress
generally, subjective assessments by the patient, global measures of exercise tolerance and esti-
mations of the ‘quality of life’ are often the most useful methods. For patients on medica-
tion these must be supplemented by regular clinical biochemistry monitoring.
Prognosis
The seriousness of heart failure can be judged
from its poor prognosis, which the advent of
ACEI therapy has improved only modestly. For
NYHA Class IV heart failure the median survival
is only 1 year, while for Classes II and III it is 3-5
years. The annual mortality rate from asympto-
matic left ventricular disease (Class I) is about 5%.
Management
The management of heart failure involves
correcting the consequences of low cardiac out-
put and congestion, and addressing the various
maladaptive pathophysiological responses that
have complicated the clinical picture. The
general approaches will be reviewed first, before
discussion of the management strategies. A fuller
account of many of the drugs mentioned in this
section is given on pp. 224-232 in the section on
Hypertension. Only properties pertinent to heart
failure are covered here.
Aims
The various aims in managing heart failure are
listed below. They overlap in sequence, objectives and methods and are not in order of precedence.
• Identify and correct any causative or
contributory factors.
• Improve cardiac efficiency and effectiveness. • Reduce cardiac workload.
• Counteract maladaptive responses. • Increase cardiac output.
• Relieve symptoms.
• Reduce progression and prolong survival.
Ideas about improving declining cardiac perfor-
mance have changed. Rather than attempting to force the heart to maintain an unrealistic output while impaired and under maximal physiolog-
ical stimulation, current practice favours two
alternative strategies:
1. Reduce the load on the heart to match its
reduced pumping ability.
2. Limit the counterproductive compensatory
mechanisms.
Stimulation, unloading or cardioprotection?
The traditional treatment for heart failure has
been to use inotropic agents, notably cardiac
glycosides. However, there is little evidence for the benefit of this approach.
Careful trials have shown that simple inotropic agents do not improve prognosis, and indeed most worsen mortality. The possible exception is digoxin, the value of which probably rests on various actions other than its inotropic activity (see below).
Unloading is theoretically more attractive than simple stimulation because it is more phys-
iological. If the heart cannot sustain an adequate output to meet current demands, it is appro-
priate to reduce those demands. Put more
prosaically, in order to open a stiff door on rusty hinges, a few drops of oil are preferable to brute force. However, although this approach often
produces haemodynamic improvement, it
confers little survival benefit, so has now been augmented by cardioprotection.
Thus attention has focused on the failing
myocardium and the high level of endogenous
stimulation it undergoes via compensatory
mechanisms. Particularly important are the
neuroendocrine mechanisms involving the
system
RAAS, the sympathetic nervous system and
cardiac beta-receptors. In heart failure there is
excessive sympathetic drive to which the
myocardium can no longer respond, and also
high renin and aldosterone levels. It has been
shown that blocking these mechanisms with
ACEIs and beta-blockers protects the heart
against further damage, retards progression of
the failure, and significantly improves prognosis.
These new insights could also explain why
extra stimulation by inotropic drugs might be
superfluous and possibly harmful. Moreover, increasing contractility inevitably increases oxygen demand, which is counterproductive,
particularly in ischaemic failure.
Correct causative or contributory factors
Although attending to the underlying cause of
the failure would seem to be a priority, it may
not be immediately feasible, whether obvious
(e.g. MI) or only revealed on investigation (e.g.
valve disease, coronary artery disease). Both
causal and potential contributory factors (e.g.
hypertension, anaemia) may have to wait until
the patient is stabilized before appropriate,
possibly long-term, corrective measures are initi-
ated. These might include attention to CVS risk
factors, salt restriction, stopping smoking, anti-
hypertensive therapy, weight reduction, valve
replacement and haematinics.
Reduce cardiac workload
A basic form of unloading has always been prac-
tised. Rest is imposed by the exercise limitation
of the condition and patients are often fatigued.
Bedrest has been the traditional advice, but if
excessive it can be detrimental to exercise
tolerance, predisposing to muscle atrophy,
deconditioning, and possibly thromboembolic
complications. Moreover, moderate aerobic
physical training has now been shown to
improve quality of life even if it does not benefit
survival. Thus it is strongly encouraged, under
supervision, in all patients with stable failure in
Classes II and III.
Further, our better understanding of haemody-
namics now enables us to intervene positively to
reduce the myocardial workload, either by
reducing preload with venodilators or diuretics, or by reducing afterload with arterial dilators
(Figure 4.16).
Preload reduction
Starling’s law predicts that reducing preload will
reduce cardiac output. If so, would reducing the
preload not exacerbate the hypoperfusion
(forward component) of heart failure? This
would be true if the failing myocardium were
not operating on the falling limb of its contrac-
tility curve (see Figure 4.3(a)) and therefore no
longer governed by Starling’s law. In this situa-
tion reducing preload may actually increase
output, as well as decreasing oxygen demand by
reducing diastolic volume (Laplace’s law, p. 178).
Diuretics. Dietary sodium and fluid restriction
and natriuresis are the first-line strategy in all
patients with evidence of fluid retention.
Diuretics have several diverse but interdepen-
dent effects. They mobilize the excess fluid
retained by the kidneys, reducing intravascular
fluid (i.e. blood volume), which reduces preload.
Consequently, venous end-capillary pressure is
lowered, an effect enhanced by the venodilator
action of diuretics (Table 4.7). This reduces oedema by facilitating the return of oedema
fluid to the circulation, to be cleared by the
kidneys. Kidney function benefits from the improved cardiac function.
The principal danger is dehydration, espe-
cially if loop diuretics are needed, because this
would further compromise cardiac and renal
function. Clearly, diuretics are contra-indicated in hypovolaemic, low-output states. Potassium,
and perhaps magnesium, plasma levels need to
be monitored carefully because of the arrhyth-
mogenic effects of hypokalaemia and hypomag-
nesaemia on the myocardium, especially in the
presence of cardiac glycosides. (For a more
detailed discussion of diuretics, see pp. 226-227.)
Venodilators. Dilating veins increases venous
capacitance, which leads to reduced pressure in
the venous system, lowering filling pressure and
venous end-capillary pressure, as with diuretics.
Either nitrates (predominantly venodilator) or
venous-arteriolar dilators, e.g. alpha-adrenergic
blockers, ACEIs or angiotensin receptor antago-
nists (ARAs) may be used. The main problems
with nitrates are tolerance and acute falls in
cardiac output and blood pressure causing
syncope. Nitrates may be used alone or in combi-
nation with arterial dilators in both acute and
chronic failure, but nowadays are most often
used in acute failure.
Afterload reduction
Almost invariably, as cardiac output and blood
pressure fall, the body responds by increasing
sympathetic drive and renin/angiotensin levels.
This may defend blood pressure, but only at the
expense of raised peripheral resistance, further
overloading an impaired myocardium. If the
blood pressure continues to fall, attempts to
restore it with vasoconstrictor drugs will have
the same effect.
Although changes in peripheral resistance
have little effect on the output of the normal
heart(see Figure4.3(b)) owing to reflex
compensation, the performance of the diseased
heart can be markedly improved by reducing
afterload. Thus ideally, if afterload is reduced
output will rise while blood pressure is main-
tained. Moreover, because pressure work is the
most energy-consuming component of cardiac
performance, reducing the afterload is a very
effective way to reduce myocardial oxygen
demand. This may be particularly important in
ischaemic failure.
Balancing the benefits of reduced resistance against the possible problems of hypoperfusion of vital organs may be very difficult, and in acute severe failure this strategy is restricted to specialist units.
system
Arterial vasodilators (p. 225). These are a
heterogeneous group (Table 4.7) that act by
several different mechanisms. In theory, this
group is most appropriate for patients with
hypoperfusion or heart failure secondary to
hypertension. However, they are often helpful in
any severe or resistant failure.
Although the older sympatholytic(e.g.
prazosin) and direct-acting (e.g. hydralazine)
agents are still used, the ACEIs are now first-
line vasodilators, having both arterial and
venodilator effects as well as several other
actions (p. 225). Further, the ACEIs are free from
adverse effects of postural hypotension, toler-
ance and reflex compensation. The specific arte-
rial and/or venodilators do not have a beneficial
long-term effect, probably because of reflex
activation of the RAAS, which ACEIs block.
Thus combined dilator therapy (e.g. hydralazine
plus nitrates) has been replaced by monotherapy
with ACEIs unless contra-indicated. However,
vasodilators may be added if severe failure is not
controlled with diuretics and ACEIs.
CCBs have not been found helpful and are
generally avoided, especially the negatively inotropic ones like verapamil. However, those with a predominant vasodilator action (dihy-
dropyridines, DHPs, particularly amlodipine; Table 4.25) may be useful in ischaemic failure or where there is hypertension.
Counteract maladaptive responses
We have seen that the consequences of maladap-
tive neurohumoral activation include excessive
sympathetic drive, vasoconstriction, raised
aldosterone secretion, renal fluid retention and
cardiac hypertrophy with ventricular dilatation.
Several of the agents already discussed mitigate
these effects; the following are directed more
specifically at them.
Angiotensin-converting enzyme inhibitors
The action of angiontensin-converting enzyme
inhibitors (ACEIs) is complex. Inhibition of the
production of circulating angiotensin causes
both venous and arterial dilatation and reduced
aldosterone levels. They also reduce the local
production of angiotensin in many tissues,
notably the kidney, where it normally inhibits glomerular filtration, and the heart and blood
vessels, where it has growth-promoting action. The action of ACEIs is not reduced by tolerance or reflex sympathetic compensation.
The renal action of ACEIs counteracts the
aldosterone hypersecretion found in some heart
failure patients and reduces fluid retention in
most, with no risk of hypokalaemia. Indeed
there is a risk of hyperkalaemia, especially when
used with potassium supplements or potassium-
sparing diuretics. It is also likely that reduced
local tissue angiotensin production leads to
reduced vascular and myocardial hypertrophy
(remodelling), including that which usually
follows MI.
Most importantly, several large trials such as
SOLVD, CONSENSUS and V-HeFT have demon-
strated that in adequate doses after careful titra-
tion ACEIs prolong survival by up to 50% even
in mild heart failure. They also reduce disease
progression, hospitalization and MI. (For further
discussion of ACEI therapy generally, see p. 229).
Angiotensin receptor antagonists (ARAs) have
a more specific pharmacological action. They
provide similar but no greater benefits than
ACEIs and are useful where patients cannot
tolerate the cough caused by ACEIs. Combina-
tions of ACEIs and ARAs may provide a small
additional benefit, presumably owing to a more
complete block, but are not currently widely
used.
Beta-blockers and partial sympathetic agonists
Trials have convincingly, if rather unexpectedly,
demonstrated beneficial effects of conventional
beta-blockers such as metoprolol in most classes
of heart failure. Newer beta-blockers also shown
to be beneficial include bisoprolol and carvedilol;
the latter also has an alpha-blocking vasodilator
action. These drugs have been shown to reduce
hospitalization, disease progression and symp-
toms, and to reduce significantly all-cause
mortality. The resultant increase in survival is
greater than that conferred by ACEIs and addi-
tional to it. Possible mechanisms include reduc-
tion of sympathetic stimulation, heart rate and
oxygen demand, and up-regulation of receptors.
The best evidence is for use in NYHA Classes II
to III failure. In chronic severe heart failure
(Class IV) or acute severe decompensation the
Heart failure201
myocardium relies on sympathetic drive, so the
well-known negative inotropic problem of beta-
blockers in heart failure could be hazardous.
However, there is even evidence of benefit in this
class too. They are particularly indicated in
failure associated with IHD. At present their
value in the elderly, and in failure with normal
systolic function, has not been demonstrated.
Beta-blockers should usually be initiated by
specialists, at low doses and with great care, and
there may be an initial transient worsening of
symptoms. Thus at present most primary care
prescribers would seek consultant cardiological
opinion before starting patients on them.
The seemingly anomalous use of beta-blockers
in heart failure, although it goes against conven-
tional teaching, which has always warned of the
danger in this situation, is not without prece-
dent. Beta-blockers are indicated in hypertrophic
cardiomyopathy, in which grossly thickened,
fibrosed ventricular walls obstruct outflow if
systolic contraction is too vigorous. Inotropic
agents and venodilators exacerbate this
condition.
The realization that beta-blockers can improve
the prognosis of most cases of mild to moderate
heart failure has changed clinical practice and
heart failure management protocols significantly
(see p. 206). Because both ACEIs and beta-
blockers are effective only in systolic dysfunc-
tion, it is important that suspected failure is
always investigated echocardiographically to
confirm a reduced ejection fraction. As yet, it is
unclear whether beta-receptor cardioselectivity
(see p. 229) is preferable for heart failure, because
myocardial beta-2 receptors may be involved.
Evidence of benefit has been shown by both
selective(metoprolol)and non-selective
(carvedilol) agents. (For a general discussion of
beta-blocker therapy, see p. 227.)
Aldosterone antagonists
In addition to its role in promoting fluid clear-
ance, aldosterone has vasoconstrictor action and
promotes myocardial fibrosis. Therefore, the
raised levels in heart failure could be signifi-
cantly maladaptive. Both spironolactone and the
newer eplerenone have been found to improve
survival in large trials (RALES and EPHESUS,
respectively). They are effective at low doses that
have little diuretic effect and are currently third-
line agents for more severe failure. Surprisingly,
combination with ACEIs does not produce
significant hyperkalaemia (which, like the use of
beta-blockers in heart failure, is another tradi-
tional contra-indication discredited). The more
expensive eplerenone lacks spironolactone’s adverse
endocrine effects of gynecomastia, oligomenor-
rhoea and impotence, and appears to offer
benefits in heart failure following MI. For both
drugs, careful monitoring of serum potassium is
essential, especially in renal impairment.
Digoxin
Recognition of the neuroendocrine complica-
tions in heart failure has indicated how the
diverse actions of digoxin (Table 4.8) may
contribute to its beneficial effect, independently
of its inotropic action. The precise mechanisms
have not been fully elucidated but an important
component is the restoration of baroreceptor
activity. As heart failure develops, baroreceptor
responses to increased atrial and arterial pressure
serve to dampen sympathetic outflow and
increase parasympathetic activity, protecting the
heart from excessive stimulation and loading
(p. 181). However, these responses eventually
become blunted due to stretch receptor damage
from prolonged activation, permitting excess
system
sympathetic activity. Digoxin appears to improve
baroreceptor function and thus mitigate this
counterproductive development. Consequently,
noradrenaline(norepinephrine) levels fall,
vagal activity increases, contributing to the
negative chronotropic action, and myocardial
wall stress and peripheral vasoconstriction are
both reduced. The activity of the RAAS is
also depressed, limiting fluid retention and
vasoconstriction.
These observations may explain some possible actions of digoxin, but are not sufficient reason for increasing its role, which is still mainly directed at improving cardiac output and is covered in more detail below.
Improve effectiveness: increase cardiac output
In severe heart failure, symptoms may persist
despite the measures mentioned above, especially
if shock has supervened. Inotropic drugs are
then needed. The three main groups, each of
which acts at a different site, are the traditional
cardiac glycosides, the sympathomimetic amines
and the phosphodiesterase inhibitors. They have
different roles, advantages and drawbacks and
none is regarded as a first agent. All can improve
symptoms, although only digoxin has been
shown to reduce mortality.
Cardiac glycosides
Action. The traditional role of digitalis glyco-
sides has been as inotropes, mediated by the
action in increasing intracellular calcium
through inhibition of membrane Na/K-ATPase.
The observation that they improve contractility
without an increase in myocardial oxygen
demand is probably explained partly by their
multiple other actions (Table 4.8). These actions
may also account for their superiority over
conventional inotropes.
Digoxin has a negative chronotropic effect,
owing partly to increased vagal activity. This is
invaluable when the failure is complicated by
atrial fibrillation, and generally it tends to limit
oxygen demand. The action on conduction is
complex, and includes a negative dromotropic
action (slowing conduction times). The negative
chronotropic effect is distinct from the positive
inotropic effect, the latter usually being observed
first.
Note that by contrast the sympathomimetic
amines are both positively inotropic and posi-
tively chronotropic and so almost always increase
oxygen demand. For detailed accounts of the
pharmacology of the cardiac glycosides, see the
References and further reading section (p. 270).
Side-effects. The principal drawback of glyco-
side therapy is the narrow therapeutic index,
with toxicity sometimes resembling the symp-
toms being treated, i.e. various arrhythmias
(Table 4.9). This problem is compounded by the
sensitivity of plasma level and receptor activity
to diverse pharmacokinetic and pharmacody-
namic factors (Table 4.10). Routine plasma level
monitoring is not essential for safe and effective
use if there is close monitoring of clinical and
toxicological signs. However, it is invaluable
where the response is unexpected, or when renal
impairment is known or suspected.
Digitoxicity is managed by drug withdrawal and use where appropriate of:
• plasma level measurement of digoxin,
potassium and creatinine;
• oral potassium;
• digoxin-specificantibodyfragment
(Digibind);
• oral binding agents (e.g. cholestyramine); • occasionally anti-arrhythmic drugs.
The DIG trial demonstrated that digoxin is safer than was previously thought, which implies that previous fears about digoxin toxicity were exag-
gerated and that the toxicity that did occur
previously could have been due to inadequate monitoring, or excessive plasma levels.
Role. Digoxin has seemed perennially to be on
the verge of popular revival, without ever quite
making it. Well-organized trials (e.g. RADIANCE,
DIG) have improved its image, having demon-
strated significant reductions in signs and symp-
toms with fewer adverse effects than expected,
definite deterioration when discontinued and a
small reduction in heart failure deaths. However,
there was no reduction in all-cause mortality.
Digoxin has a first-line indication only in
heart failure associated with atrial fibrillation.
Otherwise, its current role is third- or fourth-line
in failure not controlled adequately with ACEIs,
beta-blockers and spironolactone. Moreover, its
target plasma level is now considerably lower
than before ( 1 ng/ml). It is of no benefit in
shock or cor pulmonale (possibly because of
hypoxaemia) and has been superseded in severe
acute heart failure and after MI by unloading
strategies.
Sympathomimetic inotropic amines
Prolonged reflex stimulation of the failing
myocardium by the sympathetic nervous system
may become counterproductive, resulting in
depletion of catecholamines and down-
regulation of myocardial beta-receptors, with the
paradoxical result that although beta-agonists
are helpful in some situations, beta-blockers are
preferred in others.
Inotropic amines, usually given parenterally,
have traditionally been a last resort in refractory
failure and shock. They affect a variety of recep-
tors, producing a mixed spectrum of effects
(Table 4.11). This is especially true of natural
mediators such as adrenaline (epinephrine) and
noradrenaline (norepinephrine), which cause
unwanted arterial vasoconstriction that
increases afterload and reduces cardiac output.
Isoprenaline (isoproterenol), an early synthetic
agent, causes hypotension and arrhythmias. All
raise heart rate and myocardial oxygen demand,
sometimes excessively, although this may
eventually be offset by increased efficiency.
Dopamine has dose-dependent receptor selec-
tivity. In low doses it has a vasodilator action on
dopaminergic receptors, a potentially useful
property in shock. At higher doses it also stimu-
lates inotropic beta1-receptors. However, further
dose increases result in alpha receptor-mediated
vasoconstriction, raising blood pressure and
possibly inducing regional ischaemia; it also
liberates noradrenaline (norepinephrine). Dobuta-
mine only affects beta1-receptors and this pure
inotropic effect is sometimes preferable. Dopex-
amine has a greater affinity for both cardiac and
peripheral beta2-receptors, and there is evidence
that in chronic failure, although beta1 myo-
cardial receptors may be down-regulated, the
beta2-receptors are not. Its main action is likely
to be vasodilatory.
