Gastroenterology-Urology Devices; Reclassification of Implanted Blood Access Devices, 38867-38872 [2013-15504]
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[FR Doc. 2013–15433 Filed 6–27–13; 8:45 am]
BILLING CODE 6717–01–P
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Part 876
[Docket No. FDA–2012–N–0303]
Gastroenterology-Urology Devices;
Reclassification of Implanted Blood
Access Devices
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Proposed order.
The Food and Drug
Administration (FDA) is issuing a
proposed administrative order to
reclassify the implanted blood access
device preamendments class III device
into class II (special controls) and
subject to premarket notification, and to
further clarify the identification. FDA is
proposing this reclassification under the
Federal Food, Drug, and Cosmetic Act
(the FD&C Act) based on new
information pertaining to the device.
This action implements certain statutory
requirements.
DATES: Submit either electronic or
written comments on the proposed
order by July 29, 2013. See section XII
for the proposed effective date of any
final order that may publish based on
this proposed order.
ADDRESSES: You may submit comments,
identified by Docket No. FDA–2012–N–
0303, by any of the following methods:
SUMMARY:
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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:
• Mail/Hand delivery/Courier (for
paper or CD–ROM submissions):
Division of Dockets Management (HFA–
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38867
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–N–0303 for this
order. 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:
Rebecca Nipper, Center for Devices and
Radiological Health, Food and Drug
Administration, 10903 New Hampshire
Ave., Bldg. 66, Rm. 1540, Silver Spring,
MD 20993, 301–796–6527.
SUPPLEMENTARY INFORMATION:
I. Background—Regulatory Authorities
The FD&C Act establishes 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
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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 part 807 (21 CFR Part
807).
On July 9, 2012, the Food and Drug
Administration Safety and Innovation
Act (FDASIA) was enacted. Section
608(a) of FDASIA (126 Stat. 1056)
amended the device reclassification
procedures under section 513(e) of the
FD&C Act, changing the process for
reclassifying a device from rulemaking
to an administrative order. Prior to the
enactment of FDASIA, FDA published a
proposed rule under section 513(e)
proposing the reclassification of
implanted blood access devices for
hemodialysis (77 FR 36951; June 20,
2012). FDA is issuing this proposed
administrative order to comply with the
new procedural requirement created by
FDASIA when reclassifying a
preamendments class III device. Also as
required by section 513(e) of the FD&C
Act, FDA has scheduled a panel meeting
to discuss the proposed reclassification
for June 27, 2013 (78 FR 25747; May 2,
2013). The three comments submitted in
response to the proposed rule on
implanted blood access devices for
hemodialysis will be considered under
this proposed administrative order and
do not need to be resubmitted. No
objections to the proposed
reclassification were submitted. This
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action is intended solely to fulfill the
procedural requirements for
reclassification implemented by
FDASIA. FDA is also issuing the draft
guidance, ‘‘Implanted Blood Access
Devices for Hemodialysis,’’ which
provides recommendations on how to
comply with the special controls that
are necessary to provide a reasonable
assurance of the safety and effectiveness
of the device.
Section 513(e) of the FD&C Act
provides that FDA may, by
administrative order, reclassify a device
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 Co. v. United
States Dep’t of Health, Educ., & 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, 388–391 (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 old
or new data, the ‘‘new 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
Association v. FDA, 766 F.2d 592 (D.C.
Cir. 1985), cert. denied, 474 U.S. 1062
(1986).)
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 secret and/or
confidential commercial information,
e.g., the contents of a pending premarket
approval application (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 the Food and Drug
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Administration Modernization Act of
1997 (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.
Section 513(e)(1) of the FD&C Act sets
forth the process for issuing a final
order. Specifically, prior to the issuance
of a final order reclassifying a device,
the following must occur: (1)
Publication of a proposed order in the
Federal Register; (2) a meeting of a
device classification panel described in
section 513(b) of the FD&C Act; and (3)
consideration of comments from all
affected stakeholders, including
patients, payors, and providers. In
addition, the proposed order must set
forth the proposed reclassification, and
a substantive summary of the valid
scientific evidence concerning the
proposed reclassification, including the
public health benefits of the use of the
device, and the nature and incidence (if
known) of the risk of the device. (See
section 513(e)(1)(A)(i) of the FD&C Act.)
FDAMA added section 510(m) to the
FD&C Act. 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
As discussed in the preamble to the
proposed rule (46 FR 7616; January 23,
1981), the Gastroenterology-Urology
Devices Panel recommended that both
implanted and nonimplanted blood
access devices be classified into class II.
Although FDA agreed with the panel
recommendation for nonimplanted
blood access devices, FDA disagreed
with the panel for implanted blood
access devices and proposed that
implanted blood access devices be
classified into class III because FDA
believed that the device presented a
potential unreasonable risk of illness or
injury to the patient. FDA also noted
that the implanted blood access device
is part of a life-supporting and lifesustaining system and that general
controls and performance standards
were insufficient to provide reasonable
assurance of the safety and effectiveness
of implanted blood access devices.
In 1983, FDA classified implanted
blood access devices into class III, but
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the accessories to these devices into
class II (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 implanted blood access devices (52
FR 17732 at 17738; May 11, 1987).
In 2009, FDA published an order for
the submission of information on
implanted blood access devices (74 FR
16214; April 9, 2009). In response to
that order, FDA received information in
support of reclassification from 15
device manufacturers who all
recommended that implanted blood
access devices be reclassified to class II.
The manufacturers stated that safety and
effectiveness of these devices may be
assured by bench testing,
biocompatibility testing, sterility testing,
expiration date testing, labeling, and
standards.
On June 20, 2012, FDA published a
proposed rule proposing the
reclassification of implanted blood
access devices for hemodialysis from
class III to class II (77 FR 36951) and
announced the availability of a draft
Special Controls Guidance Document
that, when finalized, would serve as a
special control, if FDA reclassified these
devices. FDA believed that the special
controls as described in the guidance
document entitled ‘‘Class II Special
Controls Guidance Document:
Implanted Blood Access Devices for
Hemodialysis’’ would be sufficient to
mitigate the risks to health associated
with implanted blood access devices for
hemodialysis.
The proposed rule provided for a
comment period that was open until
September 18, 2012. FDA received three
comments that suggested modifications
to the proposed Special Controls
Guidance Document. These were
considered by FDA.
On July 9, 2012, FDASIA was enacted,
which amended the device
reclassification procedures under
sections 513 and 515 of the FD&C Act
(21 U.S.C. 360c and 360e, respectively),
changing the process for taking final
administrative action for these devices.
Accordingly, FDA is issuing a proposed
administrative order to comply with the
new procedural requirement created by
FDASIA when reclassifying a
preamendments class III device.
Further, FDA intends to codify the
proposed special controls within the
§ 876.5540(b)(1) (21 CFR 876.5540(b)(1))
classification regulation.
III. Device Description
Implanted blood access devices
include various flexible or rigid tubes,
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such as catheters or cannulae. Chronic
hemodialysis catheters are soft, blunttipped plastic catheters that have a
subcutaneous ‘‘cuff’’ for tissue ingrowth.
