Gastroenterology-Urology Devices; Reclassification of Sorbent Hemoperfusion Devices for the Treatment of Poisoning and Drug Overdose; Effective Date of Requirement for Premarket Approval for Sorbent Hemoperfusion Devices To Treat Hepatic Coma and Metabolic Disturbances, 9610-9617 [2012-3810]
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9610
Federal Register / Vol. 77, No. 33 / Friday, February 17, 2012 / Proposed Rules
Dated: February 13, 2012.
Dennis M. Keefe,
Director, Office of Food Additive Safety,
Center for Food Safety and Applied Nutrition.
and the benefits to the public from the
use of the devices. In addition, FDA is
announcing the opportunity for
interested persons to request that the
Agency change the classification of any
of the devices mentioned in this
document based on new information.
This action implements certain statutory
requirements.
DATES: Submit either electronic or
written comments by May 17, 2012.
Submit requests for a change in
classification by March 5, 2012. See
section XVIII of this document for the
proposed effective date of a final rule
based on this proposed rule.
ADDRESSES: You may submit comments,
identified by Docket No. FDA–2012–M–
0076, by any of the following methods:
[FR Doc. 2012–3744 Filed 2–16–12; 8:45 am]
Electronic Submissions
BILLING CODE 4160–01–P
Submit electronic comments in the
following way:
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the
instructions for submitting comments.
neither an environmental assessment
nor an environmental impact statement
is required.
III. Comments
Interested persons may submit to the
Division of Dockets Management (see
ADDRESSES) either electronic or written
comments regarding this document. It is
only necessary to send one set of
comments. Identify comments with the
docket number found in brackets in the
heading of this document. Received
comments may be seen in the Division
of Dockets Management between 9 a.m.
and 4 p.m., Monday through Friday.
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
Written Submissions
21 CFR Part 876
[Docket No. FDA–2012–M–0076]
Gastroenterology-Urology Devices;
Reclassification of Sorbent
Hemoperfusion Devices for the
Treatment of Poisoning and Drug
Overdose; Effective Date of
Requirement for Premarket Approval
for Sorbent Hemoperfusion Devices To
Treat Hepatic Coma and Metabolic
Disturbances
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Proposed rule.
The Food and Drug
Administration (FDA) is proposing to
reclassify the sorbent hemoperfusion
system, a preamendments class III
device, into class II (special controls) for
the treatment of poisoning and drug
overdose, and to require the filing of a
premarket approval application (PMA)
or a notice of completion of a product
development protocol (PDP) for the
treatment of hepatic coma and
metabolic disturbances. FDA is
identifying the proposed special
controls that the Agency believes will
reasonably ensure the safety and
effectiveness of the device for the
treatment of poisoning and drug
overdose. The Agency is also
summarizing its proposed findings
regarding the degree of risk of illness or
injury designed to be eliminated or
reduced by requiring the devices to
meet the statute’s approval requirements
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SUMMARY:
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Submit written submissions in the
following ways:
• Fax: 301–827–6870.
• Mail/Hand delivery/Courier (for
paper or CD–ROM submissions):
Division of Dockets Management (HFA–
305), Food and Drug Administration,
5630 Fishers Lane, rm. 1061, Rockville,
MD 20852.
Instructions: All submissions received
must include the Agency name and
Docket No. FDA–2012–M–0076 for this
rulemaking. All comments received may
be posted without change to https://
www.regulations.gov, including any
personal information provided. For
additional information on submitting
comments, see the ‘‘Comments’’ heading
of the SUPPLEMENTARY INFORMATION
section of this document.
Docket: For access to the docket to
read background documents or
comments received, go to https://
www.regulations.gov and insert the
docket number, found in brackets in the
heading of this document, into the
‘‘Search’’ box and follow the prompts
and/or go to the Division of Dockets
Management, 5630 Fishers Lane, rm.
1061, Rockville, MD 20852.
FOR FURTHER INFORMATION CONTACT:
Melissa Burns, Center for Devices and
Radiological Health, Food and Drug
Administration, 10903 New Hampshire
Ave., Bldg. 66, rm. 1646, Silver Spring,
MD 20993, 301–796–5616,
melissa.burns@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
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I. Background—Regulatory Authorities
A. Requirement for Premarket Approval
Application
The Federal Food, Drug, and Cosmetic
Act (FD&C Act), as amended by the
Medical Device Amendments (the 1976
amendments) (Pub. L. 94–295), the Safe
Medical Devices Act of 1990 (SMDA)
(Pub. L. 101–629), Food and Drug
Administration Modernization Act of
1997 (FDAMA) (Pub. L. 105–115), the
Medical Device User Fee and
Modernization Act of 2002 (MDUFMA)
(Pub. L. 107–250), the Medical Devices
Technical Corrections Act (Pub. L. 108–
214), and the Food and Drug
Administration Amendments Act of
2007 (Pub. L. 110–85) establish a
comprehensive system for the regulation
of medical devices intended for human
use. Section 513 of the FD&C Act (21
U.S.C. 360c) established three categories
(classes) of devices, reflecting the
regulatory controls needed to provide
reasonable assurance of their safety and
effectiveness. The three categories of
devices are class I (general controls),
class II (special controls), and class III
(premarket approval).
Under section 513 of the FD&C Act,
devices that were in commercial
distribution before the enactment of the
1976 amendments, May 28, 1976
(generally referred to as preamendments
devices), are classified after FDA has:
(1) Received a recommendation from a
device classification panel (an FDA
advisory committee); (2) published the
panel’s recommendation for comment,
along with a proposed regulation
classifying the device; and (3) published
a final regulation classifying the device.
FDA has classified most
preamendments devices under these
procedures.
Devices that were not in commercial
distribution prior to May 28, 1976
(generally referred to as
postamendments devices) are
automatically classified by section
513(f) of the FD&C Act into class III
without any FDA rulemaking process.
Those devices remain in class III and
require premarket approval unless, and
until, the device is reclassified into class
I or II or FDA issues an order finding the
device to be substantially equivalent, in
accordance with section 513(i) of the
FD&C Act, to a predicate device that
does not require premarket approval.
The Agency determines whether new
devices are substantially equivalent to
predicate devices by means of
premarket notification procedures in
section 510(k) of the FD&C Act (21
U.S.C. 360(k)) and 21 CFR part 807.
A preamendments device that has
been classified into class III may be
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marketed by means of premarket
notification procedures (510(k) process)
without submission of a PMA until FDA
issues a final regulation under section
515(b) of the FD&C Act (21 U.S.C.
360e(b)) requiring premarket approval.
Section 515(b)(1) of the FD&C Act
establishes the requirement that a
preamendments device that FDA has
classified into class III is subject to
premarket approval. A preamendments
class III device may be commercially
distributed without an approved PMA
or a notice of completion of a PDP until
90 days after FDA issues a final rule
requiring premarket approval for the
device, or 30 months after final
classification of the device under
section 513 of the FD&C Act, whichever
is later. Also, a preamendments device
subject to the rulemaking procedure
under section 515(b) of the FD&C Act is
not required to have an approved
investigational device exemption (IDE)
(see part 812 (21 CFR part 812))
contemporaneous with its interstate
distribution until the date identified by
FDA in the final rule requiring the
submission of a PMA for the device. At
that time, an IDE is required only if a
PMA has not been submitted or a PDP
completed.
Section 515(b)(2)(A) of the FD&C Act
provides that a proceeding to issue a
final rule to require premarket approval
shall be initiated by publication of a
notice of proposed rulemaking
containing: (1) The regulation; (2)
proposed findings with respect to the
degree of risk of illness or injury
designed to be eliminated or reduced by
requiring the device to have an
approved PMA or a declared completed
PDP and the benefit to the public from
the use of the device; (3) an opportunity
for the submission of comments on the
proposed rule and the proposed
findings; and (4) an opportunity to
request a change in the classification of
the device based on new information
relevant to the classification of the
device.
Section 515(b)(2)(B) of the FD&C Act
provides that if FDA receives a request
for a change in the classification of the
device within 15 days of the publication
of the notice, FDA shall, within 60 days
of the publication of the notice, consult
with the appropriate FDA advisory
committee and publish a notice denying
the request for change in reclassification
or announcing its intent to initiate a
proceeding to reclassify the device
under section 513(e) of the FD&C Act.
Section 515(b)(3) of the FD&C Act
provides that FDA shall, after the close
of the comment period on the proposed
rule and consideration of any comments
received, issue a final rule to require
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premarket approval or publish a
document terminating the proceeding
together with the reasons for such
termination. If FDA terminates the
proceeding, FDA is required to initiate
reclassification of the device under
section 513(e) of the FD&C Act, unless
the reason for termination is that the
device is a banned device under section
516 of the FD&C Act (21 U.S.C. 360f).
If a proposed rule to require
premarket approval for a
preamendments device is finalized,
section 501(f)(2)(B) of the FD&C Act (21
U.S.C. 351(f)(2)(B)) requires that a PMA
or notice of completion of a PDP for any
such device be filed within 90 days of
the date of issuance of the final rule or
30 months after the final classification
of the device under section 513 of the
FD&C Act, whichever is later. If a PMA
or notice of completion of a PDP is not
filed by the later of the two dates,
commercial distribution of the device is
required to cease since the device would
be deemed adulterated under section
501(f) of the FD&C Act.
The device may, however, be
distributed for investigational use if the
manufacturer, importer, or other
sponsor of the device complies with the
IDE regulations. If a PMA or notice of
completion of a PDP is not filed by the
later of the two dates, and the device
does not comply with IDE regulations,
the device is deemed to be adulterated
within the meaning of section
501(f)(1)(A) of the FD&C Act, and
subject to seizure and condemnation
under section 304 of the FD&C Act (21
U.S.C. 334) if its distribution continues.
Shipment of devices in interstate
commerce will be subject to injunction
under section 302 of the FD&C Act (21
U.S.C. 332), and the individuals
responsible for such shipment will be
subject to prosecution under section 303
of the FD&C Act (21 U.S.C. 333). In the
past, FDA has requested that
manufacturers take action to prevent the
further use of devices for which no PMA
or PDP has been filed and may
determine that such a request is
appropriate for the class III devices that
are the subjects of this regulation.
The FD&C Act does not permit an
extension of the 90-day period after
issuance of a final rule within which an
application or a notice is required to be
filed. The House Report on the 1976
amendments states that ‘‘[t]he thirty
month grace period afforded after
classification of a device into class III
* * * is sufficient time for
manufacturers and importers to develop
the data and conduct the investigations
necessary to support an application for
premarket approval (H. Rept. 94–853,
94th Cong., 2d sess. 42 (1976)).’’
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The SMDA added section 515(i) to the
FD&C Act requiring FDA to review the
classification of preamendments class III
devices for which no final rule requiring
the submission of PMAs has been issued
and to determine whether or not each
device should be reclassified into class
I or class II or remain in class III. For
devices remaining in class III, the
SMDA directed FDA to develop a
schedule for issuing regulations to
require premarket approval. The SMDA
does not, however, prevent FDA from
proceeding immediately to rulemaking
under section 515(b) of the FD&C Act on
specific devices, in the interest of public
health, independent of the procedures
of section 515(i). Proceeding directly to
rulemaking under section 515(b) of the
FD&C Act is consistent with Congress’
objective in enacting section 515(i), i.e.,
that preamendments class III devices for
which PMAs have not been previously
required either be reclassified to class I
or class II or be subject to the
requirements of premarket approval.
Moreover, in this proposed rule,
interested persons are being offered the
opportunity to request reclassification of
any of the devices.
B. Reclassification
Section 513(e) of the FD&C Act
governs reclassification of classified
preamendments devices. This section
provides that FDA may, by rulemaking,
reclassify a device (in a proceeding that
parallels the initial classification
proceeding) based upon ‘‘new
information.’’ FDA can initiate a
reclassification under section 513(e) or
an interested person may petition FDA
to reclassify a preamendments device.
