Phase Ib/IIa for Hepatitis B Epigenetic Silencer Shows Best-in-Class Potential

When John McHutchison, MD, the former head of research and development at Gilead and a leading figure in hepatitis virus therapeutics, saw Tune Therapeutics’ preclinical data on sustained epigenetic silencing of the hepatitis B virus (HBV), he knew it was time for a major pivot.

“When I saw the Tune data on the long-term silencing of an infected cell line for 500 days, I realized it had never been seen before,” McHutchison told Inside Precision Medicine. “I was at Gilead for ten years, where I was head of research and development and worked on all the other viruses, including hepatitis C (HCV)… We spent a decade at Gilead trying to silence this mechanism without success.”

McHutchinson decided to get plugged into Tune Therapeutics, which was founded by Akira Matsuno, Charles Gersbach, PhD, and Fyodor Urnov, PhD, to develop epigenetic therapies that precisely control gene expression without altering DNA sequences. In January 2023, McHutchinson joined Tune’s board of directors and, two years later, became CEO and chairman in March 2025. That preclinical silencing has now shown promise in translating to the clinical setting.

Last month at the European Association for the Study of Liver (EASL) Congress in Barcelona, Spain, Tune presented the first clinical evidence of epigenetic silencing in HBV. The Phase Ia/IIb clinical data shows deep and durable antiviral activity, including silencing of both the integrated virus and covalently closed circular DNA (cccDNA)—a stable viral mini-chromosome that resides inside liver cell nuclei and continually produces new virus particles—offering a possible pathway to a lasting therapeutic effect for HBV patients.

“Now we have the data that shows we can durably silence a gene of interest in humans by modulating epigenetics without cutting,” McHutchison said. “That’s a big deal. The de-risking of the technology.”

Swimming upstream

More than 240 million people worldwide live with chronic HBV infection. Current antiviral therapies can suppress viral replication for years, sometimes decades, but they rarely eliminate the virus entirely. Once treatment stops, viral replication almost always returns. The central problem is cccDNA, often referred to as HBV’s “molecular reservoir,” which acts as a stubborn, self-renewing blueprint, making chronic HBV highly difficult to eradicate or cure.

“It’s also not lost on me that for a decade, our industry has poured billions of dollars into HBV, but without success,” said McHutchinson. “Why is that? Why didn’t we get there? Because we weren’t transcriptionally silencing the reservoir. We were working downstream.”

McHutchinson points out that even the most recent genetic medicines that have shown promise, such as the experimental HBV drug, an antisense oligonucleotide (ASO) called bepirovirsen developed by GSK, still work downstream. Bepirovirsen does not eliminate HBV’s reservoir of cccDNA inside liver cells. Instead, it targets and destroys HBV RNA transcripts, reducing viral replication and lowering the production of viral proteins such as HBsAg, while also helping restore immune responses against infected cells. Because the drug leaves cccDNA intact, its goal is not a cure at the genetic level but instead a functional one, where the immune system keeps the virus permanently suppressed or undetectable after treatment ends.

“You’d silence reverse transcription or cut it with siRNA, and things would fall in the serum, but you wouldn’t affect the reservoir,” said McHutchinson. “As soon as those drugs were removed, the reservoir started to make new viruses again. Nobody is, in essence, being cured. But here we’re working upstream, where the progeny and the new virus are being made.”

GSK may not see eye to eye with McHutchinson on bepirovirsen, which, according to a recent press release, “achieved functional cures in 19% of participants in two large Phase III trials when added to standard antiviral treatment for six months.” Chronic hepatitis B (CHB) is considered “functionally cured” when the blood has no detectable hepatitis B surface antigen or virus DNA for at least 24 weeks after a finite treatment course, allowing immune control without medication and reducing the risk of liver complications, including liver cancer, and all-cause mortality.

However, to McHutchinson, a functional cure and a genetic cure are apples and oranges. “That’s just stimulating an innate immunity,” he said. “It’s an injection a week for 24 weeks, and it’s an ISO that stimulates innate immunity—that’s why it’s curing one in five people who have low levels of HBV surface antigens. It’s a positive development for the field that something else could be approved. I speak admirably about that. But it’s not a panacea. And there’s a lot of room for many other people to come along with better things and better combinations.”