They are placed in a central vein to
allow blood access. Chronic
hemodialysis catheters serve as conduits
for the removal of blood from the
patient, delivery to a hemodialysis
machine for filtering, and return of
filtered blood to the patient. They have
no moving parts, consisting, essentially,
of flexible tubing terminating in rigid
Luer lock connectors for attachment to
a dialysis machine. Subcutaneous
catheters are totally implanted below
the skin surface with no external
communication. Arteriovenous shunts
and vessel tips are tubing with tapered
tips that are inserted into the artery and
vein. The tubing is attached to the
roughened or etched outer surface of the
tip. The tubing is external to the skin
and can be accessed with needles.
FDA is proposing in this order to
modify the identification language from
how it is presently written in
§ 876.5540(a)(1) for additional
clarification. FDA is clarifying in the
identification that these are prescription
devices and modifying the examples of
devices (e.g., catheter, cannulae) in the
identification language to be consistent
with existing legally marketed devices
covered by this classification.
IV. Proposed Reclassification
FDA is proposing that implanted
blood access devices for hemodialysis
be reclassified from class III to class II.
In this proposed order, the Agency has
identified special controls under section
513(a)(1)(B) of the FD&C Act that,
together with general controls
(including prescription-use restrictions)
applicable to the devices, would
provide reasonable assurance of their
safety and effectiveness. Absent the
special controls identified in this
proposed order, general controls
applicable to the device are insufficient
to provide reasonable assurance of the
safety and effectiveness of the device.
FDA believes that this new information
is sufficient to demonstrate that the
proposed special controls can
effectively mitigate the risks to health
identified in the next section, and that
these special controls, together with
general controls, will provide a
reasonable assurance of safety and
effectiveness for implanted blood access
devices.
FDA believes that these devices can
be utilized to provide access to a
patient’s blood for hemodialysis or other
chronic uses for 30 days or more. When
used in hemodialysis, the device is part
of an artificial kidney system for the
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treatment of patients with renal failure
or toxemic conditions and provides
access to a patient’s blood for
hemodialysis.
FDA has considered implanted blood
access devices in accordance with the
reserved criteria set forth in section
510(l) and decided that the device
requires premarket notification (510(k)
of the FD&C Act). Therefore, the Agency
does not intend to exempt this proposed
class II device from premarket
notification (510(k)) submission as
provided under section 510(m) of the
FD&C Act.
V. Risks to Health
After considering available
information for the classification of
these devices, FDA has evaluated the
risks to health associated with the use
of implanted blood access devices for
hemodialysis and determined the
following risks to health are associated
with its use:
• Thrombosis in patient and catheter
occlusion, or central venous stenosis.
Inadequate blood compatibility of the
materials used in this device, blood
pooling between dialysis sessions, or
turbulent blood pathways could lead to
potentially debilitating or fatal
thromboembolism.
• Adverse tissue reaction. Inadequate
tissue compatibility of the materials
used in this device could cause an
immune reaction.
• Infection and pyrogen reactions. An
improperly sterilized device could
cause a skin or bloodstream infection.
• Device failure. Weakness of
connections or materials could lead to
blood loss or device fragment
embolization.
• Cardiac arrhythmia, hemorrhage,
embolism, nerve injury, or vessel
perforation. Improper placement into
the heart or blood vessel could damage
tissues and result in injuries.
• Hemolysis. Turbulence or high
pressure created by narrow openings or
changes in blood flow paths could cause
the destruction of red blood cells.
• Accidental withdrawal or catheter
migration. A catheter’s cuff may not
allow adequate ingrowth from the
surrounding subcutaneous tissue, which
could cause the device to dislodge or
fall out with subsequent blood loss.
VI. Summary of Reasons for
Reclassification
FDA believes that implanted blood
access devices for hemodialysis should
be reclassified from class III to 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,
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and because general controls themselves
are insufficient to provide reasonable
assurance of its safety and effectiveness.
In addition, there is now sufficient
information to establish special controls
to provide such assurance.
While current clinical practice
guidelines recommend avoiding
implanted blood access devices, such as
catheters, if possible, they are still a
necessary treatment option, and are
used in a significant number of
hemodialysis patients. While the risks
are frequently cited, there are many
advantages of implanted blood access
devices, which lead to their relatively
frequent use, as described previously. In
many cases, vascular access for
hemodialysis is needed urgently, and
the alternatives, such as the
arteriovenous fistula or the
arteriovenous graft require weeks and
months, respectively, before they can be
used. Implanted blood access devices
are frequently used as the immediate
hemodialysis vascular access and also
as a bridge to a more permanent
vascular access. Additionally, some
patients may have inadequate vascular
anatomy to establish a more permanent
vascular access and may require
continued implanted blood access
device use.
VII. Summary of Data Upon Which the
Reclassification Is Based
FDA believes that the identified
special controls, in addition to general
controls, are necessary to provide
reasonable assurance of safety and
effectiveness of these devices.
Therefore, in accordance with sections
513(e) and 515(i) of the FD&C Act and
§ 860.130, based on new information
with respect to the device and taking
into account the public health benefit of
the use of the device and the nature and
known incidence of the risk of the
device, FDA, on its own initiative, is
proposing to reclassify this
preamendments class III device into
class II. The Agency has identified
special controls that would provide
reasonable assurance of their safety and
effectiveness. Implanted blood access
devices for hemodialysis are
prescription devices restricted to patient
use only upon the authorization of a
practitioner licensed by law to
administer or use the device (proposed
§ 876.5540(a); § 801.109 (21 CFR
801.109) (Prescription devices.)).
Since 1983 when FDA classified
implanted blood access devices into
class III, sufficient evidence has been
developed to support a reclassification
to class II with special controls. FDA
has been reviewing these devices for
many years and their risks are well
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known. The risks to health are
identified in section V, and FDA
believes these risks can be adequately
mitigated by special controls. Catheters
continue to evolve over time with
improved materials and insertion
techniques to mitigate the risks. A
review of 15 publications shows a
decrease in infections and an increase in
patency over three decades (1980 to
2011) (Refs. 1 to 15). The decrease in
occurrence of serious adverse events as
evidenced through FDA’s Manufacturer
and User Facility Device Experience
(MAUDE) database, the valid scientific
evidence to support implanted blood
access devices for hemodialysis
provided in the referenced publications,
and FDA’s review experience with these
devices, supports FDA’s conclusion that
the identified special controls,
including performance testing
demonstrating that the device performs
as intended under anticipated
conditions of use, is appropriately
designed, and includes adequate
safeguards and labeling to inform users
of inappropriate use conditions, in
addition to general controls, provide
reasonable assurance of the safety and
effectiveness of implanted blood access
devices.
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VIII. Proposed Special Controls
FDA believes that the following
special controls, together with general
controls (including applicable
prescription-use restrictions and
continuing 510(k) notification
requirements), are sufficient to mitigate
the risks to health described in section
V for implanted blood access devices:
1. Components of the device that
come into human contact must be
demonstrated to be biocompatible.
Material names and specific designation
numbers must be provided.