All these agents can only be given parenter-
ally and are limited to specialist use for severe
resistant failure in a coronary care unit (CCU).
Predominant beta2-agonists, more commonly
used in obstructive airways disease, e.g. salbu-
tamol, also have peripheral vasodilator actions,
which is particularly useful in cor pulmonale.
These agents offer more choice in their route
of administration, including oral and inhala-
tion, which is beneficial in chronic failure. A
particular risk of these drugs is hypokalaemia.
Phosphodiesterase inhibitors
Aminophylline, a methylxanthine, has tradition-
ally been used in acute failure complicated by
pulmonary oedema, where bronchoconstriction
(‘cardiac asthma’) is common. As well as bron- chodilator activity it has inotropic, diuretic and respiratory stimulant properties. However, xanthines are also arrhythmogenic and increase oxygen demand, and are no longer used.
The bipyridines have inotropic and vasodilator
action. Milrinone, enoximone and related agents
act by a novel mechanism, increasing cardiac
output and reducing peripheral resistance with
little or no increase in oxygen demand. They
improve symptoms and exercise tolerance but
increase mortality. They can only be used
parenterally and have similar roles and restric-
tion to the sympathomimetic amines.
Calcium sensitizers
Levosimendan, not yet available in the UK, is the
first in a new class of drugs that increase contrac-
tility without apparent increase in oxygen
requirement, are vasodilator and are not
arrhythmogenic. It is used parenterally in acute
severe decompensated failure where other agents
have failed.
Other methods
In severe heart failure that is resistant to drug
treatment, an intra-aortic balloon pump (coun-
terpulsation) may be temporarily placed in the
thoracic aorta. Synchronized with the ECG, the
balloon is inflated during diastole to improve
systemic and coronary perfusion. Cardiac trans-
plantation is being seen increasingly as a realistic
option in otherwise untreatable end-stage heart
failure, especially that caused by cardiomy-
opathy. Although a satisfactory completely artifi-
cial heart is yet to be developed, a number of
sophisticated ventricular assist devices are
proving useful on a temporary basis for patients
awaiting transplantation. Alternatively, these
may relieve the damaged heart of its workload
for few months, which in some cases may enable
a degree of recovery to occur.
Alternative, potentially simpler surgical pro-
cedures are currently undergoing development.
In cardiac myoplasty a muscular pouch
surrounding the heart is fashioned using local
chest wall muscle tissue. Surprisingly, this
skeletal muscle acquires the structural character-
istics of cardiac muscle. Where there is gross
ventricular dilatation (dilated cardiomyopathy)
the Batista procedure involves remodelling (by
excision of a wedge of ventricle), producing a
smaller, less stressed chamber.
Another possibility is revascularization, either
by bypass or angioplasty, which is becoming a
viable option and has shown benefits in patients with evidence of ischaemia even in the absence of angina symptoms.
Reduce symptoms
The above strategies will usually bring about
symptomatic improvement such as reduced oedema, fatigue and dyspnoea, an improved sense of well-being and quality of life, and possibly an increased exercise tolerance.
In mild failure the main aim of diuretic therapy may be simply to reduce uncomfortable or unsightly oedema.
The opioids are frequently used in pulmonary
oedema, having venodilator, anxiolytic and
respiratory depressant actions. This last action is
useful in suppressing the inefficient, fast, shallow
respiration (tachypnoea) commonly found in
pulmonary oedema. In addition, a severely
hypoxaemic patient will be given oxygen,
provided care is taken in chronic pulmonary
disease present (see Chapter 5, p. 338).
Reduce progression and prolong survival
Nowadays it is realistic to expect retarded disease
progression and increased survival. ACEIs and
beta-blockers in particular improve survival in
chronic heart failure patients, and this is due in
part to a cardioprotective action inhibiting
further myocardial damage. Almost all patients
with symptomatic heart failure should take
them, in the absence of contra-indications.
Drug selection
A summary of the current consensus for drug
selection in systolic failure, as recommended by
the European Society of Cardiology and NICE, is
given in Figure 4.17 (see References and further
reading). The main criterion is severity, the
strategy being gradually to increase intervention
with the addition of more drugs. Few patients
are managed by monotherapy. Although most
chronic cases can be managed in the community,
particular complications such as arrhythmias
and pulmonary oedema will require specific
additions, while acute failure may require
system
management in a specialist CCU where parenteral therapy and close haemodynamic and ECG monitoring are available.
Recent trends include the almost obligatory
use of ACEIs in most cases (unless contra-
indicated), the recommendation for the wider
if cautious use of beta-blockers, and the use of
digoxin in severe cases (even in sinus rhythm).
Asymptomatic (Class I)
ACEIs should be used alone where evidence of systolic dysfunction is discovered, to reduce progression. Systolic dysfunction is indicated by a dilated heart and an ejection fraction below
45% (normal60%). ARAs can be sustituted where ACEIs are not tolerated.
Patients with atrial fibrillation should be
started on digoxin straightaway, usually with
warfarin to protect against stroke from an
embolism originating in the atria. Ventricular
or supraventricular arrhythmia may require
amiodarone, but care must be taken with
potential digoxin/warfarin and digoxin/amiodarone
interactions.
Mild-moderate (Class II)
Where there are no signs of fluid retention ACEIs
can be used alone, titrating the dose up to an
effective target level. Oedema is more usually
present and diuretics are used in combination
with ACEIs. Loop diuretics are routinely used,
although thiazides can be used in mild failure,
and in the elderly where they are less likely to
cause dehydration than loop diuretics. Because
diuretics are invariably combined with ACEIs,
potassium-sparing adjuncts are not required and
may be harmful.
Where fluid retention is particularly resistant,
possibly due to a low glomerular filtration rate
with poor delivery of diuretic to the tubule,
a synergistic diuretic combination may be
required for a few days. A loop diuretic with the
thiazide metolazone is often successful (‘sequen-
tial nephron blockade’), although any thiazide
should work as well. For pulmonary oedema,
high doses of loop diuretic may be given with
morphine and oxygen and the patient is nursed
sitting almost erect. With high-dose and combi- nation diuretics, attention should be paid to the
patient’s renal function and their serum potas-
sium level, and they require close monitoring.
As the patient improves, the diuretics may be stepped down, although ACEIs should always be continued.
Severe (Class III)
If symptoms persist or the patient deteriorates, a beta-blocker is added. Subsequently, if there is no improvement an aldosterone antagonist should also be added.
Very severe (Class IV)
This stage represents irreversible myocardial
damage and the only curative measure is trans-
plantation. The prognosis is otherwise very poor,
with a median survival of less than a year.
Medical therapy is mainly palliative while
awaiting surgery. Various schemes have been
devised for the optimum combination of
diuretics, arterial dilators and venodilators,
based on haemodynamic parameters such as
filling pressure and pulmonary venous pressures
(see References and further reading).
IV sympathomimetic or dopaminergic
inotropes, may be tried but their potential to
increase myocardial oxygen demand must
always be remembered. None is beneficial in
long-term use but they may have a palliative
role.
Diastolic failure
This form of heart failure is especially difficult to treat, and there is as yet no reliable trial
evidence. Efforts to increase diastolic time with cardiodepressants such as beta-blockers, or with CCBs such as verapamil, may be tried. Drugs that reduce preload (and hence diastolic filling) need to be used with great caution: this includes nitrates and diuretics. The only agents to have shown promise are the ARAs.
Hypertension
Definition and epidemiology
For most diseases a population can usually be
divided into two fairly distinct groups, ‘normal’
or ‘ill’, on the basis of a defining characteristic or
measurement. You are either diabetic or not, on
the basis of blood glucose; you have airways
obstruction or you do not, on the basis of peak
expiratory flow. Unfortunately, it is less easy to
define normal or abnormal blood pressure
because within a given population there is a
continuous distribution of blood pressure about
a single modal value, although this value varies
with age, ethnic group, etc. Figure 4.18 shows
system
the distribution of diastolic pressure for a
Western industrialized population: it is almost
uniform, but is skewed towards the higher levels.
Clearly, the oft-cited‘normal’ levels of
120 mmHg systolic blood pressure (SBP) and
80 mmHg diastolic (DBP) are only a statistical
approximation for a majority around the
modal value. The majority do lie between 70 and
90 mmHg DBP, but there is a substantial minority above 90 mmHg.
A clear distinction would be invaluable in
identifying those who need treatment, because
untreated high blood pressure is associated with
long-term morbidity and premature mortality.
Although the risk to an individual cannot be
precisely predicted from their blood pressure,
actuarial data confirm that excessive blood pres-
sure is harmful. We know that different popula-
tion groups with different mean blood pressures
have different prevalences of diseases thought to
be caused by hypertension. However, these risks
are also graded continuously, and the challenge
is to know at which point the benefits of
treatment (reduced long-term complications)
outweigh the harms of treatment (adverse
effects, reduced quality of life, etc.). The balance will vary between individuals according to numerous other factors including age and comorbidity (Table 4.12). Generally, the cut-off point has tended to be reduced gradually over the years as less toxic drugs have been developed that reduce the harms of treatment.
Variations in blood pressure
Variations with age and gender were discussed
on pp. 183-184. Monitoring of blood pressure
over 24 h shows that it varies continuously
throughout the day owing to both regular
diurnal variation (lower overnight and higher in
the morning) and irregular physical and mental
stress, as might be predicted from physiology.
Thus it is important to standardize the condi-
tions of measurement (see below) if longitudal
comparisons are to be made. Even so, large-scale
Hypertension209
epidemiological studies have shown a close correlation between single random blood pres-
sure measurements and cardiovascular risk.
Definitions
The first important distinctions to be made are
whether the cause of the hypertension is readily
identifiable or not, and how elevated the
pressure is.
Primary (essential) and secondary hypertension
In about 10% of cases of raised blood pressure
there may be obvious reasons (Table 4.13). This
is termed secondary hypertension; it is often
associated with very high pressure and rapid
progression, but appropriate therapy (possibly
surgical) will often correct the problem. However, in most cases there is usually only a mild or moderate elevation of blood pressure, for which no obvious cause can be found. More-
over, the body resists attempts to lower the pressure. It seems that part of the body’s pres-
sure control mechanism (e.g. baroreceptors) has been reset at a higher level: hence the term essential hypertension.
Benign and malignant hypertension
Hypertension is called malignant or accelerated
(terms not strictly synonymous but often used
so) when the DBP is above 120 mmHg and
usually rising rapidly. Urgent reduction of the
pressure is essential to prevent stroke, cardiac
failure or renal failure. The prognosis for the 5%
or so of hypertensive patients who present with
or who develop this form is much poorer than
for the majority with benign (mild or moderate)
hypertension. This is a rather unfortunate,
historical misnomer because no degree of hyper-
tension can be described as benign. Malignant
hypertension commonly has an underlying
system
renal cause. Most of the following discussion concerns benign essential hypertension.
Diastolic or systolic?
Most attempts to distinguish high blood pressure
from the normal range definitions of hyperten-
sion allow for the greater proportional rise in SBP
than DBP and include intermediate classifica-
tions to recognize the continuous variation.
Because increased risk is associated with
pressures sometimes regarded as normal, an
‘optimal’ grade has been proposed (Table 4.14).
SBP is inversely proportional to arterial
compliance, which declines with age owing to
smooth muscle fibrosis and calcification (arte-
riosclerosis). DBP by contrast reflects the periph-
eral resistance, a measure of the average size of
blood vessel lumens throughout the body,
against which the heart has to develop and
maintain a pressure.
Because the vasculature is exposed to diastolic
pressure for the greater part of the cardiac cycle,
it was formerly assumed that DBP was the main
marker for the vascular damage that is the main
complication of hypertension. Thus most early
trials monitored DBP and aimed to reduce it.
However, following more recent trials (e.g. Syst-
Eur), systolic pressure is increasingly being
accepted as an equally or more important
prognostic indicator. Because both tend to be
elevated in hypertension this is not so
important.
However, patients with isolated systolic
hypertension (ISH) and normal DBP are increas-
ingly recognized. Such patients are at greater
risk, but also benefit more from treatment. These
tend to be older patients and there was some
doubt about the wisdom of aggressive treatment
because resultant excessive hypotension or
reduced perfusion to vital areas may increase
mortality. However, the need to treat ISH is now
established and it is recognized in the official
classification (Table 4.14). Furthermore, the
calculation of an individual’s ‘cardiovascular
risk’ (see p. 216) uses SBP not DBP.
Thus, the definition of hypertension is essen-
tially statistical and epidemiological. All that can
be done is to mark off certain pressures on either
side of the median as bounding the ‘normal’
limits, and class all others as ‘abnormal’. Exactly
where this borderline is drawn has changed as
understanding of the risks of untreated hyper-
tension has grown and as more effective, less
toxic treatments have been developed. Formerly,
active treatment was considered only if the DBP
was consistently above 100 mmHg. Now, with
better and safer drugs the borderline has
dropped to 90 mmHg, or even 85 mmHg for
those with several other cardiovascular risk factors, if not all patients.
Prevalence
Estimates of prevalence depend crucially on how
hypertension is defined, i.e. what thresholds are
assumed. Based on a definition of hypertension
as a DBP above 95 mmHg or SBP above
150 mmHg, it has been estimated that there may
be 4 million hypertensives in the UK. If a level of
140/90 mmHg is taken as the threshold, the
figure will be nearer 20% of the population, i.e.
up to 12 million. This shows the difficulty of
defining a condition solely on the basis of a
physiological measurement that varies continu-
ously throughout the population. There is
increasing concern over the potential labelling
and ‘medicalizing’ of large numbers of people on
the basis of probability alone, knowing many of
them will never develop any complication but
will have been made anxious by being diagnosed
as ‘ill’ rather than healthy. A similar dilemma
arises with falling thresholds for acceptable
cholesterol levels.
Hypotension
The definitions of blood pressure in Table 4.14
imply that no harm is believed to be associated
with pressures moderately below ‘normal’, i.e.
70-80 mmHg diastolic. This is indeed the case in
the UK and the USA. In mainland Europe,
however, a distinct diagnostic category of what is
in effect essential hypotension is recognized, a
condition usually treated with various drugs including inotropic and pressor agents. Interest-
ingly, evidence is emerging of an adverse prog-
nosis for persons with low blood pressure, with vague and subjective symptoms including depression, tiredness, etc., although as yet it is not a recognized illness in the UK.
This phenomenon must be distinguished from
blood pressure low enough to affect normal
function or consciousness(as in postural
hypotension or shock), and it is necessary to
exclude specific pathologies that cause hypoten-
sion, such as hypothyroidism or Addison’s
disease. Moreover hypotension needs to be
considered as a potential result of over-treatment
of borderline hypertension in the elderly (see
below).
Course and prognosis
Hypertension is a chronic, life-long condition with a variable rate of progression and a highly variable prognosis. Being insidious in onset and initially symptomless, it may go undetected for years, and is often discovered incidentally. Yet if untreated the patient will eventually develop
one or more of the complications, frequently
leading to premature death.
What then are the risks of having too high a
blood pressure? After all, if a person asked what
blood pressure was for, you might reply that it
drove blood round the body. They might then
justifiably retort that surely then you could not
have too much of it - the more the better. This
credibility gap needs to be bridged when a diag-
nosis is first made, without causing undue alarm.
It must be reinforced when adverse drug effects
occur in a previously asymptomatic person who
has now become a ‘patient’.
For although hypertension is almost invari-
ably symptomless for many years there are
subtle, sinister pathological processes at work
causing long-term damage to the heart and
blood vessels, as well as to other vital organs,
especially the kidney and eyes. A middle-aged
patient with a DBP above 110 mmHg has a 1 in
5 chance of dying within 5 years; a 35-year-old
system
patient with DBP over 105 mmHg has their life
expectancy reduced by 15 years compared to a
normotensive. The list of conditions from
which hypertensives may ultimately suffer reads
like a recitation of the ills of civilized man: MI,
stroke, heart failure and renal failure. Death is
usually from stroke or MI, far more commonly
than in normotensives. These risks are related
to the duration and severity of the elevated
blood pressure. Adequate early treatment can
reduce the incidence of complications by up to
50%.
Aetiology
Heredity
Hypertension occurs about equally in men and
women, although younger men in particular are
more prone to atherosclerotic complications.
There is often a family history, but it is probably
a susceptibility to hypertension that is inherited
and this is only expressed if certain environ-
mental factors are present. Immigrant popula-
tions with low mean blood pressures tend to
assume the prevalence of the host country.
However, certain races have a higher prevalence
of hypertension even in mixed societies (e.g.
African Americans in the USA), although envi-
ronmental variables such as diet and response to
stress may still contribute to this. There are
almost certainly several genes involved.
Many factors may complicate epidemiological
studies. In making cross-cultural and interna-
tional comparisons it is difficult to ensure
control for all environmental factors, and to reli-
ably compare blood pressure measurements.
Nor, in following the fate of migrant communi-
ties, can we always assume that the migrant
population is representative of the area of origin
(for example, those who choose to migrate may
include a higher proportion of those with higher
blood pressures). On the other hand, even
prenatal influences may be environmental (e.g.
maternal diet or smoking), so that a positive
family history does not necessarily imply a
genetic mechanism.
Environmental factors
Whatever the genetic contribution to suscepti-
bility, environmental factors are extremely
important in the manifestation of the disease
(see Table 4.12) and these factors have to be
addressed in the assessment, management and
education of the hypertensive patient. Because
the precise pathogenesis of hypertension is still
unresolved, the way in which most aetiological
factors contribute to raised blood pressure is
usually unknown.
Controversy still surrounds the various ‘salt
hypotheses’. Salt intake is difficult to measure
accurately, and a general correlation both within
and between populations is difficult to demon-
strate. Dietary salt restriction, although generally
regarded as beneficial, usually produces disap-
pointingly small reductions in blood pressure.
However, some individuals and some races (e.g.
Black people) do have a ‘salt-sensitive’ hyperten-
sion, in which blood pressure is very responsive
to changes in sodium intake.
Other factors, particularly smoking and hyper-
lipidaemia, exacerbate the complications of
hypertension (especially atherosclerosis), but do
not contribute significantly to a sustained eleva-
tion in blood pressure. Hyperlipidaemia, and by
extension a high fat/cholesterol diet, has been
implicated as a minor independent causal factor
for raised blood pressure, possibly through
interaction with vascular mediators such as
endothelin at the vascular endothelium, but the
popular idea of widespread cholesterol plaques
causing a generalised arterial obstruction is
erroneous.
Certain factors contribute to both hyper-
tension and atherosclerosis, e.g. stress and a sedentary life. Whether glucose intolerance, hyperinsulinaemia and insulin resistance contribute directly to the raised blood pressure or merely exacerbate the potential for complica-
tions is unclear (see Chapter 9, p. 600).
Obesity and lack of exercise are important
factors in modern life that have a significant
hypertensive effect. Alcohol intake, considerably
in excess of that providing the putative beneficial
effect on reducing atheroma, is a major contrib-
utor to the overall hypertensive load. Also, many
drugs are hypertensive agents (Table 4.13).
Hypertension213
Pathophysiology
Underlying haemodynamic defect
Blood pressure can be expressed as the product of cardiac output and peripheral resistance, so an elevated blood pressure means that one or both of these factors must also be raised. Attention has traditionally focused on the peripheral resis-
tance, and because this is almost invariably raised in hypertension, most early theories tried to account for this increase through an
underlying increased vascular tone.
