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Cochrane Database of Systematic Reviews Protocol - Intervention

Surgical interventions for the management of chronic groin pain after hernia repair (postherniorrhaphy inguinodynia) in adults

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Abstract

This is a protocol for a Cochrane Review (Intervention). The objectives are as follows:

To assess the efficacy and safety of surgical interventions for the management of groin pain as a consequence of previous inguinal hernia repair in adults.

Background

Inguinal hernia repair is one of the most frequently performed procedures in general surgery, with approximately 20 million repairs every year worldwide (Kingsnorth 2003). The gold standard for treating inguinal hernias is with a mesh resulting in a tension‐free repair (Simons 2009). The synthetic mesh overlaps the inguinal defect with the aim of reinforcing the abdominal wall. After the introduction of mesh for inguinal hernia repair, the number of people with recurrences has dropped drastically (Collaboration EUHT 2002). Therefore, clinical interest has switched towards chronic pain as the most important, long‐term, costly and invalidating complication (Bay‐Nielsen 2001; Courtney 2002).

Description of the condition

Chronic postoperative inguinal pain (postherniorrhaphy inguinodynia or CPIP) is defined by the International Association for the Study of Pain as "pain beyond three months after inguinal hernia surgery" (IASP 1986). The incidence of chronic pain following repair with use of a mesh, like the Lichtenstein technique, varies between 5% and 54% (Poobalan 2003; Loos 2007a; Kehlet 2008), with a pooled incidence of 11% to 16.8% (Perkins 2000; Nienhuijs 2007; Simons 2009; Koning 2013). Some 2% to 6% of patients experience significant restrictions in social and daily activities as a consequence of CPIP, leading to an impairment of health status or 'quality of life' (QoL) (Callesen 1999; Poobalan 2001; Bozuk 2003; Mikkelsen 2004; Aasvang 2005a). Earlier studies reported that people undergoing surgery for recurrent inguinal hernias had a fourfold higher probability of developing moderate to severe pain as compared to those undergoing primary repairs (Callesen 1999). Although the development of endoscopic techniques for hernia repair has resulted in lower pain incidences (6% to 12.4% (Aasvang 2005a; Koning 2013)), CPIP remains a severe (and probably the most incapacitating) complication following inguinal hernia surgery.

CPIP is generally classified as neuropathic and non‐neuropathic (inflammatory or nociceptive) pain. Neuropathic postherniorrhaphy pain can be a result of nerve entrapment by the inserted mesh or direct damage to inguinal nerves during surgery (Perkins 2000; Kehlet 2006; Loos 2007b). Other proposed pathological mechanisms involved in chronic neuropathic pain include traumatic neuroma formation (leading to ectopic excitability, in approximately 12% (Zwaans 2015)), perineural scar tissue development, and entrapment of nerves due to fibrosis and sensitization (Amid 2004a; Chaparro 2013). The principal clinical characteristics of neuropathic pain are a sharp, burning or 'shooting' sensation which is progressive after repetitive stimulation. Paraesthesia ('tingling', 'crawling', or electrical sensations) and dysaesthesia (spontaneous or evoked unpleasant abnormal sensation) with radiation towards the associated skin area of the involved inguinal nerve are often reported. Depending on the affected nerve, pain may radiate towards the upper medial thigh (ilioinguinal nerve), suprapubic region (iliohypogastric nerve) or the genitals or ventral upper leg (genitofemoral nerve). Furthermore, patients may complain of motor deficits in the damaged nerve territory. During physical examination, a neuropathic postherniorrhaphy pain is characterised by the presence of a point of maximum pain that is covered by a somewhat larger skin area having abnormal sensation. Pain sensation is disproportionally painful (hyperalgesic) when this skin is pinched. Positive sensory abnormalities such as allodynia, hyperalgesia and hyperpathia or negative neurophysiologic phenomena including hypoaesthesia and hypoalgesia may support the diagnosis (Baron 2006). Furthermore, high scores on a neuropathic pain diagnostic questionnaire (DN4) may be helpful in differentiating this specific type from non‐neuropathic pain (Bouhassira 2005).

