AAPM 71 Nuclear Med Radioimunotherapy Radionuclide Therapy PDF
AAPM 71 Nuclear Med Radioimunotherapy Radionuclide Therapy PDF
AAPM 71 Nuclear Med Radioimunotherapy Radionuclide Therapy PDF
71
Daniel J. Macey
Lawrence E. Williams (Chairman)
Hazel B. Breitz
An Liu
Timothy K. Johnson
Pat B. Zanzonico
April 2001
The AAPM does not endorse any products, manufacturers, or suppliers. Nothing
in this publication should be interpreted as implying such endorsement.
iii
C. Organ and Tumor Volumes................................................................25
1. Palpation .......................................................................................25
2. Imaging Methods to Determine Organ Mass................................25
V. DATA ANALYSIS METHODS...............................................................26
A. Activity and Percent Injected Activity (PIA) ....................................26
B. Justifications for Data Modeling .......................................................26
C. Types of Models ................................................................................27
1. Individual Organ Curve Fitting via
Multi-Exponential Functions ........................................................27
2. Compartmental Modeling of the Entire Physiological System.....28
D. Which Data to Analyze......................................................................28
E. Physical Decay as a Clearance Mechanism in the Model .................30
F. Integration of Area Under the Curve (AUC) .....................................31
1. Mathematical Form.......................................................................31
2. Multiple Exponential Functions....................................................31
3. Compartmental Model ..................................................................31
4. Variation of the Radionuclide .......................................................33
VI. DOSE CALCULATION METHODS AND PROGRAMS .....................33
A. Normal Organ Dose Estimates in Standard Man...............................33
1. MIRD 11 Pamphlet S Values ........................................................33
2. MIRDOSE2 and MIRDOSE3.......................................................34
3. Bone Marrow Dose Estimation.....................................................35
B. Patient-Specific Normal Organ Doses...............................................37
1. Target Organ Mass Correction ......................................................37
2. Convolution Dose Estimates.........................................................38
3. Voxel Source Kernel Method........................................................39
C. Tumor Dose Estimations in Radioimmunotherapy
and Radionuclide Therapy.................................................................39
1. Alpha and Auger Emissions..........................................................40
2. Beta Emissions..............................................................................40
a. Uniform Uptake.......................................................................40
b. Non-Uniform Uptake...............................................................40
3. The Tumor à Algorithm ...............................................................41
4. Tumor Mass Determination ..........................................................41
5. Computational Algorithms............................................................42
6. Photon Contributions to Tumor Dose Estimates...........................43
7. Clinical Computations (Beta and Photon
Contributions Combined)..............................................................44
8. Dose to Tumors That Are Not Imaged ..........................................44
9. Treatment Strategy and Results ....................................................45
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VII. THYROID CANCER THERAPY - THYROID
THERAPY WITH 131I..............................................................................46
VIII. BONE PAIN PALLIATION WITH RADIOPHARMACEUTICALS.....48
A. Clinical Situation ...............................................................................48
B. Radionuclides ....................................................................................48
C. Dose Estimation.................................................................................49
IX. RADIATION PROTECTION CONSIDERATIONS ..............................50
A. General Radiation Safety...................................................................50
B. Discharge of Patients with Radioactivity from Hospital ...................51
X. SUMMARY OF RADIOIMMUNOTHERAPY AND RADIONUCLIDE
THERAPY IN CLINICAL PRACTICE ..................................................53
A. Treatment Planning............................................................................53
B. Clinical RIT Results ..........................................................................53
C. Limitations of the RIT Method..........................................................54
D. Other Internal Emitter Therapies.......................................................54
REFERENCES ..................................................................................................55
APPENDIX A. Human Residence Time Estimates Made
With Murine Data ....................................................................................64
APPENDIX B. Tumor Dose Estimation...........................................................65
APPENDIX C. Organ Data Acquired and Dose Estimates ..............................66
APPENDIX D. Red Marrow Data and Dose Estimation..................................68
v
LIST OF TABLES
Table 1. A Partial List of Radionuclides Used in Internal Emitter Therapy ....2
Table 2. Typical Data Acquisition Protocol (CC49 Antibody) ........................7
Table 3. Pre-Study Patient Evaluation for Radioimmunotherapy..................11
Table 4. Non-SPECT Methods to Determine Organ Uptake in Nuclear
Medicine ..........................................................................................23
Table 5. Radiation Safety Guidelines for Patients Receiving Radionuclide
Therapy ............................................................................................51
Table A1. Sample Human Residence Time Estimates Made
with Murine Data for111In-mT84.66.................................................64
Table C1. Partial List of Anterior and Posterior Counts Obtained
with a Whole Body Gamma Camera ...............................................66
Table C2. Fractional Injected Activities (FIAs) for 111In-cT84.66 ...................67
Table C3. Residence Times for 111In-cT84.66 and 90Y-cT84.66.......................67
Table C4. Estimated Absorbed Doses for cT84.66...........................................67
LIST OF FIGURES
Figure 1. Routes for administration of radiopharmaceuticals to a therapy
patient .............................................................................................12
Figure 2. Measurement of whole body retention of activity with probe
detector ...........................................................................................17
Figure 3. Acquisition of transmission and emission images. ACF is the
attenuation correction factor ...........................................................20
Figure 4. Photon spectrum from a gamma camera for 111In...........................22
Figure 5. Mammillary and catenary model subsystems.................................29
Figure 6. Five-compartment model for the intact antibody cT84.66 .............32
Figure 7. Outline of the general dose estimation process ..............................35
Figure 8. Schematic of red marrow dose estimation......................................37
Figure 9. Steps in tumor dose estimation. ACF refers to attenuation
correction factor .............................................................................45
Figure 10. Typical platelet data from four representative 131I-CC49 RIT
patients ................................................................................................46
Figure 11. Treatment strategy for RIT based on limited dose (200 rad)
to marrow ..............................................................................................47
Figure 12. Whole body and organ retention data for a 131I-LYM-1 patient .....52
vi
Terms for Internal Dosimetry
Body thickness T cm m
Remainder body RB
Residence time τ h h
vii
I. RADIONUCLIDE THERAPY PRINCIPLES
rad ˜
Dt ← s [rad ] = St ← s ⋅ As [ µCi − h] (1)
µCi − h
where: St←s is a rectangular matrix giving the dose to a target organ t per unit time-
activity in a source organ s (Loevinger and Berman 1976, Loevinger et al. 1991).
Conceptually, eq. (1) separates the analytic process into two segments. Given the
radionuclide, S refers purely to geometric factors. The cumulated activity ÃS is the
area under the curve of activity (AS) versus time. Traditional dimensions, rad/
(µCi-h) for S, are changed to cGy/MBq-h for SI units. Notice that D and à are
1
Table 1. A Partial List of Radionuclides Used in Internal Emitter Therapy
Radionuclide Half Life Eβ max (MeV) Eγ (MeV)
32
P 14.3 d 1.70 None
64
Cu 12.9 h 0.57 (β− ); 0.66 (β+ ) 0.510 (38%)
67
Cu 61 h 0.57 0.180 (40%)
89
Sr 50.5 d 1.46
90
Y 64.3 h 2.3
117m
Sn 13.6 d 0.13; 0.16 0.158 (87%)
131
I 8.1 d 0.61 0.365 (81%)
153
Sm 1.9 d 0.81 0.103 (29%)
186
Re 3.8 d 1.07 0.137 (9%)
188
Re 17 h 2.12 0.16 (10%)
177
Lu 6.8 d 0.50 0.21 (6%)
Note: All beta emissions are for electrons except in the case of 64Cu, which emits both electrons and
positrons.
column vectors in this formula; their various elements refer to the source and target
organs for a specified radionuclide. If one divides by the injected activity A0, the
resultant quantity is termed the residence time τ. Thus, dose per unit injected activ-
ity is the product of S and τ; this result is often used in reporting estimated doses.
By changing the spatial perspective, elements of the S matrix may be made to rep-
resent other geometric positions such as voxels within an organ or tumor. In such
cases the à vector will represent integrated activities in organ voxels. A short glos-
sary of terms used in internal emitter absorbed dose estimation is included at the
front of this document.
Although an integration over time has been performed in the estimation of dose,
it is important to understand that dose rate estimates may also be made using the
time-derivative of eq. (1). In that case, the left hand side of eq. (1) will be a set of
organ dose rates given as a function of time post-injection of the radiolabeled
agent. Such exposure rates, if referring to a organ at or very near the body sur-
face such as the liver, could be roughly measured using external probes.
We should point out that the traditional calculation using eq. (1) generates the
mean dose to the target organ. The left-hand side may be shown to be the ratio
of total energy absorbed divided by the mass of the target. This need not be the
case in general. Statistical distributions of dose, in the form of dose-volume his-
tograms, have been produced for internal beta emitters (Liu et al. 1998). Such
results are analogous to histograms found in external beam therapy. Although not
yet used extensively in treatment planning, such distributions may eventually
prove to be important in both normal organs and tumors.
2
C. Properties of the S Matrix
Snp = (1 / m) ∗ 2.13 ∗ ∑ fE
i = 0, n i i
(2)
S p = (1 / m) ∗ 2.13 ∗ ∑ f Eϕ
i = 0, n i i i
(3)
3
the user. Macey has indicated a graphical method for estimating such S values if
one knows the tumor mass and radionuclide (Meredith et al. 1993). A computer
program for gamma dose estimates to spherical lesions has been developed by
Johnson (1988). While such contributions to tumor dose may be small compared
to the particulate component, it is important to find their magnitude in a given
patient case. This topic is discussed in section VI.C.6.
D. Historical Background
Perhaps because radionuclide therapy with 131I for thyroid cancer has been so suc-
cessful and safe, there has been little historical incentive to provide a rigorous treat-
ment planning approach for clinical radionuclide therapy practice (Hurley and
Becker 1983). In addition, methods and technology, particularly computers, required
to provide more accurate estimates were not available in Nuclear Medicine until the
mid-1970s. The thyroid cancer patient has usually been treated on the basis of an
empirical approach. As is the case for many RIT protocols, the treatment plan
relies on an initial imaging study with a tracer amount of 131I administered to
search for remnant thyroid tissue and metastatic sites in the whole body. A more
complete discussion of radioiodine therapy of the malignant thyroid is presented
in section VII.
