Preemption Review, 61565-61566 [2011-25479]
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Federal Register / Vol. 76, No. 193 / Wednesday, October 5, 2011 / Rules and Regulations
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Chapter I
[Docket No. FDA–2011–N–0527]
Preemption Review
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Notification of preemption
review.
The Food and Drug
Administration (FDA) is announcing
that it has determined, after conducting
a review of its existing regulations
issued within the past 10 years that
contain statements in regulatory
preambles or codified provisions
intended by the Agency to preempt
State law, that three FDA regulatory
preambles contain or refer to statements
about preemption that are not legally
justified. FDA conducted this review in
response to the President’s May 20,
2009, ‘‘Memorandum for the Heads of
Executive Departments and Agencies,’’
which outlined the Administration’s
policy on preemption, in keeping with
the principles in Executive Order 13132
on Federalism. The President’s
memorandum included a directive that
such a review be conducted. FDA is also
taking this opportunity to clarify certain
preamble statements related to
preemption resulting from express
preemption provisions in the Federal
Food, Drug, and Cosmetic Act (FD&C
Act) concerning nonprescription drugs
and food labeling.
DATES: Effective October 5, 2011.
FOR FURTHER INFORMATION CONTACT:
Catherine Lorraine, Office of Policy,
Office of the Commissioner, Food and
Drug Administration, 10903 New
Hampshire Ave., Bldg. 32, Rm. 4258,
Silver Spring, MD 20993, 301–796–
4830.
SUMMARY:
On
January 24, 2006 (71 FR 3922), FDA
published a final rule entitled
‘‘Requirements on Content and Format
of Labeling for Human Prescription
Drug and Biological Products’’
(physician labeling rule). In the
preamble to the physician labeling rule,
FDA discussed its views on the
preemptive effect of both the
regulation’s codified provisions and,
more generally, the FD&C Act. In
addition, FDA subsequently published
two final rules with preambles that
referenced the preemption discussion in
the physician labeling rule. See
‘‘Exceptions or Alternatives to Labeling
jlentini on DSK4TPTVN1PROD with RULES
SUPPLEMENTARY INFORMATION:
VerDate Mar<15>2010
16:50 Oct 04, 2011
Jkt 226001
Requirements for Products Held by the
Strategic National Stockpile’’ (72 FR
73589, 73595, December 28, 2007);
‘‘Supplemental Applications Proposing
Labeling Changes for Approved Drugs,
Biologics, and Medical Devices’’ (73 FR
49603, 49605–49606, August 22, 2008).
In its decision in Wyeth v. Levine, the
Supreme Court addressed the preamble
to the physician labeling rule and
provided additional guidance in
evaluating the preemptive effect of the
FD&C Act and FDA regulations. 129 S.
Ct. 1187 (2009). In this case, the Court
upheld a State tort claim that was based
on the manufacturer’s failure to provide
adequate warnings on the labeling of
one of its prescription drug products.
The Court held that the State claim was
not preempted by the FD&C Act or
FDA’s labeling requirements, despite
the Agency’s position in the preamble to
the physician labeling rule that such
claims frustrate its statutory mandate.
According to the Court, FDA’s
position ‘‘does not merit deference,’’ in
part, because it is ‘‘at odds with what
evidence we have of Congress’
purposes.’’ Id. at 1201. The Court found
that Congress’s ‘‘silence on the
[preemption] issue, coupled with its
certain awareness of the prevalence of
state tort litigation, is powerful evidence
that Congress did not intend FDA
oversight to be the exclusive means of
ensuring drug safety and effectiveness.’’
Id. at 1200. While the Court
acknowledged that ‘‘some state-law
claims might well frustrate the
achievement of congressional
objectives,’’ it found that ‘‘failure-towarn claims’’ such as the one at issue
do not ‘‘obstruct the federal regulation
of drug labeling.’’ Id. at 1204. The Court
also noted that the manufacturer did not
avail itself of FDA regulations that
permit changes to a drug’s labeling. Id.
at 1996–97. And ‘‘absent clear evidence
that the FDA would not have approved’’
the type of warning deemed necessary
by the State claim, the Court was not
willing to ‘‘conclude that it was
impossible’’ for the manufacturer ‘‘to
comply with both federal and state
requirements.’’ Id. at 1198.