On the other hand, non‐neuropathic chronic postherniorrhaphy pain may be a consequence of a mesh‐ or suture‐induced (inflammatory) reaction of the inguinal area. A mesh‐related response is usually ongoing for several months following inguinal hernia repair (Aasvang 2005a). These include inflammatory‐related pain syndromes such as periostitis of the pubic bone. Since synthetic meshes have the tendency to wrinkle and crease over time (Amid 2004b), the formation of a so‐called meshoma can also lead to pain by a volume effect or by mechanical pressure on surrounding structures. People with non‐neuropathic postherniorrhaphy pain report a throbbing or nagging pain located in a non‐neuroanatomical area (Rasmussen 2004). Local pain increases if pressure is applied to either the mesh (mesh‐related), the pubic bone (periostitis) or the funiculus (funiculodynia) (Loos 2007b). Pain related to the mesh itself is usually suspected when people complain of a 'foreign body' sensation or feeling of tightness in the groin area. The pain can be aggravated by driving or leg crossing, whereas hip extension may relieve the pain (Zwaans 2017). During physical examination, deep palpation along the Poupart's ligament and lack of sensory loss may help the physician in the diagnosis of a mesh‐related type of postherniorrhaphy pain. A more diffuse pain is usually found whereas sometimes the meshoma can be felt in non‐obese individuals (Zwaans 2017).

The exact diagnosis of chronic postherniorrhaphy pain mainly depends on concise history‐taking and an extensive physical examination. A diagnostic local nerve block may aid in confirming the diagnosis (Lichtenstein 1988; Loos 2010b). However, it must be recognized that differentiation between neuropathic and non‐neuropathic pain is often difficult, if not sometimes impossible as objective diagnostic measurements are currently lacking (Kehlet 2013). In addition, a combined pain syndrome entailing neuropathic and nociceptive elements is not uncommon following hernia repair. Dysejaculation (Aasvang 2008; Bischoff 2012; Verhagen 2016) or orchialgia (Masarani 2003; Chen 2015) may be observed during both types of pain.

Risk factors for CPIP have been investigated extensively. Known factors to increase the risk of chronic pain include a high preoperative pain intensity (Franneby 2006; Simons 2009; Pierides 2016), the preoperative presence of chronic pain conditions (Simons 2009), female gender (Bay‐Nielsen 2001; Mori 2001; Aasvang 2005a; Simons 2009), young age (Franneby 2006; Simons 2009; Pierides 2016), general anaesthesia (Ozgun 2002; Joshi 2012; Zwaans 2015), anterior open approach (versus laparoscopic repair) (Franneby 2006; Nienhuijs 2007; Simons 2009), incomplete identification of all three inguinal nerves (Alfieri 2006; Simons 2009), use of a heavy‐weighted polypropylene mesh for repair (Nienhuijs 2007; Simons 2009), severe immediate postoperative pain (Kehlet 2006; Simons 2009; Aasvang 2010), and postoperative complications (Franneby 2006; Pierides 2016).

However, it must be appreciated that the relative contribution of these factors on CPIP is unknown. Moreover, psychological factors including expectations, anxiety, depression, past memories and social environment are recognized to play a role in the experience and the development of chronic pain in general (Tasmuth 1996; Turk 1996; Courtney 2002; Kehlet 2006).

Although some studies suggest that immediate postherniorrhaphy pain may diminish over time (Grant 2004; Nienhuijs 2007), the majority of painful patients may develop a chronic character of postherniorrhaphy pain. First‐line management of CPIP is pharmacological, using conventional analgesics or by peripheral nerve blocks with local anaesthetics (whether or not combined with corticosteroids). It is recognized that adequate pharmacological pain management is important in the acute phase as a means to minimise the chance of conversion to chronic pain (Werner 2014a; Werner 2014b). However, if conservative treatments are to no avail, more invasive therapies may be considered. Anaesthesiologic techniques including transcutaneous electric nerve stimulation (TENS), pulsed radiofrequency (PRF), nerve root blocks or dorsal root ganglion stimulation may all offer pain relief. Surgical interventions are usually considered as a last option once pain is recalcitrant.