Over the past two decades, significant progress in medical technology has been
made and the use of Computed Tomography (CT), Magnetic Resonance Imaging
(MRI), and Single Photon Emission Computed Tomography (SPECT) imaging
can yield most of the data required to provide more accurate patient-specific radi-
ation absorbed dose estimates. Anatomic size, location, and volumes of organs and
tumors can be provided non-invasively from CT, MRI, ultrasound, Positron
Emission Tomography (PET), and SPECT images (Leichner et al. 1981). This
should allow every patient to receive a customized therapy plan involving the
administration of a specified amount of activity (Macey et al. 1991).
4
Based on the tracer principle, the radiation absorbed dose/administered radioac-
tivity to tumors/organs from a therapy procedure should be equivalent to the values
calculated from a prior diagnostic procedure as given by eq. (4). Information from
the tracer study is used to calculate the amount of activity required for a therapy
procedure. A prescribed radiation absorbed dose to a tumor or dose-limiting organ
usually dictates the amount of activity that can be administered by:
Dprescribed therapy dose
A0 [therapy mCi] = (5)
rad
mCi diagnostic tumor
A different definition of tracer is often used in Nuclear Medicine. In that context,
the user assumes that a radiolabeled form of a molecule has the same biodistrib-
ution as the native or unlabeled molecule. This may or may not be true in the case
of labeled antibodies due to changes in molecular weight and loss of label (par-
ticularly iodine) in vivo. Thus, our tracer concept is a more restricted one.
5
defined as the maximum tolerated dose (MTD) in a small group of patients. Phase
II trials are designed to test the efficacy of the same procedure in a small group of
patients at a dose level somewhat lower than the MTD. Phase III trials usually
involve multi-center studies with patients enrolled at various institutions and dif-
ferent investigators.
Although these steps are required for clinical trials with chemotherapy agents,
radionuclide therapy trials can in principle be designed to combine the Phase I and
Phase II steps. The radionuclide approach is especially valuable since it allows the
investigator to predict to some degree the toxicity and efficacy of a radionuclide
therapy procedure. For example, the biodistribution of the radiopharmaceutical in
organs/tumors in the body can be obtained from serial radionuclide images
obtained at various times after administration. Localization of the radiopharma-
ceuticals in specific organ or tumor sites can be used to determine whether the
patient should proceed to the therapy step. If there is no tumor localization of the
radiopharmaceuticals detected in the diagnostic images, the patient is less likely
to benefit from the subsequent therapy and consequently should not have to be
subjected to the unnecessary risk. All of these data are unique to nuclear tech-
niques and are not found in the classical chemotherapy trial.
6
Table 2. Typical Data Acquisition Protocol Designed to Acquire Biokinetic
Data Required to Provide Absorbed Dose Estimates for RIT Patients
Receiving I-131 CC49
Biokinetic Day 0, (End of
Data injection is
Acquired t = 0) Day 1 Day 2 Day 3 Day 4
7
corrected uptake in percent injected dose per gram of the tissue (PID/g). These
measurements are tabulated as decay-corrected biodistributions in various organs
and at a number of time points after injection of the radiolabeled material. Whole
body accumulation may additionally be measured using a single or paired probe
system set at a fixed distance from a constrained animal. As described below,
a mathematical picture of the biodistributions is helpful in determining the total area
under the curve of each source organ. In this example, we will consider using a single
exponential model to represent organ data. The resultant biological half time (T1/2b)
is combined with the physical half life (T1/2p) to obtain the effective half time Teff :
T1 / 2 p ∗ T1 / 2 b
Teff = (6)
T1 / 2 p + T1 / 2 b
The residence time τ for a tumor/organ in the mouse that clears with an effective
half time Teff is given by:
where the indicated PID is the percent injected dose at end of injection for a mono-
exponential compartment and Teff is the effective half time in hours. This area
under the curve has the injected activity divided out so as to be in pure time units;
the resultant value is the residence time (τ) of the source organ. A set of such times
is the residence time vector for murine estimates. In the case of animal biodistri-
bution data, there may be 10 or more individual organs or tissue compartments to
consider for this vector.
To estimate the residence time in a human from the biokinetic results in the
mouse, we use a mass correction factor to account for the different ratios of organ
to total body weights in the mouse and in man. To first order, we assume that the
uptake in a given organ, in PID, depends only on the ratio of organ mass divided
by the total body mass. To correct for differences in this apportionment ratio
between murine and human species, we can use the following:
organ mass
total body mass
τ man man
CR = = (8)
τ mouse organ mass
total body mass
mouse
This process is essentially an organ correction factor (CR) for differences in rela-
tive perfusion between the mouse (or other animal) model and the human subject.
Usually the biokinetic data from the mouse are provided as PID/g, which simpli-
fies this conversion for dose estimation since the murine organ mass is included in
the data set. An example of this type of calculation is given in Appendix A. These
8
correction factors are often sizeable and should be applied when using animal data
to predict human results.
A. Patient Eligibility
Radioimmunotherapy trials are usually fairly demanding for the patient. A
number of additional constraints are placed on the individual and his/her tumor
type beyond those found in radionuclide therapy. In general, RIT patients must
have a good performance status, defined as a Karnofsky scale above 60% and no
other severe systemic disease (Press et al. 1989, Breitz et al. 1992). Only patients
with tumor types known to be reactive with the antibody are to be considered. This
may be done with peroxidase staining of tumor tissue samples obtained from the
patient. Alternatively, an in vivo imaging study may be performed with a gamma-
emitting radionuclide label to demonstrate uptake in one or more known lesion
sites (Breitz et al. 1993, Eary et al. 1990). Additionally, if the antigen is secreted
into the blood, such as carcinoembryonic antigen (CEA), a blood assay may pro-
vide the needed tumor specificity. In the latter case, the test is done with less cost
than that requiring tumor samples. In the event that the patient’s tumor is antigen-
positive, a life expectancy of at least 2 months is necessary so that adequate mon-
itoring of normal organ function and tumor response can be assessed during the
radiotherapy protocol.
On entry into the study, good performance status is important because the
monitoring of the patient for the dose estimation data is demanding. Generally
the protocol will require several sessions of nuclear imaging, of one to two hours
each, depending on the gamma camera system. SPECT studies require that the
patient be able to lie flat with arms raised for a sufficient length of time (perhaps
20 minutes) for an adequate study to be acquired. This may be at one time point
only for a qualitative assessment of tumor uptake. Some investigators will use
SPECT for quantitative estimation of activity in tumor masses and/or normal
organs at one or more times. For older patients or patients with pulmonary com-
plications, this may be an unrealistic expectation.
Good performance status may also be essential because of the high levels of
internally administered activity. Slow excretion of the radiolabeled antibody
metabolites pose radiation hazards similar to those from patients receiving high
dose 131I for treatment of thyroid disease. Exposure to medical personnel will
depend on the radionuclide administered. To reduce such exposure hospitalized
patients should be able to care for themselves with minimal nursing care required.
Patients with lymphoma receiving high dose 131I radiolabeled antibodies have even
been trained to collect their own blood samples (Press et al. 1989). Patients should
9
be capable of collecting their urine and measuring the volume themselves if this is
required in the protocol. Because of radiation hazards, incontinent patients should
not be studied under these conditions.
Baseline blood tests confirming adequacy of bone marrow, renal, and hepatic
function must be obtained. The patient must not have received chemotherapy or
radiation therapy for at least 4 weeks prior to radiolabeled antibody treatment to
allow full recovery from side effects of those treatment modalities. Tumor size must
be documented by conventional diagnostic techniques (physical examination,
planar film, CT image, MRI scan or ultrasound) so that response can be monitored.
At present, trials in patients with unmeasurable disease to detect the value of RIT
as adjunctive therapy are infrequent, although at least one colorectal cancer adju-
vant trial has reported beneficial results using unlabeled antibody (Riethmuller
et al. 1994).
If patients have had prior exposure to a murine or other antibody, circulating
titer against that antibody must be measured. Presence of such a human antibody
to the clinical agent may exclude the patient from participating in the study.
Inclusion of such patients often results in the resultant radioactive antibody-
antigen complexes going directly from the blood to the liver with little activity
seen at the tumor sites.
When the patient has met all the eligibility requirements and signed informed
consent, additional preparation may be necessary before receiving the labeled anti-
body. For example, patients receiving 131I-labeled antibodies must, in addition,
have their thyroid gland appropriately blocked using Lugol’s Solution. Patients
also should be hydrated to reduce kidney and bladder effects due to radiation. If
gastrointestinal excretion is significant, cathartics should be administered to
reduce gastrointestinal mucosa exposure during fecal excretion of the iodine label.
A summary of the required pre-study clinical evaluation is shown in Table 3.
Radiolabeled antibody must not be administered until the quality assurance
studies have been reported. These tests must show adequate assessment of purity,
potency, and safety. These could include an endotoxin assay, Instant Thin Layer
Chromatography, and High Performance Liquid Chromatography (HPLC).
Emergency supplies must be readily available in case of an allergic reaction.
These would include diphenhydramine, epinephrine, and steroids. Patients have
vital signs monitored immediately prior to injection and regularly thereafter.
10
Table 3. Pre-Study Patient Evaluation for Radioimmunotherapy
line between the source and the patient must be tested prior to beginning the injec-
tion procedure. Medical personnel must take appropriate precautions in case of con-
tamination or spills. Absorbent pads are placed under the lines and on the floor below
the bed in case of spills. A more complete discussion of radiation safety aspects of
RIT is included in section IX. Many of the above restrictions apply to the general
case of radionuclide therapy.
Success of this treatment modality depends upon sufficient radioactivity being
carried by the antibody to the tumor site(s). Several routes of administration have
been used. Figure 1 contains a summary of these methods.
