Oropharyngeal airway changes after rapid maxillary expansion: the state of the art

Published online 2014 Jul 15

Eleonora OrtuMario GiannoniMaurizio OrtuRoberto Gatto, and Annalisa Monaco

Abstract

The aim of this article is to elucidate the state of the art about how rapid maxillary expansion (RME) produces changes in the oropharyngeal airways in terms of CBCT (Cone Beam Computed Tomography) data during the growth period, according to the available literature. Electronic search was done from January 2009 to April 2014 on PubMed and Scopus databases; in addition manual search was conducted as well. According to keywords, seven papers were eligible for our purpose, but definitely five papers were selected in agreement with the inclusion/exclusion criteria. The current literature suggests that the potential relationship between RME and oropharyngeal airway changes is still unclear. In fact, although the pharyngeal airway changes after the rapid palatal expansion are evident clinically, current orthodontic literature does not provide conclusive evidence about the nature of this relationship.

Introduction

The techniques of rapid maxillary expansion were born more than a century ago (precisely in 1860) and have been shown to be a reliable and an effective method in the treatment of patients with the constriction of the palate [,]. Nowadays, many new appliances have been developed, but the final aim remains the same. The RME appliances, fixed to the teeth can produces heavy forces of 15 to 50 Newton that separate the midpalatal suture, providing orthopedic movement of the maxillary bones with minimal orthodontic tooth movement []. Several authors report changes in pharyngeal airways caused by RME, studied by Cone Beam Computed Tomography or Cephalometric Analysis []. Also, the rapid maxillary expansion can provide changes in cervical posture []. Lateral and posteroanterior cephalometric radiographs have been used often in the past to compare the dimensional changes in the upper airways but precise measurements of pharyngeal airway with these methods are very difficult. First of all because anatomy is different among the patients, and later because the different structure superimpositions and image magnifcations did not always allow an accurate quantifcations of the changes []. However the complexity of the three-dimensional airway anatomy suggested that the CBCT is the best method of study, even though this is not without drawbacks. According to these reports, recent literature suggests modifications in oropharyngeal airway and often in the tongue posture during and after RME application. Investigating the possible impact of RME in terms of changes in oropharyngeal airway is a great and actual topic that needs to be deepened, because more aspects remain unclear. At today, the gold standard for studying upper airway changes is the CBCT analysis. However, the influence of RME in the oropharyngeal airway can be analyzed with reference to objective measurements from studies using comparable CBCT data.

Materials and methods

Research strategy

A literature search was performed searching English-language articles. The following electronic databases were selected for search from January 2009 to April 2014: PubMed and Scopus. The database queries were performed independently by two reviewers (EO and AM) according to key words listed in Table 1. Animal studies, abstracts, letters, case reports, and reviews were excluded. Disagreement regarding inclusion was resolved by discussion. To avoid inappropriate exclusions, adjectives, nouns, plural and singular forms of all terms were used. In addition, a manual search was performed in the following journals: European Journal of Orthodontics, American Journal of Orthodontics and Dentofacial Orthopedics, Angle Orthodontist and Australian Orthodontic Journal from January 2009 to March 2014.

Table 1

Electronic databases used and search strategy

Database Search strategy Key words
PubMed Rapid palatal expansion(s) OR
http://www.ncbi.nlm.nih.gov/pubmed/ Rapid maxillary expansion(s) OR
RME OR
Scopus Rapid maxillary expansion treatment(s) OR
www.scopus.com/home.url Rapid palatal expansion treatment(s) OR
RPE OR
Rapid palatal disjunction(s) OR
Rapid maxillary disjunction(s) AND
Pharyngeal airway changes OR
Upper airway changes AND
Cone Beam Computed Tomography OR
CBCT

The search resulted in a total of 7 articles and, subsequently, a final eligibility screening was conducted to verify the agreement with the inclusion and exclusion criteria listed below.

Inclusion criteria

1. Randomized controlled trials (RCTs), clinical trials (CTs) and historical, groups for clinical trials (HCTs);

2. Follow-up of at least 6 months after RME/RPE therapy;

3. Subjects during growth period (<16 years);

4. The use of TC cone beam to evaluate the oropharyngeal airway changes before and after the treatment.

Exclusion criteria

1. Studies involving patients with systemic diseases, psychosocial impairment, craniofacial abnormalities, or skeletal open bite;

2. Absence of complete data from the beginning of therapy to the end of the follow-up;

3. Studies involving the use of Cephalometrics;

4. No data for the evaluation of inclusion/exclusion criteria.

A total of five articles were included according to both inclusion and exclusion criteria [,,]. These are summarized in Table 2 with notations regarding Authors, year of publication, sample size, treatments and pharyngeal airway changes results.

Table 2

Characteristics of the selected studies

Study Sample size Treatment design Age Sex Type of treatment Criteria of study
Zhao et al [] 48 24 patients (test) 12.8±1.88 36 F RPE CBCT before and after the treatment
24 patients (control) 12.8±1.85 12 M
Iwasaki et al [] 48 28 patients (test) 9.96±1.21 27 F RPE CBCT before and after the treatment
20 patients (control) 9.68±1.02 21 M
Chang et al [] 14 14 patients (test) 12.9 9 F RME CBCT before and after the treatment
0 patients (control) 5 M
Ribeiro et al [] 15 15 patients (test) 7.5 years 8 F RPE CBCT before and after the treatment
0 patients (control) 7 M
El et al [] 70 35 patients (test) 14.02±1.46 30 F RPE CBCT before and after the treatment
35 patients (control) 14.10±1.44 40 M

Results

Five studies were identified for the aim of our paper. Zhao et al []. studied the changes in pharyngeal airways after RME in 48 patients. The treatment and the control groups consisted of 24 and 24 patients, respectively. The test subjects underwent RME treatment for bilateral or unilateral crossbite using a hyrax type expander banded on the maxillary first premolar and first molar. The midline expansion screw was activated twice a day until the desired change in the transverse dimension was achieved. The appliance was left in place for at least three months post-expansion. The control subject had regular orthodontic treatment (no RME) only. CBCT scans were taken of all patients as part of both initial orthodontic treatment records and progress records (midpoint of the total treatment time, from 8 months to 2 years; average, 15 months). The total oropharyngeal airway volume was defined as the airway volume between the 2 planes as follows: the superior plane was defined on the midsagittal image as the horizontal line through the posterior nasal spine, and the inferior plane was defined as the horizontal line through the superior point of the epiglottis. Last, the oropharyngeal airway volume was divided into retropalatal and retroglossal airway volumes by creating a horizontal plane through the inferior point of the uvula. The molar-to-molar width was measured as the distance between the lingual alveolar crests at the level of the first molars for all patients (test and controls). After treatment, no significant differences in absolute and percentage changes of total oropharyngeal airway volume, retropalatal airway volume, or retroglossal airway volume between the RPE group and the controls were found.

Iwasaki et al [] studied the possible oropharyngeal airway change after RME in 48 patients. CBCT data were taken before and after RME treatment (RME group) or at corresponding times but without RME treatment (control group). The RME group consisted of serial CBCT images of 28 subjects (13 boys, 15 girls) with mean ages before and after RME of 9.96±1.21 and 11.23±1.12 years, respectively. The subjects in the test group were also divided in subjects with or without nasal obstruction. They required approximately 5 mm of maxillary expansion as part of their orthodontic treatment. No passive retention appliance was used before full orthodontic treatment. The mean treatment time with the RME appliance was 5.5±1.0 months. The control group consisted of serial CBCT images of 20 subjects (8 boys, 12 girls) with no history of RME appliance treatment. Control CBCT images were taken at age 9.68±1.02 years (corresponding to before RME) and at age 11.13±1.31 years (corresponding to after RME). The control subjects were approximately matched by sex, age, and dentition with the RME subjects. The following pharyngeal airway volumes were measured as: (1) total pharyngeal airway volume, the airway between the palatal plane and the epiglottis plane; (2) retropalatal airway volume, the airway between the palatal plane and the soft palatal plane; and (3) oropharyngeal airway volume, the airway between the soft palatal plane and the epiglottis plane. The authors comprehensively examined the effect of RME on nasal airway ventilation condition, tongue posture, and pharyngeal airway volume. Children with nasal airway obstruction have a low tongue posture regardless of RME treatment. Improvement of the nasal airway ventilation condition by RME is associated with improved low tongue posture. RME enlarges the pharyngeal airway both with and without improvement in nasal obstruction.

Chang et al [] analyzed the use of CBCT to assess the dimensional changes of the upper airways after the RME in 14 children with the main age of 12.9 years. All patients were treated with a hyrax type of maxillary expander banded to the maxillary first premolars and first molars. The activation protocol consisted of 1 activation (90° turn) of the jackscrew per day for 28 consecutive days or until resolution of the posterior crossbite. Clinical observation of 2 to 3 mm of overexpansion marked the termination of expansion; the beginning of the retention phase consisted of tying off the jackscrew with a ligature wire and placing composite material over it. No additional orthodontic treatment was initiated in both jaws until after the retention phase started. The initial CBCT scan was taken 0 to 14 days before cementation of the maxillary expander, and the progress CBCT scan was taken 3 to 4 months after completion of active maxillary expansion to allow new bone to fill in the space at the midpalatal suture and the skeletal expansion to become stable (Proffit W. Contemporary orthodontics. 4th ed. St Louis: Mosby; 2007. p. 286.). The upper airway was defined as the airway volume between the 2 planes as follows: the superior plane, arbitrarily called the “P plane”, was defined on the midsagittal image as the horizontal line connecting the posterior nasal spine to basion and the inferior plane, arbitrarily called the “EP plane”, was defined as the horizontal line passing through the most superior point of the epiglottis. The upper airway was divided into 2 segments to further evaluate the specific effects of RME. The upper segment or retropalatal airway was limited superiorly by the P plane and inferiorly by a horizontal plane crossing the most posteroinferior point of the soft palate, arbitrarily called the “SP plane”. To increase the accuracy of the airway measurements, once the posterior nasal spine and basion points were selected in the midsagittal view, the P plane was reoriented so that it became parallel to the floor, and subsequent planes (SP and EP) were traced parallel to the P plane. The inferior segment or the retroglossal airway was limited superiorly by the SP plane and inferiorly by the EP plane [,]. The results of this study confirm the findings of others studies that RME produces a significant expansion of the maxilla. Additionally, they found that only the cross-sectional area of the upper airway at the posterior nasal spine to basion level significantly gains a moderate increase after RME.

Ribeiro et al [] evaluated 15 patients with maxillary width deficiency treated with RME. Patients were subjected to CBCT at the beginning of RME and after the retention period. The sample was composed of 15 pairs of tomographic images acquired by three dimensional volumetric CBCT corresponding to 15 mixed dentition individuals (8 females and 7 males).These patients had a transverse maxillary deficiency and a unilateral posterior crossbite, and they had an average age of 7.5 years at the beginning of treatment. All patients were treated with rapid maxillary expansion using a fixed appliance with occlusal acrylic coating. For evaluation of the oropharynx, the upper limit of the epiglottis was identified in the coronal plane, cut as this is in its greatest length, and its uppermost portion was landmarked. With the image in sagittal, this region was delimited by joining a point located 15 mm anterior and posterior, respectively, from the point of the uvula. Finally the study suggests that RME produces a significant transversal increase in the lower third of the nasal cavity 4 months after the procedure. There was no significant change in volume, sagittal median area, or axial minimal area in the nasopharynx as a result of the RME. A significant change in the oropharynx was noted after the RME; however, this change may reflect inconsistencies in the examination acquisition because tongue posture, head inclination, and breathing and swallowing movements were not standardized between patients.

El et al [] evaluated the CBCT scans, obtained from an existing patients database, of a group of 35 patients (15 females and 20 males) who underwent RME and of a control group of 35 patients (15 females and 20 males) who underwent comprehensive orthodontic treatment. The RME group consisted of patients with maxillary constriction treated with Hyrax maxillary expanders, and the control group was a sample matched for age, sex, and treatment duration who underwent regular orthodontic treatment without expanders. Expansion protocol consisted of twice per day screw activation until a slight amount of overcorrection was achieved. Screws were then stabilized, and the expander was passively left in place for 4-6 months. The superior limit of the oropharyngeal airway is the palatal plane (ANS-PNS), extending to the posterior wall of the pharynx, and the inferior limit is a line parallel to the palatal plane, touching the most anteroinferior point of the second cervical vertebrae. The present study confirms the presence of no effect on pharyngeal airway when using RME.

Discussion

This manuscript focused on changes produced by RME on the oropharyngeal airway. The benefits of the rapid palatal expansion on the dimensions of the jaws, pharyngeal structures and facial structures have been studied by orthodontists and otorhinolaryngologists [,,]. The rapid palatal expansion is a therapeutic technique to great effect, whose expression at the level of the structures of bones and upper airway has not yet to be fully established. Because of the great complexity of human anatomy and function, several measurement methods have different objectives and can complete each other to assess the real changes. Before the use of the CBCT data, that allow a three-dimensional study of skull, the authors in the remote studies used lateral and posteroanterior cephalometric radiographs. Although cephalometric data in the studies were taken according to a standardized technique, the different structure superimpositions and image magnifcations did not always allow accurate quantifcations of the changes. Moreover, the accuracy and quality of images obtained by computed tomography have led the authors to choose this method. However, some errors may result from the incorrect positions of the patients for the CBCT technique. These factors could be influence by the variable position of the head. Also, the use of different software obviously different in each studies, can influence the results (for example Dolphin software or Vwork software [,]). Evaluation of the oropharyngeal airway is more important in dentistry and especially in orthodontics, the potential impact of high resistance airways determines an abnormal growth of the nasomaxillary complex, resulting in an increased of vertical facial dimension and in the originbirth of obstructive sleep apnea [,,,]. Maxillary constriction in particular has been postulated to play a role in the pathophysiology of obstructive sleep apnea because the low tongue posture could contribute to narrowing the pharyngeal airway []. Ricketts already in 1968 had defined the implications related physiologic maxillary hypoplasia syndrome by nasal obstruction: the microrhinosia, adeno-tonsillar hypertrophy, soft palate directed vertically, the tongue posture and lower front. The rapid maxillary expansion involves both the increase of the total volume of the nasal cavities, with consequent increase the air flow, which a better posture of the tongue and soft palate. All this determines the partial or total restoration of the proper functions of the nasal breathing [].

Iwasaki et al [] in their study established that RME enlarges the pharyngeal airway both with and without improvement in nasal obstruction. They analyzed also the tongue posture after the RPE, and more specifically the relative lingual position of the palate was used to evaluate tongue posture. Factors affecting tongue posture include mouth breathing, nasal airway ventilation, arch width and palatine tonsil hypertrophy. Chronic upper airway obstruction has been associated with a low tongue posture []. The habitual mouth breather, who breathes through the mouth even though there is no obstruction in the airway, was considered to have a low tongue posture [,]. In the study of Iwasaki et al., subjects with nasal airway obstruction showed a low tongue posture both before and after RME, indicating an association between nasal obstruction and low tongue posture regardless of RME treatment []. The others authors cited in this manuscript did not show significant differences in the changes in the upper airways after the palatal expansion. But, a big limitation of these studies, is the different type of protocols for the rapid palatal expansion. In fact, the protocols are different and the authors are not sure if the patients and their parents had complied strictly with the activation regimen. In some studies, we can also find a particular slow palatal expansion. Finally the greatest disadvantage in the use of this technique is the high number of radiation to which is subjected the orthodontic patient. These techniques should be reviewed by an ethical point of view, the authors remain skeptical and hope for the future implementation of a new technique for the analysis of anatomical changes that do not lead to an x-ray risk, especially for orthodontic and pediatric patients. The use of CBCT is limited also by high cost and restricted accessibility.

Conclusion

From the analysis of the recent scientific literature, it has been noted that RME causes not only dentoalveolar changes, but also oropharyngeal airway changes. In conclusion, this manuscript suggests that the potential relationship between RME and oropharyngeal airway is still unclear. Although it is evident a change in the oropharyngeal airway after the rapid palatal expansion, it cannot be quantified in an objective way since the few studies reported in the literature did not use the same evaluation method. CBCT data, and different measurement techniques do not allow to quantify properly the actual change. There is a need for further well controlled long-term clinical trials using most precise methods to measure upper airway anatomy and its function and to look at the data for a longer observation period. There is also a need of Long-term stability results in the Rapid palatal expansion.

Disclosure of conflict of interest

None.

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A Device Improves Signs and Symptoms of TMD

Published online 2019 May 6

Annalisa Monaco, Davide Pietropaoli, IAPNOR, Barry C. Cooper, and Eleonora Ortu

Abstract

Background

Temporomandibular joint dysfunction (TMD) therapy remains an open challenge for modern dentistry. Herein, we propose a new neuromuscular lingual device able to reduce signs and symptoms of TMD in female patients with chronic orofacial pain.

Methods

50 females with myofascial TMD according to RDC/TMD were randomly assigned to study (n = 25) and control groups (n = 25). At T0, both groups received sEMG/KNG and pain evaluation by the VAS scale. The study group received the ELIBA device (lingual elevator by Balercia) constructed under ULF-TENS (ultra-low-frequency transcoutaneous electrical nervous stimulation). Subjects were instructed to use ELIBA at least for 16 h/day. After 6 months (T1), both groups underwent to sEMG/KNG and VAS revaluation.

Results

T1 study group compared to controls showed a significant reduction in total (p < 0.0001) and mean (p < 0.0001) sEMG values, as well as a significant increase in both maximum vertical mouth opening (p=0.003) and maximum velocity in mouth opening (p=0.003) and closing (p < 0.0001). Interestingly, a significant reduction in pain measured by VAS (p < 0.0001) was reported.

Conclusions

After 6 months, the ELIBA device is able to significantly reduce TMD-associated myogenous pain and to promote the enhancement of sEMG/KNG values. Practical Implications. ELIBA can be considered as a new device, potentially useful for head-neck pain relief in patients suffering from chronic TMD. In addition, its use promotes a muscles relaxation inducing freeway space increase. This characteristic makes it particularly useful for rehabilitation of patients with not enough space for construction of conventional orthotics or neuromuscular bites.

1. Introduction

Neuromuscular dentistry employs ultra-low-frequency transcutaneous electrical neural stimulation (ULF-TENS) to obtain a reduction of muscular tone utilizing surface electromyography (sEMG) to evaluate physiological freeway space []. Decrease of muscles’ electrical resting hyperactivity and increase of interocclusal distance after ULF-TENS are necessary conditions to permit the fabrication of oral cavity devices, such as neuromuscular orthotics, which conform to the neuromuscular philosophy concepts and practices. Comfortable outcome for patients receiving this therapy has been documented []. In a small percentage of clinical cases (10–15%), it is not possible to get a reduction in electromyography resting electrical activity values and, above all, an increase of freeway space after ULF-TENS. This peculiar condition does not permit the use of neuromuscular orthotics to rehabilitate those patients []. One of the causes of failure to achieve reduction of electromyography values after ULF-TENS for some patients might be the lack of relaxation of suprahyoid muscles (digastric, stylohyoid, geniohyoid, and mylohyoid) and cervical muscles, which are agonists for mandibular and respiratory function []. In traditional orthodontic therapy, several devices have been proposed to improve tongue posture and function with the goal of modulating resting tongue position []. Modification of tongue posture may entail an alteration of the neck and lower jaw posture in the rest position []. Among these devices, the lingual elevator (ELIBA) is the only one which employs ULF-TENS for its construction and permits the adaptation of the sublingual space (oral floor/suprahyoid muscles) specific to the anatomy and neuromuscular physiology of each individual. This procedure will be described in Methods []. The purpose of our research is to evaluate the effect of ELIBA (lingual elevator by Balercia) in patients suffering from temporomandibular disorders (TMDs) who did not experience either a significant reduction in electromyography resting values or an increase of interocclusal distance following ULF-TENS. A secondary goal of our work is to assess, with an individual scale, the positive effects on patient subjective symptoms after several months of therapy.

2. Materials and Methods

2.1. Subjects

This study was conducted in accordance with the Declaration of Helsinki. The Committee on Ethics in Science of the University of L’Aquila, L’Aquila, Italy, approved the study, and written informed consent was obtained from each subject and electronically stored as suggested by our institutional guidelines. This study was registered at: NCT02946645.

Fifty Caucasian patients (mean age 36.8; SD 8.5) who fulfilled the following criteria were included in the study group: (1) female gender; (2) age less than 50 years; (3) craniocervical myogenous TMD; (4) pain duration longer than 3 months; (5) reduction of freeway space and impairment sEMG activity after TENS according to Konchak et al. []; (6) presence of complete permanent dentition, with the possible exception of the third molars.

Patients were excluded from the study if they met one or more of the following criteria: (1) presence of systemic or metabolic diseases; (2) eye diseases or visual defects; (3) history of local or general trauma; (4) neurological or psychiatric disorders; (5) muscular diseases; (6) bruxism, as diagnosed by the presence of parafunctional facets and/or anamnesis of parafunctional tooth clenching and/or grinding; (7) pregnancy; (8) assumed use of anti-inflammatory, analgesic, antidepressant, opioid, or muscle relaxant medications; (9) smoking; (10) fixed or removable prostheses; (11) fixed restorations that affected the occlusal surfaces; and (12) either previous or concurrent orthodontic or orthognathic treatment [].

The diagnosis of myofascial-type TMD was provided after clinical examination by a trained clinician according to group 1a and 1b of the Research Diagnostic Criteria for TMD (RDC/TMD), in a blinded manner (RC) [].

The enrolled subjects were randomly assigned to one of two groups: control group (n = 25) and study group (n = 25). The two groups were checked for age (study 36.41, SD 6.41; control 37.02, SD 9.15). Measurement of actual pain was recorded for each subject in a visual analog scale (VAS) of pain []. Each subject underwent sEMG and jaw tracking (KNG or computerize mandibular scan) recordings (TIME 0) according to the Monaco protocol in a blind fashion []. At the end of recordings, the study group underwent sublingual myoprint (sapphire® H Bosworth, Scokie, IL, USA) registration for the construction of the ELIBA device under TENS stimulation, while the control group did not. The study group received the device, and they were educated to use it at least sixteen hours a day. Checkups were carried out every 15 days for a total of six months. After six months, both control and study groups received a second sEMG/KNG (TIME 1) in a blind manner.