Description of the intervention

Surgical therapies to relieve CPIP (remedial surgery) can be performed using an open approach (Starling 1989; Heise 1998; Amid 2002; Deysine 2002; Amid 2004a; Aasvang 2005b; Loos 2010a; Verhagen 2016); or an endoscopic approach (Krahenbuhl 1997; Giger 2009; Chen 2013). Two major types of remedial surgery can be distinguished. The rationale for the choice of remedial surgery mainly depends on the assumed cause of the postherniorrhaphy pain. Resection of the inguinal nerves, either by a tailored approach or as triple neurectomy including all inguinal nerves, is the most performed remedial surgical technique for (neuropathic) CPIP (Lange 2015). The number of neurectomies depends on the preference of the attending surgeon.

A second type of remedial surgery is the removal of the surgical mesh (meshectomy), either partial or complete. This surgical procedure can be considered when the mesh is implicated as the origin of non‐neuropathic postherniorrhaphy pain. A meshectomy may be complex and a salvage technique, since surgery in fibrotic tissue may increase the chances of complications considerably. Moreover, the posterior wall or the inguinal canal may require reinforcement to avoid looming recurrent hernias. This can be done by a synchronous or metachronous new mesh insertion (Keller 2008) or by a tension repair using own body material (Koopmann 2011; Zwaans 2017).

Other types of remedial surgery may entail removal of fixating devices such as sutures or staples. A release of the funiculus (funiculolysis) may be helpful in a subgroup of patients, as is an orchiectomy. All of these procedures are infrequently performed but may offer pain relief in highly selective groups of patients.

How the intervention might work

Surgical interventions of postherniorrhaphy pain are guided by symptomatology, clinical findings and the type of primary hernia repair. When nerve lesions or other neuropathic triggers responsible for the inguinodynia are suspected, a neurectomy of one or more of the affected nerves is considered. By removing the driving force of the neuropathy, the pain is assumed to fade out (Amid 2002). Inguinal pain is frequently replaced by loss of normal skin sensation. However, central sensitization of pain may corrupt this phenomenon. The same accounts for a meshectomy or removal of fixation devices. By eliminating the origin, the nociceptive pain diminishes over time (Kehlet 2006). It must be appreciated that the intervention also depends on intraoperative findings. For example, when a nociceptive source of pain is suspected, but a neuroma is found intraoperatively, this neuroma requires removal.

For men undergoing surgery, funiculolysis can be performed. Funiculolysis (dissection of the funiculus from its surrounding tissue) includes the release of the spermatic cord in order to attenuate congestion of the testicular vein or remove extensive fibrotic tissue cornering structures like the vas deferens. Orchiectomy is occasionally considered once all other options have failed and the cause of nociceptive pain is thought to be caused by the testicle itself (Chen 2015).

Why it is important to do this review

The proper management of postherniorrhaphy pain is a challenging obstacle and clearly needs systematic reviewing of the available literature. Although remedial surgeries are performed in specialised centres by experienced and well‐trained surgeons, there is a necessity for evidence‐based practice to rationally evaluate safety and efficacy of these interventions. Although a limited number of reviews have been published over the years, uncertainty remains and no firm conclusions can be drawn as also stipulated by international guidelines on hernia surgery (Simons 2009). If surgical therapies are more effective than conservative therapies, a more prominent step in the algorithm would be appropriate to avoid unnecessary long intervals of postherniorrhaphy pain, especially since it is thought that if pain is not treated effectively in the early stages then with time it may become more difficult to treat.

Objectives

To assess the efficacy and safety of surgical interventions for the management of groin pain as a consequence of previous inguinal hernia repair in adults.

Methods

Criteria for considering studies for this review

Types of studies

We will include studies if they are randomised controlled trials (RCTs) with double‐blind assessment of participant outcomes. We require full journal publication, with the exception of online clinical trial results, summaries of otherwise unpublished clinical trials and abstracts with sufficient data for analysis. We will exclude studies that were non‐randomised, studies of experimental pain, case reports and clinical observations.

Types of participants

Adults aged 18 years and older who underwent surgical interventions for chronic (> 3 months) groin pain following inguinal hernia repair will be considered. If only a subset of randomised participants is relevant in a study, the subgroup of interest will be used provided that data are specified separately.