2. Performance data must demonstrate
that the device performs as intended
under anticipated conditions of use. The
following performance characteristics
must be tested:
a. Pressure versus flow rates for both
arterial and venous lumens, from the
minimum flow rate to the maximum
flow rate in 100 ml/min increments,
must be established. The fluid and its
viscosity used during testing must be
stated.
b. Recirculation rates for both forward
and reverse flow configurations must be
established, along with the protocol
used to perform the assay, which must
be provided.
c. Priming volumes must be
established.
d. Tensile testing of joints and
materials must be conducted. The
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minimum acceptance criteria must be
adequate for its intended use.
e. Air leakage testing and liquid
leakage testing must be conducted.
f. Testing of the repeated clamping of
the extensions of the catheter that
simulates use over the life of the
catheter must be conducted, and
retested for leakage.
g. Mechanical hemolysis testing must
be conducted.
h. Chemical tolerance of the catheter
to repeated exposure to commonly used
disinfection agents must be established.
3. Performance data must demonstrate
the sterility of the device.
4. Performance data must support the
shelf life of the device for continued
sterility, package integrity, and
functionality over the requested shelf
life that must include tensile, repeated
clamping, and leakage testing.
5. Labeling must bear all information
required for the safe and effective use of
implanted blood access devices for
hemodialysis including the following:
a. Labeling must provide arterial and
venous pressure versus flow rates, either
in tabular or graphical format.
b. Labeling must provide the arterial
and venous priming volumes.
c. Labeling must specify the forward
and reverse recirculation rates.
d. Labeling must specify an expiration
date.
e. Labeling must identify any
disinfecting agents that cannot be used
to clean any components of the device.
f. Any contraindicated disinfecting
agents due to material incompatibility
must be identified by printing a warning
on the catheter. Alternatively a label can
be provided that can be affixed to the
patient’s medical record with this
information.
g. The labeling must contain the
following information: Comprehensive
instructions for the preparation and
insertion of the hemodialysis catheter,
including recommended site of
insertion, method of insertion, a
reference on the proper location for tip
placement, a method for removal of the
catheter, anticoagulation, guidance for
management of obstruction and
thrombus formation, and site care.
h. The labeling must identify any
coatings or additives and summarize the
results of performance testing for any
coating or material with special
characteristics, such as decreased
thrombus formation or antimicrobial
properties.
6. For subcutaneous devices, the
recommended type of needle for access
must be described, stated in the
labeling, and test results on repeated use
of the ports must be provided.
7. Coated devices must include a
description of the coating or additive
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material, duration of effectiveness, how
the coating is applied, and testing to
adequately demonstrate the
performance of the coating.
In addition, implanted blood access
devices are prescription devices
restricted to patient use only upon the
authorization of a practitioner licensed
by law to administer or use the device.
(Proposed § 876.5540(a); § 801.109
(Prescription devices.)). Under 21 CFR
807.81, the device would continue to be
subject to 510(k) notification
requirements. Elsewhere in this issue of
the Federal Register, FDA is
announcing the availability of a draft
guidance document entitled ‘‘Implanted
Blood Access Devices for
Hemodialysis,’’ that, when finalized,
would provide recommendations on
how to comply with the special controls
proposed in this order, if FDA
reclassifies this device (Ref. 16).
IX. Environmental Impact
The Agency has determined under 21
CFR 25.34(b) 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.
X. Paperwork Reduction Act of 1995
This proposed order refers to
currently 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 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.
XI. Codification of Orders
Prior to the amendments by FDASIA,
section 513(e) of the FD&C Act provided
for FDA to issue regulations to reclassify
devices. Although section 513(e) as
amended requires FDA to issue final
orders rather than regulations, FDASIA
also provides for FDA to revoke
previously issued regulations by order.
FDA will continue to codify
classifications and reclassifications in
the Code of Federal Regulations (CFR).
Changes resulting from final orders will
appear in the CFR as changes to codified
classification determinations or as
newly codified orders. Therefore, under
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section 513(e)(1)(A)(i), as amended by
FDASIA, in this proposed order we are
proposing to revoke the requirements in
§ 876.5540(b)(1) related to the
classification of implanted blood access
devices as class III devices and to codify
the reclassification of implanted blood
access devices into class II (special
controls).
XII. Proposed Effective Date
FDA is proposing that any final order
based on this proposed order become
effective on the date of its publication
in the Federal Register or at a later date
if stated in the final order.
XIII. Comments
Comments submitted to the previous
dockets (2012–N–0303) have been
officially noted and do not need to be
resubmitted. FDA will consider
previous docket comments in issuing
any final orders for these devices.
Interested persons may submit either
electronic comments regarding this
document or the associated guidance to
https://www.regulations.gov or written
comments to the Division of Dockets
Management (see ADDRESSES). 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, and
will be posted to the docket at https://
www.regulations.gov.
XIV. References
sroberts on DSK5SPTVN1PROD with PROPOSALS
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, and are available
electronically at https://
www.regulations.gov.
1. Eisenhauer, E.D., R.J. Derveloy, and P.R.
Hastings, ‘‘Prospective Evaluation of
Central Venous Pressure (CVP) Catheters
in a Large City-County Hospital,’’ Annals
of Surgery, vol. 196, pp. 560–564, 1982.
2. Vanholder, V., N. Hoenich, and S. Ringoir,
‘‘Morbidity and Mortality of Central
Venous Catheter Hemodialysis: A
Review of 10 Years’ Experience,’’
Nephron, vol. 47, pp. 274–279, 1987.
3. Almirall, J., J. Gonzalez, J. Rello, et al.,
‘‘Infection of Hemodialysis Catheters:
Incidence and Mechanisms,’’ American
Journal of Nephrology, vol. 9, pp. 454–
459, 1989.
4. Boyle, M.J., W.F. Gawley, D.P. Hickey, et
al., ‘‘Experience Using the Quinton
Permcath for Haemodialysis in the Irish
Republic,’’ Nephrology Dialysis
Transplantation, vol. 12, pp. 1934–1939,
1997.
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5. Randolph, A.G., D.J. Cook, C.A. Gonzales,
et al., ‘‘Ultrasound Guidance for
Placement of Central Venous Catheters:
A Meta-Analysis of the Literature,’’
Critical Care Medicine, vol. 24, pp.
2053–2058, 1996.
6. Arnold, W.P., ‘‘Improvement in
Hemodialysis Vascular Access Outcomes
in a Dedicated Access Center, Seminars
in Dialysis, vol. 13, pp. 359–363, 2000.
7. Wivell, W., M.A. Bettmann, B. Baxter, et
al., ‘‘Outcomes and Performance of the
Tesio Twin Catheter System Placed for
Hemodialysis Access,’’ Radiology, vol.
221, pp. 697–703, 2001.
8. Lund, G.B., S.O. Trerotola, P.F. Scheel, Jr,
et al., ‘‘Outcome of Tunneled
Hemodialysis Catheters Placed by
Radiologists,’’ Radiology, vol. 198, pp.
467–472, 1996.
9. Trerotola, S.O., M.S. Johnson, V.J. Harris,
et al., ‘‘Outcome of Tunneled
Hemodialysis Catheters Placed via the
Right Internal Jugular Vein by
Interventional Radiologists,’’ Radiology,
vol. 203, pp. 489–495, 1997.
