| Literature DB >> 36232110 |
Mathias Baptiste Correno1,2, Clint Hansen2, Matthias Chardon1, Tracy Milane1,2, Edoardo Bianchini3, Nicolas Vuillerme1,4,5.
Abstract
Backward walking often occurs in everyday life. It is more complex than forward walking and is associated with decreased coordination. However, it is unclear if a reduced backward walking performance is associated with impaired cognition. This could be particularly relevant as gait and cognitive deficits commonly occur in Parkinson's disease. The objective of this systematic review was to synthesize the evidence on the association between backward walking and cognition in persons with Parkinson's disease. The electronic databases PubMed and Web of Science were systematically searched, and the quality of eligible studies was assessed. Two studies met the inclusion criteria, but study protocols, investigated population, and outcome measures differed substantially. One study showed lower backward walking speed in patients with Parkinson's disease with poorer attention test performances. The second study showed a weak correlation between executive cognitive functions and backward walking speed. Given the low number of studies, the heterogenous study design, and the inconsistent results, the present review highlights the need to further investigate the association between backward walking and cognition in patients with Parkinson's disease.Entities:
Keywords: Parkinson’s disease; clinical tool; cognition; dynamic balance; gait impairments
Mesh:
Year: 2022 PMID: 36232110 PMCID: PMC9566137 DOI: 10.3390/ijerph191912810
Source DB: PubMed Journal: Int J Environ Res Public Health ISSN: 1660-4601 Impact factor: 4.614
PRISMA Checklist [22]. The Preferred Reporting Items for Systematic Reviews and Meta-Analysis (PRISMA [22]) is a 27-item checklist to cover all main sections of the manuscript, including title, abstract, introduction, methods, results, discussion, and funding. Color codes are just to highlight the main sections.
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| Title | 1 | Identify the report as a systematic review. | 3 |
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| Abstract | 2 | See the PRISMA 2020 for Abstracts checklist. | 15–28 |
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| Rationale | 3 | Describe the rationale for the review in the context of existing knowledge. | 32–45 |
| Objectives | 4 | Provide an explicit statement of the objective(s) or question(s) the review addresses. | 77–79 |
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| Eligibility criteria | 5 | Specify the inclusion and exclusion criteria for the review and how studies were grouped for the syntheses. | 103–111 |
| Information sources | 6 | Specify all databases, registers, websites, organisations, reference lists and other sources searched or consulted to identify studies. Specify the date when each source was last searched or consulted. | 86–89 |
| Search strategy | 7 | Present the full search strategies for all databases, registers and websites, including any filters and limits used. | 86–101 |
| Selection process | 8 | Specify the methods used to decide whether a study met the inclusion criteria of the review, including how many reviewers screened each record and each report retrieved, whether they worked independently, and if applicable, details of automation tools used in the process. | 112–114 |
| Data collection process | 9 | Specify the methods used to collect data from reports, including how many reviewers collected data from each report, whether they worked independently, any processes for obtaining or confirming data from study investigators, and if applicable, details of automation tools used in the process. | 122–133 |
| Data items | 10a | List and define all outcomes for which data were sought. Specify whether all results that were compatible with each outcome domain in each study were sought (e.g., for all measures, time points, analyses), and if not, the methods used to decide which results to collect. | 127–131 |
| 10b | List and define all other variables for which data were sought (e.g., participant and intervention characteristics, funding sources). Describe any assumptions made about any missing or unclear information. | N/A | |
| Study risk of bias assessment | 11 | Specify the methods used to assess risk of bias in the included studies, including details of the tool(s) used, how many reviewers assessed each study and whether they worked independently, and if applicable, details of automation tools used in the process. | 116–120 |
| Effect measures | 12 | Specify for each outcome the effect measure(s) (e.g., risk ratio, mean difference) used in the synthesis or presentation of results. | N/A |