Durable biomarker suppression

Tune’s ongoing Phase Ib/IIa trial includes four dose levels of its therapy, administered as a single intravenous infusion, in 19 people. The dose cohorts ranged from 0.2 mg/kg to 0.85 mg/kg, as well as a multiple-dose cohort receiving up to three infusions. Another seven people got up to three infusions of the second-highest dose given at least four weeks apart, for a total of 26 participants, which McHutchinson acknowledged is quite small.

According to Tune, antiviral activity was seen across all major HBV biomarkers, including surface antigen (HBsAg), pregenomic RNA (pgRNA), e-antigen (HBeAg), HB core-related antigen (HBcrAg), and phosphorylated HBV core antigen. Tune reported that biomarker repression occurred in 100% of participants treated at dose levels two through four. Particularly striking were signs suggesting direct cccDNA silencing. Among HBeAg-negative patients treated at higher dose levels, four of seven lost detectable pgRNA, while three of those patients also lost HBcrAg. In HBeAg-positive patients, three of five lost detectable HBeAg.

McHutchison emphasized that the most encouraging signal may be durability. “Some of those patient graphs we showed have durability up to 250 or 300 days,” he said. “These genes have plateaued at very low levels and haven’t come back with a single application, which suggests and proves what we thought preclinically—that the methylation fingerprint and chromatin compaction are durable and don’t seem to leak or relapse.”

According to the company, suppression following a single dose has now been observed for as long as 17 months in some patients. As with any first-in-class therapy, safety remains a major focus. So far, Tune says TUNE-401 has shown a “favorable safety profile,” with mild to moderate infusion-related reactions, transient liver enzyme elevations, and temporary platelet reductions that resolved without major complications. “We have an acceptable and good safety profile compared to others,” McHutchison said. “What we are seeing in terms of AST and ALT elevations, infusion-related reactions, and transient reductions in platelets are pretty much in line with or better than what others are seeing with similar LNP products.”

Importantly, the company says it has not yet observed additive toxicity in patients receiving multiple doses. Whether multiple doses will ultimately be necessary remains uncertain. “There are examples in the presentation of a profound effect with a single dose and another patient who showed benefit from a second dose,” McHutchison said. “That’s still to be determined.”

Tune plans to continue dose optimization in Phase II, including testing additional multidose regimens and potentially escalating to even higher doses. “We’re tinkering with the maximum dose, trying to optimize it while keeping safety in mind,” he said.

Diversity, in patient and virus

The technology underlying TUNE-401 sits at the intersection of gene therapy, RNA therapeutics, and epigenetics. Rather than editing DNA permanently, the therapy uses a methyltransferase enzyme and the KRAB domain chromatin-compacting protein module to alter the epigenetic state surrounding HBV DNA.

“Once you’ve laid down that pattern, it is permanent and inheritable through cell division,” McHutchison explained. “We can vary the degree of silencing with our platform: 30%, 50%, 80%, or 100%. For hepatitis B, we tried for complete suppression.”

The concept of epigenetically programming cells has attracted growing interest across biotechnology, particularly as concerns remain about irreversible DNA editing approaches. “We feel, because we’re not editing, we can go after common diseases,” McHutchison said. “We’re looking at cardiovascular targets and a diabetes program as well. That’s what the technology can do without editing. But you have to get it there potently and safely.”

One of the key questions moving forward is whether the therapy will work consistently across the enormous genetic diversity of HBV strains worldwide. The current study spans sites in New Zealand, Hong Kong, and Moldova, intentionally capturing ethnically and geographically diverse patient populations. “There is viral diversity across various geographical areas, probably due to evolution and migration patterns over thousands of years,” McHutchison said. “We’ll be able to look at responses according to genotype.”

Tune estimates its targeting system covers approximately 98.5% of known HBV sequence variants based on historical databases. However, the company acknowledges that some patients in lower-dose groups showed weaker responses, raising questions about viral sequence variability. “We’ll be looking at whether there was a mutation or sequence difference from our target,” McHutchison said. Those analyses are expected later this year as additional viral sequencing data becomes available.