1. Intravenous Injections
This is the most commonly used procedure for administration of radionuclide
therapy to patients. Two intravenous lines are established, one for administration of
the radiolabel and one for post-injection blood sampling. The latter may be retained
during the course of the therapy to provide the required samples as described below
in paragraph 4. Duration of injection will vary from several minutes to several hours
depending upon adverse reactions and the amount of protein used in the therapy.
2. Intraperitoneal Injections
Additional factors for intraperitoneal RIT studies must be considered (Jacobs
et al. 1993). Radiological examination is not sensitive enough to define the extent
of the disease. An open laparoscopy or a laparotomy performed within one month
of the study will give the most reliable data, although even this may not provide
11
Figure 1. Routes for administration of radiopharmaceuticals to a therapy patient.
12
complete information. Serum markers may also be used as a guide as to the extent
of disease and response.
Prior to administration of a large dose of radioactivity, the peritoneal cavity
access must be evaluated to be sure that the radiolabel will distribute throughout
the volume. A 99mTc-sulfur colloid study may be performed to assess this; activ-
ity must be seen in the pelvis and paracolic gutters. When severe ascites is pres-
ent, as much ascites fluid as possible must be drained prior to the infusion. The
radiolabeled antibody may be administered through a porta-cath or Tenckhoff
catheter. The volume of fluid administered with the antibody should be sufficient
to allow distribution throughout the peritoneal cavity. This volume can range
from 300 ml to 1000 ml of normal saline or Ringer’s lactate. The patient is
instructed to roll 360 degrees three times prior to the gamma camera imaging.
Later, they are encouraged to move about freely to promote uniform distribution.
To estimate clearance of radioactivity from the peritoneal cavity, and to estimate
absorbed dose to the peritoneal surface, aspiration of peritoneal fluid samples is
desirable.
3. Intra-Arterial Injections
Known metastases must be confined to one region that can be perfused by intra-
arterial injection. On the day of the radiolabeled antibody injection, a catheter must
be placed under fluoroscopy into the artery perfusing the area of interest. The
catheter is removed following the injection. Additional monitoring is required for
adverse events resulting from catheter placement.
4. Intralesional Injections
This is a more invasive and time-consuming technique and can require hospi-
talization for several weeks. For example, in the treatment of gliomas, a catheter
is placed in the lesion at craniotomy, or by stereotaxy some days later. This
catheter is placed in the residual cavity after as much tumor as possible has been
resected. Removable or indwelling catheters may be used. A reservoir may be
connected to the catheter and placed under the skin for repeated injections (Riva
et al. 1994).
We should point out that this approach has been followed in the case of radionu-
clide therapy of pancreatic carcinomas. Here, a local anesthetic is used and a 22-
gauge needle inserted into the lesion under CT guidance. Aggregated albumin
(MAA) is given initially with a follow-on dose of 32P to yield the desired absorbed
radiation dose estimates (Order et al. 1994). Imaging of the lesion may be per-
formed using the Bremsstrahlung radiation from the single concentrated source
of radiophosphorous.
13
C. Patient Monitoring After Radiolabeled Antibody
Administration
Patient monitoring must be done under the supervision of a physician. Patients
are observed for acute allergic reactions such as flushing and hives. Adverse reac-
tions must be treated and reported as required in the protocol. An assessment for
allergy may be done using a small test dose of the protein to be injected. A 5 micro-
gram amount can be injected subdermally and the site observed for 25 minutes
to determine any sensitivity. If swelling and other reactions are seen, injection of
the larger imaging or therapy dose (typically 5 milligrams of protein) can then
be prevented. Vital signs must be monitored for at least one hour post antibody
administration.
To obtain data for dosimetry estimation, imaging should begin immediately fol-
lowing injection and prior to voiding to assess the baseline activity. When high
dose 131I is administered, imaging may begin only after the activity level has
decreased to values on the order of 30 mCi or less. This restriction is based on cur-
rent state and federal regulations that are designed to reduce radiation exposure to
hospital personnel and also because the Anger camera is only designed to detect
relatively low amounts of radioactivity in patients. High count rates may lead to
dead-time effects including spatial location errors and count losses so as to make
quantitative imaging difficult.
Biochemical and hematological parameters are monitored regularly for 3 months
or longer following the study. Typically, biochemical changes are not significant.
With increased levels of radioactivity administered, bone marrow suppression is
observed as a reduction in the number of white blood cell and/or platelet counts from
baseline values. With increased radioactivity, these counts will drop earlier and to a
lower level. The platelet count decreases approximately a week earlier than the white
cell count—usually at week four.
Levels of patient antibody to the injected protein are assessed for up to 6 months.
In the case of a murine antibody, the human response is termed a Human Anti-
Mouse Antibody or HAMA. Similar acronyms such as HACA and HAHA refer
to human anti-chimeric and human anti-human antibodies respectively. It should
be noted that the patient may also develop antibodies against the chelator used to
attach radiometal to an injected protein. In any event, these titers should be deter-
mined weekly for 6 weeks and then monthly. Presence of elevated levels of human
antibody may preclude repeat treatments.
At a specified time, usually 6 to 8 weeks, a follow-up radiological exam is per-
formed to assess tumor response. Generally, this would be a CT or MRI image so
that the tumor volume(s) post-therapy may be compared directly with the baseline
study. Nuclear bone scan images may be used to evaluate the progress of therapy
on bone metastatic sites. Such evaluations would also be appropriate for general
radionuclide therapy treatments.
14
D. Repeat Injections of the Same Antibody
Prior to repeat administration of antibody, serum human antibody levels must
be measured. In patients with lymphoma, cycles of radioimmunotherapy can often
be administered. In patients with other tumors who have received murine mono-
clonal antibodies, elevated HAMA levels generally preclude a subsequent admin-
istration. In Phase I studies, human anti-antibody levels must be monitored until
the characteristics of the patient response are known.
E. Protein Preloading
Early studies with radiolabeled antibodies established that a minimum mass of
a foreign protein was required for administration into the blood. This followed
from the fact that various receptor sites in the liver, lung, and other normal tissues
must be saturated before the concentration of the radiopharmaceutical in the blood
was high enough so that antibody would localize in the tumor. For lymphoma, a
few mg of protein were found to be adequate. Literature studies have pointed out
that there may (Patt et al. 1988) or may not be (Wong et al. 1998) an advantage in
increasing the amount of injected protein above this minimal level. Some proto-
cols, because of significant levels of circulating antigen, require relatively large
amounts of unlabeled protein prior to the injection of the labeled antibody (Breitz
et al. 1992, DeNardo et al. 1990).
It should be mentioned that increasing the injected amount of protein has two
possible negative results. First, the likelihood of patient antibody response will
increase with the amount of injected foreign antibody. In addition, the cost of large
amounts of engineered protein may preclude such procedures. For example, in
mice, about 700 µg of antibody were required to significantly reduce an anti-CEA
antibody’s hepatic uptake (Beatty et al. 1989). Scaling these results to man implies
clinical injected protein doses approaching one gram. No one has yet attempted
such injections in solid tumor therapy although values on the order of several hun-
dred milligrams have been required in treating hematological malignancies due to
circulating antigen in the blood or high levels of B-cell antigens on lymphoid
tissue (DeNardo et al. 1990).
Most RIT patients receive their radiopharmaceutical as an intravenous injection
that is either infused over a planned time or injected as a bolus. Localization of the
radiolabeled antibody in the target tumor tissue and normal organs is a continuous
process of uptake and clearance and the pattern observed is the net result of inflow
and outflow from sites that are visualized on a radionuclide image. Intravenous and
intra-arterial routes depend on the assumption that the radiopharmaceutical can
leave the blood pool and enter the various volumes or partitions in a tumor. In the
case of intraperitoneal injection, radioactivity enters the lesion sites directly from
the peritoneal fluid as well as from circulation. In the latter case, there is a signif-
icant time delay before the material enters into the blood circulation.
15
IV. ACQUISITION OF PHARMACOKINETIC
PATIENT DATA
1. Blood Activity
Changing activities in whole blood and plasma are determined from serial
blood samples acquired at various times after administration of the radiopharma-
ceutical. Usually 3 to 5 ml of blood are collected at 1, 4, 24, 48, and 72 hours from
a vein in the limb opposite to that in which the radiopharmaceutical was admin-
istered. Other schedules may be used with animal data providing some predictions
as to human blood kinetics. In addition, the pharmacokinetic modeling program
(see below) can be used to predict optimal times for blood sampling. These times,
however, may not be convenient for patient or clinical logistics.
16
Figure 2. Measurement of whole body retention of activity with probe detector.
the advantage that distributions within patient organs can be acquired at the same
time as the whole body image(s).
17
compared with tumors in the limbs and skull. Most region of interest (ROI) meth-
ods used for scoring uptake from these images rely on drawing a background region
in the immediate vicinity of an uptake site or a contralateral region of the body if
the background surrounding the uptake region is not uniform. These background
subtraction techniques are designed to remove the contribution of counts to a tumor/
organ site from radioactivity in overlying and underlying tissue.
1. Attenuation Corrections
All uptake measurements depend upon correction of recorded data for back-
ground and attenuation in the patient. Several strategies exist for these corrections.
In the single projection image method, which can be used for superficial uptake
sites, the attenuation correction factor can be set to unity. Here the uptake is given
simply by:
Nt [counts]
Atumor / organ [Ci] = (9)
ε [counts / Ci s] ∗ ∆t[s]
18
where ε is the efficiency of the camera and collimator system and Nt is the number
of counts recorded in time ∆t.