10. Prabhu, P.N., S.R. Kerns, F.W. Sabatelli,
et al., ‘‘Long-Term Performance and
Complications of the Tesio Twin
Catheter System for Hemodialysis
Access,’’ American Journal of Kidney
Diseases, vol. 30, pp. 213–218, 1997.
11. Schnabel, K.J., M.E. Simons, G.F.
Zevallos, et al., ‘‘Image-Guided Insertion
of the Uldall Tunneled Hemodialysis
Catheter: Technical Success and Clinical
Follow-Up,’’ Journal of Vascular and
Interventional Radiology, vol. 8, pp.
579–586, 1997.
12. Nassar, G.M. and J.C. Ayus, ‘‘Infectious
Complications of the Hemodialysis
Access,’’ Kidney International, vol. 60,
pp. 1–13, 2001.
13. Power, A., S.K. Singh, D. Ashby, et al.,
‘‘Long-term Tesio Catheter Access for
Hemodialysis Can Deliver High Dialysis
Adequacy With Low Complication
Rates,’’ Journal of Vascular and
Interventional Radiology, vol. 22, pp.
631–637, 2011.
14. Duncan, N.D., S. Singh, T.D. Cairns, et al.,
‘‘Tesio-Caths Provide Effective and Safe
Long-Term Vascular Access,’’
Nephrology Dialysis Transplantation,
vol. 19, pp. 2816–2822, 2004.
15. Eisenstein, I., M. Tarabeih, D. Magen, et
al., ‘‘Low Infection Rates and Prolonged
Survival Times of Hemodialysis
Catheters in Infants and Children,’’
Clinical Journal of the American Society
of Nephrology, vol. 6, pp. 793–798, 2011.
16. Draft guidance entitled ‘‘Implanted Blood
Access Devices for Hemodialysis,’’
available at https://www.fda.gov/Medical
Devices/DeviceRegulationandGuidance/
GuidanceDocuments/default.htm.
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:
PO 00000
Frm 00026
Fmt 4702
Sfmt 4702
38871
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 876.5540 is amended by
revising paragraphs (a)(1), (b)(1), and by
removing paragraph (c) to read as
follows:
■
§ 876.5540 Blood access device and
accessories.
(a) * * *
(1) The implanted blood access device
is a prescription device and consists of
various flexible or rigid tubes, such as
catheters, or cannulae, which are
surgically implanted in appropriate
blood vessels, may come through the
skin, and are intended to remain in the
body for 30 days or more. This generic
type of device includes: Single, double,
and triple lumen catheters with cuffs;
subcutaneous ports with catheters;
shunts; cannula; vessel tips; and
connectors specifically designed to
provide access to blood.
*
*
*
*
*
(b) Classification. (1) Class II (special
controls) for the implanted blood access
device. The special controls for this
device are:
(i) Components of the device that
come into human contact must be
demonstrated to be biocompatible.
Material names and specific designation
numbers must be provided.
(ii) Performance data must
demonstrate that the device performs as
intended under anticipated conditions
of use. The following performance
characteristics must be tested:
(A) Pressure versus flow rates for both
arterial and venous lumens, from the
minimum flow rate to the maximum
flow rate in 100 ml/min increments,
must be established. The fluid and its
viscosity used during testing must be
stated.
(B) Recirculation rates for both
forward and reverse flow configurations
must be established, along with the
protocol used to perform the assay,
which must be provided.
(C) Priming volumes must be
established.
(D) Tensile testing of joints and
materials must be conducted. The
minimum acceptance criteria must be
adequate for its intended use.
(E) Air leakage testing and liquid
leakage testing must be conducted.
(F) Testing of the repeated clamping
of the extensions of the catheter that
simulates use over the life of the
catheter must be conducted, and
retested for leakage.
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Federal Register / Vol. 78, No. 125 / Friday, June 28, 2013 / Proposed Rules
(G) Mechanical hemolysis testing
must be conducted.
(H) Chemical tolerance of the catheter
to repeated exposure to commonly used
disinfection agents must be established.
(iii) Performance data must
demonstrate the sterility of the device.
(iv) Performance data must support
the shelf life of the device for continued
sterility, package integrity, and
functionality over the requested shelf
life that must include tensile, repeated
clamping, and leakage testing.
(v) Labeling must bear all information
required for the safe and effective use of
implanted blood access devices for
hemodialysis including the following:
(A) Labeling must provide arterial and
venous pressure versus flow rates, either
in tabular or graphical format.
(B) Labeling must provide the arterial
and venous priming volumes.
(C) Labeling must specify the forward
and reverse recirculation rates.
(D) Labeling must specify an
expiration date.
(E) Labeling must identify any
disinfecting agents that cannot be used
to clean any components of the device.
(F) Any contraindicated disinfecting
agents due to material incompatibility
must be identified by printing a warning
on the catheter. Alternatively a label can
be provided that can be affixed to the
patient’s medical record with this
information.
(G) The labeling must contain the
following information: Comprehensive
instructions for the preparation and
insertion of the hemodialysis catheter,
including recommended site of
insertion, method of insertion, a
reference on the proper location for tip
placement, a method for removal of the
catheter, anticoagulation, guidance for
management of obstruction and
thrombus formation, and site care.
(H) The labeling must identify any
coatings or additives and summarize the
results of performance testing for any
coating or material with special
characteristics, such as decreased
thrombus formation or antimicrobial
properties.
(vi) For subcutaneous devices, the
recommended type of needle for access
must be described, stated in the
labeling, and test results on repeated use
of the ports must be provided.
(vii) Coated devices must include a
description of the coating or additive
material, duration of effectiveness, how
the coating is applied, and testing to
adequately demonstrate the
performance of the coating.
*
*
*
*
*
VerDate Mar<15>2010
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Dated: June 25, 2013.
Leslie Kux,
Assistant Commissioner for Policy.
[FR Doc. 2013–15504 Filed 6–27–13; 8:45 am]
BILLING CODE 4160–01–P
Therefore, the public hearing scheduled
for July 2, 2013, is cancelled.
Martin V. Franks,
Chief, Publications and Regulations Branch,
Legal Processing Division, Associate Chief
Counsel (Procedure and Administration).
[FR Doc. 2013–15471 Filed 6–27–13; 8:45 am]
DEPARTMENT OF THE TREASURY
BILLING CODE 4830–01–P
Internal Revenue Service
26 CFR Part 301
ENVIRONMENTAL PROTECTION
AGENCY
[REG–160873–04]
40 CFR Part 52
RIN 1545–BF39
[EPA–R10–OAR–2012–0581; A–1–FRL–
9827–7]
American Jobs Creation Act
Modifications to Section 6708, Failure
To Maintain List of Advisees With
Respect to Reportable Transactions;
Hearing Cancellation
Approval and Promulgation of Air
Quality Implementation Plans; Idaho
Amalgamated Sugar Company Nampa
BART Alternative
Internal Revenue Service (IRS),
Treasury.
ACTION: Cancellation of notice of public
hearing on proposed rulemaking.
AGENCY:
This document cancels a
public hearing on proposed regulations
relating to the penalty under section
6708 of the Internal Revenue Code for
failing to make available lists of
advisees with respect to reportable
transactions.