The term ‘‘new information,’’ as used in
section 513(e) of the FD&C Act, includes
information developed as a result of a
reevaluation of the data before the
Agency when the device was originally
classified, as well as information not
presented, not available, or not
developed at that time. (See, e.g.,
Holland Rantos v. United States
Department of Health, Education, and
Welfare, 587 F.2d 1173, 1174 n.1 (D.C.
Cir. 1978); Upjohn v. Finch, 422 F.2d
944 (6th Cir. 1970); Bell v. Goddard, 366
F.2d 177 (7th Cir. 1966).)
Reevaluation of the data previously
before the Agency is an appropriate
basis for subsequent regulatory action
where the reevaluation is made in light
of newly available regulatory authority
(see Bell v. Goddard, supra, 366 F.2d at
181; Ethicon, Inc. v. FDA, 762 F. Supp.
382, 388–389 (D.D.C. 1991)) or in light
of changes in ‘‘medical science.’’ (See
Upjohn v. Finch, supra, 422 F.2d at
951.). Whether data before the Agency
are past or new data, the ‘‘new
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information’’ to support reclassification
under section 513(e) must be ‘‘valid
scientific evidence,’’ as defined in
section 513(a)(3) of the FD&C Act and
§ 860.7(c)(2) (21 CFR 860.7(c)(2)). (See,
e.g., General Medical Co. v. FDA, 770
F.2d 214 (D.C. Cir. 1985); Contact Lens
Assoc. v. FDA, 766 F.2d 592 (D.C. Cir.),
cert. denied, 474 U.S. 1062 (1985).)
FDA relies upon ‘‘valid scientific
evidence’’ in the classification process
to determine the level of regulation for
devices. To be considered in the
reclassification process, the valid
scientific evidence upon which the
Agency relies must be publicly
available. Publicly available information
excludes trade secrets and/or
confidential commercial information,
e.g., the contents of a pending PMA.
(See section 520(c) of the FD&C Act (21
U.S.C. 360j(c)).) Section 520(h)(4) of the
FD&C Act, added by FDAMA, provides
that FDA may use, for reclassification of
a device, certain information in a PMA
6 years after the application has been
approved. This includes information
from clinical and preclinical tests or
studies that demonstrate the safety or
effectiveness of the device but does not
include descriptions of methods of
manufacture or product composition
and other trade secrets.
FDAMA added a new section 510(m)
to the FD&C Act. New section 510(m) of
the FD&C Act provides that a class II
device may be exempted from the
premarket notification requirements
under section 510(k) of the FD&C Act,
if the Agency determines that premarket
notification is not necessary to assure
the safety and effectiveness of the
device.
II. Regulatory History of the Device
In the preamble to the proposed rule
(46 FR 7562, January 23, 1981, and 46
FR 7630, January 23, 1981), the
Gastroenterology-Urology Device
Classification Panel (the Panel)
recommended that sorbent
hemoperfusion systems be classified
into class III because the device is life
sustaining and life supporting and
because there was a lack of data on the
absorption characteristics of this device
regarding the possibility that it may,
while removing toxic substances, also
remove essential substances from the
blood or cause loss or platelets and
white cells. The Panel indicated that
general controls alone would not be
sufficient and that there was not enough
information to establish a performance
standard. Consequently, the Panel
believed that premarket approval was
necessary to assure the safety and
effectiveness of the device. In 1983,
FDA classified sorbent hemoperfusion
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systems into class III after receiving no
comments on the proposed rule (48 FR
53012, November 23, 1983). In 1987,
FDA published a clarification by
inserting language in the codified
language stating that no effective date
had been established for the
requirement for premarket approval for
sorbent hemoperfusion system devices
(52 FR 17732 at 17738, May 11, 1987).
In 2009, FDA published an order for
the submission of information on
sorbent hemoperfusion systems by
August 7, 2009 (74 FR 16214, April 9,
2009). In response to that order, FDA
received one reclassification petition
from a device manufacturer
recommending that sorbent
hemoperfusion systems be reclassified
to class II. The manufacturers stated that
safety and effectiveness of these devices
may be assured by device design,
performance testing, and labeling
(special controls).
III. Device Description
A sorbent hemoperfusion system is a
device that consists of an extracorporeal
blood system and a container filled with
adsorbent material that removes a wide
range of substances, both toxic and
normal, from blood flowing through it.
The adsorbent materials are usually
activated-carbon or resins, which may
be coated or immobilized to prevent fine
particles entering the patient’s blood.
The generic type of device may include
lines and filters specifically designed to
connect the device to the extracorporeal
blood system. Sorbent hemoperfusion
systems may also include the machine
or instrument used to drive and manage
blood and fluid flow within the
extracorporeal circuit, as well as any
accompanying controllers, monitors, or
sensors.
IV. Proposed Reclassification
FDA is proposing that sorbent
hemoperfusion systems intended for the
treatment of poisoning and drug
overdose be reclassified from class III to
class II. FDA believes that the identified
special controls would provide
reasonable assurance of safety and
effectiveness. Therefore, in accordance
with sections 513(e) and 515(i) of the
FD&C Act and § 860.130 (21 CFR
860.130), based on new information
with respect to the devices, FDA, on its
own initiative, is proposing to reclassify
this preamendments class III device
intended for the treatment of poisoning
and drug overdose into class II. The
Agency has identified special controls
that would provide reasonable
assurance of their safety and
effectiveness. The Agency does not
intend to exempt this proposed class II
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device from premarket notification
(510(k)) submission as provided for
under section 510(m) of the FD&C Act.
V. Risks to Health
After considering the information
from the reports and recommendations
of the advisory committees (panels) for
the classification of these devices along
with information submitted in response
to the 515(i) order and any additional
information that FDA has encountered,
FDA has evaluated the risks to health
associated with the use of sorbent
hemoperfusion systems and determined
that the following risks to health are
associated with its use:
• Extracorporeal leaks (blood loss)—
Rupture of the extracorporeal circuit,
cartridge, filters, and/or tubing, as well
as disconnections, may lead to blood
leaks and blood loss.
• Platelet loss and
thrombocytopenia—The adsorption
characteristics of the device may cause
large losses of platelets during
hemoperfusion.
• Leukopenia—The materials used, or
the design of the device, may cause
absorption of leukocytes, leading to the
transient loss of leukocytes in a patient.
• Hemolysis—The materials used, or
the design of the blood pathways in the
device, may cause the lysis of red blood
cells.
• Leak of adsorbent agent into fluid
path (release of emboli)—Fine particles
leached from the sorbent column of the
device may be deposited in the
arterioles of the lungs and other organ
as particulate emboli.
• Lack of sterility—Improper
sterilization or compromise of the
device packaging may lead to the
introduction of microorganisms, which
may be transmitted to a patient during
use.
• Toxic and/or pyrogenic reactions—
Toxic substances may be leached from
the device, causing a patient to have a
pyrogenic reaction (sudden fever with
collapse and chills).
• Infection—Defects in the design or
construction of the device preventing
adequate cleaning and/or sterilization
may allow pathogenic organisms to be
introduced and may cause an infection
in a patient.
• Hypotension—Sudden fluid shifts
within the patient, due to pressures
exerted by the device, or to fluid being
removed by the device, may cause
sudden decreases in a patient’s blood
pressure.
• Lack of biocompatibility in
materials or solutions contacting
blood—The patient-contacting materials
of the device may cause an adverse
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immunological or allergic reaction in a
patient.
• Clotting (blood loss)—The materials
used, or the design of the device, may
cause a patient’s blood to form clots,
which may obstruct the device’s
extracorporeal circuit, interrupting or
terminating treatments, and also leading
to blood loss, because the blood
entrapped in the clotted blood circuit
often cannot be returned to the patient.
• Removal or depletion of vital
nutrients, hormones, vitamins,
substances. and drugs (e.g., adsorption
of glucose, unspecific removal
characteristics, drop in patients’
hematocrit), due to device’s lack of
specificity—The adsorption
characteristics of the device may cause
removal or depletions of nutrients,
hormones, and other necessary
substances.
• Metabolic disturbances—The
removal of normal metabolites along
with undesirable substances may lead to
metabolic disturbances.
• Lack of effectiveness—The
adsorption characteristics of the device
may lead to the failure to remove drugs
in the treatment of poisoning or drug
overdose, or to bring on clinical
improvement in hepatic coma and
metabolic disturbances.
• Treatment interruptions or
discontinuations—Inadequate
safeguards in the device may lead to
treatment interruptions or
discontinuations in the case of power
failures.
• Electrical shock due to lack of
electrical safety—Inadequate safeguards
in the device may lead to electrical
shocks in patients using them.
• Electromagnetic interference, which
may lead to adverse interactions with
other patient systems—Inadequate
safeguards in the device may lead to its
interference with other patient systems,
causing adverse events in the patient, as
well as adversely affecting the
performance of the other patient
systems.
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VI. Summary of Reasons for
Reclassification
FDA believes that sorbent
hemoperfusion systems intended for the
treatment of poisoning and drug
overdose should be reclassified into
class II because special controls, in
addition to general controls, can be
established to provide reasonable
assurance of the safety and effectiveness
of the device. In addition, there is now
adequate effectiveness information
sufficient to establish special controls to
provide such assurance.
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VII. Summary of Data Upon Which the
Reclassification Is Based
Since the time of the original Panel
recommendation, sufficient evidence
has been developed to support a
reclassification of sorbent
hemoperfusion system to class II with
special controls for the treatment of
poisoning and hepatic coma. Evidence
including reports of clinical evaluations
and case studies of the use of these
devices in the treatment of poisoning
and drug overdose, and bench studies in
which the devices’ abilities to remove
certain drugs have been well
characterized.
VIII. Proposed Special Controls
FDA believes that the following
special controls are sufficient to mitigate
the risks to health described in section
IV in this document for the treatment of
poisoning and drug overdose:
• The device should be demonstrated
to be biocompatible;
• Performance data to demonstrate
the mechanical integrity of the device
(e.g., tensile, flexural, and structural
strength), including testing for the
possibility of leaks, ruptures, release of
particles and/or disconnections;
• Performance data to demonstrate
device sterility and shelf life;
• Bench performance data to
demonstrate device functionality in
terms of substances, toxins, and drugs
removed by the device, and the extent
that these are removed when the device
is used according to its labeling;
• Summary of clinical experience
with the device that discusses and
analyzes device safety and performance,
including a list of adverse events
observed during the testing;
• Labeling controls, including
appropriate warnings, precautions,
cautions, and contraindications
statements to alert and inform users of
proper device use and potential clinical
adverse effects, including blood loss,
platelet loss, leukopenia, hemolysis,
hypotension, clotting, metabolic
disturbances, and loss of vital nutrients
and substances. Labeling
recommendations must be consistent
with the performance data obtained for
the device, and must include a list of
the drugs the device has been
demonstrated to remove, and the extent
of removal/depletion; and
• For those devices that incorporate
electrical components, appropriate
analysis and testing to validate electrical
safety and electromagnetic
compatibility.
IX. Dates New Requirements Apply
In accordance with section 515(b) of
the FD&C Act, FDA is proposing to
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9613
require that a PMA or a notice of
completion of a PDP be filed with the
Agency for class III devices within 90
days after issuance of any final rule
based on this proposal. An applicant
whose device was legally in commercial
distribution before May 28, 1976, or
whose device has been found to be
substantially equivalent to such a
device, will be permitted to continue
marketing such class III devices during
FDA’s review of the PMA or notice of
completion of the PDP. FDA intends to
review any PMA for the device within
180 days and any notice of completion
of a PDP for the device within 90 days
of the date of filing. FDA cautions that
under section 515(d)(1)(B)(i) of the
FD&C Act, the Agency may not enter
into an agreement to extend the review
period for a PMA beyond 180 days
unless the Agency finds that ‘‘the
continued availability of the device is
necessary for the public health.’’