For the conjugate view approach, the user must obtain, essentially simultane-
ously, two diametrically opposed views of the same object (Thomas et al. 1976,
Sorenson 1974). Figure 3 contains a geometric description of the process. The
number of counts detected from the anterior (Nap) and posterior (Npa ) projection
images of an organ of thickness cm in the body, with overlying and underlying
tissue thicknesses a and b cm is:
Ae − µa Ae − µb
[ ] [ ]
N ap N pa
=ε∗ 1 − e−µ l ; =ε∗ 1 − e−µ l (10)
∆t µl ∆t µl
sinh( µl / 2)
GM = N ap N pa = ε ∗ ∆t ∗ Ae − µ ( a + b + l ) / 2 (11)
( µ l / 2)
For organ thicknesses that are sufficiently small, the source thickness factor
(µ/2)/sinh(µ/2) can be set to one. This simplification is often the basis for using
the geometric mean of counts to estimate organ and tumor uptake from conjugate
view Anger camera images. The geometric mean of anterior and posterior image
counts can provide an estimate for tumor/organ uptake very simply from a meas-
urement of the total thickness (a + b + ) of the body region in which the organ is
imaged. We refer to this as the total thickness T. The linear attenuation coefficient
is defined as µ in the above equalities.
The attenuation factor in the above equation for the GM can also be determined
from a transmission source imaging technique. If the transmission and emission
sources have similar µ values, the activity in an organ can be calculated using:
N ap N pa N ap N pa N (0)
Atumor / organ [ µCi] = e + µ ( a + b + l) / 2 = (12)
ε ∗ ∆t ε ∗ ∆t N (T )
where N(T ) is the number of counts with the patient between source and gamma
camera and N(0) is the number of counts without the patient in place. Source
thickness factor has been set to unity in eq. (12). The transmission emission
approach can be invoked to estimate uptake of most gamma-emitting radionu-
clides currently used in nuclear medicine to an accuracy of about 10% to 20%
(Macey and Marshall 1982). If the radionuclide used to determine the attenuation
correction factor emits a different energy than the therapy radionuclide (e.g., if
57
Co is used for the transmission measurement in a patient who received 131I for
RIT), special correction factors are required to account for the differences in tissue
linear attenuation coefficient values.
19
Figure 3. Acquisition of transmission and emission images. ACF is the attenuation
correction factor.
20
2. Scatter Correction Techniques
In the above analyses, the photons were assumed to travel in such a manner
that scattered radiation did not enter the camera or other detector system. Scatter
correction is usually necessary because the recorded counts in a given camera
pixel will include primary as well as scattered photons.
Typical scatter corrections have included using adjacent areas on the planar image
to subtract such counts or the use of variable windowing on the gamma camera photon
spectra to exclude lower energy photons from the imaging. For a single photon emit-
ter such as 99mTc, this would entail setting two energy windows: one over the direct
photons at 140 keV and one over the scattered radiation at 100 to 120 keV. A sub-
traction of the latter from the former gives the net direct (unscattered) counts for
that region of the patient. This is discussed in greater detail in the section on quan-
titative SPECT imaging. Use of a triple-energy window (TEW) with satellite win-
dows set both above and below the photopeak has been described (Ichihara et al.
1993). A weighted average of the count rates in these two satellites is then subtracted
from the count rate in the center of the spectrum to produce a primary count rate.
If the radionuclide used in the imaging procedure emits more than one photon,
these strategies for spectroscopic scatter correction become more complicated. For
example with 111In, the dual-window program would require a total of four energy
windows to be set. Yet the lowest of these, at 140 to 150 keV, would contain both
scattered photons from the higher energy peak at 247 keV as well as scattered pho-
tons from the lower peak at 174 keV.
It is important to understand that because a pulse is recorded with a lower
energy than the photoelectric peak in the detector does not necessarily indicate
scattering. This ambiguity occurs due to the finite energy resolution of the NaI(Tl)
crystal in the gamma camera. Direct photon energies appear to spread around a
mean value with a full width at half maximum (FWHM) of approximately 10% or
higher. Thus, correction using such secondary windows is uncertain and necessar-
ily leads to loss of counts attributable to unscattered (direct) photons. Scattering
within the crystal of the camera is also ignored in this analysis. A sample gamma
camera photon spectrum for 111In is shown in Figure 4.
Comparisons of the various types of spectroscopic scatter-correction tech-
niques have shown (Ljungberg et al. 1994, Buvat et al. 1995) that no single method
is best under all possible circumstances. One can conclude that some correction,
however, must be applied to the acquired camera data.
Another method to include the effects of scattered radiation is to insert a
buildup factor (B) into the counting equation. Thus, eq. (10) would have a revised
anterior projection given by:
A ∗ B − µa
[ ]
N ap
=ε e 1 − e−µ l (10a)
∆t µl
21
Figure 4. Photon spectrum from a gamma camera for 111In.
An analogous change would occur for the posterior projection. In the original deri-
vation by Thomas et al. (1976), the B factor was set equal to unity. Siegel and co-
workers have determined such B functions for a variety of radionuclides by doing
single source attenuation experiments with a set of tissue-equivalent phantoms (Wu
and Siegel 1984). One may use either a depth-dependent or depth-independent value
for B given the radionuclide (van Rensberg et al. 1988).
An artificial neural network to compensate for scatter and attenuation has been
proposed as an additional method of correction (Maksud et al. 1998). The network
learning time was found to be reduced if a geometric mean was used as the input
data to the system.
Ni
∆t ∫
= ε ⋅ ai ( x ) B ( x ) e − µx dx (13)
22
where Ni are the counts recorded along the ith ray through the patient and ai(x) is
the unknown linear activity density (µCi/cm or MBq/cm) at the depth x along that
ray. Other factors in the equation have been defined previously. Liu et al. (1996)
have solved the equation set (13) with a CT-assisted matrix inversion method
(CAMI). By imaging a phantom with both CT and nuclear camera, these authors
reported errors in three pseudo organ uptakes of between 5% and 15%. Using the
geometric mean (GM) approach and the same phantom, comparable errors were
on the order of 30%. Background activity was included in the phantom as a fourth
radioactive source.
Other observers, using a humanoid phantom, have reported geometric mean
activity estimates with errors on the order of 30% (van Rensberg et al. 1988). This
uncertainty is one of the primary reasons why GM analyses must be carefully uti-
lized. A second reason is the possible lack of a geometric mean value if the source
can only be viewed from a single projection. It is important to recognize that the GM
analysis also depends upon observing the organ clearly in both projections—with-
out overlap of other tissues. For example, the right kidney and liver interfere with
each other in almost any projection so as to make geometric mean activity measure-
ments for these two organs difficult if both show accumulation of the radiopharma-
ceutical. Thomas and co-workers have indicated methods, involving hyperbolic
functions, to account for other organs in the field of view (Thomas et al. 1988). These
methods require use of lateral images to determine thicknesses of the tissues
involved. A general review of uptake measurements, involving both non-scatter and
scatter situations, is found in MIRD Pamphlet 16 (Siegel et al. 1999).
Finally, it should be emphasized that because a hot spot appears in a compara-
ble location in two opposed projections there is no guarantee that it is the same
source. For example, a tumor may appear in the lower left quadrant in the ante-
rior view, but the spleen may be the strong uptake source seen in the correspon-
ding position in the posterior projection. By using CT data and merging that image
with nuclear camera information, this last kind of confusion may be reduced.
Table 4 contains a summary of the methods to evaluate organ uptake of radioac-
tivity. Three logical cases are possible for the nuclear projections. The observer
Method
Available Projection(s) GM Single Image CAMI
Diametric Opposed Yes Yes Yes
Single Projection No Yes Yes
None No No Yes
Note: CAMI means CT-assisted matrix inversion and requires the fusion of coronal CT (or MRI)
projections and coronal nuclear images.
23
may have diametrically opposed projections, a single projection, or no nuclear
image at all (!). This last case occurs when a CT or MRI image reveals a site that
does not show enough contrast to be imaged by the nuclear camera. Those doing
uptake measurements will have to deal with each of these three cases.
N pr = Ntotal − kN sc (14)
where Npr represents primary counts and Nsc are counts recorded in a scatter
window. The constant k, called the scatter multiplier, is the ratio of scatter counts
detected in the photopeak and scatter windows respectively.
This simple dual energy window scatter subtraction method was originally
developed for SPECT images (Jaszczak et al. 1984). The method was found to be
accurate to within 10% for 99mTc. With a photopeak window set at 127 to 153 keV
(±10%) and scatter window at 92 to 125 keV, a k value of 0.5 was empirically deter-
mined. Both line sources and cold spheres were used in the measurements.
Koral and co-workers (1990) have extended the k-factor analysis to individual
projection images. Here, somewhat different values of k were determined using
only radioactive sources of 99mTc. In their study, k varied between 0.73 to 1.29
depending upon the geometry of the source and the size of the ROI selected by
the investigator. Thus, it is clear that the user must determine a correction constant
appropriate for the local camera and collimator system.
In the convolution technique, which requires only a single photopeak image set,
a similar equation has been applied.
N pr = Ntotal − Q ⊗ N pr (15)
where Q is a scatter function and ⊗ the convolution symbol (Axelsson et al. 1984).
Generally, Q is represented by a monoexponential function of counts versus dis-
tance off axis in a 22-cm diameter cylinder. Subsequently, Q has been found to be
24
non-stationary and, consequently, the method cannot provide the same accuracy
as the dual energy window approach. A general review of quantitative SPECT
imaging should be consulted for more details of the various scatter-correction
methods (Rosenthal et al. 1995).
1. Palpation
Palpation has been a classical approach to estimating volumes of surface
lesions/organs in the clinic. The physician usually records the length (l), height
(h), and width (w) of an abnormal lump (e.g., a lymph node), usually indicated by
the patient, and the volume is calculated simply from the relationship:
4 (l ∗ w ∗ h )
Vtumor = π (16)
3 8
This subjective approach is simple and easy to apply, and can be valuable for
assessing the “hardness” and response of superficial nodes in various regions of
the body. An example of this sort of volume estimation using CT data is given in
Appendix B.