More recently, the possibility of a raised
cardiac output as a prime cause has been
explored. Fluid retention is known to be an occa-
sional cause of secondary hypertension. This is
readily explained in haemodynamic terms:
blood volume is increased, venous return and
preload are raised and cardiac output rises, at
least initially. However, systemic peripheral resis-
tance would then increase, as part of the normal
autoregulation of blood flow. The aim of this is
to limit the resulting excessive, unnecessary
perfusion of the body. As the peripheral resis-
tance rises, the cardiac output would then return
to normal. When the patient eventually
presents, these compensations will have reached
equilibrium and only a raised peripheral resis-
tance is found.
Pathogenesis
Most theories of essential hypertension implicate
the kidney. This creates a difficulty because renal
damage is also often a consequence of prolonged
hypertension caused by damage to renal arteri-
oles. Thus renal damage found in a patient with
hypertension of indeterminate duration could be
either a cause or a consequence. Indeed, by that
stage a vicious cycle will have been initiated:
renal damage raises blood pressure, which in turn
causes further renal damage. In early hyperten-
sion an identifiable renal lesion or functional
impairment can rarely be found, but this does not
mean that subclinical or microscopic damage has
not already occurred. Figure 4.19 illustrates one
theory of how renal damage can initiate, and
then sustain, hypertension.
Other major theories are summarized in Table
4.15, and Figure 4.20 provides an overview of
how some of these proposed mechanisms may
interact to alter cardiac output or peripheral
resistance. Figure 4.20 shows one possible way in
which sodium is implicated, via a defect in the
transmembrane sodium pump. In the kidney
this defect would impair sodium and water
clearance, and in blood vessel smooth muscle
it could lead to calcium accumulation and
vasoconstriction.
One approach to this, which is helpful for
predicting response to treatment, categorizes
hypertension on the basis of plasma renin levels,
because this appears to correlate with the
distinction discussed above between vasocon-
striction and expanded blood volume. Some
hypertensive patients have raised renin levels
and tend to have primary vasoconstriction;
these patients tend to respond better to drugs
that block the RAAS such as ACEIs and beta- blockers. Others have low renin levels, owing
possibly to inhibition of the RAAS by salt and fluid overload; these patients respond poorly
to ACEIs and beta-blockers, and better to
diuretics and CCBs. This distinction is supported
by the observation that Black people generally
fall into the latter category in terms of both their
renin levels and their response to antihyperten-
sives. As discussed below, this forms the basis
is the British Hypertension Society treatment
guidelines.
There may be several subgroups of hyperten-
sion, in each of which a different mechanism
operates. Patients with high renin levels may perhaps have silent renal damage caused by
subtle intrarenal ischaemia. On the other hand,
a low renin level would be an expected response
to hypertension if the renal mechanisms were
intact, because of feedback inhibition. It has
been speculated that avid salt retention,
permitted by low renin, might confer a survival
advantage in hotter climates where salt loss can
be a problem.
Further detail is not given here because there is still no firm evidence for the most likely
mechanism. In the absence of a more defined
pathogenesis, the management of essential hypertension generally, and antihypertensive drug selection specifically, remain largely empir-
ical. The aim is simply to reduce pressure rather than target underlying pathologies.
Diagnosis and investigation
Measurement
Blood pressure should be measured in a consis-
tent and standardized manner. Semi-automatic
electronic manometers are rapidly replacing
mercury manometers. These are sufficiently
accurate provided they are regularly recalibrated.
In all cases care must be taken to use the correct
cuff size for the patient’s arm girth, otherwise
readings may be unreliable. The British Hyper-
tension Society’s recommendations for the
procedure include:
• The effects of stress, anxiety, time of day,
smoking, alcohol and room temperature
should be minimized or standardized.
• The patient should have rested for 10 min
beforehand, and the procedure should have
been explained (this is rare, but obviously
sensible).
• The patient may be sitting or lying, as long as
the cuff is at heart height.
• The average of two or three readings at any
one time should be taken.
The so-called phase 5 recording is recommended to measure DBP; i.e. when sounds completely disappear, rather than just being muffled, as
there can be a 5-10 mmHg pressure difference according to the method of recording.
Unless a very high pressure is discovered (i.e.
DBP115-120 mmHg), little need be done at
once, although this will depend on the patient’s
age. Measurements as outlined above should be
repeated twice, at intervals of a few weeks. Often
the pressure will settle down as the patient
becomes familiar with the procedure and their
‘white-coat hypertension’ subsides. Simply being
labelled as hypertensive is stressful, so the diag-
nosis should not be made lightly, and care taken
when explaining it to the patient.
In certain cases where the pressure seems erratic, borderline or resistant to therapy, or when a more objective and reproducible measurement is required, it may be helpful to arrange 24-h
ambulatory monitoring. A cuff is connected to a portable, battery-powered electronic manometer that samples pressure over a period of 24 h at
approximately hourly intervals to determine the diurnal pattern and compute a mean.
Investigation
There are three aims in investigating a newly
diagnosed hypertensive:
1. To discover any primary, perhaps treatable,
cause or contributory factor.
2. To identify significant risk factors.
3. To assess the extent of end organ damage.
Clinical examination, simple blood chemistry
(urea, electrolytes, glucose and lipids), urinalysis
(protein, glucose, cells), CXR and ECG will
suffice in most patients. A basic grading derives
simply from the blood pressure itself (Table
4.14). However, a global grading that takes into
system
account not just elevation but also duration and
possible extent of potential organ damage can be
made by ophthalmoscopy (fundoscopy), which
assesses the degree of retinal arterial damage. A
drug history is also important. These data will
serve as a baseline for subsequent monitoring
and also reveal clinical signs or biochemical
abnormalities suggestive of secondary hyperten-
sion. In such cases more invasive investigations
would then be needed, including renal function
tests and excretion urography, echocardiography
and additional blood analysis for corticosteroids,
aldosterone, catechols and renin.
At the same time an assessment is made of risk
factors both for hypertension and for arterial
complications, e.g. smoking, alcohol, body
weight, exercise habits, diet, diabetes, stress and
family history (Table 4.16), so that an initial plan
of general advice for the patient may be devised.
A formal cardiovascular risk prediction can then be made. This uses an algorithm that takes into account risk factors such as:
• gender;
• smoking status; • age;
• SBP;
• ratio of total plasma cholesterol to
high-density (HDL) cholesterol (p. 238).
This has been constructed on the basis of
epidemiological data, largely from the USA
Framingham study. A number of algorithms
have been published but the one currently
recommended by NICE is that published by the
Joint British Societies (BHS IV, 2004). An
example is included at the back of the BNF, in
the form of nomograms. A person’s status is
usually expressed as the percentage risk of a
cardiovascular event (developing angina, or
suffering or dying from MI or stroke) in a specific
number of years; for example, a “10-20% risk
over the next 10 years”. These are used for
asymptomatic patients with moderately elevated
blood pressure or cholesterol to guide the deci-
sion about starting drug therapy.
The aim is to move away from basing treat-
ment decisions solely on inflexible population-
based thresholds of a single parameter applicable
to all patients (such as blood pressure or choles-
terol level), to one where all aspects of an indi- vidual’s risk are considered. It thus avoids
treating possibly very large numbers of people at
perhaps very low risk. The tables also help the
patient to understand their personal risk, and
which aspects of their life or behaviour are
affecting it. This enables them to make a more
informed choice about whether or not to start
drug therapy.
For patients with higher levels of blood pres-
sure or cholesterol there will usually be a guide-
line that recommends mandatory primary
prevention. However, the tables or charts are not
to be used without consideration of the patient’s
full history. Patients with diabetes in particular,
being at far greater risk, are not covered by this
approach: any degree of hypertension in diabetics
needs vigorous treatment. Also, the data on
which they are based derive predominantly from
Caucasians, so they are not directly applicable to
other races. For example, South Asian immi-
grants to the UK appear to have a higher risk of
CVD than natives for the same risk factor levels.
Clinical features and presentation
Moderate essential diastolic hypertension is
symptomless. Complaints of nosebleeds, tired-
ness or vague headaches usually derive not from
raised pressure but from popular misconceptions
about hypertension, or possibly concern about
the diagnosis itself. However, malignant hyper-
tension certainly may cause severe headaches
and other neurological phenomena, known as
hypertensive encephalopathy. Consequently,
essential hypertension is usually identified
opportunistically during routine screening, or
life insurance or employment medical examina-
tions. Increasingly, screening by GPs is identi-
fying cases much earlier. Any genuine presenting
symptoms will usually have been caused by one
of the complications of untreated hypertension
(e.g. angina, visual problems). Thus all new cases
of heart failure, IHD, etc. are investigated for
hypertension.
Complications
The problems caused by a chronically elevated
arterial pressure can be largely anticipated from a
consideration of the disturbed haemodynamics
(Table 4.17). In general, the extent of the damage
will be proportional to the increase in pressure
and its duration before detection. There are two
broad groups of complications, depending on
how much the pressure is raised. If pressure is
greatly raised there will be direct organ or
vascular damage, including heart failure, reno-
vascular disease/malignant hypertension, hyper-
tensive encephalopathy, retinal damage and
haemorrhagic stroke. The benefits of blood pressure-reducing interventions are most easily
demonstrated in this group. For more modest
elevations, most problems are caused indirectly
and more chronically by the promotion and
acceleration of atheroma formation. These
complications are significantly exacerbated by
interaction with other common atherogenic risk
factors, notably smoking and hyperlipidaemia.
Heart failure
Hypertension was a common cause of heart
failure before safe and effective treatment
became available. The persistently increased
afterload on the left ventricle initially leads to
compensatory hypertrophy (remodelling), often
seen on the ECG of newly diagnosed hyperten-
sive patients as a higher R-wave (see Figure 4.10).
Eventually there is left ventricular dilatation and
decompensation.
Arteriosclerosis
Excessive stress on the walls of resistance vessels exposed to elevated pressure stimulates the development of thicker muscular walls in order to withstand it (Laplace’s law; p. 178). The resulting hypertrophy of arterial walls, especially arterioles, has several consequences:
system
• It encroaches on the lumen, narrowing it
(remodelling), which reduces end-organ
perfusion, causing ischaemia, especially in the kidney.
• Peripheral resistance is further raised (because
all arteries throughout the body are affected).
• Arterial compliance falls, which increases
afterload and hastens ventricular failure.
• Damaged vascular walls are more prone to
aneurysm(bulging) and haemorrhage, especially cerebral vessels.
Atherosclerosis
Perfusion problems are exacerbated by an
increased tendency to arterial atheroma, which
is encouraged by high pressure and associated
blood turbulence. In atherosclerosis (not to be
confused with arteriosclerosis), there is focal
deposition of lipid-rich fibrous lesions
(atheromas) in the inner lining layer of certain
arteries. Atheroma, atherosclerosis and throm-
bosis are all accelerated by hypertension.
Morbidity and mortality
Almost any organ can be affected by these prob-
lems, but the heart, brain, kidney, eyes and
(particularly if the patient smokes) lower limbs
are especially prone. The results may be heart
failure, angina, MI, stroke, renal failure, visual
problems or possibly limb amputation: the most
common causes of death among hypertensives
are stroke and MI. These complications can be
prevented or retarded by effective antihyperten-
sive therapy although stroke, heart failure and
renal impairment seem to be far more effectively
prevented than atheromatous complications
such as MI. Ventricular and possibly vascular
hypertrophy are partially reversible with optimal
treatment.
Assessments of the effect of different treat-
ments on prognosis have sometimes been inconclusive, perhaps because many of the complications are advanced at first diagnosis
owing to the silent preclinical progression. Moreover, some antihypertensive drugs, espe-
cially beta-blockers and thiazides, may have adverse atherogenic effects.
Management
Decision to treat
In a patient with mild hypertension the most
important decision to be made is at what point
to initiate drug treatment. In addition to the
level of the blood pressure itself, the patient’s age
and cardiovascular risk must be taken into
account in balancing the likely benefits of inter-
vention against the possible harms and reduced
quality of life from lifelong drug therapy (Table
4.18).
Numerous protocols exist for determining
the threshold for starting drug treatment,
notably from the World Health Organization
(WHO), the British Hypertension Society, and
the American Joint National Committee.
Figure 4.21 represents a consensus. At the
borderlines of different grades the recommen-
dation is that the patient should be monitored
closely over 1-3 months and treatment started
or amended if the pressure remains high.
Protocols are frequently updated so the reader
is urged to check the appropriate sources in
the References and further reading section for
the latest recommendations.
Severe hypertension
Very severe hypertension(i.e.above
210/120 mmHg) represents a medical emer-
gency, with the risk of encephalopathy, renal
damage or haemorrhagic stroke. Nevertheless,
this is not corrected too aggressively because a
rapid fall in blood pressure can compromise cere-
bral perfusion. Parenteral therapy is generally
avoided, a smooth fall over a number of hours
being preferred, and this can be attained effec-
tively with oral therapy (e.g. ACEI, hydralazine,
labetalol). IV nitroprusside is reserved for estab-
lished hypertensive encephalopathy and other
situations of immediate danger.
For pressures consistently above 110 mmHg
diastolic and/or 180 mmHg systolic, the normal
treatment protocol (see below) should always be
initiated.
Moderate hypertension
A DBP of 100-110 mmHg and/or SBP of
160-180 mmHg should probably always be
treated, but in the absence of risk factors obser-
vation over 4 weeks is suggested to see if the
pressure can be reduced with conservative general measures (see below). It must be remem-
bered that there is clear evidence that older
patients benefit as much from treatment as
younger ones, especially in the reduction of
stroke.
Mild hypertension
The current UK consensus (British Hypertension Society) is that a DBP of 90-100 mmHg and/or SBP of 140-160 mmHg only need immediate
attention in those already showing complica-
tions or with specific risk factors, and drug treatment is rarely justified below this.
Some cardiologists caution against over-
vigilance. Patients with marginal or illusory
disease, especially the elderly, are perhaps
being over-diagnosed and over-treated. In older
patients there may be less time for the compli-
cations to become significantly limiting, and in
the meantime reduced pressure might compro-
mise cerebral or coronary perfusion. Thus
therapy might cause more problems immedi-
ately than it might prevent in the future, and
lowering blood pressure below 80-85 mmHg
may be associated with an increased mortality
from IHD. There is some evidence for a J-
shaped mortality curve for blood pressure, with
mortality lowest around 80 mmHg diastolic
and rising at pressures not only higher but also
lower than this. This might explain the failure
to demonstrate a reduction in IHD mortality in
some hypertension trials. However, this rela-
tionship has not been conclusively demon-
strated and most evidence supports similar
treatment of the elderly to younger persons,
with comparable benefit.
Isolated systolic hypertension
Although raised SBP without a raised DBP was
formerly regarded as less dangerous, it has been shown to be associated with similarly increased
mortality. In particular the Syst-Eur trial showed
a significant benefit in treating SBP above
150 mmHg in the elderly, with less stroke and
less dementia.
Aim and strategy
From a community perspective the management
of hypertension, although improving, is still far
from ideal. Detection rates are increasing but it is
still estimated that up to half of cases remain
undiagnosed at any given time. Of those diag-
nosed, half may be sub-optimally treated. Of
those prescribed optimal treatment perhaps no
more than half are normotensive, owing to
inadequate compliance or other problems.
Thus active screening and follow-up monitoring
are crucial. Furthermore, pharmaceutical care
is important in ensuring optimal prescribing,
patient comprehension and concordance.
Strategy
NICE has issued guidance to cover the manage-
ment of hypertension in primary care, and much
of the following is based upon this. The general
strategy in managing hypertension follows
several stages:
• Ensure that blood pressure is genuinely
elevated by repeat measurements.
• Decide a target for reduced pressure.
• General measures: reassurance; health
education; advice on lifestyle. • Non-drug interventions.
• Optimal drug monotherapy. • Combined drug therapy.
• Regular monitoring.
Target blood pressure
The recommended objective for hypertension
treatment has gradually been reduced as the
risk-benefit ratio changes, as already noted. New
studies with safer drugs, such as the HOT (Hyper-
tension Optimal Treatment) trial, have produced
greater reductions in morbidity and mortality
by targeting lower pressures, with no signifi-
cant increase in adverse effects. The British
Hypertension Society recommends aiming for
140/85 mmHg in patients without complica-
Hypertension221
tions and 130/80 mmHg for those with a high CVD risk or renal damage.
General measures
Because hypertension is a chronic progressive
disease, lifelong monitoring and usually a
progressively increasing level of intervention
will be required. In such an insidious, symptom-
less condition the patient’s cooperation and
compliance are essential, and patient education
is an important means of securing concordance.
Ultimately the decision rests with the patient:
imposed medical edicts are no longer acceptable.
The initial plan should be to counsel and to
educate the patient about their disease, but
perhaps suggest nothing positive at first. A
mildly elevated blood pressure, discovered inci-
dentally, will often return to normal within a
few months and may remain so for several years.
The notion of a general change in habits and
way of life should be introduced next. Simple
psychotherapy or ‘brief counselling’ (an informal
but structured targeted session of 5-10 min) is
sometimes helpful, e.g. engendering the idea of a
combined effort of health workers and patient to
conquer the condition. Continuous encourage-
ment and reassurance are important. Scare tactics
are almost invariably unhelpful: the history of
anti-smoking propaganda teaches us this, even
though the connection between smoking and its
respiratory consequences is far more obvious.
Suitable advice and recommendations at this
stage are summarized in Table 4.19. Measures are
included to reduce both blood pressure and the
risk of arterial complications. Alas, this is not a
list to endear the clinician to an otherwise
healthy, apparently fit and symptomless patient.
A moderate reduction in sodium intake is a
realistic goal, especially if done by simply cutting
down on added salt. The ideal is about 6-9 g
sodium chloride daily (100-150 mmol Na). By
analogy with sugar intake and the ‘sweet tooth’,
the subjective saltiness of food may be relative,
determined in part by average consumption.
If intake is reduced, eventually less salt will
taste equally salty as the salt content of saliva
is reduced. However, very low-salt diets are
unappetizing, result in poor compliance and
are of arguable benefit, especially because salt
reduction rarely produces blood pressure falls greater than about 5 mmHg (except in those
patients with ‘salt-sensitive’ hypertension). An
overall reduction in the salt added to processed
foods might be more beneficial in reducing
community hypertension prevalence than indi-
vidual targeting. A moderate increase in potas-
sium intake (e.g. in fresh fruit and vegetables)
may also be helpful: the most important factor
could be a lowering of the dietary Na/K ratio.
The role of calcium and magnesium sup-
plements is dubious. Diets low in fat and cho-
lesterol may be both anti-atherogenic and
hypotensive. Achieving the ideal body weight
should be encouraged. The role of pharmacists
in smoking cessation is well established. Exercise
is important and a very efficient method of
lowering blood pressure: even modest increases
can be very beneficial. As few as three half-hour
sessions a week at less than 50% maximum
capacity can be enough to produce sustained
falls of up to 10 mmHg. Cholesterol also falls
and exercise capacity increases.
Non-drug interventions
Encouraging results have been obtained with
non-invasive techniques to reduce blood pres-
sure. Some may act by reducing stress: for
example, moderate routine aerobic exercise
(such as walking a few miles a day), biofeedback
(where the patient monitors their own blood
pressure and consciously tries to lower it), relax-
ation therapy, hypnotherapy and meditation.
The effectiveness of these approaches very much
depends on patient preferences and health
beliefs.
Pharmacotherapy
Despite the best efforts of clinician and patient,
the above measures rarely produce more than a
modest fall of about 5-10 mmHg, even when
combined, and the effect is not permanent.