In light of the Supreme Court’s
decision in Wyeth, FDA has concluded
that the position on preemption
articulated in the preamble to the
physician labeling rule, and
subsequently referred to in the
preambles of the other two rules cited
previously in this document, cannot be
justified under legal principles
governing preemption. The codified
provisions in these rules, however, do
not include any statements about
preemption and would not preempt
State law beyond governing principles
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61565
of preemption. FDA’s conclusion about
the regulatory preambles, therefore,
does not affect the validity or operation
of the codified provisions in these three
final rules.
FDA also would like to clarify past
preamble statements related to
preemption resulting from certain
express preemption provisions in the
FD&C Act concerning nonprescription
drugs and food labeling. Some preamble
statements in regulations on
nonprescription drugs contain the
following language: ‘‘Currently, [Section
751(a) of the FD&C Act (21 U.S.C.
379r(a))] operates to preempt States
from imposing requirements related to
the regulation of nonprescription drug
products (See section 751(b) through (e)
of the act for the scope of the express
preemption provision, the exemption
procedures, and the exceptions to the
provision) * * *. Although this final
rule would have a preemptive effect, in
that it would preclude States from
issuing requirements related to these
OTC * * * drug products that are
different from or in addition to, or not
otherwise identical with a requirement
in the final rule, this preemptive effect
is consistent with what Congress set
forth in section 751 of the act. Section
751(a) of the act displaces both State
legislative requirements and State
common law duties * * *.’’
(See, e.g., 74 FR 9759, March 6, 2009;
73 FR 6015, February 1, 2008; 72 FR
71769, December 19, 2007; 72 FR 14669,
March 29, 2007; 72 FR 9849, March 6,
2007; 71 FR 43358, August 1, 2006).
This language could be read to suggest
that FDA does not read section 751 of
the FD&C Act as a whole and gives more
significance to some provisions, e.g.,
subsection 751(a), than others, e.g.,
subsection 751(e) (which makes clear
that section 751 does not affect any
action under a state’s product liability
law). FDA now clarifies that it does read
section 751 of the FD&C Act as a whole,
in that each subsection must be read
together with the other subsections.
In addition, FDA is now clarifying
preamble statements in regulations on
food labeling that contain the following
language: ‘‘Although this rule has a preemptive effect, in that it would preclude
states from issuing any * * *
requirements * * * that are not
identical to those required by the final
rule, this pre-emptive effect is
consistent with what Congress set forth
in Section 403A of the Act [21 U.S.C.
343–1].’’ (See, e.g., 74 FR 2443, January
15, 2009). Although this language
reflects the statutory language in section
403A of the FD&C Act, as codified at 21
U.S.C. 343–1, it does not acknowledge
E:\FR\FM\05OCR1.SGM
05OCR1
61566
Federal Register / Vol. 76, No. 193 / Wednesday, October 5, 2011 / Rules and Regulations
the applicability limitation set forth in
section 6(c)(2) of the Nutrition Labeling
and Education Act (NLEA), which was
not codified. Section 6(c)(2) of the
NLEA provided that section 403A of the
FD&C Act ‘‘shall not be construed to
apply to any requirement respecting a
statement on the labeling of food that
provides for a warning concerning the
safety of the food or component of the
food’’ (Pub. L. 101–535, section 6, 104
Stat. 2353 (1990)). FDA clarifies that its
past discussions of section 403A of the
FD&C Act should have included the
language of section 6(c)(2) of the NLEA.
Dated: September 28, 2011.
Leslie Kux,
Acting Assistant Commissioner for Policy.
[FR Doc. 2011–25479 Filed 10–4–11; 8:45 am]
BILLING CODE 4160–01–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 9 and 721
[EPA–HQ–OPPT–2010–1075; FRL–8880–2]
RIN 2070–AB27
Significant New Use Rules on Certain
Chemical Substances
Environmental Protection
Agency (EPA).