2.2. sEMG/Jaw Tracking Recording Procedure

Briefly, all examinations were performed using an 8-channel surface electromyograph with simultaneous acquisition, common grounding to all channels, and filters of 50 Hz. Data obtained were displayed and stored on an electromyography device (K7/EMG®, Myotronics-Noromed, Inc., Tukwila WA, USA), with disposable electrodes (Duotrode®, bipolar surface electrodes Ag-AgCl, 20 mm center to center distance, Myotronics-Noromed, Inc., Tukwila WA, USA), for sEMG recording. Resting electrical activity in the right masseter (RMM), left masseter (LMM), right anterior temporalis (RTA), left anterior temporalis (LTA), right digastric (RDA), left digastric (LDA), right sternocleidomastoid (RSCM), and left sternocleidomastoid (LSCM) muscles were recorded. The sEMG recordings and muscle activity was expressed as the root mean square (RMS) of the amplitude, expressed in μv []. Jaw tracking (Kinesiographic KNG) recordings were performed using a kinesiograph (K7/CMS®; Myotronics-Noromed, Inc., Tukwila, WA, USA) that measures jaw movements in three dimensions with an accuracy of 0.1 mm. A lightweight array weighing 113 grams containing 8 magnetic sensors affixed to the bridge of the nose and held in place with Velcro straps at the back of the skull tracked the motion of a 0.1oz magnet (CMS Magnet; Myotronics-Noromed, Inc., Tukwila WA, USA) that was attached to the labial gingiva beneath the mandibular incisor teeth in the mandibular midpoint with an adhesive gel. The kinesiography and electromyography were interfaced with a computer for data storage and subsequent software analysis (K7 Program, Myotronics-Noromed, Inc., Tukwila WA, USA).

Electrodes were positioned on LMM, RMM, LTA, and RTA, as previously described [], as well on RDA, LDA [], and LSC and RSC []. A template was used to permit the exact repositioning of the electrodes on repeated testing sessions. The ground electrode, which was larger than the others and ensured a very good contact with the skin, was positioned on the subject’s forehead to ensure a common reference to the differential input of the amplifier. The kinesiographic array was mounted on the bridge of the nose and aligned for the optimal position of the magnet for the recording of kinematic movements which was monitored by software. Inherent electromyographic noise was tested through K7 software for each channel and a value of 0.0 μv could be accepted. In case of excess of noise, a new electrode was placed in an appropriate location for that muscle.

sEMG/KNG recordings include the following:

  1. Scan 9—sEMG activity at basal condition with eyes lightly closed

  2. Scan 1—maximal voluntary mandibular opening

  3. Scan 2—velocity of jaw movements during mandibular opening and closing

  4. Scan 3—freeway space recording at the incisor point

  5. Motor trigeminal TENS stimulation

  6. Scan 10—sEMG activity at basal condition with closed eyes after TENS

  7. Scan 4—freeway space recording after TENS

Note: sEMG or KNG scans with artefacts due to swallowing or aberrant head or mandibular movements were discarded and the recordings were performed again.

2.3. TENS Stimulation Procedure

The method for sensory TENS was described previously []. Briefly, a J5 Myomonitor® TENS Unit device (Myotronics-Noromed, Inc., Tukwila, WA, USA) with disposable electrodes (Myotrode SG Electrodes®, Myotronics-Noromed, Inc., Tukwila, WA, USA) was used. This device generates a repetitive synchronous and bilateral stimulus delivered at 1.5-second intervals, with adjustable amplitude of approximately 0–24 mA, a duration of 500 μs, and a frequency of 0.66 Hz. The two TENS electrodes were placed bilaterally anterior to the tragus of each ear to provide neural stimulation of the mandibular division of the trigeminal nerve (CM V div 2). The electrode placement position was located between the coronoid and condylar processes of the mandible and was identified by manual palpation of the zone anterior to the tragus; a third common electrode was placed in the center of the back of the neck []; two landmarks were made on the patient’s chin and nose, which were used to find the mandibular skull dimension with a compass or caliper, after sensory stimulation with the ULF-TENS. The amplitude of TENS stimulation started at 0 mA, with the stimulator device turned on and the rheostat, which controls the amplitude, positioned at 0. The amplitude of stimulation was progressively increased at a rate of 0.6 mA/s until the patients reported the sensation of pricking at the electrodes level. Once the sensory threshold has been set, the stimulus was administered with the ULF-TENS lasting 4/6 minutes, remembering to check the position between the arches before the use of the resin and subjects undergoing the test were asked to relax. Resin was prepared (Keystone Bosworth Sapphire® Blue/Clear, Myerstown, PA, USA) in the powder/liquid ratio 2.75 (12 grams of powder)/8 cc liquid.

2.4. ELIBA Construction

The acronym ELIBA® stands for Balercia lingual elevator. Professor Luigi Balercia, with the help of the research members of IAPNOR, were the first to build and use this device for rehabilitation purposes, in order to stimulate and support the maintenance of the posture of the tongue in all patients affected by swallowing deviated during speech therapy, orthognathic therapy and as an aid for dysphagia and Down syndrome (Figure 1). The device is designed as an oral device that can be firmly anchored in the lower jaw (Figure 1). It is inserted into a triangular portion of the sublingual space, bounded anteriorly and laterally by the mandible and by the lingual surfaces of the teeth, inferiorly from the oral floor (mainly constituted by the mylohyoid muscle) and superiorly by the ventral surface of the tongue (Figure 1). In order to take an impression of sublingual space, a previous stimulation with ULF-TENS is used. The patient is asked to rest the apex of the tongue against the physiological point (retroincisal papilla) and keep the tongue relaxed in this position for the duration of the procedure. After 4/6 minutes of sensory ULF-TENS, the patient had to open her mouth to allow the introduction, with a suitable syringe, of the impression material (Sapphire Resin, Myoprint), according to the reports liquid powder as already described, of consistency plastic, so as to completely fill the sublingual space. The subject was asked to close her mouth in the previously described position, keeping the tongue relaxed with the apex against the physiological point (retroincisal papilla). Initial hardening of the impression resin was expected up to a rubbery resilient state. When the resin reached a solid but elastic consistency, before complete hardening, it was extracted from the oral cavity and inserted into the master model to complete the polymerization (Figure 1) []. The clinician indicated to the laboratory the distal lateral limits of the ELIBA® device, which served for the realization of the artifact and the most suitable retentive devices for the stabilization of ELIBA®. The following procedures were carried out by technicians qualified to manufacture the ELIBA® product, following standardized duplication procedures. In the construction of ELIBA® the device manufacturer (dental laboratory) must follow precise clinical indications on the lateral distal borders, highlighted by the clinician on the impression taken by the patient with the Sapphire resin. The finishing process carried out by the dental laboratory must strictly respect the indications of the clinician (Figure 1), paying close attention to the intimate contact with the lingual surfaces of the teeth of the lower arch (Figure 1). The realization of the retentive systems of the product ELIBA®, hooks, bands or other, are exclusively prescribed by the clinician. Only the passivation of the product and the retention of the device are the responsibility of the dental laboratory. The ELIBA® product must be stable and not have occlusal contacts [].

An external file that holds a picture, illustration, etc. Object name is PRM2019-5646143.001.jpg

ELIBA construction phases and oral aspect of the device. (a) Marking of the lateral/distal borders of the ELIBA® device, as specified by the clinician. (b) Detail of the caudal part of the acrylic impression. (c) The ELIBA® appliance on the plastic cast and impression of the ELIBA® device, as finished in the dental laboratory following the instructions of the clinician. (d) Enlargement of the device ELIBA® applied on the plastic cast with hooks in front area in cobalt chrome. (e-h) Intraoral views of the ELIBA appliance fitted to the oral cavity of the patient. (f) The ELIBA® device without occlusal contacts. (g) ELIBA® on plastic cast with connection arm hook joined with weld.

3. Statistical Analysis

The statistical analysis was conducted using STATA 10® (StataCorp LP, College Station, TX, USA). Normal distribution of data was tested by the Shapiro–Wilk test. In order to compare within group the EMG-KIN and VAS data, the t-test for paired data was performed. The comparison between groups was carried out with t-test for unpaired data.

For EMG-mean parameter was calculated the algebraic mean of the sum of the mean rms of each muscle recorder according to Cooper []. The mean rms was automatically calculated by K7I program at the end of 15-second period of EMG recording.

For maximum opening (MO) of the mouth, maximum velocity of opening (MVO), and maximum velocity of closing (MVC), the mean of three consecutive movement cycles for each parameter was chosen.

Our hypothesis was that base data (TIME 0) did not differ significantly between the control and ELIBA groups, whereas the comparison of the two groups after therapeutic intervention at TIME 1 could differ if ELIBA, if the beneficial effects of the appliance use were documented with EMG, KNG and VAS data obtained.

The level of significance was set at p < 0.05 for all tests. The results are expressed in terms of mean and standard deviation (SD), while in the bar plots, mean and standard error (SE) were represented.

4. Results

Tables Tables11 and and22 report the EMG/KNG comparability of the two groups in the base condition (TIME 0) according to EMG-KNG inclusion criteria.

Table 1

EMG values of ELIBA and control groups in the base condition (TIME 0) before and after ULF-TENS (S9 before ULF-TENS; S10 after ULF-TENS).

ELIBA TIME 0 Control TIME 0 Statistics between the groups
Before TENS After TENS
S9 (before TENS) S10 (after TENS) p S9 (before TENS) S10 (after TENS) p p p
LTA 2.98 (1.55) 1.73 (0.72) 0.014 2.17 (1.18) 2.00 (0.67) 0.576 0.121 0.290
LMM 1.68 (0.78) 1.05 (0.35) 0.005 1.69 (0.91) 1.23 (0.36) 0.117 0.966 0.161
RMM 1.65 (0.68) 1.67 (0.92) 0.930 1.38 (0.65) 1.71 (0.93) 0.335 0.283 0.907
RTA 2.55 (1.66) 2.19 (1.67) 0.393 2.05 (0.93) 2.96 (1.72) 0.055 0.313 0.226
LSC 3.08 (2.88) 3.38 (3.40) 0.768 2.93 (2.26) 3.19 (1.30) 0.688 0.878 0.839
LDA 2.07 (0.79) 2.43 (1.40) 0.212 1.87 (0.71) 2.34 (0.79) 0.125 0.487 0.825
RDA 2.19 (0.63) 2.05 (0.66) 0.519 2.10 (1.06) 2.33 (0.65) 0.427 0.787 0.253
RSC 3.18 (2.34) 2.82 (1.74) 0.522 2.83 (1.45) 3.38 (1.43) 0.307 0.630 0.344
sEMG-mean 2.42 (0.71) 2.16 (0.75) 0.272 2.13 (0.62) 2.39 (0.26) 0.104 0.238 0.283

Statistics: t-test for paired data for within-group comparison and for unpaired data in between-group comparison. For abbreviations, refer to Materials and Methods.

Table 2

Kinesiographic measurements and comparison of FWS (freeway space) after ULF-TENS in ELIBA and control groups in TIME 0 and TIME 1.

ELIBA group Control group Statistics between the groups
TIME 0 TIME 1
TIME 0 TIME 1 p TIME 0 TIME 0 TIME 1 p p p
FWS after TENS Vert.. 0.92 (0.47) 1.55 (0.73) 0,011 0.88 (0.28) 0.78 (0.15) 0,246 0.78 0.001
AP 0.65 (0.32) 0.99 (0.66) 0,092 0.76 (0.27) 0.75 (0.30) 0,900 0.31 0.220
Lat. 0.41 (0.13) 0.39 (0.21) 0,919 0.41 (0.92) 0.54 (0.13) 0,004 0.74 0.028

Statistics: t-test for paired and unpaired data.

Table 1 shows the EMG data of ELIBA and control groups in the base condition (TIME 0). No statistical significant reduction of values has been seen comparing before and after ULF-TENS in both groups (within-group comparison); for an immediate comparison, at a glance, see the value of EMG-mean: neither ELIBA (2.42 vs 2.16) nor control (2.13 vs 2.39) showed significant difference. No significance has been seen in EMG statistics comparing (between-group statistics) the two groups in the base condition (TIME 0).

The KNG measures of mandible velocity of opening and closure and the maximum opening of the mandible are plotted in Table 3. In TIME 0, no differences have been seen in the two groups. No difference between groups in VAS was noted (Tables (Tables33 and and4).4). The EMG-KNG and VAS data in TIME 0 allowed the comparability of the two groups.

Table 3

KNG and VAS data and comparison between and within groups at TIME 0 and TIME 1.

ELIBA group Control group Statistics between the groups
TIME 0 TIME 1
TIME 0 TIME 1 p TIME 0 TIME 1 p p p
MO 293.13 (44.26) 344.53 (35.95) 0.002 291.2 (35.26) 303.53 (31.51) 0.321 0.896 0.003
MVO 231.67 (64.32) 324.07 (98.51) 0.006 266.33 (55.83) 228.27 (55.54) 0.072 0.126 0.003
MVC 249.2 (57.48) 317.2 (37.44) 0.001 236.47 (44.14) 207.33 (35.07) 0.056 0.502 ≤0.001
VAS 7.13 (1.06) 2.07 (1.22) ≤0.001 6.80 (0.94) 7.13 (0.92) 0.334 0.370 ≤0.001

The EMG/KNG data used to support the findings of this study have not been made available because they are private data. Bold text represents statistical difference (p < 0.05). MO = maximum opening; MVO = maximum velocity of opening; MVC = maximum velocity of closing.

Table 4

sEMG values of ELIBA and control groups in TIME 1 before and after ULF-TENS.

ELIBA TIME 1 Control TIME 1 Statistics between the groups
Before TENS After TENS
S9 (before TENS) S10 (after TENS) p S9 (before TENS) S10 (after TENS) p p p
LTA 2.28 (0.99) 1.79 (0.85) 0.043 2.91 (0.61) 2.37 (0.71) 0.009 0.049 0.053
LMM 1.37 (0.39) 1.26 (0.57) 0.313 2.06 (0.74) 1.29 (0.27) 0.003 0.004 0.841
RMM 1.85 (1.09) 1.42 (0.66) 0.008 2.59 (0.68) 1.81 (0.64) 0.005 0.034 0.108
RTA 1.83 (0.49) 1.49 (0.65) 0.004 2.46 (0.94) 2.48 (1.52) 0.969 0.031 0.032
LSC 1.61 (0.48) 2.5 (1.75) 0.070 2.86 (1.25) 1.81 (0.91) 0.033 0.002 0.191
LDA 1.99 (0.66) 1.4 (0.57) <0.0001 2.55 (0.79) 3.49 (1.32) 0.023 0.042 ≤0.001
RDA 2.41 (0.33) 1.58 (0.72) <0.0001 2.81 (0.56) 2.29 (0.59) 0.027 0.025 0.006
RSC 1.97 (0.89) 1.88 (1.17) 0.534 2.79 (1.22) 3.67 (1.42) 0.101 0.045 0.001
EMG-mean 1.91 (0.49) 1.67 (0.39) 0.0001 2.63 (0.44) 2.4 (0.41) 0.263 ≤0.001 ≤0.001

Statistics: t-test for paired data in within-group comparison and for unpaired data in between-group comparison. For abbreviations, refer to Materials and Methods. Bold text represents statistical difference (p < 0.05).

Table 2 refers to the KNG data and comparison of the freeway space (FWS) after TENS in TIME 0 and TIME 1. According to inclusion criteria, the mean values of vertical dimension (Vert.) of the FWS after ULF-TENS were lower than 1.5 mm in both groups. No significant differences were found between the two groups. In TIME 1, the FWS Vert. after ULF-TENS of the ELIBA group increases growing beyond the inclusion value of 1.5 mm. (0.92 vs 1.55; p=0.011). The control group does not increase the FWS vert. in TIME 1 comparing TIME 0. The between-group comparison indicates significant differences in vert. and lat. in TIME 1 (1.55 vs 0.78: p=0.001 and 0.39 vs 0.54; p=0.028, respectively).

Table 5 reports the EMG data recorded before ULF-TENS in TIME 0 and at the TIME 1 condition comparing the two groups. The data show that the ELIBA group demonstrates a reduction in the overall electrical activity in the rest condition (EMG-mean 2.42 vs 1.91; p=0.031). This significance results by the sum of the reduction of the single muscles that individually are not able to reach the significance. The control group increases the overall rest EMG activity in TIME 1 (EMG-mean 2.13 vs 2.63; p=0.017) because all muscles show higher resting electrical activity values in TIME 1 compared to TIME 0: LTA, RMM, LDA, and RDA increase reaches the significance in TIME 1 in the control group. The between-group comparison shows in TIME 0 no statistical significance in all muscles and EMG-mean, as already listed in Table 1. In TIME 1, all muscles and EMG-mean values are significantly lower in the ELIBA group compared to the control group.

Table 5

Comparisons of TIME 0 vs TIME 1 of EMG values before ULF-TENS.

ELIBA S9 (before TENS) Control S9 (before TENS) Statistics between the groups
TIME 0 TIME 1
TIME 0 TIME 1 p TIME 0 TIME 1 p p p
LTA 2.98 (1.55) 2.28 (0.99) 0.154 2.17 (1.18) 2.91 (0.61) 0.045 0.121 0.049
LMM 1.68 (0.78) 1.37 (0.39) 0.178 1.69 (0.91) 2.06 (0.74) 0.236 0.966 0.004
RMM 1.65 (0.68) 1.85 (1.09) 0.552 1.38 (0.65) 2.59 (0.68) ≤0.001 0.283 0.034
RTA 2.55 (1.66) 1.83 (0.49) 0.123 2.05 (0.93) 2.46 (0.94) 0.237 0.313 0.031
LSC 3.08 (2.88) 1.61 (0.48) 0.070 2.93 (2.26) 2.86 (1.25) 0.913 0.878 0.002
LDA 2.07 (0.79) 1.99 (0.66) 0.766 1.87 (0.71) 2.55 (0.79) 0.020 0.487 0.042
RDA 2.19 (0.63) 2.41 (0.33) 0.229 2.10 (1.06) 2.81 (0.56) 0.031 0.787 0.025
RSC 3.18 (2.34) 1.97 (0.89) 0.076 2.83 (1.45) 2.79 (1.22) 0.925 0.630 0.045
EMG-mean 2.42 (0.71) 1.91 (0.49) 0.031 2.13 (0.62) 2.63 (0.44) 0.017 0.238 ≤0.001

Statistics: t-test for paired data in within-group comparison and for unpaired data in between-group comparison. For abbreviations, refer to Materials and Methods. Bold text represents statistical difference (p < 0.05).

Next, we compared the sEMG data before and after ULF-TENS within and between groups. As indicated in Table 5, the comparison between groups before ULF-TENS shows significantly lower resting electrical activity value in all muscles in the ELIBA patient group. After ULF-TENS, the data show that the most significant data are the decrease of EMG in the ELIBA group (1.67 vs 2.44; p < 0.001). The RTA, LDA, RDA, and RSC reached the level of significance between the two groups, lower in the ELIBA group than in the control.

Table 3 shows the KNG and VAS comparison between TIME 0 and TIME 1 between and within the groups. The ELIBA group increases in a significant manner all the KNG (maximum opening, maximum velocity of opening, and maximum velocity of closing) measures in TIME 1 compared to TIME 0. The VAS decreases significantly in this group in TIME 1 (7.13 vs 2.07; p ≤ 0.001). The control group does not show differences in all KNG and VAS data comparing TIME 0 and TIME 1. The between-group comparison in TIME 1 indicates a significant difference in KNG and VAS measures, higher KNG and lower VAS values in ELIBA comparing control group.

5. Discussion

Data that were obtained from this study suggest that the use of ELIBA appliances in patients suffering from TMD

  1. significantly reduces resting electrical activity seen in sEMG values

  2. significantly increases both maximum vertical mouth opening and maximum velocity in mouth opening and closing values

  3. significantly increases the vertical component of the FWS after ULF-TENS

  4. significantly reduces pain

This oral device, initially born for orthodontic purposes, can help patients suffering from TMJ to relax the stomatognathic system (EMG and kinesiographic values). It can also help the patient in the reduction of the pain []. Usually electromyography values decrease and freeway space increases after ULF-TENS. When this phenomenon does not occur, in a few TMD patients, the clinician is faced with a big challenge in developing a diagnosis and a correct treatment planning in accordance with the neuromuscular gnathology philosophy and practices. However, assessing data of each research group, it was found that with this additional therapeutic aid, electromyography values tend to decrease after ULF-TENS [].

Konchak in 1988 showed that in some patients, neither electromyography values decreased nor did interocclusal distance increase after ULF-TENS []. A few patients, 10%, did not relax neither chewing nor postural muscles after ULF-TENS. In 5% of subjects, freeway space even reduces. These patients cannot be treated pursuant to classic neuromuscular philosophy because ULF-TENS did not achieve muscle relaxation permitting the mandible to assume a physiologic mandible rest position. Moreover, lack of freeway space after ULF-TENS (less than one millimeter) does not permit the fabrication of neuromuscular orthotics that, even if very small, would further obliterate freeway space preventing the physiologic relaxation of muscles. Some authors have proposed the reduction of dental anatomy using burs in these TMD patients who do not respond favorably to ULF-TENS. However, unless patients already wear prosthetics, this solution is definitely discouraged, because it is not reversible and it does not assure a clinical beneficial outcome []. The lower jaw rest position and consequent interocclusal freeway space can be partly influenced both by the tongue position between dental arches and by head and neck posture, mostly occurring through reciprocal interaction in essential functions such as breathing and swallowing.