Types of interventions

The experimental interventions are surgical procedures aimed at reducing postherniorrhaphy groin pain, including (but not limited to): (triple or tailored) neurectomy; (partial or complete) meshectomy; funicular release; removal of endoscopic staples or (fixating) sutures; and orchiectomy.

Control intervention

All conservative treatment regimens including (but not limited to): sham surgery; analgesics (NSAIDs, opioids, antidepressants, gabapentin, pregabalin, antipsychotics, topical lidocaine, topical capsaicin); transcutaneous electric nerve stimulation (TENS); (pulsed) radiofrequency (PRF); onabotulinumtoxinA (Botox); nerve blocks with local anaesthetics; nerve blocks with local anaesthetics and corticosteroids; nerve root blocks; dorsal root ganglion stimulation; cryotherapy; and psychological therapies.

Types of outcome measures

Primary outcomes

  • Pain as a continuous outcome using the Numerical Rating Scale (NRS) or Visual Analogue Scale (VAS).

  • Pain reduction as a binary outcome (yes or no).

  • Adverse events (including hematoma, seroma, wound infection, recurrences, testicular atrophy, vascular injury, visceral injury) at any time point following the intervention. Severity of adverse events will be graded using the validated Clavien‐Dindo classification of surgical complications (Clavien 1992; Dindo 2004; Clavien 2009).

Timing of these outcomes will be at different time points following the intervention: 3 months, 6 months, 12 months and 24 months.

  • Treatment‐related severe adverse events (death, permanent or significant invalidity due to the procedure) at any time point following the intervention.

Secondary outcomes

  • Participant‐reported pain relief of 30% or greater as a binary outcome at 3 months, 6 months, 12 months and 24 months following the procedure.

  • Participant‐reported pain relief of 50% or greater as a binary outcome at 3 months, 6 months, 12 months and 24 months following the procedure.

  • Worsening of pain (participant self‐reported) as a binary outcome at 3 months, 6 months, 12 months and 24 months following the procedure.

  • QoL outcomes (participant self‐reported or health status reports).

Search methods for identification of studies

Electronic searches

We will search the following databases.

  • Cochrane Central Register of Controlled Trials (CENTRAL) in the Cochrane Library.

  • MEDLINE (via PubMED).

  • Embase (OVID).

We will use MeSH or equivalent and text word terms. We will impose no language restrictions. We will tailor searches to individual databases.

The search strategy for MEDLINE is shown in Appendix 1.

Searching other resources

We will check reference lists of reviews and retrieved articles for additional studies. We will search the following clinical trial registers for identifying relevant unpublished trials: the metaRegister of Controlled Trials (mRCT) (controlled‐trials.com), ClinicalTrials.gov (clinicaltrials.gov), the Dutch Trial Register (trialregister.nl) and the World Health Organization (WHO) International Clinical Trials Registry Platform (ICTRP) (apps.who.int/trialsearch).

Data collection and analysis

Selection of studies

Two authors (WARZ, GGK) will determine eligibility of studies by reading each abstract as identified by the electronic search strategy. They will exclude studies that clearly do not satisfy eligibility criteria and will document these in a separate table. We will obtain full copies of the remaining studies to assess eligibility. Two authors will separately read the papers and will concur on the study selection. If consensus fails, they will consult a third reviewer. Studies will be blinded before assessment. If only a subset of randomised participants in a certain study is relevant but the subgroup of interest involves the majority of participants, these data will be used in the present systematic review. We will resolve any problems during this part of the reviewing process by consensus.

A flowchart of selection of studies according to the PRISMA statement will provide insight into the screening process (Liberati 2009).

Data extraction and management

Two authors will independently extract data from the included studies using a data collection form. They will resolve any discrepancies by consensus. If no consensus is reached, they will consult a third author to overcome these issues.

We will extract the following data: country of origin; language; period of approval (in published studies); population characteristics (including age, sex ratio, type of primary inguinal hernia repair); sample size; inclusion and exclusion criteria; type of surgical intervention; type of anaesthesia used during surgical intervention; type of control; primary and secondary outcomes as described above including time of assessment; delay between primary repair and intervention; pre‐intervention and post‐intervention pain assessments; type of pain assessment (including pain scale or quantitative sensory testing (QST)); adverse effects; industry sponsorship; conflict of interest statements.