| Synthesis methods | 13a | Describe the processes used to decide which studies were eligible for each synthesis (e.g., tabulating the study intervention characteristics and comparing against the planned groups for each synthesis (item #5)). | N/A |
| 13b | Describe any methods required to prepare the data for presentation or synthesis, such as handling of missing summary statistics, or data conversions. | N/A | |
| 13c | Describe any methods used to tabulate or visually display results of individual studies and syntheses. | N/A | |
| 13d | Describe any methods used to synthesize results and provide a rationale for the choice(s). If meta-analysis was performed, describe the model(s), method(s) to identify the presence and extent of statistical heterogeneity, and software package(s) used. | N/A | |
| 13e | Describe any methods used to explore possible causes of heterogeneity among study results (e.g., subgroup analysis, meta-regression). | N/A | |
| 13f | Describe any sensitivity analyses conducted to assess robustness of the synthesized results. | N/A | |
| Reporting bias assessment | 14 | Describe any methods used to assess risk of bias due to missing results in a synthesis (arising from reporting biases). | N/A |
| Certainty assessment | 15 | Describe any methods used to assess certainty (or confidence) in the body of evidence for an outcome. | N/A |
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| Study selection | 16a | Describe the results of the search and selection process, from the number of records identified in the search to the number of studies included in the review, ideally using a flow diagram. | 136–142 |
| 16b | Cite studies that might appear to meet the inclusion criteria, but which were excluded, and explain why they were excluded. | N/A | |
| Study characteristics | 17 | Cite each included study and present its characteristics. | 151–154 |
| Risk of bias in studies | 18 | Present assessments of risk of bias for each included study. | 405 |
| Results of individual studies | 19 | For all outcomes, present, for each study: (a) summary statistics for each group (where appropriate) and (b) an effect estimate and its precision (e.g., confidence/credible interval), ideally using structured tables or plots. | 143–147 |
| Results of syntheses | 20a | For each synthesis, briefly summarise the characteristics and risk of bias among contributing studies. | N/A |
| 20b | Present results of all statistical syntheses conducted. If meta-analysis was done, present for each the summary estimate and its precision (e.g., confidence/credible interval) and measures of statistical heterogeneity. If comparing groups, describe the direction of the effect. | 212–217 | |
| 20c | Present results of all investigations of possible causes of heterogeneity among study results. | N/A | |
| 20d | Present results of all sensitivity analyses conducted to assess the robustness of the synthesized results. | N/A | |
| Reporting biases | 21 | Present assessments of risk of bias due to missing results (arising from reporting biases) for each synthesis assessed. | N/A |
| Certainty of evidence | 22 | Present assessments of certainty (or confidence) in the body of evidence for each outcome assessed. | N/A |
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| Discussion | 23a | Provide a general interpretation of the results in the context of other evidence. | 223–250 |
| 23b | Discuss any limitations of the evidence included in the review. | N/A | |
| 23c | Discuss any limitations of the review processes used. | 276–282 | |
| 23d | Discuss implications of the results for practice, policy, and future research. | 284–290 | |
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| Registration and protocol | 24a | Provide registration information for the review, including register name and registration number, or state that the review was not registered. | 81–84 |
| 24b | Indicate where the review protocol can be accessed, or state that a protocol was not prepared. | 81–84 | |
| 24c | Describe and explain any amendments to information provided at registration or in the protocol. | 81–84 | |
| Support | 25 | Describe sources of financial or non-financial support for the review, and the role of the funders or sponsors in the review. | 297–302 |
| Competing interests | 26 | Declare any competing interests of review authors. | 307 |
| Availability of data, code and other materials | 27 | Report which of the following are publicly available and where they can be found: template data collection forms; data extracted from included studies; data used for all analyses; analytic code; any other materials used in the review. | 291–292; 306 |
Summary of walking conditions used in the included studies.