The postural relationship between the hyoid, mandible, and neck is still controversial; Valenzuela et al. even state that there is no postural correlation []. Castro suggests a relation between sEMG activity of omohyoid muscle, which arises from the upper border of the scapula and inserts into the lower border of the body of the hyoid bone and anterior belly of digastric muscle during tongue movements and changes of position of the apex of the tongue []. Others found that the hyoid bone position generally had strong linear correlations with the positions of the head, jaw, and cervical vertebrae C1-C2 []. The cervical area between C1 and C3 receives proprioceptive afferent fibers from suboccipital, sternocleidomastoid, and trapezius muscles []. On the other hand, in healthy people, there is correlation between sEMG activity of sternocleidomastoid muscles and posture of the head and neck during physiological acts as swallowing and maximum voluntary clenching. This relationship tends to worsen in TMD patients [].

In addition, as definitely demonstrated by Fitzgerald [], the proprioception of the extrinsic and intrinsic muscles of the tongue, which are innervated with motor fibers by hypoglossal nerve (CN XII), is supplied by C1 and C2 coming from the hypoglossal ansa sharing with the above cited muscles of neck. It seems probable that this correlation, that has anatomical and functional reasons, could have some clinical effect. For example, the position of hyoid, where extrinsic muscles of tongue are inserted, is correlated to tongue posture and to craniocervical angle: they both appear abnormal in sleep apnea patients in contrast to healthy subjects. Sleep apnea obstructive syndrome involves the tongue, lower jaw, pharynx, and neck in a pathophysiological way []. In sleep apnea patients, the mandibular position is abnormal, in part because during sleep, the tongue is more retruded than in healthy people []. Functionally, the mandible, neck/head, and tongue are strictly associated in some reflex activities which induce a perpetual arrangement of reciprocal muscular tone []. Stimulation of the lingual nerve, sensorial secondary branch of mandibular division of the trigeminal nerve (CN Vdiv3), determines the discharge of hypoglossal nerve fibers which concurrently cause tongue retrusion []. At the same time, opening the mouth determines the enhancement of sEMG activity of the genioglossus muscle and mandible and tongue posture can reciprocally influence []. For example, sensorial stimulation with light pressure stimulus of temporal muscle induces activation of motor neurons of hypoglossal nucleus, demonstrating a strict relationship between the postural muscles of the mandible and tongue []. The existence of an anatomical and functional relationship between muscles of neck and tongue has been experimentally documented by Edwards et al. []. In the intermediate nucleus of the medulla, the proprioception of suboccipital muscles, sternocleidomastoid, and trapezius is monosynaptical and related with the nucleus of the twelfth cranial nerves and with the nucleus of the solitary tract, this justifying the functional union among neck, head, and tongue and the vegetative answers inducted by postural variations of every element of this circuit. Among them are also some afferent fibers to the intermediate nucleus coming from vestibular and oculomotor nucleus []. It is also interesting to note that the tongue posture, position of apex of the tongue, and freeway space are correlated to watchfulness and mood. In fact, during watching emotional videos, the tension will be higher, the tongue posture will be lower, and interocclusal distance will be smaller []. The posture of apex of the tongue is related to other anatomical regions, specially the head and neck, and significantly influences orientation reactions in difficult visual search tasks [].

The results of our work generally seem to be in accordance with concepts previously expressed. sEMG values at rest show a significant reduction of electrical potentials in muscles directly related with the lower jaw position (anterior temporalis and masseter muscle) and neck (sternocleidomastoid) making supposition that the ELIBA device action may partly be due both to sensorial stimulus to the lingual nerve and postural, determined by variation of position of tongue and apex of the tongue (C1-C2). This action may induce a different relation among all the parts related to the same system and involved in this phenomenon (head, neck, mandible, and tongue). Increase of kinesiography values of maximum mouth opening and maximum velocity in mouth opening can be interpreted as an enhancing in neuromuscular and sensorial balance [].

In our work, we did not mathematically assess the position of tongue, apex of the tongue, and head and neck region, so we do not have data about spatial modifications of the anatomical regions involved in ELIBA. Our scientific assessment is limited to sEMG and kinesiography, so it is not excluded that more equilibrated muscles, and TMJ values can be obtained in the same spatial position of the head, neck, lower jaw, and tongue. However, even if data about it are not available, it is probable that an ELIBA appliance introduced in the sublingual space induces spatial variation of tongue position. About this assertion, the literature claims that introducing orthodontic devices in spaces useful for tongue determines modification of posture and functional movements of the tongue []. Employment of oral splints (orthoses) for TMD therapy still remains controversial because there is not a universal consensus as to diagnosis and pathogenesis of TMD []. Published studies assessing neuromuscular and not neuromuscular oral splints [] have shown improvement of sEMG parameters and subjective symptoms. In our study, habitual occlusion has not been modified, and ELIBA use in fact does not require alteration of preexistent occlusion. The purpose of our study was to demonstrate that it is possible to employ an oral device being able to modify tongue posture and ameliorate both symptoms and improve sEMG and KNG values in TMD patients whose sEMG and KNG parameters do not improve after ULF-TENS, and these patients cannot be included in a traditional neuromuscular gnathology protocol. It is relevant to specify that our results are not related with an occlusal modification such as occlusal adjustment according with neuromuscular or other gnathology philosophies. A limitation of our work is that it has not been effectuated a comparison with a control placebo group. We cannot assess how much of the positive clinical outcome may be due to placebo effect. A future paper will compare ELIBA clinical results with the outcome obtained with a neuromuscular occlusal splint and with placebo therapy [].

Acknowledgments

This article was written in agreement and courtesy of the IAPNOR association, as the ELIBA® device is a registered patent c/o the Italian Ministry of Economic Development, patent office.

Data Availability

The EMG/KNG data used to support the findings of this study have not been made available because they are private data.

Conflicts of Interest

IAPNOR holds a registered patent on the ELIBA® device, c/o the Italian Ministry of Economic Development, patent office.

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Orthodontic treatment of the transposition of a maxillary canine and a first premolar: a case report

Published online 2015 Mar 1

Dinoi Maria TeresaMummolo StefanoMonaco AnnalisaMarchetti EnricoCampanella Vincenzo, and Marzo Giuseppe

Abstract

Introduction

Transposition is an anomaly of tooth position, the most frequent of which involves the canine and the first maxillary premolar. We describe the orthodontic treatment of a unilateral transposition of an upper canine and an upper right first premolar in the permanent dentition.

Case presentation

A 12-year-old Caucasian boy presented with transposition of his upper right canine and upper right first premolar. He had combined surgical-orthodontic treatment to correct the transposition and to obtain a Class I relationship between the molar and canine. This treatment resolved the dental crowding and achieved good functional and aesthetic results.

Conclusion

In transposition, the choice of the most suitable treatment depends on the occlusion, level of dental crowding, aesthetics, position of the radicular apices, and the specific needs of the patient. In this case, orthodontic alignment of the transposed teeth into their physiological position achieved all of our objectives and our patient was satisfied with the aesthetic results obtained.

Introduction

Transposition is a form of ectopic eruption, defined as the positional interchange of two adjacent teeth within the same quadrant of the dental arch [,]. Transposition can be complete or incomplete. In complete transposition, the entire dental structure (root and crown) is in an ectopic position. In incomplete transposition (also called pseudo- or partial transposition), the crowns are ectopic, but the roots are in the correct position [].

Transpositions mostly involve the upper arch and are unilateral []. To the best of our knowledge, transposition has never been observed in both dental arches or in the deciduous dentition [,]. By analyzing a sample of 201 cases, Peck and Peck [] identified five types of transposition: upper canine-first premolar; upper canine-lateral incisor; upper canine-first molar; upper lateral incisor-central incisor; and lower lateral incisor-canine []. Of all the teeth, the permanent maxillary canines are the most frequently transposed. The most common type of transposition is between the canine and first maxillary premolar, followed by transposition between the canine and the lateral incisor, central incisor, second premolar, and first premolar in the lower arch [,]. On the transposed side, it is not unusual to find agenesis of the lateral incisors and second premolars, or to find inclusions of the canines and central incisors [,,]. Microdontia also very frequently occurs with transpositions.

Transposition between the canine and the first maxillary premolar occurs in 0.135% to 0.510% of the population [,,]. In Japan, the incidence ranges from 0.065% in the general population to 0.660% in orthodontic patients []. Elsewhere, occurrence ranges from 0.380% in a Turkish population [,] to 0.510% in Africa [,]. In a study of 2349 children between 2 and 12 years of age, Buenviaje and Rapp found that the prevalence of transposed teeth was 0.080% [,].

This type of transposition shows the following characteristics []: the deciduous canine is present; the canine is positioned between the first and second premolars; the canine is positioned towards the vestibule; the first premolar is mesiopalatal; and the transposition area shows dental crowding, especially if the deciduous canine is present.

Postulated causes of tooth transposition include inversion of the tooth buds during development [,,,], alteration of the tooth eruption pattern [,,,], the presence of deciduous teeth beyond the maximum time limit for the development of the permanent teeth [,,,], and dental trauma during childhood [,,,]. However, evidence also exists for genetic factors, including the increased prevalence of transposition in females [,], on the left side [,], and in patients with hypodontia [,] or Down Syndrome []. Accordingly, it has been suggested that the etiology of tooth transposition has a genetic basis, within a picture of multifactorial heredity [,,].

The treatment of transpositions can be classified as interceptive or definitive, depending on when the transposition is diagnosed, although in some cases these two treatment types can overlap [,]. Interceptive treatment is performed on patients between six and eight years of age after orthopantomography of the dental arches and a thorough intraoral examination reveal the presence of tooth transposition at the initial stage. This treatment involves extraction of the retained deciduous teeth, positioning of the permanent lateral incisor in its physiological position, and maintenance of the space for the permanent canine. Interceptive treatment can be adopted before transposition is complete, which normally occurs around 10 years of age. After that time, definitive treatment should be adopted [,]. Definitive treatment involves three steps: extraction of one of the transposed teeth, alignment of the teeth in the transposed position, and orthodontic correction and alignment of teeth in the correct position [,]. The decision is affected by several factors, such as the patient’s degree of occlusion and dental crowding, aesthetics, the position of the radicular apices, socio-economic factors, and the patient’s motivation.

We present the case of a patient with transposition between the canine and first premolar, demonstrating three of the typical characteristics: he still had the deciduous canine; orthopantomography determined that the canine was positioned between the first and second premolars; and clinical observation showed that the canine was positioned towards the vestibule. We successfully treated the transposition with definitive treatment.

Case presentation

We describe the case of a 12-year-old male Caucasian patient in the permanent dentition period. An extraoral examination did not reveal any serious facial asymmetry. An intraoral examination revealed the presence of his deciduous upper right canine in the arch, the absence of the corresponding canine, and microdontia of his upper lateral incisors. His left lateral incisor showed a crossbite relationship with his lower left canine. A class I molar interocclusal relationship was present on his right and left sides, with minimal crowding in the front section of his lower arch (Figure 1). No notable events were evident from our patient’s or his family’s medical history that could be correlated with the altered tooth eruption or position.

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Pretreatment intraoral frontal radiograph.

To determine an adequate treatment plan, our patient underwent orthopantomography of his arches and latero-lateral cranium teleradiography for cephalometric evaluation. The orthopantomography highlighted the retention of his right upper canine and its transposition with his first premolar (Figure 2).

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Pretreatment orthopantomography.

One possible treatment approach for this patient was to align his teeth into the transposed position. Although this approach would probably have required less time overall, it had some disadvantages in terms of aesthetics and occlusion. Therefore, a combined surgical-orthodontic treatment was selected, with the aim of correcting the transposition and aligning the teeth into their correct positions. The selected approach involved a surgical incision in the mucosa proximal to the retained and transposed canine, traction of the tooth in the dental arch into its physiological position using an anchorage device, and banding of the dental arches to obtain alignment and leveling. The proposed treatment was interceptive and was chosen to prevent further impaction of the canine into the first molar.

During the first session, a dental technician used a band to take an impression of our patient’s upper teeth, creating a splint with two eyelets in zones 12 and 13 to ensure traction of the canine in the arch. The splint was cemented (Figure 3) and, one week later, surgery was performed. The oral surgeon made an incision in the mucosa to expose the crown and created a trapezoidal paramarginal flap (Figure 4). A button was placed at the crown level and tied with an elastic wire to the more distal eyelet of the splint to start the traction. The deciduous canine was preserved to maintain the necessary space for repositioning the permanent tooth. The elastic wire was replaced approximately every 15 days to ensure a slow and constant traction, in such a way as to avoid damage to the periodontal tissue and the canine.

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Surgical operation.

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Splint with eyelet positioned and cemented.

About two months after surgery, his tooth was visible in the arch (Figure 5). Traction was continued by tying an elastic wire to the mesial eyelet of the splint in zone 13. The more distal eyelet was removed. Four months after surgery, the tooth was sufficiently visible (Figure 6) to allow for removal of the splint, extraction of the deciduous canine, replacement of the button with an orthodontic brace, and banding of the arches.

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Intraoral photo two months after the start of traction.

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Intraoral photo four months after the start of traction.

Bonding was performed with pre-torqued and pre-angled brackets with a 0.022-inch slot. The first arch used was a 0.014-inch nickel-titanium round arch, to which the canine was directly tied (Figure 7). About two months after the start of treatment, a 0.018-inch nickel-titanium arch was applied. Once the crowding was resolved, the intermediate stage was begun, and a 0.016×0.022-inch nickel-titanium arch was applied. For the final stage, a 0.019×0.025-inch steel arch was used.

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Banding and bonding of upper arch.

As soon as the canine reached its correct position in the arch, the lower arch was banded. The same procedure used for the upper arch was applied, using the same braces and the same sequence of wires (Figure 8). Banding was removed after the established objectives were met, that is, the transposition was corrected and his arches were aligned and leveled (Figure 9).

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Banding and bonding of lower arch.

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Post treatment intraoral photograph. (a) Frontal view, (b) maxillary occlusal view, (c) right side, (d ) left side.

Our patient’s treatment lasted for two years. At the end of the treatment, he had a good aesthetic outcome. The median lines of occlusion were centered, his molars were in a class I relationship, and his right upper canine showed a slight gingival recession. The microdontic lateral incisors will be aesthetically reconstructed at a later stage, and a decision will be made then as to whether the reconstruction will be direct or indirect.

Conclusions

Transposition is an anomaly of tooth position, the most frequent of which involves the canine and the first maxillary premolar. The most suitable treatment depends on the occlusion, level of dental crowding, aesthetics, position of the radicular apices, and specific needs of the patient. In this case, we opted for definitive treatment with orthodontic alignment of the transposed teeth into their physiological position. The treatment allowed us to recover the permanent canine from the transposed position and reposition it into its natural position. Our patient is satisfied with the aesthetic results obtained.

Consent

Written informed consent was obtained from the patient’s guardian for publication of this case report and any accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this journal.

Footnotes

Competing interests

The authors declare that they have no competing interests.

Authors’ contributions

DMT, MS and ME were involved in the writing of the manuscript, MG and CV conceived the manuscript, MA reviewed the manuscript. All authors read and approved the final manuscript.

Contributor Information

Dinoi Maria Teresa, ti.liamtoh@ionidaseret.

Mummolo Stefano, ti.qavinu.cc@olommum.onafets.

Monaco Annalisa, ti.oohay@ocanomasilanna.

Marchetti Enrico, ti.qavinu.cc@ittehcram.ocirne.

Campanella Vincenzo, ti.2amorinu@allenapmac.oznecniv.

Marzo Giuseppe, ti.qavinu.cc@ozram.eppesuig.

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Read More

Neutral zone recording in computer‐guided implant prosthesis: A new digital neuromuscular approach

Published online 2019 Aug 16

Massimo Frascaria, Davide Pietropaoli, Matteo Casinelli, Ruggero Cattaneo, Eleonora Ortu, and Annalisa Monaco

Abstract

Background

Neutral zone (NZ) is a specific area in the oral cavity where muscular opposite forces are null. NZ represents the ideal zone for prosthesis placement. In this study, we compared digital implant planning using conventional technique and using NZ registration through piezography.

Methods

Sixty‐tree implants were digitally planned. Angular deviation differences between traditional planned and NZ‐planned implants were calculated. In addition, interferences with soft tissues (i.e., tongue and cheeks) were evaluated.

Results

We observed a significant difference between traditional technique and piezographic approach in terms of implants angulation (p = .003), independent of site. A 4.7% of the planned abutments with traditional technique were placed outside the NZ, causing conflict with soft tissues in the digital model.

Conclusions

Compared with traditional technique, piezography allows a significantly different exploitation of the nonconflict area, which potentially translates into better management of soft tissues and improved functionality of the implants.

1. INTRODUCTION

Recently, the increasing demand for full‐arch rehabilitations supported by dental implants imposes to ponder over the physiological integration of the prosthesis. In order to obtain patient satisfaction, the adequacy of both function and esthetics remains a key factor (Boven, Raghoebar, Vissink, & Meijer, 2015; Drago & Howell, 2012). The achievement of functional integration is probably the most challenging goal to attain for the clinician (Bonnet et al., 2016; Montero, Castillo‐Oyagüe, Lynch, Albaladejo, & Castaño, 2013). As widely reported by scientific literature, in fact, the prosthesis integration depends on static and dynamic factors, including soft and hard tissues that constitute the denture borders and forces among them (Laveau, 1986; Miller, Monteith, & Heath, 1998; Sutton, Glenny, & McCord, 2005). According to this, prosthetic volume should be placed in a nonconflict area defined as neutral zone (Fahmi, 1992; Fahmy & Kharat, 1990; Ohkubo, Hanatani, Hosoi, & Mizuno, 2000; Porwal & Sasaki, 2013), a specific space in which the opposite muscular forces are equal to 0 (Cagna, Massad, & Schiesser, 2009; Porwal & Sasaki, 2013). This assumption is corroborated by the evidence that natural teeth tend to fill the NZ space between tongue, lip, and cheek according to muscles effects and occlusal contact (Cagna et al., 2009; Moss, 1997; Okeson, 2014). Teeth volume, angulation, and diameter, in fact, are not accidental, and the denture should be manufactured according to these physiological parameters (Cagna et al., 2009). NZ area can be recorded using an impression technique named piezography, which is a registration of the space defined by muscles pressure between tongue, lip, and cheek during functional activity (e.g., speak and swallow; Ikebe, Okuno, & Nokubi, 2006; Klein, 19741989).

When an implant‐supported rehabilitation is planned, proper placement of fixtures is a keystone for its long‐term stability and predictability, considering that implant position cannot be modified after surgery Esposito, Maghaireh, Grusovin, Ziounas, & Worthington, 2012. The correct implant placement and an ideal prosthetic design affect also the stability of implant components, involving perfect fitting between implant connection system and prosthetic structures (Bramanti et al., 2017; Cicciù et al., 2014; Cicciù et al., 2015). The predictability of the fixture placement can be enhanced using current technologies, namely, computer‐aided design (CAD) and computer‐aided manufacturing (CAM) during pre‐surgical planning Barone, Casinelli, Frascaria, Paoli, & Razionale, 2014. CAD/CAM workflow allows the clinician to combine multiple data before surgery, such as tridimensional (3D) radiographies, anatomical structures data, intraoral and extraoral volume scans, mandible movements, and additional information that can enhance rehabilitation quality (D’haese, Ackhurst, Wismeijer, De Bruyn, & Tahmaseb, 2017; Joda, Ferrari, Gallucci, Wittneben, & Brägger, 2017). This approach provides a virtual patient‐personalized environment in which the denture can be digitally designed and tested before the prosthetic procedures, promoting their physiological integration (Barone et al., 2014; Frascaria et al., 2015). Often, however, fixtures are placed in order to primarily respect residual bone crest and rehabilitation esthetics (Benic, Elmasry, & Hämmerle, 2015; Dolcini, Colombo, & Mangano, 2016), with marginal attention to the structures recorded by piezography. The magnitude of this oversight is often underestimated during the surgical planification, but it comes tremendously severe after denture placement, causing annoying dilemmas for both clinicians and patients such as biting of tongue, lip, or cheeks, patient discomfort (Devlin & Hoad‐Reddick, 2001; McCord, 2009), or problems with fitting between the prosthetic components and resulting stability of biomechanical systems (Cervino et al., 2018; Cicciu, Bramanti, Matacena, Guglielmino, & Risitano, 2014; Cicciù, Risitano, Maiorana, & Franceschini, 2009; Lauritano et al., 2016). Interestingly, a recent case report described the fabrication of full‐arch CAD/CAM rehabilitation using NZ data in order to mold the denture volume in the nonconflict area, thus increasing its stability as well as patient satisfaction and achieving a more physiologically integrated rehabilitation (Ohkubo, Shimpo, Tokue, Park, & Kim, 2017).

To our best knowledge, no studies have investigated how piezography can influence implant placement during CAD/CAM workflow. From this basis, our aim was to compare the traditional versus the neuromuscular (piezographic) digital implant planning approach in terms of invasion of the NZ area.

2. MATERIALS AND METHOD

We conducted a descriptive pilot study comparing two digital strategies of presurgical planning of fixed prosthesis in patients requiring implants among those who accessed the dental clinic of the University of L’Aquila (Italy) from September 2014 to June 2017.

Our research fulfilled the principles stated in the Declaration of Helsinki (Declaration of Helsinki, n.d.) and obtained approval from the local Institutional Review Board.

Patients who fulfilled the following characteristics were eligible for the study: males and females aged at least 25 years, implant‐sustained prosthetic demand, partial edentulism of class III or IV according to the American College of Prosthodontists (McGarry et al., 2002), and acquired informed consent. Subjects were excluded if any of the following criteria were met: systemic disease that would interfere with dental implant therapy; any contraindications for oral surgical procedures; any contraindications for radiodiagnostic procedures; smoking habits >10 cigarettes per day or equivalents‐chewed tobacco; physical or mental handicaps that would interfere with the ability to perform adequate study protocol; previous implant rehabilitation; inadequate oral hygiene or unmotivation for adequate home care; pregnant; or breastfeeding women (Pietropaoli et al., 2013).

