Dearfield Kerry L, Gollapudi B Bhaskar, Bemis Jeffrey C, Benz R Daniel, Douglas George R, Elespuru Rosalie K, Johnson George E, Kirkland David J, LeBaron Matthew J, Li Albert P, Marchetti Francesco, Pottenger Lynn H, Rorije Emiel, Tanir Jennifer Y, Thybaud Veronique, van Benthem Jan, Yauk Carole L, Zeiger Errol, Luijten Mirjam
U.S. Department of Agriculture, Food Safety and Inspection Service, Washington, District of Columbia.
Exponent® Inc, Center for Toxicology and Mechanistic Biology, Midland, Michigan.
Environ Mol Mutagen. 2017 Jun;58(5):264-283. doi: 10.1002/em.22045. Epub 2016 Sep 21.
For several decades, regulatory testing schemes for genetic damage have been standardized where the tests being utilized examined mutations and structural and numerical chromosomal damage. This has served the genetic toxicity community well when most of the substances being tested were amenable to such assays. The outcome from this testing is usually a dichotomous (yes/no) evaluation of test results, and in many instances, the information is only used to determine whether a substance has carcinogenic potential or not. Over the same time period, mechanisms and modes of action (MOAs) that elucidate a wider range of genomic damage involved in many adverse health outcomes have been recognized. In addition, a paradigm shift in applied genetic toxicology is moving the field toward a more quantitative dose-response analysis and point-of-departure (PoD) determination with a focus on risks to exposed humans. This is directing emphasis on genomic damage that is likely to induce changes associated with a variety of adverse health outcomes. This paradigm shift is moving the testing emphasis for genetic damage from a hazard identification only evaluation to a more comprehensive risk assessment approach that provides more insightful information for decision makers regarding the potential risk of genetic damage to exposed humans. To enable this broader context for examining genetic damage, a next generation testing strategy needs to take into account a broader, more flexible approach to testing, and ultimately modeling, of genomic damage as it relates to human exposure. This is consistent with the larger risk assessment context being used in regulatory decision making. As presented here, this flexible approach for examining genomic damage focuses on testing for relevant genomic effects that can be, as best as possible, associated with an adverse health effect. The most desired linkage for risk to humans would be changes in loci associated with human diseases, whether in somatic or germ cells. The outline of a flexible approach and associated considerations are presented in a series of nine steps, some of which can occur in parallel, which was developed through a collaborative effort by leading genetic toxicologists from academia, government, and industry through the International Life Sciences Institute (ILSI) Health and Environmental Sciences Institute (HESI) Genetic Toxicology Technical Committee (GTTC). The ultimate goal is to provide quantitative data to model the potential risk levels of substances, which induce genomic damage contributing to human adverse health outcomes. Any good risk assessment begins with asking the appropriate risk management questions in a planning and scoping effort. This step sets up the problem to be addressed (e.g., broadly, does genomic damage need to be addressed, and if so, how to proceed). The next two steps assemble what is known about the problem by building a knowledge base about the substance of concern and developing a rational biological argument for why testing for genomic damage is needed or not. By focusing on the risk management problem and potential genomic damage of concern, the next step of assay(s) selection takes place. The work-up of the problem during the earlier steps provides the insight to which assays would most likely produce the most meaningful data. This discussion does not detail the wide range of genomic damage tests available, but points to types of testing systems that can be very useful. Once the assays are performed and analyzed, the relevant data sets are selected for modeling potential risk. From this point on, the data are evaluated and modeled as they are for any other toxicology endpoint. Any observed genomic damage/effects (or genetic event(s)) can be modeled via a dose-response analysis and determination of an estimated PoD. When a quantitative risk analysis is needed for decision making, a parallel exposure assessment effort is performed (exposure assessment is not detailed here as this is not the focus of this discussion; guidelines for this assessment exist elsewhere). Then the PoD for genomic damage is used with the exposure information to develop risk estimations (e.g., using reference dose (RfD), margin of exposure (MOE) approaches) in a risk characterization and presented to risk managers for informing decision making. This approach is applicable now for incorporating genomic damage results into the decision-making process for assessing potential adverse outcomes in chemically exposed humans and is consistent with the ILSI HESI Risk Assessment in the 21st Century (RISK21) roadmap. This applies to any substance to which humans are exposed, including pharmaceuticals, agricultural products, food additives, and other chemicals. It is time for regulatory bodies to incorporate the broader knowledge and insights provided by genomic damage results into the assessments of risk to more fully understand the potential of adverse outcomes in chemically exposed humans, thus improving the assessment of risk due to genomic damage. The historical use of genomic damage data as a yes/no gateway for possible cancer risk has been too narrowly focused in risk assessment. The recent advances in assaying for and understanding genomic damage, including eventually epigenetic alterations, obviously add a greater wealth of information for determining potential risk to humans. Regulatory bodies need to embrace this paradigm shift from hazard identification to quantitative analysis and to incorporate the wider range of genomic damage in their assessments of risk to humans. The quantitative analyses and methodologies discussed here can be readily applied to genomic damage testing results now. Indeed, with the passage of the recent update to the Toxic Substances Control Act (TSCA) in the US, the new generation testing strategy for genomic damage described here provides a regulatory agency (here the US Environmental Protection Agency (EPA), but suitable for others) a golden opportunity to reexamine the way it addresses risk-based genomic damage testing (including hazard identification and exposure). Environ. Mol. Mutagen. 58:264-283, 2017. © 2016 The Authors. Environmental and Molecular Mutagenesis Published by Wiley Periodicals, Inc.