FDA intends that under § 812.2(d), the
preamble to any final rule based on this
proposal will state that, as of the date on
which the filing of a PMA or a notice
of completion of a PDP is required to be
filed, the exemptions from the
requirements of the IDE regulations for
preamendments class III devices in
§ 812.2(c)(1) and (c)(2) will cease to
apply to any device that is: (1) Not
legally on the market on or before that
date or (2) legally on the market on or
before that date but for which a PMA or
notice of completion of a PDP is not
filed by that date, or for which PMA
approval has been denied or withdrawn.
If a PMA or notice of completion of
a PDP for a class III device is not filed
with FDA within 90 days after the date
of issuance of any final rule requiring
premarket approval for the device,
commercial distribution of the device
must cease. The device may be
distributed for investigational use only
if the requirements of the IDE
regulations are met. The requirements
for significant risk devices include
submitting an IDE application to FDA
for its review and approval. An
approved IDE is required to be in effect
before an investigation of the device
may be initiated or continued under
§ 812.30. FDA, therefore, cautions that
IDE applications should be submitted to
FDA at least 30 days before the end of
the 90-day period after the issuance of
the final rule to avoid interrupting
investigations.
X. Proposed Findings With Respect to
Risks and Benefits
As required by section 515(b) of the
FD&C Act, FDA is publishing its
proposed findings regarding: (1) The
degree of risk of illness or injury
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designed to be eliminated or reduced by
requiring that this device have an
approved PMA or a declared completed
PDP when indicated for the treatment of
hepatic coma and metabolic
disturbances and (2) the benefits to the
public from the use of the sorbent
hemoperfusion system for treatment of
hepatic coma and metabolic
disturbances.
These findings are based on the
reports and recommendations of the
advisory committees (panels) for the
classification of these devices along
with information submitted in response
to the 515(i) Order, (74 FR 16214) and
any additional information that FDA has
encountered. Additional information
regarding the risks as well as
classification associated with this
device type can be found in 46 FR 7630,
46 FR 7562, and 48 FR 53023.
For the treatment of hepatic coma and
metabolic disturbances, FDA concludes
that the safety and effectiveness of these
devices have not been established by
adequate scientific evidence, and the
Agency continues to agree with the
Panel’s recommendation. The review of
the published scientific literature
revealed mostly observational studies
performed with sorbent hemoperfusion
devices. Only a few randomized,
controlled trials were found, but sample
sizes were small and not adequately
powered, and etiologies and control
group criteria were varied. Furthermore,
based on FDA’s experience reviewing
these devices for use in the treatment of
hepatic coma and metabolic
disturbances, bench testing is not
adequate in establishing the devices’
safety and effectiveness, particularly
since characterizing a sorbent
hemoperfusion system’s performance
and adsorption capabilities has not
correlated to patient outcomes, such as
resolution of the patients’ hepatic coma,
or improvements in mortality. The
scientific literature also revealed that
there is no consensus on the clinical
endpoints necessary to adequately
evaluate sorbent hemoperfusion devices
for the treatment of hepatic coma and
metabolic disturbances or on the patient
populations who will benefit the most
from the use of these devices.
premarket approval is sought. In
addition, a PMA must include all data
and information on: (1) Any risks
known, or that should be reasonably
known, to the applicant that have not
been identified in this document; (2) the
effectiveness of the device that is the
subject of the application; and (3) full
reports of all preclinical and clinical
information from investigations on the
safety and effectiveness of the device for
which premarket approval is sought.
A PMA must include valid scientific
evidence to demonstrate reasonable
assurance of the safety and effectiveness
of the device for its intended use (see
§ 860.7(c)(2)). Valid scientific evidence
is ‘‘evidence from well-controlled
investigations, partially controlled
studies, studies and objective trials
without matched controls, welldocumented case histories conducted by
qualified experts, and reports of
significant human experience with a
marketed device, from which it can
fairly and responsibly be concluded by
qualified experts that there is reasonable
assurance of the safety and effectiveness
of a device under its conditions of use.
* * * Isolated case reports, random
experience, reports lacking sufficient
details to permit scientific evaluation,
and unsubstantiated opinions are not
regarded as valid scientific evidence to
show safety or effectiveness. * * *’’
(§ 860.7(c)(2)).
XI. PMA Requirements
A PMA for sorbent hemoperfusion
system indicated for the treatment of
hepatic coma and metabolic
disturbances must include the
information required by section
515(c)(1) of the FD&C Act. Such a PMA
should also include a detailed
discussion of the risks identified
previously, as well as a discussion of
the effectiveness of the device for which
XIII. Opportunity To Request a Change
in Classification
Before requiring the filing of a PMA
or notice of completion of a PDP for a
device, FDA is required by section
515(b)(2)(A)(i) through (b)(2)(A)(iv) of
the FD&C Act and § 860.132 to provide
an opportunity for interested persons to
request a change in the classification of
the device based on new information
relevant to the classification. Any
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XII. PDP Requirements
A PDP for sorbent hemoperfusion
system indicated for the treatment of
hepatic coma and metabolic
disturbances may be submitted in lieu
of a PMA and must follow the
procedures outlined in section 515(f) of
the FD&C Act. A PDP must provide: (1)
A description of the device, (2)
preclinical trial information (if any), (3)
clinical trial information (if any), (4) a
description of the manufacturing and
processing of the devices, (5) the
labeling of the device, and (6) all other
relevant information about the device.
In addition, the PDP must include
progress reports and records of the trials
conducted under the protocol on the
safety and effectiveness of the device for
which the completed PDP is sought.
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proceeding to reclassify the device will
be under the authority of section 513(e)
of the FD&C Act.
A request for a change in the
classification of these devices is to be in
the form of a reclassification petition
containing the information required by
§ 860.123 (21 CFR 860.123), including
new information relevant to the
classification of the device.
The Agency advises that to ensure
timely filing of any such petition, any
request should be submitted to the
Division of Dockets Management (see
ADDRESSES) and not to the address
provided in § 860.123(b)(1). If a timely
request for a change in the classification
of these devices is submitted, the
Agency will, within 180 days after
receipt of the petition, and after
consultation with the appropriate FDA
resources, publish an order in the
Federal Register that either denies the
request or gives notice of its intent to
initiate a change in the classification of
the device in accordance with section
513(e) of the FD&C Act and § 860.130 of
the regulations.
XIV. Environmental Impact
The Agency has determined under 21
CFR 25.30(h) that this action is of a type
that does not individually or
cumulatively have a significant effect on
the human environment. Therefore,
neither an environmental assessment
nor an environmental impact statement
is required.
XV. Analysis of Impacts
FDA has examined the impacts of the
proposed rule under Executive Order
12866, Executive Order 13563, the
Regulatory Flexibility Act (5 U.S.C.
601–612), and the Unfunded Mandates
Reform Act of 1995 (Pub. L. 104–4).
Executive Orders 12866 and 13563
direct Agencies to assess all costs and
benefits of available regulatory
alternatives and, when regulation is
necessary, to select regulatory
approaches that maximize net benefits
(including potential economic,
environmental, public health and safety,
and other advantages; distributive
impacts; and equity). The Agency
believes that this proposed rule is not a
significant regulatory action defined by
Executive Order 12866.
The Regulatory Flexibility Act
requires Agencies to analyze regulatory
options that would minimize any
significant impact of a rule on small
entities. The Agency proposes to certify
that the final rule will not have a
significant economic impact on a
substantial number of small entities.
Section 202(a) of the Unfunded
Mandates Reform Act of 1995 requires
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that Agencies prepare a written
statement, which includes an
assessment of anticipated costs and
benefits, before proposing ‘‘any rule that
includes any Federal mandate that may
result in the expenditure by State, local,
and tribal governments, in the aggregate,
or by the private sector, of $100,000,000
or more (adjusted annually for inflation)
in any one year.’’ The current threshold
after adjustment for inflation is $136
million, using the most current (2010)
Implicit Price Deflator for the Gross
Domestic Product. FDA does not expect
this proposed rule to result in any 1year expenditure that would meet or
exceed this amount.
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A. Objective of the Proposed Rule
The objective of this proposed rule is
to classify sorbent hemoperfusion
devices, which are preamendments
class III devices. These devices are used
in the treatment of drug overdose,
poisoning, hepatic coma, and metabolic
disturbances. The classification of these
devices will be split into two parts
based on the indication of use. Devices
indicated for treatment of poisoning and
drug overdose will be reclassified into
class II with special controls. Devices
indicated for treatment in hepatic coma
and metabolic disturbances will be
maintained in class III with PMA or PDP
requirements. Sorbent hemoperfusion
systems were originally classified as
class III because they are life sustaining
and life supporting, and there was lack
of data to establish an adequate
performance standard for these devices.
Since that time, sufficient evidence has
been accumulated to develop special
controls for the treatment of poisoning
and drug overdose, and the risks to
health are now well characterized and
understood. However, there is
insufficient scientific evidence to
develop special controls for these
devices when used for the treatment of
hepatic coma and metabolic
disturbances. The call for PMAs or PDPs
will allow for adequate evaluation of the
device, particularly with respect to the
clinical data necessary to support the
safety and effectiveness of these devices
when used in the treatment of these
conditions.
B. Sorbent Hemoperfusion Systems for
the Treatment of Poisoning and Drug
Overdose
This rule proposes to reclassify
sorbent hemoperfusion devices for the
treatment of drug overdose and
poisoning into class II devices with
special controls. Currently,
manufacturers of sorbent hemoperfusion
devices are subject to premarket
notification requirements similar to
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most class II devices, with
manufacturers receiving clearance to
market via a 510(k) premarket
notification submission with no
premarket approval (PMA) requirement.
FDA has concluded that special controls
are sufficient for ensuring the safety and
effectiveness of these devices and that
these devices may be reclassified to
class II (special controls).
FDA’s Premarket Notification 510(k)
database identifies five manufacturers of
six sorbent hemoperfusion devices. All
six of these devices have been cleared
for use in the treatment of drug overdose
and poisoning. According to the 2005–
2009 annual reports of the American
Association of Poison Control Centers’
National Poison Data Systems,
hemoperfusion was used in an average
of 27 cases per year, which suggests
limited use of this device for these
indications.
The proposed rule would require that
manufacturers who wish to market new
sorbent hemoperfusion devices or
implement changes to existing marketed
devices indicated for the treatment of
poisoning and drug overdose submit
510(k)s that comply with the proposed
special controls. As current practice, the
Agency already recommends that
manufacturers adopt the risk mitigations
that are being proposed as special
controls, so this rule would essentially
formalize current practice as a
regulation for these devices. Hence, this
reclassification will not result in any
significant changes in how 510(k)s for
the affected devices are prepared or in
how they are reviewed, and compliance
with the special controls proposed for
this device will not yield significant
new costs for affected manufacturers.
Because the formal reclassification of
the affected devices from class III to
class II with special controls is
consistent with current FDA and
industry practice, the Agency concludes
that the proposed rule would impose no
additional regulatory burdens on the
manufacturing and marketing of sorbent
hemoperfusion devices for the treatment
of drug overdose and poisoning.
C. Sorbent Hemoperfusion Systems for
the Indications of Hepatic Coma and
Metabolic Disturbances
1. Benefits
The proposed requirement for PMAs
or PDPs for sorbent hemoperfusion
systems for treatment of hepatic coma
and metabolic disturbances would
generate social benefits equal to the
value of information generated by the
safety and effectiveness tests that
producers of the device would be
required to conduct under the proposed
PO 00000
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Sfmt 4702
9615
call for PMAs or PDPs. Provided first to
FDA, this information would assist
physicians, patients, and insurance
providers to make more informed
decisions regarding the safe and proper
use of these devices, which would also
be expected to improve some patient
outcomes. There are currently no
actively marketed products that are
cleared for the indication of hepatic
coma and metabolic disturbances.
However, FDA projects that two firms
are likely to enter the market in the near
future.
Hepatic coma is characterized as the
final state of hepatic encephalopathy, a
complication of liver failure in which
the brain function progressively
deteriorates. Hepatic encephalopathy is
a condition in which toxic substances
that are normally cleared from the body
by the liver accumulate in the blood,
eventually traveling to the brain.