2.1. Digital planning strategies

2.1.1. Traditional digital workflow

In order to plan CAD/CAM implants, the enrolled subject underwent impressions for dental casts, occlusal jaws recordings, and cone beam–computed tomography (CBCT) as required by standard digital workflow (Flügge, Nelson, Schmelzeisen, & Metzger, 2013; Frascaria et al., 2015; Vercruyssen, Laleman, Jacobs, & Quirynen, 2015). Briefly, a wax‐up was produced for each patient in order to previsualize final restoration; then, a diagnostic radiopaque template was generated from the wax‐up and placed directly over the edentulous ridge in the required occlusion condition, according to traditional prosthetic techniques (Figure (Figure1a).1a). The patients underwent CBCT analysis wearing the radiopaque diagnostic prosthesis (Figure (Figure1b,c),1b,c), and the dental casts were then digitized together with the same template using specific 3D scanner (Figure (Figure11d,e).

An external file that holds a picture, illustration, etc. Object name is CRE2-5-670-g001.jpg

Study procedures were summarized in those panels. (a) Patient involved in the study. The tongue overrun edentulous space. (b) Radiographic guide check on edentulous arch. (c) Cone beam–computed tomography 3D rendering. (d) Optical scan data. (e) Integration of surface anatomical data, from surface scanner, and 3D radiographic data. (f) Computer and prosthetic guided implant planning. (g) Neutral zone (NZ) registration procedures. (h) Piezographic record on its model. (i) NZ registration integrated in the virtual environment using the model cast as reference. (j) Implant planning based on piezographic data. (k) Traditional teeth arrangement does not respect NZ on the lingual side. (l,m) Differences of implant axes planned on traditional teeth arrangement technique (in blue) and on piezographic data (in violet). (n) Piezography‐based implant planning in cross‐sectional view. The software generates angular measurement referring to the dotted line, which is perpendicular to occlusal plane. Note the invasion of conflict zone by tooth of radiographic template

Virtual dental casts, jaws recordings, and CBCT data were acquired by a specific digital implant planification software (NemoScan, Nemotec, Madrid, Spain). Bone structure (CBCT data) and dentition models (optical scan data) were digitally integrated through identification of at least three common points (anatomical areas and/or radiographic templates).

2.1.2. Piezography‐incorporating technique

A custom‐made trial denture base was produced and placed maxillary. Registration of NZ space was carried out by piezography using acrylic impression resin (Bosworth Sapphire, The Bosworth Company, Skokie, IL, USA). Briefly, acrylic resin was prepared with a ratio of two parts of powder and 0.8 part of liquid, mixed up to obtain gummy‐like compound, and then placed maxillary onto the trial after teeth lubrication for preventing adhesion (liquid vaseline). As reported by several authors (Alfano & Leupold, 2001; Beresin & Schiesser, 2006; Fahmy & Kharat, 1990; Klein, 19741989; Makzoumé, 2004; Porwal & Sasaki, 2013), patients were instructed to repeat phonetic sounds (e.g., “sis,” “se,” “so,” “te,” “de,” “moo,” and “sees”) and invited to swallow, laugh, and kiss, moving lips and cheeks in order to mold the core of the piezographic space. These phases were repeated at least three times. At the end of the piezographic procedure, the molded resin was adapted on the maxillary cast for completing its drying. Piezography with dental cast was then scanned, producing a virtual model. NZ registration phases are described in Figure Figure1g,h.1g,h. NZ registration was then integrated in the virtual environment using the model cast as reference (Figure (Figure11i).

2.2. Evaluation of oral‐buccal angulation of fixtures: Traditional digital workflow versus piezography‐incorporating technique

Ideal fixtures placement should include only compressive axial loading, and the implant vertical axis should fall in the middle of the perimeter identified by the cuspidal crests of the tooth occlusal plane (Barone et al., 2014). From this assumption, digital workflow was first performed with traditional technique and then replicated using piezography‐based approach, in order to verify comparability of the two methods and whether traditional technique respects the NZ.

According to the traditional technique (Barone et al., 2014; Frascaria et al., 2015; Vercruyssen et al., 2015), namely, considering the residual alveolar bone crest and crown emergency on gums, occlusal contacts, and esthetics, a single clinician expert on digital surgery procedures (M. F.) planned the position and size of fixtures–abutment components (Figure (Figure1f).1f). Using the same software, the oral‐buccal angulation of fixtures was calculated, setting the occlusion line as a reference.

Afterward, the same operator acquired patients piezography scan and reallocated it onto the previously obtained planification model using a specific software, to verify the anatomical relationships of the model with NZ (Figure (Figure1j,k).1j,k). Subsequently, the operator proceeded to a new planification that took into consideration the virtual space represented by the NZ area as delimited by piezography. As before, fixtures angulation was measured so that NZ was not invaded after implants placement (Figure (Figure11l–n).

2.3. Statistics

Data relative to fixtures angulation and location of receiving site were recorded in a spreadsheet. Absolute difference in angulation between fixtures placement with and without piezography was calculated and used for differential statistics. Data normality was verified by Shapiro–Wilk test. Paired t test was used for testing difference between groups. Statistical significance was set at p < .05. Graphs and statistics were generated by automated functions written in R (Team, 2014) using a public domain libraries “ggplot2” (Moon, 2016) and “stat” (Team, 2014), respectively. Graphs report mean and standard error (SE), unless otherwise specified.

3. RESULTS

Fourteen subjects (eight males/six females) who needed implant placement were recruited, for a total of 63 digitally planned implants. Each implant was planned using both standard and piezographic approach.

We observed a significant difference between traditional technique and piezography‐based approach in the mean oral‐buccal angulation of digitally planned fixtures (1.30; 95% CI [0.44, 2.17]; and 2.08; 95% CI [1.29, 2.87], respectively; mean difference: −0.78; 95% CI [−1.28, −0.28], p = .003). Moreover, piezography‐incorporating technique resulted in a better exploitation of the nonconflict area compared with traditional planning. In fact, although 100% of fixtures that had been digitally placed by piezographic approach respected the NZ, 4.7% (n = 3) of those planned with the traditional technique were placed outside the NZ, thus causing severe conflict with soft tissues in the digital model (Figure (Figure2).2). The between‐technique difference in angulation of digitally planned fixtures was not affected by the site (arch, dental element, or both; arch: Pearson’s product‐moment correlation r = 0.02672; 95% CI [−0.2225, 0.2727], p = .8353; dental element: r = 0.1055; 95% CI [−0.146, 0.3443], p = .4103; both: r = 0.04072, 95% CI [−0.2092, 0.2856], p = .7514).

An external file that holds a picture, illustration, etc. Object name is CRE2-5-670-g002.jpg

(a) Boxplot of mean differences in terms of angulation between standard and piezographic implant placing. (b) Polar plot of placed implant. Axis expresses implant sites, whereas the dots represent single implants. Distance between the centers of the circle indicates mean differences between the two techniques. (c,d) Mean differences were reported in both graphs

Even without reaching statistical significance, the greatest difference between traditional technique and piezographic planification was observed at the lower arch (Figure (Figure3).3). In fact, the mean delta angulation was 1.60 ± 1.56 at the lower arch and 1.39 ± 1.32 at the upper arch. No differences were observed among quadrants, sextants, or elements in terms of delta angulation.

An external file that holds a picture, illustration, etc. Object name is CRE2-5-670-g003.jpg

Analysis of mean differences stratified per arch. N represents the number of implant placed on tooth side

4. DISCUSSION

The results of our pilot study on 63 implants suggest that NZ significantly influences the positioning of implant fixtures. Compared with traditional technique, in fact, piezography‐incorporating approach allows a significantly different exploitation of the nonconflict area, which potentially translates into better management of soft tissues and improved functionality of the implants. Indeed, implant fixture placement could be facilitated and improved by means of a prosthetic guided approach, in which the surgical planning and the prosthetic manufacturing rely on biomechanical, functional, and esthetic requirements of a specific patient (Barone et al., 2014; Frascaria et al., 2015).

Most of the traditional prosthetic techniques only consider static evaluations, such as arrangement of posterior denture teeth directly over the crest of the edentulous ridge (Cagna et al., 2009). As such, they ignore the impact of neuromuscular activity, which develops during childhood and then changes throughout life, on rehabilitation outcomes. Dynamic functions, indeed, remain highly individual also in the edentulous patient and influence the performance of any rehabilitation device placed in the mouth (Beresin & Schiesser, 2006). NZ detection techniques are widely used in removable denture manufacturing protocols, in order to avoid NZ invasion and to improve prosthesis stability, as well as phonation and soft tissue support accordingly (Beresin & Schiesser, 2006; Cagna et al., 2009). Conversely, there is no information about the effect of techniques incorporating NZ measurement on fixed implant‐supported prosthesis outcome, neither in terms of functional adaptation nor about implant stability. In our pilot study, we observed for the first time that angular deviation of fixture planning axis provides accurate quantification of the amount of NZ invasion by traditional prosthetic design (Figure (Figure1i–k1i–k and and11n).

The functionality of a dental prosthesis with respect to biomechanical and esthetic characteristics requires a well‐designed implant positioning (Barone et al., 2014). The prosthetic design, in fact, is substantially determined by the implant position, and this cannot be changed after surgery. In particular, implant axes affect crown profiles emergence, as well as occlusion dynamics and oro‐lingual position. Clinicians may resort to prosthetic compensation in case of suboptimal fixture placement, but this solution is not always effective for a good outcome of rehabilitation when the fixtures are misplaced. Theoretically, clinicians should detect the ideal individual prosthetic volume before implant surgery in order to avoid mistakes in fixtures placement. In this sense, the use of 3D imaging and planning softwares may improve the surgical strategy through the integration of different diagnostic parameters, thus allowing a comprehensive approach to the question (Frascaria et al., 2015). Here, we demonstrate that the entire presurgical planning process can be carried out using CAD applications that combine different maxillofacial diagnostic modalities: radiographic data, captured by a CBCT scanner, and surface anatomical data, acquired by a structured light scanner.

The described approach offers several advantages. First, it personalizes the analysis of the prosthetic space with regard to fixtures positioning. Second, the accurate preliminary assessment of both hard and soft peri‐implantar tissues allows the precise determination of the available prosthetic space and the choice of the appropriate implant system and prosthetic components. In turn, an accurate reconstruction of oral surfaces improves outcome predictability following implant placement (Frisardi et al., 2011). An additional advantage of piezography in digital planning is that of relying on objective parameters rather than subjective visual perceptions during the reconstruction process. Most importantly, the proposed approach can particularly assist the clinician in the rehabilitation of the edentulous patients. After natural teeth loss, in fact, the potential denture space lies within the mouth between the tongue thrust, pressing outward, and the forces of the cheeks and lips, pressing inward (Beresin & Schiesser, 2006). The potential denture space in long‐time edentulous arches is therefore different from dentate condition, as a consequence of muscular activity adaptation Monaco, Sgolastra, Pietropaoli, Giannoni, & Cattaneo, 2013. Thus, the prosthetic teeth should be placed on edentulous arches according to individual neuromuscular function (Chipaila et al., 2014).

In conclusion, piezography appears as an effective additional technique in customized implant planning and implant‐supported prosthesis manufacturing, and the piezography‐incorporating approach allows a significantly different management of the NZ compared with traditional digital planning. Further studies are needed to test the short‐ and long‐term clinical effects of the neuromuscular approach on functionality and durability of implants and on their reciprocal relationship with soft tissues and dynamic forces.

DISCLAIMERS

None.

FUNDING INFORMATION

None.

CONFLICT OF INTEREST

None.

Notes

Frascaria M, Pietropaoli D, Casinelli M, Cattaneo R, Ortu E, Monaco A. Neutral zone recording in computer‐guided implant prosthesis: A new digital neuromuscular approachClin Exp Dent Res. 2019;5:670–676. 10.1002/cre2.233 [CrossRef[]

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Variable Torque Prescription: State of Art

Published online 2015 Jan 30

Mariano LacarbonaraEttore AccivileMaria R. AbedMaria Teresa DinoiAnnalisa MonacoGiuseppe Marzo, and Mario Capogreco

Abstract

The variable prescription is widely described under the clinical aspect: the clinics is the result of the evolution of the state-of-the-art, aspect that is less considered in the daily literature. The state-of-the-art is the key to understand not only how we reach where we are but also to learn how to manage propely the torque, focusing on the technical and biomechanical purpos-es that led to the change of the torque values over time. The aim of this study is to update the clinicians on the aspects that affect the torque under the biomechanical sight, helping them to understand how to managing it, following the “timeline changes” in the different techniques so that the Variable Prescription Orthodontic (VPO) would be a suitable tool in every clinical case.

INTRODUCTION

In orthodontics the meaning of the torque is different clinically and biomechanically. Clinically, the “torque” is the third key of the occlusion, described by Andrews as the inclination of the dental crown antero-posteriorly in the frontal teeth and traversal in the backward teeth. The clinical evaluation of torque is made by tracing a line perpendicular to the dental margin and passing through the Facial Axis Crown (FAC) of the tooth: the torque is considered “positive” when the crown is in a forward position to the line and the root is in backward position: in the opposite situation there is the “negative” torque []. Biomechanically, the torque is represented by the torsion of a rectangular archwire in the bracket slot []. The adequate torque is related to good aesthetics, a correct anterior guidance is associated with the overjet and overbite correction: conversely a limitation of torque control in the anterior area causes a shortening of the dental arch, while a limitation of torque in the posterior area can determine a narrower smile and possible interferences []. Considering the importance of the torque management, the knowledge of the factors affecting the torque is mandatory: the torque depends on the dental morphology, the arch wire material, the bracket position and ligature []. The bracket/archwire interaction is one of the most discussed items within torque management and control, especially in this historical moment, where the self-ligating brackets are catching on the orthodontic view: the self-ligating brackets present advantages such as achieving a good occlusion associated to a good aesthetics, less treatment time, less time at the chair side with less appointment need and greater patient satisfaction [,]. The advantages of self-ligating brackets have a high support by clinicians and a lower support by the evidence, especially on the toque management, where the maintenance/loss of torque in the bracket is debated []. The aim of this review is to describe the current state of the art, following the timeline of the different techniques, from the pre-adjusted system to the VPO: this update allows the clinician to understand the mechanisms that underlying the torque control, giving guidelines for each clinical situation.

MATERIALS AND METHODS

The literature has been reviewed to describe the historical development of the appliances, from the origin of the pre-adjusted appliance until the Variable Prescription Orthodontics, especially regarding to the change of the bracket-wire interaction and the change of the biomechanical principles that underlying various techniques and justify different torque management.

The Origin of VPO

The pre-adjusted appliance started with Lawrence Andrews, author that re-evaluated the previous orthodontic experiences that began his research studying the occlusion and identifying six keys of optimal occlusion: the third key is represented by the torque and the technique was characterized by a bracket containing the angulation, inclination and in-out of each tooth, interacting with a straight-wire [,]. The aim of Andrews was to achieve the six keys of the occlusion, using different bracket prescriptions for each clinical situation, dividing the extractions cases from non-extraction cases [] Table 11. Subsequently, Roth criticized Andrews furnishing of brackets: Roth sustained that a large inventory was difficult to manage, so he suggested a new prescription that he called Straight Wire, with a unique torque value of the upper canines (11°), aiming to use the same brackets for extractions and non-extraction cases []. The idea of Roth was to develop a new treatment planning aiming to achieve a facial and dental aesthetics associated to a functional occlusion, a healthy periodontium and healthy TMJ Table 22. The third-generation of Straight wire devices is represented by the MBT technique. McLaughling, Bennet and Trevisi modified the prescriptions of Roth and Andrews: this modification is due to the introduction of a sliding mechanics, so that light forces could be used to close the extraction spaces. The versatility of torque is represented by three different prescriptions for the upper and lower canines, choosing the correct value on the malocclusion characteristics and on the treatment goals [,] Table 33. The MBT technique added to Andrews’s and Roth’s treatment goals also that the condyle has to be seated in a centric relation and the musculature has to be in a relaxed position during the occlusion [,].

Table 1.

Prescription in Andrews technique.

Upper Arch Inclination Angulation Counter Rotation Lower Arch Inclination Angulation Counter Rotation
Central +7° +4° 0 Central -6° +1.5° 0
Lateral +4° +8° 0 Lateral -6° +1.5° 0
Cuspid +8° 0 Cuspid -11° 0
Cuspid -7° +10° 2M Cuspid -11° 2M
1st Bicuspid -7° +2 0 1st Bicuspid -17° 0
1st Bicuspid -7° +4° 2M 1st Bicuspid -17° 2M
2nd Bicuspid -7° +2 0 2nd Bicuspid -22° 0
2nd Bicuspid -7° 2D 2nd Bicuspid -22° 0 2D

Table 2.

Prescription in Roth technique.

Upper Arch Inclination Angulation Off-set Lower Arch Inclination Angulation Off-set
Central 12° Central
Lateral Lateral
Cuspid 0 11° Cuspid -11°
1st Bicuspid -7° 1st Bicuspid -17°
2nd Bicuspid -7° 2nd Bicuspid -22°

Table 3.

Prescription in MBT technique.

Upper Arch Inclination Angulation Lower Arch Inclination Angulation
Central +17° +4° Central -6° 0
Lateral +10° +8° Lateral -6° 0
Cuspid 7°/-7° +8° Cuspid 6°/-6°
Cuspid 0 +8° Cuspid 0
1st Bicuspid -7° 0 1st Bicuspid -12°
2nd Bicuspid -7° 0 2nd Bicuspid -17°

The Concept of Variable Torque Prescription

The evolution of orthodontics with self-ligating brackets pave the way for orthodontist not only to a new biomechanics but also to a new concept of treatment planning: each malocclusion present peculiar characteristics in the inclination of posterior and anterior teeth in both arches so the information inside the bracket must be chosen considering the occlusal features before the treatment and the biomechanics to achieve the final result. The different characteristics that could be found inside a malocclusion lead to develop of different prescription of torque for the upper and lower six anterior teeth: the aim of this individualization is to achieve a better functional and aesthetic outcome, with less risk of orthodontic relapse. The beginning of interest on the torque values has born from the clinical evaluation of the loss of torque with passive self-ligating brackets: the correct torque value could be achieved reducing and/or adding the degrees of torque inside the prescription []. Nowadays, the authors that most emphasized the VPO concept are A. Sondhi and D. Damon: they suggest that the correct torque value has to be selected considering the patient malocclusion and periodontal characteristics, the inter- and intra-arch variables and the class correction biomechanics [,]. All the possible clinical combinations lead to high-, standard and low- torque prescriptions for upper and lower anterior teeth: the high torque values are taken by Hilgers, the standard torque correspond to the MBT values, whereas the low torque values are the Roth values (Fig. 11).

An external file that holds a picture, illustration, etc. Object name is TODENTJ-9-60_F1.jpg

For every 5° of anterior torque, obtained by placing the bracket 1 mm higher or lower with respect to the center of the clinical crown, the space in the arch is modified by 1 mm and the prescription is changed.

DISCUSSION

Traditionally, the torque is achieved when the rectangular wire is full engaged to the slot of the bracket: the full-size wire is the last one of the archwire sequence and it must allow the sliding movement of the dentition and the torque control at the same time. For many authors the optimal bracket-archwire relationship is represented by a 0.022”x 0.028” slot and the 0.019”x 0.025” stainless steel wire [,,]: this combination does not permit a full-engagement of the arch wire in the slot because only 10% of the wire is used. This aspect opens a discussion about the discrepancy between the information provided by the companies and the real wire-bracket interaction, especially because during alignment and levelling the discrepancies are less evident []. In this situation the orthodontist needs a more clear view about the variables concerning the torque expression and, on this topic, some keys of comprehension are fundamental: the different effectiveness in torque expression of the different alloys, the effect of bracket position and dental morphology on torque expression, the influence of bracket design on its capacity to read the torque (friction and bracket/wire interaction).

The Archwire Alloy

The archwire alloy is fundamental for the expression of the torque because it is the stiffness of the material that determines the complete reading of the bracket information: in fact, at the same thickness values, NiTi and the TMA alloys presented a lower stiffness, so they present a lower torque expression then the Stainless steel alloy [] (Fig. 22). The aspect that is considered critical in the torque achievement with the TMA and NiTi alloy is represented by the twist angle produced by the wire in the bracket: Archambault referred that, if the angle is lower then 12° there are no differences between the wires []. With this assumption, using the variable prescription will provide the correct torque because the loss of torque determined by the wire could be compensated by the information inside the bracket.

An external file that holds a picture, illustration, etc. Object name is TODENTJ-9-60_F2.jpg

Side view of the two self-ligating braces. Left: active selfligating braces, with the interactive wall. Right: passive selfligating braces, with the typical 4-wall slot. The difference between the dimensions of the slot and their “engagement angle” or “torsional clearance” is according to Badawi et al., [].

The Bracket Positioning

The force that determines the torque is correctly expressed when the force is applied in the center of the clinical crown: a different positioning, as demonstrated by Meyer and Mietheke, could determine a variation of the torsion angle by 10° to 15° [,] Fig. (33). The bracket positioning could also be affected by the dental morphology: a divergency between the longitudinal axis of the crown and of the root could change the effect of the same bracket []. If on the one hand the orthodontists are used to correct the bracket’s position by correctly debonding and rebonding the bracket, on the other hand, the debonding procedures present their unfavorable effects []: the change of bracket position on the vertical aspect, if the verticality is properly controlled, could be a good clinical option to reduce/add torque, especially when the VPO is applied.

An external file that holds a picture, illustration, etc. Object name is TODENTJ-9-60_F3.jpg

Graph comparing the torque expression capacities of different alloys for the orthodontic arch. For a section of 0.019″ x 0.025″ in stainless steel, with its higher hardness and stiffness, the torque is expressed more effectively.

