Panteli Dimitra, Nolting Alexandra, Eckhardt Helene, Kulig Michael, Busse Reinhard
Department of Health Care Management, Berlin University of Technology, Berlin, Germany.
Federal Joint Committee (G-BA), Berlin, Germany.
Health Res Policy Syst. 2016 Jan 26;14:6. doi: 10.1186/s12961-016-0080-9.
Dissemination bias occurs when only some results emerging from clinical research reach their intended audience in the knowledge translation process. Given that coverage decisions increasingly rely on evidence, it is important to explore the types of evidence considered. This paper aimed to examine the evidence base used by regulatory institutions involved in pricing and reimbursement of pharmaceuticals in a broad range of European countries, as well as their awareness of and approach towards dissemination bias.
A mixed methods approach was adopted. Regulatory documents and published literature were identified in systematic searches and relevant documents were analysed. An online survey was carried out to verify and expand insights.
Forty-two relevant regulatory documents and 10 publications were included. The survey had a 35% response rate, yielding valid responses for 13 countries. A fragmented impression was obtained for most countries indicating a general lack of transparency regarding both processes of decision-making and approaches towards unpublished information. Dissemination bias was rarely consistently considered. Practices for the identification and inclusion of all available evidence varied considerably, as did the influence of missing evidence on decision-making. Differences were often attributable to the regulatory context and/or institutional principles.
Best practice is difficult to generalize given the identified variations. Individual exemplary practices support the necessity for institutional exchange at international level. Increased institutional commitment to transparency of methods and processes should be advocated.
在知识转化过程中,当只有部分临床研究结果传达给目标受众时,就会出现传播偏倚。鉴于医保覆盖决策越来越依赖证据,探究所考虑证据的类型很重要。本文旨在研究广泛的欧洲国家中参与药品定价和报销的监管机构所使用的证据基础,以及它们对传播偏倚的认识和应对方法。
采用混合方法。通过系统检索确定监管文件和已发表文献,并对相关文件进行分析。开展在线调查以核实并拓展见解。
纳入了42份相关监管文件和10篇出版物。调查的回复率为35%,获得了13个国家的有效回复。多数国家给人一种碎片化的印象,表明在决策过程和对待未发表信息的方法上普遍缺乏透明度。传播偏倚很少被持续考虑。识别和纳入所有可用证据的做法差异很大,缺失证据对决策的影响也是如此。差异往往归因于监管背景和/或机构原则。
鉴于已发现的差异,很难概括出最佳实践。个别典范做法支持在国际层面进行机构交流的必要性。应倡导各机构增强对方法和过程透明度的承诺。