SUMMARY:
The public hearing originally
scheduled for July 2, 2013 at 10 a.m. is
cancelled.
FOR FURTHER INFORMATION CONTACT:
Oluwafunmilayo Taylor of the
Publications and Regulations Branch,
Legal Processing Division, Associate
Chief Counsel (Procedure and
Administration) at (202) 622–7180 (not
a toll-free number).
SUPPLEMENTARY INFORMATION: A notice
of proposed rulemaking and a notice of
public hearing that appeared in the
Federal Register on Friday, March 8,
2013 (78 FR 14939) announced that a
public hearing was scheduled for July 2,
2013, at 10 a.m. in the IRS Auditorium,
Internal Revenue Building, 1111
Constitution Avenue NW., Washington,
DC. The subject of the public hearing is
under section 6708 of the Internal
Revenue Code.
The public comment period for these
regulations expired on June 6, 2013. The
notice of proposed rulemaking and
notice of public hearing instructed those
interested in testifying at the public
hearing to submit a request to speak and
an outline of the topics to be addressed
by June 10, 2013. As of Monday, June
24, 2013, no one has requested to speak.
DATES:
PO 00000
Frm 00027
Fmt 4702
Sfmt 4702
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
The Environmental Protection
Agency (EPA) is proposing to approve a
revised BART determination and an
alternate control measure for The
Amalgamated Sugar Company, LLC.
(TASCO) plant located in Nampa,
Canyon County, Idaho, to meet the
requirements of Best Available Retrofit
Technology (BART) for regional haze.
The EPA previously approved the
State’s BART determination for TASCO
as meeting the requirements for the
regional haze provisions in the Clean
Air Act (CAA) on June 22, 2011. On
June 29, 2012, the State of Idaho
submitted revisions to its Regional Haze
State Implementation Plan that included
a revised BART determination for the
TASCO facility, a revised emission
limitation for particulate matter (PM),
and an alternative control measure for
TASCO to replace the Federally
approved sulfur dioxide (SO2) BART
determination. The EPA proposes to
vacate the previously approved SO2
BART determination for TASCO,
approve the revised BART
determination, the revised emission
limitation, and the alternative control
measure at TASCO.
DATES: Written comments must be
received on or before July 29, 2013.
ADDRESSES: Submit your comments,
identified by Docket ID No. EPA–R10–
OAR–2012–0581, by one of the
following methods:
A. www.regulations.gov. Follow the
on-line instructions for submitting
comments.
B. Mail: Steve Body, EPA, Office of
Air, Waste, and Toxics, AWT–107, 1200
SUMMARY:
E:\FR\FM\28JNP1.SGM
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Agencies
[Federal Register Volume 78, Number 125 (Friday, June 28, 2013)]
[Proposed Rules]
[Pages 38867-38872]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-15504]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Part 876
[Docket No. FDA-2012-N-0303]
Gastroenterology-Urology Devices; Reclassification of Implanted
Blood Access Devices
AGENCY: Food and Drug Administration, HHS.
ACTION: Proposed order.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA) is issuing a proposed
administrative order to reclassify the implanted blood access device
preamendments class III device into class II (special controls) and
subject to premarket notification, and to further clarify the
identification. FDA is proposing this reclassification under the
Federal Food, Drug, and Cosmetic Act (the FD&C Act) based on new
information pertaining to the device. This action implements certain
statutory requirements.
DATES: Submit either electronic or written comments on the proposed
order by July 29, 2013. See section XII for the proposed effective date
of any final order that may publish based on this proposed order.
ADDRESSES: You may submit comments, identified by Docket No. FDA-2012-
N-0303, 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:
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-N-0303 for this order. 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: Rebecca Nipper, Center for Devices and
Radiological Health, Food and Drug Administration, 10903 New Hampshire
Ave., Bldg. 66, Rm. 1540, Silver Spring, MD 20993, 301-796-6527.
SUPPLEMENTARY INFORMATION:
I. Background--Regulatory Authorities
The FD&C Act establishes 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 part 807 (21 CFR Part 807).
On July 9, 2012, the Food and Drug Administration Safety and
Innovation Act (FDASIA) was enacted. Section 608(a) of FDASIA (126
Stat. 1056) amended the device reclassification procedures under
section 513(e) of the FD&C Act, changing the process for reclassifying
a device from rulemaking to an administrative order. Prior to the
enactment of FDASIA, FDA published a proposed rule under section 513(e)
proposing the reclassification of implanted blood access devices for
hemodialysis (77 FR 36951; June 20, 2012). FDA is issuing this proposed
administrative order to comply with the new procedural requirement
created by FDASIA when reclassifying a preamendments class III device.
Also as required by section 513(e) of the FD&C Act, FDA has scheduled a
panel meeting to discuss the proposed reclassification for June 27,
2013 (78 FR 25747; May 2, 2013). The three comments submitted in
response to the proposed rule on implanted blood access devices for
hemodialysis will be considered under this proposed administrative
order and do not need to be resubmitted. No objections to the proposed
reclassification were submitted. This
[[Page 38868]]
action is intended solely to fulfill the procedural requirements for
reclassification implemented by FDASIA. FDA is also issuing the draft
guidance, ``Implanted Blood Access Devices for Hemodialysis,'' which
provides recommendations on how to comply with the special controls
that are necessary to provide a reasonable assurance of the safety and
effectiveness of the device.
Section 513(e) of the FD&C Act provides that FDA may, by
administrative order, reclassify a device 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 Co. v. United States
Dep't of Health, Educ., & 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, 388-391 (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 old or new data, the ``new
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
Association v. FDA, 766 F.2d 592 (D.C. Cir. 1985), cert. denied, 474
U.S. 1062 (1986).)
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 secret and/or
confidential commercial information, e.g., the contents of a pending
premarket approval application (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
the Food and Drug Administration Modernization Act of 1997 (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.
Section 513(e)(1) of the FD&C Act sets forth the process for
issuing a final order. Specifically, prior to the issuance of a final
order reclassifying a device, the following must occur: (1) Publication
of a proposed order in the Federal Register; (2) a meeting of a device
classification panel described in section 513(b) of the FD&C Act; and
(3) consideration of comments from all affected stakeholders, including
patients, payors, and providers. In addition, the proposed order must
set forth the proposed reclassification, and a substantive summary of
the valid scientific evidence concerning the proposed reclassification,
including the public health benefits of the use of the device, and the
nature and incidence (if known) of the risk of the device. (See section
513(e)(1)(A)(i) of the FD&C Act.)
FDAMA added section 510(m) to the FD&C Act. 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
As discussed in the preamble to the proposed rule (46 FR 7616;
January 23, 1981), the Gastroenterology-Urology Devices Panel
recommended that both implanted and nonimplanted blood access devices
be classified into class II. Although FDA agreed with the panel
recommendation for nonimplanted blood access devices, FDA disagreed
with the panel for implanted blood access devices and proposed that
implanted blood access devices be classified into class III because FDA
believed that the device presented a potential unreasonable risk of
illness or injury to the patient. FDA also noted that the implanted
blood access device is part of a life-supporting and life-sustaining
system and that general controls and performance standards were
insufficient to provide reasonable assurance of the safety and
effectiveness of implanted blood access devices.