Hepatic coma marks the final stage of
encephalopathy, at which the
disturbance of the brain function leads
to loss of consciousness. Sorbent
hemoperfusion systems can be used as
a treatment device to compensate for
liver failure by removing toxins from the
blood.
Data from the Healthcare Cost and
Utilization Project, a nationally
representative sample of hospital
discharges, suggest that hepatic coma
related hospitalizations are associated
with prolonged and costly hospital
stays. In 2009, there were approximately
43,500 patients hospitalized in the
United States for a primary diagnosis of
hepatic coma. The number of discharges
rises to over 115,000 when accounting
for all-listed diagnoses, which include
all diagnoses that coexist at the time of
admission or that develop during
hospitalization. For patients admitted
with a primary diagnosis of hepatic
coma, the mean length of stay was 5.8
days, with a mean cost of $10,000 per
stay. In-hospital mortality was nearly 8
percent in 2009, while the survival rate
after 3 years among patients with
hepatic encephalopathy is estimated to
be 25 percent (Ref. 1).
There is limited scientific evidence
regarding the effectiveness of sorbent
hemoperfusion systems for the
indication of hepatic coma, which could
partially be due to the fragile nature of
the patient population (i.e., individuals
who are acutely ill due to liver disease,
and thus face poor clinical prognosis
and high mortality). Because the risks
and benefits of these devices for this
indication are unknown and therefore
cannot be adequately characterized, it is
impossible to estimate the direct effect
of the devices on patient outcomes.
However, if they are approved, the
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devices have the potential to greatly
improve patient outcomes relative to the
current baseline, since there are no
alternative devices currently on the
market. The PMA requirement will
provide clinical testing to establish the
safety and efficacy of the devices, to
characterize their performance, and to
determine the patient populations who
will benefit most from the use of these
devices. Clinical trials may also identify
design issues that would have gone
unnoticed in a premarket notification
process, thereby reducing the potential
of device failures. Furthermore, PMA
requirements allow for continuing
postmarketing evaluation and periodic
reporting to FDA on the safety,
effectiveness, and reliability of the
device for its intended use.
2. Costs
The proposed rule would require
producers of sorbent hemoperfusion for
treatment of hepatic coma and
metabolic disturbances to obtain a PMA
or PDP prior to marketing new products.
Currently, producers of sorbent
hemoperfusion systems receive
clearance to market these devices
through the less costly 510(k) premarket
notification process. The incremental
cost of this rule for those who are
developing devices to treat hepatic
coma and metabolic disturbance would
be the difference between the cost of
preparing and submitting a premarket
approval application and the cost of
preparing and submitting a 510(k)
application. The cost of preparing an
average 510(k) application has been
estimated to be $21 per page, or $37
after adjusting for inflation (Ref. 2).
According to FDA industry experts, the
number of pages in 510(k) submissions
can range from an average of 400 for
simple devices to 4,000 pages for more
complicated systems. Assuming that the
devices for this indication of treatment
are complex in nature due to the
intricate health conditions of the
intended patient population, we use
4,000 pages as our primary estimate. At
a cost per page of $37, this yields an
average cost of preparing and submitting
a 510(k) of $148,000. FDA has estimated
an upper bound on the cost of preparing
and submitting a PMA at approximately
$1,000,000 (see, for example, 73 FR
7498 at 7502, February 8, 2008), which
rises to $1,019,000 after inflation. This
yields a difference of $871,000 between
the costs of PMA and 510(k)
preparation. Manufacturers must also
pay FDA user fees. For fiscal year 2012,
the user fee for a 510(k) submission is
$4,049 for large firms and $2,024 for
small firms (76 FR 45826 at 45828,
August 1, 2011). The user fee for a
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premarket application (PMA or PDP) is
currently set at $220,050 for large firms
and $55,013 for small firms (76 FR
45828). This yields a cost difference of
PMA and 510(k) submission costs of
$216,001 for large companies and
$52,989 for small businesses. The total
incremental upfront rule-induced cost
to industry of preparing and submitting
a PMA or PDP is $1,083,950 for large
firms and $908,901 for small firms.
Manufacturers also incur postmarketing
annual fees for periodic reporting to
FDA, with the standard fee for annual
reports currently set at $7,702 for large
firms and $1,925 for small firms.
In addition to the cost to industry of
preparing and submitting PMAs or
PDPs, the proposed rule would impose
review costs on FDA. It has been
estimated that, for devices reviewed by
FDA’s Center for Devices and
Radiological Health in 2003 and 2004,
review costs were $563,000 per PMA
and $13,400 per 510(k) (Ref. 3). Updated
for inflation to 2010 dollars, these
review costs become $653,000 per PMA
and $15,500 per 510(k). This yields an
incremental cost to FDA of $637,500. A
portion of this total will be paid by
industry in the form of user fees, with
the remainder borne by general
revenues.
The social costs per PMA would be
the sum of the difference between a
PMA and a 510(k) and the additional
FDA costs of reviewing the PMA, or
$1,508,500 (= $871,000 + $637,500). The
annual cost of the proposed rule would
be the number of submissions
multiplied by the cost per submission.
Because we project that few entities will
introduce this device, the number of
submissions in most years will be zero.
FDA requests comments on the methods
and results of our estimation.
D. Impact on Small Entities
The Regulatory Flexibility Act
requires Agencies to prepare an initial
regulatory analysis if a proposed rule
would have a significant effect on a
substantial number of small businesses,
nonprofit organizations, local
jurisdictions, or other entities. The
proposed rule will yield no new costs
for the five producers of sorbent
hemoperfusion devices for the treatment
of drug overdose and poisoning, as the
rule is essentially a formalization of
current industry practice. There are
currently no companies actively
participating in the market for the
indications of hepatic coma and
metabolic disturbance, which will
require PMAs or PDPs as a result of the
proposed rule. FDA projects that very
few entities will enter this market in the
near future. If a small entity were to
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Fmt 4702
Sfmt 4702
enter the market, the reduced user fees
would provide some relief. FDA
requests comments on the overall effect
of the proposed classification on the
potential entry of small entities.
Because this proposed rule would
impose no additional regulatory
burdens for manufacturers of sorbent
hemoperfusion devices currently in the
market and there is limited participation
in the market for devices that will
require PMAs or PDPs, FDA concludes
that this proposed rule would not have
a significant economic impact on a
substantial number of small entities.
XVI. Federalism
FDA has analyzed this proposed rule
in accordance with the principles set
forth in Executive Order 13132. FDA
has determined that the proposed rule,
if finalized, would not contain policies
that would have substantial direct
effects on the States, on the relationship
between the National Government and
the States, or on the distribution of
power and responsibilities among the
various levels of government.
Accordingly, the Agency tentatively
concludes that the proposed rule does
not contain policies that have
federalism implications as defined in
the Executive order and, consequently,
a federalism summary impact statement
is not required.
XVII. Paperwork Reduction Act of 1995
This proposed rule refers to
previously approved collections of
information found in FDA regulations.
These collections of information are
subject to review by the Office of
Management and Budget (OMB) under
the Paperwork Reduction Act of 1995
(44 U.S.C. 3501–3520). The collections
of information in 21 CFR part 812 have
been approved under OMB control
number 0910–0078; the collections of
information in 21 CFR part 807, subpart
E, have been approved under OMB
control number 0910–0120; the
collections of information in 21 CFR
part 814, subpart B, have been approved
under OMB control number 0910–0231;
and the collections of information under
21 CFR part 801 have been approved
under OMB control number 0910–0485.
XVIII. Proposed Effective Date
FDA is proposing that any final rule
based on this proposal become effective
on the date of its publication in the
Federal Register or at a later date if
stated in the final rule.
XIX. Comments
Interested persons may submit to the
Division of Dockets Management (see
ADDRESSES) either electronic or written
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comments regarding this document. It is
only necessary to submit one set of
comments. Identify comments with the
docket number found in the brackets in
the heading of this document. Received
comments may be seen in the Division
of Dockets Management between 9 a.m.
and 4 p.m., Monday through Friday.
XX. References
The following references have been
placed on display in the Division of
Dockets Management (see ADDRESSES)
and may be seen by interested persons
between 9 a.m. and 4 p.m., Monday
through Friday. (FDA has verified the
Web site address, but FDA is not
responsible for any subsequent changes
to the Web site after this document
publishes in the Federal Register.)
1. Schiano, T.D., ‘‘Clinical Management of
Hepatic Encephalopathy,’’ vol. 30, pp.
10S–15S, Pharmacotherapy, 2010.
2. Blozan, C.F. and S.A. Tucker, ‘‘Premarket
Notifications: The First 24,000,’’ pp. 59–
69, Medical Device & Diagnostic
Industry, 1986.
3. Geiger, D.R., ‘‘FY 2003 and FY 2004 Unit
Costs for the Process of Medical Device
Review,’’ (https://www.fda.gov/
downloads/MedicalDevices/
DeviceRegulationandGuidance/
Overview/MedicalDeviceUserFeeand
ModernizationActMDUFMA/ucm
109216.pdf), September 2005.
List of Subjects in 21 CFR Part 876
Medical devices.
Therefore, under the Federal Food,
Drug, and Cosmetic Act and under
authority delegated to the Commissioner
of Food and Drugs, it is proposed that
21 CFR part 876 be amended as follows:
PART 876—GASTROENTEROLOGYUROLOGY DEVICES
1. The authority citation for 21 CFR
part 876 continues to read as follows:
Authority: 21 U.S.C. 351, 360, 360c, 360e,
360j, 360l, 371.
2. Section 876.5870 is amended by
revising paragraphs (b) and (c) to read
as follows:
§ 876.5870
system.
Sorbent hemoperfusion
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*
*
*
*
*
(b) Classification. (1) Class II (special
controls) when the device is intended
for the treatment of poisoning and drug
overdose. The special controls for this
device are:
(i) The device should be demonstrated
to be biocompatible;
(ii) Performance data to demonstrate
the mechanical integrity of the device
(e.g., tensile, flexural, and structural
strength), including testing for the
possibility of leaks, ruptures, release of
particles, and/or disconnections;
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(iii) Performance data to demonstrate
device sterility and shelf life;
(iv) Bench performance data to
demonstrate device functionality in
terms of substances, toxins, and drugs
removed by the device, and the extent
that these are removed when the device
is used according to its labeling;
(v) Summary of clinical experience
with the device that discusses and
analyzes device safety and performance,
including a list of adverse events
observed during the testing;
(vi) Labeling controls, including
appropriate warnings, precautions,
cautions, and contraindications
statements to alert and inform users of
proper device use and potential clinical
adverse effects, including blood loss,
platelet loss, leukopenia, hemolysis,
hypotension, clotting, metabolic
disturbances, and loss of vital nutrients
and substances; Labeling
recommendations must be consistent
with the performance data obtained for
the device, and must include a list of
the drugs the device has been
demonstrated to remove, and the extent
for removal/depletion; and
(vii) For those devices that
incorporate electrical components,
appropriate analysis and testing to
validate electrical safety and
electromagnetic compatibility.
(2) Class III (premarket approval)
when the device is intended for the
treatment of hepatic coma and
metabolic disturbances.
(c) Date premarket approval
application (PMA) or notice of
completion of product development
protocol (PDP) is required. A PMA or
notice of completion of a PDP is
required to be filed with FDA on or
before [date 90 days after date of
publication of the final rule in the
Federal Register], for any sorbent
hemoperfusion system indicated for
treatment of hepatic coma or metabolic
disturbances that was in commercial
distribution before May 28, 1976, or that
has, on or before [date 90 days after date
of publication of the final rule in the
Federal Register], been found to be
substantially equivalent to any sorbent
hemoperfusion device indicated for
treatment of hepatic coma or metabolic
disturbances that was in commercial
distribution before May 28, 1976. Any
other sorbent hemoperfusion system
device indicated for treatment of hepatic
coma or metabolic disturbances shall
have an approved PMA or declared
completed PDP in effect before being
placed in commercial distribution.