几十年来,遗传损伤的监管测试方案已经标准化,所采用的测试用于检测突变以及染色体结构和数量损伤。当大多数被测试物质适用于此类检测时,这对遗传毒性领域起到了很好的作用。这种测试的结果通常是对测试结果进行二分法(是/否)评估,并且在许多情况下,这些信息仅用于确定一种物质是否具有致癌潜力。在同一时期,人们已经认识到阐明涉及许多不良健康结果的更广泛基因组损伤的机制和作用模式(MOA)。此外,应用遗传毒理学的范式转变正在推动该领域朝着更定量的剂量反应分析和起始点(PoD)确定发展,重点关注对暴露人群的风险。这使得人们将重点放在可能导致与各种不良健康结果相关变化的基因组损伤上。这种范式转变正在将遗传损伤的测试重点从仅进行危害识别评估转向更全面的风险评估方法,为决策者提供有关遗传损伤对暴露人群潜在风险的更有洞察力的信息。为了能够在更广泛的背景下检查遗传损伤,下一代测试策略需要考虑一种更广泛、更灵活的测试方法,并最终对与人类暴露相关的基因组损伤进行建模。这与监管决策中使用的更大风险评估背景一致。如本文所述,这种用于检查基因组损伤的灵活方法侧重于测试相关的基因组效应,这些效应应尽可能与不良健康效应相关联。对人类风险最理想的联系将是与人类疾病相关的基因座变化,无论是在体细胞还是生殖细胞中。一种灵活方法的概述及相关考虑因素在一系列九个步骤中呈现,其中一些步骤可以并行进行,这是由来自学术界、政府和行业的顶尖遗传毒理学家通过国际生命科学研究所(ILSI)健康与环境科学研究所(HESI)遗传毒理学技术委员会(GTTC)共同努力制定的。最终目标是提供定量数据,以对导致人类不良健康结果的基因组损伤物质的潜在风险水平进行建模。任何良好的风险评估都始于在规划和范围界定工作中提出适当的风险管理问题。这一步确定了要解决的问题(例如,广义地说,是否需要解决基因组损伤问题,如果需要,如何进行)。接下来的两个步骤通过建立关于所关注物质的知识库并就为何需要或不需要进行基因组损伤测试展开合理的生物学论证,来收集关于该问题的已知信息。通过关注风险管理问题和所关注的潜在基因组损伤,接下来进行检测方法的选择。在早期步骤中对问题的梳理为哪些检测方法最有可能产生最有意义的数据提供了见解。本讨论未详细介绍可用的广泛基因组损伤测试,但指出了一些非常有用的测试系统类型。一旦进行并分析了检测,就选择相关数据集来对潜在风险进行建模。从这一点开始,就像对任何其他毒理学终点一样对数据进行评估和建模。任何观察到的基因组损伤/效应(或遗传事件)都可以通过剂量反应分析和估计PoD的确定进行建模。当需要进行定量风险分析以进行决策时,要同时进行暴露评估(此处不详细介绍暴露评估,因为这不是本讨论的重点;其他地方存在该评估的指南)。然后将基因组损伤的PoD与暴露信息一起用于在风险特征描述中得出风险估计值(例如,使用参考剂量(RfD)、暴露边际(MOE)方法),并提交给风险管理者以指导决策。这种方法现在适用于将基因组损伤结果纳入评估化学暴露人群潜在不良后果的决策过程,并且与ILSI HESI 21世纪风险评估(RISK21)路线图一致。这适用于人类接触的任何物质,包括药品、农产品、食品添加剂和其他化学品。监管机构是时候将基因组损伤结果提供的更广泛知识和见解纳入风险评估中,以更全面地了解化学暴露人群中不良后果的可能性,从而改进对基因组损伤风险的评估。在风险评估中,将基因组损伤数据作为可能癌症风险的是/否关卡的历史用法过于狭隘。在检测和理解基因组损伤(最终包括表观遗传改变)方面的最新进展显然为确定对人类的潜在风险增添了更丰富的信息。监管机构需要接受这种从危害识别到定量分析的范式转变,并在对人类风险的评估中纳入更广泛的基因组损伤。这里讨论的定量分析和方法现在可以很容易地应用于基因组损伤测试结果。事实上,随着美国最近对《有毒物质控制法》(TSCA)的更新通过,这里描述的基因组损伤新一代测试策略为监管机构(这里指美国环境保护局(EPA),但也适用于其他机构)提供了一个重新审视其处理基于风险的基因组损伤测试(包括危害识别和暴露)方式的绝佳机会。《环境与分子诱变》58:264 - 283,2017。© 2016作者。《环境与分子诱变》由威利期刊公司出版