In 1983, FDA classified implanted blood access devices into class
III, but the accessories to these devices into class II (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
implanted blood access devices (52 FR 17732 at 17738; May 11, 1987).
In 2009, FDA published an order for the submission of information
on implanted blood access devices (74 FR 16214; April 9, 2009). In
response to that order, FDA received information in support of
reclassification from 15 device manufacturers who all recommended that
implanted blood access devices be reclassified to class II. The
manufacturers stated that safety and effectiveness of these devices may
be assured by bench testing, biocompatibility testing, sterility
testing, expiration date testing, labeling, and standards.
On June 20, 2012, FDA published a proposed rule proposing the
reclassification of implanted blood access devices for hemodialysis
from class III to class II (77 FR 36951) and announced the availability
of a draft Special Controls Guidance Document that, when finalized,
would serve as a special control, if FDA reclassified these devices.
FDA believed that the special controls as described in the guidance
document entitled ``Class II Special Controls Guidance Document:
Implanted Blood Access Devices for Hemodialysis'' would be sufficient
to mitigate the risks to health associated with implanted blood access
devices for hemodialysis.
The proposed rule provided for a comment period that was open until
September 18, 2012. FDA received three comments that suggested
modifications to the proposed Special Controls Guidance Document. These
were considered by FDA.
On July 9, 2012, FDASIA was enacted, which amended the device
reclassification procedures under sections 513 and 515 of the FD&C Act
(21 U.S.C. 360c and 360e, respectively), changing the process for
taking final administrative action for these devices. Accordingly, FDA
is issuing a proposed administrative order to comply with the new
procedural requirement created by FDASIA when reclassifying a
preamendments class III device. Further, FDA intends to codify the
proposed special controls within the Sec. 876.5540(b)(1) (21 CFR
876.5540(b)(1)) classification regulation.
III. Device Description
Implanted blood access devices include various flexible or rigid
tubes,
[[Page 38869]]
such as catheters or cannulae. Chronic hemodialysis catheters are soft,
blunt-tipped plastic catheters that have a subcutaneous ``cuff'' for
tissue ingrowth. They are placed in a central vein to allow blood
access. Chronic hemodialysis catheters serve as conduits for the
removal of blood from the patient, delivery to a hemodialysis machine
for filtering, and return of filtered blood to the patient. They have
no moving parts, consisting, essentially, of flexible tubing
terminating in rigid Luer lock connectors for attachment to a dialysis
machine. Subcutaneous catheters are totally implanted below the skin
surface with no external communication. Arteriovenous shunts and vessel
tips are tubing with tapered tips that are inserted into the artery and
vein. The tubing is attached to the roughened or etched outer surface
of the tip. The tubing is external to the skin and can be accessed with
needles.
FDA is proposing in this order to modify the identification
language from how it is presently written in Sec. 876.5540(a)(1) for
additional clarification. FDA is clarifying in the identification that
these are prescription devices and modifying the examples of devices
(e.g., catheter, cannulae) in the identification language to be
consistent with existing legally marketed devices covered by this
classification.
IV. Proposed Reclassification
FDA is proposing that implanted blood access devices for
hemodialysis be reclassified from class III to class II. In this
proposed order, the Agency has identified special controls under
section 513(a)(1)(B) of the FD&C Act that, together with general
controls (including prescription-use restrictions) applicable to the
devices, would provide reasonable assurance of their safety and
effectiveness. Absent the special controls identified in this proposed
order, general controls applicable to the device are insufficient to
provide reasonable assurance of the safety and effectiveness of the
device. FDA believes that this new information is sufficient to
demonstrate that the proposed special controls can effectively mitigate
the risks to health identified in the next section, and that these
special controls, together with general controls, will provide a
reasonable assurance of safety and effectiveness for implanted blood
access devices.
FDA believes that these devices can be utilized to provide access
to a patient's blood for hemodialysis or other chronic uses for 30 days
or more. When used in hemodialysis, the device is part of an artificial
kidney system for the treatment of patients with renal failure or
toxemic conditions and provides access to a patient's blood for
hemodialysis.
FDA has considered implanted blood access devices in accordance
with the reserved criteria set forth in section 510(l) and decided that
the device requires premarket notification (510(k) of the FD&C Act).
Therefore, the Agency does not intend to exempt this proposed class II
device from premarket notification (510(k)) submission as provided
under section 510(m) of the FD&C Act.
V. Risks to Health
After considering available information for the classification of
these devices, FDA has evaluated the risks to health associated with
the use of implanted blood access devices for hemodialysis and
determined the following risks to health are associated with its use:
Thrombosis in patient and catheter occlusion, or central
venous stenosis. Inadequate blood compatibility of the materials used
in this device, blood pooling between dialysis sessions, or turbulent
blood pathways could lead to potentially debilitating or fatal
thromboembolism.
Adverse tissue reaction. Inadequate tissue compatibility
of the materials used in this device could cause an immune reaction.
Infection and pyrogen reactions. An improperly sterilized
device could cause a skin or bloodstream infection.
Device failure. Weakness of connections or materials could
lead to blood loss or device fragment embolization.
Cardiac arrhythmia, hemorrhage, embolism, nerve injury, or
vessel perforation. Improper placement into the heart or blood vessel
could damage tissues and result in injuries.
Hemolysis. Turbulence or high pressure created by narrow
openings or changes in blood flow paths could cause the destruction of
red blood cells.
Accidental withdrawal or catheter migration. A catheter's
cuff may not allow adequate ingrowth from the surrounding subcutaneous
tissue, which could cause the device to dislodge or fall out with
subsequent blood loss.
VI. Summary of Reasons for Reclassification
FDA believes that implanted blood access devices for hemodialysis
should be reclassified from class III to 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, and because general controls themselves are insufficient to
provide reasonable assurance of its safety and effectiveness. In
addition, there is now sufficient information to establish special
controls to provide such assurance.
While current clinical practice guidelines recommend avoiding
implanted blood access devices, such as catheters, if possible, they
are still a necessary treatment option, and are used in a significant
number of hemodialysis patients. While the risks are frequently cited,
there are many advantages of implanted blood access devices, which lead
to their relatively frequent use, as described previously. In many
cases, vascular access for hemodialysis is needed urgently, and the
alternatives, such as the arteriovenous fistula or the arteriovenous
graft require weeks and months, respectively, before they can be used.
Implanted blood access devices are frequently used as the immediate
hemodialysis vascular access and also as a bridge to a more permanent
vascular access. Additionally, some patients may have inadequate
vascular anatomy to establish a more permanent vascular access and may
require continued implanted blood access device use.
VII. Summary of Data Upon Which the Reclassification Is Based
FDA believes that the identified special controls, in addition to
general controls, are necessary to provide reasonable assurance of
safety and effectiveness of these devices. Therefore, in accordance
with sections 513(e) and 515(i) of the FD&C Act and Sec. 860.130,
based on new information with respect to the device and taking into
account the public health benefit of the use of the device and the
nature and known incidence of the risk of the device, FDA, on its own
initiative, is proposing to reclassify this preamendments class III
device into class II. The Agency has identified special controls that
would provide reasonable assurance of their safety and effectiveness.