The Brackets Design

The brackets are built in different materials and present more then one design: Morina compaired the ability of conventional brackets versus self-ligating brackets to generate the moment angle able to produce the torque. The ceramic brackets showed the best function in torque maintenance, followed by conventional metal brackets, then self-ligating active brackets and self-ligating passive brackets: in agreement with other researches, this study also revealed that the best range of moment of forces that generates the torque is between the 5 and 20 Nmm []. The authors detected that, with active self-ligating brackets the angle formed between the bracket and the wire had to range between 15° and 31° to achieve the optimal torque, with passive self-ligating brackets the same values of torque were achieved with angles between 22.5° and 34.5°: these results agree with previous literature such as Gymrek’s and Harzer’s studies [,] Fig. (44). The conclusion on most of these studies are clinically useful up to a certain point because most of them are in vitro studies, so the in vivo studies show lower levels of moments: the most difficult part under a clinical point of view is represented by the engagement of the archwire when the malocclusion is severe, and torque is determined not only by the momentum angle, but is also influenced by the friction due to dental malposition.

An external file that holds a picture, illustration, etc. Object name is TODENTJ-9-60_F4.jpg

Graph comparing the torque expression capacities of active and passive self-ligating brackets. According to Badawi et al. [], active self-ligating brackets express torque more effectively and efficiently than passive ones. Self-ligating brackets start to generate clinically effective momentum between 15° and 31°, compared to passive brackets that need higher torsion to generate the same momentum (between 22.5° and 34.5°).

CONCLUSION

In orthodontics the torque control is fundamental under a clinical point of view. Nowadays, many studies underline the importance of considering the factors that affect the torque expression and management, such as the patient’s malocclusion and general characteristics, the bracket’s design, the wire’s components and sequence, the bracket positioning and the treatment biomechanics. The VPO is a good tool for the orthodontist to manage the torque since The beginning of treatment, because many of the factors affecting are considered. Looking forward, new comparative studies on the effectiveness of the treatment planning using the VPO versus the conventional treatment planning are required.

ACKNOWLEDGEMENTS

Declared none.

CONFLICT OF INTEREST

The authors confirm that this article content has no conflict of interest.

AUTHORS’ CONTRIBUTIONS

ML, EA, AMR contributed to the concept and design of the study, the analysis and interpretation of the data and drafted the manuscript. AM, GM, MTD and MC were involved in the interpretation of the data and contributed to the revision of the drafted manuscript. All authors read and approved the final manuscript.

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15. Harradine NWT. Self-ligating brackets and treatment efficien-cy. Clin Orthod Research. 2001;4:220–7. [PubMed[]
16. Angle EH. The latest and best in orthodontic mechanism. Den Cosm. 1929;71:260–70. []
17. Holdaway RA. Bracket angulation as applied to the edgewise appliance. Angle Orthod. 1952;22:227–36. []
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19. Stifter JJ, editor. Cap 8. San Diego CA LA Wells Co. 1989. Straight-wire, the concept and the appliance. []
20. Andrews LF, editor. Pasadena CA Edward H. Angle Soc Ortho-don. 1968. The Andrews straight-wire appliance concept [dissertation]. []
21. Roth R. The straight-wire appliance 17 years later. J Clin Or-thod. 1987;21(9):632–42. [PubMed[]
22. McLaughlin R, Bennett J, Trevisi H. A clinical review of the MBT orthodontic treatment program. Orthod Perspec. 1997;4(2):3–15. []
23. Bennett JC, McLaughlin RP, editors. 1.a ed. Buenos Aires Panamericana. 1998. Biomecánica en ortodoncia clí-nica. []
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28. Gioka C, Eliades T. Materials-induced variation in the torque expression of preadjusted appliances. Am J Orthod Dentofac Orthop. 2004;125:323–8. [PubMed[]
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32. Kusy RP. On the use of nomograms to determine the elastic property ratios of orthodontic arch wires. Am J Orthod. 1983;83:374–81. [PubMed[]
33. Archambault A, Major TW, Carey JP, Heo G, Badawi H, Ma-jor PW. A comparison of torque expression between stainless steel, titanium molybdenum alloy, and copper nickel titanium wires in metallic self-ligating bracket. Angle Orthod. 2010;80(5):884–9. [PubMed[]
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Alterations in Surface Electromyography Are Associated with Subjective Masticatory Muscle Pain

Published online 2019 Nov 22

Davide PietropaoliEleonora OrtuMario GiannoniRuggero CattaneoAlessandra Mummolo, and Annalisa Monaco

Abstract

Background

Tenderness of masseters and temporalis can be considered a relevant tool for diagnosis of myo-type craniofacial pain disorders, but a limit of pain score systems is that they are based on subjective pain perception. Surface electromyography (sEMG) is a noninvasive and reliable tool for recording muscle activity. Therefore, we investigated whether a correlation exists between tenderness on masseters and temporalis, assessed by subjective pain scale, and muscles activity, evaluated by sEMG, in patients with painful temporomandibular disorder (TMD) and concurrent tension-type headache (TTH).

Methods

A cross-sectional study on fifty adult volunteer patients with TMD and TTH, who underwent tenderness protocol according to Diagnostic Criteria for TMD (DC/TMD) guidelines, was conducted followed by sEMG recording of temporalis and masseters. Pearson’s correlation was performed to investigate the correlation between muscular activity and subjective pain scores.

Results

An overall moderate correlation between muscle tenderness and sEMG values (y = 1 + 1.2 · xr2 = 0.62; p < 0.0001), particularly in the temporalis, was observed. Segregation of data occurred according to tenderness and sEMG values. At the highest pain score, the mean sEMG absolute value was higher at the temporalis than the masseters.

Conclusions

Our study provides evidence that subjective pain perception can be objectively quantified at a magnitude proportional to pain severity. At greater tenderness scores, higher sEMG activity at the level of temporalis could help discriminate clinically prevalent TTH versus prevalent TMD. sEMG confirms to be an accurate tool to reliably objectify the subjective perception of pain. When combined with clinical evaluation and patients’ symptoms, sEMG increases diagnostic sensitivity in the field of myo-type craniofacial pain disorders. This trial is registered with NCT02789085.

1. Introduction

Pain and muscle dysfunctions are considered keystone symptoms in a temporomandibular joint disorder (TMD) [] and are often classified as subtypes of a secondary headache disorder []. Altered pain perception [] and dysregulation in pain modulation [] were recently shown in people suffering from TMD, thus demonstrating lower pain tolerance compared to healthy subjects []. Functional brain imaging studies demonstrated increased activation of the somatosensory cortex, anterior cingulate, and prefrontal cortex and decreased thalamic activation in patients with TMD []. This neural activation pattern is similar to other chronic pain disorders and may be related to sensitization of pain-producing centers []. Clinically, TMD-related pain is often described as myogenous, unilateral, and dull and characterized by variable intensity and duration, ranging from steadily present or intermittent with worsening or improvement periods []. The most commonly involved muscles are masseters (MMs) [] and anterior temporalis (ATs) []. Palpation-induced pain of these muscles can be considered a relevant tool for differential diagnosis among painful TMD, primary headaches, and bruxism []. In addition, palpation-induced pain can be used for assessing subjective pain perception, before and after treatments, using a visual analog scale (VAS) or numerical scale (NS) []. However, due to marginal reliability to objective pain quantification, these scales are considered as lacking of scientific rigor [], but the absence of a “gold-standard” technique for pain assessment promotes its common use in scientific research.

Surface electromyography (sEMG) is a noninvasive technique for recording muscle activity. It is considered a reliable and complementary tool for clinical diagnosis of myogenous TMD and for the study of muscle function []. In addition, sEMG is considered a reliable tool for investigating the anatomy and physiology of the stomatognathic apparatus [].

To our knowledge, only a few studies [] report on the association between palpation-induced pain, or tenderness, and sEMG parameters in individuals with TMD and tension-type headache (TTH).

To this aim, we investigated the correlation between tenderness on masseters and temporalis, assessed by subjective pain scale (NS) using validated criteria for TMD (Research Diagnostic Criteria for TMD: RDC/TMD; and Diagnostic Criteria for TMD: DC/TMD) and objectified muscle activity, evaluated by sEMG, in patients with diagnosis of TMD and concurrent TTH.

2. Methods

This cross-sectional study was conducted in accordance with the Declaration of Helsinki. The Committee on Ethics in Science of the University of L’Aquila (L’Aquila, Italy) approved the study, and the written informed consent was obtained from each subject and electronically stored as suggested by our institutional guidelines. All procedures were completed between February and November 2016 at the Division of TMD and Orofacial Pain at University of L’Aquila (L’Aquila, Italy).

2.1. Inclusion/Exclusion Criteria

Fifty volunteer patients (39F/11M; mean age 34.8 ± 17.3 years) evaluated with RDC/TMD [] who fulfilled the following criteria were enrolled in the study: (1) clinical diagnosis of TMD in the last 6 months; (2) diagnosis of TTH based on headache frequency ≥15 days per month for ≥6 months (TTH) []; (3) presence of complete permanent dentition, with the exception of the third molars; and (4) normal occlusion. Patients were excluded from the study if they met one or more of the following exclusion criteria: history of local or general trauma; previous diagnosis of systemic diseases, neurological, or psychiatric disorders or muscular diseases; pregnancy; assumption of anti-inflammatory, analgesic, antidepressant, or myorelaxant drugs; fixed or removable prostheses; fixed restorations that affected the occlusal surfaces; and previous or concurrent orthodontic or orthognathic treatment.

In order to confirm TTH, each subject completed a diagnostic headache diary for 4 weeks [].

Each enrolled subject underwent tenderness protocol followed by sEMG recording, as further specified in the next paragraphs.

2.2. Tenderness Protocol

According to the newly evidence-based Diagnostic Criteria for TMD (DC/TMD) [], pain was evaluated bilaterally on masseter (right = RMM; left = LMM) and anterior temporalis (right = RAT; left = LAT) only, applying 1.0 kg of force for 5 seconds on suggested points []. However, since only dichotomous values are present in DC/TMD (pain: yes or no), palpation-induced pain was recorded using a numeric pain scale from 0 to 3, according to RDC/TMD [].

According to the abovementioned criteria, one point for each palpation area of temporalis (i.e., anterior, middle, and posterior) and masseters (i.e., origin, body, and insertion) was tested, for a total of 12 points (six for each side). The palpation was carried out simultaneously at the left and right sides using both hands. For each muscle, only the highest pain score out of the three measurements was recorded for the analysis.

Finger pressure (1.0 kg) was calibrated twice using a single-hand mechanical algometer (Wagner Instruments, model FPK/FPN, Greenwich, CT, USA) prior to palpation []. Each hand was calibrated using the same methodology. The areas of palpation were identified as suggested by Ohrbach et al. in the clinical examination protocol for DC/TMD [].

Palpation was performed with the subjects in a horizontal supine position on a bed with their eyes closed, after 10 minutes of acclimation. Room temperature (21°C) and relative humidity (50%) remained constant. Any external or internal noise sources were controlled. Enrolled patients self-reported the most frequent headache site as occipital, temporal, mixed (occipital plus temporal), or spread.

The same operator (DP) performed the tenderness protocol and registered the induced-pain values in an electronic spreadsheet, reporting the highest pain score for each muscle (RMM, LMM, RAT, and LAT).

2.3. sEMG Recording Procedures

According to the literature [], sEMG of masseters (RMM and LMM) and anterior temporalis (RAT and LAT) was recorded simultaneously through surface electromyograph (K7/EMG, Myotronics-Noromed, Inc., Tukwila WA, USA) using disposable silver/silver chloride bipolar surface electrodes (Duotrode; Myotronics-Noromed, Inc., Seattle WA, USA). Before positioning the electrodes, the patient’s skin was thoroughly cleaned with alcohol. Electrodes were positioned on the left and right masseter muscles (LMM and RMM) and the left and right anterior temporal muscles (LAT and RAT), as previously described []. A template was used to enable repositioning of the electrodes in the same position when the measurements were repeated at different times or if an electrode had to be removed due to malfunction. During the electromyographic examination, the patient was sitting on a chair in the usual conditions with eyes closed. Software for the sEMG K7 (K7 v12.0 Myotronics-Noromed, Inc., Tukwila WA, USA) was set up in order to record RMM, LMM, RAT, and LAT only. The ground electrode, which was common to all channels and larger than the others for a proper contact with the skin, was positioned on the subject’s forehead to ensure a common reference to the differential input of the amplifier []. Electrical signals were amplified, recorded, and digitized with the K7 clinical software package. The root mean square (RMS) values (in μV) were used as indices of the signal amplitude [].

Three consecutive sEMG rest position tracks, with a duration of 15 seconds each, were acquired, and any trace with interposing phasic event, such as swallowing, voluntary movement, or clenching, was discarded. The sEMG recording procedure was subsequent to the palpation, 5 minutes after placing the electrodes. The recording procedure was carried out in the same room where the tenderness protocol was performed.

Procedure for sEMG registration was performed by one examiner (AM) in a blinded fashion. For each studied muscle, the average between the three recordings, which was generated by the software and expressed as microvolts (mV), was reported in a spreadsheet for differential statistics.

2.4. Statistical Analysis

Parametric approach was used for a differential statistic since collected data revealed normal distribution with the Shapiro–Wilk test. Relation between sEMG and palpation-induced pain values was evaluated by Pearson’s correlation.

Level of significance was set at p < 0.05. The R software was used for statistical analysis []. Moreover, plots and heatmaps were generated with R packages “ggplot2” and “pheatmap.”

3. Results

Results from statistical analysis shown an overall moderate correlation between muscle tenderness and sEMG values (y = 1 + 1.2 · xr2 = 0.62; p < 0.0001) (Figure 1).

An external file that holds a picture, illustration, etc. Object name is PRM2019-6256179.001.jpg

(a) Density plot for sEMG (mVolts) and pain (scale 0–3) at the level of right anterior temporalis (RAT), left anterior temporalis (LAT), right masseter muscle (RMM), and left masseter muscle (LMM). (b) Overall moderate correlation between muscle tenderness and sEMG values (y = 1 + 1.2xr2 = 0.62; p < 0.0001). Segregation of data occurs according to tenderness and sEMG values, with lower pain scores (0-1) associated with lower sEMG values (<2 mV) and higher pain scores (2-3) associated with higher sEMG values (>2 mV).

The investigation of muscle types showed a moderate correlation between electric values and palpation-induced pain of both temporalis and masseters (temporalis: y = 0.93 + 1.3xr2 = 0.695; p < 0.0001masseters: y = 1.1 + 1.1xr2 = 0.514; p=0.0062) (Figure 2(a)).

An external file that holds a picture, illustration, etc. Object name is PRM2019-6256179.002.jpg

(a). Moderate correlation between electric values and palpation-induced pain of temporalis (y = 0.93 + 1.3xr2 = 0.695; p < 0.0001) and masseters (y = 1.1 + 1.1xr2 = 0.514; p=0.0062). At the highest pain score (=3), the mean sEMG absolute value (expressed in mV ± SD) is significantly higher at the ATs compared to the MMs (5.16 ± 0.47 mV vs 4.73 ± 0.30 mV, respectively; p < 0.001). (b) Pearson’s analysis of single muscle sEMG findings and tenderness: strong correlation for RAT (y = 0.54 + 1.4xr2 = 0.776; p < 0.0001); moderate correlation for LAT (y = 1.3 + 1.2 · xr2 = 0.644; p=0.0011); moderate-low correlation for RMM (y = 1.3 + 0.96·xr2 = 0.431; p=0.0032); moderate correlation for LMM (y = 0.81 + 1.2 · xr2 = 0.581—p=0.0043).

Pearson’s analysis of single muscle sEMG findings and palpation-induced pain revealed a strong correlation for RAT (y = 0.54 + 1.4xr2 = 0.776; p < 0.0001), a moderate correlation for LAT (y = 1.3 + 1.2xr2 = 0.644; p=0.0011), a moderate-low correlation for RMM (y = 1.3 + 0.96xr2 = 0.431; p=0.0032), and a moderate correlation for LMM (y = 0.81 + 1.2xr2 = 0.581; p=0.0043) (Figure 2(b)).

The hierarchical cluster analysis paired muscles and relative pain perception using an euclidean correlation (columns) Figure 3.

An external file that holds a picture, illustration, etc. Object name is PRM2019-6256179.003.jpg

Hierarchical cluster analysis. Single muscle tenderness and relative muscles were paired by the Euclidean correlation (columns).

When considering the sEMG findings as a whole (Figure 1(b)), segregation of data occurs according to tenderness and sEMG values, with lower pain scores (0-1) associated with lower sEMG values (<2 mV) and higher pain scores (2-3) associated with higher sEMG values (>2 mV) (Table 1).

Table 1

Mean and standard deviation (SD) of sEMG and subjective pain score relative to investigated muscles of the enrolled patients.

Occipital Spread Temporal Mixed p
n 8 20 19 3
sEMG RAT (mean (SD)) 2.99 (1.57) 2.93 (1.68) 2.77 (1.40) 2.27 (2.19) 0.905
LAT (mean (SD)) 3.70 (1.90) 3.21 (1.84) 2.84 (1.63) 5.46 (0.26) 0.104
RMM (mean (SD)) 1.65 (0.65) 2.65 (1.52) 2.02 (1.42) 3.25 (2.07) 0.185
LMM (mean (SD)) 2.37 (1.65) 2.35 (1.28) 3.39 (1.48) 2.44 (1.05) 0.117

Subjective pain RAT.pain (mean (SD)) 2.00 (0.93) 1.70 (1.22) 1.68 (1.00) 1.33 (1.53) 0.826
LAT.pain (mean (SD)) 1.88 (1.25) 1.70 (1.08) 1.37 (1.16) 3.00 (0.00) 0.132
RMM.pain (mean (SD)) 0.88 (0.83) 1.60 (1.14) 0.95 (1.13) 2.00 (1.00) 0.133
LMM.pain (mean (SD)) 1.38 (1.30) 1.45 (1.00) 2.16 (0.96) 1.33 (1.15) 0.129

sEMG: surface electromyography; RAT: right anterior temporal muscle; LAT: left anterior temporal muscle; RMM: right masseter muscle; LMM: left masseter muscle. Stratification according to headache is also shown.

Mean sEMG absolute values (expressed in mV ± SD) at pain scores between 0 and 2 did not significantly differ between the ATs and MMs groups. Indeed, at the highest pain score (=3), the mean sEMG absolute value was 5.16 ± 0.47 mV and 4.73 ± 0.30 mV at the ATs and the MMs, respectively (p < 0.001) (Figure 2(a)).

4. Discussion

Our study demonstrates three important findings. First, sEMG findings in individuals with TMD and concurrent TTH correlate with temporal and masseter tenderness, and this correlation is particularly strong at the level of ATs. Second, sEMG confirms to be an accurate tool to reliably objectify the subjective perception of pain. Third, at greater tenderness scores, higher sEMG activity at the level of ATs compared to MMs could help discriminate clinically prevalent TTH vs prevalent myo-type TMD (Figure 2(a)).

With reference to the first point, tenderness at the ATs and MMs has been documented in individuals suffering from TMD and TTH []. Interestingly, the previous literature reported that subjects with TMD and concurrent TTH more frequently showed positive trigger points at the ATs, whereas tenderness and active trigger points were more typically observed at the MM level in the presence of isolated TMD without TTH []. Our findings confirm the observation of major involvement of ATs in the TMD-TTH phenotype both in terms of clinical burden and instrumental evidence. In this perspective, our study provides evidence that subjective pain perception can be objectively quantified at a magnitude proportional to pain severity.

According to this, segregation of data occurred based on tenderness and sEMG values, with a direct relationship between the two parameters (Figure 1(b)). The previous literature reported on increased sEMG at rest at the level of ATs [] and trapezius [] in patients with TTH, which was associated with the magnitude of pain perception. Increasing evidence also shows that sEMG is useful in the differential diagnosis between healthy subjects and TMD patients []. With reference to individuals with TMD, there is to date no agreement on the normal values of basal muscle activity measured with sEMG at the level of ATs and MMs, with some authors suggesting increased values [] and others no difference [], in comparison to otherwise healthy subjects. These studies, however, do not take into account the possible concomitant presence of TTH in the examined subjects: therefore, a misclassification might have occurred by excluding individuals with TMD and concomitant TTH, thus including only low-tenderness, low-sEMG TMD individuals.

Comorbidity of TMD and TTH is well documented in the literature [] and goes beyond any fortuitous occurrence. Possible pathogenetic mechanisms underlying TMD and TTH association include central and peripheral sensitization []. According to Conti et al., these two conditions share overlapping pathogenetic and clinical features, including response to treatments, thus making it hard to effectively and distinctly classify one or the other in terms of scoring systems routinely used in neurology (International Classification of Headache Disorders, ICHD-3) or dentistry (RDC/DC) []. In this perspective, sEMG represents a reliable tool in combination with clinical evaluation and patients’ symptoms, in order to increase diagnostic sensitivity in the field of myo-type craniofacial pain disorders.

Our results also demonstrated significantly higher absolute values of sEMG findings at greater tenderness scores at the level of ATs compared to MMs. Although little differences in mV amplitude between ATs and MMs may occur, as expression of different skin impedance at the two sites [], and although absolute sEMG values may have a secondary significance when interpreting similar results, the evidence of high sEMG values at the ATs, in association with high tenderness scores at the same level, may identify the presence of clinically prevalent TTH.

This study has some limitations that deserve to be mentioned. First, the lack of control group of healthy subjects since it is a cross-sectional study; data were extrapolated by using software as RMS and finally the sEMG measurement was made only after muscle palpation, and these data indicate only a correlation between subjective pain and sEMG values, thus the generalizability deserves caution.

5. Conclusions

In conclusion, pure myo-facial TMD without TTH may be characterized by the lack of such a manifest activation of ATs. The clinical meaningfulness of these observations needs to be evaluated in the light of further knowledge, particularly studies looking at the therapeutic response to different treatment approaches.