Addressing the applicability of TUNE-401 in diverse populations of people and viruses depends on something that Tune hasn’t yet got—numbers. That’s where GSK’s bepirovirsen holds a massive edge, with the two Phase III efficacy trials having involved more than 1,800 participants in 29 countries. The trial for TUNE-401 reported data from about 1–2% of GSK’s entire cohort.

A potential turning point

For McHutchison, the development path may resemble the evolution of HCV treatment, where he played a central role during his years at Gilead. He points to Pharmasset and the development of sofosbuvir (Sovaldi), a direct-acting nucleotide analog that blocks the virus’s essential protein (NS5B polymerase), which became the backbone of curative HCV regimens. “People forget that Sovaldi didn’t work that well by itself initially,” McHutchison said. “It had to be combined with ribavirin and interferon. But it was the backbone mechanism. I think in essence we have that backbone mechanism here.”

TUNE-401 could serve as the foundation for combination regimens capable of delivering a total remission from HBV. The company plans to initiate a larger Phase II study as early as late 2026, exploring combinations alongside optimized dosing schedules. “The approval endpoint for a finite HBV therapy is to drive these biomarkers negative, remove background therapy, and make sure people don’t relapse,” McHutchison said.

Many hurdles remain before TUNE-401 could approach regulatory approval. The current data comes from a small early-stage trial, long-term durability remains unproven, and the field has seen many HBV programs falter after initially promising signals. Still, the idea of directly silencing cccDNA—rather than merely suppressing downstream viral activity—represents a conceptual shift that many hepatologists have sought for decades.

“Over the prior 30 years in hepatology, I have rarely seen a clinical signal this clear,” McHutchison said.

The company’s broader ambitions extend beyond infectious disease. Tune has previously disclosed programs in cardiovascular disease and type 1 diabetes, where epigenetic modulation could potentially alter cellular function without permanent genomic changes. Still, HBV offers perhaps the clearest proving ground for the platform because the virus depends so heavily on transcriptional activity from cccDNA.

Whether Tune’s epigenetic editing approach succeeds remains uncertain. But for a field long defined by incremental advances and repeated disappointments, the data presented in Barcelona may represent something increasingly rare in HBV research: a plausible new path towards a cure.

And for McHutchison, it closes a loop that began years earlier in Gilead’s hepatitis research labs. “We knew this mechanism mattered,” he said. “The technology just didn’t exist yet. Now it does.”

The post Phase Ib/IIa for Hepatitis B Epigenetic Silencer Shows Best-in-Class Potential appeared first on Inside Precision Medicine.

STAT+: Hope for Kendall Square’s lab market

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Good morning. In today’s news, we have: pricing conundrums, lab demand, and drug shortages.

The need-to-know this morning

  • Sanofi said it was halting a Phase 3 study of its drug riliprubart in a rare autoimmune disease after an interim analysis showed the therapy was not effective. It’s the latest blow to the French firm’s R&D efforts, which new CEO Belén Garijo has been brought in to revitalize.
  • Parabilis Medicines, a developer of cancer medicines, raised $670 million in an initial public offering. It’s the largest-ever biotech IPO, topping obesity drugmaker Kailera Therapeutics’ $625 million debut in April. 

European countries at odds over drug-pricing policies

In Europe, countries are grappling with what to do about drug prices as they contend with conflicting pressures. Aging populations and growing rates of chronic disease are straining their budgets, but, at the same, the U.S. and drugmakers are demanding they pay more for medicines.

Continue to STAT+ to read the full story…

mRNA Tails Play Key Role in Folding Regulatory Proteins

mRNA 3′ UTRs have hundreds of highly conserved nucleotides, but their biological roles are unclear. In a new study published in Cell titled, “mRNA 3′ UTRs chaperone intrinsically disordered regions to control protein activity,” researchers from Memorial Sloan Kettering (MSK) Cancer Center now demonstrates that mRNA 3′ UTRs play a key role assisting the folding of regulatory proteins. 

