Food Labeling: Nutrient Content Claims; Alpha-Linolenic Acid, Eicosapentaenoic Acid, and Docosahexaenoic Acid Omega-3 Fatty Acids, 23262-23273 [2014-09492]
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Federal Register / Vol. 79, No. 81 / Monday, April 28, 2014 / Rules and Regulations
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[FR Doc. 2014–08849 Filed 4–25–14; 8:45 am]
BILLING CODE 4910–13–P
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Part 101
[Docket Nos. FDA–2007–0601, FDA–2004–
N–0382, FDA–2005–P–0371, and FDA–2006–
P–0224 (formerly Docket Nos. 2004N–0217,
2005P–0189, and 2006P–0137, respectively)]
RIN 0910–ZA28
Food Labeling: Nutrient Content
Claims; Alpha-Linolenic Acid,
Eicosapentaenoic Acid, and
Docosahexaenoic Acid Omega-3 Fatty
Acids
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Final rule.
The Food and Drug
Administration (FDA, the Agency, or
we) is issuing this rule to prohibit
certain nutrient content claims for
foods, including conventional foods and
dietary supplements, that contain
omega-3 fatty acids, based on our
determination that such nutrient
content claims do not meet the
requirements of the Federal Food, Drug,
and Cosmetic Act (the FD&C Act). We
are taking this action in response to
three notifications submitted to us. One
notification concerning nutrient content
claims for alpha-linolenic acid (ALA),
docosahexaenoic acid (DHA), and
eicosapentaenoic acid (EPA) was
submitted collectively by Alaska
SUMMARY:
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General Seafoods, Ocean Beauty
Seafoods, Inc., and Trans-Ocean
Products, Inc. (the seafood processors
notification); a second notification
concerning nutrient content claims for
ALA, DHA, and EPA was submitted by
Martek Biosciences Corp. (the Martek
notification); and a third notification
concerning nutrient content claims for
DHA and EPA was submitted by Ocean
Nutrition Canada, Ltd. (the Ocean
Nutrition notification). The final rule
prohibits the nutrient content claims for
DHA and EPA set forth in the three
notifications and the nutrient content
claims for ALA set forth in the seafood
processors notification. FDA is taking
no regulatory action at this time with
respect to the nutrient content claims
for ALA set forth in the Martek
notification and, therefore, these claims
will be allowed to remain on the market.
DATES: This rule is effective January 1,
2016.
FOR FURTHER INFORMATION CONTACT:
Vincent de Jesus, Center for Food Safety
and Applied Nutrition (HFS–830), Food
and Drug Administration, 5100 Paint
Branch Pkwy., College Park, MD 20740,
240–402–1774.
SUPPLEMENTARY INFORMATION:
I. Background
The Food and Drug Administration
Modernization Act of 1997 (FDAMA)
(Pub. L. 105–115) amended the FD&C
Act to provide, among other things, for
the filing of notifications as an
alternative to the petition process for
nutrient content claims set forth in
section 403(r)(4) of the FD&C Act (21
U.S.C. 343(r)(4)). ‘‘Nutrient content
claims’’ are labeling claims that
characterize the level of a nutrient in a
food. (See section 403(r)(1)(A) of the
FD&C Act.) We have stated that the
Nutrition Labeling and Education Act of
1990 (Pub. L. 101–535), which created
section 403(r)(1)(A) of the FD&C Act,
has three basic objectives: (1) To make
available nutrition information that can
assist consumers in selecting foods that
can lead to healthier diets, (2) to
eliminate consumer confusion by
establishing definitions for nutrient
content claims that are consistent with
the terms defined by the Secretary of
Health and Human Services (the
Secretary), and (3) to encourage product
innovation through the development
and marketing of nutritionally improved
foods (58 FR 2302, January 6, 1993).
Under the notification process that
FDAMA established in section
403(r)(2)(G) of the FD&C Act, a nutrient
content claim is based on an
authoritative statement published either
by a scientific body of the U.S.
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Government that has official
responsibility for public health
protection or research directly relating
to human nutrition, or by the National
Academy of Sciences (NAS) or any of its
subdivisions.
Section 403(r)(2)(G) of the FD&C Act
requires that a notification for a
prospective nutrient content claim be
submitted to FDA at least 120 days
before a food bearing the claim may be
introduced into interstate commerce.
The notification must contain specific
information including: (1) The exact
wording of the prospective nutrient
content claim, (2) a concise description
of the basis upon which the notifier
relied for determining that the
requirements for an authoritative
statement in section 403(r)(2)(G)(i) of
the FD&C Act have been satisfied, (3) a
copy of the authoritative statement that
serves as the basis for the claim, and (4)
a balanced representation of the
scientific literature relating to the
nutrient level for the claim. The claim
must be an accurate representation of
the authoritative statement and must be
stated in a manner that enables the
public to comprehend the information
provided by the claim and to
understand the relative significance of
such information in the context of the
total daily diet. Furthermore, the
authoritative statement that is the basis
for the nutrient content claim must be
currently in effect and identify the
nutrient level to which the claim refers.
In the Federal Register of November
27, 2007 (72 FR 66103), we published a
proposed rule that would prohibit all of
the nutrient content claims for the
omega-3 fatty acids DHA and EPA set
forth in: (1) The seafood processors
notification submitted on January 16,
2004, (2) the Martek notification
submitted on January 21, 2005, and (3)
the Ocean Nutrition notification
submitted on December 9, 2005. The
seafood processors notification set forth
‘‘high’’ 1 nutrient content claims for both
DHA and EPA,2 whereas the Martek
1 Nutrient content claims are defined in § 101.54
(21 CFR 101.54). ‘‘High’’ is defined as 20 percent
or more of the Reference Daily Intake (RDI) or the
Daily Reference Value (DRV) per reference amount
customarily consumed (RACC) (§ 101.54(b)). ‘‘Good
source’’ is defined as 10 to19 percent of the RDI or
DRV per RACC (§ 101.54(c)). ‘‘More’’ is defined as
10 percent or more of the RDI or DRV per RACC
than an appropriate reference food (§ 101.54(e)).
Synonyms for each of these terms are also set forth
in the regulations; for example, the terms ‘‘rich in’’
and ‘‘excellent source of’’ are considered to be
equivalent to the term ‘‘high’’ (§ 101.54(b)).
2 The seafood processors notification specified
that one of the following two statements would
accompany these claims:
‘‘Contains l mg of [DHA/EPA] per serving,
which is l % of the Daily Value for [DHA/EPA]
(130 mg).’’
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notification set forth a ‘‘high’’ nutrient
content claim only for DHA 3 and the
Ocean Nutrition notification set forth a
‘‘high’’ nutrient content claim for DHA
and EPA combined.4 The proposed rule
would take this action because the
nutrient content claims for DHA and
EPA set forth in the three notifications
are not based on an authoritative
statement that identifies a nutrient level
to which the claims refer, as required by
the FD&C Act.
The proposed rule also would
prohibit the nutrient content claims for
ALA set forth in the seafood processors
notification 5 because the claims were
based on a reference value that was
determined by a different approach than
reference values already established for
other nutrients (i.e., Daily Values (DVs)).
In the report entitled ‘‘Dietary Reference
Intakes for Energy, Carbohydrate, Fiber,
Fat, Fatty Acids, Cholesterol, Protein,
and Amino Acids’’ from the Institute of
Medicine (IOM) of the NAS (‘‘the IOM
report’’) (Ref. 1), the IOM identified
several age-gender group specific
adequate intake levels (AIs) for ALA,
including 1.6 grams per day (g/day) for
males 14 and more years of age and 1.1
g/day for females 14 and more years of
age. (See also 72 FR 66103 at 66106.)
The seafood processors calculated a
population-weighted AI to use as the
reference value for their claims. This
approach differs from our approach,
under which reference values are set by
‘‘Contains l % of the Daily Value for [DHA/EPA]
per serving. The Daily Value for [DHA/EPA] is 130
mg.’’ As indicated in the notification, use of [DHA/
EPA] is intended to mean that either EPA or DHA
can be used as the subject of the claim.
3 The Martek notification proposed the following
exact wording for these claims: ‘‘ ‘Excellent source
of DHA.’ (‘High in DHA,’ ‘Rich in DHA’) Contains
l mg of DHA per serving, which is l % of the
160 mg Daily Value for DHA.’’ [Products would
need to contain at least 32 mg of DHA per RACC
to qualify for the claim.]
4 The Ocean Nutrition notification proposed the
following exact words for these claims: ‘‘ ‘Excellent
source of Omega-3 EPA and DHA.’ (‘High in Omega3 EPA and DHA;’ ‘Rich in Omega-3 EPA and DHA’).
Contains l mg of EPA and DHA combined per
serving, which is l % of the 160 mg Daily Value
for a combination of EPA and DHA.’’ FDA notes
that this claim language was incorrectly written in
the proposed rule, where it was written as
‘‘ ‘Excellent source of Omega-3 EPA and DHA.’
(‘High in Omega-3 EPA and DHA;’ ‘Rich in Omega3 EPA and DHA’). Contains l mg of EPA and DHA
combined per serving, which is l % of the 160 mg
EPA and DHA combined per serving, which is l
% of the 160 mg Daily Value for a combination of
EPA and DHA.’’
5 The seafood processors notification proposed
‘‘high,’’ ‘‘good source,’’ and ‘‘more’’ claims for ALA.
The notification specified that one of the following
two statements would accompany ‘‘high’’ and
‘‘good source’’ claims for ALA:
‘‘Contains l mg of ALA per serving, which is l
% of the Daily Value for ALA (1.3 g).’’
‘‘Contains l % of the Daily Value for ALA per
serving. The Daily Value for ALA is 1.3 g.’’
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using the population-coverage
approach. (See 58 FR 2206 at 2210
through 2211, January 6, 1993.) Under a
‘‘population-coverage approach,’’ we
would use the highest Recommended
Daily Allowance (RDA) or AI for adults
and children 4 or more years of age
(excluding values for pregnant and
lactating women) to serve as the label
reference value. (See, e.g., 72 FR 62149
at 62150, November 2, 2007.) In
contrast, the seafood processors
calculated a population-weighted
reference value—they looked at the
various AIs that the IOM identified for
different age and gender groups
(excluding children under 4 years of age
and pregnant and lactating women) and
averaged out all of those numbers,
taking into account the predominance of
the various groups within the
population, to arrive at their label
reference value. The difference, in brief,
is that we essentially take the highest
number to use as the label reference
value, while the seafood processors
would take an average of the various
numbers to use as their reference value.
In the proposed rule, we tentatively
determined that the seafood processors
notification’s use of a different
methodology to set the reference values
does not enable the public to
comprehend the information provided
in the ALA claim and to understand the
relevant significance of such
information in the context of the daily
diet. We indicated that we would not
take regulatory action at this time on the
ALA claims set forth in the Martek
notification,6 which used a populationcoverage approach that is consistent
with the approach that FDA has used in
determining DVs to date (see 58 FR 2206
at 2211). We expressed no conclusions
as to whether the ALA claims in the
Martek notification are supported by an
authoritative statement that satisfies the
6 The Martek notification proposed ‘‘high,’’ ‘‘good
source,’’ and ‘‘more’’ claims for ALA. The
notification proposed the following exact words for
these claims:
‘‘ ‘Excellent source of ALA.’ (‘High in ALA,’ ‘Rich
in ALA’) Contains l mg of ALA per serving, which
is l % of the 1.6 g Daily Value for ALA.’’ [Products
would need to contain at least 320 mg of ALA per
RACC to qualify for the claim.]
‘‘ ‘Good source of ALA.’ (‘Contains ALA,’
‘Provides ALA’) Contains l mg of ALA per serving,
which is l % of the 1.6 g Daily Value for ALA’’
[Products would need to contain at least 160 mg of
ALA per RACC to qualify for the claim.]
‘‘ ‘More ALA.’ (‘Fortified with ALA,’ ‘Enriched
with ALA,’ ‘Added ALA,’ ‘Extra ALA,’ ‘Plus ALA’)
Contains l % more of the Daily Value for ALA per
serving than [reference food]. This product contains
l mg of ALA which is l % of the Daily Value for
ALA (1.6 g).’’ [Products would need to contain at
least 160 mg or more ALA per RACC than an
appropriate reference food and would comply with
the requirements for relative claims found at 21
CFR 101.13(j).]
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requirements of section 403(r)(2)(G) of
the FD&C Act. Because the proposed
rule would neither prohibit nor modify
the nutrient content claims for ALA set
forth in the Martek notification, we
indicated that we would allow these
claims to remain on the market at this
time (see 72 FR 66103 at 66104).
II. Summary of Comments and
Agency’s Responses
We invited comments on the
proposed rule. The comment period
closed on February 11, 2008. We
received 19 comments, each containing
one or more issues. The comments were
from manufacturers, trade associations,
and health-related organizations. One
comment raised issues that were outside
the scope of this rulemaking, and we
will not discuss it in this document. We
discuss the remaining comments and
our responses in part II. For ease of
reading, we preface each comment
discussion with a numbered
‘‘Comment,’’ and each response by a
corresponding numbered ‘‘Response.’’
We have numbered each comment to
help distinguish among different topics.
The number assigned is for
organizational purposes only and does
not signify the comment’s value,
importance, or the order in which it was
received.
(Comment 1) Several comments stated
that the nutrient content claims for DHA
and EPA should be permitted because
the statements from the IOM report that
were used as the basis for these claims
are authoritative statements that identify
a nutrient level, as required by the
statute. Specifically, the comments
pointed to the following statements
from the IOM report:
• [EPA] and [DHA] contribute
approximately 10 percent of the total n–
3 fatty acid intake and therefore this
percent contributes toward the AI for
[ALA].
• Small amounts of EPA and DHA
can contribute towards reversing an n–
3 fatty acid deficiency . . . and can
therefore contribute toward the AI for
[ALA]. EPA and DHA contribute
approximately 10 percent of the total n–
3 fatty acid intake and therefore this
percent contributes toward the AI for
[ALA].
• The AMDR [Acceptable
Macronutrient Distribution Range] for
[ALA] is set at 0.6 to 1.2 percent of
energy. Ten percent of this range can be
consumed as [EPA] and/or [DHA].
• Approximately 10 percent of the
AMDR for n-3 fatty acids ([ALA]) can be
consumed as EPA and/or DHA (0.06 to
0.12 percent of energy).
The comments asserted that these
statements permit a calculation of a
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value for DHA and EPA that can be
considered a ‘‘nutrient level.’’ The
comments further asserted that our
position regarding the term ‘‘nutrient
level’’ goes beyond what the statute
requires and is unduly restrictive. These
comments characterized our position as
interpreting the term ‘‘nutrient level’’ to
refer to reference values that are similar
in type to Dietary Reference Intakes
(DRI) or other types of defined intake
levels that serve as reference values for
the basis of nutrient content claims.
Based on these contentions, the
comments asserted that the proposed
rule was contrary to Congressional
intent in that we are imposing standards
of traditional rulemaking on a process
that Congress intended to be an
expedited process of information
dissemination. If Congress had intended
otherwise, at least one comment stated,
it could have explicitly indicated that a
specific type of reference value be
required; however, Congress did not do
so.
(Response) We disagree. We consider
the term ‘‘nutrient level’’ as used in
section 403(r)(2)(G)(i) of the FD&C Act,
to mean a reference value that is similar
to a label reference value for use in
nutrition labeling, i.e., that reflects a
recommended or defined intake level
that could serve as a basis for setting a
DV that could be used to characterize a
given level of a nutrient (here, DHA or
EPA) for purposes of nutrition labeling.
To date, our regulations have
established two types of DVs: RDIs and
DRVs (72 FR 66103 at 66104 through
66105). However, contrary to what some
comments suggest, the proposed rule
would not have the statutory term
‘‘nutrient level’’ refer only to RDIs and
DRVs. Instead, we proposed that the
term refers to values that could serve as
a basis for setting a DV, in that they
could be used to characterize a given
level of a nutrient for the purposes of
nutrition labeling (72 FR 66103 at
66109). DVs are intended to help
consumers understand the relative
significance of information about the
amount of certain nutrients in a food in
the context of a total daily diet and to
help consumers compare the nutritional
values of food products. Permitting
nutrient content claims on the basis of
statements that do not identify the
nutrient level to which the claims refer
results in inconsistent and conflicting
claims that can confuse consumers.
Congress required that an authoritative
statement identify the ‘‘nutrient level to
which the claim refers’’ (section
403(r)(2)(G) of the FD&C Act) to help
ensure consistency among different
products from different manufacturers.
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Our use of ‘‘nutrient level’’ to mean a
reference value that reflects a
recommended or defined intake level
that could serve as a basis for setting a
DV is in keeping with the plain meaning
of the word ‘‘level,’’ both alone and in
the statutory context in which the term
is used. The Oxford English Dictionary
defines ‘‘level’’ in relevant part as, ‘‘A
position (on a real or imaginary scale) in
respect of amount, intensity, extent, or
the like; the relative amount or intensity
of any property, attribute, or activity.
Freq. preceded by a sb. denoting the
property, etc., referred to, as danger,
energy, noise level.’’ (See Level
Definition, The Oxford English
Dictionary (Second Edition 1998)
(emphasis in the original).) Section
403(r)(2)(G) of the FD&C Act states, in
relevant part: ‘‘A claim of the type
described in subparagraph (1)(A) for a
nutrient . . . shall be authorized and
may be made with respect to a food if
. . . a scientific body . . . has
published an authoritative statement
. . . which identifies the nutrient level
to which the claim refers.’’ The word
‘‘level’’ is preceded by the word
‘‘nutrient’’ to denote the property
referred to. The nutrient level serves to
identify ‘‘[a] position . . . in respect of
amount,’’ in the words of the dictionary
definition; in other words, the
authoritative statement must identify a
specific amount of the nutrient in
question. This nutrient level is the thing
‘‘to which the claim refers,’’ and our use
of the ‘‘nutrient level’’ as a reference
value is consistent with the plain
meaning. The statutory phrase ‘‘the
nutrient level’’ indicates that a single,
precise nutrient level must be identified
by the authoritative statement.