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9617
Dated: February 14, 2012.
Nancy K. Stade,
Deputy Director for Policy, Center for Devices
and Radiological Health.
[FR Doc. 2012–3810 Filed 2–16–12; 8:45 am]
BILLING CODE 4160–01–P
DEPARTMENT OF DEFENSE
Defense Acquisition Regulations
System
48 CFR Part 242
RIN 0750–AH52
Defense Federal Acquisition
Regulation Supplement; DoD Voucher
Processing (DFARS Case 2011–D054)
Defense Acquisition
Regulations System, Department of
Defense (DoD).
ACTION: Proposed rule; clarification.
AGENCY:
DoD is clarifying the rule
published on January 19, 2012,
proposing to amend the Defense Federal
Acquisition Regulation Supplement
(DFARS) to update DoD’s voucher
processing procedures and better
accommodate the use of Wide Area
WorkFlow to process vouchers.
DATES: Comments on the proposed rule
published January 19, 2012, at 77 FR
2682, continue to be accepted until
March 19, 2012.
FOR FURTHER INFORMATION CONTACT: Mr.
Mark Gomersall, Defense Acquisition
Regulations System, OUSD (AT&L)
DPAP (DARS), Room 3B855, 3060
Defense Pentagon, Washington, DC
20301–3060. Telephone 703–602–0302;
facsimile 703–602–0350.
SUPPLEMENTARY INFORMATION: DoD is
clarifying the proposed rule published
on January 19, 2012 (77 FR 2682), which
proposes to revise requirements for
approving interim vouchers. Interim
vouchers that are selected using riskbased sampling methodologies will be
reviewed and approved by the contract
auditors for provisional payment and
sent to the disbursing office after the
pre-payment review. Interim vouchers
not selected for a pre-payment review
will be considered acceptable for
payment and will be sent directly to the
disbursing office. All interim vouchers
are subject to an audit of actual costs
incurred after payment. The sampling
process will be accomplished largely
within the Wide Area WorkFlow
system.
The rule proposes to revise the
requirements for approving interim
vouchers by replacing the direct
submission process currently referenced
SUMMARY:
E:\FR\FM\17FEP1.SGM
17FEP1
Agencies
[Federal Register Volume 77, Number 33 (Friday, February 17, 2012)]
[Proposed Rules]
[Pages 9610-9617]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-3810]
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DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Part 876
[Docket No. FDA-2012-M-0076]
Gastroenterology-Urology Devices; Reclassification of Sorbent
Hemoperfusion Devices for the Treatment of Poisoning and Drug Overdose;
Effective Date of Requirement for Premarket Approval for Sorbent
Hemoperfusion Devices To Treat Hepatic Coma and Metabolic Disturbances
AGENCY: Food and Drug Administration, HHS.
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA) is proposing to
reclassify the sorbent hemoperfusion system, a preamendments class III
device, into class II (special controls) for the treatment of poisoning
and drug overdose, and to require the filing of a premarket approval
application (PMA) or a notice of completion of a product development
protocol (PDP) for the treatment of hepatic coma and metabolic
disturbances. FDA is identifying the proposed special controls that the
Agency believes will reasonably ensure the safety and effectiveness of
the device for the treatment of poisoning and drug overdose. The Agency
is also summarizing its proposed findings regarding the degree of risk
of illness or injury designed to be eliminated or reduced by requiring
the devices to meet the statute's approval requirements and the
benefits to the public from the use of the devices. In addition, FDA is
announcing the opportunity for interested persons to request that the
Agency change the classification of any of the devices mentioned in
this document based on new information. This action implements certain
statutory requirements.
DATES: Submit either electronic or written comments by May 17, 2012.
Submit requests for a change in classification by March 5, 2012. See
section XVIII of this document for the proposed effective date of a
final rule based on this proposed rule.
ADDRESSES: You may submit comments, identified by Docket No. FDA-2012-
M-0076, by any of the following methods:
Electronic Submissions
Submit electronic comments in the following way:
Federal eRulemaking Portal: https://www.regulations.gov.
Follow the instructions for submitting comments.
Written Submissions
Submit written submissions in the following ways:
Fax: 301-827-6870.
Mail/Hand delivery/Courier (for paper or CD-ROM
submissions): Division of Dockets Management (HFA-305), Food and Drug
Administration, 5630 Fishers Lane, rm. 1061, Rockville, MD 20852.
Instructions: All submissions received must include the Agency name
and Docket No. FDA-2012-M-0076 for this rulemaking. All comments
received may be posted without change to https://www.regulations.gov,
including any personal information provided. For additional information
on submitting comments, see the ``Comments'' heading of the
SUPPLEMENTARY INFORMATION section of this document.
Docket: For access to the docket to read background documents or
comments received, go to https://www.regulations.gov and insert the
docket number, found in brackets in the heading of this document, into
the ``Search'' box and follow the prompts and/or go to the Division of
Dockets Management, 5630 Fishers Lane, rm. 1061, Rockville, MD 20852.
FOR FURTHER INFORMATION CONTACT: Melissa Burns, Center for Devices and
Radiological Health, Food and Drug Administration, 10903 New Hampshire
Ave., Bldg. 66, rm. 1646, Silver Spring, MD 20993, 301-796-5616,
melissa.burns@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
I. Background--Regulatory Authorities
A. Requirement for Premarket Approval Application
The Federal Food, Drug, and Cosmetic Act (FD&C Act), as amended by
the Medical Device Amendments (the 1976 amendments) (Pub. L. 94-295),
the Safe Medical Devices Act of 1990 (SMDA) (Pub. L. 101-629), Food and
Drug Administration Modernization Act of 1997 (FDAMA) (Pub. L. 105-
115), the Medical Device User Fee and Modernization Act of 2002
(MDUFMA) (Pub. L. 107-250), the Medical Devices Technical Corrections
Act (Pub. L. 108-214), and the Food and Drug Administration Amendments
Act of 2007 (Pub. L. 110-85) establish a comprehensive system for the
regulation of medical devices intended for human use. Section 513 of
the FD&C Act (21 U.S.C. 360c) established three categories (classes) of
devices, reflecting the regulatory controls needed to provide
reasonable assurance of their safety and effectiveness. The three
categories of devices are class I (general controls), class II (special
controls), and class III (premarket approval).
Under section 513 of the FD&C Act, devices that were in commercial
distribution before the enactment of the 1976 amendments, May 28, 1976
(generally referred to as preamendments devices), are classified after
FDA has: (1) Received a recommendation from a device classification
panel (an FDA advisory committee); (2) published the panel's
recommendation for comment, along with a proposed regulation
classifying the device; and (3) published a final regulation
classifying the device. FDA has classified most preamendments devices
under these procedures.
Devices that were not in commercial distribution prior to May 28,
1976 (generally referred to as postamendments devices) are
automatically classified by section 513(f) of the FD&C Act into class
III without any FDA rulemaking process. Those devices remain in class
III and require premarket approval unless, and until, the device is
reclassified into class I or II or FDA issues an order finding the
device to be substantially equivalent, in accordance with section
513(i) of the FD&C Act, to a predicate device that does not require
premarket approval. The Agency determines whether new devices are
substantially equivalent to predicate devices by means of premarket
notification procedures in section 510(k) of the FD&C Act (21 U.S.C.
360(k)) and 21 CFR part 807.
A preamendments device that has been classified into class III may
be
[[Page 9611]]
marketed by means of premarket notification procedures (510(k) process)
without submission of a PMA until FDA issues a final regulation under
section 515(b) of the FD&C Act (21 U.S.C. 360e(b)) requiring premarket
approval. Section 515(b)(1) of the FD&C Act establishes the requirement
that a preamendments device that FDA has classified into class III is
subject to premarket approval. A preamendments class III device may be
commercially distributed without an approved PMA or a notice of
completion of a PDP until 90 days after FDA issues a final rule
requiring premarket approval for the device, or 30 months after final
classification of the device under section 513 of the FD&C Act,
whichever is later. Also, a preamendments device subject to the
rulemaking procedure under section 515(b) of the FD&C Act is not
required to have an approved investigational device exemption (IDE)
(see part 812 (21 CFR part 812)) contemporaneous with its interstate
distribution until the date identified by FDA in the final rule
requiring the submission of a PMA for the device. At that time, an IDE
is required only if a PMA has not been submitted or a PDP completed.
Section 515(b)(2)(A) of the FD&C Act provides that a proceeding to
issue a final rule to require premarket approval shall be initiated by
publication of a notice of proposed rulemaking containing: (1) The
regulation; (2) proposed findings with respect to the degree of risk of
illness or injury designed to be eliminated or reduced by requiring the
device to have an approved PMA or a declared completed PDP and the
benefit to the public from the use of the device; (3) an opportunity
for the submission of comments on the proposed rule and the proposed
findings; and (4) an opportunity to request a change in the
classification of the device based on new information relevant to the
classification of the device.
Section 515(b)(2)(B) of the FD&C Act provides that if FDA receives
a request for a change in the classification of the device within 15
days of the publication of the notice, FDA shall, within 60 days of the
publication of the notice, consult with the appropriate FDA advisory
committee and publish a notice denying the request for change in
reclassification or announcing its intent to initiate a proceeding to
reclassify the device under section 513(e) of the FD&C Act. Section
515(b)(3) of the FD&C Act provides that FDA shall, after the close of
the comment period on the proposed rule and consideration of any
comments received, issue a final rule to require premarket approval or
publish a document terminating the proceeding together with the reasons
for such termination. If FDA terminates the proceeding, FDA is required
to initiate reclassification of the device under section 513(e) of the
FD&C Act, unless the reason for termination is that the device is a
banned device under section 516 of the FD&C Act (21 U.S.C. 360f).
If a proposed rule to require premarket approval for a
preamendments device is finalized, section 501(f)(2)(B) of the FD&C Act
(21 U.S.C. 351(f)(2)(B)) requires that a PMA or notice of completion of
a PDP for any such device be filed within 90 days of the date of
issuance of the final rule or 30 months after the final classification
of the device under section 513 of the FD&C Act, whichever is later. If
a PMA or notice of completion of a PDP is not filed by the later of the
two dates, commercial distribution of the device is required to cease
since the device would be deemed adulterated under section 501(f) of
the FD&C Act.
The device may, however, be distributed for investigational use if
the manufacturer, importer, or other sponsor of the device complies
with the IDE regulations. If a PMA or notice of completion of a PDP is
not filed by the later of the two dates, and the device does not comply
with IDE regulations, the device is deemed to be adulterated within the
meaning of section 501(f)(1)(A) of the FD&C Act, and subject to seizure
and condemnation under section 304 of the FD&C Act (21 U.S.C. 334) if
its distribution continues. Shipment of devices in interstate commerce
will be subject to injunction under section 302 of the FD&C Act (21
U.S.C. 332), and the individuals responsible for such shipment will be
subject to prosecution under section 303 of the FD&C Act (21 U.S.C.
333). In the past, FDA has requested that manufacturers take action to
prevent the further use of devices for which no PMA or PDP has been
filed and may determine that such a request is appropriate for the
class III devices that are the subjects of this regulation.
The FD&C Act does not permit an extension of the 90-day period
after issuance of a final rule within which an application or a notice
is required to be filed. The House Report on the 1976 amendments states
that ``[t]he thirty month grace period afforded after classification of
a device into class III * * * is sufficient time for manufacturers and
importers to develop the data and conduct the investigations necessary
to support an application for premarket approval (H. Rept. 94-853, 94th
Cong., 2d sess. 42 (1976)).''