Implanted blood access devices for hemodialysis are prescription
devices restricted to patient use only upon the authorization of a
practitioner licensed by law to administer or use the device (proposed
Sec. 876.5540(a); Sec. 801.109 (21 CFR 801.109) (Prescription
devices.)).
Since 1983 when FDA classified implanted blood access devices into
class III, sufficient evidence has been developed to support a
reclassification to class II with special controls. FDA has been
reviewing these devices for many years and their risks are well
[[Page 38870]]
known. The risks to health are identified in section V, and FDA
believes these risks can be adequately mitigated by special controls.
Catheters continue to evolve over time with improved materials and
insertion techniques to mitigate the risks. A review of 15 publications
shows a decrease in infections and an increase in patency over three
decades (1980 to 2011) (Refs. 1 to 15). The decrease in occurrence of
serious adverse events as evidenced through FDA's Manufacturer and User
Facility Device Experience (MAUDE) database, the valid scientific
evidence to support implanted blood access devices for hemodialysis
provided in the referenced publications, and FDA's review experience
with these devices, supports FDA's conclusion that the identified
special controls, including performance testing demonstrating that the
device performs as intended under anticipated conditions of use, is
appropriately designed, and includes adequate safeguards and labeling
to inform users of inappropriate use conditions, in addition to general
controls, provide reasonable assurance of the safety and effectiveness
of implanted blood access devices.
VIII. Proposed Special Controls
FDA believes that the following special controls, together with
general controls (including applicable prescription-use restrictions
and continuing 510(k) notification requirements), are sufficient to
mitigate the risks to health described in section V for implanted blood
access devices:
1. Components of the device that come into human contact must be
demonstrated to be biocompatible. Material names and specific
designation numbers must be provided.
2. Performance data must demonstrate that the device performs as
intended under anticipated conditions of use. The following performance
characteristics must be tested:
a. Pressure versus flow rates for both arterial and venous lumens,
from the minimum flow rate to the maximum flow rate in 100 ml/min
increments, must be established. The fluid and its viscosity used
during testing must be stated.
b. Recirculation rates for both forward and reverse flow
configurations must be established, along with the protocol used to
perform the assay, which must be provided.
c. Priming volumes must be established.
d. Tensile testing of joints and materials must be conducted. The
minimum acceptance criteria must be adequate for its intended use.
e. Air leakage testing and liquid leakage testing must be
conducted.
f. Testing of the repeated clamping of the extensions of the
catheter that simulates use over the life of the catheter must be
conducted, and retested for leakage.
g. Mechanical hemolysis testing must be conducted.
h. Chemical tolerance of the catheter to repeated exposure to
commonly used disinfection agents must be established.
3. Performance data must demonstrate the sterility of the device.
4. Performance data must support the shelf life of the device for
continued sterility, package integrity, and functionality over the
requested shelf life that must include tensile, repeated clamping, and
leakage testing.
5. Labeling must bear all information required for the safe and
effective use of implanted blood access devices for hemodialysis
including the following:
a. Labeling must provide arterial and venous pressure versus flow
rates, either in tabular or graphical format.
b. Labeling must provide the arterial and venous priming volumes.
c. Labeling must specify the forward and reverse recirculation
rates.
d. Labeling must specify an expiration date.
e. Labeling must identify any disinfecting agents that cannot be
used to clean any components of the device.
f. Any contraindicated disinfecting agents due to material
incompatibility must be identified by printing a warning on the
catheter. Alternatively a label can be provided that can be affixed to
the patient's medical record with this information.
g. The labeling must contain the following information:
Comprehensive instructions for the preparation and insertion of the
hemodialysis catheter, including recommended site of insertion, method
of insertion, a reference on the proper location for tip placement, a
method for removal of the catheter, anticoagulation, guidance for
management of obstruction and thrombus formation, and site care.
h. The labeling must identify any coatings or additives and
summarize the results of performance testing for any coating or
material with special characteristics, such as decreased thrombus
formation or antimicrobial properties.
6. For subcutaneous devices, the recommended type of needle for
access must be described, stated in the labeling, and test results on
repeated use of the ports must be provided.
7. Coated devices must include a description of the coating or
additive material, duration of effectiveness, how the coating is
applied, and testing to adequately demonstrate the performance of the
coating.
In addition, implanted blood access devices are prescription
devices restricted to patient use only upon the authorization of a
practitioner licensed by law to administer or use the device. (Proposed
Sec. 876.5540(a); Sec. 801.109 (Prescription devices.)). Under 21 CFR
807.81, the device would continue to be subject to 510(k) notification
requirements. Elsewhere in this issue of the Federal Register, FDA is
announcing the availability of a draft guidance document entitled
``Implanted Blood Access Devices for Hemodialysis,'' that, when
finalized, would provide recommendations on how to comply with the
special controls proposed in this order, if FDA reclassifies this
device (Ref. 16).
IX. Environmental Impact
The Agency has determined under 21 CFR 25.34(b) 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.
X. Paperwork Reduction Act of 1995
This proposed order refers to currently 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 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.
XI. Codification of Orders
Prior to the amendments by FDASIA, section 513(e) of the FD&C Act
provided for FDA to issue regulations to reclassify devices. Although
section 513(e) as amended requires FDA to issue final orders rather
than regulations, FDASIA also provides for FDA to revoke previously
issued regulations by order. FDA will continue to codify
classifications and reclassifications in the Code of Federal
Regulations (CFR). Changes resulting from final orders will appear in
the CFR as changes to codified classification determinations or as
newly codified orders. Therefore, under
[[Page 38871]]
section 513(e)(1)(A)(i), as amended by FDASIA, in this proposed order
we are proposing to revoke the requirements in Sec. 876.5540(b)(1)
related to the classification of implanted blood access devices as
class III devices and to codify the reclassification of implanted blood
access devices into class II (special controls).
XII. Proposed Effective Date
FDA is proposing that any final order based on this proposed order
become effective on the date of its publication in the Federal Register
or at a later date if stated in the final order.
XIII. Comments
Comments submitted to the previous dockets (2012-N-0303) have been
officially noted and do not need to be resubmitted. FDA will consider
previous docket comments in issuing any final orders for these devices.
Interested persons may submit either electronic comments regarding this
document or the associated guidance to https://www.regulations.gov or
written comments to the Division of Dockets Management (see ADDRESSES).
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, and will
be posted to the docket at https://www.regulations.gov.
XIV. 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,
and are available electronically at https://www.regulations.gov.
1. Eisenhauer, E.D., R.J. Derveloy, and P.R. Hastings, ``Prospective
Evaluation of Central Venous Pressure (CVP) Catheters in a Large
City-County Hospital,'' Annals of Surgery, vol. 196, pp. 560-564,
1982.
2. Vanholder, V., N. Hoenich, and S. Ringoir, ``Morbidity and
Mortality of Central Venous Catheter Hemodialysis: A Review of 10
Years' Experience,'' Nephron, vol. 47, pp. 274-279, 1987.