Moreover, the meaning of the phrase
‘‘nutrient level’’ is further clarified by
the statutory context in which the
phrase appears, as well as related
statutory provisions regarding how
nutrient content claims function.
Section 403(r)(2)(G) of the FD&C Act
describes one way that claims ‘‘of the
type described in [403(r)(1)(A)]’’ can be
made. The type of claim described in
section 403(r)(1)(A) of the FD&C Act is
a claim that ‘‘characterizes the level of
any nutrient . . .,’’ i.e., a nutrient
content claim. Such claims characterize
the specific amount of a nutrient that is
found in one serving of a specific
product by using terms such as ‘‘good
source.’’ In general, such claims can
only be made ‘‘if the characterization of
the level made in the claim uses terms
which are defined in regulations of the
Secretary.’’ (Section 403(r)(2)(A)(i) of
the FD&C Act.) We defined terms such
as ‘‘good source’’ in a way that ties each
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term’s meaning to the DV that has been
established by regulation for the
nutrient in question—for example,
‘‘good source’’ claims can be made for
foods that contain 10 to 19 percent of
the DV for the relevant nutrient per
reference amount customarily
consumed (§ 101.54(c)). With respect to
‘‘a nutrient, for which the Secretary has
not promulgated a regulation,’’ Section
403(r)(2)(G) of the FD&C Act allows for
the possibility that a nutrient content
claim can still be made, if an
authoritative statement ‘‘identifies the
nutrient level to which the claim
refers.’’ We do not require that this
nutrient level be an RDI or a DRV, but
the nutrient level must be a single
reference value or else it would be
impossible to know when the definition
for a term such as ‘‘good source’’ had
been met. Moreover, for a nutrient
content claim to provide a meaningful
characterization of the level of the
nutrient, the reference value must be
such that it helps consumers understand
the relative significance of information
about the amount of the nutrient in a
food in the context of a total daily diet;
Congress emphasized the importance of
this goal in section 403(r)(2)(G)(iv) of
the FD&C Act. We have determined that
a reference value that reflects a
recommended or defined intake level
that could serve as a basis for setting a
DV serves this purpose and is a
‘‘nutrient level.’’ Therefore, the meaning
of ‘‘nutrient level’’ in section
403(r)(2)(G)(i) of the FD&C Act is a
reference value that is similar to a label
reference value for use in nutrition
labeling, i.e., that reflects a
recommended or defined intake level
that could serve as a basis for setting a
DV that could be used to characterize a
given level of a nutrient for purposes of
nutrition labeling.
According to section 403(r)(2)(G)(i) of
the FD&C Act, an authoritative
statement that identifies the nutrient
level to which the claim refers can be
provided by a scientific body of the U.S.
Government with official responsibility
for public health protection or research
directly relating to human nutrition or
the NAS or any of its subdivisions, such
as the IOM. The IOM provides
authoritative statements on
recommended or defined nutrient intake
levels in the form of DRIs. DRIs include
the Estimated Average Requirement,
RDA, AI, and Tolerable Upper Intake
Level. The IOM report does not
establish any of these for DHA and EPA.
The statements in the IOM report that
use the terms ‘‘approximately 10
percent’’ do not identify a nutrient level
for DHA and/or EPA. The statements
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describe the approximate contribution
that DHA and EPA can make toward
meeting the AI for ALA, but they do not
reflect a recommended or defined intake
level of DHA and/or EPA that could
serve as a basis for setting a DV that
could be used to characterize a given
level of DHA and/or EPA. In fact, the
three notifications reflect different
readings of the IOM’s statement: the
seafood processors notification states
that 10 percent of their proposed
reference value for ALA results in a
reference value for DHA or EPA; the
Ocean Nutrition notification states that
10 percent of its proposed reference
value for ALA results in a reference
value for EPA and DHA combined; and
the Martek notification states that 10
percent of its proposed reference value
for ALA results in a reference value for
DHA alone. (The three notifications also
differ in that the Martek notification and
the Ocean Nutrition notification
conclude that 160 milligrams (mg)/day
is the nutrient level that is obtained by
dividing by 10, while the seafood
processors notification arrives at 130
mg/day, also by dividing by 10. This
difference stems from a dispute as to
whether 1.6 g/day is the appropriate
nutrient level to use in nutrient content
claims for ALA, or whether 1.3 g/day is
the appropriate level. Because we find
that none of the submitted claims for
DHA and/or EPA is based on an
authoritative statement that identifies a
nutrient level for DHA and/or EPA, we
do not reach the issue of addressing this
discrepancy in the numbers.) The
discrepancy in how the three
notifications read the IOM’s statements
underscores the fact that the statements
in the IOM report do not identify a
nutrient level for DHA or EPA.
Moreover, the statements in the IOM
report are explicitly approximate,
whereas the statutory and regulatory
structure requires that a ‘‘nutrient level’’
be a single, precise reference value.
Finally, we note that these statements
do not appear to meet the National
Research Council Governing Board of
NAS’ definition of an authoritative
statement, in that they do not ‘‘appear
explicitly as findings, conclusions, or
recommendations’’ (see Docket No.
FDA–2004–N–0382) (Ref. 2)).
We note that nutrient content claims
may be based on authoritative
statements from various sources and are
not limited to authoritative statements
from the IOM. Authoritative statements
on defined nutrient intake levels from
the IOM are provided in the form of
DRIs and are only one source of such
statements. Authoritative statements
from other entities described in section
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23265
403(r)(2)(G)(i) of the FD&C Act that
include nutrient levels that reflect a
recommended or defined intake level
that could serve as a basis for setting a
DV also may be used as the basis for
nutrient content claims. Absent such a
statement, the FD&C Act allows
interested persons to submit a petition
for a nutrient content claim (section
403(r)(4) of the FD&C Act; 21 CFR
101.69).
(Comment 2) Several comments
asserted that the FD&C Act does not
require us to use a specific approach to
determine a reference nutrient value
(i.e., population-coverage versus
population-weighted). One comment
noted that IOM recommended the use of
a population-weighted approach for
setting nutrient references values in its
2003 report entitled ‘‘Dietary Reference
Intakes: Guiding Principles for Nutrition
Labeling and Fortification’’ (hereinafter
‘‘the IOM report on Guiding Principles’’)
(Ref. 3). Finally, the comments
requested that we not act on current
ALA nutrient content claims until after
completing the rulemaking initiated by
our Advance Notice of Proposed
Rulemaking (ANPRM) on the Revision
of Reference Values and Mandatory
Nutrients (72 FR 62149) (‘‘DV ANPRM’’)
which sought public comment on what
new reference values we should use to
calculate the DVs in the Nutrition Facts
label and what factors we should
consider in establishing these new
reference values.
(Response) We disagree with the
comments. The FD&C Act requires that
a claim based on an authoritative
statement have a nutrient level
identified in the statement and be stated
in a manner that enables the public to
comprehend the information provided
and to understand the relative
significance of such information in the
context of the daily diet (section
403(r)(2)(G)(iv) of the FD&C Act). Using
two different approaches to set a
reference value for ALA (i.e., the
population-weighted approach used in
the seafood processors notification and
the population-coverage approach used
in the Martek notification) will result in
inconsistent and conflicting nutrient
content claims on food labels. Such
inconsistencies make meaningful
product-to-product comparisons
impossible. To enable the public to
comprehend the information provided
in nutrient content claims and to
understand the relative significance of
that information in the context of the
daily diet, as required by section
403(r)(2)(G)(iv) of the FD&C Act,
qualifying ALA levels for nutrient
content claims in food labeling must be
based on a single nutrient value
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determined using the same approach for
reference values for other nutrients,
which is currently the populationcoverage approach established in the
1993 final rule for determining DVs (58
FR 2206). Therefore, to prevent
inconsistent and conflicting claims on
food labels, we are not taking regulatory
action at this time with respect to ALA
claims based on the populationcoverage approach, but are prohibiting
claims based on the populationweighted approach.
We also disagree that we should not
act on current ALA nutrient content
claims until we have completed the
rulemaking initiated by the DV ANPRM.
The concurrent use of two different
approaches to set a reference value for
ALA will result in inconsistent and
conflicting nutrient content claims on
food labels. Because it may be some
time before any rulemaking related to
the DV ANPRM is finalized, we are
taking action now to prevent
inconsistent and conflicting claims by
prohibiting ALA claims based on the
population-weighted approach.
(Comment 3) Several comments
asserted that nutrient content claims
constitute commercial speech and that,
by not allowing the claims to appear on
labeling, we would violate the First
Amendment. One comment also noted,
with respect to the claims regarding
DHA and EPA, that we have not done
an analysis on each claim to determine
if the claims we propose to prohibit
would be misleading and whether they
could be cured by disclaimers, nor have
we identified any safety concerns or
provided evidence of consumers being
misled by these nutrient content claims.
Moreover, a number of comments stated
that the FD&C Act allows us to modify
claims to provide more information
regarding the basis of the claims (for
example through use of a disclosure or
disclaimer) if any of the claims are
found to be misleading, yet we have not
done so. For all of these reasons, the
comments asserted that prohibiting
these claims could violate the First
Amendment.
(Response) FDA disagrees. As the
preamble to the proposed rule explained
(72 FR 66103 at 66104), the 1993
regulations that implemented the
Nutrition Labeling and Education Act of
1990 (NLEA) created a procedure under
which a person who wishes to make a
nutrient content claim not already
defined by regulation may petition us to
authorize that claim under section
403(r)(4) of the FD&C Act (§ 101.69).
Under that process, the petitioner must
set forth an explanation of the reasons
why the proposed claim meets the
requirements of the FD&C Act and a
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summary of the scientific data
supporting those reasons. (See section
403(r)(4)(B) of the FD&C Act.) We can
either deny the petition or issue a
proposed rule to take the action
requested in the petition. If we issue a
proposed rule, the rulemaking must be
completed within 540 days of the date
the petition was received. (See section
403(r)(4)(A)(i) of the FD&C Act).) The
U.S. Court of Appeals for the Second
Circuit upheld this statutory scheme
and our implementation of it as
constitutional. Nutritional Health
Alliance v. Shalala, 144 F.3d 220 (2d
Cir. N.Y. 1998).
FDAMA created an alternate,
expedited notification process to allow
certain nutrient content claims to be
made without going through the petition
process. (See H. Rept. 105–306 (1997)
(‘‘It is the Committee’s intention that the
FDA will use this authority primarily
for the purpose of expediting review of
petitions for health and nutrient content
claims based on authoritative
statements.’’).) When the requirements
of FDAMA’s expedited notification
process (as set out in section
403(r)(2)(G) of the FD&C Act) have been
met, the claim can be made; preapproval
by FDA is not required. If the
requirements of section 403(r)(2)(G) of
the FD&C Act have not been met,
FDAMA’s expedited path is not
available. In such situations, the
petition process outlined under section
403(r)(4) of the FD&C Act is the proper
vehicle for submitting a proposed
nutrient content claim to us. (See H.
Rept. 105–306 (1997) (‘‘The Committee
emphasizes that this provision
maintains the full range of existing FDA
enforcement powers with respect to
claims made in violation of the statutory
requirements.’’).)
The petition process set forth in
section 403(r)(4) of the FD&C Act relates
only to two types of labeling claims:
‘‘nutrient content claims,’’ which are
claims of the type described in section
403(r)(1)(A) of the FD&C Act; and
‘‘health claims,’’ which are claims of the
type described in section 403(r)(1)(B) of
the FD&C Act. FDAMA’s alternate,
expedited route also applies only to
these two types of claims. (See sections
403(r)(2)(G) through (r)(2)(H) and
403(r)(3)(C) through (r)(3)(D) of the
FD&C Act.) (This rulemaking concerns
only nutrient content claims.) There are
numerous other types of claims that can
be made on food and supplement
labeling, including many types of claims
that can lawfully be made about the
presence of DHA or EPA. (See 72 FR
66103 at 66109.) Under § 101.13(i)(3)
(21 CFR 101.13(i)(3)), the label or
labeling of a food may contain a
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statement about the amount or
percentage of a nutrient if the statement
does not, explicitly or implicitly,
characterize the level of the nutrient in
the food and is not false or misleading
in any respect. For example, a
conventional food or a dietary
supplement may bear a statement such
as ‘‘X mg of EPA and DHA omega-3 fatty
acids per serving.’’ Also, under
§ 101.13(q)(3)(ii)(A), dietary
supplements are permitted to bear
simple percentage claims (e.g., 40
percent EPA and DHA omega-3 fatty
acids), and under 21 CFR
101.14(q)(3)(ii)(B), they are permitted to
bear comparative percentage claims
(e.g., ‘‘four times the EPA and DHA
omega-3 fatty acids per capsule (80 mg)
as in 100 mg of menhaden oil (20 mg)’’).
Furthermore, in 2003, we announced
our intention to exercise our
enforcement discretion with respect to
the following qualified health claim,
which companies can use to describe to
consumers the potential health benefits
of consuming EPA and DHA:
‘‘Supportive but not conclusive research
shows that consumption of EPA and
DHA omega-3 fatty acids may reduce
the risk of coronary heart disease. One
serving of [name of food] provides [x]
grams of EPA and DHA omega-3 fatty
acids. [See nutrition information for
total fat, saturated fat and cholesterol
content.]’’ See Letter Responding to
Health Claim Petition dated November
3, 2003 (Martek Petition): Omega-3 Fatty
Acids and Reduced Risk of Coronary
Heart Disease (Docket No. 2003Q–0401)
(available at https://www.fda.gov/Food/
IngredientsPackagingLabeling/
LabelingNutrition/ucm072932.htm); see
also Letter Responding to Health Claim
Petition dated June 23, 2003 (Wellness
petition): Omega-3 Fatty Acids and
Reduced Risk of Coronary Heart Disease
(Docket No. 2003Q–0401) (available at
https://www.fda.gov/Food/
IngredientsPackagingLabeling/
LabelingNutrition/ucm072936.htm).
Section 403(r)(2)(G) of the FD&C Act
takes place within this broader labeling
context. Nutrient content claims, such
as the ones about DHA, EPA, and ALA
that the notifiers here seek to make, are
just one, very specific, statutorilydefined type of labeling claim. When a
company wishes to make such a claim
about a nutrient for which FDA has not
identified a nutrient level, the company
generally must use the process set forth
in section 403(r)(4) of the FD&C Act;
this process has been upheld as
constitutional. (See Nutritional Health
Alliance v. Shalala, 144 F.3d 220 (2d
Cir. N.Y. 1998).) FDAMA creates an
alternate, expedited route, but only in
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situations where all of the requirements
of section 403(r)(2)(G) of the FD&C Act
have been met.
Our application of section 403(r)(2)(G)
of the FD&C Act to the notifications
concerning EPA and DHA and the
notifications concerning ALA is
constitutional, as explained herein:
A. DHA and EPA
With respect to the proposed claims
regarding DHA and EPA, our response
to comment 1 explains that the notifiers
have not met the requirement of section
403(r)(2)(G)(i) of the FD&C Act that each
proposed claim be based on an
authoritative statement that identifies a
nutrient level to which the proposed
claim refers. We therefore find that
these claims may not be used in food
labeling.
When we establish by regulation
particular definitions for terms (such as
‘‘good source’’), the use of such terms
without complying with the established
definitions is inherently misleading,
and therefore not protected by the First
Amendment, see Central Hudson Gas &
Elec. Corp. v. Public Serv. Comm’n of
New York, 447 U.S. 557, 563 (1980); see
also In re R.M.J., 455 U.S. 191, 203
(1982), because such use implies that
the definitions and other statutory and
regulatory requirements have been met,
which they have not. See, e.g., Am.
Acad. of Pain Mgmt v. Joseph, 353 F.3d
1099, 1108 (9th Cir. 2004) (finding that
the use of the term ‘‘board certified’’ is
inherently misleading when its use does
not conform to the statutory definition
of that term); see also United States v.
Articles of Food * * * Clover Club
Potato Chips, 67 F.R.D. 419, 424 (D.
Idaho 1975) (‘‘Freedom of [s]peech does
not include the freedom to violate the
labeling provisions of the Federal Food,
Drug, and Cosmetic Act.’’). Furthermore,
insofar as the proposed claims state or
imply that a daily value for DHA or EPA
has been established, the claims are
false, and are not afforded First
Amendment protection. See Central
Hudson, 447 U.S. at 563; see also In re
R.M.J., 455 U.S. at 203.
The comments seem to suggest that,
even if we find that the proposed DHA
and EPA claims are not based on an
authoritative statement that identifies a
nutrient level as required by statute, the
First Amendment nonetheless requires
us to allow the claims to appear and to
use a disclaimer to cure the flaw. The
comments did not indicate what the
disclaimer would be, and indeed, we
conclude that there is no disclaimer that
could cure the fundamental flaw of the
proposed DHA and EPA claims: namely,
that the claims are not based on an
authoritative statement that identifies a
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nutrient level, as required by statute. Cf.
Wallach v. Crawford, 2005 U.S. Dist.
LEXIS 43700 (S.D. Cal. Mar. 29, 2005)
(‘‘A disclaimer regime simply cannot
provide the same protection that
Congress envisioned. . ..’’). One
comment seemed to suggest that
consumer research could help identify
an appropriate disclaimer. However, the
statute does not permit the use of
FDAMA’s expedited process unless an
authoritative statement identifying a
nutrient level has been made. We have
concluded that the statutory threshold
has not been met, and that these claims
cannot be permitted under the FD&C
Act. These conclusions are not
amenable to further exploration through
consumer research. Cf. Alliance for
Natural Health U.S. v. Sebelius, 786
F.Supp.2d 1, 14 (D.D.C. 2011) (‘‘Pearson
[v. Shalala], 164 F.3d 650 (D.C. Cir.