| Criteria | Tseng and Yuan, 2012 [ | Christofoletti et al., 2016 [ |
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| 1. Was the research question or objective in this paper clearly stated? | Y | Y |
| 2. Was the study population clearly specified and defined? | Y | Y |
| 3. Was the participation rate of eligible persons at least 50%? | Y | Y |
| 4. Were all the subjects selected or recruited from the same or similar population? Were inclusion and exclusion criteria for being in the study prespecified and applied uniformly to all participants? | Y | Y |
| 5. Was a sample size justification, power description, or variance and effect estimates provided? | N | Y |
| 6. For the analyses in this paper, were the exposure(s) of interest measured prior to the outcome(s) being measured? | Y | Y |
| 7. Was the timeframe sufficient so that one could reasonably expect to see an association between exposure and outcome if it existed? | NA | NA |
| 8. For exposures that can vary in amount or level, did the study examine different levels of the exposure as related to the outcome (e.g., categories of exposure, or exposure measured as continuous variable)? | N | Y |
| 9. Were the exposure measures (independent variables) clearly defined, valid, reliable, and implemented consistently across all study participants? | Y | NA |
| 10. Was the exposure(s) assessed more than once over time? | NA | NA |
| 11. Were the outcome measures (dependent variables) clearly defined, valid, reliable, and implemented consistently across all study participants? | Y | Y |
| 12. Were the outcome assessors blinded to the exposure status of participants? | NR | NR |
| 13. Was loss to follow-up after baseline 20% or less? | NA | NA |
| 14. Were key potential confounding variables measured and adjusted statistically for their impact on the relationship between exposure(s) and outcome(s)? | Y | Y |
| Quality Rating | Good | Good |
Figure 1Flowchart of study selection. A total of two studies were included according to eligible criteria (n = number of studies, BW = backward walking).
Characteristics of persons with Parkinson’s disease (PD) and summary of walking conditions used in the included studies.
| Study | Tseng et al., 2012 [ | Christofoletti et al., 2016 [ |
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| Number of PD patients | 22 | 114 |
| Number of controls | 42 | - |
| Age (ys) (mean ± SD) | 70.5 ± 8.8 | 66.6 ± 9.4 |
| Gender Male/Female ( | 11(50)/11(50) | - |
| BMI in kg/m2 (mean ± SD) | 23.00 ± 4.31 | - |
| Disease duration (ys) (mean ± SD) | 5.09 ± 4.87 | 5.4 ± 4.4 |
| H&Y stage (mean ± SD) | 1.5 ± 0.5 | 2.4 ± 0.4 |
| MDS-UPDRS-III (mean ± SD) | - | 34.8 ± 10.4 |
| MMSE (mean ± SD) | 26.82 ± 3.11 | 28.6 ± 1.4 |
| Training trials | Yes, 5 in either each condition | - |
| Walking speed | Preferred pace | Preferred speed |
| Experimental conditions | ||
| Number of trials per condition | One trial for each condition | 3 |
| Walking distance | 5.0 m | 4.8 m |
| Collection of gait parameters | 5 m Instrumented GAITRite walkway | 4.8 m GAITRite instrumented walkway |
| Rest | Yes. Rest sitting between the audition trial and formal test. | - |
| Order randomized | Not reported | Yes |
| Other information | Barefoot | - |
BMI = Body Mass Index. H&Y = Hoehn and Yahr. MDS-UPDRS-III = Movement Disorder Society-revised version of the motor part of the Unified Parkinson Disease Rating Scale. MMSE = Mini-Mental State Examination.
Summary of the interaction effect between cognitive function and walking direction.
| Authors | Statistical Analysis | Effect of BW on Gait Parameters |
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| Tseng et al., 2012 [ | Post-hoc test | Speed: |
| Christofoletti et al., 2016 [ | Pearson for parametric variables | Direction: |
MDS-UPDRS = Movement Disorders of UPDRS. UPDRS = Unified Parkinson Disease Rating Scale. Mini-BESTest = Mini-Balance Evaluation Systems Test. CWIT = Color–Word Interference test. VF = Verbal Fluency. FW = forward walking. BW = backward walking. PD-B = Parkinson’s patients with better attention capability. PD-P = Parkinson’s patients with poorer attention capability. HC-B = healthy controls with better attention capability. HC-P = healthy controls with poorer attention capability. ↓ = decline. * Significant results at p < 0.05.