Blood pressure eventually starts to rise again and
most patients then require active treatment.
Furthermore, many drug regimens, after working
effectively for some time, gradually fail to
control the condition. This may be because of
poor compliance with drug therapy or general
measures, progression of the condition, or the
body’s reflex (though maladaptive) defence of
the abnormal pressure.
General principles. The philosophy of ‘stepped
care’ in treating hypertension means a progres-
sive increase in intervention to maintain
control. At one time it also implied a fairly rigid
sequence of specific drugs at specific stages:
nowadays a more tailored approach is used. The
general sequence and important general
considerations are summarized in Table 4.20.
Patients are likely to be taking antihyperten-
sive drugs for the rest of their lives so it is
important to use agents with the fewest
adverse effects first, at the minimum effective
dose, and to monitor therapy regularly.
Compliance can be increased by minimizing
the number of daily doses using long-acting
agents or modified-release formulations Any new dose level must be given for several
weeks to achieve both pharmacokinetic and,
more importantly, biological steady state. Some
drugs, notably the thiazide diuretics and the beta-
blockers, have a non-linear dose-response curve
that plateaus early, so that maximum clinical
effect is achieved at little above the minimum
effective dose. In contrast, adverse effects are
usually dose-dependent so it is counterproductive
to increase the dose if adequate control with these
drugs is not achieved.
Details of specific drug selection, indications and contra-indications are considered below.
Continuous cover. There is evidence that
complications are lessened if the antihyperten-
sive effect is as consistent as possible throughout
the day. It is likely that variability in blood pres-
sure contributes to end-organ damage indepen-
dently of absolute pressure levels. For example,
the diurnal morning surge in blood pressure is
thought to be a trigger for CVS events such as MI
and stroke. Thus during development of antihy-
pertensive drugs, particularly long-acting (once
daily) ones, which are known to be desirable for
improved compliance, the ability of a drug to
sustain its effect is evaluated. One parameter
used is the trough : peak (T/P) ratio, which is the
blood pressure reduction recorded before the
next dose compared to the maximum blood
dose. The ideal would be 1, but a minimum
value of 0.5 is recommended by US FDA guide-
lines. Note that peak and trough in this context do not refer to plasma levels. Thus whatever
dosage regimen is used, it should aim to produce a sustained reduction of blood pressure with
minimal variability. This objective has not yet been incorporated into UK guidelines.
Combination therapy. Antihypertensive drugs
act on many different sites or mechanisms that
the body uses to maintain blood pressure (Figure
4.22). Thus, if control is not achieved by the
optimal dose of one type there are several advan-
tages to combining two or failing that even three
agents:
• Additive or possibly synergistic effect. • Reduced individual adverse effects.
• Mutual antagonism of adverse effects.
When choosing a drug to be added, one from a
different group should be added to the regimen
to give an additive or possibly synergistic effect,
ensuring that adverse interactions are avoided
(see below).
Combinations can minimize adverse effects in
two ways: firstly by keeping individual doses low
and secondly by specific antagonism. In hyper-
tension the body’s blood pressure control mech-
anisms have been reset to maintain an
abnormally high pressure, so that when a drug
lowers pressure by interfering with one mecha-
nism, e.g. by dilating arterioles, the body even-
tually responds by recruiting another, e.g.
tachycardia or fluid retention, in an attempt to
raise pressure again. Thus diuretics can cause
palpitations (tachycardia) and renin release, and
vasodilators can cause fluid retention (with
possible oedema) and tachycardia. However,
diuretics will counteract oedema and beta-
blockers will prevent tachycardia and renin
release. Furthermore, vasodilators will coun-
teract the peripheral vasoconstriction that
occurs with beta-blockers (causing cold hands
and feet). Thus the combination of all three is
logical if blood pressure warrants it.
Fixed-dose proprietary combination products
are indicated only occasionally, owing to the
usual problems of being unable to manipulate
the doses of components independently, and
the difficulty of ascribing adverse effects. One strategy is first to stabilize the patient on the
individual components separately and then to
introduce a combined product, if a suitable one is available, to aid compliance.
Monitoring
Regular follow-up is essential to monitor compli-
ance with therapy, possible adverse drug effects and disease progression, especially complications. Pharmacists have a role in promoting and re-
inforcing this process, through repeat prescribing, supplementary prescribing and involvement in chronic disease management programs.
Drugs used in hypertension
This section first discusses the properties of the
various groups of antihypertensive agents and
concludes by reviewing the rationale for drug
selection.
Mode of action
Figure 4.22 shows the possible sites of action of
common antihypertensive agents; their general
haemodynamic actions are summarized in Table
4.21. However, their modes of action in hyper-
tension are often uncertain and some may act by more than one mechanism.
All antihypertensive agents, either directly or
indirectly, affect cardiac output or peripheral
resistance. However, cardiac output is rarely
raised in essential hypertension, and long-term
reduction would compromise exercise tolerance
or even resting systemic perfusion. So when we
reduce cardiac output we rely on subsequent
reflex vascular autoregulation to dilate vessels
and decrease resistance in response to the
reduced perfusion, thus restoring normal output.
Recall that the effect on cardiac output of
reducing the afterload varies according to
whether the myocardium is unimpaired or in
failure (Figure 4.4).
Diuretics
These cause a small sustained reduction in blood
volume, and as a consequence also in cardiac
output, but how far this contributes to their
action remains unclear. They also promote
vasodilatation, partly due to autoregulation. The
thiazides are more effective in hypertension than
the more powerful loop diuretics, partly because
they have a direct vasodilator action and partly
because they generally have a longer duration of
action (although loop diuretics may be given
twice daily).
Angiotensin-converting enzyme inhibitors and angiotensin receptor antagonists
Angiotensin-converting enzyme inhibitors
(ACEIs) act at several sites crucial to blood pres-
sure maintenance, which probably accounts for
their considerable success, although doubt still
surrounds the principal antihypertensive mecha-
nism. The most likely explanation is that inhibi-
tion of angiotensin production causes both a
direct reduction of arteriolar vasoconstriction
and a secondary reduction of aldosterone-
induced fluid retention. At least two other mech-
anisms may contribute. Angiotensin-converting
enzyme (ACE) is also responsible for the break-
down of vasodilatory bradykinin, so kinin levels
rise when ACE is inhibited (causes the cough and angio-oedema associated with ACEIs; see below). There may also be a direct vascular action inhibiting local angiotensin-induced vessel wall hypertrophy; in untreated hypertension this hypertrophy contributes to the long-term vascular complications.
Angiotensin receptor antagonists (ARAs) have very similar therapeutic actions. However, because they act directly on the angiotensin receptor rather than the converting enzyme that activates angiotensin, they do not inhibit the
breakdown of bradykinin so do not cause a cough. Renin inhibitors are being evaluated.
Calcium-channel blockers
The mode of action of calcium-channel blockers
(CCBs) is complex because the different calcium
channels and associated receptors have not been
fully characterized. There are at least two types
of calcium channel, associated with different
tissues: the L-type (in smooth muscle, including
myocardium) and the T-type (in nodal/neuronal
tissue). Existing agents block either the former
only, or both.
A further distinction between target tissues
is in the post-receptor excitation coupling
involving calcium. In cardiac muscle cells CCBs
are synergistic with beta-blockers. Normally,
adrenergic stimulation of adjacent beta-
adrenergic receptors opens the calcium channel,
leading to an increase in intracellular calcium
concentration. This promotes the Ca2 -troponin
C interaction that eventually leads to contrac-
tion. Thus beta-blockers and CCBs have similar,
synergistic inhibitory effects; in the heart, this
negative inotropism and chronotropism can lead
to severe depression of contractility. By contrast,
in peripheral vascular smooth muscle, intra-
cellular calcium interacts with calmodulin to
promote contraction, whereas beta-stimulation
inhibits this. Thus beta-blockers cause vasocon-
striction but CCBs promote relaxation; indeed,
CCBs will antagonize the peripheral constriction
sometimes experienced with beta-blockers.
The two main CCB groups, the dihydropy-
ridines (or DHPs, e.g. nifedipine, amlodipine) and
the non-DHPs (diltiazem and verapamil), bind to
different receptor sites within the calcium
channel. More importantly, they have different
affinities for target tissues. The non-DHPs are
more active on cardiac and nodal tissue, the
DHPs preferentially target vascular smooth
muscle.
Beta-blockers
By inhibiting the intracellular adenylate
cyclase/kinase system, beta-blockers effectively
prevent calcium entry into cells, so reducing
sarcoplasmic calcium concentration. This
inhibits both smooth muscle contraction and
tissue conduction, and explains their similar
system
spectrum of activity to CCBs. The negative
inotropic action of the beta-blockers will
certainly reduce cardiac output, but there are
other possibilities. Thus beta-blockade reduces
renin release and peripheral adrenergic (vaso-
constrictor) tone and there may also be central
actions. Long-term reduction in peripheral
resistance is an important overall effect.
Other vasodilators
This diverse and lesser used group of drugs acts
on arteriolar tone at a variety of different sites,
both locally and through the autonomic nervous
system (Figure 4.22 and Table 4.21). Thus
vasodilators with different modes of action may
be combined.
Clinical use
Diuretics
Thiazide diuretics have long been first-line
drugs, owing principally to their low toxicity
and the fact that they were among the first to
have been convincingly shown to reduce
mortality in hypertension. They have numerous
potentially adverse metabolic or biochemical
effects on plasma lipids, glucose, urate and
potassium (Table 4.22). The contribution of
these adverse effects to cardiovascular morbidity
and mortality via arrhythmias, glucose intoler-
ance and atheroma is uncertain. In addition,
they can cause impotence (erectile dysfunction)
in males, seriously impairing quality of life.
Nevertheless, thiazides are still recommended
by many authorities (e.g. NICE and the British
Hypertension Society) as first-line drugs for mild
to moderate hypertension (for certain patients,
see below). One reason is that at low doses (e.g.
bendroflumethiazide 1.25-2.5 mg daily), they are
almost equally as effective as at the originally
recommended higher dose (5 mg), but cause
significantly fewer adverse effects. This is
because the dose-response curve for an antihy-
pertensive effect reaches a plateau at quite low
doses, whereas the dose-adverse effect curve is
more linear (Figure 4.23); thus raising the dose
increases the side-effects with no increase in
therapeutic effect.
Potassium supplementation, which used to be
routinely co-prescribed, although poorly toler-
ated and poorly complied with, is at this dose
rarely needed. Besides, thiazides are increasingly
used in combination with potassium-sparing
diuretics or ACEIs. If potassium supplements are
used in these circumstances the risk then is of
hyperkalaemia rather than hypokalaemia.
Choice. There is little to choose between the
available thiazides; bendroflumethiazide is among
the cheapest. Most may be given once each
morning. They seem particularly beneficial in
Blacks, whose hypertension is often volume-
dependent, and in the elderly because of their
freedom from acute toxicity in low doses. In
renal impairment loop diuretics are required, but
these diuretics are otherwise avoided because
they act briefly and so do not provide sustained control; they also lack the direct vasodilator
effect of thiazides.
Beta-blockers
The generally mild and predictable adverse
effects and wide choice available within this
group meant that for a long time they were
usually first-line therapy for newly diagnosed
hypertension. However, serious doubts were first
raised by the ASCOT-BPLA and ALLHAT trials
and they were confirmed by subsequent
meta-analysis. It was found that beta-blockers
(particularly atenolol) were not as effective as
ACEIs and CCBs in the primary prevention of
cardiovascular complications, despite having
comparable hypotensive potency. Moreover,
beta-blockers have been shown to cause a rela-
tively high incidence of diabetes on long-term
use. This prompted NICE in 2006, in collabora-
tion with the British Hypertension Society, to
cease recommending beta-blockers as initial
treatment.
Their precise role in multiple drug therapy for
resistant hypertension, and whether certain
beta-blockers are less acceptable than others, has
yet to be decided. At present they still have an
important role in hypertension associated with
IHD (especially following MI) or stable heart
failure. Further, patients already stabilized and
well controlled on beta-blockers, experiencing
no problems, should continue. On the other hand, patients taking beta-blockers who are not
well controlled should be considered for step-
ping down and stopping them, converting the
patient to the scheme discussed below (see
Figure 4.25).
Dose. As with diuretics, recommended doses of
beta-blockers have been reduced (e.g. atenolol
50 mg daily) with no loss of antihypertensive
action, but reduced adverse effects. Once- or
twice-daily dosing is usually sufficient because
the effect of beta-blockade is not directly related
to plasma level. For once-daily dosing, to improve
compliance, drugs with a longer half-life (e.g.
atenolol), or modified-release formulations may
be used. The dose should start low and be
increased gradually. Should it be necessary to stop
therapy, the dose must be tapered off equally
slowly, especially in those with IHD, to reduce
the risk of rebound adrenergic over-stimulation
causing tachycardia, ischaemia, hypertension, etc.
system
Side-effects, contra-indications and cautions.
The well-understood dose-related and physiolog-
ically predictable adverse effects are summarized
in Table 4.23. Probably as a result of a combina-
tion of these, beta-blockers can significantly
reduce the quality of life of some patients.
Cautions and contra-indications can be antici-
pated from the adverse effect profile. Beta-
blockers must be used with extreme caution in
obstructive airways disease, and probably not at
all in asthma, although cardioselective ones can
be cautiously introduced under specialist advice
in mild asthma. They should also be avoided in
peripheral vascular disease, Raynaud’s syndrome,
bradycardia and heart block. Their use in heart
failure is discussed on p. 201.
In patients with diabetes given beta-blockers,
early physiological responses to developing
hypoglycaemia (hunger, tachycardia, etc.) and
the patient’s perception of these effects are dimin- ished, with potentially serious, though
fortunately rare, results. In type 2 diabetes,
insulin release may be inhibited, which aggra-
vates hyperglycaemia and impairs control (see
Chapter 9, p. 586). Thus in general they should be
avoided in hypertensive patients with diabetes.
Choice. All beta-blockers have equivalent anti-
hypertensive activity. Three main properties
yield criteria for differentiating beta-blockers
(Figure 4.24). Possible adverse effects and
precautions (Table 4.23) further qualify choice.
Cardioselectivity is conferred by a greater
affinity for beta1-receptors, located mainly on
the myocardium, compared with beta2-receptors
(most other beta-adrenergic sites). Cardio-
selectivity is relative and is less marked at higher
doses. Nevertheless, selective agents are preferred
in all but those few indications where infor-
mation on their use is inadequate, such as
hypertrophic cardiomyopathy, thyrotoxicosis,
migraine and immediately after an MI. Respira-
tory, metabolic and peripheral vasoconstrictor
effects (mediated via beta2-receptors), are still
seen, and even selective agents are potentially
hazardous in patients with severe asthma.
Intrinsic sympathomimetic activity(ISA,
partial agonist activity) may offset broncho- constriction, peripheral vasoconstriction and
myocardial depression in some patients. The
vasodilator action is perhaps the most useful.
Pindolol has the greatest ISA. A similar effect
is achieved in agents that have additional
alpha-blocking activity(labetalol, carvedilol).
Celiprolol combines highly selective beta1-blocker
with selective beta2-stimulant activity, which
also counteracts peripheral vasoconstriction.
Nebivolol has vasodilating activity via a NO
mechanism.
Lipophilic beta-blockers, as expected, cross the
blood-brain barrier and require hepatic metabo-
lism before elimination. Central beta-blockade
can cause CNS disturbances, most marked with
propranolol. Hepatic clearance means potentially
low bioavailability (owing to first-pass metabo-
lism) and a shorter half-life (unless there are
active metabolites). Pindolol and timolol are
cleared both renally and hepatically, making
their elimination less susceptible to impairment
of either system.
ACEIs
ACEIs seem to interfere with quality of life less
than other antihypertensive agents, particularly
important in lifelong treatment. They are now often used as first choice in moderate hyperten-
sion in combination with a diuretic, as well as in
severe resistant hypertension regardless of renin
levels because they effectively combat the raised
renin levels induced by diuretics. Combination
with CCBs or beta-blockers is also successful.
ACEIs are especially useful in diabetic hyperten-
sion because they protect against nephropathy
(see Chapter 9, p. 603). ACEIs have an undis-
puted place as sole therapy in renovascular,
high-renin hypertension.
ACEIs are proving to be remarkably free of the
adverse effects common with other potent anti-
hypertensive agents, both serious(central,
postural, dysrhythmic and metabolic) and
simply troublesome (fatigue, sexual and mental
impairment). Most, apart from lisinopril and
captopril, are prodrugs activated in the liver.
Side-effects, contra-indications and precau-
tions (Table 4.24). The main problems with
ACEIs are related to their potent antihyperten-
sive and anti-aldosterone actions. Severe first-
dose hypotension may occur, particularly in
volume- or salt-depleted patients such as those
already on diuretic therapy. Sometimes patients
are initiated on a low dose of the short-acting
captopril given at night to test their reaction,
and switched to a longer-acting preparation if
successful; alternatively low initial doses of long-
acting drugs such as perindopril or lisinopril, and
careful titration, can minimize this problem. If
possible, diuretics should be stopped a day
before starting ACEI therapy, and reintroduced
carefully if necessary under medical supervision.
Significant hyperkalaemia may follow con-
comitant use of potassium-sparing diuretics or
potassium supplements. Rarely, severe hypersen-
sitivity reactions (i.e. angio-oedema, with fatal
laryngeal obstruction) have occurred.
The possibility of severe renal impairment is
related to hypotension, especially if there is pre-
existing renal disease, owing to reduced renal
perfusion pressure. A particular problem is bilat-
eral renal artery stenosis (usually atherosclerotic
in origin). In such cases the blood pressure is
being kept high by elevated renin levels in order
to maintain renal perfusion. Inhibition of the
RAAS may then produce a disastrous fall in blood
pressure, even precipitating acute pre-renal
failure. In the elderly, caution is even advised
with ACEIs in unilateral stenosis. Peripheral vascular disease or other evidence of widespread atheroma would suggest the possibility of renal artery stenosis and indicate the need for avoid-
ance or careful monitoring.
Persistent dry cough affects up to 20% of patients. It is probably due to excess bradykinin (which is usually metabolized by ACE), and sometimes proves intolerable, in which case an ARA can be substituted.
Initial reports of bone marrow toxicity (neutropenia) with captopril resulted from the use of unnecessarily high doses. Moreover, these and some other adverse effects, e.g. taste distur-
bance and skin rash, may be immunologically based, and related to the sulphydryl group found in captopril but not later ACEIs (see also penicil-
lamine; Chapter 12, p. 772). Rarely, neutropenia can occur with any of the ACEIs.
The principal drug interaction of the ACEIs,
apart from that with potassium-sparing
diuretics, is with NSAIDs. Partly through their
action on intrarenal PGs, NSAIDs used in combi- nation with ACEIs can result in a reduced anti-
hypertensive effect, increased renal toxicity and increased potassium retention.
Renin inhibitor. Recently released is aliskiren, a direct inhibitor of renin, which works upstream in the renin/angiotensin cascade.
Angiotensin-II receptor antagonists
At present, the only strong indication for this
group is when ACEIs are not tolerated. They
produce far less cough and angio-oedema. Otherwise, they are equally effective antihyper-
tensive agents and yield equal improvements in cardiovascular morbidity and mortality. One recent analysis has suggested they may increase MI but this is not yet widely accepted.