The SMDA added section 515(i) to the FD&C Act requiring FDA to
review the classification of preamendments class III devices for which
no final rule requiring the submission of PMAs has been issued and to
determine whether or not each device should be reclassified into class
I or class II or remain in class III. For devices remaining in class
III, the SMDA directed FDA to develop a schedule for issuing
regulations to require premarket approval. The SMDA does not, however,
prevent FDA from proceeding immediately to rulemaking under section
515(b) of the FD&C Act on specific devices, in the interest of public
health, independent of the procedures of section 515(i). Proceeding
directly to rulemaking under section 515(b) of the FD&C Act is
consistent with Congress' objective in enacting section 515(i), i.e.,
that preamendments class III devices for which PMAs have not been
previously required either be reclassified to class I or class II or be
subject to the requirements of premarket approval. Moreover, in this
proposed rule, interested persons are being offered the opportunity to
request reclassification of any of the devices.
B. Reclassification
Section 513(e) of the FD&C Act governs reclassification of
classified preamendments devices. This section provides that FDA may,
by rulemaking, reclassify a device (in a proceeding that parallels the
initial classification proceeding) based upon ``new information.'' FDA
can initiate a reclassification under section 513(e) or an interested
person may petition FDA to reclassify a preamendments device. The term
``new information,'' as used in section 513(e) of the FD&C Act,
includes information developed as a result of a reevaluation of the
data before the Agency when the device was originally classified, as
well as information not presented, not available, or not developed at
that time. (See, e.g., Holland Rantos v. United States Department of
Health, Education, and Welfare, 587 F.2d 1173, 1174 n.1 (D.C. Cir.
1978); Upjohn v. Finch, 422 F.2d 944 (6th Cir. 1970); Bell v. Goddard,
366 F.2d 177 (7th Cir. 1966).)
Reevaluation of the data previously before the Agency is an
appropriate basis for subsequent regulatory action where the
reevaluation is made in light of newly available regulatory authority
(see Bell v. Goddard, supra, 366 F.2d at 181; Ethicon, Inc. v. FDA, 762
F. Supp. 382, 388-389 (D.D.C. 1991)) or in light of changes in
``medical science.'' (See Upjohn v. Finch, supra, 422 F.2d at 951.).
Whether data before the Agency are past or new data, the ``new
[[Page 9612]]
information'' to support reclassification under section 513(e) must be
``valid scientific evidence,'' as defined in section 513(a)(3) of the
FD&C Act and Sec. 860.7(c)(2) (21 CFR 860.7(c)(2)). (See, e.g.,
General Medical Co. v. FDA, 770 F.2d 214 (D.C. Cir. 1985); Contact Lens
Assoc. v. FDA, 766 F.2d 592 (D.C. Cir.), cert. denied, 474 U.S. 1062
(1985).)
FDA relies upon ``valid scientific evidence'' in the classification
process to determine the level of regulation for devices. To be
considered in the reclassification process, the valid scientific
evidence upon which the Agency relies must be publicly available.
Publicly available information excludes trade secrets and/or
confidential commercial information, e.g., the contents of a pending
PMA. (See section 520(c) of the FD&C Act (21 U.S.C. 360j(c)).) Section
520(h)(4) of the FD&C Act, added by FDAMA, provides that FDA may use,
for reclassification of a device, certain information in a PMA 6 years
after the application has been approved. This includes information from
clinical and preclinical tests or studies that demonstrate the safety
or effectiveness of the device but does not include descriptions of
methods of manufacture or product composition and other trade secrets.
FDAMA added a new section 510(m) to the FD&C Act. New section
510(m) of the FD&C Act provides that a class II device may be exempted
from the premarket notification requirements under section 510(k) of
the FD&C Act, if the Agency determines that premarket notification is
not necessary to assure the safety and effectiveness of the device.
II. Regulatory History of the Device
In the preamble to the proposed rule (46 FR 7562, January 23, 1981,
and 46 FR 7630, January 23, 1981), the Gastroenterology-Urology Device
Classification Panel (the Panel) recommended that sorbent hemoperfusion
systems be classified into class III because the device is life
sustaining and life supporting and because there was a lack of data on
the absorption characteristics of this device regarding the possibility
that it may, while removing toxic substances, also remove essential
substances from the blood or cause loss or platelets and white cells.
The Panel indicated that general controls alone would not be sufficient
and that there was not enough information to establish a performance
standard. Consequently, the Panel believed that premarket approval was
necessary to assure the safety and effectiveness of the device. In
1983, FDA classified sorbent hemoperfusion systems into class III after
receiving no comments on the proposed rule (48 FR 53012, November 23,
1983). In 1987, FDA published a clarification by inserting language in
the codified language stating that no effective date had been
established for the requirement for premarket approval for sorbent
hemoperfusion system devices (52 FR 17732 at 17738, May 11, 1987).
In 2009, FDA published an order for the submission of information
on sorbent hemoperfusion systems by August 7, 2009 (74 FR 16214, April
9, 2009). In response to that order, FDA received one reclassification
petition from a device manufacturer recommending that sorbent
hemoperfusion systems be reclassified to class II. The manufacturers
stated that safety and effectiveness of these devices may be assured by
device design, performance testing, and labeling (special controls).
III. Device Description
A sorbent hemoperfusion system is a device that consists of an
extracorporeal blood system and a container filled with adsorbent
material that removes a wide range of substances, both toxic and
normal, from blood flowing through it. The adsorbent materials are
usually activated-carbon or resins, which may be coated or immobilized
to prevent fine particles entering the patient's blood. The generic
type of device may include lines and filters specifically designed to
connect the device to the extracorporeal blood system. Sorbent
hemoperfusion systems may also include the machine or instrument used
to drive and manage blood and fluid flow within the extracorporeal
circuit, as well as any accompanying controllers, monitors, or sensors.
IV. Proposed Reclassification
FDA is proposing that sorbent hemoperfusion systems intended for
the treatment of poisoning and drug overdose be reclassified from class
III to class II. FDA believes that the identified special controls
would provide reasonable assurance of safety and effectiveness.
Therefore, in accordance with sections 513(e) and 515(i) of the FD&C
Act and Sec. 860.130 (21 CFR 860.130), based on new information with
respect to the devices, FDA, on its own initiative, is proposing to
reclassify this preamendments class III device intended for the
treatment of poisoning and drug overdose into class II. The Agency has
identified special controls that would provide reasonable assurance of
their safety and effectiveness. The Agency does not intend to exempt
this proposed class II device from premarket notification (510(k))
submission as provided for under section 510(m) of the FD&C Act.
V. Risks to Health
After considering the information from the reports and
recommendations of the advisory committees (panels) for the
classification of these devices along with information submitted in
response to the 515(i) order and any additional information that FDA
has encountered, FDA has evaluated the risks to health associated with
the use of sorbent hemoperfusion systems and determined that the
following risks to health are associated with its use:
Extracorporeal leaks (blood loss)--Rupture of the
extracorporeal circuit, cartridge, filters, and/or tubing, as well as
disconnections, may lead to blood leaks and blood loss.
Platelet loss and thrombocytopenia--The adsorption
characteristics of the device may cause large losses of platelets
during hemoperfusion.
Leukopenia--The materials used, or the design of the
device, may cause absorption of leukocytes, leading to the transient
loss of leukocytes in a patient.
Hemolysis--The materials used, or the design of the blood
pathways in the device, may cause the lysis of red blood cells.
Leak of adsorbent agent into fluid path (release of
emboli)--Fine particles leached from the sorbent column of the device
may be deposited in the arterioles of the lungs and other organ as
particulate emboli.
Lack of sterility--Improper sterilization or compromise of
the device packaging may lead to the introduction of microorganisms,
which may be transmitted to a patient during use.
Toxic and/or pyrogenic reactions--Toxic substances may be
leached from the device, causing a patient to have a pyrogenic reaction
(sudden fever with collapse and chills).
Infection--Defects in the design or construction of the
device preventing adequate cleaning and/or sterilization may allow
pathogenic organisms to be introduced and may cause an infection in a
patient.
Hypotension--Sudden fluid shifts within the patient, due
to pressures exerted by the device, or to fluid being removed by the
device, may cause sudden decreases in a patient's blood pressure.
Lack of biocompatibility in materials or solutions
contacting blood--The patient-contacting materials of the device may
cause an adverse
[[Page 9613]]
immunological or allergic reaction in a patient.
Clotting (blood loss)--The materials used, or the design
of the device, may cause a patient's blood to form clots, which may
obstruct the device's extracorporeal circuit, interrupting or
terminating treatments, and also leading to blood loss, because the
blood entrapped in the clotted blood circuit often cannot be returned
to the patient.
Removal or depletion of vital nutrients, hormones,
vitamins, substances. and drugs (e.g., adsorption of glucose,
unspecific removal characteristics, drop in patients' hematocrit), due
to device's lack of specificity--The adsorption characteristics of the
device may cause removal or depletions of nutrients, hormones, and
other necessary substances.
Metabolic disturbances--The removal of normal metabolites
along with undesirable substances may lead to metabolic disturbances.
Lack of effectiveness--The adsorption characteristics of
the device may lead to the failure to remove drugs in the treatment of
poisoning or drug overdose, or to bring on clinical improvement in
hepatic coma and metabolic disturbances.
Treatment interruptions or discontinuations--Inadequate
safeguards in the device may lead to treatment interruptions or
discontinuations in the case of power failures.
Electrical shock due to lack of electrical safety--
Inadequate safeguards in the device may lead to electrical shocks in
patients using them.
Electromagnetic interference, which may lead to adverse
interactions with other patient systems--Inadequate safeguards in the
device may lead to its interference with other patient systems, causing
adverse events in the patient, as well as adversely affecting the
performance of the other patient systems.
VI. Summary of Reasons for Reclassification
FDA believes that sorbent hemoperfusion systems intended for the
treatment of poisoning and drug overdose should be reclassified into
class II because special controls, in addition to general controls, can
be established to provide reasonable assurance of the safety and
effectiveness of the device. In addition, there is now adequate
effectiveness information sufficient to establish special controls to
provide such assurance.
VII. Summary of Data Upon Which the Reclassification Is Based
Since the time of the original Panel recommendation, sufficient
evidence has been developed to support a reclassification of sorbent
hemoperfusion system to class II with special controls for the
treatment of poisoning and hepatic coma. Evidence including reports of
clinical evaluations and case studies of the use of these devices in
the treatment of poisoning and drug overdose, and bench studies in
which the devices' abilities to remove certain drugs have been well
characterized.
VIII. Proposed Special Controls
FDA believes that the following special controls are sufficient to
mitigate the risks to health described in section IV in this document
for the treatment of poisoning and drug overdose:
The device should be demonstrated to be biocompatible;
Performance data to demonstrate the mechanical integrity
of the device (e.g., tensile, flexural, and structural strength),
including testing for the possibility of leaks, ruptures, release of
particles and/or disconnections;
Performance data to demonstrate device sterility and shelf
life;
Bench performance data to demonstrate device functionality
in terms of substances, toxins, and drugs removed by the device, and
the extent that these are removed when the device is used according to
its labeling;
Summary of clinical experience with the device that
discusses and analyzes device safety and performance, including a list
of adverse events observed during the testing;
Labeling controls, including appropriate warnings,
precautions, cautions, and contraindications statements to alert and
inform users of proper device use and potential clinical adverse
effects, including blood loss, platelet loss, leukopenia, hemolysis,
hypotension, clotting, metabolic disturbances, and loss of vital
nutrients and substances. Labeling recommendations must be consistent
with the performance data obtained for the device, and must include a
list of the drugs the device has been demonstrated to remove, and the
extent of removal/depletion; and
For those devices that incorporate electrical components,
appropriate analysis and testing to validate electrical safety and
electromagnetic compatibility.
IX. Dates New Requirements Apply
In accordance with section 515(b) of the FD&C Act, FDA is proposing
to require that a PMA or a notice of completion of a PDP be filed with
the Agency for class III devices within 90 days after issuance of any
final rule based on this proposal. An applicant whose device was
legally in commercial distribution before May 28, 1976, or whose device
has been found to be substantially equivalent to such a device, will be
permitted to continue marketing such class III devices during FDA's
review of the PMA or notice of completion of the PDP. FDA intends to
review any PMA for the device within 180 days and any notice of
completion of a PDP for the device within 90 days of the date of
filing. FDA cautions that under section 515(d)(1)(B)(i) of the FD&C
Act, the Agency may not enter into an agreement to extend the review
period for a PMA beyond 180 days unless the Agency finds that ``the
continued availability of the device is necessary for the public
health.''