Data Availability

Data will be shared at request according to the institutional policy.

Ethical Approval

All procedures performed in this study were in accordance with the ethical standards of the institutional and national research committee and with the 1964 Helsinki declaration and its later amendments or comparable ethical standards. Acceptance number: 45423/30.12.2015 (Commission of Ethics, University of L’Aquila).

Consent

Informed consent was obtained from all individual participants included in the study.

Conflicts of Interest

The authors declare that they have no conflicts of interest.

Authors’ Contributions

DP, AM, and RC conceived and designed the study. DP performed the tenderness protocol. EO and AM acquired the data. DP and RC analyzed and interpreted the data. DP and RC drafted the manuscript, and AM and DP revised it critically for important intellectual content. All authors read and approved the final manuscript.

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Orthodontic management by functional activator treatment: a case report

Published online 2017 Dec 2

Giuseppe AprileEleonora OrtuRuggero CattaneoDavide PietropaoliMario Giannoni, and Annalisa Monaco

Abstract

Background

Managing orthodontic treatment is often very difficult for the orthodontist. Many devices are used during the orthopedic phase of orthodontic treatment, always with different functions. We describe a case of orthodontic management treated with the Equilibrator O.S.A. device (equilibrator designed by Ovidi, Santi, and Aprile for Eptamed SRL; Cesena, Italy; www.eptamed.com).

Case presentation

A healthy 10-year-old white boy presented with a skeletal class II, division 1 malocclusion, molar class II, exhibiting an overjet of 7 mm prior to treatment. For treatment, we only used the Equilibrator O.S.A. device.

Conclusions

We successfully treated an orthopedic/orthodontic case with a particular device that we describe here.

Background

Functional activators were created for orthodontic purposes in the 1950s by Soulet and Besombes, two French orthodontists. These functional orthopedic devices were designed to reinstate the craniofacial architecture. The first Soulet-Besombes appliances were made of natural rubber because its elasticity was able to produce a well-controlled orthopedic effect. This technique was defined by the French orthodontic inventors as a way to free, stimulate, and lead the growth of jaws []. In subsequent years, pursuant to the Soulet and Besombes orthodontic philosophy, many functional activators were developed, with several shapes, different materials, and various orthodontic purposes. Activators balance the skeletal bases through two double matched planes, upper and lower, where teeth are positioned with effects of propulsion, retropulsion, and expansion. After employing the positioners, the orthodontist will require minor tooth movement after functional treatment because of the elastomeric material []. In fact, this device improves the chewing function, aligns the teeth, re-educates the tongue due to stimulation toward the retroincisal papilla spot, and modulates the muscular tone in occlusal-postural syndrome; moreover, it is ideal for treating obstructive sleep apnea syndrome. The employed materials are suitable because they are soft enough to allow patient compliance without traumatizing the oral mucosa and jaws and at the same time are tough enough to resist chewing loads. There is a complete array of activators for every type of mouth, according to the skull conformation, body features, and dental arch shape. Proper employment of this activator in association with physical exercises will allow patients to obtain benefits in the entire neuromyofascial system []. The aim of this report is to describe a patient with a class II, skeletal I division, molar class II mandibular deficit, who exhibited both overjet and overbite between 6 and 9 mm prior to treatment. This case was solved during mixed dentition by using only the activator Equilibrator (EQ) O.S.A. ideated by Doctors Ovidi, Aprile, and Santi and commercialized by Eptamed (EQ O.S.A.; Eptamed SRL, Cesena, Italy; www.eptamed.com) according to orthopedic-functional orthodontics.

Case presentation

This study was conducted in accordance with the fundamental principles of the Declaration of Helsinki. A healthy 10-year-old white boy (without any types of diseases) was clinically examined at the Dental Clinic of the University of L’Aquila. He was examined by the same clinician (AM) who prescribed a dental panoramic radiograph, acquired extraoral and intraoral photos, and took alginate impressions of both dental arches. Based on these data, the orthodontist created a treatment plan specific to the patient according to the Index of Orthodontic Treatment Need (IOTN) described by Brook and Shaw []. The diagnosis was a skeletal class II, division 1 malocclusion, molar class II, exhibiting both an overjet of 7 mm prior to treatment. According to the IOTN, our patient displayed a grade 4 treatment requirement (increased overjet > 6 mm but ≤ 9 mm; extreme lateral or anterior open bites > 4 mm). He showed a medium grade of dental crowding in both dental arches, interincisive diastemata between the upper central incisors, and an increased overjet because of tongue interposition (Figs. 1 and and2).2). Fortunately, he did not have any speaking or eating problems. His dental and oral health was good; in fact, he was also under the care of the dental hygienist of our Clinic. He was treated only with the use of the EQ O.S.A. 4 device (white, in natural rubber) that will be described subsequently (Fig. 3), which was replaced two times after 6 months, during 1 year of orthopedic-functional orthodontic therapy. He was under treatment until full permanent dentition was completed.

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Intraoral photographs before starting the orthopedic-functional orthodontic therapy

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Intraoral photographs before starting the orthopedic-functional orthodontic therapy

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The Equilibrator O.S.A. device in the oral cavity of the patient

EQ O.S.A. device

The EQ O.S.A. (Eptamed-produced) is the result of a coordinated effort among eminent chemistry and technology manufacturers to provide orthodontists a valid aid to optimize clinical outcomes. It shows a wide therapeutic range. The shape was defined in 2005 and since then it has been used in many clinical cases with excellent outcomes. This equilibrator yields several benefits: improving the chewing function, aligning the teeth, re-educating the tongue due to stimulation toward the retroincisal papilla spot, and modulating the muscular tone in occlusal-postural syndrome; furthermore, it is ideal for treating obstructive sleep apnea syndrome. After taking alginate impressions and developing cast stone models, the orthodontist uses an appropriate ruler to measure the distance between the palatal cusps of the first upper bicuspids (or the first upper deciduous molars) and will choose the correct size among the following:

  • OSA 3 – from 24 to 27 mm in mixed dentition;

  • OSA 4 – from 28 to 31 mm in mixed dentition;

  • OSA 5 – from 32 to 36 mm in permanent dentition.

Three different materials are available based on hardness: white in natural rubber (soft), lavender in elastomeric resin (medium), and mint in elastomeric resin (hard). The patient inserts his or her teeth in the fitting upper and lower splints. This device is functionalized by biting it, through soft elastic forces led by muscle energy. The activator is worn all night long and for 1 hour during the day. The activator can be worn in the day while reading, driving, or studying, but not while playing sports. Moreover, two exercises of 15 minutes each are executed, in the morning and in the evening. The basic exercise can be adapted to the patient’s features and characteristics. In Souchard’s frog position, attention is paid to breathing slowly and softly biting the activator during inspiration and releasing the jaws during expiration. The tongue remains at its position. Coordination might be difficult in the beginning, but after a few times, the patients often become familiar with it. The orthodontist checks the patient every 45 days to evaluate eventual modifications for execution on the device. The appliance must be replaced every 6 months, according to the orthodontist’s evaluations, until reaching the final orthodontic outcome. After 1 year of using the EQ O.S.A. device, our patient’s IOTN passed from grade 4 to a grade 1, as shown in Figs. 4 and and5.5. He completed the orthodontic treatment with a satisfactory alignment of both dental arches, and his tongue function was rehabilitated (final swallowing with the tongue in its position).

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Intraoral photographs at the end of the orthopedic-functional orthodontic therapy using the EQ O.S.A. device

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Intraoral photographs at the end of the orthopedic-functional orthodontic therapy using the EQ O.S.A. device

Discussion

Recently, knowledgeable orthodontists intending to solve cases have focused their attention on the etiopathogenesis of malocclusions instead of single clinical features. This orthodontic approach is aimed at maintaining teeth in the corrected positions after treatment and preventing orthodontic relapse. Atypical swallowing is a myofunctional problem, which constitutes a hot topic in orthodontics because it is challenging to treat. Tongue thrusting (an abnormal tongue position deviating from the physiological swallowing pattern) and mouth breathing may be associated with anterior open bite, transverse contraction of the maxillary dental arch, abnormal speech, interincisive diastema, and anterior protrusion of the maxillary incisors. It appears that several factors account for the persistence of infantile swallowing patterns and that tongue thrust plays an important role in the etiology of open bite as well as in the relapse of patients with treated open-bite. A low tongue posture is associated with mouth breathing and the development of inflammatory diseases such as otitis, tonsillitis, sinusitis, and adenoid hypertrophy []. Last, but not least, mouth breathers with a low tongue posture often have chronic neck pain and poor posture. The literature shows that the tongue and neck muscles are related because of common proprioception by a common trunk from the ansa cervicalis through the hypoglossal nerve [].

The EQ O.S.A. is a type of orthodontic appliance that stimulates growth and, through the input of muscle movements, elicits tissue development toward a suitable chewing function. The device is actually an orthopedic-functional appliance. Biting this elastomeric device balances tension up to the sphenobasilar synchondrosis, according to osteopathic medicine and philosophy. The teeth’s positions are determined by this new skull harmony through an osteopathic effect []. Laganà and Cozza have described a similar case treated with a similar device []. The EQ O.S.A. device correctly employed allows a healthier posture and freer movements of the tongue. The apex of the tongue touching its spot during swallowing together with the centripetal force of perioral muscles act as an orthodontic device to enhance reduction of the overjet, improvement of tongue function and, thereby, an enhancement of breathing, with functional and esthetic improvements.

Conclusions

The aim of this case report is to allow the orthodontist reader to learn the basic clinical skills for this appliance, which is easy to use and comfortable to wear. Enhancing the dynamic function, and thereby the cause of the malocclusion, makes orthodontic relapse much less likely and thus maintains stable occlusion over time. Proper use of the activator, in association with exercises and techniques for muscular balance, will allow the patient to gain benefits throughout the neuromyofascial system – with fewer concerns for the orthodontist.

Acknowledgements

The authors thank all the staff of the Dental Division of the University of L’Aquila.

Funding

No external funding was utilized to support publication of this paper.

Availability of data and materials

Not applicable

Abbreviations

EQ O.S.A. Equilibrator O.S.A.
IOTN Index of Orthodontic Treatment Need

Authors’ contributions

MG and AM designed the study. The patient was under the care of AM. EO and RC wrote the manuscript. GA and DP revised the entire manuscript. All authors read and approved the final manuscript.

Notes

Ethics approval and consent to participate

Not applicable

Consent for publication

Written informed consent was obtained from the patient’s legal guardian(s) for publication of this case report and any accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this journal.

Competing interests

The authors declare that they have no competing interests.

Publisher’s Note

Springer Nature remains neutral with regard to jurisdictional claims in published maps and institutional affiliations.

Contributor Information

Giuseppe Aprile, moc.liamg@g.elirpa.

Eleonora Ortu, Phone: +390862434974, moc.liamg@utroele.

Ruggero Cattaneo, ti.orebil@gurtac.

Davide Pietropaoli, moc.liamg@iloaporteipedivad.

Mario Giannoni, ti.qavinu.cc@inonnaig.oiram.

Annalisa Monaco, ti.oohay@ocanomasilanna.

References

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2. Langlade M. [Contribution to the simplified therapeutic orthodontic method of Soulet-Besombes] L’ Orthodontie Francaise. 1966;37:487–90. [PubMed[]
3. Heideborn M. Clinical and electromyographic results of treatment with the splint-activator of Soulet-Besombes. Fortschritte der Kieferorthopadie. 1965;26(3):293–9. doi: 10.1007/BF02166057. [PubMed] [CrossRef[]
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5. Janson GR, da Silva CC, Bergersen EO, Henriques JF, Pinzan A. Eruption Guidance Appliance effects in the treatment of Class II, Division 1 malocclusions. American Journal of Orthodontics and Dentofacial Orthopedics. 2000;117(2):119–29. doi: 10.1016/S0889-5406(00)70222-8. [PubMed] [CrossRef[]
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12. Brook PH, Shaw WC. The development of an index of orthodontic treatment priority. European Journal of Orthodontics. 1989;11(3):309–20. doi: 10.1093/oxfordjournals.ejo.a035999. [PubMed] [CrossRef[]
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Dental Occlusion and Ophthalmology: A Literature Review

Published online 2016 Aug 31

Nicola Marchili,* Eleonora OrtuDavide PietropaoliRuggero Cattaneo, and Annalisa Monaco

Abstract

Stomatognathic system is strictly correlated to other anatomical regions; many studies investigated relationship between temporomandibular joint and posture, several articles describe cranio-facial pain from dental causes, such as trigger points. Until now less interest has been given to connections between dental occlusion and ophthalmology, even if they are important and involving. Clinical experience in dental practice claims that mandibular latero-deviation is connected both to eye dominance and to defects of ocular convergence. The trigeminal nerve is the largest and most complex of the twelve cranial nerves. The trigeminal system represents the connection between somitic structures and those derived from the branchial arches, collecting the proprioception from both somitic structures and oculomotor muscles. The intermedius nucleus of the medulla is a small perihypoglossal brainstem nucleus, which acts to integrate information from the head and neck and relays it on to the nucleus of the solitary tract where autonomic responses are generated. This intriguing neurophysiological web led our research group to investigate anatomical and functional associations between dental occlusion and vision. In conclusion, nervous system and functional pathways strictly connect vision and dental occlusion, and in the future both dentists and oculists should be more and more aware of this correlation for a better diagnosis and therapy.

INTRODUCTION

Clinical experience in dental practice claims that some cranio-mandibular characteristics could be connected both to eye functions and functional defects [].

Authors in a theoretical model demonstrated, for example, that rapid orthopedic maxillary expansion of the palate causes strains on structures directly and not directly joined with maxillary bones possibly reflecting on anatomy and function of oculomotor visual systems [].

Stomatognathic system is correlated to other systems and anatomic regions; many studies investigated relationship between temporomandibular joint and posture, several articles describe cranio-facial pain originating from a different anatomical region, such as trigger points []. Until now less interest has been given to connections between dental occlusion and ophthalmology.

The trigeminal nerve is the largest and most complex of the twelve cranial nerves. It supplies sensations to the face, mucous membranes, and other structures of the head. It is the motor nerve for the muscles of mastication and contains proprioceptive fibers [].

On the other hand some anatomic studies related the trigeminal nuclear complex to several others nuclei of the brainstem linking trigeminal function to facial, hypoglossal, cochlear function [], vagal/parasymphatetic [] function and for the purpose of this review to collicular and oculomotor system [].

This integration justifies functional union among neck, head, tongue and vegetative answers inducted by postural variations of every element of this circuit, among them also some afferent fibers to intermediate nucleus coming from vestibular and oculomotor nucleus [].

The goal of this review is to analyze the current literature on the research findings on the relationship between stomatognathic and visual systems in order to confirm the anatomical and clinical suggestions above mentioned.

METHODS

Research Strategy

A literature search was performed searching English-language articles. The following electronic databases were selected: PubMed, Google Scholar and Scopus. It was not possible to make a temporal restriction (usually literature reviews are limited to the last ten years) because of lack of papers about correlations between dental occlusion and vision. The database queries were performed independently by three reviewers according to key words listed in Table Table1.1. Animal studies, abstracts, letters, case reports, and reviews were excluded. Disagreement regarding inclusion was resolved by discussion. To avoid inappropriate exclusions, adjectives, nouns, plural and singular forms of all terms were used.

Table 1

Electronic databases used and search strategy.

Database Search Strategy
Keywords/MeSH
Pubmed
http://www.ncbi.nlm.nih.gov/pubmed/
Dental occlusion OR
Temporomandibular joint(s) OR
Tmj OR
Lower Jaw OR
Mandible AND
Ophthalmology OR
Vision OR
Google Scholar
scholar.google.it
Pupil(s) OR
Strabism OR
Scopus
www.scopus.com/home.url
Myopia OR
Astigmatism OR
Hypermetropia

In addition, a manual search was performed in the following journals: Journal of Clinical Pediatric Dentistry, European Journal of Paediatric Dentistry. The search resulted in a total of thirteen articles and, subsequently, a final eligibility screening was conducted to verify the agreement with the inclusion and exclusion criteria listed below.

Inclusion Criteria

  • Randomized controlled trials (RCTs) and historical controls for clinical trials (HCTs).

  • Studies about functional relationship between gnathology and vision.

Exclusion Criteria

  • Studies involving patients with systemic diseases such as oculo-facio-cardio-dental syndrome, psychosocial impairment, craniofacial abnormalities.

  • Studies about connections between mouth and eyes in facial traumas, such as oral and maxillofacial surgery articles.

  • Studies about connections between oral anesthesia (both plexic and troncular blocks) and vision.

  • Studies about relationship between endodontics and eye infections.

  • Studies about association between periodontology and anterior scleritis.

  • No data for the evaluation of inclusion/exclusion criteria.

A total of eight articles were included according to both inclusion and exclusion criteria. These are summarized in Table Table22 with notations regarding Authors, year of publication and sample size.

Table 2

Characteristics of the reviewed papers.

Study Sample Size Study Design Age Sex
[] 216 119 patients class I, 62 patients class II division 1, 15 patients class II division 2, 20 patients class III 11.4 ± 1.2 years 96 males, 120 females
[] 146 122 patients Class I, 26 patients Class II.1, 9 patients Class II.2, 19 Class III; 39 patients with cross-bite and 137 without cross-bite 12.4 ± 2.1 years 65 males and 81 females
[] 20 10 children with myopic defects
10 children with normal vision
Mean age 9±8 months, between 7 and 13 years
[] 13 Healthy subjects in habitual dental occlusion and stimulating ANS maintaining rest position Mean age 27.1 ± 6.9 years 5 females, 8 males
[] 20 10 subjects wearing eyeglasses, 10 without sight defects Mean age 21.5 ± 1.23 years 12 females and 8 males
[] 20 10 males with polysomnographic diagnoses
of mild OSAS and 10 with AHI less than 5
Mean age of study group 43.62±4.64 years
Mean age of control group 41.78±7.45
20 males
[] 36 18 females with myogenous TMD
18 matched controls
Mean age 26.5±5.3 years 36 females
[] 40 20 RDC / TMD patients
20 controls
Less than 30 years 40 females
[] 40 20 air force pilots 20 civilian pilots Mean age 35.15 ± 8.14 years in air force group
Mean age 34.23 ± 9.13 years in civilian pilots group
40 males
[] 100 50 symptomatic patients with bilateral TMJ disc displacement
50 asymptomatic patients with normal disc position
Study group: 13 men, 37 women; mean age, 28.84 ± 8.22 years
Control group: 14 men, 36 women; mean age,
29.96 ± 5.04 years
[] 120 60 presenting mandibular latero-deviation, 60 without functional mandibular laterodeviation From 4 to 11 years (mean age 7
years)
Study group: 36 males, 24 females
Control group: matching gender and age case control.
[] 36 18 permit holders shooters, 18 controls 36 males
[] 50 25 TMD patients 25 non-TMD control subjects Average age in TMD group: 31 years Average age in control group: 28 years 50 females

RESULTS

Thirteen studies were identified for the aim of our paper. Four studies [] by Monaco et al. analyzed pupil dynamics in patients affected from temporomandibular disorders and in other patients affected by sleep apnea, two studies examined the role of surface electromyography of masticatory and postural muscles to investigate ophthalmic system [], one article correlated dental occlusion, gaze and body posture [], one article investigated the binocular motility system in patients suffering from TMJ internal derangement [], one paper analyzes how dental occlusion modifies vision [], two studies investigated connections between malocclusions and myopia [] and astigmatism [] and two publications investigated connections between mandibular deviations and vision [].

857 people were investigated in the selected works. Among them 465 females and 372 males. Two studies focused on children (mean age 7.4 years), 48 females and 72 males, two studies on adolescents (mean age 11.8 years, 201 females and 161 males), and nine studies on adults (mean age 24.2 years, 139 males and 216 females) (Table (Table33).

Table 3

People investigated by selected works.

Children Adolescents Adults
Males 72 161 139
Females 48 201 216
Weighted mean age 7.4 years 11.8 years 24.2 years

In the selected studies people investigated belonged showed different clinical characteristics. Those characteristics are evidenced in the following pie charts: In Fig. (11) it is shown that 282 were healthy volunteers (mean age 23.9 years, 148 males and 134 females) among them 40 were pilots, 18 permit holders shooters , in Fig. (22) it is possible to notice that 173 were TMD ( mean age 20.02 years, 49 males and 124 females).

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Among 282 healthy volunteers, 134 were females, 40 were pilots, 18 were permit holders shooters and other 90 were other males.

An external file that holds a picture, illustration, etc. Object name is TODENTJ-10-460_F2.jpg

Among TMD patients, 49 were males and 124 females.

Many studies conducted by Monaco et al. showed the presence of a relationship between malocclusions, temporomandibular disorders and visual defects, remarking a higher prevalence of myopia in patients with class II malocclusions than in patients with class I and III malocclusions, as well as a higher prevalence of patients with astigmatism and cross-bite (Table (Table4).4). Monaco et al. [] underlined that a change in the visual input does not elicit an alteration in the stomatognathic muscles system basic activity in children with healthy vision, while the myopic children showed an enhancement of anterior temporal tone at rest.

Table 4

Myopia had a significantly greater prevalence in Class II patients [].

Type of
visual defect
Class I (n=119) Class II (n=62) Class II Division 2 (n=15) Class III (n=20) Results of χ2 test
n – % n – % n – % n- % P value
Myopic 21 – 9.7% 42 – 19.4% 6 – 2.7% 3 – 1.3% p<0.0001
Non-myopic 98 – 45.3% 20 – 9.25% 9 – 4.1% 17 – 7.8% p<0.005

Several studies assessed both anatomical and clinical effects of rapid maxillary expansion []. Leonardi et al. demonstrated that the spheno-occipital synchondrosis is involved during RME therapy in youngsters; for the first time in humans, it is known to widen in response to midpalatal suture expansion (Table (Table5).5). Baldawa et al. warned that rapid maxillary expansion should be used carefully in adults, because of its far-reaching effects involving heavy stresses being noted at the sphenoid bone, zygomatic bone, nasal bone, and their adjacent sutures. Ortu et al. stated that there is even an evident change in the position of the head after the rapid palatal expansion.