1999)] does not require the FDA to make
an empirical showing of the inefficacy
of a disclaimer before prohibiting a
claim’’ that is ‘‘unprotected commercial
speech that can be prohibited under the
threshold step of the Central Hudson
analysis.’’).
B. ALA
One comment stated that we would
violate the First Amendment by
prohibiting the ALA claims proposed in
the seafood processors notification.
We disagree. Under section
403(r)(2)(G)(iv) of the FD&C Act, ‘‘The
claim must be an accurate
representation of the authoritative
statement and must be stated in a
manner that enables the public to
comprehend the information provided
by the claim and to understand the
relative significance of such information
in the context of the total daily diet.’’
(See section 403(r)(2)(G)(iv) of the FD&C
Act.) As we discussed in more detail
under Comment 2, we have determined
that the proposed ALA claims that are
based on population-weighted AIs do
not enable the public to understand the
claims’ relative significance in the
context of the total daily diet because
using two different approaches to set a
reference value for ALA will result in
inconsistent and conflicting nutrient
content claims on food labels. The
claims therefore do not conform to the
requirements of the FD&C Act and, like
the DHA and EPA claims discussed
previously, cannot be made.
Furthermore, the ALA claims that are
based on population-weighted AIs are
inherently misleading, and thus not
entitled to First Amendment protection,
see Central Hudson, 447 U.S. at 563,
and In re R.M.J., 455 U.S. at 203,
because the use of two different daily
values for ALA would result in
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23267
inconsistent and contradictory nutrient
content claims. Consumers cannot make
meaningful product-to-product
comparisons based on such claims.
The ALA claims take place against a
backdrop where all other food labeling
references to nutrient levels are based
on the population-coverage approach. In
most situations, the reference value that
results from the population-coverage
approach will be higher than the
reference value that results from the
population-weighted approach; thus, by
using the latter method, a company can
in effect hold itself to a lower standard
when making claims such as ‘‘good
source’’ or ‘‘high.’’ For example, by
using population-weighted AIs, a
company taking the seafood processors’
approach could claim, at the point of
sale, that the reference value for ALA is
1.3 g/day, even while companies taking
Martek’s approach, which uses the
population-coverage approach, are
claiming, based on the same IOM report,
that the reference value for ALA is 1.6
g/day. Furthermore, on the label of a
product that contained 0.3 g of ALA,
those taking the seafood processors’
approach would declare the product to
be ‘‘high’’ in ALA, because 0.3 g is
approximately 23 percent of 1.3 g;
however, those taking Martek’s
approach would declare an identical
product to only be a ‘‘good source’’ of
ALA, because 0.3 g is only 18.75 percent
of 1.6 g. The presence of these
conflicting claims is inherently
misleading. More generally, the claim
proposed by the seafood processors is
inherently misleading in the context of
FDA’s current labeling regime, which
relies solely on the population-coverage
approach, because the seafood
processors’ claim would create
contradictory information about the
meaning of ‘‘good source’’ when used to
characterize the level of a nutrient.
Even if a disclaimer or other
modification were to explain that a
given claim arose as a result of a certain
statistical method for computing
nutrient levels, this would not change
the fact that terms such as ‘‘high’’ or
‘‘good source’’ would have two different
meanings under this hypothetical
regime. This is precisely what Congress
sought to avoid when it passed the
NLEA, and it is what we sought to avoid
when we issued regulations under that
statute, defining terms such as ‘‘high’’
and ‘‘good source.’’ See, e.g., 136 Cong.
Rec. H5836–01, H5840 (July 30, 1990)
(statement of Rep. Waxman); 136 Cong.
Rec. H12951–02, H12953–54 (October
26, 1990) (statement of Rep. Madigan).
(See also 56 FR 60421 at 60423,
(November 27, 1991) (‘‘Inconsistent use
of the same term on various products
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could lead to consumer confusion and
nonuniformity in the marketplace. To
ensure that consumers are not misled
and are given reliable information,
Congress found, and FDA agrees, that it
is appropriate for the Agency to
establish specific definitions to
standardize the terms used by
manufacturers to describe the nutrient
content of foods.’’); see also 58 FR 2302.
The purpose of FDA-regulated nutrient
content claims is to provide the public
with meaningful information about the
content of a product within the context
of the total daily diet. This purpose is
only served if terms such as ‘‘high,’’
‘‘good source,’’ and the other terms
defined at § 101.54 (21 CFR 101.54) are
given a consistent meaning for all
nutrients that are the subject of such
claims, so that consumers have
meaningful information to compare.
We therefore conclude that the ALA
claims that are based on a populationweighted approach are inherently
misleading, and thus not entitled to
First Amendment protection. But even if
the seafood processors’ proposed claims
were not inherently misleading,
prohibiting the claims would still be
permissible under the First
Amendment. Though we have
concluded that the claims are inherently
misleading, this section nonetheless
goes on to analyze this point.
In Central Hudson Gas & Elec. Corp.
v. Public Serv. Comm’n of New York,
447 U.S. 557 (1980), the Supreme Court
laid out a four-part test to analyze
whether a Government restriction on
commercial speech is constitutional.
The first step under Central Hudson is
to determine whether or not the speech
at issue is protected by the First
Amendment. If the speech is found to be
protected by the First Amendment—
which we do not find to be the case
here, but which is a scenario that we are
nonetheless analyzing—the second
requirement of Central Hudson is that
‘‘the State must assert a substantial
interest to be achieved’’ by the proposed
action. Central Hudson, 447 U.S. at 564.
Here, the Government has a substantial
interest in promoting the public health,
preventing inconsistent and
contradictory labeling claims (and
thereby preventing consumer
confusion), and maintaining the
integrity of the food label so that
consumers will have access to
meaningful information that they can
understand in the context of a total
daily diet and that will enable them to
make meaningful product-to-product
comparisons so they can select foods
that can lead to healthier diets (see
Pearson, 164 F.3d at 656; Rubin v. Coors
Brewing Co., 514 U.S. 476, 485 (1995);
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Fleminger v. U.S. Dep’t of Health and
Human Servs., 854 F. Supp. 2d 192, 208
(D. Conn. 2012); and 58 FR 2302).
The next question under Central
Hudson is whether the government
action ‘‘directly advances the
governmental interest asserted.’’ Central
Hudson, 447 U.S. at 566. The need for
consistent labeling claims that would
help consumers select healthier foods is
the precise issue that Congress sought to
address when passing the portions of
the NLEA that address nutrient content
claims. See, e.g., 136 Cong. Rec. H5836–
01, H5840 (July 30, 1990) (statement of
Rep. Waxman) (‘‘[Under the NLEA,]
content claims would have to be
consistent with terms defined by . . .
the Food and Drug Administration.
Today, companies use terms such as
‘low’ and ‘light’ differently and
inconsistently. . . . The bill would
correct this deceptive and misleading
state of affairs by requiring that terms
such as ‘light’ have a single meaning.’’)
and id. at H5843 (statement of Rep.
Madigan) (‘‘Consumers today are
confronted with a variety of labels that
provide them with disjointed and
confusing information. . . . In the past
few years, important scientific evidence
has been repeatedly reported that
clearly links dietary habits to good
health. For this reason, the need to
provide consumers with better
information about the foods they eat is
important.’’); see also 136 Cong. Rec.
H12951–02, H12953–54 (October 26,
1990) (statement of Rep. Madigan)
(‘‘[T]he bill requires that content claims
such as light, low, et cetera, would have
to be consistent with terms defined by
the FDA. This is to address the current
problem of companies using these terms
differently and inconsistently.’’).
Requiring that all nutrient levels be
computed in the same way so that
words such as ‘‘high’’ will have a
consistent meaning directly advances
the goals of preventing inconsistent and
contradictory claims in food labeling,
maintaining the integrity of the food
label, and promoting public health. The
result is labels that contain meaningful
information that the consumer can
understand in the context of a total
daily diet. Such labels allow consumers
to make meaningful product-to-product
comparisons and to select foods that can
lead to healthier diets.
The final question under Central
Hudson is ‘‘whether the fit between the
government’s ends and the means
chosen to accomplish those ends ‘is not
necessarily perfect, but reasonable.’ ’’
See Pearson, 164 F.3d at 656, quoting
Fox, 492 U.S. at 480. The Government’s
approach here is narrowly tailored to
advance the Government’s interest in
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preventing inconsistent and
contradictory claims, maintaining the
integrity of the food label, and
promoting the public health, while not
unnecessarily infringing speech.
Nutrient content claims are not
prohibited, but instead are permitted
under a range of circumstances.
Nutrient content claims based on an
authoritative statement may be used,
provided that the relevant nutrient
reference level is not based on an
approach that results in inconsistent
and contradictory information. In this
situation, we are taking no regulatory
action at this time with regard to a
nutrient content claim for ALA that uses
the population-coverage approach to
determine the nutrient level; that claim
may therefore be used. The comments
have advanced no argument to explain
why the use of multiple, inconsistent
statistical methods that generate
inconsistent and contradictory claims
would be preferable for consumers.
Such claims would, in fact, impede the
ability of consumers to make
meaningful product-to-product
comparisons, and therefore to make
informed purchasing decisions. We also
note that, in addition to the population
coverage-based ALA claims about which
we are taking no action at this time,
other opportunities exist for companies
to make labeling statements regarding
ALA in their products; for example,
labeling that simply states the amount of
a nutrient may be made in accordance
with § 101.13(i).
Moreover, we have concluded that no
disclaimer could cure the fundamental
contradiction and inconsistency
resulting from the proposed ALA claims
that are based on the populationweighted approach. No disclaimer
would cure the fundamental flaw
presented here: that the use of two
different daily values for ALA would
render the nutrient content claims that
were based on those reference values
inconsistent with one another, and
would therefore impede consumers’
ability to make meaningful product-toproduct comparisons based on those
claims. A disclaimer cannot bring
clarity to a situation where a
fundamental contradiction remains. See
Resort Car Rental System, Inc. v. FTC,
518 F.2d 962, 964 (9th Cir.) (per
curiam), cert denied, 423 U.S. 827
(1975); Continental Wax Corp. v. FTC,
330 F.2d 475, 480 (2d Cir. 1964); United
States v. Millpax, Inc., 313 F.2d 152,
154 & n.1 (7th Cir. 1963); Pasadena
Research Labs v. United States, 169
F.2d 375, 383–84 (9th Cir. 1948).
Labeling that states the amount of a
nutrient may be made under § 101.13(i);
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the purpose of nutrient content claims
is to use words such as ‘‘high’’ and
‘‘good source,’’ which, because they are
defined by regulation, place that type of
information in the context of the total
daily diet. This purpose is only served
if the terms defined at § 101.54 are given
a consistent meaning.
(Comment 4) A number of comments
suggested that FDA should establish,
through notice and comment
rulemaking, DVs for DHA and EPA for
use in nutrient content claims and
requested that FDA continue to allow
the current claims for DHA and EPA
until DVs can be established.
(Response) We disagree that we
should continue to allow these claims,
pending a rulemaking to establish DVs
for DHA and EPA, for the reasons set
forth in this final rule for prohibiting
such claims. Under section 403(r)(4) of
the FD&C Act and § 101.69, interested
persons can submit a petition for the
authorization of nutrient content claims.
(Comment 5) A number of comments
stated that we did not respond to the
notifications in a timely manner and
that, as a consequence, many
manufacturers would be affected
financially by a prohibition of certain
omega-3 nutrient content claims.
Several comments stated that there
could be a possible negative health
impact in removing omega-3 claims that
have existed for some time in the
marketplace, including increased
consumer confusion regarding
recommended intakes of omega-3 fatty
acids. Other comments requested that,
because the omega-3 nutrient content
claims have been lawful and in use in
the marketplace for some time, FDA
should provide a transition period to
phase them out (e.g., 1 year) if the
Agency decides to prohibit certain
omega-3 nutrient content claims.
(Response) We disagree with the
comments asserting that we did not act
in a timely manner. Section
403(r)(2)(G)(ii) of the FD&C Act, permits
a food bearing a nutrient content claim
based on an authoritative statement to
be introduced into interstate commerce
120 days after notifying FDA. The claim
may be made until we issue a regulation
prohibiting the claim, modifying the
claim, or finding that the requirements
of the FD&C Act have not been met, or
a district court of the United States
determines that the requirements of the
FD&C Act have not been met (section
403(r)(2)(H) of the FD&C Act). We
received three separate notifications for
omega-3 fatty acids over a 2-year period
ending in December 2005. Because the
notifications addressed the same issue,
we conducted a collective review of the
notifications and determined that all
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three notifications should be addressed
in the same rulemaking, rather than
separately. In June 2004, we publicly
announced our intention to issue
rulemaking to prohibit some of the
nutrient content claims (see Docket No.
FDA–2004–N–0382) (Ref. 4) and, less
than 2 years after the receipt of the final
notification, we issued the proposed
rule.
We agree with the comments
requesting a transition period. In this
final rule, we conclude that certain
omega-3 fatty acid nutrient content
claims set forth in the three notifications
do not meet the requirements of section
403(r)(2)(G) of the FD&C Act and,
therefore, are prohibited from use in
food labeling. We are providing a period
for transition, and this rule will become
effective on the next uniform
compliance date for labeling
regulations. The next uniform
compliance date is January 1, 2016, and
it applies to food labeling regulations
issued between January 1, 2013, and
December 31, 2014.
III. Summary of the Final Rule
Given the information discussed in
the preamble to the omega-3 proposed
rule and the absence of contrary
information in the comments, and under
our authority under section
403(r)(2)(H)(i)(I) of the FD&C Act, FDA
is adopting as a final rule, without
change, the proposal to prohibit the
nutrient content claims for DHA and
EPA set forth in the seafood processors
notification, the Martek notification,
and the Ocean Nutrition notification
and the nutrient content claims for ALA
set forth in the seafood processors
notification. We express no conclusions
as to whether the ALA claims in the
Martek notification are supported by an
authoritative statement that satisfies the
requirements of section 403(r)(2)(G) of
the FD&C Act. We are taking no
regulatory action at this time with
respect to the nutrient content claims
for ALA set forth in the Martek
notification and, therefore, these claims,
which are set forth in table 1, will be
allowed to remain on the market at this
time.
TABLE 1—NUTRIENT CLAIMS
Nutrient
content claim
for ALA
Conditions for making the
claim 1
High ................
≥ 320 mg of ALA per RACC
(≥ 20% of 1.6 g/day)
≥ 160 mg of ALA per RACC
(≥ 10% of 1.6 g/day)
Good Source ..
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TABLE 1—NUTRIENT CLAIMS—
Continued
Nutrient
content claim
for ALA
Conditions for making the
claim 1
More ...............
≥ 160 mg of ALA more per
RACC than an appropriate
reference food (≥ 10% of
1.6 g/day)
1 Nutrient content claims must comply with
all applicable FDA regulations regarding the
making of such claims.
IV. Analysis of Impacts
We have examined the impacts of the
final 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 Order
12866 directs 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). We have
concluded that this final rule is not a
significant regulatory action under the
Executive order.
The Regulatory Flexibility Act
requires Agencies to analyze regulatory
options that would minimize any
significant impact of a rule on small
entities. We have concluded that this
final rule may have a significant
economic impact on a substantial
number of small entities.
Section 202(a) of the Unfunded
Mandates Reform Act of 1995 requires
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 $141
million, using the most current (2012)
Implicit Price Deflator for the Gross
Domestic Product. We do not expect
this final rule to result in any 1-year
expenditure that would meet or exceed
this amount.
This final regulatory impact analysis
revises the initial regulatory impact
analysis set forth in the proposed rule
(72 FR 66103) in response to comments
on the proposed rule. Except for the
revisions that we indicate in this section
of the document, the analysis for the
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final rule is the same as the analysis for
the proposed rule.
A. Benefit-Cost Analysis
1. The Need for This Rule
We discuss any comments on the
legal and regulatory need for this rule in
section II of this document.
2. Options
In the analysis for the proposed rule,
we analyzed the following two
regulatory options: (1) Take no new
regulatory action and (2) prohibit the
DHA and EPA claims and the ALA
claims based on a reference value of 1.3
g/day, but allow the ALA claims based
on a reference value of 1.6 g/day.
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a. Option 1: Take No New Regulatory
Action
We did not receive any comments on
the selection of this option as the
baseline.
b. Option 2: Take the Regulatory
Actions as Described in the Proposed
Rule
(Comment 6) One comment asserted
that the economic analysis for the
proposed rule did not fulfill the
requirements of Executive Order 12866
because we said that we could not
estimate the public health impacts of
eliminating nutrient content claims for
DHA and EPA because we had not yet
conducted a review of the scientific
evidence concerning the health effects
of consuming DHA and EPA at various
levels. The comment suggested that we
review the relevant scientific evidence
to complete the analysis. The comment
also noted that we previously reviewed
at least some of the scientific evidence
relating to cardiovascular effects in the
context of qualified health claims for
DHA and EPA. The comment said that,
on that basis alone, FDA could present
a more detailed analysis of potential
health costs than it presented in the
analysis for the proposed rule.
Other comments said that eliminating
existing nutrient content claims for
DHA and EPA would generate public
health costs. These comments linked
DHA and/or EPA to preventing
cardiovascular disease, reducing cardiac
mortality including sudden death in
patients with no sign of cardiovascular
conditions and cardiovascular events in
hypercholesterolemic patients, growth,
neurodevelopment including brain and
eye development in infants, intelligence
quotients, and improved mental acuity
and overall quality of life for consumers
facing age-related cognitive decline,
including Alzheimer’s disease. The
comments also noted possible links to
the prevention and treatment of
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arthritis, inflammatory and autoimmune
diseases, and cancer. One comment
noted that current average intake of
DHA and EPA is estimated to be 100 to
200 mg/day in the United States, which
is below the intake recommended by
various organizations.