FDA intends that under Sec. 812.2(d), the preamble to any final
rule based on this proposal will state that, as of the date on which
the filing of a PMA or a notice of completion of a PDP is required to
be filed, the exemptions from the requirements of the IDE regulations
for preamendments class III devices in Sec. 812.2(c)(1) and (c)(2)
will cease to apply to any device that is: (1) Not legally on the
market on or before that date or (2) legally on the market on or before
that date but for which a PMA or notice of completion of a PDP is not
filed by that date, or for which PMA approval has been denied or
withdrawn.
If a PMA or notice of completion of a PDP for a class III device is
not filed with FDA within 90 days after the date of issuance of any
final rule requiring premarket approval for the device, commercial
distribution of the device must cease. The device may be distributed
for investigational use only if the requirements of the IDE regulations
are met. The requirements for significant risk devices include
submitting an IDE application to FDA for its review and approval. An
approved IDE is required to be in effect before an investigation of the
device may be initiated or continued under Sec. 812.30. FDA,
therefore, cautions that IDE applications should be submitted to FDA at
least 30 days before the end of the 90-day period after the issuance of
the final rule to avoid interrupting investigations.
X. Proposed Findings With Respect to Risks and Benefits
As required by section 515(b) of the FD&C Act, FDA is publishing
its proposed findings regarding: (1) The degree of risk of illness or
injury
[[Page 9614]]
designed to be eliminated or reduced by requiring that this device have
an approved PMA or a declared completed PDP when indicated for the
treatment of hepatic coma and metabolic disturbances and (2) the
benefits to the public from the use of the sorbent hemoperfusion system
for treatment of hepatic coma and metabolic disturbances.
These findings are based on the reports and recommendations of the
advisory committees (panels) for the classification of these devices
along with information submitted in response to the 515(i) Order, (74
FR 16214) and any additional information that FDA has encountered.
Additional information regarding the risks as well as classification
associated with this device type can be found in 46 FR 7630, 46 FR
7562, and 48 FR 53023.
For the treatment of hepatic coma and metabolic disturbances, FDA
concludes that the safety and effectiveness of these devices have not
been established by adequate scientific evidence, and the Agency
continues to agree with the Panel's recommendation. The review of the
published scientific literature revealed mostly observational studies
performed with sorbent hemoperfusion devices. Only a few randomized,
controlled trials were found, but sample sizes were small and not
adequately powered, and etiologies and control group criteria were
varied. Furthermore, based on FDA's experience reviewing these devices
for use in the treatment of hepatic coma and metabolic disturbances,
bench testing is not adequate in establishing the devices' safety and
effectiveness, particularly since characterizing a sorbent
hemoperfusion system's performance and adsorption capabilities has not
correlated to patient outcomes, such as resolution of the patients'
hepatic coma, or improvements in mortality. The scientific literature
also revealed that there is no consensus on the clinical endpoints
necessary to adequately evaluate sorbent hemoperfusion devices for the
treatment of hepatic coma and metabolic disturbances or on the patient
populations who will benefit the most from the use of these devices.
XI. PMA Requirements
A PMA for sorbent hemoperfusion system indicated for the treatment
of hepatic coma and metabolic disturbances must include the information
required by section 515(c)(1) of the FD&C Act. Such a PMA should also
include a detailed discussion of the risks identified previously, as
well as a discussion of the effectiveness of the device for which
premarket approval is sought. In addition, a PMA must include all data
and information on: (1) Any risks known, or that should be reasonably
known, to the applicant that have not been identified in this document;
(2) the effectiveness of the device that is the subject of the
application; and (3) full reports of all preclinical and clinical
information from investigations on the safety and effectiveness of the
device for which premarket approval is sought.
A PMA must include valid scientific evidence to demonstrate
reasonable assurance of the safety and effectiveness of the device for
its intended use (see Sec. 860.7(c)(2)). Valid scientific evidence is
``evidence from well-controlled investigations, partially controlled
studies, studies and objective trials without matched controls, well-
documented case histories conducted by qualified experts, and reports
of significant human experience with a marketed device, from which it
can fairly and responsibly be concluded by qualified experts that there
is reasonable assurance of the safety and effectiveness of a device
under its conditions of use. * * * Isolated case reports, random
experience, reports lacking sufficient details to permit scientific
evaluation, and unsubstantiated opinions are not regarded as valid
scientific evidence to show safety or effectiveness. * * *'' (Sec.
860.7(c)(2)).
XII. PDP Requirements
A PDP for sorbent hemoperfusion system indicated for the treatment
of hepatic coma and metabolic disturbances may be submitted in lieu of
a PMA and must follow the procedures outlined in section 515(f) of the
FD&C Act. A PDP must provide: (1) A description of the device, (2)
preclinical trial information (if any), (3) clinical trial information
(if any), (4) a description of the manufacturing and processing of the
devices, (5) the labeling of the device, and (6) all other relevant
information about the device. In addition, the PDP must include
progress reports and records of the trials conducted under the protocol
on the safety and effectiveness of the device for which the completed
PDP is sought.
XIII. Opportunity To Request a Change in Classification
Before requiring the filing of a PMA or notice of completion of a
PDP for a device, FDA is required by section 515(b)(2)(A)(i) through
(b)(2)(A)(iv) of the FD&C Act and Sec. 860.132 to provide an
opportunity for interested persons to request a change in the
classification of the device based on new information relevant to the
classification. Any proceeding to reclassify the device will be under
the authority of section 513(e) of the FD&C Act.
A request for a change in the classification of these devices is to
be in the form of a reclassification petition containing the
information required by Sec. 860.123 (21 CFR 860.123), including new
information relevant to the classification of the device.
The Agency advises that to ensure timely filing of any such
petition, any request should be submitted to the Division of Dockets
Management (see ADDRESSES) and not to the address provided in Sec.
860.123(b)(1). If a timely request for a change in the classification
of these devices is submitted, the Agency will, within 180 days after
receipt of the petition, and after consultation with the appropriate
FDA resources, publish an order in the Federal Register that either
denies the request or gives notice of its intent to initiate a change
in the classification of the device in accordance with section 513(e)
of the FD&C Act and Sec. 860.130 of the regulations.
XIV. Environmental Impact
The Agency has determined under 21 CFR 25.30(h) that this action is
of a type that does not individually or cumulatively have a significant
effect on the human environment. Therefore, neither an environmental
assessment nor an environmental impact statement is required.
XV. Analysis of Impacts
FDA has examined the impacts of the proposed rule under Executive
Order 12866, Executive Order 13563, the Regulatory Flexibility Act (5
U.S.C. 601-612), and the Unfunded Mandates Reform Act of 1995 (Pub. L.
104-4). Executive Orders 12866 and 13563 direct Agencies to assess all
costs and benefits of available regulatory alternatives and, when
regulation is necessary, to select regulatory approaches that maximize
net benefits (including potential economic, environmental, public
health and safety, and other advantages; distributive impacts; and
equity). The Agency believes that this proposed rule is not a
significant regulatory action defined by Executive Order 12866.
The Regulatory Flexibility Act requires Agencies to analyze
regulatory options that would minimize any significant impact of a rule
on small entities. The Agency proposes to certify that the final rule
will not have a significant economic impact on a substantial number of
small entities.
Section 202(a) of the Unfunded Mandates Reform Act of 1995 requires
[[Page 9615]]
that Agencies prepare a written statement, which includes an assessment
of anticipated costs and benefits, before proposing ``any rule that
includes any Federal mandate that may result in the expenditure by
State, local, and tribal governments, in the aggregate, or by the
private sector, of $100,000,000 or more (adjusted annually for
inflation) in any one year.'' The current threshold after adjustment
for inflation is $136 million, using the most current (2010) Implicit
Price Deflator for the Gross Domestic Product. FDA does not expect this
proposed rule to result in any 1-year expenditure that would meet or
exceed this amount.
A. Objective of the Proposed Rule
The objective of this proposed rule is to classify sorbent
hemoperfusion devices, which are preamendments class III devices. These
devices are used in the treatment of drug overdose, poisoning, hepatic
coma, and metabolic disturbances. The classification of these devices
will be split into two parts based on the indication of use. Devices
indicated for treatment of poisoning and drug overdose will be
reclassified into class II with special controls. Devices indicated for
treatment in hepatic coma and metabolic disturbances will be maintained
in class III with PMA or PDP requirements. Sorbent hemoperfusion
systems were originally classified as class III because they are life
sustaining and life supporting, and there was lack of data to establish
an adequate performance standard for these devices. Since that time,
sufficient evidence has been accumulated to develop special controls
for the treatment of poisoning and drug overdose, and the risks to
health are now well characterized and understood. However, there is
insufficient scientific evidence to develop special controls for these
devices when used for the treatment of hepatic coma and metabolic
disturbances. The call for PMAs or PDPs will allow for adequate
evaluation of the device, particularly with respect to the clinical
data necessary to support the safety and effectiveness of these devices
when used in the treatment of these conditions.
B. Sorbent Hemoperfusion Systems for the Treatment of Poisoning and
Drug Overdose
This rule proposes to reclassify sorbent hemoperfusion devices for
the treatment of drug overdose and poisoning into class II devices with
special controls. Currently, manufacturers of sorbent hemoperfusion
devices are subject to premarket notification requirements similar to
most class II devices, with manufacturers receiving clearance to market
via a 510(k) premarket notification submission with no premarket
approval (PMA) requirement. FDA has concluded that special controls are
sufficient for ensuring the safety and effectiveness of these devices
and that these devices may be reclassified to class II (special
controls).
FDA's Premarket Notification 510(k) database identifies five
manufacturers of six sorbent hemoperfusion devices. All six of these
devices have been cleared for use in the treatment of drug overdose and
poisoning. According to the 2005-2009 annual reports of the American
Association of Poison Control Centers' National Poison Data Systems,
hemoperfusion was used in an average of 27 cases per year, which
suggests limited use of this device for these indications.
The proposed rule would require that manufacturers who wish to
market new sorbent hemoperfusion devices or implement changes to
existing marketed devices indicated for the treatment of poisoning and
drug overdose submit 510(k)s that comply with the proposed special
controls. As current practice, the Agency already recommends that
manufacturers adopt the risk mitigations that are being proposed as
special controls, so this rule would essentially formalize current
practice as a regulation for these devices. Hence, this
reclassification will not result in any significant changes in how
510(k)s for the affected devices are prepared or in how they are
reviewed, and compliance with the special controls proposed for this
device will not yield significant new costs for affected manufacturers.
Because the formal reclassification of the affected devices from class
III to class II with special controls is consistent with current FDA
and industry practice, the Agency concludes that the proposed rule
would impose no additional regulatory burdens on the manufacturing and
marketing of sorbent hemoperfusion devices for the treatment of drug
overdose and poisoning.
C. Sorbent Hemoperfusion Systems for the Indications of Hepatic Coma
and Metabolic Disturbances
1. Benefits
The proposed requirement for PMAs or PDPs for sorbent hemoperfusion
systems for treatment of hepatic coma and metabolic disturbances would
generate social benefits equal to the value of information generated by
the safety and effectiveness tests that producers of the device would
be required to conduct under the proposed call for PMAs or PDPs.
Provided first to FDA, this information would assist physicians,
patients, and insurance providers to make more informed decisions
regarding the safe and proper use of these devices, which would also be
expected to improve some patient outcomes. There are currently no
actively marketed products that are cleared for the indication of
hepatic coma and metabolic disturbances. However, FDA projects that two
firms are likely to enter the market in the near future.