“The traditional view is that only specialized proteins act as ’chaperones’ to help other proteins fold correctly,” said Christine Mayr, MD, PhD, a member of the Sloan Kettering Institute and corresponding author on the paper. “Our research shows that RNA can do this, too—and that mRNAs act as their own chaperones for a group of important, hard-to-fold proteins.” 

While 3′ UTRs have traditionally been dismissed as key regulators, Mayr emphasizes that thousands of human 3′ UTRs have highly conserved sequences across vertebrates, offering a clue of their function. “Biology doesn’t usually preserve things that aren’t needed,” she says. 

Many larger, complex regulatory proteins, such as the transcription factors MYC, UTX, and JMJD3, possess long, flexible regions, named intrinsically disordered regions (IDRs), that do not fold into stable structures on their own.

The study showed that cells solve this folding problem using specialized compartments, known as mesh-like condensates. The 3′ UTR promotes IDR–IDR interactions and suppresses folding between domains. Results suggest that this chaperone activity prevents interference between hydrophobic clusters in the IDR with folding of the structured domain. 

The team identified more than 2,700 genes with highly conserved 3′ UTRs, or about one in every eight protein-coding genes in the human genome. The proteins expressed by these genes contain intrinsically disordered regions that require RNA chaperones to facilitate folding. 

“What we show is that for thousands of regulatory proteins in human cells, the genetic code alone isn’t enough to make a functional protein—you need the RNA chaperone too,” said Mayr. 

The study has practical implications for laboratory research. For thousands of regulatory proteins, removing the 3′ UTR allows researchers to study the misfolded, and less active version of the protein. 

The post mRNA Tails Play Key Role in Folding Regulatory Proteins appeared first on GEN – Genetic Engineering and Biotechnology News.

Deep and repetitive transcranial magnetic stimulation improves motor dysfunction after basal ganglia infarction: preliminary findings on efficacy and electrophysiological mechanisms

ObjectiveTo observe the therapeutic effects of deep transcranial magnetic stimulation (dTMS) and repetitive transcranial magnetic stimulation (rTMS) on upper and lower limb motor dysfunction in patients with basal ganglia infarction, and to preliminarily explore their underlying electrophysiological mechanisms.MethodsThirty patients with motor dysfunction secondary to basal ganglia infarction, hospitalized at the Affiliated Hospital of North Sichuan Medical College between October 2024 and December 2025, were enrolled in this study. All eligible participants were randomly assigned to one of three treatment groups: dTMS (n = 10), rTMS (n = 10), or sham stimulation (n = 10). All patients in the three groups received routine medical treatment and conventional rehabilitation training. On this basis, the dTMS group was treated with 10 Hz dTMS, the rTMS group with 10 Hz rTMS, and the sham stimulation group with sham stimulation, 5 sessions per week for 2 consecutive weeks. Before treatment, on the first day after treatment, and at 30 days after treatment, the Fugl-Meyer Assessment (FMA), Berg Balance Scale (BBS), and Modified Barthel Index (MBI) were used to evaluate motor function of the affected side and activities of daily living. The resting motor threshold (rMT) and central motor conduction time (CMCT) of the affected hemisphere were measured simultaneously.ResultsThe baseline data among the three groups were comparable (all p > 0.05); After treatment, there was a statistically significant interaction between group and time in FMA-UE, FMA-LE, MBI, and BBS scores among the three groups (all p < 0.05); Compared with baseline, FMA-UE, FMA-LE, MBI, and BBS scores were significantly increased on the first day and at 30 days after treatment in all three groups (all p < 0.001); Compared with the sham stimulation group, the dTMS group exhibited higher FMA-UE, FMA-LE, MBI, and BBS scores on the first day and at 30 days after treatment (all p < 0.05); Compared with the rTMS group, the dTMS group showed no significant differences in FMA-UE and MBI scores on the first day after treatment (all p > 0.05), but higher FMA-LE and BBS scores (all p < 0.05), at 30 days after treatment, FMA-UE, FMA-LE, MBI, and BBS scores were all higher in the dTMS group (all p < 0.05). There was a statistically significant interaction between group and time in rMT and upper limb CMCT among the three groups after treatment (all p < 0.05); Compared with baseline, rMT and upper limb CMCT were significantly decreased on the first day and at 30 days after treatment in all three groups (all p < 0.001); Compared with the sham stimulation group, the dTMS group had lower rMT and upper limb CMCT on the first day and at 30 days after treatment (all p < 0.05); Compared with the rTMS group, the dTMS group showed lower rMT and upper limb CMCT on the first day after treatment (p < 0.05), at 30 days after treatment, rMT was lower (p < 0.05), while no significant difference was found in upper limb CMCT (p > 0.05).Conclusion(1) Both high-frequency dTMS and rTMS can improve upper limb motor dysfunction after basal ganglia cerebral infarction to some extent, and the therapeutic effect of dTMS lasts longer; (2) dTMS has a certain rehabilitative effect on lower limb motor and balance function; (3) The mechanisms underlying the improvement of motor dysfunction after basal ganglia cerebral infarction by high-frequency dTMS and rTMS may be associated with increased excitability of the affected cerebral cortex, enhanced function of the corticospinal tract pathway. In addition, dTMS can directly act on deeper and wider brain regions; (4) Both high-frequency dTMS and rTMS are safe.