25
Radionuclide tomography can provide information for larger organs and
tumors, and PET and SPECT can be used to measure the functioning volumes for
organs and tumor sites larger than 10 ml. Biopsy with autoradiography can pro-
vide information on the microscopic distribution/fraction of a tumor/organ in
which a radiopharmaceutical is distributed. This method is usually impractical for
dose estimation because it is invasive and very localized. Biopsies in animal stud-
ies have demonstrated the distribution of protein agents to be heterogeneous. The
longer range of energetic beta emitters tends to compensate for the heterogeneity
and can be used to justify their use in clinical therapy.
26
A secondary reason for modeling, of more conceptual interest, is determina-
tion of rate constants and volumes descriptive of the tracer biodistributions. These
parameters can be compared across different proteins and other agents to help in
understanding the handling of the radiopharmaceutical in vivo. One of the most
important of these parameters is the volume of distribution. Generally, these vol-
umes are inverse functions of the molecular weight (MW) of a protein. Generally,
as the MW decreases, the volume of distribution will increase.
Finally, there is the possibility that the model may point out that some data
values are incorrect. Most such errors are due to mistakes made in the handling of
information and not because of camera or other detector malfunction. These erro-
neous values will be far away from any model-generated functions and thereby
noted by the investigator. In a data base analysis, such values must be screened out
before the integrations to determine areas under the curve.
C. Types of Models
Two types of physiological model are in general use: simple curve fitting and
compartmental analysis. We will describe the advantages and disadvantages of
each approach. Both require the use of a computer-based algorithm to produce the
best fit, usually via least-squares analyses, of a given set of model parameters.
Goodness of fit may be judged by use of standard statistical parameters such as
the correlation coefficient or R2.
27
2. Compartmental Modeling of the Entire
Physiological System
The general motivation for compartmental modeling lies in the ability to fit all
of the biodistribution data simultaneously. Given the model, one then has a repre-
sentation that gives distribution volumes, rate constants, and other parameters.
Some advantage in the understanding of the biodistribution may result from this
more cohesive set of fitted parameters. Two general programs are presently avail-
able: SAAM and CONSAAM (Foster and Boston 1983) and ADAPT II (D’Argenio
and Schumitzky 1979). Both are operable on a standard PC. SIMPLE, available
from UCLA, runs on the Macintosh platform (Gambir et al. 1991).
Two general types of local relationships are found in closed compartmental analy-
ses. These are the mammillary and catenary forms as given in Figure 5. Note that,
for most agents, the injection of the labeled material into the blood implies that
the vasculature will act as the source compartment for all other organs (i.e., the
mammillary picture). This holds even for cases of intraperitoneal, intra-arterial
or intralesional injection or even inhalation of radioactivity due to eventual appear-
ance of the label in the blood compartment. Catenary (chain-like) features are
found in the excretion or processing of the labeled material. Renal and gut excre-
tion might be expected to exhibit this type of behavior. A given agent would
probably show some of each of these patterns. Because much of the input data
were acquired via imaging, blood may be used as part of any organ compart-
ment. This assumption may be not be necessary in the case of animal biodistri-
butions where blood has been removed from normal tissue and tumor samples
before counting.
Two catenary subroutines are built into both MIRDOSE2 and MIRDOSE3 pro-
grams. One is used to describe the chain from blood to kidney to urinary bladder
(Watson et al. 1984). The other describes excretion via the gut; small, upper large,
and lower large intestines are included in that catenary picture. Readers should not,
however, believe that their radiopharmaceutical will necessarily follow either of
these two schema. Instead one needs to confirm that such simple processes actu-
ally describe elimination of proteins or their metabolic products. It may be more
likely that a patients’s gut excretion rather than renal excretion would be similar
to that available in the MIRDOSE programs (Breitz et al. 1993). This follows from
the possible interaction of fragmented antibodies within the renal tubules.
28
Figure 5. Mammillary and catenary model subsystems.
29
conservation of matter (activity) are readily accomplished with these variables.
Data in the form of u(activity/gram) are usually not immediately appropriate since
such specific uptakes are not directly relatable to the model variables. It may be
possible to take the mathematical picture as derived for the A variables and recast
it into the u variables by respectively dividing through by organ masses. In the case
of clinical results, the last conversion may not be achievable, however, due to
uncertainties in patient organ size.
This conversion is required, however, in the case of blood samples whereby
the total volume of distribution is unknown—particularly for a novel protein or
new tracer. In this case, the A variable for the blood is explicitly modeled as
u(blood) ∗ V(blood) where the latter volume is determined by the fitting algorithm.
Note that u is the measured quantity in this case, not A.
30
F. Integration of Area Under the Curve (AUC)
1. Mathematical Form
Some users prefer to estimate activity integrals under PIA versus time curves
with a simple trapezoidal or other rule (Chaney and Kinkaid 1985). Usually, the
region of the curve beyond the last measured point is represented as a single expo-
nential based on the effective half time calculated from the last 2 or 3 points. This
is still a model—albeit one without a physical basis. The accuracy of the AUC will
depend mostly on the magnitude of the last point relative to the maximum values
for each uptake site.
A purely mathematical form of integration has another application in dose esti-
mation in a modeling context. It may be the case that one organ system, such as the
kidneys, is only imaged in a relatively small subset of the patients. Thus, due to a
lack of renal data, the model cannot contain a kidney compartment. For those
patients whose renal system is imaged, the user may prefer to perform that particu-
lar integration via a trapezoidal or other mathematical rule as a separate procedure.
∑ k
a
AUC = (17)
i =1, n i
It is useful to recall that the physical decay constant is generally implicitly part of
the k parameters. Any given k can then be represented as kb + λ with kb being the
biological clearance constant.
3. Compartmental Model
In either the ADAPT (D’Argenio and Schumitzky 1979) or SAAM (Foster and
Boston 1983) programs, integration of the time-activity curves is accomplished
by defining a mathematical compartment as the integral of the organ compartment
of interest. For example, if we set the activity in compartment one equal to A(1),
then its integral is:
∞
à (1) = ∫
t =0
A(1) dt (18)
31
Figure 6. Five-compartment model for the intact antibody cT84.66.
Here, Ã(1) is formally the time integral of compartment one. Notice that Ã(1) is
not sampled, and can only be computed using the fitted organ one activity curve.
With ADAPT, this computation may require extensive processor time due to the
step-by-step integration necessary in a modeling program. Convergence may also
be questioned and is best answered by looking at the graph of Ã(1) as a function
of time. If the integral converges, this function approaches a constant value. An
integration compartment must be defined for each of the modeled physiological
systems. Thus, if 5 organs are modeled, 5 equations of the form given above will
need to be added to the analysis. In this case, a total of 10 differential equations
will have to be solved simultaneously. One may consider this complexity to be a
disadvantage of the modeling approach as compared to a purely mathematical
integration. This last consideration is a reason for multi-exponential representa-
tion of an organ’s activity data. Figure 6 contains the five compartment model used
to represent the antibody cT84.66.
Uncertainties in the integrals are generally not discussed by investigators. One
method to estimate the errors in the AUCs is to use the covariance matrix avail-
able from the fitting procedure. This matrix, with Monte Carlo methods, will allow
simultaneous prediction of the variation of areas for each of the organ compart-
ments (Kaplan et al. 1997). While this type of analysis may be performed sepa-
rately on each of the organs in an open compartment analysis, that result will tend
to misrepresent the variation of AUC since the cross-correlations are not included
in the process.
Given the Ã, the user must substitute this set of values into the fundamental
MIRD formula of eq. (1). Generally, one retains the units as taken, µCi − h or
decays, for this computation. The resultant dose is then in rads or cGy if the S
32
matrix value is in appropriate units. If one wishes to compare various patients with
each other or with animal studies, the computation is in rad/µCi or cGy/MBq
injected activity so that residence times (τ) are used in lieu of à in eq. (1).
33
(IND) Application sent to the FDA. We have previously discussed using animal
biodistribution data as an input to this type of computation.
Reviewers of the IND application are generally not interested in a specific
patient’s absorbed dose estimate. Instead, they want to find out how the applicant’s
dose estimation for a novel radiopharmaceutical compares to other, similar
agents. By using a standard set of S values, the applicant allows the FDA to follow
its computations more readily than if a patient-specific dose estimate were made.
We will describe individualized absorbed dose estimates in section VI.B.
34
Figure 7. Outline of the general dose estimation process.
be of interest. A sample absorbed dose estimate for the adult male phantom using
the geometric mean method for uptake measurement is given in Appendix C.
Integration of the activity curves was done with the five-compartment model of
Figure 6.
35
Three source organs are generally assumed for estimating marrow dose in RIT.
These include activities in the marrow, bone, and residual body. This can be ex-
pressed as:
Radionuclide organ imaging methods often cannot separate these three source
organs and sometimes a biopsy sample may be useful. Counts from an iliac crest
or other bone marrow sample may be used to normalize to imaging data taken
from the gamma camera (Macey et al. 1995). Such samples, however, only rep-
resent a single determination (snapshot) of a radioactivity distribution that is
changing and repeated samples are not easy to procure because of the trauma to
the patient.
If the radiolabeled antibody is assumed to be localized uniformly in the red
marrow, an aliquot can be used to provide estimates for total marrow uptake based
on imaging a small region of the marrow. A first order approach to providing esti-
mates of specific marrow uptake has been attempted based on the ROI counts
detected in the sacrum or 3 lumbar vertebrae (Macey et al. 1988). Integration of
the uptake curves obtained over any of these areas is used to provide an estimate
for specific uptake in total marrow. If little or no net activity can be visualized in
these regions, an alternative strategy must be used. Generally, this involves the
blood curve of the patient.
It has become more generally accepted that, in the case of marrow dose esti-
mation, one can use the blood concentration curve as a surrogate for the marrow
concentration curve (Siegel et al. 1990). Instead of a direct correspondence, the
marrow à value is set equal to a fraction ( f ) of the blood curves Ã:
A˜ rm ← rm = f A˜ blood
1500
(20)
5000
where 5000 (g) refers to the whole blood mass and 1500 (g) the normal red
marrow mass in the adult. Physically, this relationship is an attempt to correct, to
lowest order, for the mass difference between the whole blood and red marrow.