Table 5

The clinician should realize that with activation of the RME appliance he/she is also forces on other structures that may or may not be beneficial for the patient [].

Sutures Maximum von Mises Stress Values, kg/mm2 Minimum von Mises Stress Values, kg/mm2 Average von Mises Stress Values, kg/mm2
Internasal 55.4 7.22 19.18
Nasofrontal 32.7 8.13 15.82
Nasomaxillary 25.6 12.8 19.46
Frontomaxillary 9.38 8.11 8.67
Zygomaticomaxillary 8.95 2.85 5.71
Zygomaticofrontal 33.0 4.11 14.42
Zygomaticotemporal 9.27 1.99 5.24

Computational result of the Von-Mises stress distribution on the various sutures of the craniofacial complex following 5 mm of transverse expansion.

DISCUSSION

Authors’ primary goal is to give clinical advice starting from the study of anatomical and functional connection between dental occlusion and vision. Monaco et al. published several articles investigating these links, from mydriasis in patients affected from temporomandibular disorders to a provision of glasses under surface electromyography (sEMG) control. Monaco et al. [] noticed a significant change in sEMG activity, mainly observed at opening eyes in myopic children. This phenomenon suggests that a bioelectric device as electromyography could help the diagnosis of vision problems in unaware patients or to control lenses adequacy. Anterior temporal tone increase for worsening of visual defects could be associated to episodic tension-type headache with enhanced levels of tenderness and/or sEMG of masticatory and postural muscles and clinically relevant in differential diagnosis of headache. Mesin et al. [] claimed that pupillogram is a reliable device to inspect the condition of the autonomous nervous system (ANS). A simple, short, not expensive protocol (suitable for a clinical setting) is proposed, based on the investigation of pupil dynamics in darkness with the mandible in rest position (RP) or during a habitual dental occlusion (HDO). The joint analysis of linear and Recurrent Quantification Analysis indexes extracted from the pupillogram is sensitive enough to discriminate between these two conditions, determining weakly different stimulations of the Autonomous Nervous System. Fiorucci et al. [] affirmed that by considering the parameters measured by the proposed system, it is possible to state the right choice for the degree of eyeglasses or contact lenses, with a direct and objective evaluation of the generated muscular stress. To extract useful information about the effect of incorrect lenses, the electromyography signal in rest conditions should be suitably acquired and processed in order to both reduce the effect of the noise and to supply the oculist with a reliable quantitative indication. The pupil size data collected and analyzed by Monaco et al. [] show that patients affected by obstructive sleep apnea syndrome (OSAS) show different behaviors compared to the control subjects under infrared conditions. These data indicate that OSAS patients could suffer from a dysregulation of vegetative control probably due to difficulties in inhibiting cholinergic pathways during activation of adrenergic ones at the pupil level to properly respond to activation (lack of light and muscular stress). Monaco et al. [] in a recent study found no significant difference in pupil size in darkness between the control and TMD groups. On the contrary, They found significant within-group differences in pupil size in the darkness condition before TENS compared with during TENS in both the control and TMD groups; precisely, the pupil size was reduced during TENS. Significant differences in pupil size in the darkness condition were found pre- compared with post-TENS in the control group but not in the TMD group. In the control group, the pupil size was reduced post-TENS, with the same reduction obtained during TENS; in the TMD group, the size of the pupil post-TENS got back close to the pre-TENS value. Significant differences in pupil size in the light condition were found between the control and TMD groups; specifically, the TMD group showed a significantly smaller pupil size. Significant within-group differences in pupil size in the light condition were found pre-TENS compared with during TENS and pre-TENS compared with post-TENS in the control group but not in the TMD group; pupil size in the light condition was reduced just in the control group. Monaco et al. [] assessed that TMD patients show values of pupil size bigger in Rest mandible position (RP) infrared and lower in RP light condition than healthy subjects, although not statistically significant; under the stress of forced habitual occlusion (FHO) TMD patients have a different reaction compared to healthy subjects: Forced Habitual Occlusion/Rest mandible Position ratio in darkness and light/darkness ratio in Rest Position have significantly different behavior in the two groups. Control subjects increased, while TMD patients decreased pupil size at FHO in infrared lightening. In infrared conditions FHO/RP ratio is significantly greater in control group as well as light/darkness ratio at RP. Pupil size in RP infrared is greater in healthy people than in TMD group. The discrepancy between groups does not indicate statistical significance, probably because of dispersion of values. On the contrary, comparison within group at infrared lighting shows that FHO pupil size of the healthy subjects increases highly compared to RP, while FHO pupil size of TMD subjects decreases significantly. Pupil size is modulated by a tricky interaction between sympathetic and parasympathetic branches of ANS: the first uses mainly adrenergic, the second cholinergic pathway. Both muscles of iris (sphincter and dilator) get reciprocal innervations from the 2 branches of ANS providing contraction and inhibition (or relaxation). Parasympathetic cholinergic fibers, from Edinger-Wesphal Nucleus, supply the iris sphincter acting for contraction of the muscle and so reduction of the pupil size. At the same time, the sphincter receives beta-adrenergic innervations able to decrease the contraction providing relaxation of the muscle. In humans pupil dilation obtained by beta-adrenergic inhibition of sphincter can be less than half of the maximum physiological dilation. Iris dilator muscle mostly receives a adrenergic sympathetic motor innervation (Budge’s Cilio Spinal Center) eliciting contraction and so enhancing pupil size. Dilator muscle contraction is mediated by alpha-adrenergic receptors and inhibition or relaxation may be acted by muscarinic receptors and, maybe, by beta-adrenergic innervations. Dysregulated balance between ANS branches may lead to a deficit of inhibitory effect. Defect in beta-adrenergic or muscarinic inhibition that counteracts the action of alpha-adrenergic contraction of the dilator may result in bigger pupil size in obscurity and reduction of beta-adrenergic inhibition on cholinergic system of sphincter muscle could lead to increase of myosis. For Baldini et al. [] mandibular position influences the sway area with good statistical significance in pilots, but not the sway velocity. The pilot’s postural equilibrium worsened in the centric occlusion mandibular position, thus indicating that dental occlusion had a negative influence on body posture. This may be due to the peculiar condition of the pilots’ stomatognathic system, stressed by bruxism and the effect of in-flight forces. Pilots have a better postural control than normal individuals in all occlusal and visual combinations. A wrong fabrication of occlusal splints for protecting the stomatognathic system can unbalance the postural system, predisposing to an even higher incidence of posture-related symptomatologies. Briefly, vision exercises a central role in the postural system of air force and civilian pilots, the visual function allows for better postural control. Anatomic connections were shown between the trigeminal and oculomotor systems. In the mesencephalic nucleus of the trigeminus, which extends from the dorsal portion of the spinal trigeminal nucleus to the caudal part of the superior colliculus, connections associated with the extraocular muscles are present []. Buisseret-Delmas and Buiseret used a peroxidase injection into the oculomotor muscles as a marker that diffuses in the Gasser ganglium, in the pars interpolaris and caudalis of the spinal trigeminal nucleus, in the paratrigeminal nucleus, and in the dorsal horn of the cervical spinal cord []. The main nucleus of the trigeminus and the oral, interpolar, and caudal portions of the spinal trigeminal nucleus are connected with the vestibular nucleus and the prepositus nucleus of the hypoglossus. This nucleus is part of a small group of neurons adjacent to the nucleus of the hypoglossus, but they are not matched; it is also an important center of elaboration of the position and movements of the eyes, because of its strict relationship with the vestibular nuclei, the cerebellum, and the oculomotor nuclei []. Cuccia et al. found that patients suffering from TMJ internal derangement showed reduced convergence compared with the healthy subjects, particularly the patients affected by disc displacement without reduction. Moreover, a positive fusional convergence reduction was found in the internal derangement patients. The normal alignment of the eyes is maintained by their fusional movements. The reflex is driven by retinal image disparity. In normal conditions, retinal image disparity produces diplopia. Fusional movements then trigger a vergency response to align the images of the object in regard to the foveas. Near positive fusional vergence measures the extent to which a person can maintain fusion with gradually increasing vergence demands. Altered ocular movements in TMD patients may be related to dysfunction in Superior Colliculus, a relay center in the midbrain receiving visual, somesthetic, and proprioceptive afferent fibers and is involved in postural motor and gait control as well as gaze movements. Bilateral trigemino-collicular connections have been described in pigs, rats, and cats, and this connection is of interest particularly for the principal trigeminal nucleus []. Cuccia, et al. discussed the relationship among dental occlusion, the oculomotor system, and visual stabilization. Evidence of a correlation between eye and dental occlusion also came from the use of Gelb mandibular orthopedic repositioning appliances (MORAs), which simultaneously modify mandibular position and visual focusing tests using the Maddox rod and the Berens prismatic bars. Holfberg et al. assessed that the superior orbital fissure, that oval foramen, the spinous foramen, the round foramen, the lacerated foramen, the optic foramen, and the carotid sulcus are particularly affected by rapid palatal suture expansion. Jafari et al. warned the clinician to realize that with activation of the rapid maxillary expansion appliance he/she is producing not only an expansion force at the intermaxillary suture but also forces on other structures within the craniofacial complex that may or may not be beneficial for the patient, confirming what Monaco clinically evalued, that is an exophoria-tropia may turn into a simple exophoria after palatal expansion []. It is evidence-based that TMJ examination should include the extraocular musculature. Dysfunctional afferences carried by the trigeminal system, deriving from lesions in the masticatory muscles or the TMJ, can involve binocular function, because of the functional relationship between the trigeminal and oculomotor systems. The oculomotor function must be assessed as important as the TMD, because the visual function is the most important afferent pathway in posture. In conclusion, nervous system and functional pathways strictly connect vision and dental occlusion, and in the future both dentists and oculists should be more and more aware of this correlation for a better diagnosis and therapy.

ACKNOWLEDGEMENTS

Declared none.

CONFLICT OF INTEREST

The authors confirm that this article content has no conflicts of interest.

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Central Sensitization-Based Classification for Temporomandibular Disorders: A Pathogenetic Hypothesis

Published online 2017 Aug 28.

Annalisa Monaco, * Ruggero CattaneoMaria Chiara MarciDavide Pietropaoli, and Eleonora Ortu

Abstract

Dysregulation of Autonomic Nervous System (ANS) and central pain pathways in temporomandibular disorders (TMD) is a growing evidence. Authors include some forms of TMD among central sensitization syndromes (CSS), a group of pathologies characterized by central morphofunctional alterations. Central Sensitization Inventory (CSI) is useful for clinical diagnosis. Clinical examination and CSI cannot identify the central site(s) affected in these diseases. Ultralow frequency transcutaneous electrical nerve stimulation (ULFTENS) is extensively used in TMD and in dental clinical practice, because of its effects on descending pain modulation pathways. The Diagnostic Criteria for TMD (DC/TMD) are the most accurate tool for diagnosis and classification of TMD. However, it includes CSI to investigate central aspects of TMD. Preliminary data on sensory ULFTENS show it is a reliable tool for the study of central and autonomic pathways in TMD. An alternative classification based on the presence of Central Sensitization and on individual response to sensory ULFTENS is proposed. TMD may be classified into 4 groups: (a) TMD with Central Sensitization ULFTENS Responders; (b) TMD with Central Sensitization ULFTENS Nonresponders; (c) TMD without Central Sensitization ULFTENS Responders; (d) TMD without Central Sensitization ULFTENS Nonresponders. This pathogenic classification of TMD may help to differentiate therapy and aetiology.

1. Introduction

Chronic TMD is a frequent disorder in the general population. Its diagnosis is mainly clinical and the diagnostic criteria include signs of dysfunction of stomatognathic system and provoked and/or spontaneous pain of the joint and/or the stomatognathic muscles at rest or during function.

Pain, in particular, is necessary for the diagnosis of TMD. To date, evidence is inconclusive regarding instrumental biomarkers of TMD based on the anatomic and functional analysis of the stomatognathic system []. For this reason, it has been suggested that the characteristics of pain in TMD could explain the pathogenesis of the disorder better than other mechanisms []. For example, the concomitant presence of TMD and headache in many TMD patients suggests a clinical association between the diseases and a possible common pathogenesis of pain [].

The international classification of headache (ICHD) and that of TMD (RDC/DC) consider the characteristics of pain in headache and TMD and have introduced criteria to differentiate between them []. However, the association between the two forms is greater than what random association could suggest and the clinical course of the one often follows that of the other [], suggesting a potential comorbidity that has also been hypothesized for TMD and other disorders characterized by chronic pain (e.g., fibromyalgia [FM], headache/migraine, irritable bowel syndrome [IBS], and low back pain [LBP]) []. Based on the hypothesis of a common central dysregulation in the modulatory pathways of pain, these disorders have been systematically classified as central sensitization syndromes (CSSs) [], with TMD representing a specific CSS [].

Central Sensitization Syndromes (CSSs). CSSs are a group of disorders characterized by chronic nonneuropathic and nonnociceptive pain; the pain is not proportional to the type of injury/damage and it must be accompanied by the presence of neurophysiological/neuropathological phenomena (secondary hyperalgesia, allodynia). These disorders frequently lack histopathologic and/or instrumental evidence that can directly and proportionally explain the severity of pain and disability, and specific therapies are usually unsatisfactory in the short and long term [].

The nosologic category of CSSs is recent, and the list of disorders is in progress. Although originally used to justify the “chronic pain,” the current definition also embraces functional and cognitive impairment, such as those observed, among others, in IBS, insomnia, restless leg syndrome, multiple chemical sensitivities, and disorders characterized by affective and emotional symptoms (e.g., anxiety, panic, depression, and posttraumatic stress disorder) []. These syndromes share the pathogenic mechanism of CS. The CS is defined as “an amplification of neural signaling within the central nervous system (CNS) that elicits pain hypersensitivity” []:

Some neurophysiological characteristics of the neurons affected by CS are the generation or increase in spontaneous firing activity, the lowering of the activation threshold for their physiological stimuli, the more intense and longer activation after a nociceptive stimulus, and the development of larger receptive fields [].

Due to the plastic properties of neurons, CS determines a change in the functional state of the CNS characterized by an increased release of excitatory transmitters and continuous activation of specific nervous pathways. Through functional changes that involve the amplification of the physiological transmission of impulses, any central neural structure can become the center of hyperexcitation and can trigger an altered response to afferences. Information exchanged among the CNS structures remains active after the termination of the peripheral phenomenon and can induce endocrine, motor, not physiologically oriented autonomic responses, and pain. Neurophysiological tests were conducted in the CSS to demonstrate the presence of secondary hyperalgesia and/or allodynia, which are considered markers of CS [].

From a biological point of view, the psychological phenomena related to chronic pain have a counterpart in the dysregulation of cognitive, neuromuscular, autonomic systems, and the endogenous opioid system [].

Although common anatomic and functional patterns of CS among CSS are not yet clearly demonstrated [], convincing data indicate that the Periaqueductal Gray (PAG) plays a key role in the maintenance of this state [].

2. TMD and CSS

Chronic TMDs are characterized by chronic pain, which is also a characteristic of CSSs. The probability that pain becomes chronic is significantly related to the presence of spontaneous or provoked pain on palpation at more than one site of the body, both in TMD and in other CSSs []. In addition, TMDs are frequently associated with other CSSs []. For example, there is a significant correlation between TMD and Myofascial Pain Syndrome, Tension Type Headache/Migraine, FM, IBS, Chronic Fatigue Syndrome, Multiple Chemical Sensitivity, and posttraumatic stress disorder with childhood onset []. Moreover, TMD patients displayed higher CSI scores compared to other CSSs, such as FM and IBS []. For this reason, authors suggested that TMD patients could suffer from generalized hyperexcitability in the CNS nociceptive pathways [].

TMD should be considered a multisystem disorder with the involvement and dysregulation of the sensory-motor, psychic, self, inflammatory, and immune systems [], confirming the general pathogenetic hypothesis of a multisystemic genesis of chronic pain [].

TMD patients, in fact, showed consistent functional/structural changes in the thalamus and the primary somatosensory cortex. Additionally, functional and structural changes were frequently reported in the prefrontal cortex and the basal ganglia in TMD, suggesting the role of cognitive modulation and reward processing in chronic orofacial pain []. Some studies demonstrated that TMD patients suffer from a dysregulation in the autonomic nervous system (ANS) []. In addition, these subjects show a higher frequency of psychiatric disorders (anxiety, depression, alexithymia, and catastrophizing) [].

Taken as a whole, these data suggest that TMD patients suffer of a dysfunction in the endogenous pain inhibition systems [] especially at the PAG level []. As with the CSSs, also for TMD it is difficult to find a specific physical and psychological marker that can give an account of all disorders, possibly because CS is not characteristic of a specific and unique nucleus or pathway, and it is possible that during the chronification process the involvement of different afferent and efferent systems entails the possibility of combining different outputs [].

Sometimes the Central Sensitization starts from a peripheral injury and/or dysfunction; frequently, this is the case of chronic TMD in which muscle, dental occlusion, or temporomandibular joint (TMJ) dysfunction can be considered the peripheral triggers; the deep tissues (muscle, fascia, and joints) are the most powerful in determining the sensitization [] producing enhancement of pain behavior and nociceptive neuronal activity through an alteration in the descending inhibitory or excitatory influences from structures such as the rostral ventromedial medulla (RVM) and a depressive effect on central opioid pathway []. This may explain why for a long time from the clinical point of view dental research has given special attention to the TMJ and/or muscles of stomatognathic system, believing these structures to be the origin of the TMD. In this sense, the idea was not completely wrong. Originally, the problem may have been triggered by acute or subacute pain of deep tissue of the stomatognathic system. The current literature, however, confirms that, once established, the CS becomes independent from injury or damage at the peripheral tissue level and maintains pain despite healing or disappearance of the original damage [].

It is possible that the chronification process has an individual predisposition characterized by the inability to “extinguish” the memory circuits in the brain (nucleus accumbens/hippocampus/medial prefrontal cortex) triggered by the original injury [].

In this case, the circuit would be continuously triggered by trivial, not necessarily painful, stimuli. Only for the fact that the circuit is active every stimulus would reinforce the memory process and the sensitization itself. Chronic pain is therefore to be understood as a “brain disease” and not as a peripheral disorder [] although an improvement in peripheral conditions may contribute to the improvement of the central state [].

This aspect would explain in part the current difficulties in the interpretation of specific TMD literature that deals with the search for an objective peripheral cause. Once the CS has been established for the effect of the original peripheral cause, the latter loses its function and is no more automatically related to the disorder.

From the clinical point of view, these observations could have an interesting implication on the diagnosis and, therefore, the therapy of TMD, configuring the possibility of a gradation of central involvement in TMD according to its chronicity and its comorbidity with other CSSs. Consequently, a modulation of intervention can be hypothesized that may range from a purely dental therapy (e.g., bite), in case of little or no CS, to drugs or psychological/psychiatric therapies when CS is prevalent.

Indirect evidence of the presence of CS in TMD subjects is given by the effectiveness of centrally acting drugs in a percentage of patients []. The use of benzodiazepines [], tricyclic antidepressants [], beta blockers [], gabapentinoids [], and melatonin [], in fact, has shown some effectiveness in reducing pain and other related symptoms (sleep disorders and/or affective-emotional disorders). Among others, melatonin is particularly studied as a therapeutic strategy in CSSs because of its many positive effects and the lack of side effects. It likely acts on reducing pain and allodynia through the activation of MT2 receptors at many sites of the CNS, particularly in PAG, a site of primary importance in the modulation of descending pain system []. It has been recently shown that melatonin has analgesic effects in TMD, probably acting through the endogenous opioid and GABAergic systems [].

3. TENS (Transcutaneous Electric Nerve Stimulation)

TENS is widely used as a therapy for the control of acute and chronic pain [].

It is likely that the uncertainties about its effectiveness are linked to different modality of study, administration, and application of the stimulus, especially in older works [].

The mechanism of action is probably the activation of the endogenous opioids system, and particularly the brainstem PAG-RVM circuit.

Direct evidences by Sluka’s group on animal have shown that TENS works on endogenous opioid and activates central inhibitory pathway []. This group has systematically clarified the mechanism of action of TENS using different modality of stimulation, among them the high frequency high amplitude (motor) and low frequency low amplitude (sensory) TENS, showing the central mechanism of these modalities of stimulation. Specifically, both modalities of stimulation improve secondary hyperalgesia and allodynia, considered marker of central effect. Only low frequency low amplitude TENS fails on primary analgesia, considered marker of peripheral effect []. On the other end, both high frequency high amplitude and low frequency low amplitude tens work at central level: they reduce the secondary hyperalgesia in rats if administered contralaterally to the site of chronic inflammation []. This data confirms that low frequency low amplitude TENS does not work on pain modulation at peripheral level. King and coll. stated that “different frequencies are only important with respect to reducing primary hyperalgesia but not secondary hyperalgesia. Increasing intensity above sensory threshold does not increase inhibition” [].

The location of the mechanism of action has been demonstrated by animal studies. Spinal administration of low dose of naloxone (at low dose naloxone works as specific antagonist of µ receptor of endogenous opioids) and naltrindole (antagonist of δ receptors) in arthritic rats prevents the antihyperalgesia after both low frequency low amplitude and high frequency high amplitude tens show that the δ and µ receptors are the target of stimulation. Particularly, at spinal level low frequency low amplitude TENS works on µ receptors while high frequency high amplitude TENS works on δ receptors []. The RVM µ receptor blockade with microinjection of naloxone reverses the low frequency low amplitude TENS effect on secondary hyperalgesia in rats. The RVM microinjection with naltrindole (δ receptor antagonist) did not affect secondary antihyperalgesia of low frequency low amplitude TENS, while it affected the antihyperalgesia due to high frequency high amplitude TENS [].