Calcium-channel blockers
These are increasingly used as initial therapy in
hypertension because they cause fewer adverse
cardiovascular, bronchial and metabolic prob-
lems than the beta-blockers. Careful selection
within the group is needed for specific indica-
tions (Table 4.25). Predominantly vasodilator
agents are preferred in hypertension, but anti-
arrhythmic and negative inotropic activity is
useful in hypertensive patients with IHD. The
non-cardiodepressant CCBs (the DHPs) can be
usefully and safely combined with a beta-
blocker.
Side-effects. Most problems, such as flushing
and headaches, are minor and result from
vasodilatation, particularly with the DHPs. Simi-
larly, reflex tachycardia with possible palpita-
tions may occur. However, this is undesirable in
ischaemic patients because it increases myo-
cardial oxygen demand so, in the absence of
ventricular dysfunction, the use of a non-DHP
(e.g. verapamil), or combination with a beta-
blocker, is recommended. Peripheral oedema,
usually in the ankles, is a common problem and
is caused by leakage from precapillary vessels
subjected to higher pressures owing to arteriolar
dilatation. Because it is not caused by fluid
retention, the oedema does not respond to
diuretics but may respond to an ACEI. Non-
DHPs have less effect on blood vessels but are
cardiodepressant, with the risk of heart failure or
bradycardia.
Cautions and contra-indications. Discontinu-
ation has been associated with exacerbated
ischaemic events in those with IHD, and so
should be performed gradually. Combination of
the negatively inotropic agents verapamil, dilti-
azem and nifedipine with beta-blockers is best
avoided or used with great care, especially where
there is left ventricular dysfunction, because it
can cause heart failure or heart block. Enzyme
inhibition by grapefruit juice enhances the
action of most CCBs, except amlodipine.
Different modified-release preparations of CCBs
are not interchangeable and should not be
prescribed or supplied generically.
Vasodilators
This large heterogeneous group (Table 4.21) has
had a chequered history in hypertension treat-
ment. Not surprisingly, the first antihypertensive
agents used targeted the peripheral arterioles.
Predominant arterial dilatation is preferred but
this can cause postural hypotension by
inhibiting natural reflex vasoconstriction. Early
sympatholytic vasodilators, including ganglion
blockers (e.g. hexamethonium) and non-specific
alpha-blockers (e.g. phentolamine), had limited
effectiveness and serious adverse effects, chiefly
postural hypotension, impotence and reflex
tachycardia. Reserpine caused severe depression.
The adrenergic neurone blockers (e.g. guanethi-
dine), although somewhat more successful, still
have serious adverse effects and are reserved now
for resistant hypertension.
Newer vasodilators cause fewer postural prob-
lems and most induce fewer lipid abnormalities
than beta-blockers or thiazides. Other common
vasodilator drawbacks, such as headaches, dizzi-
ness, palpitations, flushing and reflex fluid
retention, are less serious. One of the miscella-
neous‘reserve’ group of the more toxic
direct-acting vasodilators (e.g. minoxidil) is still
sometimes needed.
Centrally acting sympatholytics (e.g. methyl-
dopa, clonidine) have long been used as third- or
fourth-line drugs, but now have little place
owing to central effects such as impotence
and depression. However, methyldopa remains
a useful alternative in a variety of special
circumstances where standard drugs are contra-
indicated, e.g. in diabetes, in the hypertension of
pregnancy and when postural hypotension is
especially hazardous, such as in the elderly or in
those with cerebrovascular disease. Clonidine is
now known to act partly via central imidazoline
receptors and has been associated with depres-
sion; the newer more specific moxonidine may
have fewer adverse effects.
The direct-acting spasmolytic hydralazine lost
favour owing to its tendency to precipitate a
lupus-like syndrome, especially in slow acetyla-
tors. However, at doses below 100 mg daily the
risk is small. The selective (post-synaptic alpha2)
adrenergic blockers, e.g. prazosin, terazosin, doxa-
zosin, seem to cause less tachycardia and, except
for the first dose, less postural hypotension.
They also reduce plasma cholesterol and
produce a favourable change in the HDL/LDL
ratio.
Drug selection
Diuretics, ACEIs, ARAs and CCBs have all been
shown in long-term controlled trials to reduce
overall mortality in hypertension. The first has
long been known to be effective, but more
recently the HOT trial produced evidence in
support of ACEIs and CCBs. Nevertheless, after
the ALLHAT trial, diuretics still emerged as the
cheapest and least toxic first drugs, and they are
usually recommended as effective first-line
therapy by many authorities in the absence of
contra-indications.
Because almost all existing antihypertensive drugs have comparable blood pressure-
lowering efficacy, the optimal order of selec-
tion in an individual patient is governed primarily by adverse effects, precautions and contra-indications. Factors that modify choice in common conditions or patient groups are summarized in Table 4.26.
Numerous schemes have been devised to aid
selection. The scheme favoured by the British
Hypertension Society (2006) shown in Figure
4.25represents one of the simplest and
clearest. It is based on the categorization of
hypertension into low-renin (fluid overloaded)
and high-renin (vasoconstricted) forms, and
makes the primary distinction for initial
therapy based on the lesser effectiveness of
ACEIs in black people, the greater suitability
for or tolerance to diuretic or CCBs in older
patients, and the greater likelihood of renovas-
cular atheroma in the elderly (thus avoiding
ACEIs). Younger patients who cannot tolerate
ACEIs, or women of childbearing age, should
be considered for beta-blockers. It may be
advisable to try several different monotherapies
if control is not achieved with the first, before
starting dual therapy. Logical combination dual
therapy is the next step. A particular combina-
tion that should be avoided is diuretic plus
beta-blocker, which has an increased risk of
inducing diabetes. Triple therapy is the third
stage; although the evidence base for this is
poor, it represents consensus advice and has sound pharmacological and pathophysiological
logic.
At every stage, the cautions and contra-
indications of each drug for the particular
patient need to be considered. However, as the
need for multiple therapy increases there is less
room for manoeuvre and compromises may
have to be made.
Many other combinations are possible, partic-
ularly in refractory hypertension. If a patient is
not controlled on three drugs, expert advice
should usually be sought. The choice of a fourth
drug would be an alpha-blocker, a potassium-
sparing diuretic (amiloride, spironolactone) or a
beta-blocker.
Attention must also be paid to potential drug
interactions of antihypertensive agents. Table
4.27 illustrates the general principles with some
representative examples. Details will be found in
standard texts (see References and further
reading).
Additional therapy. Atherosclerosis prophy-
laxis with antiplatelet drugs and a statin also
need to be considered for all hypertensive
patients, in the light of their overall CVD risk (p.
216). For aspirin, the side-effect risk is not trivial
and the current recommendation is first to
ensure good blood pressure control then use
aspirin, in the absence of contra-indications, i.e.
for primary prevention:
• in patients over 50 years with evidence of
hypertension-induced organ damage;
• where the 10-year CVD risk is20%; • in diabetes.
For secondary prevention, use aspirin in all cases, i.e. where there is existing ischaemic disease.
and vascular obstructive disease235
The use of statins also depends on CVD risk
and is discussed in detail below (p. 247; Table
4.32), but the considerations are similar to
aspirin without the age criterion. Thus use statins
for primary prevention where the 10-year CVD
risk is20% and in all cases for secondary
prevention.
Ischaemic heart disease
Ischaemia means literally ‘to hold back blood’.
Ischaemic heart disease (IHD) is the collective
name for a number of conditions in which
obstructive lesions of the coronary arteries
restrict myocardial blood flow. IHD is also called
‘coronary artery disease’ or simply‘heart
disease’. The main clinical manifestations are
angina pectoris and MI, but heart failure and
arrhythmias also occur. IHD is the greatest
single cause of death, especially premature
death, in industrialized societies. In the UK it is
responsible for about a third of all male deaths
and causes considerable morbidity. This is
especially significant because IHD is largely
preventable.
There are wide geographic, ethnic and
national variations in prevalence, e.g. male
mortality from IHD per100000varies
between 400 in Finland and 30 in Japan.
However, immigrant groups tend to assume
the same prevalence as their host country
when fully assimilated, showing the impor-
tance of environmental risk factors. Epidemio-
logical and pathological studies and large-scale
intervention trials strongly suggest that the
causes lie in the industrialised or developed
way of life.
Atherosclerosis and vascular obstructive disease
The pathology and treatment of IHD can best be
understood in the general context of vascular
obstruction(partial block) and occlusion
(complete block), and so we will review this first.
Classification
The main processes responsible for chronic arte-
rial obstruction are arteriosclerosis and athero-
sclerosis. In addition, thrombosis may occur as
an acute complication, in both veins and arteries
(Figure 4.26).
Arteriosclerosis
Although this term is commonly used to
describe all degenerative or proliferative arterial
lesions, it should be reserved for the symmetrical
thickening of the middle muscle layer (media) of
arterioles throughout the body. It usually arises
in response to hypertension, when it may be
partially reversed by treatment, but it also seems
to be a normal consequence of ageing. Because it
is widely disseminated and invades the vessel
lumen it increases peripheral resistance, thus
aggravating hypertension and perpetuating a
vicious circle. The media often becomes fibrosed
and calcified, especially in the elderly. It is
popularly known as ‘hardened arteries’.
At first there may be no significant impair-
ment of perfusion. However, in the elderly there
may be chronically reduced cerebral or renal
perfusion. Moreover, the stiffened, non-
compliant vessels are weakened and eventually
may bulge (aneurysm) and rupture, particularly
in cerebral vessels where the result is acute
haemorrhagic stroke.
Arteriosclerosis is described here to differen-
tiate it from atherosclerosis. It will not be considered further and all that follows will apply specifically to atheroma/atherosclerosis.
Atherosclerosis
In this condition, fatty-fibrous plaques or
atheromas are deposited asymmetrically within
the innermost layer (intima) of certain, but not
all, arteries. Sites such as bends, branches or
bifurcations seem especially prone. This patchy
(focal) distribution means that there is little
system
effect on total peripheral resistance, but local perfusion may be crucially impaired. Athero-
sclerosis can occur in many different organs, the result being a wide spectrum of clinical manifestations (Figure 4.27).
Thrombosis
Thrombi result from abnormal triggering of the
coagulation process within intact arteries or
veins (rather than, as is normal, after damage or
rupture). This causes sudden occlusion. Small
particles of thrombus may break off forming
thromboemboli, which lodge further down-
stream, with similar outcome. Arterial thrombi
frequently form at the sites of coronary or cere-
bral atherosclerotic lesions, with potentially fatal
consequences (Figure 4.27). For a full discussion
of thrombosis, see Chapter 11.
Aetiology
Classes of contributory factors
An understanding of the formation of atheroma and thrombosis is important for both prevention and treatment. At the most general level the
contributory factors may be grouped into three categories: histological (endothelial damage),
rheological(abnormal blood flow) and
biochemical(abnormal blood or tissue
constituents). These may occur independently or
together (Table 4.28). The response to injury
theory proposes that atherosclerosis arises from a
maladaptive chronic inflammatory reaction in
which an attempt is made to repair the vascular
wall or to limit chronic damage. This reaction
persists at the expense of obstructing the vessel
lumen and possibly promoting further damage.
Vascular endothelial damage
An atheroma is probably initiated by factors that
breach the arterial endothelial defences,
exposing underlying tissue. Constituents of
tobacco smoke undoubtedly contribute to this. It
is also possible that partially oxidized compo-
nents of the plasma lipid particle LDL irritate the
endothelium, with more significant oxidation
occurring within the wall. Recent findings have
implicated chronic inflammatory damage from
systemic microbial colonization, possibly with
Chlamydia or Helicobacter species. Finally, hyper-
lipidaemia itself may be directly damaging to the
vessel wall.
A sudden rupture or ulceration of a
previously stable atheromatous plaque may
triggerthrombosis, with acute effects.
Inflamed venous or heart valves are also foci
for thrombosis.
Abnormal flow
In arteries, atheromas are most commonly found
where flow is turbulent and wall shear forces
high. Presumably this causes endothelial cell
dysfunction; possibly this is because it interferes
with shear-triggered, nitric oxide-mediated
vascular relaxation, which alters LDL flow
through the vessel wall, or causes enlargement of
intercellular gaps allowing abnormal access of
irritants. Atheromas do not usually form in
veins, although they are found in the normally
low pressure pulmonary arteries in cases of
pulmonary hypertension.
In veins, it is abnormally sluggish flow that
causes problems, e.g. prolonged bedrest or long-
distance air travel predispose to venous (‘deep-
vein’) thrombosis, usually in the leg. This is one
reason why patients are mobilized rapidly after
surgery. In atrial fibrillation, static pools of blood
develop within the heart and may clot. In either
case thrombi may be carried downstream as
emboli. From the leg the path taken by emboli
follows widening veins to the right heart, ulti-
mately to lodge in a pulmonary artery. Thrombi
originating from the right atrium also lodge in
the lungs, while those from the left atrium lodge
in the brain or coronary arteries.
Abnormal constituents
Endothelial damage can trigger platelet adhesion
and aggregation or the clotting cascade, espe-
cially if there is an imbalance between platelet
promoter and inhibitor factors. For example,
certain PGs (e.g. prostacyclin released from
vascular endothelium) tend to inhibit platelet
activation and aggregation while others, notably
the thromboxane series, are pro-aggregatory.
Clotting factor abnormalities, e.g. high levels of
fibrinogen, have been found in IHD patients.
Coagulation is also disturbed following severe
trauma, e.g. major surgery, and by certain drugs,
e.g. oral hormonal contraceptives. Smoking may
contribute by providing irritants or local
hypoxia.
Risk factors
The major international INTERHEART study
(2004) of 15 000 individuals from all continents
identified nine modifiable risk factors that could
system
account for 90% of all MIs (a condition that can
act as a surrogate for atherosclerosis in general).
Moreover five of these accounted for 80% of the
risk: hyperlipidaemia (dyslipidaemia), smoking,
diabetes, hypertension and abdominal obesity
(Table 4.29). Dyslipidaemia is measured as the
LDL/HDL ratio (see below); obesity is measured
as the waist to hip ratio (found to be more
closely linked to disease than the traditional
body mass index); diabetes may act partly
through the associated dyslipidaemia. These act
synergistically, so that for example possessing
any two poses more than twice the risk.
Many other less critical factors have been
implicated, some of them associated with indus-
trialized societies and modifiable by changes to
lifestyle, others not modifiable (Table 4.29). A
possible protective effect of moderate alcohol
intake is still widely debated. There is also
evidence of prenatal influences on the fetus.
Maternal nutritional deprivation may cause not
just low birthweight but also a predisposition in
later life to atherosclerosis, hypertension and
diabetes. The prevalence in younger males is
about three times that in females, but the rates
converge later in life because the incidence
among postmenopausal women is greatly
increased.
The lipid hypothesis
The lipid hypothesis of atherogenesis traces the
causal links between dietary lipid, plasma lipid,
atherosclerosis and IHD. An outline of the steps
in the argument is given in Table 4.30. Patients
with familial hyperlipidaemia have long been
known to suffer a high incidence of premature
atherosclerotic disease. A similar pattern is seen
in diabetics, whose lipid metabolism is also
disturbed. However, the relationship between
dietary lipid and plasma lipid, especially choles-
terol, and the mechanisms controlling the
metabolism, transport and interconversions of
lipid within the body, are incompletely under-
stood. Note that plasma cholesterol is only part
of the body pool of cholesterol, 75% of which
derives from hepatic synthesis and only a
quarter directly from dietary cholesterol. This is
why, although dieting often helps to reduce lipid
levels moderately in many patients, even the
most rigorous diet may not reduce plasma lipids sufficiently in some. Moreover, dietary saturated fat has more influence on plasma cholesterol
than dietary cholesterol itself.
Saturated fatty acids(SFA, from animal sources) raise LDL levels, partly by stimulating cholesterol synthesis, and both cholesterol and saturated fats may stimulate the synthesis of
aggregatory PGs. Of course, some dietary SFA intake is nutritionally essential.
By contrast, unsaturated fats in general
(mostly oils from plant sources and fish oils)
appear to have a protective effect, possibly by
increasing the breakdown of LDL. Polyunsatu-
rated fatty acids (PUFA) are thought to be bene-
ficial in both reducing LDL and increasing
synthesis of antithrombotic anti-aggregatory
blood factors. PUFA, however, and particularly
those of the n-6 series, are prone to oxidation
and in large amounts may reduce HDL. Mono-
unsaturated fatty acids (MUFA; found especially
in olive oil and rape seed oil) do not have these
disadvantages. Polyunsaturates in the omega-3
series (especially fish oils) appear to be protec-
tive, probably by an antithrombotic action. It is
known that fish-eating populations such as the Eskimos and the Japanese have a low incidence of atherosclerosis.
Other factors
Regular exercise is protective, partly by raising
plasma HDL levels and possibly by encouraging
the development of collateral blood vessels. Both
exercise and low-fat diets may reduce blood
pressure, and hypertension is an independent
atheroma risk factor. A large number of other
substances have been implicated in the aetiology
and pathogenesis of IHD, including dietary
factors (e.g. folic acid, flavinoids) and other
plasma constituents (e.g. lipoprotein a, homo-
cysteine and fibrinogen), but the evidence is
currently less convincing for these.
Evidence. The lipid hypothesis is strongly
supported by two important epidemiological
observations. First, a correlation exists between
the mean plasma cholesterol levels of different
population groups (even those with relatively
low mean levels) and their prevalence of atherosclerosis. Secondly, large population groups who have reduced dietary lipid intake, e.g. in the USA and Finland, have achieved a
decline in heart disease.
The role of pharmacological intervention with
lipid-regulating drugs in secondary prevention is
now well established, even in patients with what
were formerly considered ‘normal’ lipid levels
( 5.5 mmol/L total cholesterol). Furthermore,
their use in primary prevention is justified in
harm/benefit terms for those with a high CVD
risk. Four major intervention trials reporting
from different parts of the world have provided
persuasive evidence of the benefits of reducing
lipid levels pharmacologically on morbidity and
mortality from IHD and stroke. They have also
shown that using statin lipid-regulating drugs
significantly improves the outcome, with very
little added harm.
The Scandinavian 4S trial targeted secondary
prevention in4400 patients with hyper-
lipidaemia and existing IHD (angina or MI). The
CARE trial was similar, but the 4000 patients had
near-average lipid levels. The Scottish WOSCOPS
trial involved primary prevention in over 6500
men with hyperlipidaemia but no ischaemic
symptoms. In the Heart Protection Study (HPS),
20000 high-risk patients with cholesterol levels
that would not at the time have mandated lipid-
lowering were treated. In all cases the beneficial
effects were correlated with the reduction in
lipid levels. A significant observation was that
the degree of benefit depended more on the
degree of reduction than on the initial
cholesterol level. This has brought about a
change in the approach to lipid lowering. Now
the aim is to lower cholesterol based on overall
cardiovascular risk rather than absolute lipid
level.
Recently the penultimate step in the lipid
hypothesis received support in the ASTEROID
clinical trial, which showed a reduction in
atheroma lesions after 2 years of high-dose statin
therapy (rosuvastatin). Statins may also have a role here beyond simply lowering plasma lipid, acting on platelets or directly on the vascular
endothelium. However, evidence is still awaited that such plaque reduction produces significant improvement in clinical outcomes such as ischaemic events in the long term.