Values for the f factor have been estimated to lie between 0.2 and 0.4; a most
probable value of 0.34 to 0.36 has been determined by Sgouros (1993). Note that
this is only one term in the estimation of Ã. Two other terms arise from specific
uptake in the bone itself and from radioactivity in the remainder of the body.
Figure 8 summarizes the steps required to estimate marrow dose. Appendix D
demonstrates a bone marrow dose estimation using the technique of eq. (20) and
a residual body source term.
36
Figure 8. Schematic of red marrow dose estimation.
37
As an illustration of this simple mass correction approach, suppose the mass of
the spleen in a patient is known to be enlarged by a factor of 2 compared with the
MIRD Pamphlet 11 phantom model of 173.6 g. For 131I in this spleen, the Sp value
will be given by:
0.408
S pspleen = 0.0026 − = 0.00025 (22)
173.6
where the np component has been calculated using eq. (2) and the emission data
for 131I. We have written this term purposely as a ratio of the numerator of eq. (2)
divided by the MIRD phantom splenic mass. For the enlarged spleen the first order
corrected S value will be:
0.408
347 g ) =
S(spleen + 0.00025 = 0.00143 (23)
347
For the 347 g spleen, the Sp value for 131I could be more accurately derived by
interpolating the change in absorbed fraction with mass for the range of photons
emitted, but since this changes slowly with mass, a first order estimate is accurate
to better than 5% of the final value that would be returned. In our example, this
simple correction for the S value reduced the absorbed dose to the spleen by 45%.
The primary correction factor was the inverse dependence upon mass given in
eq. (2). Anatomic information is essential to the method so that CT or MRI data
will need to be available for the computation to proceed. A more complete descrip-
tion, including discussion of the gamma ray contribution which has been neglected
here, is given by Shen et al. (1997).
Other methods may be used in lieu of the MIRD Committee and MIRDOSE
approach. These techniques for individual doses are not based on Monte Carlo
methods and mathematical phantoms. Instead, one uses the actual patient geom-
etry given from the anatomical image set and explicitly calculates the absorbed
dose to a voxel in the target organ space given a set of voxels of activity distrib-
uted in the patient’s source organs. We will discuss two of these methods.
38
source at x is given the convolution:
39
secondary significance. In a practical sense, the most important non-penetrating
radiation is the beta ray.
2. Beta Emissions
a. Uniform Uptake
Because of its essentially random location and size, tumor cannot be a source or
target organ in the standard MIRD phantom format. There is, within MIRDOSE3,
a separate algorithm which estimates beta doses to spherical tumors of a given size
and having uniform uptake of the radioagent. Here, one supplies the tumor mass,
the radionuclide, and an à value for this computation. Edge effects are explicitly
taken into account (Buras et al. 1994). Doses due to other organs, however, are not
included in the computation. Such effects are probably not significant for relatively
large tumors. There may be, however, significant cross talk of high-energy betas
from a nearby normal organ to the tumor (e.g., from the liver to a liver metastasis).
A VSK may be used in this analysis as indicated in section VI.B.3.
b. Non-Uniform Uptake
Let us next consider the most general case of a non-uniform distribution of beta
activity in the tumor and energy deposition that is non-local. The latter assump-
tion follows from the extensive range of beta rays from radionuclides such as 90Y
(1.1 cm in soft tissue). Howell et al. (1989) have given S factors for various spher-
ical tumor sizes and different non-uniform radionuclide distributions. In this case
40
one could directly substitute the resultant S into the general MIRD formula if the
à is known. Thus, an S value does not necessarily imply uniform uptake within
the lesion. The VSK approach, as described above, will also provide dose esti-
mates for non-uniform uptakes by generating a voxel-sized S matrix. In any event,
estimation will be separated into its two classical aspects: the evaluation of à and
the determination of an S value or equivalent for the tumor geometry (Loevinger
and Berman 1976, Loevinger et al. 1991).
41
Because of a lack of other information, it could be necessary to use the nuclear
image to provide tumor geometry. If this is done, the resultant volume may be either
larger or smaller than that found with anatomical imaging or at surgery. The former
case of increased size occurs due to the scatter of the photons in the patient before
reaching the detector. Some of this scatter is in the collimation system. As
described in section IV, corrections to the nuclear image can be made by merging
the CT and nuclear images so as to better define the actual lesion volume.
Additionally, one may draw a satellite ROI near the source organ. Using count den-
sity from this background region, one may subtract counts from the source organ
so as to get a better idea of the actual decay events therein. To a major degree, this
is a correction for over- and under-lying activities.
The nuclear image may be smaller than the anatomical due to lack of perfusion
of certain regions of the neoplasm. In this case, a dose estimate based on nuclear
volumes may be too high and not appropriate for the tumor in question. If avail-
able, a comparison of nuclear image and non-nuclear image lesion dimensions
may be informative. Overlaying images from the two modalities can help estab-
lish zones of poor perfusion and/or incomplete targeting. This last feature may also
occur due to the heterogeneous expression of the antigen.
5. Computational Algorithms
If the activity distribution is heterogeneous and known, a direct Monte Carlo
approach is one way to estimate absorbed dose in different regions of the tumor.
Several programs are available including EGS4 (Ford and Nelson 1978), MCNP
(Briesmeister 1993), and ETRAN (Berger and Seltzer 1973). Some of these codes,
including MCNP, are available on PC computers. Geometric volumes allowed by
these programs are limited, however, so that the true geometry of the lesion and
its surroundings may not be acceptable as an input set of tally spaces. Computer
time can be quite extensive and this sort of solution may not, therefore, be prac-
tical on a routine basis.
An additional approach to this general problem is to use a convolution method
based on point source functions for the beta emitter of interest (Loevinger et al.
1956). Here, the estimated dose at the position y is given by the result of eq. (24).
By means of Fast Fourier Transform (FFT) algorithms, this computation can be
done relatively quickly for a simple tumor shape (Brigham 1974). The Fourier
transform maps the convolution into a simple product of functions in the fre-
quency (cm−1) domain. Roberson and co-workers (1994) have performed exten-
sive FFT calculations of this type in variously shaped human xenografts in a nude
mouse model using autoradiographic data for the activity distribution Ã(x).
Alternatively, one may perform the integral of eq. (24) directly in the spatial
domain. In this case, the time required may be prohibitive when the lesion has a
random shape.
42
Finally, for high-energy beta emitters, there is the Bremsstrahlung radiation
contribution (Williams et al. 1989, Stabin et al. 1994). This effect is rather small,
on the order of one percent or less, unless the lesion lies within the normal organ
(e.g., the gut for a colorectal cancer). A point source function is available for this
effect in the case of 90Y (Stabin et al. 1994). Given this function, convolution tech-
niques as outlined above may prove effective in rapid computations for simple
geometries. With a voxel source kernel, the Bremsstrahlung radiation can be
explicitly included within the S matrix (Liu et al. 1998).
43
within and without the lesion are included in the estimation. This program, run-
ning under Windows 3.1, is available on a PC.
u( m) = a ∗ m b (25)
where a and b are constants independent of m. The exponent b is typically in the
range −1.0 < b < −0.1.
For example, for primary colorectal lesions in humans, b = −0.362 was meas-
ured (Williams et al. 1993). Thus, if the beta radiation does not escape the tumor
volume, one anticipates improved radiation dose delivery as the lesion mass
decreases. Eq. (25) can be used to predict uptake for one or more lesions seen only
on CT or MRI scan. Here, we suppose that the a and b coefficients have been deter-
mined using animal or human data. Human uptakes of antibody tracers have been
measured by taking surgical samples post systemic injection. Values of u, cor-
rected for decay of the radionuclide, are generally in the range of 2 to 20% ID/kg
at periods of time between 5 and 15 days post-injection (Williams et al. 1993).
These magnitudes are consistent with the results with human xenografts in nude
mice provided that one takes into account the species mass difference and the vari-
ation of antigen concentration between the xenograft and human wild-type
tumors. Thus, analysis of a murine model does provide a good prediction of the
human tumor uptake in a clinical setting. A summary of tumor dose estimation
methods is given in Figure 9.
44
Figure 9. Steps in tumor dose estimation. ACF refers to attenuation correction factor.
45
Figure 10. Typical platelet data from four representative 131I-CC49 RIT patients.
46
Figure 11. Treatment strategy for RIT based on limited dose (200 rad) to marrow.
47
RIT, this is very similar to the limitation due to red marrow dose. Generally, one
attempts to keep estimated blood dose to 200 rads (2.0 Gy) or less. Since this treat-
ment will follow surgical removal of the majority of the thyroid, the actual dose
to remnant tissue remains uncertain, a difficulty that is also found in treating a
small tumor of unknown size within the body of a patient using RIT.
As in the case of non-thyroid tumor therapy, the mass of residual thyroid tissue
remains the primary uncertainty in the target organ absorbed dose estimation
process. Both penetrating and non-penetrating radiation are included in the esti-
mation. Possible radionuclides are 131I and 125I with advantages seen in the use of
the former due to its greater beta ray penetration in soft tissue. It should be noted
that use of 131I may allow imaging of the biodistribution of activity during the
course of treatment. Here, we assume rapid excretion of most of the activity after
the first 24 hours so that the gamma camera is not overwhelmed with the count
rate during therapy. Additional lesions may also be visualized using this high level
of 131I activity prescribed for the radiotherapy treatment. Thus, for most clinicians,
131
I is the radionuclide of choice in thyroid therapy. It is administered as the sodium
salt—usually by mouth.
A. Clinical Situation
Prostate, breast, and other cancers may lead to multiple bone metastatic sites.
While single sites may be treated with external beam therapy, multiple sites imply
the use of a radioactive agent that can distribute as a bone seeker. In general, the
treatment is not intended to reduce the metastatic site in size, but rather to induce
a reduction in the patient’s pain symptoms. The anatomic target of this radiation
is not known. In several clinical studies, such palliation has been achieved at levels
between 50% and 90% of the population. Pain may recur with subsequent treat-
ment becoming necessary (Lewington 1996). Absorbed dose estimates have been
made in only a minority of the clinical trials. Thus, it has not been possible to cor-
relate the clinical outcome (i.e., the reduction of symptoms) with the estimated
dose.