(Response) In the analysis for the
proposed rule, we said that we could
not determine whether eliminating
existing nutrient content claims for
DHA and EPA would have any impact
on consumer health because we had not
yet conducted a review of the scientific
evidence on the health effects of
consuming DHA and EPA at different
levels. The information presented in
these comments suggests that
eliminating nutrient content claims for
DHA and EPA could lead to health
costs. However, because we have not yet
conducted a comprehensive review of
the scientific evidence, we cannot revise
the analysis of the final rule to account
for these potential effects.
(Comment 7) A number of comments
addressed the relative merits of nutrient
content claims, qualified health claims,
and quantitative statements. One
comment stated that qualified health
claims are a poor substitute for nutrient
content claims and that eliminating
nutrient content claims would reduce
opportunities for firms to communicate
with consumers about EPA and DHA.
The comment looked at health claims
appearing on new omega-3 fatty acid
and DHA and/or EPA products in the
Mintel Global New Products Database
between June 2006 and November 2007
and found that 24 percent were nutrient
content claims, 56 percent were
quantitative statements, and 20 percent
were structure function claims. The
comment suggested that nutrient
content claims and quantitative
statements predominated because they
are relatively simple and easy to
understand. One comment said that
qualified health claims and quantitative
statements do not enable consumers to
consider the relative significance of the
claims and statements in the context of
the total daily diet. This comment said
that without nutrient content claims,
consumers would be unable to
determine if quantitative content
differences are significant or to readily
identify foods that contain meaningful
levels of omega-3 fatty acids. Finally,
the comment noted that removing
nutrient content claims would
significantly diminish the incentives for
firms to innovate and to improve the
nutritional properties of food. One
comment noted that we permit qualified
health claims on products regardless of
the level of DHA or EPA in those
products. The comment said that we did
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not consider the potential health costs
generated by consumers switching to
products having potentially lower levels
of DHA and/or EPA. One comment said
that prohibiting DHA and EPA claims
after they have appeared for several
years would lead consumers to question
the dietary value of these nutrients. One
comment said that allowing quantitative
statements about the level of DHA and/
or EPA in products without providing
some context of the significance of those
levels would confuse consumers.
(Response) Our analysis for the
proposed rule did not claim that the
availability of qualified health claims
implied that eliminating nutrient
content claims for DHA and EPA would
have no impact on product innovation,
consumption of these substances, or
consumer health. We said that
eliminating nutrient content claims for
DHA and EPA might result in reduced
consumption of DHA and EPA under
two scenarios. First, consumers might
reduce their consumption of these
nutrients if they choose not to purchase
and consume products that do not have
the relevant nutrient content claims on
the label. Second, producers may
choose not to reformulate products with
higher levels of DHA and/or EPA if they
cannot use nutrient content claims to
communicate these higher levels to
consumers. However, we did not
consider potentially reduced
consumption resulting from the
following mechanisms discussed in
some comments: consumers switching
to products with qualified health claims
that may have lower levels of DHA and/
or EPA, consumers who choose not to
consume products with DHA and/or
EPA because they question the dietary
value of these nutrients due to the
disappearance of nutrient content
claims, and consumers who become
confused about the significance of
particular levels of DHA and EPA due
to the disappearance of nutrient content
claims. Therefore, we revise our
analysis to include these additional
pathways by which this final rule may
reduce consumption of omega-3 fatty
acids, but we still reach the same
conclusion: Because we have yet to
conduct a review of the scientific
evidence concerning the health effects
of consuming EPA and DHA at different
levels, we cannot determine whether the
loss of these claims would have any
impact on consumer health, either
beneficial or detrimental.
(Comment 8) Some comments said
that FDA did not present a statistically
representative portrait of the number of
products containing DHA and/or EPA
and instead relied on products that we
found in grocery stores in the
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Washington, DC metropolitan area and
on Internet grocery stores.
(Response) We did not present our
estimates in the analysis for the
proposed rule as a statistically
representative portrait of the number of
products containing DHA and/or EPA.
Constructing a statistically
representative portrait would be very
costly and would not be worthwhile
because it would not change the
conclusions of the analysis. We have
estimated that this rule will generate
very small costs that are considerably
below the cutoff for classifying a rule as
significant under Executive Order
12866, so performing a statistically
representative study would probably not
change the status of this rule under that
Executive Order. In addition, we were
unable to quantify benefits, so obtaining
more precise cost estimates would not
allow the Agency to revise its analysis
of net benefits.
(Comment 9) One comment said that
we only considered seafood, eggs, pasta,
and dietary supplement products, and
we excluded many of the emerging
categories of foods that firms enrich
with omega-3 fatty acids. The comment
said that these emerging categories are
categories that contain foods that
traditionally do not contain omega-3
fatty acids. According to this comment,
food manufacturers tend to rely heavily
on nutrient content claims to
communicate the benefits of DHA and
EPA enrichment over other products
within these categories. The comment
stated that some of these categories
include fresh and shelf-stable milks,
spoonable yogurts, yogurt drinks,
fermented milk drinks, cheeses, butters,
fat-based spreads, juices, juice
smoothies, soy milks, packaged breads,
meats from grass-fed animals, packaged
meats, baby foods, chocolate
confections, cooking oils, packaged
soups, ice creams, nutritional bars, and
frozen pizzas. One comment said that
firms are currently making nutrient
content claims involving ALA, DHA,
and EPA on dairy products. The
comment said that we did not account
for the costs associated with these
products in the analysis for the
proposed rule. One comment stated that
we underestimated the number of
products and labels affected by the
proposed rule. The comment noted that,
in the analysis for the proposed rule, we
said that we found 113 qualifying
dietary supplements in the Dietary
Supplements Sales Information
database, but that when we searched a
single retailer, Amazon.com, we turned
up 2,224 dietary supplement labels
(stock keeping units or SKUs)
containing ‘‘fish oil.’’ The comment said
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that we also underestimated the number
of SKUs for eggs and seafood.
(Response) We were unable to locate
information on products bearing omega3 nutrient content claims in the specific
product categories mentioned in this
comment. However, we did locate data
indicating that firms introduced 369
new food and beverage products bearing
omega-3 claims in the United States
from 1999 to 2014 (Ref. 5). We do not
know how many of these products
remain on the market, nor do we know
how many of these products bear one or
more of the relevant nutrient content
claims. Therefore, this number
represents the maximum number of
such products currently on the market.
In the preamble to the proposed rule,
we identified only one conventional
food product that firms enriched with
omega-3 fatty acids. We estimated that
two such products probably existed on
the market, and estimated a label change
cost of $17,000, or $8,500 per product.
If we apply this cost to 369 products, we
get an estimated cost of approximately
$3 million. Therefore, in this final rule,
we have revised the previous estimate of
the total cost of labeling changes from
$0.08 million to approximately $3
million.
(Comment 10) One comment said that
firms launched a significant number of
products enriched with DHA and EPA
in part because they were able to
communicate some of the benefits of
DHA and EPA using nutrient content
claims. This comment said that we did
not consider the loss of sales that would
result if these firms were unable to
communicate the relative enrichment
levels of DHA and EPA in these
products, but that we instead only
considered the cost of relabeling these
products. One comment stated that we
did not account for the loss of the return
on investment in product development.
(Response) Once the final rule
becomes effective, firms will retain
some ability to communicate levels of
omega-3 fatty acid content to consumers
by using amount or percentage
statements and qualified health claims.
These statements might not be as
effective as express nutrient content
claims (e.g., ‘‘high’’) in encouraging
consumers to buy these products.
Therefore, sales of these products and
the return on investment for developing
these products may decline. We would
classify these effects as distributive
impacts rather than social costs because
we have based our rule on the notion
that these nutrient content claims lack
the scientific support that an
authoritative statement would provide.
Therefore, consumer demand based on
these nutrient content claims does not
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23271
represent the true demand for these
products and prohibiting these nutrient
content claims will not generate social
costs for consumers. However, some
firms may lose sales and profits and
some firms may gain sales and profits.
We cannot estimate this distributive
impact because we do not know how
much money firms have spent
developing these products or the impact
of eliminating nutrient content claims
for DHA and/or EPA on the sales of
these products. However, we revised the
analysis by noting that firms that
produce products or that planned to
produce products bearing these nutrient
content claims may lose profits, while
firms producing competing products
may gain profits.
(Comment 11) One comment said that
we were rejecting the nutrient content
claims presented in the seafood
processors notification based on our
approach to calculating a nutrient
reference value. This comment noted
that we had published the DV ANPRM
(72 FR 62149) inviting comments on
what new reference values we should
use to calculate the DVs in the Nutrition
Facts label and what factors we should
consider in establishing such new
reference values. The comment noted
that if we change our position on setting
reference values, then we might need to
reverse our position on the nutrient
content claims in the seafood processors
notification, which would generate
additional label changes and also
confuse consumers.
(Response) Even if we were to
establish, in the future, a populationweighted approach for DVs that would
allow the nutrient content claims in the
seafood processors notification and thus
allow firms to make additional label
changes, we can infer that any such
label changes would be associated with
positive net benefits. Firms that were
using the nutrient content claims in the
seafood processors notification and that
stopped using those claims because of
this final rule might be able to resume
using those claims. However, because
such label changes would be voluntary,
manufacturers would not choose to
make them unless consumers valued the
changes at least enough to cover the cost
of such changes. Manufacturers are not
likely to voluntarily make nutrient
content claims if the addition would
confuse consumers and negatively
impact sales. We would not allow such
label changes if we determined them to
be false or misleading; therefore, we
would infer that any additional value
consumers placed on such products is
related to the value of the new
information. In addition, changes in
product labeling are not particularly
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unusual, so it is unlikely that many
consumers would be confused if the
nutrient content claims on particular
products disappeared and later
reappeared.
(Comment 12) One comment said that
a single label change can cost dairy
processors up to $5,000 per label for a
new label design and new printing
plates. The comment noted that firms
would also need to dispose of obsolete
packaging and that, in the past,
companies have estimated these costs in
the tens to hundreds of thousands of
dollars, depending on the number of
SKUs.
(Response) In the analysis for the
proposed rule, we estimated the cost of
changing labels using a model
developed for us for that purpose. The
model included designing new labels,
producing new printing plates, and
disposing of obsolete packaging. We
estimated costs per SKU of between
$2,300 and $8,400. This figure implies
that a large company producing many
SKUs could face costs of tens to
hundreds of thousands of dollars for
disposing of obsolete packaging.
Therefore, this comment is consistent
with the analysis for the proposed rule.
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B. Benefits
(Comment 13) One comment said that
there is no scientific evidence
supporting health benefits of 160 mg of
DHA and/or EPA per day but that, on
the contrary, the science supports much
higher levels. This comment said that to
allow the use of an ‘‘excellent source’’
claim for this level of these nutrients
might cause consumers to lose
confidence in package claims.
(Response) Some consumers may
have experienced a reduction in their
confidence in package claims based on
the discrepancy between nutrient
content claims describing products with
160 mg of DHA and/or EPA as an
excellent source of these nutrients and
the level of these nutrients
recommended by some scientific
organizations. These consumers may
experience increased confidence in
package claims when this discrepancy is
eliminated. Increased confidence in
package claims could lead to health
benefits from better dietary choices
based on package claims. We do not
have sufficient information to estimate
this potential benefit.
C. Regulatory Flexibility Analysis
We have examined the economic
implications of this final rule as
required by the Regulatory Flexibility
Act (5 U.S.C. 601–612). If a rule has a
significant economic impact on a
substantial number of small entities, the
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Regulatory Flexibility Act requires
Agencies to analyze regulatory options
that would lessen the economic effect of
the rule on small entities. We find that
this final rule may have a significant
economic impact on a substantial
number of small entities.
The Regulatory Flexibility Act
requires that FDA present a succinct
statement of a rule’s objectives. We
discussed the legal and regulatory need
for this rule in section II of this
document and in section III in the
preamble of the proposed rule (72 FR
66103 at 66107). The intent of this rule
is to eliminate certain nutrient content
claims that do not have the scientific
justification that an authoritative
statement would provide or that are not
stated in a manner that enables the
public to comprehend the information
provided in the claim and to understand
the relative significance of the
information in the context of a total
daily diet. In so doing, the rule enables
consumers to identify suitable products.
In the analysis for the proposed rule,
we said that the proposed rule would
not have a significant effect on a
substantial number of small entities. We
based that conclusion on our review of
the labels in the marketplace. However,
one comment on the benefit-cost
analysis in the proposed rule suggested
that we had overlooked a number of
products. Based on that comment, we
estimated a new range of potentially
affected products in the final benefitcost analysis. The new range of
potentially affected products suggests
that the final rule might have a
significant effect on a substantial
number of small entities.
In the benefit-cost analysis for this
rule, we estimated that the final rule
would affect a maximum of 369
products. We were not able to identify
the firms that produce these products.
However, in the analysis for the
proposed rule, we estimated that four
products were associated with four
manufacturers. Therefore, we assume
that 369 products may be associated
with 369 manufacturers. We also were
not able to identify these products,
although the comments indicated that
they include products from the
following categories: seafood, pasta,
eggs, fresh and shelf-stable milks,
spoonable yogurts, yogurt drinks,
fermented milk drinks, cheeses, butters,
fat-based spreads, juices, juice
smoothies, soy milks, packaged breads,
meats from grass-fed animals, packaged
meats, baby foods, chocolate
confections, cooking oils, packaged
soups, ice creams, nutritional bars, and
frozen pizzas.
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The Small Business Administration
(SBA) publishes size standards for small
businesses. The SBA size definition for
firms producing these products defines
a small firm to be any firm with 500 or
fewer employees. We do not know how
many employees work at the firms that
produce the specified products because
we cannot identify those firms.
However, the vast majority of these
firms probably meet the SBA definition
of a small business because nearly all
(97 percent) of food manufacturing
plants have 500 or fewer employees.
1. Options
FDA considers the following option to
reduce the burden of this rule on small
entities: give small firms more time to
comply with this rule.
Option 1: Give small firms more time
to comply with this rule
This rule will become effective on the
next uniform compliance date for
labeling regulations. The next uniform
compliance date is January 1, 2016, and
it applies to food labeling regulations
that FDA issues between January 1,
2013, and December 31, 2014. Using the
next uniform compliance date always
provides firms with at least 1 year and
as much as 3 years to make any
necessary labeling changes. In the
analysis for the proposed rule (72 FR
66103 at 66109), we based our cost
estimates on firms having 2 years to
change product labels. Providing more
time to change labels reduces the cost of
changing those labels because more
firms would be able to make the changes
during regularly scheduled label
changes. In the analysis for the
proposed rule, we noted that our
labeling cost model estimates that firms
will redesign 67 percent of product
labels in any 2-year period and all
product labels in any 3-year period.
Therefore, if we changed the
compliance date for small firms so that
they had at least 3 years to comply, then
we would reduce the cost for these firms
to zero. To avoid inconsistent labeling
on products produced by small firms
and by other firms, we would need to
set the same compliance date for all
firms. This option would delay the
benefits of this rule. Therefore, we have
chosen not to give small firms more
time to comply with the final rule.
V. Environmental Impact
We have determined under 21 CFR
25.30(k) that this action is of the 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.
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VI. Paperwork Reduction Act of 1995
We conclude that labeling provisions
of this rule are not subject to review by
the Office of Management and Budget
because they do not constitute a
‘‘collection of information’’ under the
Paperwork Reduction Act of 1995 (44
U.S.C. 3501–3520).
Fortification.’’ Institute of Medicine, National
Academy of Sciences, 2003.
4. Letter from FDA/CFSAN to Advocates
for Better Children’s Diets. Docket No. FDA–
2004–N–0382; Document ID FDA–2004–N–
0382–0004.
5. Data from Mintel Global New Products
Database, Mintel Group, Ltd., https://
www.mintel.com, accessed January 29, 2014.
VII. Federalism
We analyzed this final rule in
accordance with the principles set forth
in Executive Order 13132. Section 4(a)
of the Executive order requires Agencies
to ‘‘construe . . . a Federal statute to
preempt State law only where the
statute contains an express preemption
provision or there is some other clear
evidence that the Congress intended
preemption of State law, or where the
exercise of State law conflicts with the
exercise of Federal authority under the
Federal statute.’’ Federal law includes
an express preemption provision that
preempts ‘‘any requirement respecting
any claim of the type described in
section 403(r)(1) [21 U.S.C. 343(r)(1)]
made in the label or labeling of food that
is not identical to the requirement of
section 403(r) [21 U.S.C. 343(r)]. . . .’’
Section 403A(a)(5) of the FD&C Act (21
U.S.C. 343–1(a)(5)). However, this
statutory provision does not preempt
any State requirement respecting a
statement in the labeling of food that
provides for a warning concerning the
safety of the food or component of the
food (Pub. L. 101–535, Section 6 (1990)).
This final rule prohibits certain nutrient
content claims for certain omega-3 fatty
acids in the label or labeling of food
under section 403(r) of the FD&C Act.
Dated: April 22, 2014.
Leslie Kux,
Assistant Commissioner for Policy.
ehiers on DSK2VPTVN1PROD with RULES
VIII. References
The following references have been
placed on display in the Division of
Dockets Management (HFA–305), Food
and Drug Administration, 5630 Fishers
Lane, rm. 1061, Rockville, MD 20852
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. (FDA has verified
the Web site addresses, but FDA is not
responsible for any subsequent changes
to Web sites after this document
publishes in the Federal Register.)
1. ‘‘Dietary Reference Intakes for Energy,
Carbohydrate, Fiber, Fat, Fatty Acids,
Cholesterol, Protein, and Amino Acids.’’
Institute of Medicine, National Academy of
Sciences, 2005.
2. Letter from the Institute of Medicine of
the National Academies to FDA/CFSAN.
Docket No. FDA–2004–N–0382; Document ID
FDA–2004–N–0382–0035.