ACTION: Direct final rule.
AGENCY:
EPA is promulgating
significant new use rules (SNURs) under
section 5(a)(2) of the Toxic Substances
Control Act (TSCA) for 36 chemical
substances which were the subject of
premanufacture notices (PMNs). Four of
these chemical substances are subject to
TSCA section 5(e) consent orders issued
by EPA. This action requires persons
who intend to manufacture, import, or
process any of these 36 chemical
substances for an activity that is
designated as a significant new use by
this rule to notify EPA at least 90 days
before commencing that activity. The
required notification will provide EPA
with the opportunity to evaluate the
intended use and, if necessary, to
prohibit or limit that activity before it
occurs.
SUMMARY:
This rule is effective on
December 5, 2011. For purposes of
judicial review, this rule shall be
promulgated at 1 p.m. (E.S.T.) on
October 19, 2011.
Written adverse or critical comments,
or notice of intent to submit adverse or
critical comments, on one or more of
these SNURs must be received on or
before November 4, 2011 (see Unit VI.
of the SUPPLEMENTARY INFORMATION).
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DATES:
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16:50 Oct 04, 2011
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For additional information on related
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I.A., VI., and VII. of the SUPPLEMENTARY
INFORMATION.
ADDRESSES: Submit your comments,
identified by docket identification (ID)
number EPA–HQ–OPPT–2010–1075, by
one of the following methods:
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the on-line
instructions for submitting comments.
• Mail: Document Control Office
(7407M), Office of Pollution Prevention
and Toxics (OPPT), Environmental
Protection Agency, 1200 Pennsylvania
Ave., NW., Washington, DC 20460–
0001.
• Hand Delivery: OPPT Document
Control Office (DCO), EPA East, Rm.
6428, 1201 Constitution Ave., NW.,
Washington, DC. Attention: Docket ID
Number EPA–HQ–OPPT–2010–1075.
The DCO is open from 8 a.m. to 4 p.m.,
Monday through Friday, excluding legal
holidays. The telephone number for the
DCO is (202) 564–8930. Such deliveries
are only accepted during the DCO’s
normal hours of operation, and special
arrangements should be made for
deliveries of boxed information.
Instructions: Direct your comments to
docket ID number EPA–HQ–OPPT–
2010–1075. EPA’s policy is that all
comments received will be included in
the docket without change and may be
made available on-line at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through regulations.gov or email. The regulations.gov Web site is an
‘‘anonymous access’’ system, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an e-mail comment directly
to EPA without going through
regulations.gov, your e-mail address
will be automatically captured and
included as part of the comment that is
placed in the docket and made available
on the Internet. If you submit an
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that you include your name and other
contact information in the body of your
comment and with any disk or CD–ROM
you submit. If EPA cannot read your
comment due to technical difficulties
and cannot contact you for clarification,
EPA may not be able to consider your
comment. Electronic files should avoid
the use of special characters, any form
of encryption, and be free of any defects
or viruses.
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Docket: All documents in the docket
are listed in the docket index available
at https://www.regulations.gov. Although
listed in the index, some information is
not publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available electronically at
https://www.regulations.gov, or, if only
available in hard copy, at the OPPT
Docket. The OPPT Docket is located in
the EPA Docket Center (EPA/DC) at Rm.
3334, EPA West Bldg., 1301
Constitution Ave., NW., Washington,
DC. The EPA/DC Public Reading Room
hours of operation are 8:30 a.m. to 4:30
p.m., Monday through Friday, excluding
legal holidays. The telephone number of
the EPA/DC Public Reading Room is
(202) 566–1744, and the telephone
number for the OPPT Docket is (202)
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to show photographic identification,
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and subject to search. Visitors will be
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visible at all times in the building and
returned upon departure.
FOR FURTHER INFORMATION CONTACT: For
technical information contact: Kenneth
Moss, Chemical Control Division
(7405M), Office of Pollution Prevention
and Toxics, Environmental Protection
Agency, 1200 Pennsylvania Ave., NW.,
Washington, DC 20460–0001; telephone
number: (202) 564–9232; e-mail
address: moss.kenneth@epa.gov.