3. Almirall, J., J. Gonzalez, J. Rello, et al., ``Infection of
Hemodialysis Catheters: Incidence and Mechanisms,'' American Journal
of Nephrology, vol. 9, pp. 454-459, 1989.
4. Boyle, M.J., W.F. Gawley, D.P. Hickey, et al., ``Experience Using
the Quinton Permcath for Haemodialysis in the Irish Republic,''
Nephrology Dialysis Transplantation, vol. 12, pp. 1934-1939, 1997.
5. Randolph, A.G., D.J. Cook, C.A. Gonzales, et al., ``Ultrasound
Guidance for Placement of Central Venous Catheters: A Meta-Analysis
of the Literature,'' Critical Care Medicine, vol. 24, pp. 2053-2058,
1996.
6. Arnold, W.P., ``Improvement in Hemodialysis Vascular Access
Outcomes in a Dedicated Access Center, Seminars in Dialysis, vol.
13, pp. 359-363, 2000.
7. Wivell, W., M.A. Bettmann, B. Baxter, et al., ``Outcomes and
Performance of the Tesio Twin Catheter System Placed for
Hemodialysis Access,'' Radiology, vol. 221, pp. 697-703, 2001.
8. Lund, G.B., S.O. Trerotola, P.F. Scheel, Jr, et al., ``Outcome of
Tunneled Hemodialysis Catheters Placed by Radiologists,'' Radiology,
vol. 198, pp. 467-472, 1996.
9. Trerotola, S.O., M.S. Johnson, V.J. Harris, et al., ``Outcome of
Tunneled Hemodialysis Catheters Placed via the Right Internal
Jugular Vein by Interventional Radiologists,'' Radiology, vol. 203,
pp. 489-495, 1997.
10. Prabhu, P.N., S.R. Kerns, F.W. Sabatelli, et al., ``Long-Term
Performance and Complications of the Tesio Twin Catheter System for
Hemodialysis Access,'' American Journal of Kidney Diseases, vol. 30,
pp. 213-218, 1997.
11. Schnabel, K.J., M.E. Simons, G.F. Zevallos, et al., ``Image-
Guided Insertion of the Uldall Tunneled Hemodialysis Catheter:
Technical Success and Clinical Follow-Up,'' Journal of Vascular and
Interventional Radiology, vol. 8, pp. 579-586, 1997.
12. Nassar, G.M. and J.C. Ayus, ``Infectious Complications of the
Hemodialysis Access,'' Kidney International, vol. 60, pp. 1-13,
2001.
13. Power, A., S.K. Singh, D. Ashby, et al., ``Long-term Tesio
Catheter Access for Hemodialysis Can Deliver High Dialysis Adequacy
With Low Complication Rates,'' Journal of Vascular and
Interventional Radiology, vol. 22, pp. 631-637, 2011.
14. Duncan, N.D., S. Singh, T.D. Cairns, et al., ``Tesio-Caths
Provide Effective and Safe Long-Term Vascular Access,'' Nephrology
Dialysis Transplantation, vol. 19, pp. 2816-2822, 2004.
15. Eisenstein, I., M. Tarabeih, D. Magen, et al., ``Low Infection
Rates and Prolonged Survival Times of Hemodialysis Catheters in
Infants and Children,'' Clinical Journal of the American Society of
Nephrology, vol. 6, pp. 793-798, 2011.
16. Draft guidance entitled ``Implanted Blood Access Devices for
Hemodialysis,'' available at https://www.fda.gov/MedicalDevices/DeviceRegulationandGuidance/GuidanceDocuments/default.htm.
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
0
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.
0
2. Section 876.5540 is amended by revising paragraphs (a)(1), (b)(1),
and by removing paragraph (c) to read as follows:
Sec. 876.5540 Blood access device and accessories.
(a) * * *
(1) The implanted blood access device is a prescription device and
consists of various flexible or rigid tubes, such as catheters, or
cannulae, which are surgically implanted in appropriate blood vessels,
may come through the skin, and are intended to remain in the body for
30 days or more. This generic type of device includes: Single, double,
and triple lumen catheters with cuffs; subcutaneous ports with
catheters; shunts; cannula; vessel tips; and connectors specifically
designed to provide access to blood.
* * * * *
(b) Classification. (1) Class II (special controls) for the
implanted blood access device. The special controls for this device
are:
(i) Components of the device that come into human contact must be
demonstrated to be biocompatible. Material names and specific
designation numbers must be provided.
(ii) Performance data must demonstrate that the device performs as
intended under anticipated conditions of use. The following performance
characteristics must be tested:
(A) Pressure versus flow rates for both arterial and venous lumens,
from the minimum flow rate to the maximum flow rate in 100 ml/min
increments, must be established. The fluid and its viscosity used
during testing must be stated.
(B) Recirculation rates for both forward and reverse flow
configurations must be established, along with the protocol used to
perform the assay, which must be provided.
(C) Priming volumes must be established.
(D) Tensile testing of joints and materials must be conducted. The
minimum acceptance criteria must be adequate for its intended use.
(E) Air leakage testing and liquid leakage testing must be
conducted.
(F) Testing of the repeated clamping of the extensions of the
catheter that simulates use over the life of the catheter must be
conducted, and retested for leakage.
[[Page 38872]]
(G) Mechanical hemolysis testing must be conducted.
(H) Chemical tolerance of the catheter to repeated exposure to
commonly used disinfection agents must be established.
(iii) Performance data must demonstrate the sterility of the
device.
(iv) Performance data must support the shelf life of the device for
continued sterility, package integrity, and functionality over the
requested shelf life that must include tensile, repeated clamping, and
leakage testing.
(v) Labeling must bear all information required for the safe and
effective use of implanted blood access devices for hemodialysis
including the following:
(A) Labeling must provide arterial and venous pressure versus flow
rates, either in tabular or graphical format.
(B) Labeling must provide the arterial and venous priming volumes.
(C) Labeling must specify the forward and reverse recirculation
rates.
(D) Labeling must specify an expiration date.
(E) Labeling must identify any disinfecting agents that cannot be
used to clean any components of the device.
(F) Any contraindicated disinfecting agents due to material
incompatibility must be identified by printing a warning on the
catheter. Alternatively a label can be provided that can be affixed to
the patient's medical record with this information.
(G) The labeling must contain the following information:
Comprehensive instructions for the preparation and insertion of the
hemodialysis catheter, including recommended site of insertion, method
of insertion, a reference on the proper location for tip placement, a
method for removal of the catheter, anticoagulation, guidance for
management of obstruction and thrombus formation, and site care.
(H) The labeling must identify any coatings or additives and
summarize the results of performance testing for any coating or
material with special characteristics, such as decreased thrombus
formation or antimicrobial properties.
(vi) For subcutaneous devices, the recommended type of needle for
access must be described, stated in the labeling, and test results on
repeated use of the ports must be provided.
(vii) Coated devices must include a description of the coating or
additive material, duration of effectiveness, how the coating is
applied, and testing to adequately demonstrate the performance of the
coating.
* * * * *
Dated: June 25, 2013.
Leslie Kux,
Assistant Commissioner for Policy.
[FR Doc. 2013-15504 Filed 6-27-13; 8:45 am]
BILLING CODE 4160-01-P