B. Radionuclides
A number of beta emitters, including 32P, 89Sr, 153Sm, and 186Re, have been
investigated in these applications. Particulars regarding their beta (and possible
gamma) emissions are described in Table 1. More recent trials have involved the
last two radionuclides in the reduction of breast and prostate cancer bone pain. In
48
particular, 186Re has chemical properties similar to 99mTc so that the latter tracer
may be used to indicate the eventual biodistribution of rhenium. In this way, the
physician may correlate the conventional bone scan image with that found during
therapy (de Klerk et al. 1992). Presence of a gamma emission in the decay spectra
of 153Sm and 186Re allows imaging of the distribution activity after injection of these
radionuclides. In that way, the clinician can document uptake and, possibly, the
reduction of a lesion’s size.
C. Dose Estimation
Determination of activity within bone is probably the greatest obstacle to dose
estimation using bone agents. Projection images may show accumulations that
actually reflect uptake in hard bone, as well as trabecular bone and marrow. Thus,
the clinician is usually limited to bone biopsy information. These data, however,
are generally only obtained once for a given patient due to trauma and associated
pain. It may be possible to correlate the biopsy with the image data, but this can
be difficult.
Stabin and co-workers have used MIRDOSE2 and its ICRP 30 (International
Commission on Radiation Protection and Measurements Report 30) subroutine
to estimate marrow dose with 153Sm bound to the chelator EDTMP (Eary et al.
1993). In that case, values of 5.7 rad/mCi administered activity were calculated.
Since patients were treated with up to 3.0 mCi/kg, this led to red marrow
absorbed doses of up to 2250 rad or 22.50 Gy. Yet only 2 of 4 patients experi-
enced even mild hemotoxicity at this level. The authors comment that these
doses were almost certainly overestimated due to the ICRP 30 assumption that
all bone surfaces are in contact with marrow. Instead, the marrow is heteroge-
neously distributed within the bony matrix and has, particularly in the older
patient, large amounts of yellow (fatty) marrow admixed within its assumed
space inside the bone. In addition, many of these patients have been pretreated
with various chemotherapy agents that may also have led to a change in their
marrow mass.
A group at the University of Cincinnati has attempted to improve such bone
marrow absorbed dose estimates using pathology samples and a Monte-Carlo
approach (Samaratunga et al. 1995). They applied their method to 186Re(Sn)-
HEDP. In this case, S values were found to be considerably higher in the Monte-
Carlo method than that found using a homogeneous model of the soft-tissue
(lesion) distribution within the bone matrix. This work, entirely microscopic, did
not attempt to compare its results with the traditional MIRD organ-sized analyses
described in this report.
We would conclude that bone marrow dose estimation for bone-seeking
radiopharmaceuticals is not a simple exercise (Bayouth et al. 1995). As indicated
above, while new information is available on S matrix values, bone and marrow
49
biodistribution data are difficult to obtain. The latter result will probably not
improve in the near term. It is therefore tempting to validate instead the compu-
tations (if any) of marrow absorbed dose with clinical blood chemistry post-
therapy. This method will, at least, demonstrate a practical method for estimating
red marrow absorbed dose. It may also be compared to external beam results.
50
Table 5. Radiation Safety Guidelines for Patients Receiving
Radionuclide Therapy
51
For agreement states, criteria may differ from the NRC values. For example,
the previous federal rules permitted a maximum of 30 mCi of activity or 5 mR/h
at one meter from the patient at the time of release. These values are still in force
at many institutions. Zanzonico (1997) has shown that if hyperthyroid patients
were released with a mean activity of 29 mCi, their family members received an
average of 500 mrem. Both direct irradiation and radioiodine uptake were con-
sidered in these measurements which justified the older, more restrictive, regula-
tions for non-malignant disease.
Patients with thyroid malignancies, given that they will initially undergo thy-
roidectomy, will demonstrate much more rapid clearance of the radioiodine and
hence justify more liberal release criteria than that used for hyperthyroid patients.
It is unlikely that RIT patients will show such rapid clearance. Dehalogenation of
the radioiodine in a RIT protocol may allow more rapid excretion than with a
radiometal label on the antibody, however. Whole body and various organ reten-
tions of the antibody LYM-1 are given for a typical patient in Figure 12.
Figure 12. Whole body and organ retention data for a 131I-LYM-1 patient.
52
When the patient is discharged, the room must be surveyed for contamination
before it is released for use by others. This process involves both room surveys
and the swabbing of surfaces to detect removable activity. Pure beta sources may
be counted using either Bremsstrahlung or, if energetic enough, Cerenkov radia-
tion. Calibration of the counter is provided by an aliquot of the injected activity.
X. SUMMARY OF RADIOIMMUNOTHERAPY
AND RADIONUCLIDE THERAPY
IN CLINICAL PRACTICE
A. Treatment Planning
RIT requires extensive staff involvement and equipment preparation. Nuclear
Medicine personnel must acquire uptake information from the major organ sys-
tems and perform integrations out to times on the order of 10 physical half-lives.
As we have seen, activity values in patients may be determined by one of several
methods with uncertainties between ±10% and ±30%. Generally, the GM strategy
has been the most commonly used with the requirement that two opposed images
be determined at each time point in the study. Alternatively, quantitative SPECT
or the CAMI method may be invoked if this condition is not met. Integration of
activity is best done with a physiological model that includes all the imaged com-
partments as well as fluid samples. Errors in this process are probably on the order
of ±2% to ±10%. Lastly, the provision of S values in the standard MIRD formula
requires that the target organ or tumor mass be determined with anatomic imag-
ing. If this is not possible, errors on the order of factors of two- or three-fold are
not unexpected due to the differences between true organ sizes and the MIRD
phantom values assumed (Liu et al. 1998).
Overall, one anticipates that at best the estimated absorbed dose in RIT trials
is correct to within ±20%. This result is much worse than the value usually given
for external beam therapy (±5%). Such comparisons are probably better done,
however, by looking at dose-volume histograms whereby the differences may not
be as striking. As the use of Monte Carlo methods increases, such histograms will
become common and allow us to better visualize the estimated dose distributions
provided by each modality.
53
RIT in the adjuvant setting is not yet in any widespread use. As we noted in section
VI.C.8, the smaller tumors are better targets for radiation therapy using internal emit-
ters. One can expect more RIT protocols following surgical removal of the primary
disease site(s). This application may eventually become their primary clinical use.
In the near term, one can anticipate that the number of trials will continue to
grow as more antibodies and their fragments are engineered. Certain applications,
such as the purging of diseased marrow using labeled antibodies, will increase and
may eventually supplant external beam treatments. It is possible that RIT will
evolve as a preferred modality for lymphoma therapy. The sensitivity of this dis-
ease to ionizing radiation and the localization of the absorbed dose derived from
RIT are the primary reasons for this prediction.
Patient-specific absorbed dose estimates will become necessary to understand
the effectiveness of all trials. While MIRD-type estimates will still be made for
the FDA, one expects the specific dose estimate, or treatment plan, will become
much more common. Such absorbed dose values will then be compared with the
tumor effects and normal organ toxicities observed in the clinic. Here, one may
find that the rad or grey dose estimated via a patient-specific calculation is not
directly comparable to external beam doses delivered over much shorter times
with extended rest intervals between treatments.
We also expect that there will be some effort to add radiation sensitizers to the
treatment regimen. Presumably given prior to RIT, these agents could lead to
greater cancer cell sensitivity to the beta (or alpha) radiation involved in the ther-
apy. In such work, the importance of physiological models will become much more
significant than we have indicated. Using such models and knowledge of the cell
cycle, one could hope to optimize the treatment of a given solid tumor.
54
MIBG (metaiodobenzylguanidine) in the treatment of neuroendocrine tumors
(Shapiro et al. 1992) and the various bone pain agents described above. In the former
case, diseases such as pheochromocytoma may be containable with sufficient
activity levels of 131I-MIBG. In the latter example, one imagines at least a con-
tinuing therapy strategy to alleviate the patient’s discomfort. No other modality
seems to be able to provide this service which implies a continuing increase in the
number of such clinical therapies.
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63
APPENDIX A
64
APPENDIX B
65
APPENDIX C
Table C1. Partial List of Anterior and Posterior Counts Obtained with a
Whole Body Gamma Camera
Using CT data, it was seen that the patient thickness (T) at the liver was 26 cm
while the liver thickness () was 16 cm. By previous attenuation measurements with
an 111In source, it was determined that the linear attenuation coefficient (µ) was
0.116 cm−1. We subtract the background (cf. Figure 3) via:
For the anterior projection, this difference amounted to 64.6 counts/pixel; the pos-
terior net count value was 53.7 counts/pixel. Upon multiplying by 4018 pixels for the
liver, we obtain totals of 259 × 103 and 216 × 103 counts for anterior and posterior
projections in 12 min. Their geometric mean is 237 × 103 counts in 12 minutes. The
two geometric factors exp(µT/2) and (µ/2)/sinh(µ/2) are 4.39 and 0.869 respec-
tively. Substituting into eq. (11) with a sensitivity of 7063 × 103 counts/(12 min IA),
we obtain a fractional injected activity (FIA) of 0.128 for the liver. We should note
that since this organ is imaged in vivo, the liver contains blood as well as hepatic
tissue. Thus, the model contains both tissues for this image data.
Table C2 contains a summary of FIA for organ systems that were imaged or
sampled via well counter assay. In the latter case, an aliquot of the injected dose
was used to determine the FIA.
66
Table C2. Fractional Injected Activities (FIAs) for 111In-cT84.66
Elapsed Time Whole Body Liver Spleen Heart Tumor
A five-compartment model (Figure 6) was fitted to the above data set using
SAAM II. The resultant residence times are given in Table C3. Notice that the
model, since it contains decay as an explicit output channel from each compart-
ment, predicts values for both 111In and 90Y labels on cT84.66.