For general information contact: The
TSCA-Hotline, ABVI-Goodwill, 422
South Clinton Ave., Rochester, NY
14620; telephone number: (202) 554–
1404; e-mail address: TSCAHotline@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this action apply to me?
You may be potentially affected by
this action if you manufacture, import,
process, or use the chemical substances
contained in this rule. Potentially
affected entities may include, but are
not limited to:
• Manufacturers, importers, or
processors of one or more subject
chemical substances (NAICS codes 325
and 324110), e.g., chemical
manufacturing and petroleum refineries.
This listing is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
affected by this action. Other types of
entities not listed in this unit could also
E:\FR\FM\05OCR1.SGM
05OCR1
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[Federal Register Volume 76, Number 193 (Wednesday, October 5, 2011)]
[Rules and Regulations]
[Pages 61565-61566]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-25479]
[[Page 61565]]
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DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Chapter I
[Docket No. FDA-2011-N-0527]
Preemption Review
AGENCY: Food and Drug Administration, HHS.
ACTION: Notification of preemption review.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA) is announcing that it
has determined, after conducting a review of its existing regulations
issued within the past 10 years that contain statements in regulatory
preambles or codified provisions intended by the Agency to preempt
State law, that three FDA regulatory preambles contain or refer to
statements about preemption that are not legally justified. FDA
conducted this review in response to the President's May 20, 2009,
``Memorandum for the Heads of Executive Departments and Agencies,''
which outlined the Administration's policy on preemption, in keeping
with the principles in Executive Order 13132 on Federalism. The
President's memorandum included a directive that such a review be
conducted. FDA is also taking this opportunity to clarify certain
preamble statements related to preemption resulting from express
preemption provisions in the Federal Food, Drug, and Cosmetic Act (FD&C
Act) concerning nonprescription drugs and food labeling.
DATES: Effective October 5, 2011.
FOR FURTHER INFORMATION CONTACT: Catherine Lorraine, Office of Policy,
Office of the Commissioner, Food and Drug Administration, 10903 New
Hampshire Ave., Bldg. 32, Rm. 4258, Silver Spring, MD 20993, 301-796-
4830.
SUPPLEMENTARY INFORMATION: On January 24, 2006 (71 FR 3922), FDA
published a final rule entitled ``Requirements on Content and Format of
Labeling for Human Prescription Drug and Biological Products''
(physician labeling rule). In the preamble to the physician labeling
rule, FDA discussed its views on the preemptive effect of both the
regulation's codified provisions and, more generally, the FD&C Act. In
addition, FDA subsequently published two final rules with preambles
that referenced the preemption discussion in the physician labeling
rule. See ``Exceptions or Alternatives to Labeling Requirements for
Products Held by the Strategic National Stockpile'' (72 FR 73589,
73595, December 28, 2007); ``Supplemental Applications Proposing
Labeling Changes for Approved Drugs, Biologics, and Medical Devices''
(73 FR 49603, 49605-49606, August 22, 2008).
In its decision in Wyeth v. Levine, the Supreme Court addressed the
preamble to the physician labeling rule and provided additional
guidance in evaluating the preemptive effect of the FD&C Act and FDA
regulations. 129 S. Ct. 1187 (2009). In this case, the Court upheld a
State tort claim that was based on the manufacturer's failure to
provide adequate warnings on the labeling of one of its prescription
drug products. The Court held that the State claim was not preempted by
the FD&C Act or FDA's labeling requirements, despite the Agency's
position in the preamble to the physician labeling rule that such
claims frustrate its statutory mandate.