Pathogenesis
The precise sequence of events leading to the
development of an atheromatous plaque is
complex and incompletely understood. In an
evolving plaque there are chronic immuno-
inflammatory cells such as T-lymphocytes,
macrophages and fibroblasts, together with a
wide variety of mediators and cytokines with
chemotactic, cytotoxic, growth-promoting, pro-
aggregatory and pro-inflammatory actions. This
supports the concept of atheroma being
primarily a protective mechanism. In addition,
in the latest modification to the lipid hypothesis,
a primary causative role is given to an abnor-
mally oxidized form of LDL. It is uncertain
exactly how and where the LDL becomes
oxidized, but it is likely to be after uptake into
the intima, where macrophages, endothelial
cells and smooth muscle cells may be involved.
The process may result in part from an imbal-
ance between pro-oxidant factors and natural
antioxidant substances such as tocopherol
(vitamin E), carotene (vitamin A) and ascorbate
(vitamin C). However, no convincing benefit has
yet been shown to result from regular anti-
oxidant vitamin therapy. Similarly, although
inflammation secondary to chronic low-grade
infection with Clostridia or Helicobacter species
has been proposed as a factor, trials of antibiotics
have proved negative.
Figure 4.28 gives an overall picture of the
process. It is necessarily a simplified summary of
complex and poorly understood events, but will
serve to identify potential targets for therapeutic
intervention.
Following endothelial damage, LDL particles
gain access to the intima. Here their components
are oxidized by peroxidase enzyme and thereby
rendered immuno-active(particularly the
oxidized apoprotein component) as well as
perhaps doing further direct damage. Part of the
and vascular obstructive disease241
protective action of HDL may be in antagonizing
this process, or removing oxidized LDL particles
before they do harm. Otherwise, T-lymphocytes
recognize the particles as foreign and secrete
mediators that recruit other immune cells, as
well as causing further local inflammatory
damage. Macrophages displaying receptors for
oxidized LDL scavenge it by phagocytosis,
forming ‘foam cells’, some of which break down
to release free lipid.
The process may cease at this point,
resulting in relatively innocuous ‘fatty streaks’
of little haemodynamic consequence within
arteries. Such lesions are often found in
young, otherwise healthy adults, but there is
still debate over whether they are early signs
of clinical atherosclerosis or a separate harm-
less phenomenon.
If the risk factors persist, the defence mecha-
nisms may be overwhelmed. Platelets are
attracted and secrete chemotaxins and platelet-
derived growth factor. This induces smooth
muscle cells to migrate from the media into the
intima, and fibroblasts to start producing
collagen fibres. Locally produced angiotensin
may also contribute to growth promotion,
providing one possible prophylactic role for
ACEIs. The connective tissue matrix of the devel-
oping atheroma is thus strengthened, and even-
tually a protective fibrous cap forms over the
lipid and foam cells, which becomes overgrown
by new endothelial cells. Some are almost unde-
tectable and have been classified as ‘lurking
future lesions’. A stable plaque will have a high
proportion of fibrous components whereas an
unstable one - which is liable to rupture and
promote thrombosis - has more macrophages
and lipid.
Progression and outcome
Chronic vascular obstruction may follow a
number of courses (Figure 4.29). The most
benign outcome is repair. The atheroma remains
small, and is overgrown by a tough fibrous cap.
The small degree of residual obstruction is
unlikely to cause symptoms. If the obstruction
grows larger before it stabilizes, new blood chan-
nels may eventually be formed through it r(ecanalization). However, slow progression of the flow restriction is more usual, with gradually worsening symptoms, e.g. angina in the heart or intermittent claudication in the periphery
(usually the legs).
Sometimes there will be an acute complica-
tion. The plaque may rupture, followed by
platelet aggregation and possibly thrombosis; or
perhaps a weakened atheroma cap may split and
haemorrhage. Such an event does not necessarily
result from a particularly large plaque: it seems
to be not the size but the stability of the plaque
that is critical.
In milder cases the result is a platelet aggregate
with only a small degree of thrombosis, which is
reversed by the normal plasma defence
processes, e.g. plasmin, which dissolves small accidental intravascular clots. This could underlie unstable angina or TIAs, and there is minimal anoxic cell death (necrosis).
In other cases there is substantial rupture and
a massive irreversible thrombus develops causing
complete occlusion and subsequent anoxia
downstream. This commonly occurs in coronary
or cerebral vessels, resulting in myocardial or
cerebral infarction (MI or stroke). It is even
possible that relatively innocuous ‘lurking’ lesions
could rupture and cause a major ischaemic
event, in which case the patient would not have
had any prior warning - nor would conventional
angiography, had it been performed, have
revealed any significant abnormality.
Figure 4.30 shows the transverse section of an
artery severely obstructed by an atherosclerotic
plaque.
Myocardial ischaemia
Why the heart?
The general clinical consequences of ischaemia
were discussed in Chapter 2 (p. 58). The factors
that make the heart particularly sensitive are:
• The myocardium has a high O2 demand and
high O2 extraction.
• The heart works continuously.
• There are relatively few coronary collateral
vessels.
• Myocardial cells regenerate poorly after
damage.
• The heart is an integrated organ.
Unlike the brain, the lung or the kidney - other
important organs that are sensitive to ischaemia
- the whole heart functions in an integrated
manner so that malfunction of any part will
have a disproportionate effect on overall effi-
ciency. Because it is not composed of many
identical functional subunits, the heart cannot
divert function from damaged areas to healthy
ones. The efficient ejection of blood requires
coordinated contraction, and the process uses
the whole myocardium to conduct the electrical
excitation, so even small areas of ischaemia or
necrosis can severely reduce pump performance.
Thus the heart is a prime target for circulatory
insufficiency, and because it is such a vital organ
the results are almost always serious. This is why
IHD is such a problem. Furthermore, atheromas
seem to be deposited preferentially in the coro-
nary circulation. This may be a consequence of
the anatomy, because coronary flow is retrograde
(backwards towards the heart) and thus poten-
tially turbulent. Because the left ventricle has the
greatest oxygen demand and the most vascula-
ture, coronary atherosclerosis usually affects the
left ventricle.
Myocardial oxygen balance
The degree of ischaemia in a tissue depends on
the balance between oxygen supply (in blood)
and oxygen demand. Myocardial oxygen
demand varies according to circulatory require-
ments. Assuming that blood is adequately
oxygenated, myocardial oxygen supply is
normally determined by the calibre of the coro-
nary vessels and coronary perfusion pressure.
The calibre is altered mainly by reflex autoregu-
lation in response to local oxygen levels. The
perfusion pressure is the difference between pres-
sure in the left ventricle at the end of diastole
(LVEDP) and mean aortic pressure. This balance
between supply and demand can be disturbed by
either excessive demand or reduced supply.
Excessive myocardial demand
The fixed lesions of atherosclerosis limit the
extent of the dilatation that can be induced by
autoregulation (or drugs). Thus while coronary
perfusion may be adequate at rest, at some point
during escalating effort blood flow will be unable
system
to increase sufficiently to meet the rising demand. Because normally the myocardium has few collateral vessels, the area beyond a lesion will become ischaemic.
Symptoms become evident only after 75% of
the lumen of a major coronary vessel has
become obstructed, at first only on strenuous
exertion. There will be no permanent damage to
the myocardium if effort, and thus cardiac work-
load, is promptly reduced. The ischaemia is
partial and is reversed when oxygen demand
falls. This produces the typical clinical picture of
acute predictable onset and rapid reversibility
that is characteristic of classical angina pectoris
(often called ‘angina of effort’).
Restricted oxygen supply
If an event such as rupture followed by
thrombus formation produces complete occlu-
sion, or greater than 90% obstruction, then
myocardial anoxia occurs. The precipitating
event may be unrelated to excessive effort or
exertion. If this occlusion is not reversed within
about 6 h the anoxic myocardial tissue will die:
this is MI. Alternatively, there may be severe but
transient, reversible spasm of one or more
sections of either atheromatous or apparently
normal coronary artery. This may account for
‘variant’ or Prinzmetal angina. Intermediate
stages, known as the acute coronary syndrome,
can also occur (see below).
Clinical consequences
Angina and MI, although similar pathologically,
are two distinct clinical entities that can exist
independently. MI is one extreme of a spectrum
of acute conditions known collectively as acute
coronary syndrome (ACS). Angina is not invari-
ably a precursor of MI and not all angina
patients go on to suffer MI. Their differential
pathogenesis is illustrated in Figure 4.31.
Other cardiac abnormalities may follow from
myocardial ischaemia, possibly asymptomati-
cally. Numerous small, subclinical infarcts can
produce a widely disseminated patchy fibrosis of
the myocardium leading to dilated cardiomy-
opathy and chronic heart failure, without the
patient ever complaining of typical ischaemic
pain. Twenty-four-hour ECG monitoring has shown that this so-called ‘silent ischaemia’ may
be more common than was previously supposed.
Heart failure also frequently follows frank MI.
Ischaemia may affect conducting tissue as well as cardiac muscle, either acutely (during MI), or chronically, leading to arrhythmias. Ventricular fibrillation may account for many cases of sudden cardiac death.
Less commonly, ischaemic symptoms may
occur unassociated with any coronary
obstruction, not even vasospasm. Examples
include:
• excessive cardiac oxygen demand, e.g.
thyrotoxicosis;
• severely reduced oxygen supply, e.g. severe
anaemia;
• reduced coronary perfusion pressure, as in
hypertrophic cardiomyopathy, aortic stenosis
(raised LVEDP) and cardiogenic shock (inadequate aortic pressure).
Ischaemic pain is probably related to the accu-
mulation of the products of anaerobic metabo-
lism, e.g. acid or lactate. However, the picture of angina or MI pain as a type of muscle cramp,
although adequate for most purposes, is probably an oversimplification.
Prevention and treatment
Primary prevention theoretically implies
preventing the atherosclerotic process from
starting, whereas secondary prevention means
taking measures to limit or perhaps reverse
damage that is discovered subsequently, or
prevent symptomatic recurrence. In practice
however, primary prevention is usually extended
to mean preventing the appearance of signs or
symptoms of ischaemia, even though clinically
silent atheromas may be present. Unfortunately,
most patients only discover they have athero-
sclerosis when symptoms - which may not be
cardiovascular, but usually are - first occur, in
which case secondary prevention is the best that
can be offered.
Hyperlipidaemia
The pathology of hyperlipidaemia in relation to
atherosclerosis was discussed above (pp. 238 and
240). The current non-drug prophylaxis recom-
mendations are summarized in Table 4.31, and
the reader is directed to the References and
further reading section for detailed reviews
(p. 270).
Primary prevention
The major problem with interventions to reduce
the lipid level lies in identifying the threshold of
risk. As with blood pressure, total plasma choles-
terol varies unimodally throughout the popula-
tion (Figure 4.18), and an increased risk can be
demonstrated at levels near or even below the
population average (6 mmol/L for middle-aged
males in the UK). Thus the same risk stratifica-
tion approach to that used for managing hyper-
tension has to be adopted (p. 216). A coronary
heart disease risk evaluation looks at evidence-
based treatment thresholds for hyperlipidaemic
patients of different ages with various combina-
tions of major coronary risk factors. The inter-
vention threshold for a given patient is based
not solely on their lipid level but also on the
system
presence of other atherosclerosis risk factors and
existing ischaemic symptoms, so this is balanced
against the inherent risk of the intervention.
However, universal lipid screening is not
currently cost-effective and opportunistic
screening needs to be targeted on high-risk
groups (Table 4.29).
As with hypertension, the initial approach is
for abnormal readings to be repeated; if hyper-
lipidaemia is confirmed, possible underlying
primary causes must then be eliminated. Unless
the cholesterol level is dangerously high
( 10 mmol/L approx.), the total cholesterol:
HDL ratio is6, or there are other risk factors,
the first step is to initiate non-drug methods
and to try them for 3-6 months. Simple risk
factor reduction (lifestyle recommendations and
dietary measures) would be suitable for an
asymptomatic younger non-smoking patient
with normal blood pressure, no family history
and a total cholesterol level below 6.5 mmol/L
(7.8 mmol/L in younger women). If this fails or
there are other risk factors, drug therapy is the
next stage, as shown by the HPS trial. A choles-
terol level8 mmol/L will usually require drug
treatment eventually in all patients. Special
consideration applies to diabetic patients,
who would normally be started earlier (see Chapter 9).
Secondary prevention
The decision is simpler if a patient already has
ischaemic symptoms or has suffered an MI or
stroke. There is now ample evidence of the
benefits of lipid-regulating drugs in almost all
patients after MI or unstable angina whether the
lipid level is high (4S trial) or not (CARE trial).
The presence of disabling ischaemic symptoms would indicate the need for prompt surgical
intervention (see below).
Risk factor reduction
Tables 4.29 and 4.31 indicate the general
approach to identifying and addressing athero-
sclerotic risk factors. Of the primary modifiable
risks, diabetes is discussed in Chapter 9 and
hypertension in this chapter. Smoking and its
cessation are discussed in Chapters 5 and 10.
The focus here is on the management of
hyperlipidaemia.
Targeting known risk factors through health
promotion and regular screening in general
can reduce the individual risk and community
load of IHD in particular and atherosclerosis.
Most of the advice coincides with the general
recommendations for a healthy life, and is in
many ways similar to specific recommenda-
tions for reducing hypertension; of course
keeping blood pressure within normal limits
itself reduces atherosclerosis. However, hyper-
tension screening and medication compliance
are notoriously poor. The difficulties of smoking
cessation are also well known. Dietary habits too
are difficult to change, although average reduc-
tions of 10-15% in serum cholesterol can be
achieved in this way.
Much effort is therefore being put into
attempting to change the habits of whole
communities so as to reduce the prevalence of
the disease and its multi-system consequences.
There is still far to go in changing public percep-
tions and practices regarding a healthy lifestyle,
but there is epidemiological evidence from the
USA and Finland that population-wide changes
can produce significant falls in atherosclerosis
prevalence. A prolonged population reduction of
and vascular obstructive disease247
no more than 0.6 mmol/L (which can be achieved
by dietary means alone) has been shown to
reduce the incidence of coronary disease by 30%.
Pharmacotherapy
Drug therapy is indicated in secondary pre-
vention and for primary prevention of IHD in high-risk individuals.
Lipid-regulating therapy
The statins (hydroxymethyl-glutaryl-CoA reduc-
tase inhibitors; HMGIs) are the drugs of choice.
By inhibiting hepatic cholesterol synthesis, they
reduce cholesterol levels, causing a significantly
reduced rate of coronary events and slower
progression (and possibly regression) of athero-
sclerotic lesions. Serious adverse effects are
uncommon, although liver and muscle damage
are possible. Liver function should be checked
before starting the drugs and after 1-3, 9 and 15
months. Patients are warned to report any
muscle pain or weakness. If the pain is associated
with serum creatine kinase (CK) level greater
than five times normal the drug should be
discontinued; if not and the pain is tolerable, it
would be sensible to monitor CK levels as long as
the pain persists. Statins need only be given once
daily, and for the shorter-acting ones (including
simvastatin) an evening dose is preferred because
that is when most cholesterol is synthesized; for
longer-acting ones (e.g. atorvastatin) timing is
not critical.
Thresholds. The decisions as to who should
receive drug therapy and at what point are
always subject to debate and change. Current
guidance by NICE and the Joint British Societies
(JBS-2) recommends pharmacotherapy for three
specific groups:
• People with a 10-year CVD risk20%
(primary prevention).
• All patients with pre-existing atherosclerotic
CVD (secondary prevention).
• All patients with diabetes.
In addition, people with certain specific risks
should be covered, regardless of other criteria.
These are: blood pressure160/100; total
cholesterol:HDL ratio6; and familial hyperlipidaemia.
Targets. As with hypertension, target levels
have fallen as evidence accumulates of increased
benefit with little increase in harm. The optimal
targets are total cholesterol below 4 mmol/L and
LDL cholesterol below 2 mmol/L. Alternatively,
if it produces lower levels, the aim should be
a 25% reduction in total cholesterol together
with a 30% reduction in LDL. JBS also specify
less stringent, perhaps more practical minimum
targets of 5 mmol/L total and 3 mmol/L LDL.
There is still debate as to how low is desirable or
safe, with some authorities now recommending
3.5 mmol/L total cholesterol as optimal.
Other agents such as fibrates, nicotinic acid
derivatives and bile-salt binding resins may be
added if necessary. Fibrates are particularly useful
for raised triglycerides. Useful adjuncts include
ezetimibe, which impairs gastrointestinal absorp-
tion of cholesterol and is useful where lipid
levels cannot be controlled by a statin alone. As
target levels go down, increasing use will be
made of combination lipid-regulating therapy.
For the detailed pharmacotherapy of hyperlipi-
daemia, see the References and further reading
section.
Antiplatelet therapy
Secondary prevention of MI and stroke routinely
involves low-dose aspirin (see also Chapter 11).
Recent understanding of the role of inflamma-
tion in atheroma has further validated this
approach. However, less gastro-erosive platelet
inhibitors have been developed. Clopidogrel is
more effective than aspirin, blocking a different
pathway to platelet aggregatory factor synthesis,
but is more expensive. It is a useful alternative
for aspirin-intolerant patients and is used in
combination with aspirin in ACS. Dipyridamole,
an older antiplatelet, may be used in combination
with aspirin for stroke or TIAs.
The final common platelet aggregation
pathway involves glycoprotein IIb/IIIa, the
fibrinogen receptor on the platelet membrane,
and blockers of this have been developed.
Chimeric glycoprotein receptor antibody frag-
ments such as abciximab, and small molecule
direct inhibitors such as eptifibatide and tirofiban,
are limited to specialist units because they are
only available for parenteral use. These drugs are
system
at present used in association with angioplasty and in ACS.
The use of aspirin as primary prevention is
controversial, because of the small but signifi-
cant risk of gastrointestinal haemorrhage. While
some have recommended it as routine for
everyone over 50, the current view is that it
should only be used where there is an increased
CVD risk. A comparison of primary and
secondary prevention of IHD is given in Table
4.32.
Polypill
With the increasing number of medications
being given to patients at even moderate CVD
risk, supported by evidence of increased survival,
the suggestion has been made that all people
over 55 should be given a drug combination as
primary prevention. The proposal is for everyone
to take a low dose of a beta-blocker, an ACEI,
aspirin, a statin, a thiazide and folic acid. The aim
would be to benefit from an additive or even
synergistic effect of each component. All except
folate have been shown to reduce CVD risk as secondary prevention, and some as primary prevention. Folate reduces levels of homocys-
teine, a minor atherosclerosis risk factor. There is no trial evidence that this combination will be effective, nor can there be any realistic calcula-
tion of the risk-benefit balance on a theoretical basis, but it remains an interesting idea.
Vascular surgery
Revascularization is indicated in secondary
prevention when drug therapy fails or as emer-
gency treatment. Coronary bypass and angio-
plasty will be discussed in the sections on angina
and MI below.
Angina pectoris
Definition and classification
Angina is both defined and diagnosed by clinical
criteria. Typical ischaemic cardiac pain is retro-
sternal (behind the breastbone), intense, diffuse
rather than sharp, and gripping, constricting or
suffocating. Patients describe the sensation of
having their chest crushed by a bearhug, or they
may clench their fist over their chest. Yet even
when it radiates to the upper arms, neck or jaw on
either side it may be difficult to distinguish from
severe dyspepsia, ‘heartburn’ or oesophageal pain
(see Chapter 3), or even pericarditis, so other
signs must also be sought.
In classical angina pectoris pain comes on
acutely following exertion, and is relieved within
a few minutes by resting or by taking buccal or
sublingual GTN. Attacks occur predictably at
the same level of effort. Coronary atherosclerosis
is almost invariably present. A minority
(about 10%) of patients suffer from a variant
(Prinzmetal) form, where attacks are unpre-
dictable and may occur even at rest, although
commonly under emotional stress. In such cases
there may be no permanent coronary obstruc-
tion, the attacks being due to reversible vaso-
spasm. This section considers mainly chronic
state angina. Unstable angina and ACSs will be
covered below, after discussion of MI.