We will perform a separate analysis for the different types of surgical intervention. We will perform additional analyses for gender, type of primary hernia repair, primary open versus primary endoscopic inguinal hernia repair, and type of anaesthesia.

If we identify a study that has more than two intervention arms, we will only include the intervention and control groups that meet the eligibility criteria in the analysis. We will contact the corresponding authors of the individual trials if there are any unclear or missing data.

Assessment of risk of bias in included studies

Two authors (WARZ, GGK) will assess the risk of bias in individual studies, without masking for trial names, using the criteria outlined in the Cochrane Handbook for Systematic Reviews of Interventions (Higgins 2011). Disagreement between the two authors will be resolved by consensus. If they cannot reach consensus, they will consult a third author to overcome this issue. We will complete a 'Risk of bias' table for each included study using the 'Risk of bias' tool in RevMan (Review Manager 2014).

We will assess the following for each study.

  1. Random sequence generation (checking for possible selection bias). We will assess the method used to generate the allocation sequence as: low risk of bias (any truly random process); unclear risk of bias (method used to generate sequence not clearly stated). Studies using a non‐random process will be excluded.

  2. Allocation concealment (checking for possible selection bias). The method used to conceal allocation to interventions prior to assignment determines whether intervention allocation could have been foreseen in advance of (or during) recruitment, or changed after assignment. We will assess the methods as: low risk of bias (e.g. telephone or central randomisation; consecutively numbered sealed opaque envelopes); unclear risk of bias (method not clearly stated). Studies that do not conceal allocation will be excluded.

  3. Blinding of outcome assessment (checking for possible detection bias). We will assess the methods used to blind study participants and outcome assessors from knowledge of which intervention a participant received. We will assess the methods as: low risk of bias (study states that it was blinded and describes the method used to achieve blinding); unclear risk of bias (study states that it was blinded but does not provide an adequate description of how it was achieved). Studies that were not double‐blind will be excluded.

  4. Selective reporting (checking for reporting bias). We will assess whether primary and secondary outcome measures were pre‐specified and whether these were consistent with those reported as: low risk of bias (i.e. < 10% of participants did not complete the study); unclear risk of bias (used 'last observation carried forward' analysis); or high risk of bias (used completer analysis).

  5. Incomplete outcome data (checking for possible attrition bias due to the amount, nature and handling of incomplete outcome data). We will assess the methods used to deal with incomplete data as: low risk (< 10% of participants did not complete the study and/or used ‘baseline observation carried forward’ analysis); unclear risk of bias (used 'last observation carried forward' analysis); high risk of bias (used 'completer' analysis).

  6. Size of study (checking for possible biases confounded by small size). We will assess studies as being at low risk of bias (≥ 200 participants per treatment arm); unclear risk of bias (50 to 199 participants per treatment arm); high risk of bias (< 50 participants per treatment arm).

Measures of treatment effect

We will pool dichotomous data to calculate relative risk (RR) with corresponding 95% confidence intervals (CI). We will calculate the mean difference (MD) or standardised mean differences (SMD) with 95% CI for continuous variables. We will present continuous primary outcome measures (QoL outcomes) as MD or SMDs, in equal or different pain assessments, respectively. We will consider a P value of less than 0.05 as statistically significant for both dichotomous and continuous data. We will present treatment‐related (severe) adverse events as descriptive statistics.

Unit of analysis issues

The unit of analysis will be individual participants.

Dealing with missing data

We will use intention‐to‐treat (ITT) analysis where the ITT population consists of participants who were randomised, underwent a conservative treatment at least once, and provided at least one post‐baseline assessment. Missing participants will be assigned zero improvement wherever possible.

We will make at least two attempts to contact study authors for missing data by email.

Assessment of heterogeneity

We will assess heterogeneity by calculation of inconsistency statistics (I²). We will investigate the significance of potential heterogeneity by the Chi² test, considering P values of less than 0.1 as significant. We will perform meta‐analyses using both the fixed‐effect and random‐effects model. If equivalent results are provided with these models, we will provide the results of the random‐effects model. Otherwise, we will report the results of both models.