We then substitute these residence times into MIRDOSE3 and obtain the values
shown in Table C4.
67
APPENDIX D
68
AAPM REPORT SERIES ($10.00 Each)
No. 1 “Phantoms for Performance Evaluation and Quality Assurance of CT
Scanners” (1977)
No. 3 “Optical Radiations in Medicine: A Survey of Uses, Measurement and
Sources” (1977)
No. 4 “Basic Quality Control in Diagnostic Radiology,” AAPM Task Force
on Quality Assurance Protocol (1977)
No. 5 “AAPM Survey of Medical Physics Training Programs,” Committee
on the Training of Medical Physicists (1980)
No. 6 “Scintillation Camera Acceptance Testing & Performance Evaluation,”
AAPM Nuclear Medicine Committee (1980)
No. 7 “Protocol for Neutron Beam Dosimetry,” AAPM Task Group #18
(1980) (FREE)
No. 8 “Pulse Echo Ultrasound Imaging Systems: Performance Tests &
Criteria,” P. Carson & J. Zagzebski (1980)
No. 9 “Computer-Aided Scintillation Camera Acceptance Testing,” AAPM
Task Group of the Nuclear Medicine Committee (1982)
No. 10 “A Standard Format for Digital Image Exchange,” Baxter et al. (1982)
No. 11 “A Guide to the Teaching of Clinical Radiological Physics to Residents
in Radiology,” AAPM Committee on the Training of Radiologists
(1982)
No. 12 “Evaluation of Radiation Exposure Levels in Cine Cardiac
Catherization Laboratories,” AAPM Cine Task Force of the Diagnostic
Radiology Committee (1984)
No. 13 “Physical Aspects of Quality Assurance in Radiation Therapy,” AAPM
Radiation Therapy Committee Task Group #24, with contribution by
Task Group #22 (1984)
No. 14 “Performance Specifications and Acceptance Testing for X-Ray
Generators and Automatic Exposure Control Devices” (1985)
No. 15 “Performance Evaluation and Quality Assurance in Digital Subtraction
Angiography,” AAPM Digital Radiology/ Fluorography Task Group
(1985)
No. 16 “Protocol for Heavy Charged-Particle Therapy Beam Dosimetry,”
AAPM Task Group #20 of the Radiation Therapy Committee (1986)
69
No. 17 “The Physical Aspects of Total and Half Body Photon Irradiation,”
AAPM Task Group #29 of the Radiation Therapy Committee (1986)
No. 18 “A Primer on Low-Level Ionizing Radiation and its Biological
Effects,” AAPM Biological Effects Committee (1986)
No. 19 “Neutron Measurements Around High Energy X-Ray Radiotherapy
Machines,” AAPM Radiation Therapy Task Group #27 (1987)
No. 20 “Site Planning for Magnetic Resonance Imaging Systems,” AAPM
NMR Task Group #2 (1987)
No. 21 “Specification of Brachytherapy Source Strength,” AAPM Radiation
Therapy Task Group #32 (1987)
No. 22 “Rotation Scintillation Camera Spect Acceptance Testing and Quality
Control,” Task Group of Nuclear Medicine Committee (1987)
No. 23 “Total Skin Electron Therapy: Technique and Dosimetry,” AAPM
Radiation Therapy Task Group #30 (1988)
No. 24 “Radiotherapy Portal Imaging Quality,” AAPM Radiation Therapy
Task Group #28 (1988)
No. 25 “Protocols for the Radiation Safety Surveys of Diagnostic Radiological
Equipment,” AAPM Diagnostic X-Ray Imaging Committee Task
Group #1 (1988)
No. 26 “Performance Evaluation of Hyperthermia Equipment,” AAPM
Hyperthermia Task Group #1 (1989)
No. 27 “Hyperthermia Treatment Planning,” AAPM Hyperthermia Committee
Task Group #2 (1989)
No. 28 “Quality Assurance Methods and Phantoms for Magnetic Resonance
Imaging,” AAPM Nuclear Magnetic Resonance Committee Task
Group #1 (1990)
No. 29 “Equipment Requirements and Quality Control for Mammography,”
AAPM Diagnostic X-Ray Imaging Committee Task Group #7 (1990)
No. 30 “E-Mail and Academic Computer Networks,” AAPM Computer
Committee Task Group #1 (1990)
No. 31 “Standardized Methods for Measuring Diagnostic X-Ray Exposures,”
AAPM Diagnostic X-Ray Imaging Committee Task Group #8 (1991)
No. 32 “Clinical Electron-Beam Dosimetry,” AAPM Radiation Therapy
Committee Task Group #25 (1991)
70
No. 33 “Staffing Levels and Responsibilities in Diagnostic Radiology,”
AAPM Diagnostic X-Ray Imaging Committee Task Group #5 (1991)
No. 34 “Acceptance Testing of Magnetic Resonance Imaging Systems,”
AAPM Nuclear Magnetic Resonance Task Group #6 (1992)
No. 35 “Recommendations on Performance Characteristics of Diagnostic
Exposure Meters,” AAPM Diagnostic X-Ray Imaging Task Group #6
(1992)
No. 36 “Essentials and Guidelines for Hospital Based Medical Physics
Residency Training Programs,” AAPM Presidential AD Hoc
Committee (1992)
No. 37 “Auger Electron Dosimetry,” AAPM Nuclear Medicine Committee
Task Group #6 (1993)
No. 38 “The Role of the Physicist in Radiation Oncology,” Professional
Information and Clinical Relations Committee Task Group #1 (1993)
No. 39 “Specification and Acceptance Testing of Computed Tomography
Scanners,” Diagnostic X-Ray Imaging Committee Task Group #2
(1993)
No. 40 “Radiolabeled Antibody Tumor Dosimetry,” AAPM Nuclear Medicine
Committee Task Group #2 (1993)
No. 41 “Remote Afterloading Technology,” Remote Afterloading Technology
Task Group #41 (1993)
No. 42 “The Role of the Clinical Medical Physicist in Diagnostic Radiology,”
Professional Information and Clinical Relations Committee Task
Group #2 (1993)
No. 43 “Quality Assessment and Improvement of Dose Response Models,”
$25, (1993).
No. 44 “Academic Program for Master of Science Degree in Medical
Physics,” AAPM Education and Training of Medical Physicists
Committee (1993)
No. 45 “Management of Radiation Oncology Patients with Implanted Cardiac
Pacemakers,” AAPM Task Group #4 (1994)
No. 46 “Comprehensive QA for Radiation Oncology,” AAPM Radiation
Therapy Committee Task Group #40 (1994)
No. 47 “AAPM Code of Practice for Radiotherapy Accelerators,” AAPM
Radiation Therapy Task Group #45 (1994)
71
No. 48 “The Calibration and Use of Plane-Parallel Ionization Chambers for
Dosimetry of Electron Beams,” AAPM Radiation Therapy Committee
Task Group #39 (1994)
No. 49 “Dosimetry of Auger-Electron-Emitting Radionuclides,” AAPM
Nuclear Medicine Task Group #6 (1995)
No. 50 “Fetal Dose from Radiotherapy with Photon Beams,” AAPM Radiation
Therapy Committee Task Group #36 (1995)
No. 51 “Dosimetry of Interstitial Brachytherapy Sources,” AAPM Radiation
Therapy Committee Task Group #43 (1995)
No. 52 “Quantitation of SPECT Performance,” AAPM Nuclear Medicine
Committee Task Group #4 (1995)
No. 53 “Radiation Information for Hospital Personnel,” AAPM Radiation
Safety Committee (1995)
No. 54 “Stereotactic Radiosurgery,” AAPM Radiation Therapy Committee
Task Group #42 (1995)
No. 55 “Radiation Treatment Planning Dosimetry Verification,” AAPM
Radiation Therapy Committee Task Group #23 (1995), $48, (Includes
2 disks, ASCII format). Mail, fax, or phone orders to: AAPM
Headquarters, One Physics Ellipse, College Park, MD 20740-3846,
Phone: (301) 209-3350, Fax: (301) 209-0862
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Therapy Committee Task Group #35, Reprinted from Medical Physics,
Vol. 20, Issue 4, July/August 1993
No. 57 “Recommended Nomenclature for Physical Quantities in Medical
Applications of Light,” AAPM General Medical Physics Committee
Task Group #2 (1996)
No. 58 “Managing the Use of Fluoroscopy in Medical Institutions,” AAPM
Radiation Protection Committee Task Group #6 (1998)
No. 59 “Code of Practice for Brachytherapy Physics,” AAPM Radiation
Therapy Committee Task Group #56, Reprinted from Medical Physics,
Vol. 24, Issue 10, October 1997
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AAPM Diagnostic X-Ray Committee Task Group #4 (1998)
No. 61 “High Dose Brachytherapy Treatment Delivery,” AAPM Radiation
Therapy Committee Task Group #59, Reprinted from Medical Physics,
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72
No. 62 “Quality Assurance for Clinical Radiotherapy Treatment Planning,”
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Issue 11, November 1998
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Residents in Diagnostic and Therapeutic Radiology,” Revision of
AAPM Report #11, AAPM Committee on the Training of Radiologists,
January 1999
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and Electron Beams,” AAPM Task Group #51, Reprinted from
Medical Physics, Vol. 26, Issue 9, September 1999
No. 68 “Permanent Prostate Seed Implant Brachytherapy,” AAPM Medicine
Task Group #64, Reprinted from Medical Physics, Vol. 26, Issue 10,
October 1999
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Calibration and Dosimetry: Implications for Dose Specification and
Prescription,” Report of the Low Energy Interstitial Brachytherapy
Dosimetry Subcommittee of the Radiation Therapy Committee, In
progress (2001)
No. 70 “Cardiac Catherization Equipment Performance,” Task Group #17
Diagnostic X-ray Imaging Committee, February 2001
No. 71 “A Primer for Radioimmunotherapy and Radionuclide Therapy,” Task
Group #7 Nuclear Medicine Committee, April 2001
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