Angina pectoris249
Clinical features, investigation and diagnosis
Angina can be triggered by any circumstances
that acutely increase cardiac workload (Table
4.33). The clinical features are highly sugges-
tive and rapid relief with GTN is almost
conclusive. However, in ambiguous cases an
exercise ECG (e.g. on a treadmill), will usually
show reversible ST segment changes typical of
myocardial ischaemia (Figure 4.32). The rest-
ing ECG is usually normal but may provide
evidence of a past, possibly silent MI (Figure
4.32(d)), or of myocardial hypertrophy (usually
resulting from untreated hypertension), which
would show as an elevated R-wave. In variant
angina, ST elevation is more common but the
exercise test may not cause an attack, and
24-h ambulatory ECG monitoring can be
valuable.
More invasive tests are rarely justified in
moderate stable disease. Angiography (Figure
4.33) or isotope scans are reserved for wors-
ening disease, unstable angina or evaluation
before surgery because their results would
otherwise not affect management. Moreover,
patients with little objective obstruction may
have severe symptoms, while evidence of
extensive atherosclerosis is sometimes found
in patients who complain little. Angiography
indicates objective severity and provides a
baseline for assessing progress. In general, the
elderly seem less likely to experience
ischaemic pain, and neuropathy in diabetics
can disguise it.
A functional assessment is essential - at what point does the pain occur and what does it
prevent the patient doing? Angina can be graded using the NYHA functional scale:
• Grade I. Asymptomatic. No pain at ordinary
physical activity.
• Grade II. Mild. Pain evident on strenuous
exertion.
• Grade III. Moderate. Pain evident on
moderate exertion.
• Grade IV. Severe. Pain unpredictable and
unrelated to exertion.
Course and prognosis
Many angina patients have such slowly progres-
sive disease that it causes little disability. Never-
theless, their mortality rate is on average about
four times that of those without coronary
disease, some eventually dying of MI. The rate of
progression depends partly on how early the
disease is detected and partly on what measures
are then taken to reduce risk factors, although
the effectiveness of such measures once symp-
toms have become evident is uncertain. The 5-
year mortality rate for moderate stable
uncomplicated angina involving only one main coronary vessel is less than 10%, but this may be doubled if more risk factors are involved.
Some patients experience an acceleration of
symptoms with a rapidly reducing exercise
tolerance and unpredictable attacks, often unas-
sociated with exercise or their accustomed trigger factors. This is unstable angina, part of
the ACS spectrum, considered in a later section
(p. 266).
Management
Aims and strategy
The overall aim in the management of angina is to minimize myocardial ischaemia. There are
three objectives:
1. To abolish the symptoms of an acute attack.
2. To prevent or minimize the frequency of
symptomatic or silent myocardial ischaemia.
3. To halt or reduce the progression of the
underlying atherosclerosis.
In acute management and prophylaxis, the main strategy is to readjust the oxygen supply/demand balance favourably (Table 4.34). For long-term management, coronary risk factors must also be reduced.
system
Reducing oxygen demand
As in heart failure, drug therapy is mainly aimed
at ‘unloading’ the heart. Thus negative inotropes
such as beta-blockers and non-DHP CCBs are
used, although in heart failure the former are
only used with great care and the latter avoided.
Arterial dilators if used alone can produce reflex
tachycardia, which will increase cardiac work,
and so combination with beta-blockers is prefer-
able. A cardiodepressant (non-DHP) CCB may
serve both functions. Both beta-blockers and the
sinus node inhibitor ivabradine reduce cardiac
rate.
Nitrates act indirectly, through peripheral
venodilatation. By dilating the great veins they
reduce venous return, thus rapidly reducing
cardiac output and thus cardiac work and
oxygen demand. Although they also dilate
arteries, it is a common misconception that they
act by coronary vasodilatation: coronary arteries
obstructed by atherosclerosis are minimally
dilatable.
It is equally important to improve overall
cardiovascular efficiency. Regular moderate exer-
cise enables the best use to be made of reduced
myocardial capacity.Stopping smoking
improves oxygen carriage in the blood by
reducing carboxyhaemoglobin levels, and this
reduces cardiac output requirements. Thus
despite drug treatment that apparently reduces
cardiac performance, i.e. reducing preload, rate
and contractility, there may be no fall in
absolute exercise capacity.
Improving oxygen supply
This is more difficult medically because most
angina is caused by fixed lesions. If the atheroma
occupies less than about 60% of the arterial
circumference (which is uncommon in sympto-
matic angina), arterial dilators may be beneficial
by direct action on the obstructed part of the
coronary vessel. However, there will usually be
maximal natural autoregulatory dilatation
anyway. Indeed, vessels near the diseased artery
may be preferentially dilated by autoregulation
or vasodilators, thereby diverting blood away
Angina pectoris253
from the deprived region and exacerbating symptoms (coronary steal).
In the rarer variant angina, which is caused
by vasospasm, vasodilators do work, mainly by
direct action on the coronary arteries. Recent
angiographic studies also suggest that transient
vasospasm superimposed on fixed obstructions
may contribute partially to classical angina pain,
thus providing a limited role for coronary
vasodilatation.
In severe advanced angina, with almost
complete blockage of one or more main coro-
nary arteries, surgery becomes necessary. In
coronary artery bypass graft (CABG) a length
of vessel, taken from a leg vein or from the more
conveniently located internal mammary artery,
is grafted between the aorta and a site beyond
the obstructing lesion (Figure 4.34). This can
produce dramatic improvements in symptoms
but unfortunately atherosclerosis at the same site
tends to recur after 5-10 years.
Percutaneous transluminal coronary angio-
plasty (PCTA) is a far less invasive technique. In
this method a coronary catheter is inserted via a
peripheral artery until a small balloon at its tip
rests adjacent to the plaque. Inflation of the
balloon breaks up the plaque, flattens or
stretches it, or stretches the surrounding vessel
wall (Figure 4.35). The patient is heparinized for
the procedure, and it is followed by a short
course of intensive antiplatelet therapy (e.g.
aspirin abciximab), then clopidogrel for a month
and aspirin indefinitely. Subsequent microem-
bolization occasionally causes further obstruc-
tions downstream ( 1% of cases). Angioplasty
has few other complications and avoids the need
for open-heart surgery. The technique is also
used for other stenosed arteries, including the
femoral and renal arteries.
Recurrence of obstruction can occur in up
to 60% of cases after as little as 6 months.
This is not from new plaque but from initial
recoil and subsequent overgrowth of endothe-
system
lium (endothelial hypertrophy); however the
procedure may be repeated. To reduce re-
occlusion the standard procedure following
coronary angioplasty is to place a tubular mesh
supporting structure (stent) intra-arterially at the
site of the lesion after balloon expansion. Costing
around £1000, these alloy devices are up to a few
centimetres long and about the diameter of
the vessel being remodelled. After insertion, the
stent eventually becomes overgrown with new
endothelium. The use of stents has led to a signif-
icant reduction in the restenosis rate. A recent
innovation is the use of drug-eluting stents,
which are coated with an anti-proliferative agent
such as sirolimus or paclitaxel. The drug is slowly
eluted and inhibits local growth. There are as yet
no long-term data on these expensive devices
but they are recommended by NICE for very
narrow or very long lesions.
Preventing further obstruction
General measures such as stopping smoking, losing weight, keeping fit, modifying diet, etc. are an essential part of initial angina manage-
ment, and are aimed at either directly inhibiting further atheroma or reducing other risk factors. The onset of angina symptoms renders the patient receptive to such advice.
As noted above (p. 247), the risk-benefit ratio
at present also favours giving life-long lipid-
regulating agents and aspirin as secondary
prevention to all symptomatic angina patients.
The HOPE trial has suggested that ACEIs might
be beneficial for high-risk angina patients, e.g.
those with diabetes, even in the absence of
heart failure.
Acute attack
Glyceryl trinitrate
The traditional GTN has yet to be bettered for
rapid symptomatic relief (Table 4.35). Patients
should be encouraged to anticipate situations
that will provoke an attack, and use GTN
prophylactically immediately beforehand, which
keeps the ischaemic burden to a minimum.
The sublingual aerosol formulation is preferred
because it has greater stability and thus a longer
shelf-life after dispensing. It also has a more
prompt action. Rapid falls in blood pressure may
follow the dose so patients are advised to sit
when taking it. Acute headache and flushing
are other side-effects of the widespread vaso-
dilatation. The absence of side-effects such as
headache and flushing is a marker for either
non-compliance or inactive tablets.
GTN tablets have a short shelf-life, and
careful selection of the bottle closure is
needed. If a patient on GTN tablets complains
of worsening or accelerating symptoms, with
declining effectiveness, poor storage rather
than unstable angina may be to blame. Isosor-
bide dinitrate is also available in sublingual
spray form.
Prophylaxis
Atherosclerosis prophylaxis was covered on pp. 245-249.
Beta-blockers.These are first choice unless contra-indicated (Table 4.23). In addition to the details given on pp. 227-229, a number of specific points about the use of beta-blockers in angina should be noted:
• Their action in secondary protection
following MI has been clearly demonstrated.
• They improve exercise capacity.
• They are contra-indicated in coronary spasm
(e.g. variant angina), because they permit
unopposed coronary alpha-constrictor tone.
• Withdrawal, if necessary, should be slow (over
4 weeks), to avoid rebound exacerbation or even MI (owing to beta-receptors having been up-regulated).
• Cardiospecific drugs are preferred.
• Drugs without intrinsic sympathomimetic
activity are preferred because they have a
reduced likelihood of reflex tachycardia.
• A higher dose than used for hypertension is
usually required.
Formerly, a resting heart rate of about 60-70
beats/min was the therapeutic target, but a more reliable predictor of effectiveness might be the limitation of exertional tachycardia to 100 beats/min. This permits higher doses.
Calcium-channel blockers. These are often
successful if beta-blocker therapy fails or is inap-
propriate (see p. 231) and they are the first
choice for variant angina. Those with consider-
able negative chronotropic and negative ino-
tropic action as well as vasodilatation, i.e the
non-DHP agents such as verapamil and diltiazem,
may be beneficial provided that ventricular
function is adequate and they are not combined
with a beta-blocker. Otherwise, a DHP (e.g.
nifedipine) is used, although these can cause
reflex tachycardia. CCBs are perhaps better toler-
ated than beta-blockers and are suitable for a
wider variety of patients.
Nitrates. These act as in angina to reduce
preload, with a lesser effect on afterload and
perhaps a small effect on coronary vessels.
Various formulations of organic nitrates are
available to help counteract the problems of this
group, which are related to systemic vasodilata-
tion or tolerance (Tables 4.35 and 4.36). Adverse
effects may prevent up to a quarter of patients
from using nitrates. Preventing tolerance
requires a daily ‘washout’ period of low plasma
level, e.g. overnight, in the absence of noc-
turnal attacks. It occurs because sulfhydryl (-SH)
groups on receptors become saturated and can
no longer produce NO from the nitrate for
dilatation.
Topical GTN patches are expensive and offer
little advantage except the psychological benefit
of direct application to the chest. Unless used
with care they may even exacerbate tolerance,
which is encouraged by a stable plasma level.
Buccal modified-release preparations provide a
combination of prompt and sustained action.
Because there is no convenient clinical index of plasma levels, such as bradycardia with beta-blockers, dose adjustment is imprecise.
Potassium channel activators. These drugs,
e.g. nicorandil, combine nitrate-like venodilator
action (due to NO production) with CCB-like
arterial dilatation. Theoretically they could
replace a combination of nitrate and CCB, with
the potential advantage that nitrate intolerance
would be masked by the arterial dilator action.
The IONIA trial suggests they may have superior
outcomes to nitrates.
Sinus node inhibitors. Ivabradine reduces
cardiac rate by acting directly on the sinus node,
the result being reduced oxygen consumption.
Experience is limited but it seems to have fewer
side-effects than beta-blockers but a similar
clinical action, and so may prove to be a useful
alternative in patients who cannot tolerate
beta-blockers.
ACEIs. Evidence is accumulating (e.g. the
HOPE (ramipril) and EUROPA (perindopril) trials)
that ACEIs may be beneficial in stable angina
even in the absence of heart failure. This makes
their spectrum in CVD as broad as that of beta-
blockers. This should not be suprising in view
of their widespread unloading properties. At
present they are used only for high-risk angina
patients, though they are not licensed for this in
the UK.
Drug selection
All patients should have regular statin and
aspirin, and GTN as required. If prophylaxis is
indicated, beta-blockers are the first choice if
tolerated. For other drug choices see Figure 4.36,
which shows most possible rational combina-
tions. It is rare that a patient is unable to take either beta-blockers or CCBs as initial mono-
therapy. If either of these alone fails, a variety of
synergistic dual therapies is available. Some have
particular advantages, e.g. a beta-blocker plus
CCB counteracts the peripheral vasoconstriction
induced by the former, and the tachycardia
induced by the latter; a DHP CCB should be
chosen to avoid excessive myocardial depres-
sion. The tendency to tachycardia induced by
nitrates is countered by the bradycardia induced
by diltiazem or beta-blockers. Hypotension can
occur with a nitrate plus a CCB, in which case
the DHPs should be avoided. The role of potas-
sium channel activators in combinations is not
yet established.
Most patients will be well controlled on dual therapy, but triple therapy is sometimes needed. Otherwise, failure of dual therapy is an indication that the patient is a candidate for
angioplasty or bypass surgery.
Myocardial infarction
Myocardial infarction (MI, ‘heart attack’, ‘coro-
nary thrombosis’) occurs when a coronary vessel
becomes occluded for more than about 6 h,
whether or not the occlusion is subsequently
relieved.
Angina and MI
Unlike for angina, exertion is not a trigger for
MI, and although MI is frequently associated
with current stress or general ‘life events’, the
patient may be unable to recall a particular
precipitating event. MI is not simply an intensi-
fication of angina: it differs in a number of
crucial respects (Table 4.37). Many patients have
stable angina for many years and never develop
an MI. For others a fatal MI is their first and last
experience of heart disease - about 50% of MIs
occur without previous ischaemic symptoms.
Acute coronary syndrome
Angina and MI stand at either end of a spectrum of ischaemic states referred to as acute coronary syndrome (ACS). In between are a range of increasingly severe acute conditions. Therefore MI will be discussed in detail first, because doing so will bring in most of the features of the less serious conditions. ACS will then be discussed by comparison with MI.
Pathogenesis
Initiating event
Postmortem examinations after MI almost invariably show advanced coronary atheroscle-
rosis with a thrombotic occlusion in one vessel. ‘Sudden ischaemic death’ within an hour or so of the onset of symptoms, before infarction proper can develop, also occurs. This is probably due to ventricular fibrillation. However, these patients usually also have obstructive lesions.
Why should an apparently stable atheroma-
tous plaque suddenly precipitate thrombosis
and occlusion? Stress-induced acute abnormal-
ities in both clotting factors and platelets
have been proposed, but it is currently thought
that a particularly lipid-rich plaque, with low
amounts of smooth muscle and fibrous support,
may fissure or rupture. This exposes lipid and
subendothelial structures, triggering massive
platelet aggregation and subsequent thrombosis.
In the few cases where no substantial
atheroma is found on angiography or at post-
mortem examination, the cause may be severe
vasospasm or a primary platelet or clotting
abnormality.
Severity
The process of infarction in general was
described in Chapter 2 (pp. 58-61). If a tissue
undergoes a period of anoxia, then irreversible
damage occurs, followed by wound healing and
organization of scar tissue. Scar tissue can never
fulfil the functions of the tissue it replaces. In the
heart this means that as well as being non-
contractile, the infarcted area is inelastic and
poorly conducting. This has the following potential consequences:
• Poor contractility leads to poor ejection, i.e.
systolic failure.
• Poor elasticity (reduced compliance) leads to
poor filling, i.e. diastolic failure.
• Poor conductivity leads to arrhythmias.
The consequences in individual cases depend
primarily on the size of the area of myocardium
served by the coronary vessel that is occluded.
The mildest form involves a small arteriole,
resulting in a clinically silent (symptomless)
infarction. Moreover, dilatation of neighbouring
vessels by autoregulation may protect the area
adjacent to the ischaemic core from complete
anoxia, thereby limiting infarct size. However, if
this is repeated over a long period it results in
widespread‘patchy fibrosis’ and eventual
cardiac failure. Occlusion of larger arterioles will
cause a classical presentation of MI, but if the
area damaged is not too extensive the patient
will survive, possibly with a degree of perma-
nent cardiac failure. At its most severe an MI
may involve one of the main coronary arteries,
often the left anterior descending, which
supplies most of the left ventricle (Figure 4.7),
causing an anterior infarct. Death is likely if
more than about 50% of the left ventricle is
damaged.
One important factor determining outcome
is how well developed the patient’s collateral
coronary vessels are; another is how much
conducting tissue is involved. Conduction across
the whole myocardium is necessary for normal
coordinated contraction, and ischaemic muscle
may conduct erratically. In addition, ischaemic
damage to nodal tissue or nerve tracts may have
a disproportionate effect because arrhythmias
can compromise the function of the entire heart.
Course and prognosis
About half of all patients suffering an MI in the
UK die within a month; half dying in the first
hour and three-quarters within the first 24 h.
Deaths occurring in the first few hours, before
medical help becomes available, are usually from
ventricular fibrillation. Subsequent deaths are
Myocardial infarction259
mainly from heart failure. The 5-year survival rate among those who survive the first month is 76%, compared to people of a similar age
without MI of 93%.
In the immediate post-infarction period the
myocardium surrounding the developing lesion
becomes hyperexcitable owing to excess sympa-
thetic tone and the high local levels of potas-
sium released from the damaged cells. The
patient is then at great risk of a fatal arrhythmia.
Some community-based ‘coronary first aid’
programmes have significantly reduced mor-
tality. Lay people are instructed in elementary
resuscitation, and the emergency services, e.g.
ambulance staff and firemen, are taught the
‘blind’ use of defibrillators, parenteral anti-
arrhythmics and in some cases thrombolytics.
Defibrillators are now being placed in public
spaces such as railway stations.
The patient who survives this critical period
has a reasonable prognosis: ironically, those
who get to hospital include those who least
need it. Many patients with uncomplicated MI
require, after emergency treatment, only
supportive therapy and are soon discharged.
Such patients may do better at home in
familiar, unthreatening surroundings rather
than in a stressful high-technology CCU.
However, the consensus view is that all
suspected MI patients should preferably be
assessed initially in a hospital. Poorer prognosis
is indicated by older age, history of IHD or
hypertension, and the development of heart
failure or arrhythmias.
Clinical features
Some MIs may be so mild as to be dismissed by
the patient, relatives and sometimes even
doctors as indigestion, especially if the patient
has not experienced ischaemia before. It may be
some time before the persistent pain brings a
patient to medical attention. Angina patients,
however, will recognize an MI because although
the pain is familiar it persists, tends to be more
severe, and is not relieved by normal medication
(i.e. GTN). With large areas of myocardial
damage the patient may collapse from acute
heart failure or cardiogenic shock.
On admission, patients are usually cold and
pale (owing to central conservation of reduced
cardiac output), clammy (due to sympathetic
discharge), nauseated and breathless with rapid
shallow breathing. Their great distress is due not
only to severe pain but also to profound fear and
anxiety. This heightens the perception of pain
because patients are literally mortally afraid.