Moreover, the RVM response to stimulation is under the control of specific areas of PAG: in animal model of chronic inflammation low frequency low amplitude TENS works on vlPAG (ventrolateral PAG) and does not work on dlPAG (dorsolateral PAG) []. Taken together, these animal studies confirm the central effect of TENS, specifically of low frequency low amplitude TENS, by PAG-RVM path of endogenous opioid.

The PAG-RVM circuit is part of the descending pain modulation system and is crucial in determining the coupling between the afferent and efferent responses towards excitement or inhibition []. Authors suggested that probably the process of chronification is characterized by the shifting from the PAG-RVM on-cell to the PAG-RVM off-cell path []. In particular, PAG-RVM receives vagal and trigeminal afferents from the periphery, but also from supraspinal structures such as the hypothalamus, the amygdala, and the circuit that integrates the work of the lateral and medial prefrontal cortex [].

The PAG-RVM is interleaved with the systems that are responsible for stress response, sensory integration, hormonal and motor somatosensory, and visceral response to pain [] and is related to the centers controlling the arousal state, particularly the Locus Coeruleus (LC) []. In addition, the LC is involved in the maintenance of hyperalgesia and allodynia and participates in the expression of multiple pain modalities with descending facilitation from the RVM [].

An alteration of this balance due to central or peripheral phenomena, such as an alteration in the occlusion [], may induce a state of CS at this level, in part justifying the hyperarousal state in CSSs. LC has been also linked to a category of disorders characterized by imbalance of the arousal systems and alteration of tonic-phasic function of the LC, including disorders of affective-emotional sphere [], chronic pain disorders [], and migraine [].

The data suggest that an imbalance between the arousal system and that of the descending pain modulation may be present in the CSSs. TENS may recognize its diagnostic and therapeutic rationale into the interaction with the circuits discussed above.

While the analgesic effect of TENS was thoroughly investigated, there are few works that dealt with its nonantalgic effects. A positive effect has been observed on sickness [], on fatigue associated with FM [], on distress [], on upper [] and lower limbs motility [], on heart rate variability (HRV) [], on pupil dynamics [], on peripheral blood flow and cutaneous temperature [], on memory and affective behavior [], and on EEG [].

Taken together, although scattered, these data seem to suggest that effects on autonomic (cardiovascular, temperature, and skin conductance) and cognitive system are associated with analgesic effect of TENS, indicating widespread central, antalgic, and nonantalgic effects of this technique that could have utility in the management of CSSs.

4. Ultralow Frequency TENS (ULFTENS)

A particular type of TENS has been used for a long time in dentistry for a variety of purposes, including treatment of pain in TMD patients, prosthetic rehabilitation, and diagnosis and treatment in orthodontics []. It is defined as Ultralow Frequency TENS (ULFTENS) because of the frequency of stimulation (0.66 Hz), belonging to the field of ultralow frequencies (<20 Hz). In ULFTENS, electrical stimulation is applied bilaterally in the preauricular area to stimulate the fifth and seventh cranial nerves [].

The analysis of the physical characteristics and neuromuscular effects of ULFTENS in dental practice is beyond the purpose of this article. Our hypothesis herein is the possibility that ULFTENS can be helpful in understanding the pathogenesis and helping differential diagnoses of TMD meant as a CSS. Classically, ULFTENS is delivered with amplitude that induces contraction of the elevator muscles, so that a little upwards movement of the jaw is obtained (so called low frequency and high amplitude TENS). The main purpose is to obtain reduction of pain and “relaxation” at rest of the stomatognathic muscles, especially the masseter, anterior digastric, and anterior and posterior temporalis muscles, in TMDs. The effect of stimulation is clinically assessed with the use of surface EMG of the cited muscles and with computed kinesiography of jaw movements to measure the amount of free space between the dental arches after ULFTENS, which allows for the comparison with the prestimulation condition []. A considerable amount of data suggests that pain improves after ULFTENS, the electrical activity at rest tends to decrease, and free space tends to increase [].

This assumption has been used to suggest that the ULFTENS acts through a double effect on muscle relaxation, favoring the peripheral metabolic exchange of contracted muscles, and the PAG-RVM circuit of pain, inducing the release of endorphins. On the other hand it is possible that not all stimulated subjects undergo a reduction in muscles contraction and an increase of free space []. In a lower proportion of subjects (5–15%), in fact, the EMG values increase and the free space decreases. This is in contrast with the idea that the ULFTENS obtains its effect through the “muscle relaxation” with a peripheral mechanism of action. More likely, the trigeminal stimulation causes a central effect that can highlight a generic predisposition to a “paradoxical” generalized response. To test the hypothesis that the responsible partly for ULFTENS effects on muscle relaxation and pain is the central sensory circuit, our research group has used ULFTENS with sensory amplitude to exclude muscle movement. Our data seem to suggest that sensory ULFTENS induces EMG reduction and increases free space in a probably centrally driven manner []. For better understanding of the phenomenon, we applied the same stimulation protocol checking the output of pupil dynamics instead of mandible muscle tonus and position. In this way, if the stimulation of sensory, not painful, component of V cranial nerve had an impact on the central systems controlling the arousal state, it would have been possible to get an effect on a system (pupil) not directly under the voluntarily neuromuscular system driven by V cranial nerve. Moreover, the pupil could be considered heterosegmental compared to the V pair of cranial nerve; its involvement by sensory ULFTENS may be considered a central effect of this modality of stimulation. Our data seem to confirm the hypothesis: sensory ULFTENS changes the pupil dynamics in the dark, in the light, and during the voluntary clenching of the teeth. Moreover, the response to sensory ULFTENS is different between healthy and TMD subjects. The latter seem to have difficulties in maintaining and recruiting the correct balance between the two branches of autonomous system controlling the pupil dynamics. Considering the relationship between the arousal system and the pupil dynamics we suggested that sensory ULFTENS works on arousal system but in different way in healthy and TMD subjects: particularly, in the TMD patients sensory ULFTENS seems not be able, compared to healthy subjects, to activate the inhibitory path coming from vlPAG or, alternatively, it seems to activate the dlPAG, instead of vlPAG, increasing the dysregulation between inhibitory and excitatory systems []. This explanation agrees with other authors [] about the different activation of RVM on off-cells driven by PAG activity. Next step of our study used the HRV as peripheral counterpart of central activity of inhibition system []. The goal was to test, in healthy subjects, the effect of sensory ULFTENS on the arousal system after acute mental stress. The hypothesis was that if sensory ULFTENS worked on the brainstem inhibitory component of the arousal system we would have seen, comparing subjects receiving and not receiving sensory ULFTENS, an effect on HRV without different perceived mental stress. Our results showed that subjects who received sensory ULFTENS have a lower activation of the system controlling the HRV than people who did not receive sensory ULFTENS by the same rate of subjective perceive mental stress. In other words, under mental stress the psychological component of the stress was comparable in the two groups, but the autonomic activation controlling the heart dynamics under mental stress was significantly lower in subjects receiving sensory ULFTENS. This data suggests that sensory ULFTENS worked on brainstem circuitry copying the output of heart dynamics independently from sovra brainstem circuitry analysing the mental stress [].

Taken together these data agree with those works previously cited on low frequency low amplitude TENS suggesting its central effect, probably located at brainstem level. This location of the mechanism of action of sensory ULFTENS allows hypothesizing its use to evaluate the Central Sensitization at brainstem level.

Using this type of ULFTENS, it was possible to highlight the dysregulation of the ANS and of the pain modulation systems in TMD [], suggesting that this technique can be used to evaluate the central component of the CSSs. In fact, sensory ULFTENS induces central modifications at both high and low frequencies []. Our data agree with those of Moran et al. [], who stated that the sensory TENS has a significant effect in inducing hypoalgesia compared to placebo. The effects obtained in our work partly disagreed with the claims of Lauretti [], who argues that high amplitude stimuli that cause intense muscle contraction are necessary to obtain a low frequency supraspinal effect with TENS. It is probable that the trigeminal territory stimulated with dental ULFTENS has different somatosensory central characteristics of signals integration than those found in other parts of the body, such as the dorsal lumbar and/or limbs, which can contribute to explain our results. For example, important direct connections have been demonstrated in rats between the nuclear trigeminal system and the PAG and, therefore, with the PAG-RVM system [] and from these structures into areas of the ventrolateral orbital cortex, nucleus accumbens, or the amygdala: in the limbic or affective-motivational centers of the pain-related neural system [].

The hypotheses on the mechanism of action of ULFTENS are summarized in Figure 1. The neuromuscular classical theory is linked to the hypothesis that electrical stimulation may reduce pain by acting on the central circuit (PAG-RVM) and simultaneously induce a relaxation of the neuromuscular system, secondary to the impulse-driven rhythmic movement and the reduction of catabolic substances via a pump effect, with improvement of tropism and, consequently, of the muscle tension. Our alternative hypothesis is that a system that controls the balance of arousal drives the individual’s reaction. Among other structures, we hypothesize that this system is formed by the PAG, the periventricular nucleus of the hypothalamus and the LC. In turn, these subcortical structures would be under the control of superior brain centers, although able to create a feedback to stimulate or inhibit the cortical centers.

An external file that holds a picture, illustration, etc. Object name is PRM2017-5957076.001.jpg

Current and alternative mechanism of action of ULFTENS. vlPAG-RVM: ventrolateral Periaqueductal Gray, LC: Locus Coeruleus, ANS: Autonomic Nervous System, sEMG/Kin: surface Electromyography and computed kinesiography of mandibular movements, HRV: Heart Rate Variability, PPT: Pressure Pain Threshold, CPM: Conditioned Pain Modulation, VAS: Visual Analogic Scale, and CSI: Central Sensitization Inventory.

In the “normal” condition collaboration exists for the control of arousal between cortical and subcortical centers. Information transmitted through sensory ULFTENS reaches the nuclear trigeminal sensory complex and through the latter is projected to subcortical areas that control arousal (LC, hypothalamus, and PAG-RVM). Acute stress and pain lead to increased arousal (allostasis) followed by the temporary activation of peripheral responses mediated by the ANS as well as the inflammatory, immune, hormonal, and neuromuscular systems [].

It is likely that such action takes place by the “inhibition of the inhibition” of the “activation system” according to the hypothesis of Thayer [].

In these conditions, the ULFTENS would act through the balance of subcortical arousal circuit by enhancing the inhibition through the endorphin system and, thus, reducing the cortical activation induced by stress or pain. The action on peripheral targets will vary, since the paths that lead to the peripheral response are themselves varied and dependent on individuals. For this reason, it will be possible to obtain different combinations of peripheral effects to observe the reduction of muscle tone and the change of the neutral position of the jaw, the reduction of pain, the variation of the dynamics of the pupil, the increase of the heart rate variability, the reduction of the oxidizing molecules and antioxidant barrier in saliva and serum, or the changes in cognitive-emotional test in which.

In cases where the arousal system was not in suitable conditions to bear an additional stress (e.g., deficiency or dysregulation of the inhibitory systems observed under stress condition and chronic pain), the stimulation with ULFTENS may not have the above-mentioned “inhibitory” effect. Peripherals answers cannot be, therefore, those expected and they can show an opposite behavior, for example, an increase in muscle tone, a reduction of the free space, an increase of salivary and blood levels of oxidants and a decrease in antioxidant barrier, a reduction of heart rate variability, and a paradoxical response of the pupil.

By acting at the level of PAG-RVM component of the arousal control system, the ULFTENS would show the inability of this system to trigger the action of inhibition of endorphin circuitry if CS is present. The effects of sensory ULFTENS, both neuromuscular and not, are determined by the functional state of the general arousal system and by the subcortical system’s ability to activate the appropriate stimulus-response coupling sequences.

In particular, this hypothesis is different from that traditionally suggested for the mechanism of action of ULFTENS, because it does not consider its effect on the muscles tone and on the dynamic pattern of jaw movements (free way space after sensory ULFTENS) as the response of the peripheral neuromuscular system or its inherent proprioceptive properties. Indeed, we hypothesize that all the ULFTENS effects are linked to the central anatomofunctional substrate of the arousal balancer, affected by the state of “normalcy” or “CS.” Consequently, sensory ULFTENS can highlight, through objective data (dynamic pupillometry, HRV, Pressure Pain Threshold, Conditioned Pain Modulation, e.g.,) and/or clinical techniques (VAS, Central Sensitization Inventory, Allodynia Symptoms Checklist, psychometric tests), not neuromuscular and those neuromuscular indirect effects studied by surface EMG/KIN that can contribute to accounting for the location of Central Sensitization.

5. Proposal for the Differential Diagnosis and Treatment of TMD

The TMD therapy is based on a “ex juvantibus” principle. Typically, the therapy starts with hygienic recommendations, self-administered jaw exercises, and physiotherapy and progressively adds more specific drugs or dental interventions against the supposed cause of peripheral or central pain, up to the surgery on joint or orthodontics []. At present, irreversible treatments are not recommended, given the generally benign trend of the problem. The problem arises when the disorder becomes chronic and/or does not respond to conservative therapies. In this case the therapeutic choice is often based on a random choice and not on pathogenic hypothesis. In agreement with the above we would propose a working hypothesis, which should aim at overcoming the diagnostic and therapeutic impasse (Figure 2). It is possible that the concept of spectrum could be relevant to the TMD. The TMD spectrum would cover a range of disorders in which one extreme is characterized by acute forms with joint and muscle dysfunction and pain localized to one, strictly temporomandibular, district. Typically, these forms do not present difficulties from the clinical point of view for the differential diagnosis and/or therapy.

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Flow chart for differential diagnosis and therapy based on and response to ULFTENS. CSI: Central Sensitization Inventory, TMD CSS: TMD with Central Sensitization, TMD noCSS: TMD without Central Sensitization, PAG-RVM: Periaqueductal Gray-Rostroventral Medulla.

At the other end of the range there are chronic forms characterized by CS, no more necessarily linked to a peripheral trigger in the temporomandibular district, which frequently represent a diagnostic and therapeutic challenge. Between the two forms, there are probably mixed disorders in which, from time to time, the central or the peripheral component could prevail, but both are active and mutually influent. Although not yet fully elucidated, it is likely that CS has a key role in the mechanism that leads to chronicity. Furthermore, as previously argued, the pain in other locations than TMJ area or the presence of other forms of CSSs is induced to classify the TMD as a disorder characterized by CS.

The flowchart in Figure 2 aims to exemplify our hypotheses based on CS as an underlying pathogenetic factor, with sensory ULFTENS as a “provocation” test on the descending PAG-RVM system. PAG-RVM reacts to sensory ULFTENS as a function of its functional state of normality or CS. In case of normality, ventrolateral PAG and PAG-RVM circuit increase their activity and, among other effects, also induce muscle relaxation.

The first step after the clinical evaluation is the administration of the CSI, which has proved sufficiently sensitive and specific to discriminate the syndromes characterized by CS. The cut-off score of the questionnaire is 40. Subjects with a score above 40 have a high probability of belonging to the group of the CSSs. The CSI does not allow the specific localization of CS. In this sense, the CSI is generic. On the other hand, sensory ULFTENS identifies responders and nonresponders to stimulation. The clinical parameters that can be evaluated by sensory ULFTENS include the resting tone of the muscles and the amount of interocclusal free space. The first must be reduced and the second increased after ULFTENS: in this case, subjects are considered responders.

This criterion is probably insufficient because it only refers to a part of the activation of the PAG-RVM system and its quantification is not universally considered as reliable and specific for TMD. However, the information obtained indicates the response of the PAG-RVM circuit to the stimulation of the temporomandibular district.

Future work could improve this decision-making process by introducing additional, more appropriate tests to assess the autonomous response after sensory ULFTENS, for example, HRV, with or without cognitive/emotional tests.

Depending on the answer to the CSI and sensory ULFTENS, four diagnostic categories of TMD can be hypothesized.

(1) TMD Subjects Characterized by Central Sensitization (TMD CSS) without Impairment of the PAG-RVM-Spinal Pathway. These subjects are sensory ULFTENS responders, and their PAG-RVM-Spinal pathway responds to stimulation by activating the way of endogenous opioids, as expected from the hypothesis. According to this hypothesis, the CS is placed in areas overlying the brainstem, probably in cortical or subcortical structures responsible for the processing of pain and its cognitive and affective/emotional component. From a therapeutic point of view, it is likely that this group of people does not directly benefit of a dental approach. The most appropriate therapies should target the structures above the brainstem (cognitive-behavioral therapy, psychosocial therapy, therapy of anxiety and depression, etc.).

(2) TMD CSS with Impairment of PAG-RVM-Spinal Pathway. These subjects are sensory ULFTENS nonresponders; that is, the sensory ULFTENS does not evoke the expected response on behalf of the PAG-RVM-Spinal pathway that activates the endogenous opioid mechanism. Frequently, in sensory ULFTENS nonresponders a paradoxical response is triggered, with an increase in muscular electrical activity and a reduction or even absence of the free space. Sensory ULFTENS is not able to activate the inhibitory component of the PAG-RVM-Spinal pathway because of the prevailing excitatory response of the system. In this case, it is possible to suggest that CS is located at the level of the PAG-RVM-Spinal pathway. Therefore, this system should be the target of therapy. Appropriate therapies (high and low frequency TENS, osteopathic therapy, beta blockers, low intensity laser, melatonin, etc.) should be able to reverse the impairment of the system.

(3) TMD without Central Sensitization (TMD noCSS) and without Extrastomatognathic Unbalance. This is the classic case of acute TMD of dental interest, where the occlusal component, muscle, fascia, and joints of the stomatognathic system are cause of the problem, and there is no clinical evidence of CS. These subjects are sensory ULFTENS responders. From this basis, it can be argued that in chronic TMD an alteration in the trigeminal system afferents is present. It has been shown that the construction of reversible occlusion (bite) that maintains the spatial characteristics of the mandibular-cranial balance obtained under motor ULFTENS stimulation can significantly improve symptoms in a sample of acute TMD subjects []. At present, the pharmacological approach (nonsteroidal anti-inflammatory drugs [NSAIDs], benzodiazepines, and muscle relaxants) and physiotherapy of the stomatognathic system (manual therapy and physiotherapy exercises) are the first choice to control acute and subacute symptoms, which frequently arise during a period of fatigue or stress. If no results are obtained in this first phase of the treatment, a reversible dental treatment should start quickly to avoid the establishment of chronic pain and CS.

(4) TMD noCSS with Extrastomatognathic Unbalance. Also in this case, there is no evidence of CS, but the subjects are sensory ULFTENS nonresponders. It is possible that alterations in extra trigeminal districts in these subjects can influence the response to sensory ULFTENS of the fifth and seventh pairs of cranial nerves. In fact, afferents from extra trigeminal districts converge at the level of the caudal part of the spinal trigeminal nucleus, where they can contribute to the phenomenon of referred pain to the trigeminal area. Therefore, myofascial and articular disorders of extrastomatognathic districts may affect the trigeminal territory. Nonresponsiveness to sensory ULFTENS can depend on the anatomofunctional localization of the unbalance, namely, in districts not affected by sensory ULFTENS stimulation or, alternatively, because PAG-RVM system is working to reduce the inputs coming from extrastomatognathic system and could be no more engaged by sensory ULFTENS. In these subjects, it is possible to suggest a “postural” or physiotherapy approach aimed at rebalancing the extrastomatognathic structures responsible for symptoms referred to the trigeminal territory.

6. Warnings and Suggestions

The proposed model of sensory ULFTENS as a as PAG-RVM system provocation technique and as a diagnostic tool for different types of TMD is, at present, only hypothetical. Further studies are needed to shed light on this topic, particularly studies of neuroimaging or animal studies exploring the anatomofunctional sites that interplay in different types or stages of TMD.

Another limitation of the present study is inherent to the current idea of CSSs. In fact, a unique physiopathogenic pattern grouping all syndromes included in this classification into one entity has not yet been demonstrated. The term CS is too general, including any plastic or functional phenomenon that can involve any nervous structure, area, or CNS nucleus. It can also be attributed to multiple structures simultaneously.

Future works are also needed to associate specific tests with specific CSSs. In our case, we have hypothesized that sensory ULFTENS could act on one possible site of CS, the PAG-RVM system, which has a crucial role in the descending modulation of pain, hyperalgesia, and allodynia. In this our hypothesis is completely missing an essential step, which is to test the effect of sensory ULFTENS on allodynia and hyperalgesia in individuals belonging to the four diagnostic and therapeutic categories suggested.

TMD has to be considered a group of etiologically or, at least, pathogenetically different disorders. Without classifications that include these differences, the therapies are “casual” and not “causal.” In our work we do not want to support one or another therapy; we only hypothesized that the current therapies could be grouped in different way according to the proposed pathogenic-based classification. We proposed any “not already used” therapy. All the cited therapies have their “scientific” bibliography; all the TMD therapies, of course, are debated.

Future work should focus on this objective to assess whether individuals belonging to the four categories are different in terms of pain, hyperalgesia, and allodynia, and if sensory ULFTENS helps in differential diagnosis and, therefore, in the choice of the appropriate therapy.

7. Conclusion

Chronic TMD are a challenge for dentistry. The traditional clinical and research approach based on the injury and dysfunction of the stomatognathic system is no longer suitable to provide a convincing pathogenetic theory that could satisfactorily guide therapy. Thus, it seems useful to change perspective towards an interesting new possibility, represented by the study of chronic pain as a “central disorder,” originating from maladaptive learning and plasticity secondary to a peripheral dysfunction, the so called CS -, but quickly living its own independent life. Further clinical and basic research are needed to better understand the degree and type of involvement of anatomofunctional CNS sites in chronic TMD.

Disclosure

This work is part of previous results presented at the 2017 IADR/AADR/CADR General Session & Exhibition in San Francisco (CA, USA), in particular, the oral presentation [] by Pietropaoli et al.

Conflicts of Interest

The authors declare that they have no conflicts of interest.

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