3. ‘‘Dietary Reference Intakes: Guiding
Principles for Nutrition Labeling and
VerDate Mar<15>2010
15:13 Apr 25, 2014
Jkt 232001
[FR Doc. 2014–09492 Filed 4–25–14; 8:45 am]
BILLING CODE 4160–01–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R10–OAR–2012–0581; A–1–FRL–
9909–37–Region-10]
Approval and Promulgation of Air
Quality Implementation Plans; Idaho
Amalgamated Sugar Company Nampa
BART Alternative
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
The Environmental Protection
Agency (EPA) is approving a revised
Best Available Retrofit Technology
(BART) determination for The
Amalgamated Sugar Company, LLC
(TASCO) facility, located in Nampa,
Idaho. On June 22, 2011, the EPA
approved Idaho’s regional haze state
implementation plan (SIP), including its
BART determination for the TASCO
facility, as meeting the visibility
protection requirements of the Clean Air
Act (CAA). On June 29, 2012, the State
submitted a regional haze SIP revision,
including a new BART determination
for the TASCO facility that consisted of
a stricter emission limit for oxides of
nitrogen (NOX), a stricter emission limit
for particulate matter (PM), and an
alternative control measure (BART
Alternative) to replace the previously
approved BART determination and
emission limit for sulfur dioxide (SO2).
The EPA is fully approving this SIP
revision.
SUMMARY:
Effective Dates: This final rule is
effective May 28, 2014.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–R10–OAR–2010–0581. All
documents in the docket are listed on
the www.regulations.gov Web site.
Although listed in the index, some
information is not publicly available,
e.g., Confidential Business Information
(CBI) or other information whose
DATES:
PO 00000
Frm 00015
Fmt 4700
Sfmt 4700
23273
disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the Internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically through
www.regulations.gov or in hard copy at
the State and Tribal Air Programs Unit,
Office of Air Waste and Toxics, EPA
Region 10, 1200 Sixth Avenue, Seattle,
WA 98101. EPA requests that if at all
possible, you contact the individual
listed in the FOR FURTHER INFORMATION
CONTACT section to view the hard copy
of the docket. You may view the hard
copy of the docket Monday through
Friday, 8:00 a.m. to 4:00 p.m., excluding
Federal holidays.
FOR FURTHER INFORMATION CONTACT:
Steve Body, EPA Region 10, Suite 900,
Office of Air, Waste and Toxics, 1200
Sixth Avenue, Seattle, WA 98101. The
phone number is (206) 553–0782 and
email at body.steve@epa.gov.
SUPPLEMENTARY INFORMATION:
Definitions
For the purpose of this document, we
are giving meaning to certain words or
initials as follows:
(i) The words or initials Act, CAA, or
Clean Air Act mean or refer to the Clean
Air Act, unless the context indicates
otherwise.
(ii) The words EPA, we, us or our
mean or refer to the United States
Environmental Protection Agency.
(iii) The initials SIP mean or refer to
State Implementation Plan.
(iv) The words Idaho and State mean
the State of Idaho.
Table of Contents
I. Background Information
II. Response to Comments
III. Final Action
IV. Statutory and Executive Orders Review
I. Background Information
In the CAA Amendments of 1977,
Congress established a program to
protect and improve visibility in the
national parks and wilderness areas. See
CAA section 169A. Congress amended
the visibility provisions in the CAA in
1990 to focus attention on the problem
of regional haze. See CAA section 169B.
The EPA promulgated regional haze
regulations (hereafter the ‘‘RHR’’) in
1999 to implement sections 169A and
169B of the CAA. These regulations
require states to develop and implement
regional haze SIPs to ensure reasonable
progress toward improving visibility in
mandatory Class I Federal areas 1 (Class
1 Areas designated as mandatory Class I Federal
areas consist of national parks exceeding 6000
E:\FR\FM\28APR1.SGM
Continued
28APR1
Agencies
[Federal Register Volume 79, Number 81 (Monday, April 28, 2014)]
[Rules and Regulations]
[Pages 23262-23273]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-09492]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Part 101
[Docket Nos. FDA-2007-0601, FDA-2004-N-0382, FDA-2005-P-0371, and FDA-
2006-P-0224 (formerly Docket Nos. 2004N-0217, 2005P-0189, and 2006P-
0137, respectively)]
RIN 0910-ZA28
Food Labeling: Nutrient Content Claims; Alpha-Linolenic Acid,
Eicosapentaenoic Acid, and Docosahexaenoic Acid Omega-3 Fatty Acids
AGENCY: Food and Drug Administration, HHS.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA, the Agency, or we) is
issuing this rule to prohibit certain nutrient content claims for
foods, including conventional foods and dietary supplements, that
contain omega-3 fatty acids, based on our determination that such
nutrient content claims do not meet the requirements of the Federal
Food, Drug, and Cosmetic Act (the FD&C Act). We are taking this action
in response to three notifications submitted to us. One notification
concerning nutrient content claims for alpha-linolenic acid (ALA),
docosahexaenoic acid (DHA), and eicosapentaenoic acid (EPA) was
submitted collectively by Alaska General Seafoods, Ocean Beauty
Seafoods, Inc., and Trans-Ocean Products, Inc. (the seafood processors
notification); a second notification concerning nutrient content claims
for ALA, DHA, and EPA was submitted by Martek Biosciences Corp. (the
Martek notification); and a third notification concerning nutrient
content claims for DHA and EPA was submitted by Ocean Nutrition Canada,
Ltd. (the Ocean Nutrition notification). The final rule prohibits the
nutrient content claims for DHA and EPA set forth in the three
notifications and the nutrient content claims for ALA set forth in the
seafood processors notification. FDA is taking no regulatory action at
this time with respect to the nutrient content claims for ALA set forth
in the Martek notification and, therefore, these claims will be allowed
to remain on the market.
DATES: This rule is effective January 1, 2016.
FOR FURTHER INFORMATION CONTACT: Vincent de Jesus, Center for Food
Safety and Applied Nutrition (HFS-830), Food and Drug Administration,
5100 Paint Branch Pkwy., College Park, MD 20740, 240-402-1774.
SUPPLEMENTARY INFORMATION:
I. Background
The Food and Drug Administration Modernization Act of 1997 (FDAMA)
(Pub. L. 105-115) amended the FD&C Act to provide, among other things,
for the filing of notifications as an alternative to the petition
process for nutrient content claims set forth in section 403(r)(4) of
the FD&C Act (21 U.S.C. 343(r)(4)). ``Nutrient content claims'' are
labeling claims that characterize the level of a nutrient in a food.
(See section 403(r)(1)(A) of the FD&C Act.) We have stated that the
Nutrition Labeling and Education Act of 1990 (Pub. L. 101-535), which
created section 403(r)(1)(A) of the FD&C Act, has three basic
objectives: (1) To make available nutrition information that can assist
consumers in selecting foods that can lead to healthier diets, (2) to
eliminate consumer confusion by establishing definitions for nutrient
content claims that are consistent with the terms defined by the
Secretary of Health and Human Services (the Secretary), and (3) to
encourage product innovation through the development and marketing of
nutritionally improved foods (58 FR 2302, January 6, 1993). Under the
notification process that FDAMA established in section 403(r)(2)(G) of
the FD&C Act, a nutrient content claim is based on an authoritative
statement published either by a scientific body of the U.S.
[[Page 23263]]
Government that has official responsibility for public health
protection or research directly relating to human nutrition, or by the
National Academy of Sciences (NAS) or any of its subdivisions.
Section 403(r)(2)(G) of the FD&C Act requires that a notification
for a prospective nutrient content claim be submitted to FDA at least
120 days before a food bearing the claim may be introduced into
interstate commerce. The notification must contain specific information
including: (1) The exact wording of the prospective nutrient content
claim, (2) a concise description of the basis upon which the notifier
relied for determining that the requirements for an authoritative
statement in section 403(r)(2)(G)(i) of the FD&C Act have been
satisfied, (3) a copy of the authoritative statement that serves as the
basis for the claim, and (4) a balanced representation of the
scientific literature relating to the nutrient level for the claim. The
claim must be an accurate representation of the authoritative statement
and must be stated in a manner that enables the public to comprehend
the information provided by the claim and to understand the relative
significance of such information in the context of the total daily
diet. Furthermore, the authoritative statement that is the basis for
the nutrient content claim must be currently in effect and identify the
nutrient level to which the claim refers.
In the Federal Register of November 27, 2007 (72 FR 66103), we
published a proposed rule that would prohibit all of the nutrient
content claims for the omega-3 fatty acids DHA and EPA set forth in:
(1) The seafood processors notification submitted on January 16, 2004,
(2) the Martek notification submitted on January 21, 2005, and (3) the
Ocean Nutrition notification submitted on December 9, 2005. The seafood
processors notification set forth ``high'' \1\ nutrient content claims
for both DHA and EPA,\2\ whereas the Martek notification set forth a
``high'' nutrient content claim only for DHA \3\ and the Ocean
Nutrition notification set forth a ``high'' nutrient content claim for
DHA and EPA combined.\4\ The proposed rule would take this action
because the nutrient content claims for DHA and EPA set forth in the
three notifications are not based on an authoritative statement that
identifies a nutrient level to which the claims refer, as required by
the FD&C Act.
---------------------------------------------------------------------------
\1\ Nutrient content claims are defined in Sec. 101.54 (21 CFR
101.54). ``High'' is defined as 20 percent or more of the Reference
Daily Intake (RDI) or the Daily Reference Value (DRV) per reference
amount customarily consumed (RACC) (Sec. 101.54(b)). ``Good
source'' is defined as 10 to19 percent of the RDI or DRV per RACC
(Sec. 101.54(c)). ``More'' is defined as 10 percent or more of the
RDI or DRV per RACC than an appropriate reference food (Sec.
101.54(e)). Synonyms for each of these terms are also set forth in
the regulations; for example, the terms ``rich in'' and ``excellent
source of'' are considered to be equivalent to the term ``high''
(Sec. 101.54(b)).
\2\ The seafood processors notification specified that one of
the following two statements would accompany these claims:
``Contains -- mg of [DHA/EPA] per serving, which is -- % of the
Daily Value for [DHA/EPA] (130 mg).''
``Contains -- % of the Daily Value for [DHA/EPA] per serving.
The Daily Value for [DHA/EPA] is 130 mg.'' As indicated in the
notification, use of [DHA/EPA] is intended to mean that either EPA
or DHA can be used as the subject of the claim.
\3\ The Martek notification proposed the following exact wording
for these claims: `` `Excellent source of DHA.' (`High in DHA,'
`Rich in DHA') Contains -- mg of DHA per serving, which is -- % of
the 160 mg Daily Value for DHA.'' [Products would need to contain at
least 32 mg of DHA per RACC to qualify for the claim.]
\4\ The Ocean Nutrition notification proposed the following
exact words for these claims: `` `Excellent source of Omega-3 EPA
and DHA.' (`High in Omega-3 EPA and DHA;' `Rich in Omega-3 EPA and
DHA'). Contains -- mg of EPA and DHA combined per serving, which is
-- % of the 160 mg Daily Value for a combination of EPA and DHA.''
FDA notes that this claim language was incorrectly written in the
proposed rule, where it was written as `` `Excellent source of
Omega-3 EPA and DHA.' (`High in Omega-3 EPA and DHA;' `Rich in
Omega-3 EPA and DHA'). Contains -- mg of EPA and DHA combined per
serving, which is -- % of the 160 mg EPA and DHA combined per
serving, which is -- % of the 160 mg Daily Value for a combination
of EPA and DHA.''
---------------------------------------------------------------------------
The proposed rule also would prohibit the nutrient content claims
for ALA set forth in the seafood processors notification \5\ because
the claims were based on a reference value that was determined by a
different approach than reference values already established for other
nutrients (i.e., Daily Values (DVs)). In the report entitled ``Dietary
Reference Intakes for Energy, Carbohydrate, Fiber, Fat, Fatty Acids,
Cholesterol, Protein, and Amino Acids'' from the Institute of Medicine
(IOM) of the NAS (``the IOM report'') (Ref. 1), the IOM identified
several age-gender group specific adequate intake levels (AIs) for ALA,
including 1.6 grams per day (g/day) for males 14 and more years of age
and 1.1 g/day for females 14 and more years of age. (See also 72 FR
66103 at 66106.) The seafood processors calculated a population-
weighted AI to use as the reference value for their claims. This
approach differs from our approach, under which reference values are
set by using the population-coverage approach. (See 58 FR 2206 at 2210
through 2211, January 6, 1993.) Under a ``population-coverage
approach,'' we would use the highest Recommended Daily Allowance (RDA)
or AI for adults and children 4 or more years of age (excluding values
for pregnant and lactating women) to serve as the label reference
value. (See, e.g., 72 FR 62149 at 62150, November 2, 2007.) In
contrast, the seafood processors calculated a population-weighted
reference value--they looked at the various AIs that the IOM identified
for different age and gender groups (excluding children under 4 years
of age and pregnant and lactating women) and averaged out all of those
numbers, taking into account the predominance of the various groups
within the population, to arrive at their label reference value. The
difference, in brief, is that we essentially take the highest number to
use as the label reference value, while the seafood processors would
take an average of the various numbers to use as their reference value.
---------------------------------------------------------------------------
\5\ The seafood processors notification proposed ``high,''
``good source,'' and ``more'' claims for ALA. The notification
specified that one of the following two statements would accompany
``high'' and ``good source'' claims for ALA:
``Contains -- mg of ALA per serving, which is -- % of the Daily
Value for ALA (1.3 g).''
``Contains -- % of the Daily Value for ALA per serving. The
Daily Value for ALA is 1.3 g.''
---------------------------------------------------------------------------
In the proposed rule, we tentatively determined that the seafood
processors notification's use of a different methodology to set the
reference values does not enable the public to comprehend the
information provided in the ALA claim and to understand the relevant
significance of such information in the context of the daily diet. We
indicated that we would not take regulatory action at this time on the
ALA claims set forth in the Martek notification,\6\ which used a
population-coverage approach that is consistent with the approach that
FDA has used in determining DVs to date (see 58 FR 2206 at 2211). We
expressed no conclusions as to whether the ALA claims in the Martek
notification are supported by an authoritative statement that satisfies
the
[[Page 23264]]
requirements of section 403(r)(2)(G) of the FD&C Act. Because the
proposed rule would neither prohibit nor modify the nutrient content
claims for ALA set forth in the Martek notification, we indicated that
we would allow these claims to remain on the market at this time (see
72 FR 66103 at 66104).
---------------------------------------------------------------------------
\6\ The Martek notification proposed ``high,'' ``good source,''
and ``more'' claims for ALA. The notification proposed the following
exact words for these claims:
`` `Excellent source of ALA.' (`High in ALA,' `Rich in ALA')
Contains -- mg of ALA per serving, which is -- % of the 1.6 g Daily
Value for ALA.'' [Products would need to contain at least 320 mg of
ALA per RACC to qualify for the claim.]
`` `Good source of ALA.' (`Contains ALA,' `Provides ALA')
Contains -- mg of ALA per serving, which is -- % of the 1.6 g Daily
Value for ALA'' [Products would need to contain at least 160 mg of
ALA per RACC to qualify for the claim.]
`` `More ALA.' (`Fortified with ALA,' `Enriched with ALA,'
`Added ALA,' `Extra ALA,' `Plus ALA') Contains -- % more of the
Daily Value for ALA per serving than [reference food]. This product
contains -- mg of ALA which is -- % of the Daily Value for ALA (1.6
g).'' [Products would need to contain at least 160 mg or more ALA
per RACC than an appropriate reference food and would comply with
the requirements for relative claims found at 21 CFR 101.13(j).]
---------------------------------------------------------------------------
II. Summary of Comments and Agency's Responses
We invited comments on the proposed rule. The comment period closed
on February 11, 2008. We received 19 comments, each containing one or
more issues. The comments were from manufacturers, trade associations,
and health-related organizations. One comment raised issues that were
outside the scope of this rulemaking, and we will not discuss it in
this document. We discuss the remaining comments and our responses in
part II. For ease of reading, we preface each comment discussion with a
numbered ``Comment,'' and each response by a corresponding numbered
``Response.'' We have numbered each comment to help distinguish among
different topics. The number assigned is for organizational purposes
only and does not signify the comment's value, importance, or the order
in which it was received.
(Comment 1) Several comments stated that the nutrient content
claims for DHA and EPA should be permitted because the statements from
the IOM report that were used as the basis for these claims are
authoritative statements that identify a nutrient level, as required by
the statute. Specifically, the comments pointed to the following
statements from the IOM report:
[EPA] and [DHA] contribute approximately 10 percent of the
total n-3 fatty acid intake and therefore this percent contributes
toward the AI for [ALA].
Small amounts of EPA and DHA can contribute towards
reversing an n-3 fatty acid deficiency . . . and can therefore
contribute toward the AI for [ALA]. EPA and DHA contribute
approximately 10 percent of the total n-3 fatty acid intake and
therefore this percent contributes toward the AI for [ALA].
The AMDR [Acceptable Macronutrient Distribution Range] for
[ALA] is set at 0.6 to 1.2 percent of energy. Ten percent of this range
can be consumed as [EPA] and/or [DHA].
Approximately 10 percent of the AMDR for n-3 fatty acids
([ALA]) can be consumed as EPA and/or DHA (0.06 to 0.12 percent of
energy).
The comments asserted that these statements permit a calculation of
a value for DHA and EPA that can be considered a ``nutrient level.''
The comments further asserted that our position regarding the term
``nutrient level'' goes beyond what the statute requires and is unduly
restrictive. These comments characterized our position as interpreting
the term ``nutrient level'' to refer to reference values that are
similar in type to Dietary Reference Intakes (DRI) or other types of
defined intake levels that serve as reference values for the basis of
nutrient content claims. Based on these contentions, the comments
asserted that the proposed rule was contrary to Congressional intent in
that we are imposing standards of traditional rulemaking on a process
that Congress intended to be an expedited process of information
dissemination. If Congress had intended otherwise, at least one comment
stated, it could have explicitly indicated that a specific type of
reference value be required; however, Congress did not do so.