According to the Court, FDA's position ``does not merit
deference,'' in part, because it is ``at odds with what evidence we
have of Congress' purposes.'' Id. at 1201. The Court found that
Congress's ``silence on the [preemption] issue, coupled with its
certain awareness of the prevalence of state tort litigation, is
powerful evidence that Congress did not intend FDA oversight to be the
exclusive means of ensuring drug safety and effectiveness.'' Id. at
1200. While the Court acknowledged that ``some state-law claims might
well frustrate the achievement of congressional objectives,'' it found
that ``failure-to-warn claims'' such as the one at issue do not
``obstruct the federal regulation of drug labeling.'' Id. at 1204. The
Court also noted that the manufacturer did not avail itself of FDA
regulations that permit changes to a drug's labeling. Id. at 1996-97.
And ``absent clear evidence that the FDA would not have approved'' the
type of warning deemed necessary by the State claim, the Court was not
willing to ``conclude that it was impossible'' for the manufacturer
``to comply with both federal and state requirements.'' Id. at 1198.
In light of the Supreme Court's decision in Wyeth, FDA has
concluded that the position on preemption articulated in the preamble
to the physician labeling rule, and subsequently referred to in the
preambles of the other two rules cited previously in this document,
cannot be justified under legal principles governing preemption. The
codified provisions in these rules, however, do not include any
statements about preemption and would not preempt State law beyond
governing principles of preemption. FDA's conclusion about the
regulatory preambles, therefore, does not affect the validity or
operation of the codified provisions in these three final rules.
FDA also would like to clarify past preamble statements related to
preemption resulting from certain express preemption provisions in the
FD&C Act concerning nonprescription drugs and food labeling. Some
preamble statements in regulations on nonprescription drugs contain the
following language: ``Currently, [Section 751(a) of the FD&C Act (21
U.S.C. 379r(a))] operates to preempt States from imposing requirements
related to the regulation of nonprescription drug products (See section
751(b) through (e) of the act for the scope of the express preemption
provision, the exemption procedures, and the exceptions to the
provision) * * *. Although this final rule would have a preemptive
effect, in that it would preclude States from issuing requirements
related to these OTC * * * drug products that are different from or in
addition to, or not otherwise identical with a requirement in the final
rule, this preemptive effect is consistent with what Congress set forth
in section 751 of the act. Section 751(a) of the act displaces both
State legislative requirements and State common law duties * * *.''
(See, e.g., 74 FR 9759, March 6, 2009; 73 FR 6015, February 1, 2008; 72
FR 71769, December 19, 2007; 72 FR 14669, March 29, 2007; 72 FR 9849,
March 6, 2007; 71 FR 43358, August 1, 2006). This language could be
read to suggest that FDA does not read section 751 of the FD&C Act as a
whole and gives more significance to some provisions, e.g., subsection
751(a), than others, e.g., subsection 751(e) (which makes clear that
section 751 does not affect any action under a state's product
liability law). FDA now clarifies that it does read section 751 of the
FD&C Act as a whole, in that each subsection must be read together with
the other subsections.
In addition, FDA is now clarifying preamble statements in
regulations on food labeling that contain the following language:
``Although this rule has a pre-emptive effect, in that it would
preclude states from issuing any * * * requirements * * * that are not
identical to those required by the final rule, this pre-emptive effect
is consistent with what Congress set forth in Section 403A of the Act
[21 U.S.C. 343-1].'' (See, e.g., 74 FR 2443, January 15, 2009).
Although this language reflects the statutory language in section 403A
of the FD&C Act, as codified at 21 U.S.C. 343-1, it does not
acknowledge
[[Page 61566]]
the applicability limitation set forth in section 6(c)(2) of the
Nutrition Labeling and Education Act (NLEA), which was not codified.
Section 6(c)(2) of the NLEA provided that section 403A of the FD&C Act
``shall not be construed to apply to any requirement respecting a
statement on the labeling of food that provides for a warning
concerning the safety of the food or component of the food'' (Pub. L.
101-535, section 6, 104 Stat. 2353 (1990)). FDA clarifies that its past
discussions of section 403A of the FD&C Act should have included the
language of section 6(c)(2) of the NLEA.
Dated: September 28, 2011.
Leslie Kux,
Acting Assistant Commissioner for Policy.
[FR Doc. 2011-25479 Filed 10-4-11; 8:45 am]
BILLING CODE 4160-01-P