Jay Colleen, Schold Jesse D
University Transplant Center, University of Texas Health Science Center, San Antonio.
Department of Quantitative Health Sciences, Cleveland Clinic, Cleveland, Ohio.
Curr Transplant Rep. 2017 Mar;4(1):52-58. doi: 10.1007/s40472-017-0138-9. Epub 2017 Feb 8.
Risks of regulatory scrutiny has generated widespread concern about increasingly risk averse transplant center behaviors regarding both donor and candidate acceptance patterns. To address potential unintended consequences threatening access to care, we discuss recent changes in regulatory metrics and potential improvements in quality oversight of transplant centers.
Despite many recent changes to one-year patient and graft survival regulatory criteria, the capacity to accurately identify true underperforming centers and avoiding false positive flagging remains an area of great concern. Numerous studies have demonstrated restrictions in transplant volume and access following transplant center flagging.
Current regulatory criteria are limited in their capacity to accurately identify poorly performing centers and potentially encourage risk-averse behavior by transplant centers. Efforts to address these concerns should focus on (1) improving risk-adjustment models with better data which captures the acuity of candidate and donor risk, (2) reconsidering primary outcomes measured to assess comprehensive transplant center performance, (3) improving education to address rational or perceived disincentives, and (4) using data more effectively to share best practices.
监管审查风险引发了人们对移植中心在供体和候选者接受模式方面日益规避风险行为的广泛关注。为解决威胁医疗服务可及性的潜在意外后果,我们讨论了监管指标的近期变化以及移植中心质量监督的潜在改进措施。
尽管近期对一年期患者和移植物存活监管标准进行了诸多更改,但准确识别真正表现不佳的中心并避免误判的能力仍是一个备受关注的领域。众多研究表明,移植中心被标记后,移植量和医疗服务可及性受到了限制。
当前的监管标准在准确识别表现不佳的中心方面能力有限,并可能促使移植中心产生规避风险的行为。解决这些问题的努力应集中在:(1)利用更好的数据改进风险调整模型,这些数据要能反映候选者和供体风险的严重程度;(2)重新考虑用于评估移植中心综合表现的主要指标;(3)加强教育以消除合理的或察觉到存在的不利因素;(4)更有效地利用数据来分享最佳实践经验。