(Response) We disagree. We consider the term ``nutrient level'' as
used in section 403(r)(2)(G)(i) of the FD&C Act, to mean a reference
value that is similar to a label reference value for use in nutrition
labeling, i.e., that reflects a recommended or defined intake level
that could serve as a basis for setting a DV that could be used to
characterize a given level of a nutrient (here, DHA or EPA) for
purposes of nutrition labeling. To date, our regulations have
established two types of DVs: RDIs and DRVs (72 FR 66103 at 66104
through 66105). However, contrary to what some comments suggest, the
proposed rule would not have the statutory term ``nutrient level''
refer only to RDIs and DRVs. Instead, we proposed that the term refers
to values that could serve as a basis for setting a DV, in that they
could be used to characterize a given level of a nutrient for the
purposes of nutrition labeling (72 FR 66103 at 66109). DVs are intended
to help consumers understand the relative significance of information
about the amount of certain nutrients in a food in the context of a
total daily diet and to help consumers compare the nutritional values
of food products. Permitting nutrient content claims on the basis of
statements that do not identify the nutrient level to which the claims
refer results in inconsistent and conflicting claims that can confuse
consumers. Congress required that an authoritative statement identify
the ``nutrient level to which the claim refers'' (section 403(r)(2)(G)
of the FD&C Act) to help ensure consistency among different products
from different manufacturers.
Our use of ``nutrient level'' to mean a reference value that
reflects a recommended or defined intake level that could serve as a
basis for setting a DV is in keeping with the plain meaning of the word
``level,'' both alone and in the statutory context in which the term is
used. The Oxford English Dictionary defines ``level'' in relevant part
as, ``A position (on a real or imaginary scale) in respect of amount,
intensity, extent, or the like; the relative amount or intensity of any
property, attribute, or activity. Freq. preceded by a sb. denoting the
property, etc., referred to, as danger, energy, noise level.'' (See
Level Definition, The Oxford English Dictionary (Second Edition 1998)
(emphasis in the original).) Section 403(r)(2)(G) of the FD&C Act
states, in relevant part: ``A claim of the type described in
subparagraph (1)(A) for a nutrient . . . shall be authorized and may be
made with respect to a food if . . . a scientific body . . . has
published an authoritative statement . . . which identifies the
nutrient level to which the claim refers.'' The word ``level'' is
preceded by the word ``nutrient'' to denote the property referred to.
The nutrient level serves to identify ``[a] position . . . in respect
of amount,'' in the words of the dictionary definition; in other words,
the authoritative statement must identify a specific amount of the
nutrient in question. This nutrient level is the thing ``to which the
claim refers,'' and our use of the ``nutrient level'' as a reference
value is consistent with the plain meaning. The statutory phrase ``the
nutrient level'' indicates that a single, precise nutrient level must
be identified by the authoritative statement.
Moreover, the meaning of the phrase ``nutrient level'' is further
clarified by the statutory context in which the phrase appears, as well
as related statutory provisions regarding how nutrient content claims
function. Section 403(r)(2)(G) of the FD&C Act describes one way that
claims ``of the type described in [403(r)(1)(A)]'' can be made. The
type of claim described in section 403(r)(1)(A) of the FD&C Act is a
claim that ``characterizes the level of any nutrient . . .,'' i.e., a
nutrient content claim. Such claims characterize the specific amount of
a nutrient that is found in one serving of a specific product by using
terms such as ``good source.'' In general, such claims can only be made
``if the characterization of the level made in the claim uses terms
which are defined in regulations of the Secretary.'' (Section
403(r)(2)(A)(i) of the FD&C Act.) We defined terms such as ``good
source'' in a way that ties each
[[Page 23265]]
term's meaning to the DV that has been established by regulation for
the nutrient in question--for example, ``good source'' claims can be
made for foods that contain 10 to 19 percent of the DV for the relevant
nutrient per reference amount customarily consumed (Sec. 101.54(c)).
With respect to ``a nutrient, for which the Secretary has not
promulgated a regulation,'' Section 403(r)(2)(G) of the FD&C Act allows
for the possibility that a nutrient content claim can still be made, if
an authoritative statement ``identifies the nutrient level to which the
claim refers.'' We do not require that this nutrient level be an RDI or
a DRV, but the nutrient level must be a single reference value or else
it would be impossible to know when the definition for a term such as
``good source'' had been met. Moreover, for a nutrient content claim to
provide a meaningful characterization of the level of the nutrient, the
reference value must be such that it helps consumers understand the
relative significance of information about the amount of the nutrient
in a food in the context of a total daily diet; Congress emphasized the
importance of this goal in section 403(r)(2)(G)(iv) of the FD&C Act. We
have determined that a reference value that reflects a recommended or
defined intake level that could serve as a basis for setting a DV
serves this purpose and is a ``nutrient level.'' Therefore, the meaning
of ``nutrient level'' in section 403(r)(2)(G)(i) of the FD&C Act is a
reference value that is similar to a label reference value for use in
nutrition labeling, i.e., that reflects a recommended or defined intake
level that could serve as a basis for setting a DV that could be used
to characterize a given level of a nutrient for purposes of nutrition
labeling.
According to section 403(r)(2)(G)(i) of the FD&C Act, an
authoritative statement that identifies the nutrient level to which the
claim refers can be provided by a scientific body of the U.S.
Government with official responsibility for public health protection or
research directly relating to human nutrition or the NAS or any of its
subdivisions, such as the IOM. The IOM provides authoritative
statements on recommended or defined nutrient intake levels in the form
of DRIs. DRIs include the Estimated Average Requirement, RDA, AI, and
Tolerable Upper Intake Level. The IOM report does not establish any of
these for DHA and EPA. The statements in the IOM report that use the
terms ``approximately 10 percent'' do not identify a nutrient level for
DHA and/or EPA. The statements describe the approximate contribution
that DHA and EPA can make toward meeting the AI for ALA, but they do
not reflect a recommended or defined intake level of DHA and/or EPA
that could serve as a basis for setting a DV that could be used to
characterize a given level of DHA and/or EPA. In fact, the three
notifications reflect different readings of the IOM's statement: the
seafood processors notification states that 10 percent of their
proposed reference value for ALA results in a reference value for DHA
or EPA; the Ocean Nutrition notification states that 10 percent of its
proposed reference value for ALA results in a reference value for EPA
and DHA combined; and the Martek notification states that 10 percent of
its proposed reference value for ALA results in a reference value for
DHA alone. (The three notifications also differ in that the Martek
notification and the Ocean Nutrition notification conclude that 160
milligrams (mg)/day is the nutrient level that is obtained by dividing
by 10, while the seafood processors notification arrives at 130 mg/day,
also by dividing by 10. This difference stems from a dispute as to
whether 1.6 g/day is the appropriate nutrient level to use in nutrient
content claims for ALA, or whether 1.3 g/day is the appropriate level.
Because we find that none of the submitted claims for DHA and/or EPA is
based on an authoritative statement that identifies a nutrient level
for DHA and/or EPA, we do not reach the issue of addressing this
discrepancy in the numbers.) The discrepancy in how the three
notifications read the IOM's statements underscores the fact that the
statements in the IOM report do not identify a nutrient level for DHA
or EPA. Moreover, the statements in the IOM report are explicitly
approximate, whereas the statutory and regulatory structure requires
that a ``nutrient level'' be a single, precise reference value.
Finally, we note that these statements do not appear to meet the
National Research Council Governing Board of NAS' definition of an
authoritative statement, in that they do not ``appear explicitly as
findings, conclusions, or recommendations'' (see Docket No. FDA-2004-N-
0382) (Ref. 2)).
We note that nutrient content claims may be based on authoritative
statements from various sources and are not limited to authoritative
statements from the IOM. Authoritative statements on defined nutrient
intake levels from the IOM are provided in the form of DRIs and are
only one source of such statements. Authoritative statements from other
entities described in section 403(r)(2)(G)(i) of the FD&C Act that
include nutrient levels that reflect a recommended or defined intake
level that could serve as a basis for setting a DV also may be used as
the basis for nutrient content claims. Absent such a statement, the
FD&C Act allows interested persons to submit a petition for a nutrient
content claim (section 403(r)(4) of the FD&C Act; 21 CFR 101.69).
(Comment 2) Several comments asserted that the FD&C Act does not
require us to use a specific approach to determine a reference nutrient
value (i.e., population-coverage versus population-weighted). One
comment noted that IOM recommended the use of a population-weighted
approach for setting nutrient references values in its 2003 report
entitled ``Dietary Reference Intakes: Guiding Principles for Nutrition
Labeling and Fortification'' (hereinafter ``the IOM report on Guiding
Principles'') (Ref. 3). Finally, the comments requested that we not act
on current ALA nutrient content claims until after completing the
rulemaking initiated by our Advance Notice of Proposed Rulemaking
(ANPRM) on the Revision of Reference Values and Mandatory Nutrients (72
FR 62149) (``DV ANPRM'') which sought public comment on what new
reference values we should use to calculate the DVs in the Nutrition
Facts label and what factors we should consider in establishing these
new reference values.
(Response) We disagree with the comments. The FD&C Act requires
that a claim based on an authoritative statement have a nutrient level
identified in the statement and be stated in a manner that enables the
public to comprehend the information provided and to understand the
relative significance of such information in the context of the daily
diet (section 403(r)(2)(G)(iv) of the FD&C Act). Using two different
approaches to set a reference value for ALA (i.e., the population-
weighted approach used in the seafood processors notification and the
population-coverage approach used in the Martek notification) will
result in inconsistent and conflicting nutrient content claims on food
labels. Such inconsistencies make meaningful product-to-product
comparisons impossible. To enable the public to comprehend the
information provided in nutrient content claims and to understand the
relative significance of that information in the context of the daily
diet, as required by section 403(r)(2)(G)(iv) of the FD&C Act,
qualifying ALA levels for nutrient content claims in food labeling must
be based on a single nutrient value
[[Page 23266]]
determined using the same approach for reference values for other
nutrients, which is currently the population-coverage approach
established in the 1993 final rule for determining DVs (58 FR 2206).
Therefore, to prevent inconsistent and conflicting claims on food
labels, we are not taking regulatory action at this time with respect
to ALA claims based on the population-coverage approach, but are
prohibiting claims based on the population-weighted approach.
We also disagree that we should not act on current ALA nutrient
content claims until we have completed the rulemaking initiated by the
DV ANPRM. The concurrent use of two different approaches to set a
reference value for ALA will result in inconsistent and conflicting
nutrient content claims on food labels. Because it may be some time
before any rulemaking related to the DV ANPRM is finalized, we are
taking action now to prevent inconsistent and conflicting claims by
prohibiting ALA claims based on the population-weighted approach.
(Comment 3) Several comments asserted that nutrient content claims
constitute commercial speech and that, by not allowing the claims to
appear on labeling, we would violate the First Amendment. One comment
also noted, with respect to the claims regarding DHA and EPA, that we
have not done an analysis on each claim to determine if the claims we
propose to prohibit would be misleading and whether they could be cured
by disclaimers, nor have we identified any safety concerns or provided
evidence of consumers being misled by these nutrient content claims.
Moreover, a number of comments stated that the FD&C Act allows us to
modify claims to provide more information regarding the basis of the
claims (for example through use of a disclosure or disclaimer) if any
of the claims are found to be misleading, yet we have not done so. For
all of these reasons, the comments asserted that prohibiting these
claims could violate the First Amendment.
(Response) FDA disagrees. As the preamble to the proposed rule
explained (72 FR 66103 at 66104), the 1993 regulations that implemented
the Nutrition Labeling and Education Act of 1990 (NLEA) created a
procedure under which a person who wishes to make a nutrient content
claim not already defined by regulation may petition us to authorize
that claim under section 403(r)(4) of the FD&C Act (Sec. 101.69).
Under that process, the petitioner must set forth an explanation of the
reasons why the proposed claim meets the requirements of the FD&C Act
and a summary of the scientific data supporting those reasons. (See
section 403(r)(4)(B) of the FD&C Act.) We can either deny the petition
or issue a proposed rule to take the action requested in the petition.
If we issue a proposed rule, the rulemaking must be completed within
540 days of the date the petition was received. (See section
403(r)(4)(A)(i) of the FD&C Act).) The U.S. Court of Appeals for the
Second Circuit upheld this statutory scheme and our implementation of
it as constitutional. Nutritional Health Alliance v. Shalala, 144 F.3d
220 (2d Cir. N.Y. 1998).
FDAMA created an alternate, expedited notification process to allow
certain nutrient content claims to be made without going through the
petition process. (See H. Rept. 105-306 (1997) (``It is the Committee's
intention that the FDA will use this authority primarily for the
purpose of expediting review of petitions for health and nutrient
content claims based on authoritative statements.'').) When the
requirements of FDAMA's expedited notification process (as set out in
section 403(r)(2)(G) of the FD&C Act) have been met, the claim can be
made; preapproval by FDA is not required. If the requirements of
section 403(r)(2)(G) of the FD&C Act have not been met, FDAMA's
expedited path is not available. In such situations, the petition
process outlined under section 403(r)(4) of the FD&C Act is the proper
vehicle for submitting a proposed nutrient content claim to us. (See H.
Rept. 105-306 (1997) (``The Committee emphasizes that this provision
maintains the full range of existing FDA enforcement powers with
respect to claims made in violation of the statutory requirements.'').)
The petition process set forth in section 403(r)(4) of the FD&C Act
relates only to two types of labeling claims: ``nutrient content
claims,'' which are claims of the type described in section
403(r)(1)(A) of the FD&C Act; and ``health claims,'' which are claims
of the type described in section 403(r)(1)(B) of the FD&C Act. FDAMA's
alternate, expedited route also applies only to these two types of
claims. (See sections 403(r)(2)(G) through (r)(2)(H) and 403(r)(3)(C)
through (r)(3)(D) of the FD&C Act.) (This rulemaking concerns only
nutrient content claims.) There are numerous other types of claims that
can be made on food and supplement labeling, including many types of
claims that can lawfully be made about the presence of DHA or EPA. (See
72 FR 66103 at 66109.) Under Sec. 101.13(i)(3) (21 CFR 101.13(i)(3)),
the label or labeling of a food may contain a statement about the
amount or percentage of a nutrient if the statement does not,
explicitly or implicitly, characterize the level of the nutrient in the
food and is not false or misleading in any respect. For example, a
conventional food or a dietary supplement may bear a statement such as
``X mg of EPA and DHA omega-3 fatty acids per serving.'' Also, under
Sec. 101.13(q)(3)(ii)(A), dietary supplements are permitted to bear
simple percentage claims (e.g., 40 percent EPA and DHA omega-3 fatty
acids), and under 21 CFR 101.14(q)(3)(ii)(B), they are permitted to
bear comparative percentage claims (e.g., ``four times the EPA and DHA
omega-3 fatty acids per capsule (80 mg) as in 100 mg of menhaden oil
(20 mg)''). Furthermore, in 2003, we announced our intention to
exercise our enforcement discretion with respect to the following
qualified health claim, which companies can use to describe to
consumers the potential health benefits of consuming EPA and DHA:
``Supportive but not conclusive research shows that consumption of EPA
and DHA omega-3 fatty acids may reduce the risk of coronary heart
disease. One serving of [name of food] provides [x] grams of EPA and
DHA omega-3 fatty acids. [See nutrition information for total fat,
saturated fat and cholesterol content.]'' See Letter Responding to
Health Claim Petition dated November 3, 2003 (Martek Petition): Omega-3
Fatty Acids and Reduced Risk of Coronary Heart Disease (Docket No.
2003Q-0401) (available at https://www.fda.gov/Food/IngredientsPackagingLabeling/LabelingNutrition/ucm072932.htm); see also
Letter Responding to Health Claim Petition dated June 23, 2003
(Wellness petition): Omega-3 Fatty Acids and Reduced Risk of Coronary
Heart Disease (Docket No. 2003Q-0401) (available at https://www.fda.gov/Food/IngredientsPackagingLabeling/LabelingNutrition/ucm072936.htm).
Section 403(r)(2)(G) of the FD&C Act takes place within this
broader labeling context. Nutrient content claims, such as the ones
about DHA, EPA, and ALA that the notifiers here seek to make, are just
one, very specific, statutorily-defined type of labeling claim. When a
company wishes to make such a claim about a nutrient for which FDA has
not identified a nutrient level, the company generally must use the
process set forth in section 403(r)(4) of the FD&C Act; this process
has been upheld as constitutional. (See Nutritional Health Alliance v.
Shalala, 144 F.3d 220 (2d Cir. N.Y. 1998).) FDAMA creates an alternate,
expedited route, but only in
[[Page 23267]]
situations where all of the requirements of section 403(r)(2)(G) of the
FD&C Act have been met.
Our application of section 403(r)(2)(G) of the FD&C Act to the
notifications concerning EPA and DHA and the notifications concerning
ALA is constitutional, as explained herein:
A. DHA and EPA
With respect to the proposed claims regarding DHA and EPA, our
response to comment 1 explains that the notifiers have not met the
requirement of section 403(r)(2)(G)(i) of the FD&C Act that each
proposed claim be based on an authoritative statement that identifies a
nutrient level to which the proposed claim refers. We therefore find
that these claims may not be used in food labeling.
When we establish by regulation particular definitions for terms
(such as ``good source''), the use of such terms without complying with
the established definitions is inherently misleading, and therefore not
protected by the First Amendment, see Central Hudson Gas & Elec. Corp.
v. Public Serv. Comm'n of New York, 447 U.S. 557, 563 (1980); see also
In re R.M.J., 455 U.S. 191, 203 (1982), because such use implies that
the definitions and other statutory and regulatory requirements have
been met, which they have not. See, e.g., Am. Acad. of Pain Mgmt v.
Joseph, 353 F.3d 1099, 1108 (9th Cir. 2004) (finding that the use of
the term ``board certified'' is inherently misleading when its use does
not conform to the statutory definition of that term); see also United
States v. Articles of Food * * * Clover Club Potato Chips, 67 F.R.D.