Predicting early neurological deterioration in acute branch atheromatous disease without reperfusion therapy: a machine learning model

BackgroundAcute branch atheromatous disease (BAD) is one of the leading contributors to morbidity and disability in Asia, and early neurological deterioration (END) is common in affected patients. This study aimed to establish machine learning models to predict the risk of END in patients without reperfusion therapy.MethodsPatients with acute BAD who did not receive reperfusion therapy were retrospectively enrolled. Core predictive features were selected by LASSO regression with bootstrap stability assessment, and we used seven machine learning algorithms to build models. XGBoost was selected based on validation performance, nested cross-validation, and 1,000-iteration bootstrap validation. A spline logistic regression model served as the non-linear baseline. SHAP analysis was used to explain the model and develop a simple scoring system. Model discrimination was assessed using the area under the receiver operating characteristic curve (AUC), and clinical utility was evaluated using decision curve analysis (DCA).ResultsA total of 369 patients were included in our research. We screened predictive factors with LASSO regression and ultimately identified five key variables. These included maximum infarct area, lactate dehydrogenase (LDH), number of infarct slices, admission systolic blood pressure (SBP), and neutrophil count. The XGBoost model achieved the best overall performance, with AUC of 0.927 in the training set and 0.846 in the validation set. Nested cross-validation yielded an unbiased AUC of 0.866 (95% CI: 0.817–0.925), and bootstrap validation produced a mean OOB AUC of 0.855 (95% CI: 0.760–0.941). The scoring system stratified patients into low (0–6 points), intermediate (7–13 points), and high (14–20 points) risk groups. DCA demonstrated favorable clinical utility. SHAP analysis also indicated that maximum infarct area and LDH were the top two predictors of END.ConclusionAn XGBoost-based prediction model and a simple scoring system, integrating maximum infarct area, LDH, number of infarct slices, admission SBP, and neutrophil count, provide reliable END risk prediction for acute BAD patients without reperfusion therapy.

Longitudinal changes in MMN and P3 during emotional processing in adolescents who engage in NSSI: a 12-week follow-up study