There may be hypotension, tachycardia or
profound bradycardia, and signs of pulmonary
oedema(e.g. crackles heard through the
stethoscope).
Investigation and diagnosis
All patients with suspected MI are closely moni-
tored for 72 h to confirm the diagnosis and
anticipate complications. Precise diagnostic
criteria vary, but generally the diagnosis depends
on significant findings in at least two of three
crucial areas:
• Clinical presentation and history. • Progressive ECG changes.
• Progressive serum cardiac marker changes.
In many cases the ‘classical’ clinical features are
absent and it can be very difficult to ascribe a
cardiac cause. This is especially true of milder
attacks with minimal myocardial damage and no
cardiac failure, and in diabetics and the elderly.
Objective criteria then become important.
Electrocardiogram
Certain characteristic changes occur after a
typical transmural MI, i.e. affecting the full
myocardial thickness. The ST segment quickly
becomes markedly elevated, only settling down
to normal after several weeks (Figure 4.32(c)). A
‘pathological’ Q-wave occurs early and persists as
a permanent marker of a past MI (Figure 4.32(d)).
The particular ECG leads that detect these
changes indicate the position of the infarct
within the myocardium, while their magnitude
indicates the severity of the MI. Less commonly,
if the infarct does not affect the entire thickness
of the cardiac wall, the Q-wave remains normal
and the ST segment is depressed. This is non-Q-
wave or subendocardial infarction.
system
In hospital, these time-dependent changes can be followed by continuous monitoring. A more important reason for such monitoring is the
early detection of serious arrhythmias, an alarm sounding automatically when these occur.
Cardiac serum markers
Measurement of the serum levels of certain
enzymes typically found in myocardial cells, but
released on injury or death, provides additional
evidence (Figure 4.37). A particular range, quan-
tity and sequence of enzyme release is character-
istic of MI, an isoform or CK being the most
specific. Elevation more than 15% above the
normal range is diagnostic. An even more
specific serum marker of myocardial damage is
cardiac troponin-T (cTn). This component of
cardiac muscle fibrils is detectable within
minutes of an MI, peaks at 12 h and persists for
about 2 weeks. Its presence during unstable
angina indicates a greater likelihood of
subsequent infarction.
Complications
About half the patients with MI who survive the
first few hours develop one or more of the
complications shown in Table 4.38, mostly
within the first few days. The frequency and severity of these are the best arguments for the existence of CCUs, where continuous moni-
toring and prompt attention are assured. If such complications do not develop, the patient is at less risk and may do better at home. The occur-
rence of heart failure is the single most accurate predictor of long-term outcome.
A transmural infarct may be overly compliant,
bulging during systole (forming an aneurysm),
which reduces ventricular output and thus
causes heart failure. A septal infarct may rupture
into the right ventricle. Rupture into the pericar-
dial cavity is usually fatal but the risk is reduced
by early beta-blockade. A ventricular aneurysm
may persist after the infarction has healed. Non-
Q-wave infarction is initially less serious but has
a poorer prognosis: there is a likelihood of a full
MI in the near future with a higher overall
mortality than normal.
Ventricular remodelling by dilatation and
hypertrophy gradually compensates for the loss
of functional myocardium, a process that may
continue for up to 6 months after the infarction.
Although this may be beneficial in many
patients, progressive dilatation can lead to
chronic ventricular failure, and cardiac enlarge-
ment is a poor prognostic factor. Early ACEIs
limit this process.
Weeks or months after an infarct, and particu-
larly after a second or third such occurrence, an autoimmune reaction to necrotic cardiac tissue (Dressler’s syndrome) may develop, which is managed with steroids.
Management
The aims in managing MI are, in sequence, to:
• act promptly to save life and reduce
complications;
• treat acute symptoms;
• restore flow through the affected artery
(revascularization);
• minimize subsequent infarct size; • treat complications;
• rehabilitate;
• ensure secondary prevention of subsequent
attack.
Immediate management
The emergency management of MI is primarily
symptomatic and supportive (Table 4.39). The IV
route is preferred because reduced peripheral
perfusion delays uptake from IM sites, and
frequent injections are more conveniently given
via an in situ IV line. Early revascularization by
thrombolysis or PTCA is mandatory but is not
always immediately available (see below).
Opioids are invaluable as analgesics, tran-
quillizers and venodilators. Paradoxically, their
respiratory depressant action is also useful: it
reduces the ineffectual fast respiration associated
with panic. In the UK, diamorphine (heroin)
is routinely used, but morphine or pethidine
(meperidine) are also suitable; an anti-emetic
(e.g. cyclizine or metoclopramide) may be required.
A 300-mg aspirin tablet (for its antiplatelet effect,
not analgesia) is chewed to promote more rapid
absorption. A GTN tablet is taken sublingually or buccally. High-concentration oxygen (40% or
more by mask, unless the patient is known to
have chronic airways disease, see Chapter 5) is
often needed. Heart failure and shock are
discussed below.
Myocardial salvage: reducing infarct size
It was previously thought that after an MI little
could be done to prevent myocardial damage,
which was assumed already to have occurred
irreversibly. However, several interventions have
been developed. They are best initiated within
3h of the onset of symptoms, although
evidence is emerging that the thrombotic
process in some infarctions evolves continu-
ously over the first 24 h, so that later interven-
tions may still be beneficial. Broadly, these
techniques involve methods of improving
oxygen supply and methods to reduce myocar-
dial oxygen demand that spare less severely
hypoxic areas. Audit criteria for this phase
include ‘pain to vein’ time - the time between
onset of symptoms and start of treatment - and
‘door to needle’ time - the speed with which
patients admitted to an A&E department are
started on treatment, ideally30 min.
Antithrombotics
Aspirin is given as soon as possible and continued, with the aim of preventing extension of the existing thrombus or re-thrombosis. It
does not reduce the size of the culprit thrombus. There is some evidence that clopidogrel enhances this action, but glycoprotein IIb/IIIa inhibitors probably do not. There is no evidence to support the routine use of heparin except in association with angioplasty or thrombolysis.
Reperfusion: thrombolysis
The key to improving outcome in MI is to restore
blood flow to the ischaemic area by opening up
the occluded coronary artery as soon as possible.
In some areas (especially the USA), it is possible
to organize balloon angioplasty or even bypass
surgery sufficiently rapidly as a primary inter-
vention, and this is becoming more common in the UK. However, pharmacological throm-
bolysis (fibrinolysis) is the usual treatment. Angioplasty is also used where thrombolysis has failed (salvage angioplasty).
The natural endogenous fibrinolytic enzyme is
plasmin (see Chapter 11). This lyses fibrin clots
forming intermittently and accidentally within
the normal circulation, or following repair of
any vessel damage (Figure 4.38). It also destroys
other clotting factors, inhibiting further throm-
bosis. Both blood and tissue factors activate its
precursor, plasminogen. Normally a delicate
equilibrium exists between clotting and anti-
clotting factors but this is overwhelmed
Myocardial infarction263
following pathological thrombosis. Throm-
bolytic drugs activate plasminogen artificially (Figure 4.38 and Table 4.40).
Indication and use. Pharmacological throm-
bolysis is now considered for all patients with
symptoms strongly suggestive of MI and
confirmed by ECG. Thrombolysis recanalizes up
to 50% of patients and reduces mortality rate by
25%. Patients with anterior infarcts benefit most,
the benefit being greatest for those patients
treated earliest. Ideally, this should be within
2h of onset of symptoms (i.e. usually before
reaching hospital), but 4-6 h is probably more realistic and 12 h is the maximum for significant
benefit. There are only small gains after longer
delays.
Heparin is used routinely as an adjunct to
alteplase therapy, because alteplase has a short half-life. It is also indicated in patients with a
tendency to thrombosis, to reduce venous thrombosis and pulmonary embolism. However, there is an increased chance of bleeding and
heparin is not recommended routinely.
Side-effects, contra-indications and precau-
tions. Early fears that thrombolysis would
cause massive haemorrhage proved unfounded,
but bleeding is still the major risk. This may be
at the site of injection, so that further venepunc-
ture should be delayed and cautious. More
serious is internal bleeding, especially intracere-
brally (e.g. haemorrhagic stroke). Major contra-
indications include recent surgery (including
dental extraction), recent head injury, a history
of cerebrovascular disease or if there is a risk of
bleeding from a peptic ulcer. A more complete
list is given in Table 4.41.
Choice. Streptokinase (SK) is a foreign protein
and therefore antigenic; it acts directly on plas-
minogen anywhere in the circulation. Alteplase (rt-PA) is a genetically engineered human tissue
plasminogen activator that has a greater affinity
than SK for fibrin. Reteplase and tenecteplase are
similar but modified to be more clot-specific by
being selective for plasminogen in the presence
of fibrin. They also have a longer half-life.
SK is currently the cheapest agent. Because it is
antigenic, antibodies form within 4 days. This
may cause allergic reactions, but fortunately
anaphylaxis is uncommon. The outstanding
problem is the lack of effect if treatment is
repeated after 4 days, because the antibodies
bind the drugs and prevent them from acting.
Another thrombolytic must be used if a patient
has a second infarct after SK treatment.
Alteplase and reteplase, although more expen-
sive, permit lower doses and hence reduce
systemic bleeding by targeting the coronary clot.
However, this property is generally exploited to
use higher doses for a better vessel opening rate,
thus vitiating the advantage. Used in this way
the clot-specific agents are more likely to
produce haemorrhagic stroke as a complication.
Either way, the advantage of selectivity is not
translated into as large an increase in survival as
expected. Thus, despite the fact that reteplase and
tenecteplase produce better arterial opening,
neither produces a better clinical outcome.
Overall, differences in efficacy are small and
of far less significance in survival terms than
variations in the time between symptoms and
thrombolysis or admission and thrombolysis.
Thus research continues for a thrombolytic
agent closer to the ideal. In the UK at present,
SK is the drug of choice in the absence of
contra-indications.
Primary angioplasty. There is increasing
evidence that prompt angioplasty, if it can be
arranged, produces better long-term outcomes
than thrombolysis. It is indeed becoming
routine in some parts of the USA. However, the
facilities do not yet exist in the UK for its wide-
spread use.
Cardiac workload reduction
Surrounding an evolving infarct there are rela-
tively hypoxic, but not completely anoxic, areas.
Reducing the oxygen deficit of these might be
expected to aid their recovery, reduce the size of
the subsequent infarct, and thus improve prog-
nosis. In addition this contributes to the management of any heart failure. The strategies used are similar to those in angina:
• Reduction of heart rate and contractility using
beta-blockers.
• Reduction of afterload using arterial dilators,
e.g. ACEIs.
• Reduction of preload using venodilators, e.g.
nitrates, ACEIs.
Early IV beta-blockers have been shown to
reduce infarct size, arrhythmias and cardiac
rupture. Because the usual cardiac contra-
indications to beta-blockers are all common after
MI (especially serious heart failure, bradycardia,
heart block and hypotension) many patients
who might benefit would normally be excluded.
However, cautious use of certain beta-blockers
(e.g. carvedilol) in heart failure is now known to
be beneficial. There is little evidence that
cardioselectivity is to be preferred, but obviously
non-selective agents would on theoretical
grounds be expected to do more harm and those
with intrinsic sympathomimetic activity, which
increase heart rate, should be avoided. Therapy
is continued orally for secondary prevention (see
below).
Oral ACEIs started within 24 h of infarction
have also been shown to improve outcome, espe-
cially when there is overt failure, impaired
ventricular function or hypertension. They
appear to counter the ventricular enlargement
(remodelling) that occurs after infarction and
worsens ventricular function and prognosis.
They are particularly useful when beta-blockers
are contra-indicated but may be used together
with them. ACEIs are routinely used for at least
6 weeks if not contra-indicated, e.g. by hypoten-
sion, and are continued if heart failure persists. As usual, ARAs may be substituted where ACEIs are not tolerated. Neither beta-blockers nor ACEIs should be started before the patient has been stabilized haemodynamically.
Other drugs that might be started very early
but for which there is either insufficient
evidence or lack of experience are eplerenone (in
severe heart failure), a statin and clopidogrel.
There is no consensus on the routine use of
early IV nitrates in the absence of ischaemic
Myocardial infarction265
pain or heart failure, although in addition to
reducing oxygen demand they will counter any
primary or reflex coronary spasm. CCBs are not
beneficial.
Complications
Arrhythmias
Ventricular fibrillation needs prompt electrical
defibrillation. Early prophylactic lidocaine
(lignocaine) or procaine enjoyed a vogue, but
are not used now in the UK. Other specific
arrhythmias are treated as usual when they
occur. Early prophylactic magnesium infusions
are not useful.
Heart failure and shock
These are managed as usual (pp. 197-208). They require careful haemodynamic monitoring because of the autonomic imbalance and unstable homeostatic control after MI.
Thromboembolic complications
These may be deep vein, pulmonary, cerebral or endocardial (mural) and are prevented by a short course of heparin, perhaps followed by warfarin for a few weeks. Long-term oral anticoagulation is not needed if aspirin is being given.
Rehabilitation
Patients without complications are mobilized
within 2-3 days and discharged soon after. This
reduces the chance of venous thrombosis, and is
good for morale. Other aspects of rehabilitation
are summarized in Table 4.42. Patients may
eventually lead near-normal lives. Although
most do eventually die of IHD, nothing indicates
that a life of self-imposed semi-invalidism
improves their chances and the quality of such a
life is inferior. By following simple positive
health recommendations, to which infarct
survivors are especially receptive, by 6 months
after their infarct many patients say that they
feel better than for many years before.
Secondary prevention
Antiplatelet therapy
The long-term benefit of regular low-dose aspirin
is clear, especially following thrombolysis.
However, even large-scale trials have failed fully
to resolve uncertainty over the optimal dose:
recommendations range between 50 and 300 mg
daily but the usual dose is 75 mg. If the patient
is aspirin intolerant, clopidogrel is indicated.
Anticoagulants
Early trials of anticoagulants following MI,
usually using warfarin, were flawed and used
imprecise monitoring methods, and toxicity
seemed to outweigh any potential benefit.
However, despite re-analysis, more reliable
monitoring methods and even revival of the
thrombosis theory, these drugs are unlikely to be
used routinely for the majority of patients after
MI. Warfarin therapy is inconvenient and expen-
sive to manage, requiring regular blood moni-
toring (see Chapter 11), and there are risks of
misdosing and interactions. The combination of
aspirin and warfarin may have a superior effect
but these problems count against its adoption.
Nevertheless, there is much research into alter-
native types of antithrombotic, such as the oral
ximelagatran, an oral thrombin inhibitor.
system
Beta-blockers
Routine prophylactic cardiospecific beta-
blockade (for at least 2-5 years, and perhaps life-
long) is beneficial. Even patients with moderate
heart failure can be treated. On the other hand,
very low-risk patients seem unlikely to benefit.
Pooled data suggest an overall 25% reduction in
mortality rate.
ACE inhibitors
Regular ACEIs are recommended for all patients,
in combination with beta-blocker or alone if
beta-blockers are contra-indicated (about 25% of
patients). The optimum duration of treatment is
not yet clear, but is at least 5 years. However,
high-risk patients will probably be on them for
life.
Lipid-regulating agents
These have been clearly demonstrated to be of benefit in all at-risk patients, which obviously includes those post-MI, whatever the lipid level. Targets were discussed above (p. 248).
Figure 4.39 summarizes the various treatment options for a wide spectrum of possible presenta-
tions and clinical opinions. Note that this is not a flow chart for management, but an overall
framework for comprehending the many possible eventualities and remedies.
Acute coronary syndrome
Classical angina and MI are clearly defined and
diagnosed but there exist a range of intermediate
conditions where patients present with atypical
features. Their pain occurs at rest and it does not
relent on resting or with GTN, but the ECG and
serum marker signs do not fulfil the criteria for
full MI. These conditions have been variously
described as unstable, crescendo or pre-infarc-
tion angina, or acute coronary insufficiency, but
the preferred term is acute coronary syndrome
(ACS). There are a number of ways of defining
the intermediate stages that comprise this
syndrome but all are characterized by identifying which of the criteria for full-blown MI are or are
not met (p. 260). Figure 4.40 summarizes a
common classification, with a summary of
treatment.
The primary criterion of ACS is the typical
clinical presentation of myocardial ischaemia
(chest pain, etc.) but which is unprovoked
and/or prolonged and/or unrelieved by resting
or GTN. If there are neither typical ECG nor
cardiac serum marker changes it is described as
unstable angina. That description would also
apply if there were atypical ‘dynamic’ ECG
changes, i.e. ST segment instability, associated
with pain, but no consistent elevation. ECG
changes typical of MI but with no serum markers
is termed ST-elevation myocardial infarction
(STEMI), and serum markers without ECG
changes is non-ST elevation myocardial infarc-
tion (NSTEMI). If all three criteria (clinical
features, ECG, marker changes) are met the
event is termed acute myocardial infarction
(AMI); this may be considered the extreme end of the ACS spectrum. There also may be an atyp-
ical AMI without Q-wave changes, i.e. non-Q-
wave MI.
It is likely that all these situations start with
the coronary plaque rupturing to some extent,
and platelet aggregates or small thrombi (or
both) forming. Except in AMI these are probably
cleared naturally before infarction supervenes,
but which syndrome eventually develops
depends on factors such as the size of the vessel
affected, the maximum degree of obstruction
and the time before resolution. All cases repre-
sent a medical emergency, because without
aggressive prophylaxis in a CCU, half such
patients would go on to develop a full MI.
Indeed, many AMIs are preceded by similar, if
perhaps accelerated phenomena, and this
dynamic process continues after symptoms develop. Thus infarction is to be viewed not as a discrete event but as a process evolving over
12-24 h, so that anti-thrombotic treatment may significantly minimize thrombus extension, and fibrinolytic therapy may be beneficial over a
longer period than was at first thought.
The management of the various forms of ACS
varies according to the criteria outlined above
and also to the patient’s risk stratification. This is
based on factors such as continuing pain,
ventricular failure, ECG instability, age and
ischaemic event history. Moreover, the patient’s
categorization can change quickly in the first
12-24 h.
The routine immediate management of ACS
is much as for a suspected MI (Figure 4.40),
involving aspirin, opioid, oxygen and GTN.
Summary of cardiovascular aetiologies
Admission to a CCU should be rapidly arranged
so that the ECG and marker status can be deter-
mined, the risk stratified and complications
managed. Unstable angina and NSTEMI do not
require thrombolysis, but need intensive
antiplatelet and antithrombotic therapy with
aspirin, clopidogrel, and LMW heparin. Anti-
ischaemic therapy is also given, with IV beta-
blockers and nitrates if there is persistent
ischaemic pain or heart failure. For NSTEMI a
glycoprotein IIb/IIIa inhibitor is added. All cases
of STEMI are treated as for AMI, with throm-
bolysis. If the pain does not respond within
48 h of the onset of pain in any form of ACS, angiography with a view to revascularization by angioplasty/stenting is indicated.
CVD is potentially very confusing, with a variety
of similar but distinct conditions affected by a
range of overlapping but not identical risk
factors, and which can affect one another. Thus
IHD can lead to heart failure, but is itself acceler-
ated by hypertension; hyperlipidaemia can
directly promote IHD but not hypertension; a
sedentary lifestyle can promote both hyperten-
sion and IHD. In conclusion, therefore, it may be
helpful to summarize some of the main points
that link the conditions covered. Figure 4.41
gives an overview of the main CVDs, the aetio-
logical relationships between them and the
various risk factors that affect them.
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