419, 424 (D. Idaho 1975) (``Freedom of [s]peech does not include the
freedom to violate the labeling provisions of the Federal Food, Drug,
and Cosmetic Act.''). Furthermore, insofar as the proposed claims state
or imply that a daily value for DHA or EPA has been established, the
claims are false, and are not afforded First Amendment protection. See
Central Hudson, 447 U.S. at 563; see also In re R.M.J., 455 U.S. at
203.
The comments seem to suggest that, even if we find that the
proposed DHA and EPA claims are not based on an authoritative statement
that identifies a nutrient level as required by statute, the First
Amendment nonetheless requires us to allow the claims to appear and to
use a disclaimer to cure the flaw. The comments did not indicate what
the disclaimer would be, and indeed, we conclude that there is no
disclaimer that could cure the fundamental flaw of the proposed DHA and
EPA claims: namely, that the claims are not based on an authoritative
statement that identifies a nutrient level, as required by statute. Cf.
Wallach v. Crawford, 2005 U.S. Dist. LEXIS 43700 (S.D. Cal. Mar. 29,
2005) (``A disclaimer regime simply cannot provide the same protection
that Congress envisioned. . ..''). One comment seemed to suggest that
consumer research could help identify an appropriate disclaimer.
However, the statute does not permit the use of FDAMA's expedited
process unless an authoritative statement identifying a nutrient level
has been made. We have concluded that the statutory threshold has not
been met, and that these claims cannot be permitted under the FD&C Act.
These conclusions are not amenable to further exploration through
consumer research. Cf. Alliance for Natural Health U.S. v. Sebelius,
786 F.Supp.2d 1, 14 (D.D.C. 2011) (``Pearson [v. Shalala], 164 F.3d 650
(D.C. Cir. 1999)] does not require the FDA to make an empirical showing
of the inefficacy of a disclaimer before prohibiting a claim'' that is
``unprotected commercial speech that can be prohibited under the
threshold step of the Central Hudson analysis.'').
B. ALA
One comment stated that we would violate the First Amendment by
prohibiting the ALA claims proposed in the seafood processors
notification.
We disagree. Under section 403(r)(2)(G)(iv) of the FD&C Act, ``The
claim must be an accurate representation of the authoritative statement
and must be stated in a manner that enables the public to comprehend
the information provided by the claim and to understand the relative
significance of such information in the context of the total daily
diet.'' (See section 403(r)(2)(G)(iv) of the FD&C Act.) As we discussed
in more detail under Comment 2, we have determined that the proposed
ALA claims that are based on population-weighted AIs do not enable the
public to understand the claims' relative significance in the context
of the total daily diet because using two different approaches to set a
reference value for ALA will result in inconsistent and conflicting
nutrient content claims on food labels. The claims therefore do not
conform to the requirements of the FD&C Act and, like the DHA and EPA
claims discussed previously, cannot be made.
Furthermore, the ALA claims that are based on population-weighted
AIs are inherently misleading, and thus not entitled to First Amendment
protection, see Central Hudson, 447 U.S. at 563, and In re R.M.J., 455
U.S. at 203, because the use of two different daily values for ALA
would result in inconsistent and contradictory nutrient content claims.
Consumers cannot make meaningful product-to-product comparisons based
on such claims.
The ALA claims take place against a backdrop where all other food
labeling references to nutrient levels are based on the population-
coverage approach. In most situations, the reference value that results
from the population-coverage approach will be higher than the reference
value that results from the population-weighted approach; thus, by
using the latter method, a company can in effect hold itself to a lower
standard when making claims such as ``good source'' or ``high.'' For
example, by using population-weighted AIs, a company taking the seafood
processors' approach could claim, at the point of sale, that the
reference value for ALA is 1.3 g/day, even while companies taking
Martek's approach, which uses the population-coverage approach, are
claiming, based on the same IOM report, that the reference value for
ALA is 1.6 g/day. Furthermore, on the label of a product that contained
0.3 g of ALA, those taking the seafood processors' approach would
declare the product to be ``high'' in ALA, because 0.3 g is
approximately 23 percent of 1.3 g; however, those taking Martek's
approach would declare an identical product to only be a ``good
source'' of ALA, because 0.3 g is only 18.75 percent of 1.6 g. The
presence of these conflicting claims is inherently misleading. More
generally, the claim proposed by the seafood processors is inherently
misleading in the context of FDA's current labeling regime, which
relies solely on the population-coverage approach, because the seafood
processors' claim would create contradictory information about the
meaning of ``good source'' when used to characterize the level of a
nutrient.
Even if a disclaimer or other modification were to explain that a
given claim arose as a result of a certain statistical method for
computing nutrient levels, this would not change the fact that terms
such as ``high'' or ``good source'' would have two different meanings
under this hypothetical regime. This is precisely what Congress sought
to avoid when it passed the NLEA, and it is what we sought to avoid
when we issued regulations under that statute, defining terms such as
``high'' and ``good source.'' See, e.g., 136 Cong. Rec. H5836-01, H5840
(July 30, 1990) (statement of Rep. Waxman); 136 Cong. Rec. H12951-02,
H12953-54 (October 26, 1990) (statement of Rep. Madigan). (See also 56
FR 60421 at 60423, (November 27, 1991) (``Inconsistent use of the same
term on various products
[[Page 23268]]
could lead to consumer confusion and nonuniformity in the marketplace.
To ensure that consumers are not misled and are given reliable
information, Congress found, and FDA agrees, that it is appropriate for
the Agency to establish specific definitions to standardize the terms
used by manufacturers to describe the nutrient content of foods.'');
see also 58 FR 2302. The purpose of FDA-regulated nutrient content
claims is to provide the public with meaningful information about the
content of a product within the context of the total daily diet. This
purpose is only served if terms such as ``high,'' ``good source,'' and
the other terms defined at Sec. 101.54 (21 CFR 101.54) are given a
consistent meaning for all nutrients that are the subject of such
claims, so that consumers have meaningful information to compare.
We therefore conclude that the ALA claims that are based on a
population-weighted approach are inherently misleading, and thus not
entitled to First Amendment protection. But even if the seafood
processors' proposed claims were not inherently misleading, prohibiting
the claims would still be permissible under the First Amendment. Though
we have concluded that the claims are inherently misleading, this
section nonetheless goes on to analyze this point.
In Central Hudson Gas & Elec. Corp. v. Public Serv. Comm'n of New
York, 447 U.S. 557 (1980), the Supreme Court laid out a four-part test
to analyze whether a Government restriction on commercial speech is
constitutional. The first step under Central Hudson is to determine
whether or not the speech at issue is protected by the First Amendment.
If the speech is found to be protected by the First Amendment--which we
do not find to be the case here, but which is a scenario that we are
nonetheless analyzing--the second requirement of Central Hudson is that
``the State must assert a substantial interest to be achieved'' by the
proposed action. Central Hudson, 447 U.S. at 564. Here, the Government
has a substantial interest in promoting the public health, preventing
inconsistent and contradictory labeling claims (and thereby preventing
consumer confusion), and maintaining the integrity of the food label so
that consumers will have access to meaningful information that they can
understand in the context of a total daily diet and that will enable
them to make meaningful product-to-product comparisons so they can
select foods that can lead to healthier diets (see Pearson, 164 F.3d at
656; Rubin v. Coors Brewing Co., 514 U.S. 476, 485 (1995); Fleminger v.
U.S. Dep't of Health and Human Servs., 854 F. Supp. 2d 192, 208 (D.
Conn. 2012); and 58 FR 2302).
The next question under Central Hudson is whether the government
action ``directly advances the governmental interest asserted.''
Central Hudson, 447 U.S. at 566. The need for consistent labeling
claims that would help consumers select healthier foods is the precise
issue that Congress sought to address when passing the portions of the
NLEA that address nutrient content claims. See, e.g., 136 Cong. Rec.
H5836-01, H5840 (July 30, 1990) (statement of Rep. Waxman) (``[Under
the NLEA,] content claims would have to be consistent with terms
defined by . . . the Food and Drug Administration. Today, companies use
terms such as `low' and `light' differently and inconsistently. . . .
The bill would correct this deceptive and misleading state of affairs
by requiring that terms such as `light' have a single meaning.'') and
id. at H5843 (statement of Rep. Madigan) (``Consumers today are
confronted with a variety of labels that provide them with disjointed
and confusing information. . . . In the past few years, important
scientific evidence has been repeatedly reported that clearly links
dietary habits to good health. For this reason, the need to provide
consumers with better information about the foods they eat is
important.''); see also 136 Cong. Rec. H12951-02, H12953-54 (October
26, 1990) (statement of Rep. Madigan) (``[T]he bill requires that
content claims such as light, low, et cetera, would have to be
consistent with terms defined by the FDA. This is to address the
current problem of companies using these terms differently and
inconsistently.''). Requiring that all nutrient levels be computed in
the same way so that words such as ``high'' will have a consistent
meaning directly advances the goals of preventing inconsistent and
contradictory claims in food labeling, maintaining the integrity of the
food label, and promoting public health. The result is labels that
contain meaningful information that the consumer can understand in the
context of a total daily diet. Such labels allow consumers to make
meaningful product-to-product comparisons and to select foods that can
lead to healthier diets.
The final question under Central Hudson is ``whether the fit
between the government's ends and the means chosen to accomplish those
ends `is not necessarily perfect, but reasonable.' '' See Pearson, 164
F.3d at 656, quoting Fox, 492 U.S. at 480. The Government's approach
here is narrowly tailored to advance the Government's interest in
preventing inconsistent and contradictory claims, maintaining the
integrity of the food label, and promoting the public health, while not
unnecessarily infringing speech. Nutrient content claims are not
prohibited, but instead are permitted under a range of circumstances.
Nutrient content claims based on an authoritative statement may be
used, provided that the relevant nutrient reference level is not based
on an approach that results in inconsistent and contradictory
information. In this situation, we are taking no regulatory action at
this time with regard to a nutrient content claim for ALA that uses the
population-coverage approach to determine the nutrient level; that
claim may therefore be used. The comments have advanced no argument to
explain why the use of multiple, inconsistent statistical methods that
generate inconsistent and contradictory claims would be preferable for
consumers. Such claims would, in fact, impede the ability of consumers
to make meaningful product-to-product comparisons, and therefore to
make informed purchasing decisions. We also note that, in addition to
the population coverage-based ALA claims about which we are taking no
action at this time, other opportunities exist for companies to make
labeling statements regarding ALA in their products; for example,
labeling that simply states the amount of a nutrient may be made in
accordance with Sec. 101.13(i).
Moreover, we have concluded that no disclaimer could cure the
fundamental contradiction and inconsistency resulting from the proposed
ALA claims that are based on the population-weighted approach. No
disclaimer would cure the fundamental flaw presented here: that the use
of two different daily values for ALA would render the nutrient content
claims that were based on those reference values inconsistent with one
another, and would therefore impede consumers' ability to make
meaningful product-to-product comparisons based on those claims. A
disclaimer cannot bring clarity to a situation where a fundamental
contradiction remains. See Resort Car Rental System, Inc. v. FTC, 518
F.2d 962, 964 (9th Cir.) (per curiam), cert denied, 423 U.S. 827
(1975); Continental Wax Corp. v. FTC, 330 F.2d 475, 480 (2d Cir. 1964);
United States v. Millpax, Inc., 313 F.2d 152, 154 & n.1 (7th Cir.
1963); Pasadena Research Labs v. United States, 169 F.2d 375, 383-84
(9th Cir. 1948). Labeling that states the amount of a nutrient may be
made under Sec. 101.13(i);
[[Page 23269]]
the purpose of nutrient content claims is to use words such as ``high''
and ``good source,'' which, because they are defined by regulation,
place that type of information in the context of the total daily diet.
This purpose is only served if the terms defined at Sec. 101.54 are
given a consistent meaning.
(Comment 4) A number of comments suggested that FDA should
establish, through notice and comment rulemaking, DVs for DHA and EPA
for use in nutrient content claims and requested that FDA continue to
allow the current claims for DHA and EPA until DVs can be established.
(Response) We disagree that we should continue to allow these
claims, pending a rulemaking to establish DVs for DHA and EPA, for the
reasons set forth in this final rule for prohibiting such claims. Under
section 403(r)(4) of the FD&C Act and Sec. 101.69, interested persons
can submit a petition for the authorization of nutrient content claims.
(Comment 5) A number of comments stated that we did not respond to
the notifications in a timely manner and that, as a consequence, many
manufacturers would be affected financially by a prohibition of certain
omega-3 nutrient content claims. Several comments stated that there
could be a possible negative health impact in removing omega-3 claims
that have existed for some time in the marketplace, including increased
consumer confusion regarding recommended intakes of omega-3 fatty
acids. Other comments requested that, because the omega-3 nutrient
content claims have been lawful and in use in the marketplace for some
time, FDA should provide a transition period to phase them out (e.g., 1
year) if the Agency decides to prohibit certain omega-3 nutrient
content claims.
(Response) We disagree with the comments asserting that we did not
act in a timely manner. Section 403(r)(2)(G)(ii) of the FD&C Act,
permits a food bearing a nutrient content claim based on an
authoritative statement to be introduced into interstate commerce 120
days after notifying FDA. The claim may be made until we issue a
regulation prohibiting the claim, modifying the claim, or finding that
the requirements of the FD&C Act have not been met, or a district court
of the United States determines that the requirements of the FD&C Act
have not been met (section 403(r)(2)(H) of the FD&C Act). We received
three separate notifications for omega-3 fatty acids over a 2-year
period ending in December 2005. Because the notifications addressed the
same issue, we conducted a collective review of the notifications and
determined that all three notifications should be addressed in the same
rulemaking, rather than separately. In June 2004, we publicly announced
our intention to issue rulemaking to prohibit some of the nutrient
content claims (see Docket No. FDA-2004-N-0382) (Ref. 4) and, less than
2 years after the receipt of the final notification, we issued the
proposed rule.
We agree with the comments requesting a transition period. In this
final rule, we conclude that certain omega-3 fatty acid nutrient
content claims set forth in the three notifications do not meet the
requirements of section 403(r)(2)(G) of the FD&C Act and, therefore,
are prohibited from use in food labeling. We are providing a period for
transition, and this rule will become effective on the next uniform
compliance date for labeling regulations. The next uniform compliance
date is January 1, 2016, and it applies to food labeling regulations
issued between January 1, 2013, and December 31, 2014.
III. Summary of the Final Rule
Given the information discussed in the preamble to the omega-3
proposed rule and the absence of contrary information in the comments,
and under our authority under section 403(r)(2)(H)(i)(I) of the FD&C
Act, FDA is adopting as a final rule, without change, the proposal to
prohibit the nutrient content claims for DHA and EPA set forth in the
seafood processors notification, the Martek notification, and the Ocean
Nutrition notification and the nutrient content claims for ALA set
forth in the seafood processors notification. We express no conclusions
as to whether the ALA claims in the Martek notification are supported
by an authoritative statement that satisfies the requirements of
section 403(r)(2)(G) of the FD&C Act. We are taking no regulatory
action at this time with respect to the nutrient content claims for ALA
set forth in the Martek notification and, therefore, these claims,
which are set forth in table 1, will be allowed to remain on the market
at this time.
Table 1--Nutrient Claims
------------------------------------------------------------------------
Conditions for making the claim
Nutrient content claim for ALA \1\
------------------------------------------------------------------------
High................................... >= 320 mg of ALA per RACC (>=
20% of 1.6 g/day)
Good Source............................ >= 160 mg of ALA per RACC (>=
10% of 1.6 g/day)
More................................... >= 160 mg of ALA more per RACC
than an appropriate reference
food (>= 10% of 1.6 g/day)
------------------------------------------------------------------------
\1\ Nutrient content claims must comply with all applicable FDA
regulations regarding the making of such claims.
IV. Analysis of Impacts
We have examined the impacts of the final 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 Order 12866 directs 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). We have
concluded that this final rule is not a significant regulatory action
under the Executive order.
The Regulatory Flexibility Act requires Agencies to analyze
regulatory options that would minimize any significant impact of a rule
on small entities. We have concluded that this final rule may have a
significant economic impact on a substantial number of small entities.
Section 202(a) of the Unfunded Mandates Reform Act of 1995 requires
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 $141 million, using the most current (2012) Implicit
Price Deflator for the Gross Domestic Product. We do not expect this
final rule to result in any 1-year expenditure that would meet or
exceed this amount.
This final regulatory impact analysis revises the initial
regulatory impact analysis set forth in the proposed rule (72 FR 66103)
in response to comments on the proposed rule. Except for the revisions
that we indicate in this section of the document, the analysis for the
[[Page 23270]]
final rule is the same as the analysis for the proposed rule.
A. Benefit-Cost Analysis
1. The Need for This Rule
We discuss any comments on the legal and regulatory need for this
rule in section II of this document.
2. Options
In the analysis for the proposed rule, we analyzed the following
two regulatory options: (1) Take no new regulatory action and (2)
prohibit the DHA and EPA claims and the ALA claims based on a reference
value of 1.3 g/day, but allow the ALA claims based on a reference value
of 1.6 g/day.
a. Option 1: Take No New Regulatory Action
We did not receive any comments on the selection of this option as
the baseline.
b. Option 2: Take the Regulatory Actions as Described in the Proposed
Rule
(Comment 6) One comment asserted that the economic analysis for the
proposed rule did not fulfill the requirements of Executive Order 12866
because we said that we could not estimate the public health impacts of
eliminating nutrient content claims for DHA and EPA because we had not
yet conducted a review of the scientific evidence concerning the health
effects of consuming DHA and EPA at various levels. The comment
suggested that we review the relevant scientific evidence to complete
the analysis. The comment also noted that we previously reviewed at
least some of the scientific evidence relating to cardiovascular
effects in the context of qualified health claims for DHA and EPA. The
comment said that, on that basis alone, FDA could present a more
detailed analysis of potential health costs than it presented in the
analysis for the proposed rule.