Hepatic coma is characterized as the final state of hepatic
encephalopathy, a complication of liver failure in which the brain
function progressively deteriorates. Hepatic encephalopathy is a
condition in which toxic substances that are normally cleared from the
body by the liver accumulate in the blood, eventually traveling to the
brain. Hepatic coma marks the final stage of encephalopathy, at which
the disturbance of the brain function leads to loss of consciousness.
Sorbent hemoperfusion systems can be used as a treatment device to
compensate for liver failure by removing toxins from the blood.
Data from the Healthcare Cost and Utilization Project, a nationally
representative sample of hospital discharges, suggest that hepatic coma
related hospitalizations are associated with prolonged and costly
hospital stays. In 2009, there were approximately 43,500 patients
hospitalized in the United States for a primary diagnosis of hepatic
coma. The number of discharges rises to over 115,000 when accounting
for all-listed diagnoses, which include all diagnoses that coexist at
the time of admission or that develop during hospitalization. For
patients admitted with a primary diagnosis of hepatic coma, the mean
length of stay was 5.8 days, with a mean cost of $10,000 per stay. In-
hospital mortality was nearly 8 percent in 2009, while the survival
rate after 3 years among patients with hepatic encephalopathy is
estimated to be 25 percent (Ref. 1).
There is limited scientific evidence regarding the effectiveness of
sorbent hemoperfusion systems for the indication of hepatic coma, which
could partially be due to the fragile nature of the patient population
(i.e., individuals who are acutely ill due to liver disease, and thus
face poor clinical prognosis and high mortality). Because the risks and
benefits of these devices for this indication are unknown and therefore
cannot be adequately characterized, it is impossible to estimate the
direct effect of the devices on patient outcomes. However, if they are
approved, the
[[Page 9616]]
devices have the potential to greatly improve patient outcomes relative
to the current baseline, since there are no alternative devices
currently on the market. The PMA requirement will provide clinical
testing to establish the safety and efficacy of the devices, to
characterize their performance, and to determine the patient
populations who will benefit most from the use of these devices.
Clinical trials may also identify design issues that would have gone
unnoticed in a premarket notification process, thereby reducing the
potential of device failures. Furthermore, PMA requirements allow for
continuing postmarketing evaluation and periodic reporting to FDA on
the safety, effectiveness, and reliability of the device for its
intended use.
2. Costs
The proposed rule would require producers of sorbent hemoperfusion
for treatment of hepatic coma and metabolic disturbances to obtain a
PMA or PDP prior to marketing new products. Currently, producers of
sorbent hemoperfusion systems receive clearance to market these devices
through the less costly 510(k) premarket notification process. The
incremental cost of this rule for those who are developing devices to
treat hepatic coma and metabolic disturbance would be the difference
between the cost of preparing and submitting a premarket approval
application and the cost of preparing and submitting a 510(k)
application. The cost of preparing an average 510(k) application has
been estimated to be $21 per page, or $37 after adjusting for inflation
(Ref. 2). According to FDA industry experts, the number of pages in
510(k) submissions can range from an average of 400 for simple devices
to 4,000 pages for more complicated systems. Assuming that the devices
for this indication of treatment are complex in nature due to the
intricate health conditions of the intended patient population, we use
4,000 pages as our primary estimate. At a cost per page of $37, this
yields an average cost of preparing and submitting a 510(k) of
$148,000. FDA has estimated an upper bound on the cost of preparing and
submitting a PMA at approximately $1,000,000 (see, for example, 73 FR
7498 at 7502, February 8, 2008), which rises to $1,019,000 after
inflation. This yields a difference of $871,000 between the costs of
PMA and 510(k) preparation. Manufacturers must also pay FDA user fees.
For fiscal year 2012, the user fee for a 510(k) submission is $4,049
for large firms and $2,024 for small firms (76 FR 45826 at 45828,
August 1, 2011). The user fee for a premarket application (PMA or PDP)
is currently set at $220,050 for large firms and $55,013 for small
firms (76 FR 45828). This yields a cost difference of PMA and 510(k)
submission costs of $216,001 for large companies and $52,989 for small
businesses. The total incremental upfront rule-induced cost to industry
of preparing and submitting a PMA or PDP is $1,083,950 for large firms
and $908,901 for small firms. Manufacturers also incur postmarketing
annual fees for periodic reporting to FDA, with the standard fee for
annual reports currently set at $7,702 for large firms and $1,925 for
small firms.
In addition to the cost to industry of preparing and submitting
PMAs or PDPs, the proposed rule would impose review costs on FDA. It
has been estimated that, for devices reviewed by FDA's Center for
Devices and Radiological Health in 2003 and 2004, review costs were
$563,000 per PMA and $13,400 per 510(k) (Ref. 3). Updated for inflation
to 2010 dollars, these review costs become $653,000 per PMA and $15,500
per 510(k). This yields an incremental cost to FDA of $637,500. A
portion of this total will be paid by industry in the form of user
fees, with the remainder borne by general revenues.
The social costs per PMA would be the sum of the difference between
a PMA and a 510(k) and the additional FDA costs of reviewing the PMA,
or $1,508,500 (= $871,000 + $637,500). The annual cost of the proposed
rule would be the number of submissions multiplied by the cost per
submission. Because we project that few entities will introduce this
device, the number of submissions in most years will be zero. FDA
requests comments on the methods and results of our estimation.
D. Impact on Small Entities
The Regulatory Flexibility Act requires Agencies to prepare an
initial regulatory analysis if a proposed rule would have a significant
effect on a substantial number of small businesses, nonprofit
organizations, local jurisdictions, or other entities. The proposed
rule will yield no new costs for the five producers of sorbent
hemoperfusion devices for the treatment of drug overdose and poisoning,
as the rule is essentially a formalization of current industry
practice. There are currently no companies actively participating in
the market for the indications of hepatic coma and metabolic
disturbance, which will require PMAs or PDPs as a result of the
proposed rule. FDA projects that very few entities will enter this
market in the near future. If a small entity were to enter the market,
the reduced user fees would provide some relief. FDA requests comments
on the overall effect of the proposed classification on the potential
entry of small entities.
Because this proposed rule would impose no additional regulatory
burdens for manufacturers of sorbent hemoperfusion devices currently in
the market and there is limited participation in the market for devices
that will require PMAs or PDPs, FDA concludes that this proposed rule
would not have a significant economic impact on a substantial number of
small entities.
XVI. Federalism
FDA has analyzed this proposed rule in accordance with the
principles set forth in Executive Order 13132. FDA has determined that
the proposed rule, if finalized, would not contain policies that would
have substantial direct effects on the States, on the relationship
between the National Government and the States, or on the distribution
of power and responsibilities among the various levels of government.
Accordingly, the Agency tentatively concludes that the proposed rule
does not contain policies that have federalism implications as defined
in the Executive order and, consequently, a federalism summary impact
statement is not required.
XVII. Paperwork Reduction Act of 1995
This proposed rule refers to previously approved collections of
information found in FDA regulations. These collections of information
are subject to review by the Office of Management and Budget (OMB)
under the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520). The
collections of information in 21 CFR part 812 have been approved under
OMB control number 0910-0078; the collections of information in 21 CFR
part 807, subpart E, have been approved under OMB control number 0910-
0120; the collections of information in 21 CFR part 814, subpart B,
have been approved under OMB control number 0910-0231; and the
collections of information under 21 CFR part 801 have been approved
under OMB control number 0910-0485.
XVIII. Proposed Effective Date
FDA is proposing that any final rule based on this proposal become
effective on the date of its publication in the Federal Register or at
a later date if stated in the final rule.
XIX. Comments
Interested persons may submit to the Division of Dockets Management
(see ADDRESSES) either electronic or written
[[Page 9617]]
comments regarding this document. It is only necessary to submit one
set of comments. Identify comments with the docket number found in the
brackets in the heading of this document. Received comments may be seen
in the Division of Dockets Management between 9 a.m. and 4 p.m., Monday
through Friday.
XX. References
The following references have been placed on display in the
Division of Dockets Management (see ADDRESSES) and may be seen by
interested persons between 9 a.m. and 4 p.m., Monday through Friday.
(FDA has verified the Web site address, but FDA is not responsible for
any subsequent changes to the Web site after this document publishes in
the Federal Register.)
1. Schiano, T.D., ``Clinical Management of Hepatic Encephalopathy,''
vol. 30, pp. 10S-15S, Pharmacotherapy, 2010.
2. Blozan, C.F. and S.A. Tucker, ``Premarket Notifications: The
First 24,000,'' pp. 59-69, Medical Device & Diagnostic Industry,
1986.
3. Geiger, D.R., ``FY 2003 and FY 2004 Unit Costs for the Process of
Medical Device Review,'' (https://www.fda.gov/downloads/MedicalDevices/DeviceRegulationandGuidance/Overview/MedicalDeviceUserFeeandModernizationActMDUFMA/ucm109216.pdf),
September 2005.
List of Subjects in 21 CFR Part 876
Medical devices.
Therefore, under the Federal Food, Drug, and Cosmetic Act and under
authority delegated to the Commissioner of Food and Drugs, it is
proposed that 21 CFR part 876 be amended as follows:
PART 876--GASTROENTEROLOGY-UROLOGY DEVICES
1. The authority citation for 21 CFR part 876 continues to read as
follows:
Authority: 21 U.S.C. 351, 360, 360c, 360e, 360j, 360l, 371.
2. Section 876.5870 is amended by revising paragraphs (b) and (c)
to read as follows:
Sec. 876.5870 Sorbent hemoperfusion system.
* * * * *
(b) Classification. (1) Class II (special controls) when the device
is intended for the treatment of poisoning and drug overdose. The
special controls for this device are:
(i) The device should be demonstrated to be biocompatible;
(ii) Performance data to demonstrate the mechanical integrity of
the device (e.g., tensile, flexural, and structural strength),
including testing for the possibility of leaks, ruptures, release of
particles, and/or disconnections;
(iii) Performance data to demonstrate device sterility and shelf
life;
(iv) Bench performance data to demonstrate device functionality in
terms of substances, toxins, and drugs removed by the device, and the
extent that these are removed when the device is used according to its
labeling;
(v) Summary of clinical experience with the device that discusses
and analyzes device safety and performance, including a list of adverse
events observed during the testing;
(vi) Labeling controls, including appropriate warnings,
precautions, cautions, and contraindications statements to alert and
inform users of proper device use and potential clinical adverse
effects, including blood loss, platelet loss, leukopenia, hemolysis,
hypotension, clotting, metabolic disturbances, and loss of vital
nutrients and substances; Labeling recommendations must be consistent
with the performance data obtained for the device, and must include a
list of the drugs the device has been demonstrated to remove, and the
extent for removal/depletion; and
(vii) For those devices that incorporate electrical components,
appropriate analysis and testing to validate electrical safety and
electromagnetic compatibility.
(2) Class III (premarket approval) when the device is intended for
the treatment of hepatic coma and metabolic disturbances.
(c) Date premarket approval application (PMA) or notice of
completion of product development protocol (PDP) is required. A PMA or
notice of completion of a PDP is required to be filed with FDA on or
before [date 90 days after date of publication of the final rule in the
Federal Register], for any sorbent hemoperfusion system indicated for
treatment of hepatic coma or metabolic disturbances that was in
commercial distribution before May 28, 1976, or that has, on or before
[date 90 days after date of publication of the final rule in the
Federal Register], been found to be substantially equivalent to any
sorbent hemoperfusion device indicated for treatment of hepatic coma or
metabolic disturbances that was in commercial distribution before May
28, 1976. Any other sorbent hemoperfusion system device indicated for
treatment of hepatic coma or metabolic disturbances shall have an
approved PMA or declared completed PDP in effect before being placed in
commercial distribution.
Dated: February 14, 2012.
Nancy K. Stade,
Deputy Director for Policy, Center for Devices and Radiological Health.
[FR Doc. 2012-3810 Filed 2-16-12; 8:45 am]
BILLING CODE 4160-01-P