In case heterogeneity is present between studies, a regression analysis will be performed to analyse potential confounding factors. These include type of surgical intervention, sex ratio, age and type of anaesthesia.

Assessment of reporting biases

We will not depend on what the authors of the original studies chose to report or not, though clearly difficulties will arise in studies failing to report any dichotomous results. We will extract and use continuous data, which probably will reflect efficacy and utility poorly, and may be useful for illustrative purposes only.

We will assess publication bias using a method designed to detect the amount of unpublished data with a null effect required to make any result clinically irrelevant (Moore 2008), when more than 10 studies include an outcome measure. We will exclude studies using an extended population of a previously performed study whereas the latest study will be used for analyses.

Data synthesis

We will perform a meta‐analysis, according to the methods described in the Cochrane Handbook for Systematic Reviews of Interventions if possible (Higgins 2011), using Review Manager 5 software (Review Manager 2014). We will generate forest plots to illustrate the pooled outcome measures when these are judged to be sufficiently similar. Characteristics of included studies will be depicted in tables, whereas a plot will illustrate the risk of bias in the included studies. We will produce 'Summary of findings' tables, summarizing the results of the trials with a low risk of bias and for all trials.

Grading of evidence

Two review authors (WARZ, GGK) will independently rate the quality of each outcome. We will use the GRADE system to rank the quality of the evidence using the GRADEprofiler Guideline Development Tool software (GRADEpro GDT 2015), and the guidelines provided in Chapter 12.2 of the Cochrane Handbook for Systematic Reviews of Interventions (Higgins 2011).

The GRADE approach uses five considerations (study limitations; consistency of effect; imprecision; indirectness; and publication bias) to assess the quality of the body of evidence for each outcome. The GRADE system uses the following criteria for assigning the grade of evidence.

  • High: we are very confident that the true effect lies close to that of the estimate of the effect.

  • Moderate: we are moderately confident in the effect estimate; the true effect is likely to be close to the estimate of effect, but there is a possibility that it is substantially different;

  • Low: our confidence in the effect estimate is limited; the true effect may be substantially different from the estimate of the effect.

  • Very low: we have very little confidence in the effect estimate; the true effect is likely to be substantially different from the estimate of effect.

We will decrease grade rating by one (−1) or two (−2) if we identify:

  • serious (−1) or very serious (−2) limitation to study quality;

  • important inconsistency (−1);

  • some (−1) or major (−2) uncertainty about directness;

  • imprecise or sparse data (−1);

  • high probability of reporting bias (−1).

'Summary of findings' table

We plan to include a 'Summary of findings' table to present the main findings for comparison of surgical and conservative interventions in a transparent and simple tabular format. In particular, we will include key information concerning the quality of evidence, the magnitude of effect of the interventions examined, and the sum of available data on all primary outcomes and participant‐reported pain relief of greater than 50%, participant‐reported pain relief of greater than 30%, and worsening of pain.

Subgroup analysis and investigation of heterogeneity

The following subgroup analyses will be conducted, if sufficient data are available.

  • Type of surgical intervention (neurectomy, removal of endoscopic staples or fixating sutures, mesh removal, funicular release, orchiectomy).

  • Tailored versus triple neurectomy.

  • Male versus female participants.

  • Primary open versus primary endoscopic inguinal hernia repair.

  • Type of anaesthesia (local, spinal, general).

Sensitivity analysis

We will perform a sensitivity analysis on the risk of bias, if adequate data are available. We will use the sensitivity analysis to investigate the effects on outcomes when including or excluding studies with a high risk of bias. The sensitivity analysis will be performed according to the guidelines in the Cochrane Handbook for Systematic Reviews of Interventions (Higgins 2011).

Trial sequential analysis

We will perform a trial sequential analysis (TSA) for any outcome measures if a significant difference is found and more than 2000 randomised participants are identified for the particular outcome. This statistical analysis is used to assess the risk of type I errors in the conducted meta‐analysis of cumulated data. Furthermore, it may provide additional information on the number of participants needed in future studies.

The alpha and beta errors used for TSA will be set at 5% and 20% respectively. We will use a relative risk reduction of 25% and the control group portion as found in the review for TSA.