Other comments said that eliminating existing nutrient content
claims for DHA and EPA would generate public health costs. These
comments linked DHA and/or EPA to preventing cardiovascular disease,
reducing cardiac mortality including sudden death in patients with no
sign of cardiovascular conditions and cardiovascular events in
hypercholesterolemic patients, growth, neurodevelopment including brain
and eye development in infants, intelligence quotients, and improved
mental acuity and overall quality of life for consumers facing age-
related cognitive decline, including Alzheimer's disease. The comments
also noted possible links to the prevention and treatment of arthritis,
inflammatory and autoimmune diseases, and cancer. One comment noted
that current average intake of DHA and EPA is estimated to be 100 to
200 mg/day in the United States, which is below the intake recommended
by various organizations.
(Response) In the analysis for the proposed rule, we said that we
could not determine whether eliminating existing nutrient content
claims for DHA and EPA would have any impact on consumer health because
we had not yet conducted a review of the scientific evidence on the
health effects of consuming DHA and EPA at different levels. The
information presented in these comments suggests that eliminating
nutrient content claims for DHA and EPA could lead to health costs.
However, because we have not yet conducted a comprehensive review of
the scientific evidence, we cannot revise the analysis of the final
rule to account for these potential effects.
(Comment 7) A number of comments addressed the relative merits of
nutrient content claims, qualified health claims, and quantitative
statements. One comment stated that qualified health claims are a poor
substitute for nutrient content claims and that eliminating nutrient
content claims would reduce opportunities for firms to communicate with
consumers about EPA and DHA. The comment looked at health claims
appearing on new omega-3 fatty acid and DHA and/or EPA products in the
Mintel Global New Products Database between June 2006 and November 2007
and found that 24 percent were nutrient content claims, 56 percent were
quantitative statements, and 20 percent were structure function claims.
The comment suggested that nutrient content claims and quantitative
statements predominated because they are relatively simple and easy to
understand. One comment said that qualified health claims and
quantitative statements do not enable consumers to consider the
relative significance of the claims and statements in the context of
the total daily diet. This comment said that without nutrient content
claims, consumers would be unable to determine if quantitative content
differences are significant or to readily identify foods that contain
meaningful levels of omega-3 fatty acids. Finally, the comment noted
that removing nutrient content claims would significantly diminish the
incentives for firms to innovate and to improve the nutritional
properties of food. One comment noted that we permit qualified health
claims on products regardless of the level of DHA or EPA in those
products. The comment said that we did not consider the potential
health costs generated by consumers switching to products having
potentially lower levels of DHA and/or EPA. One comment said that
prohibiting DHA and EPA claims after they have appeared for several
years would lead consumers to question the dietary value of these
nutrients. One comment said that allowing quantitative statements about
the level of DHA and/or EPA in products without providing some context
of the significance of those levels would confuse consumers.
(Response) Our analysis for the proposed rule did not claim that
the availability of qualified health claims implied that eliminating
nutrient content claims for DHA and EPA would have no impact on product
innovation, consumption of these substances, or consumer health. We
said that eliminating nutrient content claims for DHA and EPA might
result in reduced consumption of DHA and EPA under two scenarios.
First, consumers might reduce their consumption of these nutrients if
they choose not to purchase and consume products that do not have the
relevant nutrient content claims on the label. Second, producers may
choose not to reformulate products with higher levels of DHA and/or EPA
if they cannot use nutrient content claims to communicate these higher
levels to consumers. However, we did not consider potentially reduced
consumption resulting from the following mechanisms discussed in some
comments: consumers switching to products with qualified health claims
that may have lower levels of DHA and/or EPA, consumers who choose not
to consume products with DHA and/or EPA because they question the
dietary value of these nutrients due to the disappearance of nutrient
content claims, and consumers who become confused about the
significance of particular levels of DHA and EPA due to the
disappearance of nutrient content claims. Therefore, we revise our
analysis to include these additional pathways by which this final rule
may reduce consumption of omega-3 fatty acids, but we still reach the
same conclusion: Because we have yet to conduct a review of the
scientific evidence concerning the health effects of consuming EPA and
DHA at different levels, we cannot determine whether the loss of these
claims would have any impact on consumer health, either beneficial or
detrimental.
(Comment 8) Some comments said that FDA did not present a
statistically representative portrait of the number of products
containing DHA and/or EPA and instead relied on products that we found
in grocery stores in the
[[Page 23271]]
Washington, DC metropolitan area and on Internet grocery stores.
(Response) We did not present our estimates in the analysis for the
proposed rule as a statistically representative portrait of the number
of products containing DHA and/or EPA. Constructing a statistically
representative portrait would be very costly and would not be
worthwhile because it would not change the conclusions of the analysis.
We have estimated that this rule will generate very small costs that
are considerably below the cutoff for classifying a rule as significant
under Executive Order 12866, so performing a statistically
representative study would probably not change the status of this rule
under that Executive Order. In addition, we were unable to quantify
benefits, so obtaining more precise cost estimates would not allow the
Agency to revise its analysis of net benefits.
(Comment 9) One comment said that we only considered seafood, eggs,
pasta, and dietary supplement products, and we excluded many of the
emerging categories of foods that firms enrich with omega-3 fatty
acids. The comment said that these emerging categories are categories
that contain foods that traditionally do not contain omega-3 fatty
acids. According to this comment, food manufacturers tend to rely
heavily on nutrient content claims to communicate the benefits of DHA
and EPA enrichment over other products within these categories. The
comment stated that some of these categories include fresh and shelf-
stable milks, spoonable yogurts, yogurt drinks, fermented milk drinks,
cheeses, butters, fat-based spreads, juices, juice smoothies, soy
milks, packaged breads, meats from grass-fed animals, packaged meats,
baby foods, chocolate confections, cooking oils, packaged soups, ice
creams, nutritional bars, and frozen pizzas. One comment said that
firms are currently making nutrient content claims involving ALA, DHA,
and EPA on dairy products. The comment said that we did not account for
the costs associated with these products in the analysis for the
proposed rule. One comment stated that we underestimated the number of
products and labels affected by the proposed rule. The comment noted
that, in the analysis for the proposed rule, we said that we found 113
qualifying dietary supplements in the Dietary Supplements Sales
Information database, but that when we searched a single retailer,
Amazon.com, we turned up 2,224 dietary supplement labels (stock keeping
units or SKUs) containing ``fish oil.'' The comment said that we also
underestimated the number of SKUs for eggs and seafood.
(Response) We were unable to locate information on products bearing
omega-3 nutrient content claims in the specific product categories
mentioned in this comment. However, we did locate data indicating that
firms introduced 369 new food and beverage products bearing omega-3
claims in the United States from 1999 to 2014 (Ref. 5). We do not know
how many of these products remain on the market, nor do we know how
many of these products bear one or more of the relevant nutrient
content claims. Therefore, this number represents the maximum number of
such products currently on the market.
In the preamble to the proposed rule, we identified only one
conventional food product that firms enriched with omega-3 fatty acids.
We estimated that two such products probably existed on the market, and
estimated a label change cost of $17,000, or $8,500 per product. If we
apply this cost to 369 products, we get an estimated cost of
approximately $3 million. Therefore, in this final rule, we have
revised the previous estimate of the total cost of labeling changes
from $0.08 million to approximately $3 million.
(Comment 10) One comment said that firms launched a significant
number of products enriched with DHA and EPA in part because they were
able to communicate some of the benefits of DHA and EPA using nutrient
content claims. This comment said that we did not consider the loss of
sales that would result if these firms were unable to communicate the
relative enrichment levels of DHA and EPA in these products, but that
we instead only considered the cost of relabeling these products. One
comment stated that we did not account for the loss of the return on
investment in product development.
(Response) Once the final rule becomes effective, firms will retain
some ability to communicate levels of omega-3 fatty acid content to
consumers by using amount or percentage statements and qualified health
claims. These statements might not be as effective as express nutrient
content claims (e.g., ``high'') in encouraging consumers to buy these
products. Therefore, sales of these products and the return on
investment for developing these products may decline. We would classify
these effects as distributive impacts rather than social costs because
we have based our rule on the notion that these nutrient content claims
lack the scientific support that an authoritative statement would
provide. Therefore, consumer demand based on these nutrient content
claims does not represent the true demand for these products and
prohibiting these nutrient content claims will not generate social
costs for consumers. However, some firms may lose sales and profits and
some firms may gain sales and profits. We cannot estimate this
distributive impact because we do not know how much money firms have
spent developing these products or the impact of eliminating nutrient
content claims for DHA and/or EPA on the sales of these products.
However, we revised the analysis by noting that firms that produce
products or that planned to produce products bearing these nutrient
content claims may lose profits, while firms producing competing
products may gain profits.
(Comment 11) One comment said that we were rejecting the nutrient
content claims presented in the seafood processors notification based
on our approach to calculating a nutrient reference value. This comment
noted that we had published the DV ANPRM (72 FR 62149) inviting
comments on what new reference values we should use to calculate the
DVs in the Nutrition Facts label and what factors we should consider in
establishing such new reference values. The comment noted that if we
change our position on setting reference values, then we might need to
reverse our position on the nutrient content claims in the seafood
processors notification, which would generate additional label changes
and also confuse consumers.
(Response) Even if we were to establish, in the future, a
population-weighted approach for DVs that would allow the nutrient
content claims in the seafood processors notification and thus allow
firms to make additional label changes, we can infer that any such
label changes would be associated with positive net benefits. Firms
that were using the nutrient content claims in the seafood processors
notification and that stopped using those claims because of this final
rule might be able to resume using those claims. However, because such
label changes would be voluntary, manufacturers would not choose to
make them unless consumers valued the changes at least enough to cover
the cost of such changes. Manufacturers are not likely to voluntarily
make nutrient content claims if the addition would confuse consumers
and negatively impact sales. We would not allow such label changes if
we determined them to be false or misleading; therefore, we would infer
that any additional value consumers placed on such products is related
to the value of the new information. In addition, changes in product
labeling are not particularly
[[Page 23272]]
unusual, so it is unlikely that many consumers would be confused if the
nutrient content claims on particular products disappeared and later
reappeared.
(Comment 12) One comment said that a single label change can cost
dairy processors up to $5,000 per label for a new label design and new
printing plates. The comment noted that firms would also need to
dispose of obsolete packaging and that, in the past, companies have
estimated these costs in the tens to hundreds of thousands of dollars,
depending on the number of SKUs.
(Response) In the analysis for the proposed rule, we estimated the
cost of changing labels using a model developed for us for that
purpose. The model included designing new labels, producing new
printing plates, and disposing of obsolete packaging. We estimated
costs per SKU of between $2,300 and $8,400. This figure implies that a
large company producing many SKUs could face costs of tens to hundreds
of thousands of dollars for disposing of obsolete packaging. Therefore,
this comment is consistent with the analysis for the proposed rule.
B. Benefits
(Comment 13) One comment said that there is no scientific evidence
supporting health benefits of 160 mg of DHA and/or EPA per day but
that, on the contrary, the science supports much higher levels. This
comment said that to allow the use of an ``excellent source'' claim for
this level of these nutrients might cause consumers to lose confidence
in package claims.
(Response) Some consumers may have experienced a reduction in their
confidence in package claims based on the discrepancy between nutrient
content claims describing products with 160 mg of DHA and/or EPA as an
excellent source of these nutrients and the level of these nutrients
recommended by some scientific organizations. These consumers may
experience increased confidence in package claims when this discrepancy
is eliminated. Increased confidence in package claims could lead to
health benefits from better dietary choices based on package claims. We
do not have sufficient information to estimate this potential benefit.
C. Regulatory Flexibility Analysis
We have examined the economic implications of this final rule as
required by the Regulatory Flexibility Act (5 U.S.C. 601-612). If a
rule has a significant economic impact on a substantial number of small
entities, the Regulatory Flexibility Act requires Agencies to analyze
regulatory options that would lessen the economic effect of the rule on
small entities. We find that this final rule may have a significant
economic impact on a substantial number of small entities.
The Regulatory Flexibility Act requires that FDA present a succinct
statement of a rule's objectives. We discussed the legal and regulatory
need for this rule in section II of this document and in section III in
the preamble of the proposed rule (72 FR 66103 at 66107). The intent of
this rule is to eliminate certain nutrient content claims that do not
have the scientific justification that an authoritative statement would
provide or that are not stated in a manner that enables the public to
comprehend the information provided in the claim and to understand the
relative significance of the information in the context of a total
daily diet. In so doing, the rule enables consumers to identify
suitable products.
In the analysis for the proposed rule, we said that the proposed
rule would not have a significant effect on a substantial number of
small entities. We based that conclusion on our review of the labels in
the marketplace. However, one comment on the benefit-cost analysis in
the proposed rule suggested that we had overlooked a number of
products. Based on that comment, we estimated a new range of
potentially affected products in the final benefit-cost analysis. The
new range of potentially affected products suggests that the final rule
might have a significant effect on a substantial number of small
entities.
In the benefit-cost analysis for this rule, we estimated that the
final rule would affect a maximum of 369 products. We were not able to
identify the firms that produce these products. However, in the
analysis for the proposed rule, we estimated that four products were
associated with four manufacturers. Therefore, we assume that 369
products may be associated with 369 manufacturers. We also were not
able to identify these products, although the comments indicated that
they include products from the following categories: seafood, pasta,
eggs, fresh and shelf-stable milks, spoonable yogurts, yogurt drinks,
fermented milk drinks, cheeses, butters, fat-based spreads, juices,
juice smoothies, soy milks, packaged breads, meats from grass-fed
animals, packaged meats, baby foods, chocolate confections, cooking
oils, packaged soups, ice creams, nutritional bars, and frozen pizzas.
The Small Business Administration (SBA) publishes size standards
for small businesses. The SBA size definition for firms producing these
products defines a small firm to be any firm with 500 or fewer
employees. We do not know how many employees work at the firms that
produce the specified products because we cannot identify those firms.
However, the vast majority of these firms probably meet the SBA
definition of a small business because nearly all (97 percent) of food
manufacturing plants have 500 or fewer employees.
1. Options
FDA considers the following option to reduce the burden of this
rule on small entities: give small firms more time to comply with this
rule.
Option 1: Give small firms more time to comply with this rule
This rule will become effective on the next uniform compliance date
for labeling regulations. The next uniform compliance date is January
1, 2016, and it applies to food labeling regulations that FDA issues
between January 1, 2013, and December 31, 2014. Using the next uniform
compliance date always provides firms with at least 1 year and as much
as 3 years to make any necessary labeling changes. In the analysis for
the proposed rule (72 FR 66103 at 66109), we based our cost estimates
on firms having 2 years to change product labels. Providing more time
to change labels reduces the cost of changing those labels because more
firms would be able to make the changes during regularly scheduled
label changes. In the analysis for the proposed rule, we noted that our
labeling cost model estimates that firms will redesign 67 percent of
product labels in any 2-year period and all product labels in any 3-
year period. Therefore, if we changed the compliance date for small
firms so that they had at least 3 years to comply, then we would reduce
the cost for these firms to zero. To avoid inconsistent labeling on
products produced by small firms and by other firms, we would need to
set the same compliance date for all firms. This option would delay the
benefits of this rule. Therefore, we have chosen not to give small
firms more time to comply with the final rule.
V. Environmental Impact
We have determined under 21 CFR 25.30(k) that this action is of the
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.
[[Page 23273]]
VI. Paperwork Reduction Act of 1995
We conclude that labeling provisions of this rule are not subject
to review by the Office of Management and Budget because they do not
constitute a ``collection of information'' under the Paperwork
Reduction Act of 1995 (44 U.S.C. 3501-3520).
VII. Federalism
We analyzed this final rule in accordance with the principles set
forth in Executive Order 13132. Section 4(a) of the Executive order
requires Agencies to ``construe . . . a Federal statute to preempt
State law only where the statute contains an express preemption
provision or there is some other clear evidence that the Congress
intended preemption of State law, or where the exercise of State law
conflicts with the exercise of Federal authority under the Federal
statute.'' Federal law includes an express preemption provision that
preempts ``any requirement respecting any claim of the type described
in section 403(r)(1) [21 U.S.C. 343(r)(1)] made in the label or
labeling of food that is not identical to the requirement of section
403(r) [21 U.S.C. 343(r)]. . . .'' Section 403A(a)(5) of the FD&C Act
(21 U.S.C. 343-1(a)(5)). However, this statutory provision does not
preempt any State requirement respecting a statement in the labeling of
food that provides for a warning concerning the safety of the food or
component of the food (Pub. L. 101-535, Section 6 (1990)). This final
rule prohibits certain nutrient content claims for certain omega-3
fatty acids in the label or labeling of food under section 403(r) of
the FD&C Act.
VIII. References
The following references have been placed on display in the
Division of Dockets Management (HFA-305), Food and Drug Administration,
5630 Fishers Lane, rm. 1061, Rockville, MD 20852 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. (FDA
has verified the Web site addresses, but FDA is not responsible for any
subsequent changes to Web sites after this document publishes in the
Federal Register.)
1. ``Dietary Reference Intakes for Energy, Carbohydrate, Fiber,
Fat, Fatty Acids, Cholesterol, Protein, and Amino Acids.'' Institute
of Medicine, National Academy of Sciences, 2005.
2. Letter from the Institute of Medicine of the National
Academies to FDA/CFSAN. Docket No. FDA-2004-N-0382; Document ID FDA-
2004-N-0382-0035.
3. ``Dietary Reference Intakes: Guiding Principles for Nutrition
Labeling and Fortification.'' Institute of Medicine, National
Academy of Sciences, 2003.
4. Letter from FDA/CFSAN to Advocates for Better Children's
Diets. Docket No. FDA-2004-N-0382; Document ID FDA-2004-N-0382-0004.
5. Data from Mintel Global New Products Database, Mintel Group,
Ltd., https://www.mintel.com, accessed January 29, 2014.
Dated: April 22, 2014.
Leslie Kux,
Assistant Commissioner for Policy.
[FR Doc. 2014-09492 Filed 4-25-14; 8:45 am]
BILLING CODE 4160-01-P