BackgroundAdolescents with nonsuicidal self-injury (NSSI) often show deficits in negative emotion regulation. Within the dual-process framework of implicit and explicit emotion regulation, these deficits may reflect an automatic bias toward negative information and insufficient later-stage controlled regulation. Whether routine clinical intervention modifies both early automatic detection and later controlled evaluation of negative emotional information remains unclear.MethodsIn a longitudinal sample of 32 adolescents with NSSI, we examined changes in mismatch negativity (MMN) and P3 components elicited during an emotional oddball task before and after a 12-week clinical intervention. At baseline and Week 12, participants completed clinical assessments and a two-choice visual emotional oddball task containing neutral standards and negative, positive, and neutral deviants while EEG was recorded. MMN (Fz, 240–300 ms) and P3 (Pz, 450–650 ms) amplitudes were derived from deviant-minus-standard difference waves, indexing pre-attentive deviance detection and controlled evaluation, respectively.ResultsThe intervention selectively modulated neurocognitive processing of negative deviants. Self-injury ideation days (p = .036) and NSSI episode frequency (p = .007) both significantly decreased. MMN absolute amplitude to negative stimuli decreased significantly (p = .047), suggesting attenuated automatic salience detection, whereas P3 amplitude to negative stimuli increased significantly (p = .027), indicating enhanced controlled evaluation. Responses to positive and neutral conditions and behavioural performance remained stable. No baseline ERP–clinical correlations emerged; post-intervention, NSSI ideation days correlated with positive P3 (r = 0.380, p = .032), and episode frequency with neutral P3 (r = 0.461, p = .008).ConclusionsA 12-week intervention may attenuate automatic negative bias while enhancing controlled evaluative processing in adolescents with NSSI, consistent with the implicit–explicit framework. MMN and P3 may serve as candidate biomarkers and temporally sensitive tools for tracking intervention response when behavioural performance is stable.

Association between plasma proBDNF levels and cognitive impairment in patients with alcohol dependence: a case–control and longitudinal study

BackgroundAlcohol dependence is frequently accompanied by cognitive impairment. Brain-derived neurotrophic factor (BDNF) signaling plays a critical role in synaptic plasticity, while the precursor form, proBDNF, has been increasingly implicated in neurodegenerative and psychiatric disorders. However, the association between plasma proBDNF levels and cognitive impairment in alcohol dependence remains unclear.MethodsEighty male patients with alcohol dependence and forty-two matched healthy controls were enrolled. Plasma proBDNF levels were measured via enzyme-linked immunosorbent assay (ELISA). Cognitive function was assessed using the Mini-Mental State Examination (MMSE), the Modified Wisconsin Card Sorting Test (M-WCST), and the Verbal Fluency Test (VFT). Forty-one patients were reassessed after four weeks of abstinence. Group comparisons and correlation analyses were performed.ResultsPatients with alcohol dependence exhibited significantly elevated plasma proBDNF levels and impaired cognitive performance compared with controls. Plasma proBDNF levels were positively correlated with alcohol consumption severity, and linked to global cognitive deficits alongside nuanced executive performance variations. After four weeks of abstinence, plasma proBDNF levels decreased and cognitive performance improved; however, changes in proBDNF were weakly associated with cognitive recovery.ConclusionsElevated plasma proBDNF levels are associated with alcohol dependence severity and cognitive impairment, suggesting that proBDNF may serve as a peripheral biomarker reflecting the dynamic neurocognitive status in alcohol dependence.

The therapeutic role of self-transcendence in moral injury recovery: theory, mechanisms, and clinical implications

A growing body of psychological and neuroscientific research suggests that moral injury (MI) involves maladaptive self-referential processing, including disruptions in moral identity, rigid negative self-appraisals, and impaired meaning-making following exposure to potentially morally injurious events (PMIEs). Building on Mindfulness-to-Meaning Theory (MMT), this paper proposes self-transcendence (ST)—a metacognitive state characterized by reduced self-focus, expanded awareness, transcendent affect, and prosocial meaning—as a potential mechanism for MI recovery. Within MMT, mindfulness practice is theorized to cultivate ST via decentering and meta-awareness, processes that broaden attentional scope, promote flexible cognitive reappraisal, and modulate habitual self-referential processing. Mindfulness and contemplative research further link ST to increased cognitive flexibility, reduced in shame-focused narrative self-processing, and adaptive integration of emotionally and morally disruptive experiences. Drawing on an integrative review of ST-consistent and MI-related mechanisms, this paper argues that fostering ST through mindfulness-based and contemplative practices may reduce rigid self-focus, expand interpretive frameworks of meaning, and support moral identity repair and meaning-making. Implications are discussed for designing interventions that intentionally cultivate ST as both standalone approaches and modular components, while acknowledging current limitations in measurement, readiness assessment, and the reliable induction of ST states.